SUPREME
COURT OF CANADA
Citation:
Canada (Canadian Human Rights Commission) v. Canada (Attorney
General), 2018 SCC 31
|
Appeal Heard: November
28, 2017
Judgment
Rendered: June 14, 2018
Docket:
37208
|
Between:
Canadian
Human Rights Commission
Appellant
and
Attorney
General of Canada
Respondent
-
and -
Attorney
General of Quebec, Tania Zulkoskey, Income Security Advocacy Centre, Sudbury Community
Legal Clinic, Chinese and Southeast Asian Legal Clinic, Community Legal
Assistance Society, HIV & AIDS Legal Clinic Ontario, Canadian Muslim
Lawyers Association, Council of Canadians with Disabilities, Women’s Legal
Education and Action Fund, Native Women’s Association of Canada, Amnesty
International, First Nations Child and Family Caring Society of Canada, Jeremy
E. Matson, African Canadian Legal Clinic, Aboriginal Legal Services and Public
Service Alliance of Canada
Interveners
Coram: McLachlin C.J. and Abella, Moldaver, Karakatsanis, Wagner,
Gascon, Côté, Brown and Rowe JJ.
Reasons for
Judgment:
(paras. 1 to 68)
|
Gascon J. (McLachlin C.J. and Abella, Moldaver,
Karakatsanis and Wagner JJ. concurring)
|
Joint Concurring
Reasons:
(paras. 69 to 107)
|
Côté and Rowe JJ.
|
Concurring
Reasons:
(paras. 108 to 115)
|
Brown J.
|
Note: This document is subject to editorial revision before its
reproduction in final form in the Canada Supreme Court Reports.
canada (chrc) v. canada (a.g.)
Canadian Human Rights
Commission Appellant
v.
Attorney General of Canada Respondent
and
Attorney General of Quebec,
Tania Zulkoskey,
Income Security Advocacy Centre,
Sudbury Community Legal Clinic,
Chinese and Southeast Asian Legal
Clinic,
Community Legal Assistance Society,
HIV & AIDS Legal Clinic Ontario,
Canadian Muslim Lawyers Association,
Council of Canadians with Disabilities,
Women’s Legal Education and Action Fund,
Native Women’s Association of Canada,
Amnesty International,
First Nations Child and Family Caring Society
of Canada,
Jeremy E. Matson,
African Canadian Legal Clinic,
Aboriginal Legal Services and
Public Service Alliance of
Canada Interveners
Indexed as: Canada
(Canadian Human Rights Commission) v.
Canada (Attorney General)
2018 SCC 31
File No.: 37208.
2017: November 28; 2018: June 14.
Present: McLachlin C.J.
and Abella, Moldaver, Karakatsanis, Wagner, Gascon, Côté, Brown and
Rowe JJ.
on appeal from the federal court of appeal
Administrative
law — Judicial review — Standard of review — Canadian Human Rights Tribunal
dismissing complaints alleging that provisions of Indian Act precluding
registration of complainants’ children as “Indians” constituted discriminatory
provision of services — Tribunal finding that complaints involved direct
challenge to s. 6 of Indian Act and that legislation not included in the
meaning of “services” under s. 5 of Canadian Human Rights Act — Whether
Tribunal’s decisions reviewable on standard of reasonableness or correctness.
Human
rights — Discriminatory practices — Provision of services — Indians — Status
eligibility — Registration — Human rights complaints alleging that provisions
of Indian Act precluding registration of complainants’ children as “Indians”
discriminated in provision of services customarily available to general public
on grounds of race, national or ethnic origin, sex or family status — Whether
complaints constituted direct attack on legislation or whether they concerned
discrimination in provision of service — Meaning of “services” under s. 5
of Canadian Human Rights Act, R.S.C. 1985, c. H-6 .
This appeal concerns several complaints
alleging that Indian and Northern Affairs Canada
engaged in a discriminatory practice in the provision of services contrary to
s. 5 of the Canadian Human Rights Act (“CHRA ”) when it
denied a form of registration under the Indian Act that the complainants
would have been entitled to if past discriminatory policies, now repealed, had
not been enacted.
In
two separate decisions, the Canadian Human Rights Tribunal determined that the
complaints were a direct attack on the Indian Act . As legislation was
not a service under the CHRA , it dismissed the complaints. On judicial
review, both the Federal Court and the Federal Court of Appeal found that the
Tribunal decisions were reasonable and should be upheld.
Held:
The appeal should be dismissed.
Per
McLachlin C.J. and Abella, Moldaver, Karakatsanis, Wagner and Gascon JJ.:
Where an administrative body interprets its home statute, there is a well‑established
presumption that the reasonableness standard applies. The presumption may be
rebutted and the correctness standard applied where one of the categories identified
in Dunsmuir can be established or, exceptionally, where a contextual
inquiry shows a clear legislative intent that the correctness standard be
applied. In applying the standard of review analysis, there is no principled
difference between a human rights tribunal and any other decision maker
interpreting its home statute.
In
both of its decisions, the Tribunal was called upon to characterize the
complaints before it and ascertain whether a discriminatory practice had been
made out under the CHRA . This falls squarely within the presumption of
deference. The Tribunal clearly had the authority to hear a complaint about a
discriminatory practice, and the question of what falls within the meaning of
“services” is no more exceptional than questions previously found by the Court
not to be true questions of jurisdiction. To find that the Tribunal was faced
with a true question of vires here would only risk disinterring the
jurisdiction/preliminary question doctrine that was clearly put to rest in Dunsmuir.
Plainly, the definition of a service under the CHRA is not a true
question of vires.
The
category of true questions of vires is confined to instances where the
decision maker must determine whether it has the authority to enter into the
inquiry before it. Since its
inclusion as a category of correctness review in Dunsmuir, the
concept of true questions of vires has been as elusive as it has been
controversial. In applying Dunsmuir, the Court has been unable to
identify a single instance where this category was found to be applicable. Since Alberta (Information and Privacy Commissioner) v. Alberta
Teachers’ Association, 2011 SCC 61, [2011] 3 S.C.R. 654, the Court has
reasserted the narrow and exceptional nature of this category. The difficult
distinction between simple questions of jurisdiction (i.e., questions that
determine the scope of one’s authority) and true questions of vires
(i.e., questions that determine whether one has authority to enter into the inquiry)
has, however, tempted litigants and judges alike to return to a broad
understanding of jurisdiction as justification for correctness review. The
elusive search for true questions of vires may thus both threaten
certainty for litigants and undermine legislative supremacy. While some have
advocated for the conceptual necessity of correctness review for jurisdiction,
reasonableness review is often more than sufficient to fulfil the courts’
supervisory role with regard to the jurisdiction of the executive. Absent full
submissions by the parties on this issue it will be for future litigants to
establish whether or not this category remains necessary.
The
category of questions of law that are both of central importance to the legal
system as a whole and outside the decision maker’s specialized area of expertise
does not apply here. The Court has rejected a liberal application of this category.
Regardless of the importance of the questions before the Tribunal, they were
clearly within the Tribunal’s expertise. The ability of other federal tribunals
to apply the CHRA does not rob the Tribunal of its expertise in its home
statute.
Finally,
a contextual analysis would not rebut the presumption in this case either.
Where the presumption of reasonableness applies, the contextual approach should
be applied sparingly in order to avoid uncertainty and endless litigation
concerning the standard of review analysis. Indeed, the presumption of
reasonableness was intended to prevent litigants from undertaking a full
standard of review analysis in every case. As such, the presumption of
reasonableness review and the identified categories will generally be
sufficient to determine the applicable standard. Where a contextual analysis
may be justified to rebut the presumption it need not be a long and detailed
one. Changes to “foundational
legal tests” are not clear indicators of legislative intent, and do not warrant
the application of the contextual approach or, by extension, correctness
review. Nor do the absence of a privative clause, the
fact that other administrative tribunals may consider the CHRA , the
potential for conflicting lines of authority, or the nature of the question at
issue and the purpose of the Tribunal.
The
presumption of deference is not rebutted and the reasonableness standard applies
to the review of the Tribunal’s decisions. In its application, reasonableness
review recognizes the legitimacy of multiple possible outcomes, even where they
are not the court’s preferred solution. In reasonableness review, the reviewing
court is concerned mostly with the existence of justification, transparency and
intelligibility within the decision‑making process and with determining
whether the outcome falls within a range of possible, acceptable outcomes that
are defensible in respect of the facts and law. When applied to a statutory
interpretation exercise, reasonableness review recognizes that the delegated
decision maker is better situated to understand the policy concerns and context
needed to resolve any ambiguities in the statute. Reviewing courts must also
refrain from reweighing and reassessing the evidence considered by the decision
maker.
Both
of the Tribunal’s decisions were reasonable and should be upheld. The Tribunal
provided careful and well‑considered reasons explaining why the
complaints had not established a discriminatory practice under the CHRA .
In coming to their conclusion, the adjudicators considered the complainants’
evidence and submissions, the governing jurisprudence, the purpose, nature and
scheme of the CHRA , and relevant policy considerations. The decisions
meet the Dunsmuir standard of intelligibility, transparency and
justifiability, and fall within the range of reasonable outcomes. Specifically,
the adjudicators reasonably concluded that the complaints before them were
properly characterized as direct attacks on legislation, and that legislation
in general did not fall within the meaning of “services”. Although human rights
tribunals have taken various approaches to making a distinction between
administrative services and legislation, this is a question of mixed fact and
law squarely within their expertise, and they are best situated to develop an
approach to making such distinctions.
Per
Côté and Rowe JJ.: Reasonableness is the presumptive
standard for the review of questions that involve the tribunal’s interpretation
and application of its home statute. There are, however, two situations where
the presumption will not apply. First, the jurisprudence recognizes four
categories of questions that will necessarily attract review on a standard of
correctness: constitutional questions, questions of law that are both of
central importance to the legal system and that are outside of the tribunal’s
specialized area of expertise, questions that involve the drawing of
jurisdictional lines between two or more competing specialized tribunals and
true questions of jurisdiction. Second, the presumption of reasonableness will
be rebutted if the contextual factors listed in Dunsmuir point towards
correctness as the appropriate standard. This contextual approach does not play
merely a subordinate role in the standard of review analysis. Resort to this
approach is not exceptional and the framework set out in Dunsmuir is
manifestly contextual in nature.
While
any uncertainty surrounding the jurisdictional question category ought to be
resolved another day, the Court has recognized that the concept of jurisdiction
continues to play a crucial role in administrative law and has made clear that
administrative decision makers must be correct in their determinations as to
the scope of their delegated authority. This is because jurisdictional
questions are fundamentally tied to both the maintenance of legislative
supremacy, which requires that a given statutory body operate within the sphere
in which the legislature intended that it operate, as well as the rule of law,
which requires that all exercises of delegated authority find their source in
law.
Since
the interpretation of s. 5 of the Canadian Human Rights Act is at
issue in this case, it is agreed that reasonableness presumptively applies.
However, and without deciding on whether the nature of the question at issue
falls within a category of correctness, the relevant contextual factors listed
in Dunsmuir lead to the conclusion that the presumption of reasonableness
has been rebutted in this case, such that the appropriate standard of review is
correctness. Firstly, Parliament opted not to shield the Tribunal’s decisions
from exacting review behind a privative clause. Secondly, provisions within a
given human rights statute must be interpreted consistently across courts and
tribunals tasked with its application. Applying a non‑deferential
correctness standard allows the courts to provide meaningful guidance as to the
scope of these fundamentally important human rights protections, and ensure
respect for the rule of law in such cases. Finally, the Tribunal’s decision
responds to a question of law with a constitutional dimension: Who gets to
decide what types of challenges can be brought against legislative action? Because
this question necessarily implicates the rule of law and the constitutional
duty of superior courts to uphold this fundamental principle, no deference is
owed to the Tribunal’s decision in these circumstances.
There
is no dispute that the presumption of deference is not rebutted, solely by
either the omission of a privative clause or by the potential for conflicting
lines of authority. But while neither factor may independently call for
correctness, they are each indicia that point toward correctness as the
appropriate standard.
The
wording of s. 5 of the Canadian Human Rights Act focuses on the
provision of services and the language suggests that it is geared towards
discrimination perpetrated by service providers. The complainants sought to
challenge the registration provisions of the Indian Act as making
discriminatory distinctions on the basis of race, national or ethnic origin,
sex and family status. They did not challenge the actions of the Registrar in
processing their applications. Therefore, at their core, these complaints are
about Parliament’s decision not to extend “Indian” status to persons in similar
circumstances. This was properly characterized by the Tribunal as a bare
challenge to legislation. Parliament is not a service provider and was not
providing a service when it enacted the registration provisions of the Indian
Act . Parliament can be distinguished from the administrative decision
makers that operate under legislative authority. These individuals and
statutory bodies, which include the Registrar, may be service providers, and if
they use their statutory discretion in a manner that effectively denies access
to a service or makes an adverse differentiation on the basis of a prohibited
ground, s. 5 will be engaged. But, when they are engaged simply in
applying valid legislation, the challenge is not to the provision of services,
but to the legislation itself. The Tribunal was correct in dismissing the
complaints for want of an underlying discriminatory practice.
Per Brown J.: It is agreed that the
Tribunal’s answers to the questions before it were both reasonable and correct.
However, the majority’s discussion regarding true questions of jurisdiction
omits a central point that, while not determinative, is an important
consideration which militates against its suggestion that this category of
correctness review might be euthanized. In Dunsmuir, this Court wrote
that “the rule of law is affirmed by assuring that the courts have the final
say on jurisdictional limits of a tribunal’s authority”. This presupposes not
only that the treatment of such questions is a matter of first importance, but
that such questions continue to exist. Deciding whether and how any
“euthanizing” the category of true questions of jurisdiction is to proceed will
require a measure of circumspection. Abolition of that category will
necessitate a concomitant shift towards a more flexible, rather than a strictly
binary standard of review framework. There is also concern with the extremely
narrow scope for contextual analysis that the majority states, and which would
significantly impede that necessary flexibility. Statements suggesting that
contextual review should be applied sparingly or that it plays a subordinate
role are not easily reconciled with the majority’s acknowledgement that
reviewing courts ought to examine factors that show a clear legislative intent
justifying the rebuttal of the presumption. If one is considering factors which
show legislative intent, one is undertaking a contextual analysis.
Cases Cited
By Gascon J.
Applied: Dunsmuir v. New Brunswick, 2008 SCC 9,
[2008] 1 S.C.R. 190; considered: Public Service Alliance of Canada v.
Canada Revenue Agency, 2012 FCA 7, 428 N.R. 240; Alberta (Information
and Privacy Commissioner) v. Alberta Teachers’ Association, 2011 SCC 61,
[2011] 3 S.C.R. 654; referred to: Canada (Attorney General) v.
Larkman, 2012 FCA 204, [2012] 4 C.N.L.R. 87; Matson v. Canada (Indian
and Northern Affairs), 2013 CHRT 13; Andrews v. Canada (Indian and
Northern Affairs), 2013 CHRT 21; Canada (Attorney General) v. Watkin,
2008 FCA 170, 378 N.R. 268; P.S.A.C. v. Canada (Revenue Agency), 2010
CHRT 9, [2011] 1 C.T.C. 215; Canada (Attorney General) v. Druken, [1989]
2 F.C. 24; Insurance Corp. of British Columbia v. Heerspink, [1982] 2 S.C.R.
145; Winnipeg School Division No. 1 v. Craton, [1985] 2 S.C.R. 150;
Canadian National Railway Co. v. Canada (Canadian Human Rights Commission),
[1987] 1 S.C.R. 1114; Andrews v. Law Society of British Columbia, [1989]
1 S.C.R. 143; Quebec (Commission des droits de la personne et des droits de
la jeunesse) v. Communauté urbaine de Montréal, 2004 SCC 30, [2004] 1 S.C.R.
789; Tranchemontagne v. Ontario (Director, Disability Support Program),
2006 SCC 14, [2006] 1 S.C.R. 513; Alberta v. Hutterian Brethren of Wilson
Colony, 2009 SCC 37, [2009] 2 S.C.R. 567; R. v. Oakes, [1986] 1
S.C.R. 103; Wilson v. Atomic Energy of Canada Ltd., 2016 SCC 29, [2016]
1 S.C.R. 770; Edmonton (City) v. Edmonton East (Capilano) Shopping Centres
Ltd., 2016 SCC 47, [2016] 2 S.C.R. 293; Quebec (Attorney General) v.
Guérin, 2017 SCC 42, [2017] 2 S.C.R. 3; Delta Air Lines Inc. v. Lukács,
2018 SCC 2; Mouvement laïque québécois v. Saguenay (City), 2015 SCC 16,
[2015] 2 S.C.R. 3; Tervita Corp. v. Canada (Commissioner of
Competition), 2015 SCC 3, [2015] 1 S.C.R. 161; McLean v. British
Columbia (Securities Commission), 2013 SCC 67, [2013] 3 S.C.R. 895; Rogers
Communications Inc. v. Society of Composers, Authors and Music Publishers of
Canada, 2012 SCC 35, [2012] 2 S.C.R. 283; Canada (Canadian Human Rights
Commission) v. Canada (Attorney General), 2011 SCC 53, [2011] 3 S.C.R. 471;
Saskatchewan (Human Rights Commission) v. Whatcott, 2013 SCC 11, [2013]
1 S.C.R. 467; Stewart v. Elk Valley Coal Corp., 2017 SCC 30, [2017] 1 S.C.R.
591; Canadian Union of Public Employees, Local 963 v. New Brunswick Liquor
Corp., [1979] 2 S.C.R. 227; Halifax (Regional Municipality) v. Nova
Scotia (Human Rights Commission), 2012 SCC 10, [2012] 1 S.C.R. 364; Canadian
Broadcasting Corp. v. SODRAC 2003 Inc., 2015 SCC 57, [2015] 3 S.C.R. 615; Nolan
v. Kerry (Canada) Inc., 2009 SCC 39, [2009] 2 S.C.R. 678; Smith v.
Alliance Pipeline Ltd., 2011 SCC 7, [2011] 1 S.C.R. 160; City of
Arlington, Texas v. Federal Communications Commission, 133 S. Ct. 1863
(2013); ATCO Gas and Pipelines Ltd. v. Alberta (Utilities Commission),
2015 SCC 45, [2015] 3 S.C.R. 219; Canadian National Railway Co. v. Canada
(Attorney General), 2014 SCC 40, [2014] 2 S.C.R. 135; Crevier v. Attorney
General of Quebec, [1981] 2 S.C.R. 220; Alberta (Information and Privacy
Commissioner) v. University of Calgary, 2016 SCC 53, [2016] 2 S.C.R. 555; Nor‑Man
Regional Health Authority Inc. v. Manitoba Association of Health Care
Professionals, 2011 SCC 59, [2011] 3 S.C.R. 616; Kanthasamy v. Canada
(Citizenship and Immigration), 2015 SCC 61, [2015] 3 S.C.R. 909; Commission
scolaire de Laval v. Syndicat de l’enseignement de la région de Laval, 2016
SCC 8, [2016] 1 S.C.R. 29; Barreau du Québec v. Quebec (Attorney General),
2017 SCC 56, [2017] 2 S.C.R. 488; Canada (Citizenship and Immigration) v.
Khosa, 2009 SCC 12, [2009] 1 S.C.R. 339; Domtar Inc. v. Quebec
(Commission d’appel en matière de lésions professionnelles), [1993] 2
S.C.R. 756; Newfoundland and Labrador Nurses’ Union v. Newfoundland and
Labrador (Treasury Board), 2011 SCC 62, [2011] 3 S.C.R. 708; Beattie v. Canada
(Aboriginal Affairs and Northern Development), 2014 CHRT 1; Canada
(Attorney General) v. Davis, 2013 FC 40, 425 F.T.R. 200; Canada (Canadian
Human Rights Commission) v. Canada (Attorney General), 2012 FC 445, [2013]
4 F.C.R. 545; Gould v. Yukon Order of Pioneers, [1996] 1 S.C.R. 571; Descheneaux
v. Canada (Attorney General), 2015 QCCS 3555, [2016] 2 C.N.L.R. 175; McIvor
v. Canada (Indian and Northern Affairs, Registrar), 2009 BCCA 153, 306 D.L.R.
(4th) 193.
By Côté and Rowe JJ.
Applied: Dunsmuir v. New Brunswick, 2008 SCC 9,
[2008] 1 S.C.R. 190; referred to: Andrews v. Canada (Indian and
Northern Affairs), 2013 CHRT 21; Matson v. Canada (Indian and Northern
Affairs), 2013 CHRT 13; Alberta (Information and Privacy Commissioner)
v. Alberta Teachers’ Association, 2011 SCC 61, [2011] 3 S.C.R. 654; Canada
(Canadian Human Rights Commission) v. Canada (Attorney General), 2011 SCC
53, [2011] 3 S.C.R. 471; Crevier v. Attorney General of Quebec, [1981] 2
S.C.R. 220; United Taxi Drivers’ Fellowship of Southern Alberta v. Calgary
(City), 2004 SCC 19, [2004] 1 S.C.R. 485; Canada (Citizenship and
Immigration) v. Khosa, 2009 SCC 12, [2009] 1 S.C.R. 339; Nolan v. Kerry
(Canada) Inc., 2009 SCC 39, [2009] 2 S.C.R. 678; Nor‑Man Regional
Health Authority Inc. v. Manitoba Association of Health Care Professionals,
2011 SCC 59, [2011] 3 S.C.R. 616; Rogers Communications Inc. v. Society of
Composers, Authors and Music Publishers of Canada, 2012 SCC 35, [2012] 2
S.C.R. 283; Barreau du Québec v. Quebec (Attorney General), 2017 SCC 56,
[2017] 2 S.C.R. 488; Canada (Attorney General) v. Watkin, 2008 FCA 170,
378 N.R. 268; Canada (Attorney General) v. Johnstone, 2014 FCA 110,
[2015] 2 F.C.R. 595; Canadian National Railway v. Seeley, 2014 FCA 111,
458 N.R. 349; University of British Columbia v. Berg, [1993] 2 S.C.R.
353; Gould v. Yukon Order of Pioneers, [1996] 1 S.C.R. 571; New
Brunswick (Human Rights Commission) v. Potash Corporation of Saskatchewan Inc.,
2008 SCC 45, [2008] 2 S.C.R. 604; Tranchemontagne v. Ontario (Director,
Disability Support Program), 2006 SCC 14, [2006] 1 S.C.R. 513; Canada
Employment Insurance Commission v. M. W., 2014 SSTAD 371; Garneau
Community League v. Edmonton (City), 2017 ABCA 374, 60 Alta. L.R. (6th) 1; Druken
v. Canada (Employment and Immigration Commission), 1987 CanLII 99; Canada
(Attorney General) v. Druken, [1989] 2 F.C. 24; Gonzalez v. Canada
(Employment and Immigration Commission), [1997] 3 F.C. 646; McAllister‑Windsor
v. Canada (Human Resources Development), 2001 CanLII 20691; Public
Service Alliance of Canada v. Canada Revenue Agency, 2012 FCA 7, 428 N.R.
240; Forward v. Canada (Citizenship and Immigration), 2008 CHRT 5; Canada
(Human Rights Commission) v. M.N.R., 2003 FC 1280, [2004] 1 F.C.R. 679; Canada
(Attorney General) v. McKenna, [1999] 1 F.C. 401; Dr. Q v. College of
Physicians and Surgeons of British Columbia, 2003 SCC 19, [2003] 1 S.C.R. 226.
By Brown J.
Referred
to: Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190; West Fraser Mills Ltd. v. British
Columbia (Workers’ Compensation Appeal Tribunal), 2018 SCC 22; Canadian
Copyright Licensing Agency (Access Copyright) v. Canada, 2018
FCA 58.
Statutes and Regulations Cited
Act to amend the Indian Act, R.S.C.
1985, c. 32 (1st Supp.).
Act to amend the Indian Act (death rules), R.S.C. 1985, c. 43 (4th Supp.).
Act to amend the Indian Act in response to the Superior Court of
Quebec decision in Descheneaux c. Canada (Procureur général), S.C. 2017, c. 25 .
Act to encourage the gradual Civilization of the Indian Tribes in
this Province, and to amend the Laws respecting Indians, S. Prov. C. 1857, 20 Vict., c. 26, preamble.
Canadian Charter of Rights and Freedoms,
s. 15 .
Canadian Human Rights Act, R.S.C. 1985, c. H‑6,
ss. 2 , 4 , 5 , 5 to 14.1 , 39 , 40 , 49 , 50(2) , 62(1) , 67 [rep. 2008, c. 30,
s. 1].
Constitution Act, 1867, s. 96 .
Gender Equity in Indian Registration Act,
S.C. 2010, c. 18 .
Human Rights Code, R.S.O. 1990, c. H.19,
s. 1.
Indian Act, R.S.C. 1985, c. I‑5,
s. 6 .
Authors Cited
Bastarache, Michel. Dunsmuir 10 Years Later, March 9,
2018 (online: http://www.administrativelawmatters.com/blog/2018/03/09/dunsmuir-10-years-later-hon-michel-bastarache-cc-qc/;
archived version: https://www.scc-csc.ca/cso-dce/2018SCC-CSC31_1_eng.pdf).
Canada. Royal Commission on Aboriginal Peoples. Report of the
Royal Commission on Aboriginal Peoples, vol. 4, Perspectives and
Realities. Ottawa, 1996.
Daly, Paul. The hopeless search for “true” questions of
jurisdiction, August 15, 2013 (online:
http://www.administrativelawmatters.com/blog/2013/08/15/the-hopeless-search-for-true-questions-of-jurisdiction/;
archived version: https://www.scc-csc.ca/cso-dce/2018SCC-CSC31_2_eng.pdf).
Mummé, Claire. “At the Crossroads in Discrimination Law: How the
Human Rights Codes Overtook the Charter in Canadian Government Services
Cases” (2012), 9 J.L. & Equality 103.
APPEAL
from a judgment of the Federal Court of Appeal (Pelletier, de Montigny and
Gleason JJ.A.), 2016 FCA 200, [2017] 2 F.C.R. 211, 487 N.R. 137, [2016] 4
C.N.L.R. 1, 363 C.R.R. (2d) 130, 8 Admin. L.R. (6th) 1, 402 D.L.R. (4th) 160,
[2016] F.C.J. No. 818 (QL), 2016 CarswellNat 3213 (WL Can.), affirming a
decision of McVeigh J., 2015 FC 398, [2015] 3 C.N.L.R. 1, 7 Admin. L.R. (6th)
75, 477 F.T.R. 229, [2015] F.C.J. No. 400 (QL), 2015 CarswellNat 893 (WL
Can.). Appeal dismissed.
Brian Smith and Fiona Keith, for the appellant.
Christine Mohr and Catherine A. Lawrence, for the respondent.
Amélie Pelletier‑Desrosiers, for the intervener the
Attorney General of Quebec.
Stephen J. Moreau and Nadia Lambek, for the intervener Tania
Zulkoskey.
Marie Chen and Niiti Simmonds, for the interveners the Income
Security Advocacy Centre, the Sudbury Community Legal Clinic, the Chinese and
Southeast Asian Legal Clinic, the Community Legal Assistance Society and the
HIV & AIDS Legal Clinic Ontario.
Kumail Karimjee and Nabila F. Qureshi, for the intervener the Canadian
Muslim Lawyers Association.
Kerri Joffe and Dianne Wintermute, for the intervener the Council
of Canadians with Disabilities.
Mary Eberts, Kim Stanton and K. R. Virginia Lomax, for the interveners the Women’s
Legal Education and Action Fund and the Native Women’s Association of Canada.
Stephen Aylward, for the intervener Amnesty
International.
David P. Taylor and Anne Levesque, for
the intervener the First Nations Child and Family Caring Society of Canada.
Jeremy E. Matson, on his
own behalf.
Faisal Mirza and Tamara Thomas, for the intervener the African
Canadian Legal Clinic.
Emily Hill and Emilie Lahaie, for the intervener the
Aboriginal Legal Services.
Andrew Astritis, Andrew Raven and Morgan
Rowe, for
the intervener the Public Service Alliance of Canada.
The judgment of McLachlin C.J. and Abella,
Moldaver, Karakatsanis, Wagner and Gascon JJ. was delivered by
Gascon J. —
I.
Overview
[1]
This appeal concerns several complaints under
the Canadian Human Rights Act, R.S.C. 1985, c. H-6 (“CHRA ”),
that were dismissed by the Canadian Human Rights Tribunal (“Tribunal”) in two
decisions. The complaints alleged that the legislative entitlements to
registration under the Indian Act, R.S.C. 1985, c. I-5 , were
discriminatory practices prohibited by the CHRA . At issue before this
Court is, first, whether deference is owed to a human rights tribunal
interpreting its home statute and, second, whether the Tribunal’s decisions
dismissing the complaints as direct attacks on legislation were reasonable.
[2]
All of the complaints arise from the lingering
effects of “enfranchisement”, a discriminatory and damaging policy previously
enshrined in the Indian Act . Enfranchisement stripped individuals of
their Indian Act status and prevented their children from registering as
status “Indians”. Parliament has put an end to enfranchisement and enacted
remedial registration provisions. The complainants challenge the sufficiency of
these remedial measures, claiming that they and their children continue to
suffer discrimination as a legacy of enfranchisement.
[3]
The complaints were heard by the Tribunal
separately. In both decisions, the Tribunal determined that the complaints were
a direct attack on the Indian Act . In order to establish a
discriminatory practice to which the Tribunal could respond, the complainants
needed to demonstrate that the legislative provisions fell within the statutory
meaning of a service. After a thorough and thoughtful review of their enabling
statute, the jurisprudence and policy considerations, the adjudicators in both
decisions concluded that legislation was not a service under the CHRA
and dismissed the complaints. On judicial review, both the Federal Court and
the Federal Court of Appeal found that the Tribunal decisions were reasonable
and should be upheld. I agree, and I would dismiss the appeal.
II.
Background
A.
Indian Act Registration
[4]
Since its enactment in 1876, the Indian Act
has governed the recognition of an individual’s status as an “Indian”. In its
current form, the Indian Act creates a registration system under which
individuals qualify for status on the basis of an exhaustive list of
eligibility criteria. The Indian Act ’s registration entitlements do not
necessarily correspond to the customs of Indigenous communities for determining
their own membership or reflect an individual’s Aboriginal identity or
heritage. However, it is incontrovertible that status confers both tangible and
intangible benefits.
[5]
The complaints underlying this appeal are rooted
in a history of deeply harmful and discriminatory aspects of the Indian Act that
were largely removed in 1985 and 2011 reforms (An Act to amend the Indian
Act, R.S.C. 1985, c. 32 (1st Supp.), An Act to amend the Indian Act
(death rules), R.S.C. 1985, c. 43 (4th Supp.), and Gender Equity in
Indian Registration Act, S.C. 2010, c. 18 ). Prior to these reforms,
individuals could be “enfranchised”, a euphemism for various legislative
processes that would strip them of their Indian Act status. In one form
of enfranchisement, the government incentivized individuals to renounce their
status by offering such basic rights as citizenship, the right to vote, and the
right to hold land in fee simple (Canada (Attorney General) v. Larkman,
2012 FCA 204, [2012] 4 C.N.L.R. 87, at para. 12). In another form, a status
woman who married a non-status man would be involuntarily “enfranchised” along
with any of her children (Report of the Royal Commission on Aboriginal
Peoples, vol. 4, Perspectives and Realities (1996), at p. 25). This
policy reflected a discriminatory view of women as subservient to their
husbands and entrenched a system of patrilineal descent unfamiliar to many
Indigenous communities (Report, at p. 25). Parliament’s stated intention
for enfranchisement was to gradually reduce the number of status “Indians”
(see, e.g., An Act to encourage the gradual Civilization of the Indian
Tribes in this Province, and to amend the Laws respecting Indians, S. Prov.
C. 1857, 20 Vict., c. 26, preamble). At its root, enfranchisement was a
discriminatory policy aimed at eradicating Aboriginal culture and assimilating
Aboriginal peoples (Larkman, at para. 11).
[6]
In 1985, Parliament enacted new legislation that
eliminated enfranchisement as a practice and created registration provisions
entitling those who had lost their status to register (An Act to amend the
Indian Act ). In 2011, further reforms granted registration eligibility to
the children of women who had lost status for marrying a non-status man (Gender
Equity in Indian Registration Act ). During the course of these proceedings,
new amendments to the Indian Act have come into force that may impact
the Matson siblings’ status eligibility (An Act to amend the Indian Act in
response to the Superior Court of Quebec decision in Descheneaux c. Canada
(Procureur général), S.C. 2017, c. 25). The issue of mootness was not,
however, fully argued by the parties and it is not necessary to consider it for
the disposition of this appeal. I will therefore not comment further on the
impact, if any, of the new entitlement provisions.
[7]
Underlying all of the complaints are the Indian
Act ’s rules for the transmission of status eligibility. Under the
current Indian Act , individuals may qualify for one of two forms of
status. Section 6(1) status is conferred on individuals who qualify under an
exhaustive list of eligibility criteria. Section 6(2) status is conferred on
individuals who are ineligible under s. 6(1) but who have a single parent
entitled to s. 6(1) registration. The two forms of status differ mainly in the
ability to transmit eligibility to one’s children: a child who has only one
parent with s. 6(1) status will be eligible for s. 6(2) status, while a child
who has only one parent with s. 6(2) status will not be eligible for status.
B.
The Complaints in
Matson v. Canada (Indian and Northern Affairs), 2013 CHRT 13
[8]
The complaints in Matson involve three
siblings who allege that sex-based discrimination led to their ineligibility
for s. 6(1) status, and their children’s ineligibility for s. 6(2) status.
Their grandmother lost her status under the Indian Act when she married
a non-status man. Following the 1985 amendments, their grandmother was able to
regain her status under s. 6(1) (c). The 2011 amendments then allowed their
father to obtain status under s. 6(1) (c.1) and the siblings to obtain status
under s. 6(2) . Their children are, however, ineligible for status. If the
siblings’ status grandparent had been male, they would have been eligible for
s. 6(1) (a) registration and their children would have been entitled to s. 6(2)
registration.
C.
The Complaints in
Andrews v. Canada (Indian and Northern Affairs), 2013 CHRT 21
[9]
The Andrews’ complaints concern the impact of
the enfranchisement provisions and the scope of subsequent remedial
legislation. Mr. Andrews’ father lost his status through an enfranchisement
order. Consequently, his first wife and their daughter also lost their status.
Mr. Andrews was born after the enfranchisement order was issued and his mother
was a non-status woman unaffected by the order. Following the 1985 legislation,
Mr. Andrews’ father and his half-sister became eligible for s. 6(1)(d) status.
However, as Mr. Andrews’ mother was never eligible for status, Mr. Andrews is
eligible only for s. 6(2) status and his daughter is ineligible for status. If
Mr. Andrews had been born before the enfranchisement order, or if no order had
been made, he would qualify for s. 6(1) status and his daughter would be
eligible for s. 6(2) status. Mr. Andrews’ complaints allege that this result
constitutes prohibited discrimination on the grounds of race, national or
ethnic origin and family status.
D.
Canadian Human Rights Act
[10]
Under the CHRA , individuals can
file a complaint regarding an enumerated discriminatory practice, and anyone
found to have engaged in such a practice may be made subject to an order by the
Tribunal (CHRA, s. 4 ). The complaints allege that Indian and Northern
Affairs Canada (“INAC”) engaged in a discriminatory practice in the provision
of services contrary to s. 5 of the CHRA when it denied a form of
registration that would permit the complainants to pass on entitlements to
their children. Section 5 reads as follows:
5 It is a discriminatory practice in the provision of goods,
services, facilities or accommodation customarily available to the general
public
(a) to deny, or to deny access to, any
such good, service, facility or accommodation to any individual, or
(b) to differentiate adversely in
relation to any individual,
on a
prohibited ground of discrimination.
|
III.
Decisions Below
A.
Canadian Human Rights Tribunal Decisions
(1)
The Matson Decision
[11]
In response to the request of the Canadian Human
Rights Commission (“Commission”), the Tribunal launched an inquiry into the
Matson siblings’ complaints pursuant to s. 49 of the CHRA . In its
decision, the Tribunal addressed three issues: (1) whether the complaints
involved a direct challenge to the Indian Act ; (2) whether the Tribunal
was bound by the Federal Court of Appeal’s decision in Public Service
Alliance of Canada v. Canada Revenue Agency, 2012 FCA 7, 428 N.R. 240 (“Murphy”);
and (3) whether the complaints, properly characterized, concerned a
discriminatory practice.
[12]
In the Tribunal decision, the adjudicator,
Member Lustig, began the task of characterizing the complaints by referring,
first, to the test for determining what constituted a service stated in Canada
(Attorney General) v. Watkin, 2008 FCA 170, 378 N.R. 268,
and, second, to the holding in Murphy that the CHRA did not
permit complaints that directly targeted legislation. The adjudicator reviewed
the Matson siblings’ submissions and concluded that their complaints, in
substance, challenged the eligibility criteria under s. 6 of the Indian Act .
It was noted that INAC did not have any involvement in determining the
eligibility criteria under s. 6 of the Indian Act , nor did it have any
discretion in applying the criteria. While the act of processing applications
and registering individuals could be characterized as a service customarily
held out to the public, the underlying statutory entitlement to registration
was not a service held out by INAC to the public. Rather, it was a benefit
offered by an Act of Parliament.
[13]
The adjudicator considered whether he was bound by
the Federal Court of Appeal decision in Murphy, which held that the
Tribunal was unable to consider direct challenges to legislation. In Murphy,
the complainant had received a settlement payment for wage discrimination that
had occurred over a number of years. Under the Income Tax Act, R.S.C.
1985, c. 1 (5th Supp .), the settlement was deemed to be employment income
accrued in the year the payment was made. The Canada Revenue Agency did not
apply the qualifying retroactive lump-sum payment analysis, which would have
spread the income over previous tax years. This was because the compound
interest on the notional tax the complainant would have owed outweighed the
benefits of being taxed at a lower rate. The complainant challenged the
assessment as a discriminatory practice under the CHRA . The Tribunal
dismissed the complaint on the basis that it targeted the statutory provisions
establishing the impugned assessment calculations (2010 CHRT 9, [2011] 1 C.T.C.
215). Writing for the Federal Court of Appeal, Noël J.A. (as he then was)
upheld the Tribunal’s decision. Despite applying a reasonableness standard,
Noël J.A. endorsed as “correct” the view that the CHRA did not permit
direct challenges to legislation (para. 6). He distinguished the prior Federal
Court of Appeal decision in Canada (Attorney General) v. Druken, [1989]
2 F.C. 24, which had endorsed a direct attack on legislation, on the
basis that the Attorney General in that case had conceded that s. 5 of the CHRA
applied to the impugned provisions of the Unemployment Insurance Act,
1971, S.C. 1970-71-72, c. 48 (Murphy, at para. 7).
[14]
The adjudicator rejected arguments that Murphy
was superseded by binding authority from this Court in Insurance Corp. of
British Columbia v. Heerspink, [1982] 2 S.C.R. 145, Winnipeg School
Division No. 1 v. Craton, [1985] 2 S.C.R. 150, Canadian National Railway
Co. v. Canada (Canadian Human Rights Commission), [1987] 1 S.C.R. 1114 (“Action
Travail des Femmes”), Andrews v. Law Society of British Columbia,
[1989] 1 S.C.R. 143, Quebec (Commission des droits de la personne et des
droits de la jeunesse) v. Communauté urbaine de Montréal, 2004 SCC 30,
[2004] 1 S.C.R. 789 (“Larocque”), and Tranchemontagne v. Ontario
(Director, Disability Support Program), 2006 SCC 14, [2006] 1 S.C.R. 513.
After careful consideration of this authority, the adjudicator concluded that,
while this Court had recognized the primacy of human rights legislation and the
power of human rights tribunals to render conflicting legislation inoperative,
none of these decisions stood for the premise that an order could be issued
without first impugning a discriminatory practice.
[15]
The adjudicator also considered whether there
was conflicting Federal Court jurisprudence or analogous provincial human
rights jurisprudence that supported the proposition that the Tribunal could
consider direct challenges to legislation, and he came to the same result. He
recognized that in some circumstances a human rights complaint could challenge
the conduct of an administrator carrying out mandatory aspects of a statutory
provision, but he held that the complaint still needed to identify a
discriminatory practice that engaged the Tribunal’s remedial authority.
[16]
The adjudicator rejected arguments that ss. 2 ,
49(5) and 62(1) of the CHRA supported an expansive interpretation of the
term “services” to encompass legislative provisions. Instead, in keeping with
the jurisprudence, these provisions pointed to the Tribunal’s remedial power to
render conflicting legislation inoperative, but they did not indicate that
legislation itself constituted a service under the CHRA . He similarly
rejected the argument that s. 67 of the CHRA had been enacted primarily
to shield the Indian Act registration provisions, and he held that s. 67
had the broader purpose of insulating actions and decisions made pursuant to
the Indian Act .
[17]
The adjudicator thus concluded that, absent a
discriminatory practice enumerated under the CHRA , the complainants
could not challenge the provisions of the Indian Act . The adjudicator
stated that an application under s. 15 of the Canadian Charter of Rights and
Freedoms would be more appropriate, citing Alberta v. Hutterian Brethren
of Wilson Colony, 2009 SCC 37, [2009] 2 S.C.R. 567, in support of the
position that the Charter framework was a better analytical fit for
challenges to legislation than the bona fide justification analysis
under the CHRA . He then dismissed the complaints.
(2)
The Andrews Decision
[18]
The Tribunal also commenced an inquiry into the Andrews
complaints at the request of the Commission. The adjudicator, Member
Marchildon, started her analysis from the proposition that the historical
enfranchisement provisions were contrary to human rights values. However, the
adjudicator then identified the determinative issues in Andrews as being
whether the complaints involved the discriminatory provision of services and,
if not, whether the CHRA allowed for complaints that were solely a
challenge to legislation.
[19]
As in Matson, the adjudicator considered
the jurisprudence on what constituted a service along with the complainant’s
submissions and concluded that she was faced with a direct attack on s. 6 of
the Indian Act . The adjudicator recognized that, while status
registration may be a service, the underlying entitlement provisions were the
product of Parliament’s sui generis legislative power, which could not
be construed as a service under s. 5 of the CHRA . The adjudicator
adopted the Matson finding that Murphy had not been superseded by
decisions of this Court and rejected the submission that other authority
submitted to her by the Commission amounted to a conflicting line of authority.
She further stated that the justification framework set out in R. v. Oakes,
[1986] 1 S.C.R. 103, was the more appropriate approach for determining whether
rules of general application should be upheld.
B.
Federal Court (2015
FC 398, 477 F.T.R. 229)
[20]
The Federal Court dismissed the Commission’s
application for judicial review of the Matson and Andrews
decisions.
[21]
McVeigh J. held that the Tribunal had reasonably
relied on Murphy to exclude legislation from the definition of a
service. She rejected the Commission’s argument that Murphy was not
binding and had been wrongly decided. The Tribunal was, in her view, obliged to
follow the vertical convention of precedent. Regardless, she did not view Murphy
as wrongly decided and thus there was no reason for the Tribunal to depart from
it. Further, McVeigh J. found that the Tribunal had reasonably concluded that,
while it had the power to render conflicting legislation inoperable, it did not
have the power to grant a remedy unless a discriminatory practice was
established under the CHRA . Lastly, after reviewing the legislative
history behind s. 67 of the CHRA , McVeigh J. concluded that the Tribunal
had reasonably held that this was insufficient to ground an expansive
interpretation of the registration provisions as constituting a service.
C.
Federal Court of Appeal (2016 FCA 200, [2017] 2 F.C.R. 211)
[22]
A unanimous Federal Court of Appeal dismissed
the Commission’s appeal from the Federal Court’s decision.
[23]
Writing for the Federal Court of Appeal, Gleason
J.A. first considered the application of the standard of review to human rights
tribunal decisions following Dunsmuir v. New Brunswick, 2008 SCC 9,
[2008] 1 S.C.R. 190. She held that the reasonableness standard presumptively
applied to a tribunal’s interpretation of its home statute except where a
recognized exception applied or where certain contextual factors indicated that
correctness should apply.
[24]
While recognizing that the correctness standard
had on occasion been applied to the review of human rights tribunal decisions,
Gleason J.A. found that the applicable standard of review could be determined
by applying general principles of administrative law. The interpretation of
human rights legislation did not rise to the standard of a constitutional
question warranting correctness review. While the questions determined by human
rights tribunals could be of such broad import as to be of central importance
to the legal system as a whole, they generally did not fall outside the
Tribunal’s expertise. Gleason J.A. considered the possibility that the
correctness standard could be applied where other tribunals had jurisdiction to
interpret the same provisions of the CHRA , but no such overlap
existed in the present case. Therefore, the reasonableness standard applied to
the Tribunal’s interpretation of s. 5 , as well as its interpretation of the
facts of the Matson and Andrews decisions.
[25]
Gleason J.A. went on to find that the results
reached by the Tribunal, and the reasons given, were reasonable. She accepted
the Tribunal’s characterization of the complaints as challenges to the act of
legislating, agreed that legislatures do not provide “services” when passing laws,
and confirmed that the principle of the primacy of human rights law applied
only where conflicts between the CHRA and other legislation arose in
cases addressing a discriminatory practice. Gleason J.A. also held that the
Tribunal’s inability to grant an effective remedy supported the conclusion that
s. 5 was not engaged. She considered the Tribunal’s approach to have an
unassailable policy rationale, finding that there was no reason why the
Tribunal should be an alternate forum for adjudicating issues regarding the
alleged discriminatory nature of legislation when a Charter application
was a more appropriate vehicle. Finally, on the issue of access to justice,
Gleason J.A. disagreed with the Commission’s view that the Tribunal was a more
accessible forum than the courts.
[26]
For all of the foregoing reasons, Gleason J.A.
concluded that there was no basis upon which to declare that Murphy was
no longer good law or that the Tribunal’s decisions were otherwise
unreasonable.
IV.
Analysis
A.
Applicable Standard of Review
[27]
This Court has for years attempted to simplify
the standard of review analysis in order to “get the parties away from arguing
about the tests and back to arguing about the substantive merits of their case”
(Alberta (Information and Privacy Commissioner) v. Alberta Teachers’
Association, 2011 SCC 61, [2011] 3 S.C.R. 654, at para. 36, citing Dunsmuir,
at para. 145, per Binnie J.). To this end, there is a well-established
presumption that, where an administrative body interprets its home statute, the
reasonableness standard applies (Dunsmuir, at para. 54; Alberta
Teachers, at para. 39; Wilson v. Atomic Energy of Canada Ltd., 2016
SCC 29, [2016] 1 S.C.R. 770, at para. 15; Edmonton (City) v. Edmonton East
(Capilano) Shopping Centres Ltd., 2016 SCC 47, [2016] 2 S.C.R. 293, at
para. 22; Quebec (Attorney General) v. Guérin, 2017 SCC 42, [2017] 2
S.C.R. 3, at paras. 33-34; Delta Air Lines Inc. v.
Lukács, 2018 SCC 2, at para. 8).
[28]
The presumption may be rebutted and the
correctness standard applied where one of the following categories can be
established: (1) issues relating to the constitutional division of powers; (2)
true questions of vires; (3) issues of competing jurisdiction
between tribunals; and (4) questions that are of central importance to the
legal system and outside the expertise of the decision maker (Capilano,
at para. 24; Dunsmuir, at paras. 58-61). Exceptionally, the presumption
may also be rebutted where a contextual inquiry shows a clear legislative
intent that the correctness standard be applied (Capilano, at para. 34; Mouvement laïque québécois v. Saguenay (City), 2015 SCC
16, [2015] 2 S.C.R. 3, at para. 46; Tervita Corp. v.
Canada (Commissioner of Competition), 2015 SCC 3, [2015] 1 S.C.R. 161, at
paras. 35-36 and 38-39; McLean v. British Columbia (Securities
Commission), 2013 SCC 67, [2013] 3 S.C.R. 895, at para. 22; Rogers
Communications Inc. v. Society of Composers, Authors and Music Publishers of
Canada, 2012 SCC 35, [2012] 2 S.C.R. 283, at para. 15).
[29]
In applying the standard of review analysis,
there is no principled difference between a human rights tribunal and any other
decision maker interpreting its home statute (Canada (Canadian Human Rights
Commission) v. Canada (Attorney General), 2011 SCC 53, [2011] 3 S.C.R. 471
(“Mowat”), at paras. 22-24; Saskatchewan (Human Rights Commission) v.
Whatcott, 2013 SCC 11, [2013] 1 S.C.R. 467, at paras. 167-168; Saguenay,
at para. 50; Stewart v. Elk Valley Coal Corp., 2017 SCC 30, [2017] 1
S.C.R. 591, at para. 22). Human rights tribunals are equally entitled to
deference where they apply their home statute.
[30]
In both of its decisions, the Tribunal was
called upon to characterize the complaints before it and ascertain whether a
discriminatory practice had been made out under the CHRA . This falls
squarely within the presumption of deference. Still, the Commission has
submitted that the presumption can be rebutted on the basis that the Tribunal’s
decisions raise a question of central importance outside its expertise or on
the basis that a contextual analysis shows deference is unwarranted. While not
urged by the Commission, continued uncertainty as to the applicability of the
category of true questions of vires necessitates also addressing it
briefly.
(1)
True Questions of Jurisdiction
[31]
True questions of vires have been
described as a narrow and exceptional category of correctness review (Alberta
Teachers, at para. 39), confined to instances where the decision maker must
determine whether it has the authority to enter into the inquiry before it (Dunsmuir,
at para. 59; Guérin, at para. 32). In this sense, “true” questions of
jurisdiction involve a far narrower meaning of “jurisdiction” than the one
ordinarily employed. This narrow sense of jurisdiction was emphasized by
Dickson J. (as he then was) in Canadian Union of Public Employees, Local 963
v. New Brunswick Liquor Corp., [1979] 2 S.C.R. 227 (“CUPE”), where
he warned that courts “should not be alert to brand as jurisdictional, and
therefore subject to broader curial review, that which may be doubtfully so”
(p. 233). This Court reaffirmed the narrow approach to jurisdiction in Dunsmuir
when it explicitly rejected a return to the jurisdiction/preliminary
question doctrine that had “plagued the jurisprudence” (para. 59; see also Halifax
(Regional Municipality) v. Nova Scotia (Human Rights Commission), 2012 SCC
10, [2012] 1 S.C.R. 364, at para. 34). A departure from this constrained
understanding of jurisdiction would only risk resurrecting long-buried debates.
[32]
Neither the Commission nor any lower court has
suggested that this case involves the enigmatic category of true questions of vires.
But the issue on appeal has, at times, been characterized by the parties and
the courts below as being whether the Tribunal has the “jurisdiction” to
consider direct attacks to legislation or whether the courts are the better
forum to ascertain the validity of legislation. However, distilled to its
essentials, the question before the Tribunal was whether legislative
entitlements under the Indian Act fell within the definition of a
service under the CHRA . As such, the Tribunal was determining whether
the complaints concerned a discriminatory practice as defined by the CHRA .
[33]
There is no question that the Tribunal had the
authority to hear a complaint about a discriminatory practice. To that end, the
question of what falls within the meaning of “services” is no more exceptional
than those found in other cases where a majority of this Court has repeatedly
declined to recognize a true question of jurisdiction (Guérin, at paras.
33-36; Capilano, at para. 26; Alberta Teachers, at para. 33; CUPE,
at pp. 233-34; Canadian Broadcasting Corp. v. SODRAC 2003 Inc., 2015 SCC
57, [2015] 3 S.C.R. 615, at para. 39; Nolan v. Kerry (Canada) Inc., 2009
SCC 39, [2009] 2 S.C.R. 678, at para. 35; Smith v. Alliance Pipeline Ltd.,
2011 SCC 7, [2011] 1 S.C.R. 160, at para. 36; Mowat, at paras. 24-25).
To find that the Tribunal was faced with a true question of vires would
only risk disinterring the jurisdiction/preliminary question doctrine that was clearly
put to rest in Dunsmuir. Plainly, the definition of a service under the CHRA
is not a true question of vires.
[34]
That being said, the persistent uncertainty over
this category’s scope requires further comments. Since its inclusion as a
category of correctness review in Dunsmuir, the concept of true
questions of vires has been as elusive as it has been controversial. In Alberta
Teachers, a majority of this Court considered eliminating vires
review, remarking that it served little purpose but “has caused confusion
to counsel and judges alike” (para. 38; see also paras. 34-42). The majority
stressed that it was “unable to provide a definition of . . . a true question
of jurisdiction” (para. 42).
[35]
I pause here to note that it is indeed a
challenge to identify a true question of jurisdiction in a coherent manner
without returning to the jurisdiction/preliminary question doctrine that this
Court clearly rejected in both CUPE (p. 233) and Dunsmuir (para.
35). In the view of some, most questions that might be identified as
“jurisdictional” involve nothing more than an interpretation of a decision
maker’s home statute or a closely related statute (P. Daly, The hopeless
search for “true” questions of jurisdiction (August 15, 2013) (online)). In
McLean, Moldaver J. observed that the U.S. Supreme Court has rejected
the distinction between jurisdictional and non-jurisdictional interpretations
of a home statute as a “mirage” (note 3, citing City of Arlington, Texas v.
Federal Communications Commission, 133 S. Ct. 1863 (2013), at p. 1868).
[36]
Nonetheless, in Alberta Teachers, the
majority stayed its hand and instead emphasized that, if they exist, “[t]rue
questions of jurisdiction are narrow and will be exceptional” (para. 39). It
was left to future litigants to overcome the heavy burden of establishing that
they have indeed discovered a true question of vires (para. 42). Yet, to
date, no litigant has met this challenge before us.
[37]
Since Alberta Teachers, the search for
true questions of vires has, in fact, been fruitless. When the existence
of such a question has been argued by litigants, this Court has reasserted the
narrow and exceptional nature of this category (Guérin, at para. 32; Capilano,
at para. 26; SODRAC, at para. 39; ATCO Gas and Pipelines Ltd. v.
Alberta (Utilities Commission), 2015 SCC 45, [2015] 3 S.C.R. 219, at para.
27; Canadian National Railway Co. v. Canada (Attorney General), 2014 SCC
40, [2014] 2 S.C.R. 135, at para. 61). In 2013, an academic commentator
characterized the search for a true question of jurisdiction as “hopeless”,
noting that this Court had yet to identify one five years after Dunsmuir (Daly).
It is now 10 years from Dunsmuir and the search remains just as
hopeless. In applying Dunsmuir, our Court has been unable to identify a
single instance where this category was found to be applicable.
[38]
No more would need to be said on this matter if
true questions of vires had simply faded into obscurity. However, that
has not happened. The difficulty with true questions of vires is that
jurisdiction is a slippery concept. Where decision makers interpret and apply
their home statutes, they inevitably determine the scope of their statutory
power (Alberta Teachers, at para. 34). There are no clear markers
to distinguish between simple questions of jurisdiction (i.e., questions that
determine the scope of one’s authority) and true questions of vires
(i.e., questions that determine whether one has authority to enter into the
inquiry). Such imprecision tempts litigants and judges alike to return to a
broad understanding of jurisdiction as justification for correctness review
contrary to this Court’s jurisprudence. As a result, the elusive search for
true questions of vires may both threaten certainty for litigants and
undermine legislative supremacy.
[39]
For some, the continued existence of the
category of true questions of vires may seem to provide conceptual
value, at most. In his concurrence in Alberta Teachers, Cromwell J.
wrote a spirited defence of the conceptual necessity of correctness review for
jurisdiction given the courts’ supervisory power over the bounds of
jurisdiction, but even he conceded that the category of true questions of vires
has little analytical value in the standard of review analysis (para. 94). It
remains an open question whether conceptual necessity can justify the resources
that courts and parties devote to the attempt to define an inherently nebulous
concept.
[40]
Our jurisprudence has held that the
constitutional guarantee of judicial review is premised on the courts’ duty to
ensure that public authorities do not overreach their lawful powers (Dunsmuir,
at para. 29; Crevier v. Attorney General of Quebec, [1981] 2
S.C.R. 220, at pp. 234-38). However, the jurisprudence has
also affirmed that judicial review is based on respect for the choices of the
legislature’s delegated decision makers and recognizes the legitimacy of
multiple reasonable interpretations of a statute (Dunsmuir, at para. 35;
McLean, at para. 33). In matters of statutory interpretation where there
is only one reasonable answer, this Court has shown that the reasonableness
standard still allows the reviewing court to properly deal with the principles
of the rule of law and legislative supremacy that remain at the core of the
judicial review analysis (McLean, at para. 38; Mowat, at para.
34; Dunsmuir, at para. 75). In this regard, reasonableness review is
often more than sufficient to fulfil the courts’ supervisory role with regard
to the jurisdiction of the executive.
[41]
The reality is that true questions of
jurisdiction have been on life support since Alberta Teachers. No
majority of this Court has recognized a single example of a true question of vires,
and the existence of this category has long been doubted. Absent full
submissions by the parties on this issue and on the potential impact, if any,
on the current standard of review framework, I will only reiterate this Court’s
prior statement that it will be for future litigants to establish either that
the category remains necessary or that the time has come, in the words of
Binnie J., to “euthanize the issue” once and for all (Alberta Teachers,
at para. 88).
(2)
Questions of Central Importance
[42]
The Commission argues that the Tribunal’s
decisions raise a question of central importance in which it lacks expertise
because other federal tribunals with the power to determine general questions
of law have concurrent jurisdiction to interpret the scope of s. 5 of the CHRA .
Dunsmuir recognized that the correctness standard of review can apply to
questions of law that are both of central importance to the legal system as a
whole and outside the decision maker’s specialized area of expertise
(paras. 55 and 60). Since Dunsmuir, this category of correctness
review has been applied only twice by this Court — first in Saguenay, at
paras. 49-51, and then in Alberta (Information and Privacy Commissioner) v.
University of Calgary, 2016 SCC 53, [2016] 2 S.C.R. 555, at paras. 21-22
and 26. Indeed, this Court has repeatedly rejected a liberal application of
this category (see, e.g., Nor-Man Regional Health Authority Inc. v. Manitoba
Association of Health Care Professionals, 2011 SCC 59, [2011] 3
S.C.R. 616, at para. 38; Whatcott, at para. 168; Kanthasamy v. Canada
(Citizenship and Immigration), 2015 SCC 61, [2015] 3 S.C.R. 909, at para. 44; Commission scolaire de Laval v. Syndicat de l’enseignement de
la région de Laval, 2016 SCC 8, [2016] 1 S.C.R. 29, at para. 34; Alberta Teachers, at para. 32; Barreau du Québec v.
Quebec (Attorney General), 2017 SCC 56, [2017] 2. S.C.R. 488, at para. 18; Canadian National Railway, at paras.
60 and 62; McLean, at
para. 28).
[43]
Here, the Tribunal has extensive expertise in
determining what is meant by a discriminatory practice. The ability of other
federal tribunals to apply the CHRA does not rob the Tribunal of its
expertise in its home statute. Regardless of whether the questions before the
Tribunal rose to the requisite level of importance, they were clearly within
the Tribunal’s expertise. This category does not apply.
(3)
Contextual Approach
[44]
The Commission also urged that a contextual
analysis rebuts the presumption of reasonableness review. It argued that this
shows clear legislative intent that the correctness standard applies, largely
on the ground that the Tribunal changed the “foundational legal test” for what
constitutes a service under the CHRA . On the basis of their contextual
analysis, my colleagues Côté and Rowe JJ. would also apply a correctness
standard of review. Respectfully, I disagree with both positions.
[45]
The presumption of reasonableness was intended
to prevent litigants from undertaking a full standard of review analysis in
every case. Where the presumption applies, such simplicity requires that the
contextual approach play a subordinate role in the standard of review analysis.
Certainly, this Court has indicated that, occasionally, such a contextual
inquiry can rebut the presumption of deference (Saguenay, at
para. 46; Capilano, at para. 32; Tervita, at para. 35; McLean,
at para. 22; Barreau du Québec,
at para. 23). However, the Court has also noted that this will occur in the
“exceptional other case” (Rogers, at para. 16 (emphasis in
original)).
[46]
This contextual approach should be applied
sparingly. As held by the majority of this Court in Alberta Teachers, it
is inappropriate to “retreat to the application of a full standard of review
analysis where it can be determined summarily” (para. 44). After all, the
“contextual approach can generate uncertainty and endless litigation concerning
the standard of review” (Capilano, at para. 35). The presumption of
reasonableness review and the identified categories will generally be
sufficient to determine the applicable standard. In the exceptional cases where
such a contextual analysis may be justified to rebut the presumption, it need
not be a long and detailed one (Capilano, at para. 34). Where it has
been done or referred to in the past, the analysis has been limited to
determinative factors that showed a clear legislative intent justifying the
rebuttal of the presumption (see, e.g., Rogers, at para. 15; Tervita,
at paras. 35-36; see also, Saguenay, at paras. 50-51).
[47]
In this regard, I cannot agree with my
colleagues Côté and Rowe JJ.’s characterization of the current standard of
review framework as requiring correctness review wherever the “contextual
factors listed in Dunsmuir point towards correctness as the appropriate
standard” (para. 73). Where the presumption of reasonableness review applies,
as it does here, this suggestion is contrary to the contextual approach’s
ancillary role in our current jurisprudence and would undermine the certainty
this Court has sought to establish in the past decade. While this Court may
eventually find it necessary to revisit the standard of review framework,
dissatisfaction with the current state of the law is no reason to ignore our
precedents following Dunsmuir. To do so only adds confusion to an
already challenging area of law.
[48]
Turning to the specifics of this case with this
guidance in mind, there are no factors present in this appeal that would
necessitate a long and detailed contextual analysis to rebut the presumption.
The Commission’s submission that changes to “foundational legal tests” require
the application of a correctness standard must be rejected. It has no basis in
the jurisprudence, is not a clear indicator of legislative intent, and would
risk adding only more uncertainty to the standard of review analysis. Moreover,
I would be cautious not to expand the appropriate factors beyond those
enumerated in Dunsmuir without a principled basis for doing so, as this
would invite unprincipled interference with the legislature’s delegates.
[49]
I also consider it necessary to address my
colleagues Côté and Rowe JJ.’s own application of the contextual analysis in
this case. None of the factors they raise, in my opinion, warrants the
application of the contextual approach or, by extension, correctness review.
With respect, I am of the view that their treatment of the contextual analysis
is unsupported by, and at points contrary to, this Court’s jurisprudence.
[50]
With regard to the absence of a privative
clause, this Court has long since established that such an omission does not
rebut the presumption of deference (Canada (Citizenship and Immigration) v.
Khosa, 2009 SCC 12, [2009] 1 S.C.R. 339, at para. 25; Mowat, at
para. 17). To the contrary, the fact that the legislature has allocated
authority to a decision maker other than the courts is itself an indication
that the legislature intended deferential review (Khosa, at para. 25).
[51]
This Court’s jurisprudence also does not support
correctness review on the basis that other administrative tribunals may
consider the CHRA . Certainly, this Court has recognized that correctness
review may be applied where a tribunal is not part of a “discrete and special
administrative regime” because it shares jurisdiction with the courts or
because there is clear language indicating that it is to be treated as if it
were a court (Rogers, at para. 15 (emphasis deleted), citing Dunsmuir,
at para. 55; see also Tervita, at para. 38). This is distinguishable,
however, from the situation where a tribunal applies its home statute, the
courts have no concurrent jurisdiction and there is no explicit appeal clause.
Indeed, in my view, the approach taken by Côté and Rowe JJ. would create a new
category of correctness review for alleged questions of central importance
regardless of the tribunal’s expertise.
[52]
The potential for conflicting lines of authority
does not warrant correctness review either. This Court has recognized that
conflicting lines of authority do not, on their own, justify judicial review
and it has applied a deferential standard where they have been raised (Wilson,
at para. 17; Barreau du Québec, at para. 19;
Smith, at para. 38; Domtar Inc. v. Quebec (Commission d’appel en
matière de lésions professionnelles), [1993] 2 S.C.R. 756, at pp. 800-801).
I also doubt that there is a conflicting line of
authority in this case. The approach to s. 5 of the CHRA taken in Druken
in 1998 was set aside in Murphy in 2012, and this guidance has since
been followed. Tellingly, the most recent conflicting authority Côté and Rowe
JJ. have identified dates back 17 years.
[53]
Lastly, I take issue with the treatment Côté and
Rowe JJ. give to the nature of the question at issue and the purpose of the
Tribunal. Interpreting the scope of the term “services” does not have a
constitutional dimension. No interpretation of s. 5 of the CHRA could
prevent superior courts from hearing challenges under s. 15 of the Charter or
give the Tribunal the power to hear Charter applications. Indeed,
framing these factors as a question of whether certain questions are better
suited for courts effectively applies the jurisdiction/preliminary question
doctrine. As discussed, this doctrine was long ago put to rest (CUPE, at
p. 233; Dunsmuir, at para. 59; Halifax, at para. 34).
[54]
As the presumption that reasonableness review
applies is not rebutted, the Tribunal’s decisions will be reviewed on a
reasonableness standard, as it was at the Federal Court and the Federal Court
of Appeal.
B.
Review of the Decisions
(1)
The Reasonableness Standard
[55]
In reasonableness review, the reviewing court is
concerned mostly with “the existence of justification, transparency and
intelligibility within the decision-making process” and with determining
“whether the decision falls within a range of possible, acceptable outcomes
which are defensible in respect of the facts and law” (Dunsmuir, at para.
47; Newfoundland and Labrador Nurses’ Union v. Newfoundland and Labrador
(Treasury Board), 2011 SCC 62, [2011] 3 S.C.R. 708, at para. 14). When
applied to a statutory interpretation exercise, reasonableness review
recognizes that the delegated decision maker is better situated to understand
the policy concerns and context needed to resolve any ambiguities in the
statute (McLean, at para. 33). Reviewing courts must also refrain from
reweighing and reassessing the evidence considered by the decision maker (Khosa,
at para. 64). At its core, reasonableness review recognizes the legitimacy of
multiple possible outcomes, even where they are not the court’s preferred
solution.
(2)
Application
[56]
In both decisions, the Tribunal provided careful
and well-considered reasons explaining why the complaints had not established a
discriminatory practice under the CHRA . The adjudicators first
characterized the complaints as direct attacks on legislation. They then found
that, while the CHRA conferred remedial authority to render conflicting
legislation inoperable, the Tribunal could not grant a remedy unless a discriminatory
practice had first been established. They then concluded that legislation per
se was not a service under the s. 5 prohibition of discriminatory practices
in the provision of services. In coming to this conclusion, the adjudicators
considered the complainants’ evidence and submissions, the governing
jurisprudence, the purpose, nature and scheme of the CHRA , and relevant
policy considerations. The decisions meet the Dunsmuir standard of
intelligibility, transparency and justifiability, and fall within the range of
reasonable outcomes (para. 47).
[57]
The critical issue for the adjudicators to
decide was whether the complaints constituted a direct attack on legislation or
whether they concerned discrimination in the provision of a service. It is
uncontroversial that actions of the executive in providing services primarily
available to the public are reviewable under human rights legislation (see,
e.g., Tranchemontagne; Beattie v. Canada (Aboriginal Affairs and
Northern Development), 2014 CHRT 1; Canada (Attorney General) v. Davis,
2013 FC 40, 425 F.T.R. 200; Canada (Canadian Human
Rights Commission) v. Canada (Attorney General), 2012 FC 445, [2013] 4 F.C.R. 545). What is controversial is
consideration of complaints that, in substance, solely target legislation. In
reviewing such complaints, human rights tribunals are faced with the
challenging task of distinguishing between administrative services and
legislation. Human rights tribunals in federal and provincial jurisdictions
have taken various approaches to making such a distinction (C. Mummé, “At the
Crossroads in Discrimination Law: How the Human Rights Codes Overtook the
Charter in Canadian Government Services Cases” (2012), 9 J.L. &
Equality 103, at pp. 116-17). Since this raises a question of mixed fact
and law squarely within their expertise, human rights tribunals are best
situated to develop an approach to making such distinctions. Under
reasonableness review, the reviewing court’s task is to supervise the
tribunal’s approach in the context of the decision as a whole. Its role is not
to impose an approach of its own choosing.
[58]
The adjudicators approached the characterization
of the complaints by looking at the jurisprudence for determining what
constitutes a service under s. 5 of the CHRA and by considering the
nature of the allegations, the wording of the complainants’ submissions and the
relationship between the Registrar and the s. 6 entitlement provisions of the Indian
Act . Both adjudicators placed weight on the complainants’ submissions that
framed their complaints as targeting the Indian Act entitlement
provisions. The adjudicators found that the complaints did not impugn the means
by which the Registrar had processed their applications, but substantively
targeted the eligibility criteria that the Registrar was required to apply. On
this basis, the adjudicators reasonably concluded that the complaints before
them were properly characterized as direct attacks on legislation.
[59]
After concluding that the complaints impugned
legislative criteria rather than the process of registration, the adjudicators
turned to consider whether the complainants were capable of making out a
discriminatory practice under the CHRA . All of the complaints alleged
that INAC had engaged in a discriminatory practice by denying a service, or by
subjecting the complainants to adverse differentiation with respect to a
service, on prohibited grounds. The adjudicators therefore sought to determine
whether legislation fell within the statutory definition of a service.
[60]
The Tribunal reasonably considered the guidance
provided by the Federal Court of Appeal in Murphy and the underlying
Tribunal decision that the Federal Court of Appeal had endorsed in that
judgment. It is unnecessary for the disposition of this appeal to determine the
degree to which Murphy constituted binding authority or how such a
decision could be overturned by this Court on reasonableness review. While the
adjudicators considered themselves bound by Murphy, they still conducted
a thorough analysis to determine whether or not Murphy had been
superseded either by binding authority or by the CHRA . Both decisions
can stand on their own merits.
[61]
In considering the authorities from both this
Court and provincial jurisdictions, the adjudicators distinguished the primacy
of human rights legislation and the statutory prohibition against
discriminatory practices. They recognized that decisions such as Heerspink,
Craton, Action Travail des Femmes, Andrews v. Law Society of
British Columbia, Larocque, and Tranchemontagne
considered that human rights legislation could render conflicting legislation
inoperable. Hence, where a discriminatory practice without bona fide justification
is established, the Tribunal has the power to order administrators to stop
applying conflicting provisions. However, as the Tribunal indicated, in all
such cases the human rights tribunals were responding to an established
discriminatory practice. None of these cases stood for the proposition that
legislation in general fell within the meaning of “services”. The Tribunal
reasonably did not take the jurisprudence on its remedial authority as
overturning Murphy or as necessitating an expansive interpretation of
the meaning of “services”.
[62]
The adjudicators also reasonably considered
whether legislation could fall under the definition of a service based on Gould
v. Yukon Order of Pioneers, [1996] 1 S.C.R. 571, and Watkin. The
adjudicator in Andrews noted that the sui generis nature of
Parliament’s power to legislate is inconsistent with the characterization of
law-making as a public service and that law-making does not have the transitive
connotation necessary to identify a service customarily offered to the public.
[63]
There is also no issue with the Tribunal’s
review of the scheme of the CHRA . Both adjudicators found that the
provisions raised by the Commission were entirely consistent with the
distinction made between the primacy of human rights legislation and the scope
of the CHRA ’s prohibition of discriminatory practices. Section 49(5) ,
which requires that the adjudicator assigned to cases where legislation
may be rendered inoperable be a lawyer, and s. 62(1) , which immunizes
pension legislation from review, are consistent with the distinction between
the primacy of the CHRA and the scope of its prohibition of discriminatory
practices. Neither provision supports the interpretation that all legislation
could be subject to review by the Tribunal. The now repealed s. 67 of the CHRA ,
which immunized the Indian Act from human rights complaints, was
consistent with Parliament’s intent to shield services rendered pursuant to the
Indian Act from challenge. In any event, on its own, s. 67 was
insufficient to infer that Parliament intended to allow direct challenges to
all other legislation.
[64]
The Commission and interveners have raised
numerous policy grounds upon which direct challenges to legislation should be
considered by the Tribunal. However, it is not for a reviewing court to reweigh
policy considerations. The adjudicators clearly considered the practical
difficulties and challenges to democratic legitimacy involved in evaluating
challenges to legislation under the bona fide justification requirement.
There is nothing unreasonable about this determination.
[65]
I would conclude by noting that the analysis of
s. 5 of the CHRA in Côté and Rowe JJ.’s reasons does not differ
significantly from that of the Tribunal. Indeed, I fail to see where their
analysis adds to the Tribunal’s interpretation of its own statute, which
engaged substantially with the human rights jurisprudence and addressed the
difficult question of when a complaint is properly characterized as an attack
on legislation. Given this, I would question whether this Court, or any
reviewing court, is necessarily better situated to interpret this decision
maker’s home statute.
V.
Conclusion
[66]
The Tribunal reviewed all of the complaints in
carefully considered, thorough and logical decisions that fell within the range
of possible, acceptable outcomes. Both decisions were reasonable and should be upheld.
[67]
In closing, I would emphasize that the
disposition of this appeal says nothing as to whether the Indian Act infringes
the rights of the complainants under s. 15 of the Charter . In this
regard, I would simply note that in recent years, there have been two
successful challenges to the Indian Act registration provisions, both of
which have prompted legislative reform (Descheneaux v. Canada (Attorney
General), 2015 QCCS 3555, [2016] 2 C.N.L.R. 175; McIvor
v. Canada (Indian and Northern Affairs, Registrar), 2009 BCCA 153, 306 D.L.R. (4th) 193).
[68]
I would accordingly dismiss the appeal. Costs
were not sought by either party and will not be awarded.
The following are the reasons delivered by
Côté and Rowe JJ. —
I.
Overview
[69]
At issue in this case is whether the Canadian
Human Rights Tribunal (“Tribunal”) erred in finding that legislative enactments
cannot be challenged pursuant to s. 5 of the Canadian Human Rights Act,
R.S.C. 1985, c. H-6 (“CHRA ”). Section 5 of the CHRA
prohibits (among other things) the making of discriminatory distinctions in the
provision of services customarily available to the general public. In both Andrews
v. Canada (Indian and Northern Affairs), 2013 CHRT 21, and Matson v.
Canada (Indian and Northern Affairs), 2013 CHRT 13, the Tribunal dismissed
several complaints brought against the registration provisions of the Indian
Act, R.S.C. 1985, c. I-5 , on the basis that they did not impugn
discrimination “in the provision of . . . services” (s. 5
of the CHRA ). Applying a deferential standard of review, both the
Federal Court (2015 FC 398, 477 F.T.R. 229) and the Federal Court of Appeal
(2016 FCA 200, [2017] 2 F.C.R. 211) held that the Tribunal’s decisions in Matson
and Andrews were reasonable. A majority of this Court would do the
same.
[70]
We agree with our colleague Gascon J. as to the
disposition of this appeal, as well as with his summary of the facts and
judicial history. However, we part ways with respect to the selection of the
appropriate standard of review. In our view, a contextual analysis leads to the
conclusion that the Tribunal’s decisions should be reviewed for correctness.
Applying this standard, we would hold that the Tribunal correctly decided the
issue, and dismiss the appeal accordingly.
II.
Analysis
A.
What Is the Applicable Standard of Review?
[71]
In Dunsmuir v. New Brunswick, 2008 SCC 9,
[2008] 1 S.C.R. 190, at para. 62, this Court established a two-stage
framework for determining the degree of deference owed to an administrative
body’s decision on judicial review. First, the reviewing court is to survey the
jurisprudence to ascertain whether the applicable standard of review has
already been settled. If so, the inquiry ends there and the court applies that
standard in reviewing the merits of the impugned decision. If the appropriate
standard has not been settled in the jurisprudence, however, the second stage
of the analysis directs the court to undertake a more rigorous analysis to
determine whether the statutory body’s decision ought to be reviewed for
reasonableness or for correctness.
[72]
The standard of review analysis set out in Dunsmuir
requires the court to consider several contextual factors, which include the
nature of the question at issue, the presence or absence of a privative clause,
the tribunal’s statutory purpose, and the expertise of the tribunal
(para. 64). These factors help to determine the standard that strikes the
appropriate balance between respect for the rule of law on one hand, and
legislative supremacy on the other.
[73]
In the jurisprudence that followed Dunsmuir,
this Court has placed significant emphasis on the nature of the question at
issue when determining the applicable standard of review. In Alberta
(Information and Privacy Commissioner) v. Alberta Teachers’ Association,
2011 SCC 61, [2011] 3 S.C.R. 654, at para. 39, this Court affirmed that
reasonableness will be the presumptive standard for the review of questions
that involve the tribunal’s interpretation and application of its home statute
or of a statute closely related to its function. There are, however, two
situations where the presumption will not apply. First, the jurisprudence
recognizes four “categories” of questions that will necessarily attract review
on a standard of correctness: constitutional questions, questions of law that
are both of central importance to the legal system and that are outside of the
tribunal’s specialized area of expertise, questions that involve the drawing of
jurisdictional lines between two or more competing specialized tribunals, and true
questions of jurisdiction. Second, the presumption of reasonableness will be
rebutted if the contextual factors listed in Dunsmuir point towards
correctness as the appropriate standard.
[74]
Turning to the present case, we agree with the Canadian
Human Rights Commission (“Commission”) that the jurisprudence is unclear as to
which standard applies to the review of the particular question before us. This
was the conclusion reached by the unanimous Federal Court of Appeal panel;
after undertaking a careful review of the relevant case law, Gleason J.A.
observed the difficulty in “draw[ing] a bright line as to when the
reasonableness or the correctness standard will apply to decisions of human
rights tribunals interpreting the scope of the protections afforded in their
constituent legislation” (para. 69). And while this Court in Canada (Canadian Human Rights Commission) v.
Canada (Attorney General), 2011 SCC 53, [2011] 3 S.C.R. 471 (“Mowat”), applied a reasonableness standard when reviewing
a decision of the Tribunal finding that it had the statutory authority to order
costs in favour of a successful complainant, it nevertheless recognized that
the Dunsmuir framework may direct that certain decisions of the Tribunal
be reviewed for correctness (para. 23).
[75]
The parties frame the issue in the present case
around the Tribunal’s interpretation of s. 5 of the CHRA , and
neither disputes that this is a question to which the presumption of
reasonableness applies. The respondent, the Attorney General of Canada, submits
that this presumption is not rebutted on either a categorical or a contextual
basis. By contrast, the appellant, Commission, submits that a contextual
analysis leads to the conclusion that the standard of correctness ought to
apply in these circumstances.
[76]
Since the interpretation of s. 5 of the CHRA
is at issue in this case, we agree that reasonableness presumptively
applies. Gascon J. is of the view that the issue before us does not fall
within any of the recognized categories that attract correctness review — but
has much more to say in this regard. Without it having been raised as an issue
before this Court, he goes to great lengths to point out the perceived
difficulties associated with the category of jurisdictional questions, and
expresses significant doubt as to whether this category even remains an
analytically useful component of the standard of review analysis
(paras. 31-41).
[77]
We would strongly distance ourselves from these obiter
comments. Recognizing that the concept of jurisdiction has and continues to
play a crucial role in administrative law, this Court has made clear on several
occasions that administrative decision makers must be correct in their
determinations as to the scope of their delegated authority (Crevier v.
Attorney General of Quebec, [1981] 2 S.C.R. 220, at pp. 236-37; United
Taxi Drivers’ Fellowship of Southern Alberta v. Calgary (City), 2004 SCC
19, [2004] 1 S.C.R. 485, at para. 5; Dunsmuir, at para. 29).
This is because jurisdictional questions are fundamentally tied to both the
maintenance of legislative supremacy, which requires that a given statutory
body operate within the sphere in which the legislature intended that it
operate, as well as the rule of law, which requires that all exercises of
delegated authority find their source in law (Dunsmuir, at
para. 28). Nothing in our reasons should be read as undermining these
longstanding principles of judicial review. We agree with our colleague Gascon
J., however, that any uncertainty surrounding the jurisdictional question category
ought to be resolved another day, when this issue is squarely raised by the
parties.
[78]
We also disagree with the proposition that the
contextual approach plays merely a subordinate role in the standard of review
analysis (reasons of Gascon J., at para. 45). On our reading of the
applicable case law, resort to the contextual approach is not exceptional at
all; the framework set out by this Court in Dunsmuir is manifestly
contextual in nature. The “correctness categories”, as they have become known,
are simply instances where the jurisprudence has already settled the
appropriate standard, such that a more extensive analysis of the relevant
contextual factors needs not be performed (Dunsmuir, at
paras. 57-61; Hon. M. Bastarache, Dunsmuir 10 Years Later (March 9, 2018)
(online)). In this regard, we can only repeat what this Court said regarding
the determination of the appropriate standard of review 10 years ago in Dunsmuir:
In
summary, the process of judicial review involves two steps. First, courts
ascertain whether the jurisprudence has already determined in a satisfactory
manner the degree of deference to be accorded with regard to a particular
category of question. Second, where the first inquiry proves unfruitful,
courts must proceed to an analysis of the factors making it possible to
identify the proper standard of review.
The
existing approach to determining the appropriate standard of review has
commonly been referred to as “pragmatic and functional”. That name is
unimportant. Reviewing courts must not get fixated on the label at the expense
of a proper understanding of what the inquiry actually entails. Because
the phrase “pragmatic and functional approach” may have misguided courts in the
past, we prefer to refer simply to the “standard of review analysis” in the
future.
The
analysis must be contextual. As mentioned above, it
is dependent on the application of a number of relevant factors, including: (1)
the presence or absence of a privative clause; (2) the purpose of the tribunal
as determined by interpretation of enabling legislation; (3) the nature of the
question at issue, and; (4) the expertise of the tribunal. In many cases, it
will not be necessary to consider all of the factors, as some of them may be
determinative in the application of the reasonableness standard in a specific
case. [Emphasis added; paras. 62-64.]
[79]
With this in mind, we simply cannot agree with
the suggestion that the contextual analysis “should be applied sparingly”, or
that “[t]he presumption of reasonableness review and the identified categories
will generally be sufficient to determine the applicable standard” (reasons of Gascon J.,
at para. 46). Dunsmuir provides that such an analysis must
be undertaken where the categories identified in the jurisprudence do not
apply. And we observe that a number of post-Dunsmuir decisions from
this Court have done just that: Canada (Citizenship and Immigration) v.
Khosa, 2009 SCC 12, [2009] 1 S.C.R. 339; Nolan
v. Kerry (Canada) Inc., 2009 SCC 39, [2009] 2
S.C.R. 678; Nor-Man Regional
Health Authority Inc. v. Manitoba Association of Health Care Professionals, 2011 SCC 59, [2011] 3 S.C.R. 616; Rogers Communications Inc. v.
Society of Composers, Authors and Music Publishers of Canada, 2012 SCC 35,
[2012] 2 S.C.R. 283; Barreau du Québec
v. Quebec (Attorney General), 2017
SCC 56, [2017] 2 S.C.R. 488. The importance of context within the Dunsmuir
framework cannot be downplayed.
[80]
For this reason, we dispute Gascon J.’s
qualification of our standard of review analysis as being “unsupported by, and
at points contrary to, this Court’s jurisprudence” (para. 49).
[81]
Returning to the present case, and without
deciding whether or not this question falls within any category of questions
calling for correctness review, the relevant contextual factors listed in Dunsmuir
lead us to conclude that the presumption has been rebutted in this case, and
that the appropriate standard of review is therefore correctness. In this
respect, we would also note that correctness review for questions that involve
the scope of human rights protections under the CHRA — on the
basis of either categories or context — is not at all unprecedented
(see, for example, Mowat, at para. 23; Canada (Attorney General)
v. Watkin, 2008 FCA 170, 378 N.R. 268, at para. 23; Canada
(Attorney General) v. Johnstone, 2014 FCA 110, [2015] 2 F.C.R. 595, at
paras. 44-52; Canadian National Railway v. Seeley, 2014 FCA 111,
458 N.R. 349, at paras. 35-36).
(1)
Absence of a Privative Clause
[82]
First is the absence of a privative clause. This
Court in Dunsmuir noted that the existence of “a privative clause is
evidence of Parliament or a legislature’s intent that an administrative
decision maker be given greater deference and that interference by reviewing
courts be minimized” (para. 52). Put differently, while these statutory
provisions do not oust the superior courts’ inherent and constitutional
authority to judicially review administrative action, they nevertheless provide
a strong indication that deference is to be shown to that particular decision
maker.
[83]
Although the CHRA confers onto the
Tribunal the power to “decide all questions of law or fact necessary to
determining the matter” before it (s. 50(2) ), Parliament opted not to
shield these decisions from exacting review behind a privative clause. We
appreciate that the absence of a privative clause does not, on its own, rebut
the presumption of deference, though we would nevertheless note that it does
not support reasonableness review either.
(2)
Expertise of the Tribunal: Section 5 of the CHRA
Is Not Interpreted Exclusively Within a Discrete and Special Administrative
Regime
[84]
The second factor militating in favour of
correctness review is the desirability of a uniform interpretation of the term
“services” as it appears in s. 5 of the CHRA across federal
statutory bodies. On several occasions, this Court has affirmed that human
rights protections must be interpreted consistently across jurisdictions,
unless the legislative intent clearly indicates otherwise (University of
British Columbia v. Berg, [1993] 2 S.C.R. 353, at p. 373; Gould v.
Yukon Order of Pioneers, [1996] 1 S.C.R. 571, at para. 47; New
Brunswick (Human Rights Commission) v. Potash Corporation of Saskatchewan Inc.,
2008 SCC 45, [2008] 2 S.C.R. 604, at para. 68, per McLachlin C.J.,
concurring in part). In our view, it is even more imperative that provisions
within a given human rights statute be interpreted consistently among courts
and tribunals tasked with its application. The rule of law is undermined where
the same anti-discrimination protection is interpreted and applied a certain
way by one administrative decision maker, and altogether differently by
another.
[85]
The Tribunal is not the only administrative
decision maker at the federal level that is tasked with enforcing the
anti-discrimination protections of the CHRA . This Court has found that
administrative decision makers other than human rights tribunals may also have
the authority to interpret and apply human rights legislation in connection
with matters properly before them (Tranchemontagne v. Ontario (Director,
Disability Support Program), 2006 SCC 14, [2006] 1 S.C.R. 513; see, for
example, Canada Employment Insurance Commission v. M. W., 2014 SSTAD
371, at paras. 51-69 (CanLII)). We are therefore of the view that the
particular question at issue — whether legislation can be challenged
as discrimination in the provision of a service — does not arise
within a particularly discrete administrative regime over which the Tribunal
has exclusive jurisdiction (Dunsmuir, at para. 55; Rogers Communications, at para. 18; Johnstone, at
paras. 47-48). Various other decision
makers — including the Commission, the Social Security Tribunal, and
labour arbitrators — have been and will continue to be asked that
very same question. To borrow the words of Slatter J.A. in Garneau Community
League v. Edmonton (City), 2017 ABCA 374, 60 Alta. L.R. (6th) 1, at
para. 95:
. . . it cannot be the
legislative intent that public statutes mean different things in different
parts of the [country]. In a related but analogous context, the Supreme Court
accepted in Housen v. Nikolaisen, 2002 SCC 33
(S.C.C.) at paras. 9-10, [2002] 2 S.C.R.
235 (S.C.C.) that appellate courts
perform legitimate law-settling and law-making roles. It is part of the
legitimate role of appellate courts to ensure that the same legal rules are
applied in similar situations. For that same reason, the standard of review of
correctness should be applied when many tribunals have to interpret the same
statute.
[86]
The principal concern regarding this concurrent
jurisdiction is therefore that these decision makers will arrive at competing
conclusions as to the scope of the very same human rights
protection — or, to put it more generally, that the answer to a given
legal question will depend on the decision maker considering it. This concern
is fundamentally tied to the rule of law. And in our view, it matters not that
jurisdiction is shared between a statutory body and a court, or instead among
several statutory bodies; the fact that an administrative decision may have
ramifications beyond a single, discrete tribunal underscores this rule of law
concern, and supports review of that decision on a standard of correctness.
[87]
This rule of law concern is more than just
theoretical. As was highlighted in both Andrews and in Matson,
there exists diverging lines of authority as to whether the human rights
protection in s. 5 of the CHRA permits challenges aimed at legislation
and nothing else. In Druken, both the Tribunal and the Federal Court of
Appeal accepted that unemployment insurance, which was available pursuant to the
Unemployment Insurance Act, 1971, S.C. 1970-71-72, c. 48, and
its regulations, was a “service” for the purpose of s. 5 of the CHRA (Druken
v. Canada (Employment and Immigration Commission), 1987 CanLII 99; Canada
(Attorney General) v. Druken, [1989] 2 F.C. 24). This reasoning was
followed by the Federal Court in Gonzalez v. Canada (Employment and
Immigration Commission), [1997] 3 F.C. 646 (T.D.),
and by the Tribunal in McAllister-Windsor v. Canada (Human Resources
Development), 2001 CanLII 20691. By contrast,
other decision makers interpreting that very same provision of the CHRA reached
the opposite conclusion. For example, the Federal Court of Appeal in Public
Service Alliance of Canada v. Canada Revenue Agency, 2012 FCA 7, 428 N.R.
240 (“Murphy”), held that “the CHRA does not provide
for the filing of a complaint directed against an act of Parliament”
(para. 6). This echoed the holding of the Tribunal in Forward v. Canada
(Citizenship and Immigration), 2008 CHRT 5, and of the Federal Court in Canada
(Human Rights Commission) v. M.N.R., 2003 FC 1280, [2004] 1 F.C.R. 679, at
para. 30, as well as the comments made by Robertson J.A. of the
Federal Court of Appeal in Canada (Attorney General) v. McKenna, [1999] 1 F.C. 401,
at paras. 78-80.
[88]
Can both of these ostensibly reasonable
interpretations of the same human rights protection co-exist side-by-side?
Should the scope of s. 5 of the CHRA be contingent on the view of
the Tribunal member or judge before whom the litigants find themselves? We
would say no. Given the foregoing, and bearing in mind the quasi-constitutional
status of human rights legislation, the question arising in the present case is
precisely one that calls for uniform and consistent answers across Canadian
courts and statutory bodies. This cannot be achieved, however, if superior
courts require only that these decisions fall within a range of reasonable
outcomes. Rather, applying a non-deferential correctness standard allows the
courts to provide meaningful guidance as to the scope of these fundamentally
important human rights protections, and ensure respect for the rule of law in
such cases.
(3)
The Purpose of the Tribunal and the Nature of
the Question at Issue
[89]
Finally, the issue before this Court touches on
the very purpose for which the Tribunal exists. In deciding whether or not
challenges to legislation are caught within the meaning of a “discriminatory
practice” under the CHRA , the Tribunal’s decision responds to a question
of law with a constitutional dimension: Who gets to decide what types of
challenges can be brought against legislative action? The Commission argued
that a determination that legislative challenges are not caught within the
scope of s. 5 undermines the primacy of human rights law by barring
claimants from bringing certain types of challenges before the Tribunal. While
this appeal is not constitutional in the narrow sense — in that it
does not directly engage rights protected under the Canadian Charter of
Rights and Freedoms , for example — it necessarily implicates the
rule of law and the duty of superior courts under s. 96 of the Constitution
Act, 1867 to uphold this fundamental constitutional principle (Dunsmuir,
at paras. 29 and 31). No deference is owed to the decision of an
administrative decision maker in these circumstances.
(4)
Conclusion
[90]
We accept that the analysis in the present case
begins with the presumption of reasonableness, but it cannot be disputed that
this presumption is rebuttable through a contextual analysis. We also agree
with our colleague Gascon J. that the omission of a privative clause “does not
rebut the presumption of deference” (para. 50). Indeed, this Court has
recognized that “their presence or absence is no longer determinative about
whether deference is owed to the tribunal or not” (Mowat, at para. 17).
Furthermore, there is no dispute that the potential for conflicting lines of
authority does not, on its own, warrant a less deferential standard of
review (reasons of Gascon J., at para. 52). In our view, however,
they are each indicia that point toward correctness. While neither factor may independently
call for correctness, we repeat that “[t]he analysis must be contextual” (Dunsmuir,
at para. 64). And when this Court stated that “[i]n many cases, it
will not be necessary to consider all of the factors, as some of them may be
determinative in the application of the reasonableness standard in a specific
case” (Dunsmuir, at para. 64), it did so, recognizing that, in
other cases, the whole context would be determinative. This is such a case. For
this reason, a contextual analysis leads us to the conclusion that the
presumption is rebutted in this case, and that the impugned decision ought to
be reviewed for correctness.
B.
Does Section 5 of the CHRA Permit Bare
Challenges to Legislation?
[91]
Any complainant making a claim of discrimination
before the Tribunal must ensure that his or her claim falls within the scope of
the CHRA . Section 40 of the CHRA permits individuals and
groups to bring complaints that allege “discriminatory practices”. Under
s. 39, a “discriminatory practice” is defined to include all the human
rights prohibitions listed in ss. 5 to 14.1 of the CHRA .
[92]
This case is about the scope of s. 5 of the
CHRA , which reads as follows:
5 It is a discriminatory practice in the provision of goods, services,
facilities or accommodation customarily available to the general public
(a)
to deny, or to deny access to, any such good,
service, facility or accommodation to any individual, or
(b)
to differentiate adversely in relation to any
individual,
on
a prohibited ground of discrimination.
[93]
Do the present complaints allege a discriminatory practice in the
provision of a service customarily available to the general public? Before the Tribunal, the complainants sought to challenge the
registration provisions of the Indian Act as making discriminatory
distinctions on the basis of race, national or ethnic origin, sex and family
status (Matson, at para. 2 (CanLII); Andrews, at
para. 11 (CanLII)). They did not challenge the actions of the Registrar in
processing their applications. At their core, these complaints are about
Parliament’s decision not to extend “Indian” status to persons in similar
circumstances. This was properly characterized by the Tribunal as a bare
challenge to legislation.
[94]
The remedy resulting from a successful challenge
on this basis would be to render the impugned provisions inoperable. However,
granting this remedy — or indeed, any other remedy — is
contingent upon the Tribunal being validly seized of the matter in the first
place. The Federal Court of Appeal correctly noted that one must not conflate
the scope of s. 5 with the extent of the Tribunal’s remedial authority
(C.A. reasons, at para. 99). Moreover, the notion that human rights
statutes take primacy where they are inconsistent with another statute does not
inform this Court’s interpretation of the scope of s. 5 . The meaning of
this provision must be determined on its own as a matter of statutory
interpretation.
[95]
What, then, is encompassed in s. 5 ? The
wording of this section focuses on the provision of services. The French
version of the CHRA says that it is a discriminatory practice for the service
provider (“le fournisseur . . . de services”) to deny
or differentiate adversely in relation to an individual. The use of this
language suggests that s. 5 is geared towards discrimination perpetrated
by service providers.
[96]
In our view, Parliament is not a service provider, and was not
providing a service when it enacted the registration provisions of the Indian
Act . Moreover, law-making is unlike any of the other terms listed in
s. 5 ; it does not resemble a good, facility or accommodation (see Forward,
at para. 42 (CanLII)). As observed by the Tribunal in Andrews, the
legislative process is unique:
Law-making
is one of Parliament’s most fundamental and significant functions and sui
generis in its nature. This is confirmed by the powers, privileges and
immunities that Parliament and the Legislatures possess to ensure their proper
functioning, which are rooted in the Constitution, by virtue of the preamble
and section 18 of the Constitution Act, 1867, 30 & 31 Victoria, c 3 ,
[Constitution Act] and in statute law, in sections 4 and 5 of the Parliament
of Canada Act, R.S.C. 1985, c. P-1 : Telezone Inc. v. Canada (Attorney
General), (2004), 235 D.L.R. (4th) 719 at paras. 13-17. Indeed,
the dignity, integrity and efficient functioning of the Legislature is
preserved through parliamentary privilege which, once established, is afforded
constitutional status and is immune from review: Harvey v. New Brunswick
(Attorney General), (1996), 137 D.L.R. (4th) 142, [1996] 2
S.C.R. 876; Canada (House of Commons) v. Vaid, 2005 SCC 30 at para. 33 [Vaid].
To consider the act of legislating along the same lines as that of delivering
Householders as in Pankiw or to processing a citizenship application as
in Forward is fundamentally problematic and emblematic of an approach
which ignores the special role law-making possesses in our society. In
legislating, Parliament is not a service provider and there is no “transitive
connotation” to this function. Rather, it is fulfilling a constitutionally
mandated role, at the very core of our democracy. As such, while law-making is
an activity that could be said to take place “in the context of a public
relationship” (Gould at para. 16) or “creates a public relationship” (Gould
at para. 68, cited above) as per the second part of the Gould test,
to characterize it as a service would ignore this sui generis quality.
[Text in brackets in original; para. 57.]
[97]
Parliament can be distinguished from the
administrative decision makers that operate under legislative authority. These
individuals and statutory bodies, which include the Registrar, may be “service
providers”, or entities that “provi[de] . . . services
. . . customarily available to the general public”. If they use
their statutory discretion in a manner that effectively denies access to a
service or makes an adverse differentiation on the basis of a prohibited
ground, s. 5 will be engaged. But, when their job is simply to apply
legislated criteria, the challenge is not to the provision of services, but to
the legislation itself (Murphy, at para. 6).
[98]
Furthermore, the relevant jurisprudence suggests
that the enactment of legislation is not a service. This Court has defined a
service as (1) something of benefit (2) that is held out or offered to the
public (Gould; see also Watkin, at para. 31). In Gould,
La Forest J. (concurring) said, at para. 55:
There is a transitive connotation from
the language employed by the various provisions; it is not until the service,
accommodation, facility, etc., passes from the service provider and has been
held out to the public that it attracts the anti-discrimination prohibition.
Again,
La Forest J.’s definition in Gould focuses on the service
provider. When Parliament crafts statutory eligibility criteria, there is no
“transitive connotation”. Nothing is being held out by Parliament to the public.
It is only when the service provider itself discriminates that s. 5 is
engaged.
[99]
The Federal Court of Appeal took a similar view
in Murphy. In that case, the Commission argued that income tax
assessments by the Canada Revenue Agency pursuant to the Income Tax Act,
R.S.C. 1985, c. 1 (5th Supp .) (“ITA ”), were “services” within the
meaning of the CHRA . Finding that the mandatory duty to assess taxes in
conformity with the law flowing from the ITA was at the heart of the
allegation, the Court of Appeal characterized the complaint as a direct attack
on the applicable ITA provisions. In dismissing the appeal, the Court of
Appeal was unequivocal that s. 5 of the CHRA “does not provide for
the filing of a complaint directed against an act of Parliament”
(para. 6).
[100]
We also note that the equivalent of s. 5 of
the CHRA in provincial human rights statutes may be worded in broader
terms, and without reference to “the provision of services” or the “service provider”.
For instance, s. 1 of the Ontario Human Rights Code, R.S.O. 1990,
c. H.19, states that “[e]very person has a right to equal treatment with
respect to services, goods and facilities, without discrimination”. Whether
challenges to legislation would be permissible under this statute or other
provincial human rights statutes is not before this Court, and should be left
for another day.
[101]
Two additional contextual arguments were put to
the Court by the Commission in support of the proposition that challenges to
legislation may be brought under the CHRA . First, it is argued that the
repeal of s. 67 of the CHRA (S.C. 2008, c. 30, s. 1 )
indicates that direct challenges to legislation were contemplated by
Parliament. Section 67 stated that “[n]othing in [the CHRA ] affects
any provision of the Indian Act or any provision made under or pursuant
to that Act.” The Commission submits that through the repeal of this statutory
exception to the primacy of the CHRA , Parliament brought the Indian
Act in its entirety under the ambit of the CHRA , including
the impugned registration provisions. To go further, the Commission argues that
s. 67 was enacted (and subsequently repealed) specifically because of the
concern that the registration provisions of the Indian Act might be
considered discriminatory.
[102]
Second, the Commission argues that s. 49(5)
of the CHRA also indicates that Parliament contemplated direct challenges
to legislation. This provision requires a member of the bar of a province or
the Chambre des notaires du Québec to form part of the Tribunal panel if the
complaint raises the potential inconsistency between the CHRA and
another legislative enactment.
[103]
With respect, neither of these provisions sheds
much light on the actual question at issue: Can the act of legislating be
qualified as a service such that discriminatory legislation can be challenged
directly under s. 5 of the CHRA ? These arguments conflate the
ability of the Tribunal to hear a complaint with the extent of its remedial
power. Again, the possibility of inoperability as a remedy provides no guidance
to determining the scope of what actually constitutes a discriminatory practice
pursuant to s. 5 . These two inquiries are distinct and must remain as
such.
III.
Conclusion
[104]
In sum, we agree with the Tribunal and the
courts below that bare challenges to legislation cannot be brought under
s. 5 of the CHRA . The act of legislating is not a service. Accordingly,
the Tribunal was correct in dismissing the complaints for want of an underlying
discriminatory practice.
[105]
Gascon J. suggests that the correctness
review we undertake does not differ significantly from the analysis undertaken
by the Tribunal at first instance, and on this basis, questions whether this
Court is any better situated to interpret the decision maker’s home statute
(para. 65). With respect, this misses the purpose of the courts’ role on
judicial review. That the above analysis largely tracks what was said by the
Tribunal itself does not undermine our earlier conclusion as to the standard of
review. In any instance of correctness review, it is open to the court to find
that the tribunal arrived at the correct decision. From this conclusion one
cannot draw the inference that the Tribunal is necessarily “better situated” to
make decisions than the courts, or that legislative supremacy must always
prevail over concerns as to the rule of law.
[106]
Superior courts have the constitutional obligation
to oversee the exercise of administrative decision making (s. 96 of the Constitution
Act, 1867 ; Crevier, at p. 234; Dr. Q v. College of
Physicians and Surgeons of British Columbia, 2003 SCC 19, [2003] 1 S.C.R.
226, at para. 21; Dunsmuir, at para. 29). The standard of
review analysis is what assists courts in determining the degree of deference
they ought to afford to the administrative decision maker for the purpose of
striking the appropriate balance between the rule of law and the maintenance of
legislative supremacy — not to identify who is best situated to
decide what. Moreover, the outcome of the judicial review analysis should play
no role in determining the appropriate standard. The correctness standard is
integral to the law of judicial review, insofar as it “promotes just decisions
and avoids inconsistent and unauthorized application of law” (Dunsmuir,
at para. 50).
[107]
Like our colleagues in the majority, we would
therefore dismiss the appeal. We also agree that this disposition says nothing
about the complainants’ ability to bring a claim under s. 15 of the Charter
with respect to the impugned Indian Act provisions.
The following are the reasons delivered by
Brown J. —
[108]
I agree with my colleague Gascon J. that the
Canadian Human Rights Tribunal’s answers to the questions before it — that the
act of legislating is not a “service” within the meaning of s. 5 of the Canadian
Human Rights Act, R.S.C. 1985, c. H-6 , and that there was therefore no
underlying discriminatory practice — were reasonable. I also agree with my
colleagues Côté and Rowe JJ. that the Tribunal’s answers were correct. Indeed,
paras. 56 to 66 of Gascon J.’s reasons also support the conclusion that the
Tribunal reached the correct result.
[109]
In view of the unassailability of the Tribunal’s
decisions on either standard of review, nothing more needs to be said on that
subject, at least as it applies to this appeal. I write briefly, to highlight
my more general concern regarding my colleague Gascon J.’s obiter dicta
regarding true questions of jurisdiction, and to highlight some difficulties
that may well arise from his statements regarding contextual analysis.
[110]
Justice Gascon’s discussion regarding true
questions of jurisdiction omits a central point that, while not determinative,
is in my respectful view an important consideration which militates against his
suggestion that this category of correctness review might be “euthanized”. I
refer to the Court’s expression, in Dunsmuir v. New Brunswick, 2008 SCC
9, [2008] 1 S.C.R. 190, of the continued recognition of this category as being
fundamental to judicial review. My colleague observes that “dissatisfaction
with the current state of the law is no reason to ignore our precedents
following Dunsmuir” (para. 47). But this observation applies with equal
force to Dunsmuir itself. And, in Dunsmuir, this Court, citing
the Honourable Thomas Cromwell, wrote that “the rule of law is affirmed by
assuring that the courts have the final say on the jurisdictional limits of a
tribunal’s authority” (para. 30, citing T. Cromwell, “Appellate Review: Policy
and Pragmatism”, in 2006 Isaac Pitblado Lectures, Appellate Courts: Policy,
Law and Practice, V-1, at p. V-12). This presupposes not only that the
treatment of such questions is a matter of first importance, but that such
questions continue to exist. While, therefore, one might “euthanize” the
category of true jurisdictional questions, it would not follow that such
questions themselves will disappear.
[111]
Deciding whether and how any “euthanizing” of
true questions of jurisdiction is to proceed will, therefore, require a measure
of circumspection. The exercise of public power, including delegated public
power, must always be authorized by law. Judicial review guarantees fidelity to
that principle. As I indicated in West Fraser Mills Ltd. v. British
Columbia (Workers’ Compensation Appeal Tribunal), 2018 SCC 22, at para. 124,
I accept that it is often difficult to distinguish between exercises of
delegated power that raise truly jurisdictional questions from those entailing
an unremarkable application of an enabling statute. But there will remain
questions that tend more to the former, including matters which are still
widely regarded as jurisdictional by lower courts (for example, a decision to
enact subordinate legislation: Canadian Copyright Licensing Agency (Access
Copyright) v. Canada, 2018 FCA 58, at para. 80 (CanLII)), and which raise
squarely the same concerns for the rule of law identified by this Court in Dunsmuir
as demanding a more exacting standard of review. To consign such questions to
the same, one-size-fits-all “reasonableness” standard of review that all other
questions receive would render that standard far less useful, since it would
furnish a reviewing court with no basis for distinguishing matters warranting
deference from those which do not.
[112]
It follows that abolition of the category of
true questions of jurisdiction will necessitate a concomitant shift towards
more flexible, rather than a strictly binary (or strictly reasonableness) standard
of review framework.
[113]
This brings me to my second concern, which is
the extremely narrow scope for contextual analysis that my colleague Gascon J.
states, and which would significantly impede that necessary flexibility.
Contextual analysis is, he says, “exceptional”, should be undertaken
“sparingly”, and plays a “subordinate role” in deciding the standard of review
(paras. 45-46).
[114]
Descriptors like “exceptional” and “sparingly”
are, of course, the same sort of cautions which this Court has from time to
time stated in respect of true questions of jurisdiction, which suggests that
contextual analysis may be next in line for “euthanizing”. That aside, and
with respect, and accepting that my colleague can draw from past statements of
this Court for support, such statements give little if any meaningful guidance
to lower courts. Indeed, statements suggesting that contextual review should be
applied “sparingly” or that it plays a “subordinate role” are not easily
reconciled with my colleague’s acknowledgment (at para. 46) that reviewing
courts ought to examine “factors that sho[w] a clear legislative intent
justifying the rebuttal of the presumption”. If one is considering factors
which show legislative intent, one is undertaking a contextual analysis.
[115]
My concerns with these aspects of my colleague’s
reasons do not, however, affect the result. I agree that the appeal should be
dismissed.
Appeal
dismissed.
Solicitor for the
appellant: Canadian Human Rights Commission, Ottawa.
Solicitor for the
respondent: Attorney General of Canada, Toronto.
Solicitor for the
intervener the Attorney General of Quebec: Attorney General of Quebec,
Québec.
Solicitors for the
intervener Tania Zulkoskey: Cavalluzzo, Toronto.
Solicitor for the
interveners the Income Security Advocacy Centre, the Sudbury Community Legal
Clinic, the Chinese and Southeast Asian Legal Clinic, the Community Legal
Assistance Society and the HIV & AIDS Legal Clinic Ontario: Income
Security Advocacy Centre, Toronto.
Solicitors for the
intervener the Canadian Muslim Lawyers Association: Karimjee Greene,
Toronto.
Solicitor for the
intervener the Council of Canadians with Disabilities: ARCH Disability Law
Centre, Toronto.
Solicitors for the
interveners the Women’s Legal Education and Action Fund and the Native Women’s
Association of Canada: Law Office of Mary Eberts, Toronto; Women’s Legal
Education and Action Fund Inc., Toronto; Native Women’s Association of Canada,
Ottawa.
Solicitors for the
intervener Amnesty International: Stockwoods, Toronto.
Solicitors for the
intervener the First Nations Child and Family Caring Society of Canada: Conway
Baxter Wilson, Ottawa; Equality Law, Ottawa.
Solicitor for the
intervener the African Canadian Legal Clinic: African Canadian Legal Clinic,
Toronto.
Solicitor for the
intervener the Aboriginal Legal Services: Aboriginal Legal Services,
Toronto.
Solicitors for the
intervener the Public Service Alliance of Canada: Raven, Cameron,
Ballantyne & Yazbeck, Ottawa.