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Citation:

makhija v. canada, 2008 FCA 402, [2009] 4 F.C.R. 85

A-132-08

Attorney General of Canada (Appellant)

v.

Neelam Makhija (Respondent)

Indexed as: Makhija v. Canada (Attorney General) (F.C.A.)

Federal Court of Appeal, Nadon, Blais and Pelletier JJ.A.—Montréal, November 17; Ottawa, December 15, 2008.

Ethics — Appeal from decision allowing judicial review of four decisions of Registrar of Lobbyists on ground Registrar lacking jurisdiction to investigate as respondent not registered under Lobbyists Registration Act — Purpose of Act to enable public office holders, public, to know who is engaged in lobbying activities — Agreement to undertake lobbying activities, including lobbying activities on behalf of client (in case of consultant lobbyists), giving rise to obligation to file prescribed form — Agreement to undertake lobbying activities also giving rise to obligation to comply with Lobbyists’ Code of Conduct — If Registrar having reasonable grounds for believing breach of Code has occured, entitled to conduct investigation regardless of whether or not person concerned having filed form for lobbying activities in question — Application Judge thus erring in finding respondent not subject to Code — This error resulting in failure to consider merits of application for judicial review — Appeal allowed.

  STATUTES AND REGULATIONS CITED

Lobbyists Registration Act, R.S.C., 1985 (4th Supp.), c. 44, preamble (as am. by S.C. 2003, c. 10, s. 1), ss. 5 (as am. idem, s. 4), 7(1) (as am. idem, s. 7), 8, 10.2 (as enacted by S.C. 1995, c. 12, s. 5;  2004, c. 7, s. 39), 10.3 (as enacted by S.C. 1995, c. 12, s. 5; 2003, c. 10, s. 9), 10.4 (as enacted by S.C. 1995, c. 12, s. 5; 2004, c. 7, ss. 23, 39).

    AUTHORS CITED

Lobbyists’ Code of Conduct. Ottawa: Office of the Ethics Counsellor, 1997.

    APPEAL from a decision of the Federal Court ([2009] 1 F.C.R. 137; (2008), 81 Admin. L.R. (4th) 71; 322 F.T.R. 8; 2008 FC 327) allowing the respondent’s application for judicial review of four decisions of the Registrar of Lobbyists on the ground that the Registrar lacked the jurisdiction to investigate since the respondent had not registered as a lobbyist under the Lobbyists Registration Act. Appeal allowed.

    APPEARANCES

Nathalie Benoit for appellant.

Michael N. Bergman for respondent.

    SOLICITORS OF RECORD

Deputy Attorney General of Canada for appellant.


Bergman & Associates
, Montréal, for respondent.

    The following are the reasons for judgment rendered in English by

[1]     Pelletier J.A.: This is an appeal from the decision of Martineau J. of the Federal Court, [2009] 1 F.C.R. 137, in which the application Judge allowed Mr. Neelam Makhija’s application for judicial review of four decisions of the Registrar of Lobbyists on the ground that the Registrar lacked the jurisdiction to investigate since Mr. Makhija had not “registered” as a lobbyist under the Lobbyists Registration Act, R.S.C., 1985 (4th Supp.), c. 44, as amended (the Act).

[2]     The substance of the application Judge’s reasoning is found at paragraph 84 of his amended reasons for order which reads as follows:

    An individual who engages in lobbying activities is required to register under the Act and an individual who fails to do so is in breach of the Act. However, based on the statutory scheme as it existed during the relevant period, the Registrar was not empowered to investigate an alleged breach of the Act. The Registrar’s jurisdiction was confined to investigating alleged breaches of the Code. Given that the applicant [Mr. Makhija], by failing to register, was not subject to the Code, I am of the view the Registrar exceeded his jurisdiction and erred in issuing (and tabling in Parliament) the four decisions.

[3]     For the reasons which follow, I am of the view that the application Judge erred in coming to the conclusion he did with respect to the Registrar’s jurisdiction and that the matter must be returned to him for a new hearing on the merits of the application for judicial review.

[4]     The purpose of the Act, as set out in its preamble [as am. by S.C. 2003, c. 10, s. 1], is to enable “public office holders and the public . . . to know who is engaged in lobbying activities.” Lobbying activities, which give rise to the obligation to file the prescribed form, are defined (in the case of consultant lobbyists), at paragraphs 5(1)(a) [as am. idem, s. 4] and (b) [as am. idem] of the Act in the following terms:

    5. (1) . . .

(a) communicat[ing] with a public office holder in respect of

         (i) the development of any legislative proposal by the Government of Canada or by a member of the Senate or the House of Commons,

         (ii) the introduction of any Bill or resolution in either House of Parliament or the passage, defeat or amendment of any Bill or resolution that is before either House of Parliament,

         (iii) the making or amendment of any regulation as defined in subsection 2(1) of the Statutory Instruments Act,

         (iv) the development or amendment of any policy or program of the Government of Canada,

         (v) the awarding of any grant, contribution or other financial benefit by or on behalf of Her Majesty in right of Canada, or

         (vi) the awarding of any contract by or on behalf of Her Majesty in right of Canada; or

(b) arrang[ing] a meeting between a public office holder and any other person.

[5]     It is important to recognize that it is the fact of undertaking such activities which gives rise to the obligation to file the prescribed form. This appears, in the case of consultant lobbyists, from the opening words of section 5:

    5. (1) An individual shall file with the registrar, in the prescribed form and manner, a return setting out the information referred to in subsection (2), if the individual, for payment, on behalf of any person or organization (in this section referred to as the “client”), undertakes to

(a) communicate with a public office holder . . .

[6]     Consequently, the obligation to file the prescribed form arises every time a person undertakes to engage in lobbying activities on behalf of a client.

[7]     The Act also authorizes the Registrar General of Canada to designate a person as the Registrar who is responsible for maintaining a registry of the prescribed forms filed by persons undertaking lobbying activities: see section 8 of the Act. The Act directs the Registrar, in consultation with persons or organizations having an interest in the subject-matter, to develop a Lobbyists’ Code of Conduct “respecting the activities described in subsections 5(1) and 7(1)”: see section 10.2 [as enacted by S.C. 1995, c. 12, s. 5; 2004, c. 7, s. 39] of the Act. The activities described in subsection 5(1) are those described in paragraphs 5(1)(a) and (b) of the Act. Subsection 7(1) [as am. by S.C. 2003, c. 10, s. 7] deals with in-house lobbyists—the activities with respect to those lobbyists are substantially the same as those described in paragraph 7(1)(a) of the Act.

[8]     Since it is the agreement to undertake lobbying activities which gives rise to the obligation to file the prescribed form, it is not surprising that it is this same agreement which gives rise to the obligation to comply with the Code [subsection 10.3(1) (as enacted by S.C. 1995, c. 12, s. 5; 2003, c. 10, s. 9)]:

    10.3 (1) The following individuals shall comply with the Code:

(a) an individual who is required to file a return under subsection 5(1); and

(b) an employee who, in accordance with paragraph 7(3)(f) or (f.1), is named in a return filed under subsection 7(1).

[9]     It follows from this that the application Judge erred when he found that Mr. Makhija “by failing to register, was not subject to the Code”: see paragraph 84 of the application Judge’s reasons. If Mr. Makhija was required to file the prescribed form because he agreed to undertake lobbying activities, he was, by the same token, required to comply with the Code.

[10]     The Registrar’s powers of investigation, which were the subject of the application for judicial review, are set out in section 10.4 [as enacted by S.C. 1995, c. 12, s. 5; 2004, c. 7, ss. 23 and 39] of the Act:

    10.4 (1) Where the registrar believes on reasonable grounds that a person has breached the Code, the registrar shall investigate to determine whether a breach has occurred.

[11]     As a result, assuming that the Registrar had reasonable grounds for believing that a breach of the Code had occurred, he was entitled to conduct an investigation, whether or not the person concerned had filed a prescribed form with respect to the lobbying activities in question, to see if the person had complied with the terms of the Code.

[12]     The application Judge’s error with respect to the application of the Code to a person who had not filed a prescribed form in relation to his lobbying activities caused him to cut short his consideration of Mr. Makhija’s application for judicial review without considering the merits of the application. The matter must therefore be returned to him so as to allow him to conclude the task which was before him.

[13]     I would therefore allow the appeal, set aside the orders of the application Judge:

(1) allowing the application for judicial review from each of the four decisions which were under review;

(2) quashing each of the four decisions under review;

(3) directing the Registrar to take all necessary steps with the President of the Treasury Board to have removed the four decisions that were tabled in the House of Commons and the Senate on March 19, 2007 and March 20, 2007 respectively;

(4) allowing Mr. Makhija the costs of the application;

and remit the matter to the application Judge with a direction that he decide the application for judicial review on the basis that the Registrar had the jurisdiction to undertake an investigation as to whether a breach of the Code had occurred.

[14]     Since the Attorney General of Canada has not asked for costs of the appeal, none will be granted.

    Nadon J.A.: I agree.

    Blais J.A.: I agree.

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