Judgments

Decision Information

Decision Content

A-363-85
Canadian Imperial Bank of Commerce (Appli- cant)
v.
Ellen Rifou (Respondent)
INDEXED AS: CANADIAN IMPERIAL BANK OF COMMERCE V. RIFOU
Court of Appeal, Urie, Mahoney and Stone JJ.- Toronto, May 12; Ottawa, July 9, 1986.
Labour relations - Application to set aside Adjudicator's order reinstating bank employee, dismissed upon conviction of theft under $200 from store - Application allowed under s. 28(1)(c) of Federal Court Act - Decision based on erroneous finding of fact - Adjudicator finding job not involving hand ling money; evidence to contrary - Labour Code, s. 61.5(9)(b) power of reinstatement not infringing Charter s. 2(d) freedom of association as no joint common interest objectives - Code s. 61.5 intra vires - Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 28(1)(c) - Canada Labour Code, R.S.C. 1970, c. L-1, s. 61.5 (as enacted by S.C. 1977-78, c. 27, s. 21) Constitution Act, 1867, 30 & 31 Vict., c. 3 (U.K.) [R.S.C. 1970, Appendix II, No. 5] (as am. by Canada Act 1982, 1982, c. 11 (U.K.), Schedule to the Constitution Act, 1982, Item 1), ss. 96, 97, 98, 99, 100, 101 - Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), ss. 1, 2(d) Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), s. 52 - Criminal Code, R.S.C. 1970, c. C-34, s. 294(b) (as am. by S.C. 1974-75-76, c. 93, s. 25).
Constitutional law - Distribution of powers - Canada Labour Code, s. 61.5 intra vires - S. 61.5 giving to ad hoc adjudicator appointed under Labour Code jurisdiction over claim of unjust dismissal - Jurisdiction properly belonging to superior, district or county court - Provincial ability to bestow jurisdiction on provincial agency restricted when power properly belonging to s. 96 court - Parliament not subject to same restrictions in conferring jurisdiction on administrative tribunals - Canada Labour Code, R.S.C. 1970, c. L-1, s. 61.5 (as enacted by S.C. 1977-78, c. 27, s. 21) - Constitution Act, 1867, 30 & 31 Vict., c. 3 (U.K.) [R.S.C. 1970, Appendix II, No. 5] (as am. by Canada Act 1982, 1982, c. 11 (U.K.), Schedule to the Constitution Act, 1982, Item 1), ss. 96, 97, 98, 99, 100, 101.
Constitutional law — Charter of Rights — Fundamental freedoms — Freedom of association — Adjudicator reinstat ing employee after dismissal from Bank upon criminal convic tion — S. 61.5(9)(b) of Labour Code, giving Adjudicator power of reinstatement, not infringing Charter s. 2(d) right of free dom of association — Freedom of association meaning free dom to enter into consensual arrangements to promote common interest objectives of associating group — Here no joint common interest objectives, much less group ones — Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), ss. 1, 2(d) — Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), s. 52.
Judicial review — Applications to review — Application to set aside Adjudicator's order reinstating Bank employee, dis missed upon conviction of store theft under $200 — Decision based in part on finding employee's job not involving handling money — Performance review listing duties, including selling travellers cheques and other instruments — Application allowed — Adjudicator overlooking relevant evidence — Not necessary to refuse to take notice of material to come within s. 28(1)(c) — Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 28(1)(c).
Judges and Courts — Judicial independence — Threatened if Parliament having unfettered power to transfer judicial roles from superior courts to administrative tribunals — Tests in Residential Tenancies reference for usurpation of functions of superior courts — Availability of judicial review — Impor tant that tribunal sufficiently independent for task assigned — S. 61.5 Canada Labour Code, giving Adjudicator power to order dismissed employee's reinstatement, not ultra vires Par liament — Powers necessarily incidental to broader policy goal — Tribunal not operating like s. 96 court — Canada Labour Code, R.S.C. 1970, c. L-1, s. 61.5 (as enacted by S.C. 1977-78, c. 27, s. 21).
The respondent was dismissed by her employer, a bank, after she was convicted of the theft of store merchandise valued under $200. An Adjudicator, appointed under section 61.5 of the Labour Code, reinstated her in light of her previous unblemished work record, the severity of the consequences of termination and the distance between what she did and her duties and opportunities at work. The employer asks the Court to set aside the Adjudicator's order, pursuant to paragraph 28(1)(c) of the Federal Court Act, on the ground that the Adjudicator made an erroneous finding of fact. It also submits that paragraph 61.5(9)(b) of the Code, empowering the Adjudicator to reinstate the respondent, infringes the appli cant's fundamental "freedom of association" contrary to para-
graph 2(d) of the Charter. The applicant's final argument is that the whole of section 61.5 of the Code is ultra vires as the powers it purports to confer on an adjudicator in respect of wrongful dismissal are "judicial powers" that cannot be assigned to an adjudicator, but must either be left with a superior, district or county Court of a province or assigned to a court established under section 101 of the Constitution Act, 1867.
Held, the application should be allowed and the matter referred back to the Adjudicator.
Per Stone J.: The Adjudicator based his decision in part upon a finding that the respondent's job function did not involve handling money. That was not in accordance with the evidence since the respondent's duties, as listed in her performance review, included selling travellers cheques, money orders and other instruments. The respondent relied on Re Rohm & Haas Canada Ltd., where it was held that the words "without regard for the material before it" in paragraph 28(1)(c) of the Federal Court Act connote ignoring or refusing to take notice of some material. The Adjudicator did not refuse to take notice of the performance review, but overlooked it. A tribunal that has overlooked a piece of relevant evidence in arriving at a finding of fact, and in deciding a matter on the basis of that finding has "based its decision or order on an erroneous finding of fact that it made ... without regard for the material before it".
The common thread running through the reported cases dealing with freedom of association is that the freedom guaran teed by paragraph 2(d) of the Charter is a freedom to enter into consensual arrangements to promote common interest objectives of the associating group. Paragraph 61.5(9)(b) of the Code does not infringe the freedom of association guaranteed by paragraph 2(d) of the Charter. There are not even joint common interest objectives here, much less group ones. The respondent is interested in gaining a livelihood from employ ment; the applicant's ultimate objective is to realize a profit from banking.
Within their spheres of legislative competence the provinces are subject to some restriction on their ability to bestow jurisdiction on a provincial agency, when that jurisdiction properly belongs to a section 96 court. The applicant argues, on the basis of McEvoy v. Attorney General for New Brunswick et al., that the Parliament of Canada is subject to the same restrictions when it attempts to transfer jurisdiction to a federal agency. It submits that the test in the Residential Tenancies case applies, and unless satisfied, section 61.5 is unconstitution al. To read the McEvoy case as authority for this proposition goes well beyond the question that it actually decided. The Supreme Court of Canada was dealing with a proposal by which a province would constitute a court and appoint the judges thereof and to which Parliament would transfer the jurisdiction of a superior court. The Supreme Court saw imple mentation of this scheme as violating the "fundamental princi ple" of the judicial independence of section 96 superior courts guaranteed by the judicature sections of the Constitution Act, 1867. Those sections applied and so prevented Parliament from
transferring that jurisdiction and the province from appointing those judges. There is no clear and authoritative statement on the precise issue herein. The traditional view has been that Parliament in exercising its legislative competence is not sub ject to the same restrictions in creating and vesting with jurisdiction administrative tribunals as those that bind the provincial legislatures. Section 61.5 is not ultra vires the Parlia ment of Canada.
Per Urie J. (concurring in the result): The potential for erosion of judicial independence exists if Parliament has the unfettered authority to remove traditional judicial roles from superior courts to place them in the hands of other bodies. Perhaps the requirement of judicial review is a sine qua non. Recognizing that the Residential Tenancies reference was in respect of the power of a provincial legislature to assign tradi tional judicial powers to a provincial tribunal, the three tests laid down therein have equal applicability in determining whether Parliament has usurped the functions of superior courts in assigning to other tribunals powers theretofore exer cised by them. Applying those tests, section 61.5 of the Canada Labour Code is not ultra vires because, viewing the Adjudica tor's powers in "the `context' in which they are exercised", the powers are "necessarily incidental to the achievement of a broader policy goal". It is not the "sole or central function of the tribunal ... so that the tribunal can be said to be operating 'like a s. 96 court' ".
Per Mahoney J. (concurring in the result): The power of Parliament to transfer jurisdiction need not be utterly unre strained. Perhaps the test should be whether the status of the transferee tribunal is such that a reasonable, well-informed person would perceive it to be sufficiently independent for the task assigned and that it is, in fact, that independent. Perhaps the availability of judicial review is a sine qua non. Adjudica tors appointed ad hoc under subsection 61.5(6) enjoy the necessary independence, and access to judicial review is not restricted. Section 61.5 is not ultra vires.
CASES JUDICIALLY CONSIDERED
NOT FOLLOWED:
Re Rohm & Haas Canada Ltd. and Anti-dumping Tri bunal (1978), 91 D.L.R. (3d) 212 (F.C.A.).
APPLIED:
Public Service Alliance of Canada v. The Queen, [1984] 2 F.C. 889 (C.A.); Collymore v. Attorney-General, [1970] A.C. 538 (P.C.).
DISTINGUISHED:
Black & Company v. Law Society of Alberta (1986), 68 A.R. 259 (C.A.); Young, James and Webster v. United Kingdom (1981), 4 E.H.R.R. 38; McEvoy v. Attorney General for New Brunswick et al., [ 1983] 1 S.C.R. 704.
CONSIDERED:
Residential Tenancies Act, 1979, Re, [1981] 1 S.C.R. 714; Papp v. Papp, [1970] 1 O.R. 331 (C.A.); R. v. Canada Labour Relations Board, Ex parte Federal Electric Corp. (1964), 44 D.L.R. (2d) 440 (Man. Q.B.); Canard v. Attorney-General of Canada et al. (1972), 30 D.L.R. (3d) 9 (Man. C.A.); rev'd sub nom. Attorney General of Canada et al. v. Canard, [1976] 1 S.C.R. 170; Valente v. The Queen et al., [1985] 2 S.C.R. 673.
REFERRED TO:
Re United Headwear, Optical and Allied Workers Union of Canada, Local 3 et al. and Biltmore/Stetson (Canada) Inc. et al. (1983), 43 O.R. (2d) 243 (C.A.); Re Service Employees' International Union, Local 204 and Broad- way Manor Nursing Home et al. and two other applica tions (1983), 44 O.R. (2d) 392 (Div. Ct.); Dolphin Delivery Ltd. v. Retail, Wholesale and Dept. Store Union, Loc. 580 (1984), 52 B.C.L.R. 1 (C.A.); Re Pruden Building Ltd. and Construction & General Workers' Union Local 92 et al. (1984), 13 D.L.R. (4th) 584 (Alta. Q.B.); Chappell v. Times Newspapers Ltd., [1975] 1 W.L.R. 482 (Ch.D.); Reference re Authority to perform functions vested by the Adoption Act, the Chil- dren's Protection Act, the Children of Unmarried Parents Act, the Deserted Wives' Act and Children's Mainte nance Act, of Ontario, [1938] S.C.R. 398; Labour Rela tions Board of Saskatchewan v. John-East Iron Works, Ld., [1949] A.C. 134 (P.C.); Dupont and MacLeod v. Inglis, Biron and Mann, [1958] S.C.R. 535; Tomko v. Labour Relations Board (N.S.) et al., [1977] 1 S.C.R. 112; Attorney General (Que.) et al. v. Farrah, [1978] 2 S.C.R. 638; Mississauga (City of) v. Municipality of Peel et al., [1979] 2 S.C.R. 244; Crevier v. Attorney General of Quebec et al., [1981] 2 S.C.R. 220; Attorney General of Quebec et al. v. Grondin et al., [1983] 2 S.C.R. 364; B.C. Family Relations Act, Re:, [1982] 1 S.C.R. 62; R. v. McDonald, [1958] O.R. 373 (C.A.); Valin v. Langlois (1879), 3 S.C.R. 1.
COUNSEL:
D. J. M. Brown, Q.C. for applicant. L. T. Roslyn for respondent.
SOLICITORS:
Blake, Cassels & Graydon, Toronto, for applicant.
Leighton T. Roslyn, Sudbury, Ontario, for respondent.
The following are the reasons for judgment rendered in English by
URIE J. (concurring in the result): I have had the benefit of reading the draft reasons for judg ment of both of my brothers, Mahoney and Stone JJ. As does Mahoney J., I agree completely with Stone J. on the result of the application and with his conclusions on both the erroneous finding of fact ground and on the ground relating to the alleged violation of the applicant's freedom of association as guaranteed by the Canadian Chart er of Rights and Freedoms [being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.)].
However, I share with Mahoney J. the difficulty in reconciling the constitutional status of an independent judiciary "with the notion that, within the sphere of its legislative competence, Parlia ment is entirely free to assign elsewhere the juris diction traditionally exercised by that judiciary", which is, in effect, the conclusion to which our brother Stone has come on question of the vires of Parliament to enact section 61.5 of the Canada Labour Code [R.S.C. 1970, c. L-1, as enacted by S.C. 1977-78, c. 27, s. 21]. His conclusion is an extension of the principles enunciated in the judg ments of the Supreme Court of Canada in numer ous cases but, in particular, in the Residential Tenancies Act, 1979, Re, [1981] 1 S.C.R. 714 and McEvoy v. Attorney General for New Brunswick et al., [1983] 1 S.C.R. 704. It is that extension with which I have difficulty.
Mahoney J. has succinctly expressed his doubts based upon his perception of the potential erosion of judicial independence if Parliament has the unfettered authority to remove traditional judicial roles from superior courts to place them in the hands of other bodies. He suggests that, perhaps, the possibility of judicial review is a sine qua non. I harbour the same doubts and have the same view as to the requirement, at least, of judicial review.
However, I would go one step further. Recogniz ing that the Residential Tenancies reference was in respect of the power of a provincial legislature to assign traditional judicial powers to a provincial tribunal, it appears to me that the three tests laid down therein by Dickson J. (as he then was) have
equal applicability in determining whether Parlia ment has or has not usurped the functions of superior courts in assigning to other tribunals powers theretofore exercised by them. Applying those tests to the case at bar, I have no difficulty in concluding that, contrary to what was argued by counsel for the applicant, the enactment of section 61.5 of the Canada Labour Code is not ultra vires the Parliament of Canada because, inter alia, in the third step, viewing the Adjudicator's power in "the `context' in which [these powers are] exer cised" the powers are "necessarily incidental to the achievement of a broader policy goal". It is not the "sole or central function of the tribunal ... so that the tribunal can be said to be operating 'like a s. 96 court' ". One need only view the scheme of the Act to verify that that is a correct view of the legislation.
That being so, I agree with my brothers that section 61.5 is not ultra vires the Parliament of Canada. I would, therefore dispose of the matter in the manner proposed by Stone J.
* * *
The following are the reasons for judgment rendered in English by
MAHONEY J. (concurring in the result): I have had the advantage of reading in draft the reasons for judgment prepared by my brother Stone herein. I agree in the result and am in complete agreement with his reasons on the questions of the Adjudicator's erroneous finding of fact and the alleged violation of the applicant's Charter guar anteed freedom of association.
There is an aspect of his reasons relative to the ultra vires argument which disturbs me a great deal. As Mr. Justice Stone has very clearly demon strated, there is a substantial body of highly respectable judicial opinion supporting the propo sition that Parliament is under no constitutional restraint whatever in assigning to federal adminis trative tribunals, or to federal officials, jurisdiction traditionally exercised by section 96 courts. I must say that I find that baldly stated proposition repugnant.
While McEvoy v. Attorney General for New Brunswick et al., [1983] 1 S.C.R. 704, dealt with a Charter guaranteed right, and this issue is not based on the Charter, it was said there, at page 720:
The traditional independence of English Superior Court judges has been raised to the level of a fundamental principle of our federal system by the Constitution Act, 1867 and cannot have less importance and force in the administration of crimi nal law than in the case of civil matters. Under the Canadian constitution the Superior Courts are independent of both levels of government. The provinces constitute, maintain and organize the Superior Courts; the federal authority appoints the judges. The judicature sections of the Constitution Act, 1867 guarantee the independence of the Superior Courts; they apply to Parlia ment as well as to the Provincial Legislatures.
I cannot, with respect, reconcile the constitutional status of an independent judiciary with the notion that, within the sphere of its legislative compe tence, Parliament is entirely free to assign else where the jurisdiction traditionally exercised by that judiciary. What is the point of a constitution ally enshrined independent judiciary if Parliament is at liberty to strip it of its jurisdiction?
It almost goes without saying that the practical requirements of the administration of justice will no more be satisfactorily met in the future, than in the past, by a static division of jurisdiction be tween section 96 courts and other tribunals. That does not, however, necessitate that the power of Parliament to transfer jurisdiction be utterly unrestrained.
A good deal of the discussion of judicial in dependence in Valente v. The Queen et al., [1985] 2 S.C.R. 673, is of some relevance to this question, although it, too, was a Charter case. Perhaps, as suggested there, at page 689, the test should be whether the status of the transferee tribunal is such that a reasonable, well-informed person would perceive it to be sufficiently independent for the task assigned and that it is, in fact, that independent. Perhaps, too, the availability of judi cial review is a sine qua non.
On that basis, I have no difficulty agreeing in that section 61.5 of the Canada Labour Code is not ultra vires Parliament. Adjudicators appointed
ad hoc under subsection 61.5(6) enjoy the neces sary independence, and access to judicial review is not restricted.
* * *
The following are the reasons for judgment rendered in English by
STONE J.: Mrs. Rifou, a long-time employee, lost her job with the Bank after being convicted of a criminal offence. An Adjudicator appointed and acting pursuant to section 61.5 of the Canada Labour Code, R.S.C. 1970, c. L-1, as amended, reinstated her to employment without compensa tion or other benefits. This Court is now asked to set aside the Adjudicator's decision and order which is dated March 27, 1985.
The decision and order was made in the follow ing circumstances. On June 18, 1984 the respond ent's employment was terminated by notice in writing of the same date. In the previous month she had been convicted of stealing store merchan dise of a value not exceeding $200 contrary to paragraph 294(b) of the Criminal Code [R.S.C. 1970, c. C-34 (as am. by S.C. 1974-75-76, c. 93, s. 25)]. At the time of her conviction she was serving the applicant as a Liability or Loans Offi cer. She had held various positions with the Bank from the time she entered into employment in 1967. Her work record was without blemish prior to this occurrence, leading the Adjudicator to con clude that it showed "a high sense of responsibility and a high level of competence and collegiality". He went on to state at pages 7-8 of his decision and order:
I conclude that the theft was an aberration, for which there may not be an explanation known to the Complainant, and that, given the event of criminal conviction and suspension from employment, which may be much more reliable conditioners than an excuse which may be contrived or an expression of remorse that may be fabricated, the aberration is a much less plausible base for projecting future conduct than the Complai nant's long and commendable work record. I note also that her job function is clerical, and does not involve handling money or like property. I note also that the theft was not work related and occurred off duty and off the employer's premises. I accept the Complainant's explanation for the incorrect and cryptic statements in the Unemployment Insurance events. The expla nations are credible and I believe them.
I conclude, therefore, that the facts do not establish a case for an uncompromising response from the Employer to the Com plainant's culpable behaviour. That conclusion lets in the Com plainant's case for mitigation, mainly her work record, the complex severity of the consequences of termination, and the distance between what she did and her duties and opportunities at work.
The applicant makes three separate attacks on the decision and order. It says that the learned Adjudicator based his decison upon an erroneous finding of fact made without regard for the ma terial before him and, accordingly, that the deci sion and order should be set aside in accordance with paragraph 28(1)(c) of the Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10. Secondly, it says that the provisions of paragraph 61.5(9)(b) of the Code empowering the Adjudicator to reinstate the respondent infringes the applicant's fundamental "freedom of association" contrary to paragraph 2(d) of the Canadian Charter of Rights and Free doms and that that paragraph is not saved by section 1 of the Charter. Finally, the applicant argues that the whole of section 61.5 of the Code is ultra vires the Parliament of Canada in that the powers it purports to confer on an adjudicator, being in respect of wrongful dismissal from employment, are "judicial powers" that cannot be assigned to an adjudicator but must either be left with a superior, district or county court of a province or assigned to a court established under section 101 of the Constitution Act, 1867 [30 & 31 Vict., c. 3 (U.K.) [R.S.C. 1970, Appendix II, No. 5] (as am. by Canada Act 1982, 1982, c. 11 (U.K.), Schedule to the Constitution Act, 1982, Item 1)]. I shall deal with these issues in turn.
ERRONEOUS FINDING OF FACT
The basis of this attack is the above quoted finding of the Adjudicator that the respondent's "job function ... does not involve handling money or like property". Counsel argues that the finding simply does not accord with the evidence and, in particular, with that contained in a performance review dated April 24, 1984 in which the respon dent's regular duties are enumerated. The perfor mance review document required that those duties "be listed in order or importance" and that less significant duties "be clustered into fewer state ments where the content and ratings do not require
special attention". Among the regular duties enu merated are the following found in item 11 among the 14 items listed in the document:
11. Transact business with customers and non customers, sell ing travellers cheques, drafts, money orders, CSB's, GIC's, Term Deposit, Safety Deposit Boxes, cables, etc. as well as all other instruments.
There can be little doubt that this evidence, involving as it does "selling" by the respondent of travellers cheques and other instruments, points rather plainly to the handling of money by her as one of her regular duties. Even so, it is argued, the decision and order was not based upon that finding but rather upon a finding that the theft "is a much less plausible base for projecting future conduct than the Complainant's long and commendable work record". I am quite unable to accept this submission. A reading of the decision and order as a whole convinces me that the Adjudicator did base his decision to reinstate the respondent to employment at least in part upon his finding that her work "did not involve handling money or like property". It is among the several reasons he gives for doing so.
Was the finding in issue made "without regard for the material before" the Adjudicator within the meaning of paragraph 28(1)(c) of the Federal Court Act? That paragraph reads:
28. (1) Notwithstanding section 18 or the provisions of any other Act, the Court of Appeal has jurisdiction to hear and determine an application to review and set aside a decision or order, other than a decision or order of an administrative nature not required by law to be made on a judicial or quasi-judicial basis, made by or in the course of proceedings before a federal board, commission or other tribunal, upon the ground that the board, commission or tribunal
(c) based its decision or order on an erroneous finding of fact that it made in a perverse or capricious manner or without regard for the material before it.
It is not contended that the finding was made "in a perverse or capricious manner". The respondent relies on certain views expressed by this Court in Re Rohm & Haas Canada Ltd. and Anti-dump-
ing Tribunal (1978), 91 D.L.R. (3d) 212 (F.C.A.), concerning the meaning of the words "without regard for the material before it". They are found in the following passage of the judgment, at pages 214-216, where Chief Justice Jackett stated:
In considering an attack based on s. 28(1)(c) it should be kept in mind that, for such an attack to succeed, there are, according to the wording of s. 28(1)(c), three conditions prece dent, viz.:
(a) the Tribunal must have made an "erroneous" finding of fact;
(b) that erroneous finding must have been made
(i) in a perverse or capricious manner, or
(ii) without regard for the material before the Tribunal, and
(c) the decision attacked must be "based" on the erroneous finding.
In my view, none of the alleged "erroneous" findings can be said, on a fair reading of the Tribunal's "Statement of Rea sons" to meet the second of these requirements. It was not suggested that the Tribunal was guilty of perversity (i.e., wilfully going contrary to the evidence) or of capriciousness. As to the words "without regard for the material before it", in my view, they connote that the Tribunal has ignored (i.e., refused to take notice of) that material or some significant part of it and not merely that the supervisory Court would have evaluat ed it differently than the Tribunal did. [Footnotes omitted.]
Counsel for the respondent submits that, in arriving at his decision, the Adjudicator did not refuse to take notice of the performance review for it is explicitly referred to on pages 1 and 2 of his decision and order and, inferentially, by his refer ence to the respondent's "work record" made else where in the decision. On the other hand, it would seem that the Adjudicator failed to notice the content of item 11 of that review. If he had noticed it he would not have found that the respondent's "job function ... does not involve handling money or like property". It is not suggested that he refused to notice that particular piece of evidence but only that he appears to have overlooked it. I agree. In my view, a tribunal that has overlooked a piece of relevant evidence in arriving at a finding of fact and in deciding a matter on the basis of that finding has "based its decision or order on an erroneous finding of fact that it made . .. without regard for the material before it". That, surely, is what occurred here. I think the applicant has made out its case on the point and, ordinarily, that the
decision and order should be set aside and the matter referred back with directions.
Before considering this latter aspect, however, I should address the second issue for, if the appli cant be correct in that contention, the powers of the Adjudicator under section 61.5 of the Code would necessarily be limited, so much so that he could not order reinstatement even if his conclu sion on the merits remains unchanged. He would be left to select another remedy or remedies pro vided for in subsection 61.5(9). The third issue also requires attention at this stage for if, as is claimed, section 61.5 is ultra vires the Parliament of Canada, the Adjudicator would be powerless to award any remedy at all.
FREEDOM OF ASSOCIATION
The provisions of paragraph 61.5(9)(b) of the Code, it is argued, infringes the freedom of asso ciation guaranteed to the applicant by paragraph 2(d) of the Charter:
2. Everyone has the following fundamental freedoms: (d) freedom of association.
It was conceded for the purpose of this argument that the word "everyone" includes the applicant although it is a corporate entity. The applicant goes on to argue that paragraph 61.5(9)(b) of the Code is not saved by section 1 of the Charter:
1. The Canadian Charter of Rights and Freedoms guaran tees the rights and freedoms set out in it subject only to such reasonable limits prescribed by law as can be demonstrably justified in a free and democratic society.
Paragraph 61.5(9)(b) is found in Division V.7 of the Code under the heading "UNJUST DISMISS AL". Subsection (1) thereof entitled the respon dent to make a complaint in writing to an inspec tor if she considered her dismissal to be unjust. Upon receipt of an inspector's report the Minister is authorized by subsection (6) to appoint an adjudicator "to hear and adjudicate upon the com plaint" and to "refer the complaint to the adjudicator". The remedial powers conferred are found in subsection 61.5(9):
61.5...
(9) Where an adjudicator decides pursuant to subsection (8) that a person has been unjustly dismissed, he may, by order, require the employer who dismissed him to
(a) pay the person compensation not exceeding the amount of money that is equivalent to the remuneration that would, but for the dismissal, have been paid by the employer to the person;
(b) reinstate the person in his employ; and
(c) do any other like thing that it is equitable to require the employer to do in order to remedy or counteract any conse quence of the dismissal.
If we were to accept the applicant's submission that paragraph 61.5(9)(b) is inconsistent with the Charter the provisions of subsection 52(1) of the Constitution Act, 1982 [Schedule B, Canada Act 1982, 1982, c. 11 (U.K.)] would apply. It reads:
52. (1) The Constitution of Canada is the supreme law of Canada, and any law that is inconsistent with the provisions of the Constitution is, to the extent of the inconsistency, of no force or effect.
The applicant's argument runs as follows: that it ought not to be forced by law to employ a person in whom it has lost confidence due to a criminal conviction; that paragraph 2(d) of the Charter frees the applicant from doing so by guaranteeing everyone the freedom to associate with whomever he pleases in whatever context; that that freedom implies choice as to with whom one wishes to associate and without that choice "freedom of association would have little practical meaning"; and that because it is being required to re-employ the respondent, paragraph 61.5(9)(b) infringes its "freedom of association" guaranteed by paragraph 2(d). On the other side it is argued that paragraph 2(d) does not apply because it guarantees freedom to enter into consensual arrangements to promote the common interest objectives of the associating group rather than the one-on-one relationship that results from a contract of employment.
So far as I can determine, the precise point has not heretofore been passed upon by a Canadian court in any of the reported cases. There are, however, a number of decisions in the books deal ing with the application of paragraph 2(d) (see e.g. Re United Headwear, Optical and Allied Workers Union of Canada, Local 3 et al. and Biltmore/ Stetson (Canada) Inc. et al. (1983), 43 O.R. (2d) 243 (C.A.); Re Service Employees' International Union, Local 204 and Broadway Manor Nursing
Home et al. and two other applications (1983), 44 O.R. (2d) 392 (Div. Ct.); Dolphin Delivery Ltd. v. Retail, Wholesale and Dept. Store Union, Loc. 580 (1984), 52 B.C.L.R. 1 (C.A.); Public Service Alliance of Canada v. The Queen, [1984] 2 F.C. 889 (C.A.)). I do not think it is necessary to analyze all of these cases for, in general, they are concerned with whether association activities are covered by paragraph 2(d) rather than with free dom to enter into an association.
There is, I think, a common thread running through most of the reported cases. It is this, that the "freedom of association" guaranteed by para graph 2(d) is a freedom to enter into consensual arrangements to promote common interest objec tives of the associating group. The underlying case is a decision of the Privy Council in Collymore v. Attorney-General, [1970] A.C. 538 in an appeal from the Court of Appeal of Trinidad and Tobago. The issue there was whether a public statute which provided a system for the compulsory settlement of labour disputes and which prohibited strikes and lock-outs infringed the "freedom of association" recognized and declared in section 1(j) of The Trinidad and Tobago [Trinidad and Tobago (Constitution) Order in Council 1962, S.I. 1962/ 1875]. Section 1 of that Constitution read [as quoted at pages 543-544]:
1. It is hereby recognised and declared that in Trinidad and Tobago there have existed and shall continue to exist without discrimination by reason of race, origin, color, religion or sex, the following human rights and fundamental freedoms, namely, (a) the right of the individual to life, liberty, security of the person and enjoyment of property, and the right not to be deprived thereof except by due process of law; (b) the right of the individual to equality before the law and the protection of the law; (c) the right of the individual to respect for his private and family life; (d) the right of the individual to equality of treatment from any public authority in the exercise of any functions; (e) the right to join political parties and to express political views; (/) the right of a parent or guardian to provide a school of his own choice for the education of his child or ward; (g) freedom of movement; (h) freedom of conscience and religious belief and observance; (i) freedom of thought and expression; (j) freedom of association and assembly; and (k) freedom of the press.
Lord Donovan summarized the arguments on both sides of the issue, at page 546:
The appellants now claim that the Act is void since it infringes their freedom of association which section 1 of the Constitution declares has existed "and shall continue to exist": and any abrogation, abridgment or infringement of which is
forbidden by section 2, save in circumstances which admittedly do not exist in the present case.
The argument runs thus: "Freedom of Association" must be construed in such a way that it confers rights of substance and is not merely an empty phrase. So far as trade unions are concerned, the freedom means more than the mere right of individuals to form them: it embraces the right to pursue that object which is the main raison d'être of trade unions, namely, collective bargaining on behalf of its members over wages and conditions of employment. Collective bargaining in its turn is ineffective unless backed by the right to strike in the last resort. It is this which gives reality to collective bargaining. Accord ingly, to take away or curtail the right to strike is in effect to abrogate or abridge that freedom of association which the Constitution confers.
The argument of the respondent is that "freedom of associa tion" in section 1(j) of the Constitution means no more than it says, that persons are free to associate. It does not mean that the purposes for which they associate, and the objects which in association they pursue, are sacrosanct under the Constitution and cannot be altered or abridged save by the special procedure provided by section 5.
That case, like some of the decided cases in this country, was concerned with whether association activities were protected by "freedom of associa tion". Nevertheless, in affirming the decision of the Court of Appeal for Trinidad and Tobago the Privy Council appears clearly to have endorsed the notion that "freedom of association", at least in the context of section 1 of that Constitution, refers to freedom to enter into consensual arrangements to promote common interest objectives of the associating group. The opinion of the Court appealed from was quoted by Lord Donovan, at page 547 of the report:
In my judgment, then, freedom of association means no more than freedom to enter into consensual arrangements to promote the common interest objects of the associating group. The objects may be any of many. They may be religious or social, political or philosophical, economic or professional, educational or cultural, sporting or charitable. But the freedom to associate confers neither right nor licence for a course of conduct or for the commission of acts which in the view of Parliament are inimical to the peace, order and good government of the country.
Among the cases which have dealt with the meaning of paragraph 2(d) of the Charter is the decision of this Court in Public Service Alliance of Canada v. The Queen (supra). It affirmed a deci sion of the Trial Division which held that the right of employees to bargain collectively through their union was not protected by paragraph 2(d). In his majority judgment, Mr. Justice Mahoney made
reference to the Collymore case, at page 894 of the report as follows:
In Collymore v. Attorney-General of Trinidad and Tobago, ([1969] 2 All E.R. 1207 (P.C.)) the Judicial Committee of the Privy Council upheld the judgment of the Court of Appeal of Trinidad and Tobago which held that legislation abridging the right to bargain collectively and to strike did not breach the right to freedom of association guaranteed by that country's constitution. In so doing, the judgment of the Court of Appeal was quoted with approval [at page 1211]:
In my judgment, then, freedom of association means no more than freedom to enter into consensual arrangements to pro mote the common interest objects of the association (sic) group.
I agree.
The recent decision of the Court of Appeal of Alberta in Black & Company v. Law Society of Alberta (1986), 68 A.R. 259 was a case of a different kind than those already mentioned. There, certain Rules of the Law Society of Alberta were challenged by a group of Alberta solicitors as, among other things, infringing the "freedom of association" guaranteed to them by paragraph 2(d) of the Charter. The Rules forbade an active member ordinarily residing and carrying on prac tice within the Province from entering into or from continuing "any partnership, association or other arrangement for the joint practice of law with anyone who is not an active member ordinarily resident in Alberta" and prohibited any member from being a partner in or being associated for the practice of law with more than one law firm. The Court of Appeal considered the Rules to be invalid as infringing the freedom of the Alberta solicitors guaranteed to them by paragraph 2(d) of associat ing with a group of solicitors residing and practis ing their profession in Ontario. The views of the Court on the point are found in the judgment of Kerans J.A. and in the separate judgment of Ste- venson J.A. (concurred in by Lieberman J.A.). On the issue of "freedom of association" Kerans J.A. said, at page 274:
... the solicitors have the right to associate among themselves and with others inside and outside Alberta for the purpose of seeking a livelihood in the profession for which they were qualified.
Stevenson J.A. came to the same conclusion. At page 302 he said:
I agree that both rules also violate s. 2(d) which protects the formation of an association for the earning of a livelihood. The learned trial judge suggested that the office of s. 2(d) was to
protect association for the purpose of advancing the freedoms recognized by ss. 2(a) and (b). His interpretation would not protect the formation of trade unions unless formed for political purposes, yet he acknowledges that the expression "freedom of association" must be understood to extend the formation of such associations. I agree that the formation of such associa tions is Charter protected and once formed purposes found within ss. 2(a) and (b) are also Charter protected. Once the formation of associations for the improvement of working conditions is protected I conclude that "freedom of association" extends to association with the object of the earning of a livelihood. I need not consider the extent, if any, to which the Charter protects the objects as the impugned rules strike at formation.
That case, unlike the present one, was concerned with freedom to enter into consensual arrange ments to promote common interest objectives of the two groups of solicitors involved. That is not the situation here. On the other hand, the appli cant relies on a decision of the European Court of Human Rights in Young, James and Webster v. United Kingdom (1981), 4 E.H.R.R. 38. It was decided under Article 11 of the European Conven tion for the Protection of Human Rights and Fundamental Freedoms [European Conventions and Agreements, Council of Europe, Strasbourg, 1971, Vol. 1, p. 21; ETS 5]:
Article 11
1. Everyone has the right to freedom of peaceful assembly and to freedom of association with others, including the right to form and to join trade unions for the protection of his interests.
2. No restrictions shall be placed on the exercise of these rights other than such as are prescribed by law and are necessary in a democratic society in the interests of national security or public safety, for the prevention of disorder or crime, for the protection of health or morals or for the protec tion of the rights and freedoms of others. This article shall not prevent the imposition of lawful restrictions on the exercise of these rights by members of the armed forces, of the police or of the administration of the State.
A "closed shop" agreement entered into by an employer, British Rail, in 1975, required the dis missal from employment of the three non-union employees hired in earlier years. The employees argued that the trade union membership condition required by that agreement infringed their "free- dom of association" in its negative sense of not to be compelled to join the union. The Court agreed. It gave its opinion on the point, at page 54:
55. The situation facing the applicants clearly runs counter to the concept of freedom of association in its negative sense.
Assuming that Article 11 does not guarantee the negative aspect of that freedom on the same footing as the positive aspect, compulsion to join a particular trade union may not always be contrary to the Convention.
However, a threat of dismissal involving loss of livelihood is a most serious form of compulsion and, in the present instance, it was directed against persons engaged by British Rail before the introduction of any obligation to join a particular trade union.
In the Court's opinion, such a form of compulsion, in the circumstances of the case, strikes at the very substance of the freedom guaranteed by Article 11. For this reason alone, there has been an interference with that freedom as regards each of the three applicants.
A Canadian jurist has observed that that case "has been the subject of much discussion, if not to say controversy" (per Sinclair J. in Re Pruden Build ing Ltd. and Construction & General Workers' Union Local 92 et al. (1984), 13 D.L.R. (4th) 584 (Alta. Q.B.), at page 597). In any event, it was concerned with freedom to enter into consensual arrangements (membership in a trade union) in the negative sense discussed by the European Court of Human Rights. It was not concerned with interference with a desire of an employer not to continue an employment relationship due to loss of confidence in an employee. I am unable to gain any real assistance from that case.
The question we have to decide is whether para graph 61.5(9)(b) of the Code infringes the "free- dom of association" guaranteed to the applicant under paragraph 2(d) of the Charter. I have come to the conclusion that it does not do so. There are not in this case even joint common interest objec tives much less group ones. The respondent is basically interested in gaining a livelihood from employment in a position which she had held for many years and in which she had performed well; the applicant's ultimate objective, on the other hand, is to realize a profit from an operation in the banking industry. In my judgment, paragraph 61.5(9)(b) of the Code does not infringe the free dom guaranteed by paragraph 2(d) of the Charter and, accordingly, there is no need to consider the section 1 argument.
THE ULTRA VIRES ARGUMENT
I come, finally, to the third ground of attack. It is here argued that the whole of section 61.5 of the
Code (or at least paragraph (9)(b) thereof) is ultra vires the Parliament of Canada in that it purports to transfer to an ad hoc adjudicator appointed under the Code jurisdiction or power over a claim that the respondent was "unjustly dismissed" within the meaning of the Code and the legal consequences of that dismissal when that jurisdiction or power properly belongs to a Supe rior, District or County Court under section 96 of the Constitution Act, 1867 or to a Court estab lished under section 101 thereof. At common law, it is argued, a superior court does not attempt to reinstate a dismissed employee (see e.g. Chappell v. Times Newspapers Ltd., [1975] 1 W.L.R. 482 (Ch.D.), at page 496; aff d loc. cit. page 496 (C.A.)). The Adjudicator purported to do so pur suant to the Code. At the opening of the hearing counsel for the applicant filed a supplemental memorandum of argument on the point and informed us that it had been served on the Attor ney General of Canada but that the latter had decided not to participate. This new point was not addressed in argument before us. Instead, the par ties were invited to submit written argument and that has now been done.
Sections 96 and 101 are found in the JUDICA TURE section of the Constitution Act, 1867 which consist of sections 96 to 101 reading as follows:
96. The Governor General shall appoint the Judges of the Superior, District, and County Courts in each Province, except those of the Courts of Probate in Nova Scotia and New Brunswick.
97. Until the Laws relative to Property and Civil Rights in Ontario, Nova Scotia, and New Brunswick, and the Procedure of the Courts in those Provinces, are made uniform, the Judges of the Courts of those Provinces appointed by the Governor General shall be selected from the respective Bars of those Provinces.
98. The Judges of the Courts of Quebec shall be selected from the Bar of that Province.
99. (1) Subject to subsection (2) of this section, the judges of the superior courts shall hold office during good behaviour, but shall be removable by the Governor General on address of the Senate and House of Commons.
(2) A judge of a superior court, whether appointed before or after the coming into force of this section, shall cease to hold office upon attaining the age of seventy-five years, or upon the coming into force of this section if at that time he has already attained that age.
100. The Salaries, Allowances, and Pensions of the Judges of the Superior, District, and County Courts (except the Courts of
Probate in Nova Scotia and New Brunswick), and of the Admiralty Courts in Cases where the Judges thereof are for the Time being paid by Salary, shall be fixed and provided by the Parliament of Canada.
101. The Parliament of Canada may, notwithstanding any thing in this Act, from Time to Time provide for the Constitu tion, Maintenance, and Organization of a General Court of Appeal for Canada, and for the Establishment of any addition al Courts for the better Administration of the Laws of Canada.
It seems now to be well settled that within their spheres of legislative competence the provinces are subject to some restriction on their ability to bestow jurisdiction or power on a provincial agency when that jurisdiction or power properly belongs to a section 96 court (Reference re Au thority to perform functions vested by the Adop tion Act, the Children's Protection Act, the Chil dren of Unmarried Parents Act, the Deserted Wives' Act and Children's Maintenance Act, of Ontario, [1938] S.C.R. 398; Labour Relations Board of Saskatchewan v. John-East Iron Works, Ld., [1949] A.C. 134 (P.C.); Dupont and Mac- Leod v. Inglis, Biron and Mann, [1958] S.C.R. 535; Tomko v. Labour Relations Board (N.S.) et al., [1977] 1 S.C.R. 112; Attorney General (Que.) et al. v. Farrah, [1978] 2 S.C.R. 638; Mississauga (City of) v. Municipality of Peel et al., [1979] 2 S.C.R. 244; Residential Tenancies Act, 1979, Re, [1981] 1 S.C.R. 714; Crevier v. Attorney General of Quebec et al., [1981] 2 S.C.R. 220; Attorney General of Quebec et al. v. Grondin et al., [1983] 2 S.C.R. 364). This is not to say that a province is entirely without ability to do so but when it acts it must do so in a manner that is constitutionally acceptable according to the decided cases (B.C. Family Relations Act, Re:, [1982] 1 S.C.R. 62, at pages 112-113). Specifically, the jurisdiction or power conferred must meet the tests of those cases and, in particular, the three-part test laid down by the Supreme Court of Canada in the Residential Tenancies case, at pages 734-736, where Dickson J. [as he then was] stated:
The jurisprudence since John East leads one to conclude that the test must now be formulated in three steps. The first involves consideration, in the light of the historical conditions existing in 1867, of the particular power or jurisdiction con ferred upon the tribunal. The question here is whether the power or jurisdiction conforms to the power or jurisdiction
exercised by superior, district or county courts at the time of Confederation. This temporary segregation, or isolation, of the impugned power is not for the purpose of turning back the clock and restoring Toronto v. York as the governing authority, an approach deplored in Mississauga. It is rather the first step in a three step process.
If the historical inquiry leads to the conclusion that the power or jurisdiction is not broadly conformable to jurisdiction formerly exercised by s. 96 courts, that is the end of the matter. As Rand J. noted in Dupont et al. v. Inglis et al. ([1958] S.C.R. 535), "Judicial power not of that type, [i.e. that exer cised by s. 96 courts at Confederation] such as that exercised by inferior courts, can be conferred on a provincial tribunal whatever its primary character" (p. 542). If, however, the historical evidence indicates that the impugned power is identi cal or analogous to a power exercised by s. 96 courts at Confederation, then one must proceed to the second step of the inquiry.
Step two involves consideration of the function within its institutional setting to determine whether the function itself is different when viewed in that setting. In particular, can the function still be considered to be a `judicial' function? In addressing the issue, it is important to keep in mind the further statement by Rand J. in Dupont v. Inglis that "... it is the subject-matter rather than the apparatus of adjudication that is determinative". Thus the question of whether any particular function is `judicial' is not to be determined simply on the basis of procedural trappings. The primary issue is the nature of the question which the tribunal is called upon to decide. Where the tribunal is faced with a private dispute between parties, and is called upon to adjudicate through the application of a recog nized body of rules in a manner consistent with fairness and impartiality, then, normally, it is acting in a `judicial capacity'. To borrow the terminology of Professor Ronald Dworkin, the judicial task involves questions of `principle', that is, consider ation of the competing rights of individuals or groups. This can be contrasted with questions of `policy' involving competing views of the collective good of the community as a whole. (See Dworkin, Taking Rights Seriously (Duckworth, 1977) pp. 82-90.)
If, after examining the institutional context, it becomes apparent that the power is not being exercised as a "judicial power" then the inquiry need go no further for the power, within its institutional context, no longer conforms to a power or jurisdiction exercisable by a s. 96 court and the provincial scheme is valid. On the other hand, if the power or jurisdiction is exercised in a judicial manner, then it becomes necessary to proceed to the third and final step in the analysis and review the tribunal's function as a whole in order to appraise the impugned function in its entire institutional context. The phrase—`it is not the detached jurisdiction or power alone that is to be considered but rather its setting in the institutional arrangements in which it appears'—is the central core of the judgment in Tomko. It is no longer sufficient simply to exam ine the particular power or function of a tribunal and ask whether this power or function was once exercised by s. 96
courts. This would be examining the power or function in a `detached' manner, contrary to the reasoning in Tomko. What must be considered is the `context' in which this power is exercised. Tomko leads to the following result: it is possible for administrative tribunals to exercise powers and jurisdiction which once were exercised by the s. 96 courts. It will all depend on the context of the exercise of the power. It may be that the impugned `judicial powers' are merely subsidiary or ancillary to general administrative functions assigned to the tribunal (John East; Tomko) or the powers may be necessarily incidental to the achievement of a broader policy goal of the legislature (Mississauga). In such a situation, the grant of judicial power to provincial appointees is valid. The scheme is only invalid when the adjudicative function is a sole or central function of the tribunal (Farrah) so that the tribunal can be said to be operating 'like a s. 96 court'.
The present case, of course, does not involve a transfer by a provincial legislature of jurisdiction or power from a section 96 court to a provincial administrative tribunal. Nevertheless, the argu ment is made that the reasoning which has gone into the decisions that have restricted transfer of such jurisdiction or power at the provincial level operates with equal force at the federal level. In other words, it is said that any attempt by the Parliament of Canada to transfer such jurisdiction or power to a federal agency must be treated in precisely the same way as an attempt by a provin cial legislature to transfer jurisdiction or power of the same nature to a provincial agency. The test laid down in the Residential Tenancies case, it is submitted, applies in a situation like that of the present and unless that test is satisfied section 61.5 of the Code must be viewed as being unconstitu tional.
The applicant relies upon the decision of the Supreme Court of Canada in McEvoy v. Attorney General for New Brunswick et al., [1983] 1 S.C.R. 704 as supporting this submission. The Supreme Court was there concerned with the constitutional validity of a proposal to establish a unified crimi nal court in the Province of New Brunswick. According to the proposal the new Court would exercise complete criminal jurisdiction, would replace the Provincial Court and its judges would be appointed by the province. Another element of the proposal would require the Parliament of Canada to amend the Criminal Code and other federal statutes so as to confer jurisdiction in criminal matters on the proposed Court. The effect of the judgment rendered by the Court of Appeal
for New Brunswick was to approve the proposal as being constitutionally valid. But the Supreme Court of Canada disagreed. In the course of its judgment the Supreme Court observed (at page 718) that the proposal would "separate the new Court from provincial Superior Courts" and it added at pages 718-719:
Will that help or advance the matter if functional consider ations have to be considered? It has long been the rule that s. 96, although in terms an appointing power, must be addressed in functional terms lest its application be eroded. What then, is the relation between the proposed new statutory Court and s. 96? This is the key constitutional issue in the present case and, as we view the matter, the result is to defeat the new statutory Court because it will effectively be a s. 96 Court.
This is followed by a recital of sections 96-100 of the Constitution Act, 1867 which are noted as being "couched in mandatory terms" and as not resting "merely on federal statutory powers". There then follows the Court's opinion on the constitutional validity of the proposal. It said at pages 719-721:
What is being contemplated here is not one or a few transfers of criminal law power, such as has already been accomplished under the Criminal Code, but a complete obliteration of Supe rior Court criminal law jurisdiction. Sections 96 to 100 do not distinguish between courts of civil jurisdiction and courts of criminal jurisdiction. They should not be read as permitting the Parliament of Canada through use of its criminal law power to destroy Superior Courts and to deprive the Governor General of appointing power and to exclude members of the Bar from preferment for Superior Court appointments.
Parliament can no more give away federal constitutional powers than a province can usurp them. Section 96 provides that "The Governor General shall appoint the Judges of the Superior, District, and County Courts in each Province". The proposal here is that Parliament transfer the present Superior Courts' jurisdiction to try indictable offences to a provincial court. The effect of this proposal would be to deprive the Governor General of his power under s. 96 to appoint the judges who try indictable offences in New Brunswick. That is contrary to s. 96. Section 96 bars Parliament from altering the constitutional scheme envisaged by the judicature sections of the Constitution Act, 1867 just as it does the provinces from doing so.
The traditional independence of English Superior Court judges has been raised to the level of a fundamental principle of our federal system by the Constitution Act, 1867 and cannot have less importance and force in the administration of crimi nal law than in the case of civil matters. Under the Canadian constitution the Superior Courts are independent of both levels
of government. The provinces constitute, maintain and organize the Superior Courts; the federal authority appoints the judges. The judicature sections of the Constitution Act, 1867 guarantee the independence of the Superior Courts; they apply to Parlia ment as well as to the Provincial Legislatures.
Both sides of the proposal under review are flawed. Parlia ment cannot in effect give away the Governor General's s. 96 appointing power under colour of legislation vesting jurisdiction to try all indictable offences in a provincial court. New Bruns- wick cannot exercise an appointing power in respect of courts with s. 96 jurisdiction under colour of legislation in relation to the constitution, maintenance and organization of courts with criminal jurisdiction.
The applicant argues on the basis of that deci sion that the Parliament of Canada acting within its own field of legislative competence can no more remove or restrict the core of jurisdiction guaran teed to a "Superior Court" by sections 96-100 of the Constitution Act, 1867 than can a provincial legislature do so acting within its field of legisla tive competence. The question has been the subject of much debate by the textwriters both pro (Dean W. R. Lederman, "The Independence of the Judiciary", (1956) 34 Can. B. Rev. 769, 1139; Professor R. Elliot, "New Brunswick Unified Criminal Court Reference", (1984) 18 U.B.C. L. Rev. 127) and con (Professor A. Abel, Laskin's Canadian Constitutional Law, 1975 (Rev. 4th ed.); Professor P. Hogg Constitutional Law of Canada, 1985 (2nd ed.)) and both prior and subse quent to the McEvoy decision. I do not think it would profit us to discuss these differing views for it seems to me that the primary focus must surely be on the implications for this case of the Supreme Court's decision in the McEvoy case. If that case stands for the proposition urged by the applicant, then our duty could only be to apply it and then move on to a consideration of whether or not the test laid down in the Residential Tenancies case is satisfied by section 61.5 of the Code.
In my judgment, to read the McEvoy case as authority for that proposition would be to go well beyond the question that it actually decided. There, the Supreme Court of Canada was dealing with a proposal by which a province would consti tute a court and appoint the judges thereof and to which the Parliament of Canada would transfer jurisdiction of a superior court. The Supreme Court saw implementation of the scheme as violat ing the "fundamental principle" of judicial in-
dependence of section 96 Superior Courts guaran teed by the judicature sections of the Constitution Act, 1867. Those sections applied and so prevented Parliament from transferring that jurisdiction and the province from appointing those judges. In my view, it would require a clear and authoritative statement upon the precise issue facing us before I could be persuaded that it has been decided in the manner argued for by the applicant. I do not find such a statement in the McEvoy case.
The traditional view, it would appear, has been the opposite to that urged by the applicant. It is that the Parliament of Canada in exercising its legislative competence is not subject to the same restrictions in creating and vesting with jurisdic tion administrative tribunals as those that bind the provincial legislatures. Proponents of that view are found among the textwriters: see Laskin's Canadi- an Constitutional Law (4th ed.), at page 762; Dean R. A. Macdonald, "The proposed section 96B: An Ill-Conceived Reform Destined to Fail ure", (1985) 26 C. de D. 251, at page 263, and Hogg, Constitutional Law of Canada (2nd ed.). At page 149 of his work Professor Hogg asserts:
However, the point that sections 96, 97, 98 and 100 of the Constitution Act, 1867 do not apply is still important, because it means that the federal Parliament, unlike the provincial Legislatures, is not under any constitutional restraint in assign ing jurisdiction to federal administrative tribunals or officials (or to federal inferior courts, if it chose to create some): such bodies may be invested with functions of a kind traditionally exercised by a superior, district or county court if the Parlia ment so enacts.
There is, I think, some support for this view in the decided cases. A firm expression of it is found in the judgment of the Ontario Court of Appeal in Papp v. Papp, [1970] 1 O.R. 331 where Laskin J.A. said, at page 339:
It is the appellant's further contention that even if custody is competently comprehended by the Divorce Act, it is offensive to s. 96 of the B.N.A. Act to vest interim custody jurisdiction in the Master. This submission can only be advanced if the source of the Master's custody jurisdiction is provincial legislation. Section 96 does not inhibit the federal Parliament: see R. v. Canada Labour Relations Board, ex p. Federal Electric Corp. (1964), 44 D.L.R. (2d) 440, 47 W.W.R. 391 sub nom. Federal Electric Corp. v. Int'l Brotherhood of Electrical Workers Local Union 2085 and Canada Labour Relations Bd. It has long been the law, declared and reiterated by the Supreme Court of Canada, that the federal Parliament may repose jurisdiction, in respect of any matter within its competence, in provincially
appointed officers: see Re Vancini (1904), 34 S.C.R. 621; Couglin v. Ontario Highway Transport Board, [1968] S.C.R. 569,68 D.L.R. (2d) 384.
See also R. v. McDonald, [1958] O.R. 373 (C.A.). In R. v. Canada Labour Relations Board, Ex parte Federal Electric Corp. (1964), 44 D.L.R. (2d) 440, the Manitoba Court of Queen's Bench had this to say (per Smith J., at pages 462-463) in speaking of the respondent Board:
Finally, it is a Federal Board and, as such , is not subject to any limitations that may have been said ... to attach to Provincial Boards, arising from the fact that such Boards are created by Provincial Legislatures which have no power to create superior, county, or district Courts under s. 96 of the B.N.A. Act.
Eight years later the question once again arose in Manitoba, this time in Canard v. Attorney- General of Canada et al. (1972), 30 D.L.R. (3d) 9 (Man. C.A.). One of the issues there was whether the Parliament of Canada under the subject "Indi- ans, and Lands reserved for the Indians" in sub section 91(24) of the Constitution Act, 1867 could oust the jurisdiction of a provincial court in favour of a federal Minister to appoint an administrator of the estate of a deceased Indian pursuant to section 42 et seq. of the Indian Act, R.S.C. 1970, c. I-6. The opinion of the Manitoba Court of Appeal upholding the federal power was delivered by Dickson J.A. and is found at pages 17-18 of the report. He said:
Counsel for Mrs. Canard argued that if s. 42 et seq. are within s. 91, para. 24 of the B.N.A. Act, 1867, they are none the less invalid for the reason that they effect an ouster of the jurisdiction of a provincial Court. They do indeed effect such an ouster but there is ample authority to the effect that Parliament has the right to establish Courts having exclusive jurisdiction in a field that is within the jurisdiction of Parlia ment and to oust the jurisdiction of provincial Courts in that field. The only question is whether the words by which that object is sought to be achieved are apt for the purpose. As long ago as 1879 in Valin v. Langlois (1879), 3 S.C.R. 1 at p. 75, Taschereau, J., said:
... cannot Parliament, in virtue of section 101 of the Act, create new courts of criminal jurisdiction, and enact that all crimes, all offences shall be tried exclusively before these new courts? I take this to be beyond controversy.
And at p. 76:
I also think it clear, that Parliament can say, for instance,
that all judicial proceedings on promissory notes and bills of
exchange shall be taken before the Exchequer Court or before any other Federal Court. This would be certainly interfering with the jurisdiction of the Provincial Courts. But, I hold that it has the power to do so quoad all matters within its authority.
Section 101 of the B.N.A. Act, 1867, provides that the Parliament of Canada may from time to time provide for the establishment of any additional Courts for the better adminis tration of the laws of Canada and Parliament has in the past acted under this power in establishing the Income Tax Appeal Board, Admiralty Court, Bankruptcy Courts, Labour Board, Immigration Appeal Board and the like. Among the cases in which an ouster of a provincial Court has been considered are: Delorimier v. Cross, supra (ouster of Superior Court of Quebec in favour of the Exchequer Court, by the Indian Act); Nanaimo Community Hotel v. Board of Referees, [1945] 3 D.L.R. 225, [1945] 2 W.W.R. 145, [1945] C.T.C. 125 (ouster of Supreme Court of British Columbia in favour of the Exchequer Court, by the Income War Tax Act); Pringle et al. v. Fraser, a judgment of the Supreme Court of Canada pronounced March 30, 1972, not yet reported [since reported 26 D.L.R. (3d) 28]; reversing 19 D.L.R. (3d) 129, [1971] 2 O.R. 749; R. v. Beattie, Ex p. Edery (1969), 7 D.L.R. (3d) 654, 70 W.W.R. 553, and R. v. Department of Manpower & Immigration, Ex p. Hosin (1970), 12 D.L.R. (3d) 704, [1970] 3 O.R. 268 (ouster of the ordinary Courts in favour of the Immigration Appeal Board, by the Immigration Appeal Board Act); Klingbell v. Treasury Board, [1972] 2 W.W.R. 389 (ouster of Court of Queen's Bench of Manitoba in favour of the Federal Court, by the Federal Court Act).
Counsel then submitted that if ouster of jurisdiction is possi ble, there is nevertheless a distinction between transferring jurisdiction from one Court to another Court or to a board, and transferring it from a Court to a Minister of the Crown; that the former may be within the federal power but the latter is not. I cannot accept this argument. Acting within the area of its legislative competence Parliament may limit or oust the juris diction of a provincial Court and give the jurisdiction which would otherwise reside within that Court to a federal Court or to a federal board or, if Parliament so wishes, to a Minister of the Crown. [Emphasis added.]
I observe that the suggestion of Taschereau J. in the Valin [Valin v. Langlois (1879), 3 S.C.R. 1] case concerning transfer of all criminal law power to a new Court created by Parliament was repu diated by the Supreme Court of Canada at page 722 of the McEvoy case.
The Canard case reached the Supreme Court of Canada: Attorney General of Canada et al. v. Canard, [ 1976] 1 S.C.R. 170. The appeal was allowed on another ground but some members of
the Court expressed views which appear to me to be generally supportive of those expressed by Dickson J.A. on the particular constitutional point. That is especially so of those expressed by the Chief Justice of Canada with whom Spence J. agreed. While dissenting on the ground upon which the appeal was decided, he expressed the following views, at page 176:
Again, I am in entire agreement with the Manitoba Court of Appeal that Parliament, in legislating in the exercise of its exclusive power under s. 91(24) of the British North America Act, may include in such legislation testamentary provisions which would, according to their reach, govern the issue of letters of administration of the estate of an Indian intestate. Moreover, I see no constitutional infirmity in the assignment of jurisdiction in such matters to a federal functionary. Any constitutional limitation which might arguably reside in s. 96 of the British North America Act if provincial legislation was involved does not apply to the otherwise valid legislation of Parliament. [Emphasis added.]
Beetz J. also expressed some views on the point and while they are cast in narrower terms than those of the Chief Justice they appear to represent qualified agreement with those views. After quot ing at some length from the judgment of Dickson J.A. he said, at pages 202-203:
We are not called upon to decide the constitutional validity of ss. 42 et seq. in all their substantive and jurisdictional ramifications. Yet, for the purposes of this case, I find myself in agreement with the general propositions that testamentary matters and causes with respect to deceased Indians come within the class of subjects of "Indians and Lands reserved for the Indians" and that Parliament can constitutionally oust the jurisdiction of provincial courts in these as well as in other federal matters and vest it in a federal agency, subject perhaps to an obvious qualification: while Parliament has the power to establish courts for the administration of the laws of Canada, it does not necessarily follow that it can clothe a Minister, or any official or board of a non-judicial nature with all the functions of a superior court; the powers of Parliament are limited by the wording of s. 101 of the British North America Act, 1867, as well as by the federal and fundamental nature of the Constitu tion which implies an inherent and entrenched jurisdiction in the courts to adjudicate in constitutional matters. [Emphasis added.]
And again, at page 203 Beetz J. continued:
In a matter of exclusive federal competence, such as "Indians and Lands reserved for the Indians" there is nothing unconsti tutional in Parliament excluding the authority of provincial courts over this subject and bestowing it upon a Minister, particularly if it makes it subject to a form of judicial control as is provided by s. 47 of the Indian Act.
Ritchie J., was in some measure of agreement with Beetz J. on the point for he said, at page 192, that "the power to appoint an administrator of the estate of a person who has died intestate is not one which must necessarily be assigned to a court and that there is nothing unconstitutional in Parlia ment excluding the authority of provincial courts over this subject and bestowing it upon a Minister".
It must be acknowledged that the views on the question expressed by members of the Supreme Court of Canada in the Canard case did not represent the opinion of that Court as a whole. Those views as expressed both in the intermediate and in the final appeal are of course obiter dicta but when coupled with those of the Manitoba Court of Queen's Bench in the Federal Electric case and of the Ontario Court of Appeal in the Papp case, the whole constitutes a considerable body of judicial thought running counter to the submission advanced by the applicant. I propose to adopt those views. I do not detect from an exami nation of the Supreme Court's decision in the McEvoy case that these contrary views were argued or considered. I would not be prepared to hold, therefore, that that case has determined this point in a way that is binding upon this Court. As I have already indicated, it decides only that the judicature sections of the Constitution Act, 1867 therein discussed neither permitted the Parliament of Canada to invest a provincially appointed court with jurisdiction to try indictable offences nor the Province to appoint the judges of such a court. I have concluded that section 61.5 of the Code is not ultra vires the Parliament of Canada.
CONCLUSION
In view of the conclusions I have reached on the second and third issues discussed above, there is no legal barrier to referring the matter back to the Adjudicator for reconsideration on the basis that he cannot base his decision and order on a finding that the respondent's "job function ... does not involve handling money or like property" because the evidence is contrary to that finding. I would therefore set aside the decision and order of the Adjudicator herein and refer the matter back to him for reconsideration on the above basis.
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