Judgments

Decision Information

Decision Content

T-170-84
Donald Cadieux (Applicant) v.
Director of Mountain Institution and National Parole Board (Respondents)
Trial Division, Reed J.—Vancouver, March 12; Ottawa, May 8, 1984.
Constitutional law — Charter of Rights — Fundamental justice — Applicant's Unescorted Temporary Absence pro gram (U.T.A.) revoked — National Parole Board refusing to disclose reasons — Decision subject to requirements of funda mental justice prescribed by s. 7 of Charter — Inmate entitled to know gist of case against him, but not necessarily entitled to identity of information source, production of documents or details of case — Public interests in preventing repeat offences, in maintaining security and order in institution and in preserv ing Board's ability to function effectively may outweigh normal rule — Circumstances justifying derogation to include element of necessity — Scope of constitutional guarantee not limited by fact information given in confidence — Refusal to disclose gist of case, based on class exemption, contrary to s. 7 — Necessity of nexus between content of information and protection of public interest sought to justify non-disclosure on basis of class exemption — Certiorari granted — Canadian Charter of Rights and Freedoms, being Part I of the Constitu tion Act, 1982, Schedule B, Canada Act 1982, 1982, c. II (U.K.), ss. 7, 9.
Constitutional law — Charter of Rights — Right to life, liberty and security — Revocation of Unescorted Temporary Absence program (U.T.A.) — Refusal of National Parole Board to disclose reasons — "Liberty" under U.T.A. more limited than liberty under full or day parole but similar to latter — Numerous judgments holding decisions on parole revocation subject to s. 7 Charter protection — Whether or not U.T.A. privilege not limiting guarantees of fundamental jus tice — Distinction between "rights" and "privileges" not determinative of issue whether to allow judicial review — Word "right" in s. 7 used in generic rather than narrow sense — "Right" encompassing "privileges" and "powers" — Cer- tiorari application allowed — Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), s. 7.
Constitutional law - Charter of Rights - Limitation provision - Revocation by National Parole Board of Unes- corted Temporary Absence program (U.T.A.) - No reasons disclosed - Procedure re U.T.A. set out in Manual of Policy and Procedures issued pursuant to s. 25 of Parole Regulations - Under s. 7 of Manual, inmate to be informed in writing of reasons for cancellation of U.T.A. unless exemption claimed under Canadian Human Rights Act - S. 7 exemption too broadly framed to constitute reasonable limit pursuant to s. I of Charter - Manual not "prescribed by law" within meaning of s. I of Charter - Application for certiorari allowed - Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), s. l - Canadian Human Rights Act, S.C. 1976-77, c. 33, s. 54 - Privacy Act, S.C. 1980-8/-82-83, c. 11l, Schedule II.
Parole - National Parole Board revoking applicant's Unes- corted Temporary Absence program (U.T.A.) - Board refus ing to disclose reasons - Decision respecting U.T.A. review- able by certiorari and subject to requirements of fundamental justice prescribed by s. 7 of Charter - Inmate entitled to know gist of case against him - Circumstances where deroga tion justified on grounds of public interest must be rare Refusal to disclose gist of case, based on class exemption, contrary to Charter s. 7 - Necessity of nexus between content of information and protection of public interest to justify non-disclosure on basis of class exemption - In claiming non-disclosure, Board to follow procedure similar to that under s. 36.1 of Canada Evidence Act - Certiorari granted Parole Act, R.S.C. 1970, c. P-2, ss. 3(6) (as am. by S.C. 1976-77, c. 53, s. 18), 6 (as am. idem, s. 23), 9 - Parole Regulations, SOR/78-428, ss. 2, 12(1), 17(3), 24, 25 - Peni tentiary Act, R.S.C. 1970, c. P-6, s. 26.1 (as enacted by S.C. 1976-77, c. 53, s. 42) - Canada Evidence Act, R.S.C. 1970, c. E-10, s. 36.1 (as enacted by S.C. 1980-81-82-83, c. 11/, s. 4) - Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), s. 7 - Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, ss. 18, 41(1) (repealed by S.C. 1980-81-82-83, c. 11 1, s. 3).
This is an application for a writ of certiorari to quash a decision of the National Parole Board cancelling the applicant's Unescorted Temporary Absence program (U.T.A.) from Mountain Institution. The applicant's first U.T.A. was can celled following violation of one of the terms of release. The applicant sought, and was granted, a new U.T.A. program, the purpose of which was to allow him to attend an alcohol and drug treatment centre. The Board subsequently informed the applicant that it was in receipt of confidential information
which satisfied it that there was a risk that applicant would violate once again the terms of his release. The applicant's U.T.A. program was thereupon cancelled. No information as to the nature of the confidential information was divulged.
The applicant argues that the failure to disclose the reasons for cancellation of his U.T.A. and the failure to give him the opportunity to respond contravene section 7 of the Charter. The issues are: (1) whether the rules of fundamental justice apply to the decision-making process respecting U.T.A.s; (2) if the answer to (1) is in the affirmative, whether those rules have been infringed; (3) whether the refusal to grant access to the confidential information was made pursuant to the limitation provision in section 1 of the Charter.
Held, the decision should be quashed and the matter referred back to the Board for reconsideration as to whether the appli cant can be informed of the gist of the case against him.
There is abundant authority to the effect that decisions respecting revocation of parole are reviewable by certiorari. There is also a plethora of trial decisions holding that revoca tion of parole attracts the protection of section 7 of the Charter. The "liberty" under a U.T.A. program, although of a more limited nature than in the case of full parole or day parole, is nevertheless similar in character to the latter. Thus, decisions respecting U.T.A.s also fall within the scope of the rules respecting certiorari as well as being subject to the require ments of fundamental justice prescribed by section 7 of the Charter.
The fact that the applicant's U.T.A. program has not been implemented or that the granting of such a program might be labelled a privilege does not limit the guarantees of fundamen tal justice. The Supreme Court of Canada in Martineau v. Matsqui Institution Disciplinary Board clearly indicated that the distinction between "rights" and "privileges" should not be determinative of the issue whether judicial review should be allowed. The word "right" in section 7 of the Charter is used in a generic rather than narrow sense; it encompasses concepts such as "privileges" and "powers".
The rules of fairness do not always require the disclosure of all the information the decision-making body has before it. The question whether section 7 of the Charter requires a higher standard than do the rules of fairness need not be answered, since under either test there are circumstances where an inmate may be denied knowledge of the reasons underlying the revoca tion of his U.T.A. program.
The Federal Court of Appeal in Lazarov v. Secretary of State of Canada found that the audi alteram partem rule applied generally to a discretionary decision of the Minister in refusing to grant citizenship when there were no rules of procedure prescribed by statute. This principle equally applies to decisions of the Board respecting U.T.A.s. In general, an inmate is entitled to know the substance of the reasons for
revocation of his U.T.A. program. This does not mean, how ever, that he is entitled to know the identity of the source of information or to the production of the documents themselves or to be given all the details of the case against him.
To allow non-disclosure to be justified merely on the ground that the information was given in confidence, is far too weak a justification for a limitation on the scope of a constitutional guarantee. This is particularly so when a person's liberty is at stake (even though that liberty be of a limited and conditional nature).
The public interests in preventing repeat offences while an inmate is at large, in maintaining security and order in the penal institution, and in preserving the National Parole Board's ability to function effectively may outweigh the normal rule that a person is entitled to know the gist of the case against him. But the occasions on which this is justified must be rare. There must be an element of necessity; mere convenience for the functioning of the Board is not enough.
The question as to whether a class exemption can be claimed in a case such as the present one is answered in the negative. The public interests mentioned above may all be adequate reasons to justify a refusal, on a class basis, to produce the confidential reports to the inmate, but they do not justify a refusal to disclose the gist of the case against him. Such non-disclosure would contravene the requirements of section 7 of the Charter. While there may be occasions where non-disclo sure is justified, reasons therefore must relate to the specific content of the information in question. There must be a nexus between the content of the information and the protection of the public interest said to be served by the non-disclosure.
The overall tone and content of the affidavits filed by officials of the National Parole Board is one of claiming blanket class exemption. If sufficient reasons exist for refusing disclosure of even the gist of the case against the applicant herein, then new affidavits containing a greater degree of specificity ought to be filed. Should the Board claim non-disclo sure on some second application, then it should be prepared to produce for the Court the documents in question, pursuant to a procedure similar to that developed at common law in privilege cases and to that existing under section 36.1 of the Canada Evidence Act, i.e. in a sealed envelope with a specific explana tion as to the reasons justifying the non-disclosure. Although section 36.1 of the Canada Evidence Act does not seem to apply directly to the instant application (this application being one for certiorari and not one to compel the production of informa tion), nevertheless section 36.1, and its predecessor, subsection 41(1) of the Federal Court Act, are in many ways merely codifications of the common law with some modifications there of. Thus, even if section 36.1 does not expressly apply to the present case, the common law renders applicable a procedure which allows for review of the Board's decision.
The respondents argue that the breach, if any, of the require ments of "fundamental justice" had occurred pursuant to a "reasonable limit prescribed by law as can be demonstrably justified in a free and democratic society" as provided for by section 1 of the Charter. The procedure for the granting or revoking of U.T.A.s is set out in the Manual of Policy and Procedures issued by the Board pursuant to section 25 of the Parole Regulations. Under section 7 of the Manual, an inmate is to be informed in writing of the reasons for the cancellation of his U.T.A. unless exemption from disclosure is claimed pursuant to the Canadian Human Rights Act. The Court is not convinced that such a procedure manual can be said to be "prescribed by law" as those terms are used in section 1 of the Charter. Had the Manual been approved by the Governor in Council as required by subsection 3(6) of the Parole Act, the conclusion would have been different. In any event, the exemp tion contained in the Manual is too broadly framed to consti tute a reasonable limit pursuant to section 1 of the Charter.
CASES JUDICIALLY CONSIDERED
APPLIED:
The Queen v. Snider, [1954] S.C.R. 479; Smerchanski v. Lewis (1981), 120 D.L.R. (3d) 745 (Ont. C.A.); Re Swan and The Queen (1983), 7 C.C.C. (3d) 130 (B.C.S.C.); Mitchell v. The Queen, [1976] 2 S.C.R. 570; Latham v. Solicitor General of Canada, [1984] 2 F.C. 734; 39 C.R. (3d) 78; 12 C.C.C. (3d) 9 (T.D.); Lazarov v. Secretary of State of Canada, [1973] F.C. 927 (C.A.).
CONSIDERED:
Rogers v. Secretary of State for the Home Department, [1972] 2 All ER 1057 (H.L.); D. v. National Society for the Prevention of Cruelty to Children, [1978] A.C. 171 (H.L.); Collymore v. Attorney-General, [1970] A.C. 538 (P.C.); Minister of National Revenue v. Huron Steel Fabricators (London) Ltd., [1973] F.C. 808 (C.A.); Science Research Council v Nassé, [ 1979] 3 All ER 673 (H.L.).
REFERRED TO:
Couperthwaite v. National Parole Board, [1983] 1 F.C. 274; 70 C.C.C. (2d) 172 (T.D.); Howarth v. National Parole Board, [1976] 1 S.C.R. 453; Dubeau v. National Parole Board, [1981] 2 F.C. 37; [1980] 6 W.W.R. 271 (T.D.); Morgan v. National Parole Board, [1982] 2 F.C. 648; 65 C.C.C. (2d) 216 (C.A.); Re Cadeddu and The ' Queen (1982), 4 C.C.C. (3d) 97 (Ont. H.C.); R. v. Lowe (1983), 3 C.R.D. 900.150-03; 9 W.C.B. 349 (B.C.S.C.); R. v. Nunery (1983), 5 C.R.R. 69; 2 C.R.D. 900.150-02 (Ont. H.C.); R. v. Martens (1983), 3 C.R.D. 900.150-02 (B.C.S.C.); R. v. Mason (1983), 3 C.R.D. 900.150-04 (Ont. H.C.); Martineau v. Matsqui Institution Discipli nary Board, [1980] 1 S.C.R. 602; Rex v. Canterbury
(Archbishop). Ex parte Morant, [1944] 1 K.B. 282 (C.A.); Reg. v. Gaming Board for Great Britain, Ex parte Benaim and Khaida, [1970] 2 Q.B. 417; [1970] 2 W.L.R. 1009 (C.A.); Reg. v. Secretary of State for Home Affairs, Ex parte Hosenball, [1977] 1 W.L.R. 766 (C.A.); R. v. Teachers Tribunal: Ex parte Colvin, [ 1974] V.R. 905 (S.C.); Re Howard and Presiding Officer of Inmate Disciplinary Court of Stony Mountain Institution (1983), 8 C.C.C. (3d) 557 (F.C.T.D.); Bisaillon v. Keable, [1983] 2 S.C.R. 60; 2 D.L.R. (4th) 193; Marks v. Beyfus (1890), 25 Q.B.D. 494 (C.A.); Solicitor Gener al of Canada et al. v. Royal Commission of Inquiry (Health Records in Ontario) et al., [1981] 2 S.C.R. 494; Ellis v. Home Office, [1953] 2 Q.B. 135 (C.A.); Gagnon v. Commission des Valeurs Mobilières du Québec et al., [1965] S.C.R. 73; Blais v. Honourable Robert Andras, [1972] F.C. 958 (C.A.); Churchill Falls (Labrador) Corp. Ltd. v. The Queen (1972), 28 D.L.R. (3d) 493 (F.C.T.D.).
COUNSEL:
Sasha Pawliuk for applicant.
G. O. Eggertson for respondents.
SOLICITORS:
Prison Legal Services Society of British Columbia, Abbotsford, British Columbia, for applicant.
Deputy Attorney General of Canada for respondents.
The following are the reasons for order ren dered in English by
REED J.: This is an application for a writ of certiorari to quash a decision of the National Parole Board cancelling the applicant's Unescort- ed Temporary Absence program from Mountain Institution.
On April 27, 1979, the applicant was convicted of rape, breaking and entering and committing an indecent assault and a second rape for which he was sentenced respectively to six years, three years to be served consecutively, and eight years to be served concurrently.
On November 24, 1982, he was granted an Unescorted Temporary Absence program consist ing of forty-eight hours outside the penitentiary
every month, in order to meet socially with Eric Powell, an Anglican priest and friend of the appli cant, and with a family by the name of Pringle. On the first temporary absence, December 24, 1982, (Christmas eve) he returned to the institution having consumed alcoholic beverages. One of the terms of his release on temporary absence was that he not drink any intoxicants. Accordingly, his Unescorted Temporary Absence (U.T.A.) pro gram was cancelled.
In May of 1983, he applied for a new U.T.A. program and on September 21, 1983, a hearing for the purpose of considering his application was held by the National Parole Board. On October 14, 1983, the applicant received a letter saying the National Parole Board had granted him a U.T.A. program consisting of four 12-hour absences per month in the company of Mr. Powell. Part of the purpose of the program was to allow the applicant to attend an alcohol and drug treatment centre in Surrey, British Columbia.
Before having been released for any unescorted temporary absences, the applicant received a letter from the Parole Board, dated November 25, 1983, informing him that "The Board is in receipt of confidential information which satisfies us that you are a risk to re-offend on any form of release at this time" and therefore his U.T.A. program was cancelled. He sought information on the nature of this confidential information but received none.
Authority for the Board to approve U.T.A.s derives from section 6 of the Parole Act, R.S.C. 1970, c. P-2, as amended by S.C. 1976-77, c. 53, s. 23:
6. Subject to this Act, the Penitentiary Act and the Prisons and Reformatories Act, the Board has exclusive jurisdiction and absolute discretion to grant or refuse to grant parole or a temporary absence without escort pursuant to the Penitentiary Act and to revoke parole or terminate day parole.
Also relevant to the Board's authority is section 26.1 of the Penitentiary Act, R.S.C. 1970, c. P-6, as enacted by S.C. 1976-77, c. 53, s. 42:
26.1 (1) Subject to any regulations made pursuant to the Parole Act in that behalf, where, in the opinion of the National Parole Board, it is necessary or desirable that an inmate should be absent, without escort, for medical or humanitarian reasons or to assist in the rehabilitation of the inmate, the absence may be authorized by the Board for an unlimited period for medical reasons and for a period not exceeding fifteen days for humani tarian reasons or to assist in the rehabilitation of the inmate.
Although the Parole Act gives the Governor in Council authority to make regulations respecting the procedure to be followed in granting or revok ing U.T.A.s (section 9), the Governor in Council has not exercised this authority. The only regula tions issued relevant to U.T.A.s are: the definition of U.T.A.s in section 2 of the Parole Regulations [SOR/78-428]; subsection 12(1) which sets out the portions of the term of imprisonment an inmate must serve before U.T.A.s may be authorized; and, section 24 which deals with the number of votes required by members of the Board, in order to grant a U.T.A.
The Board, however, has issued a Policy and Procedures Manual which it uses as guidance with respect to the granting and rescinding of U.T.A.s. Section 7 thereof provides as follows:
Section 7. Unescorted Temporary Absence
10.77 Cancellation or Termination
1. Cancellation Prior to Implementation
1.1 At any time prior to its implementation the releasing authority may cancel the decision to grant an unescorted temporary absence.
1.2 When an unescorted temporary absence is cancelled prior to implementation, the inmate is subsequently informed in writing by the releasing authority of the reasons for the cancel lation, unless those reasons contain material for which the Solicitor General can claim exemption from disclosure under the Canadian Human Rights Act.
In regard to the exemption claimed for informa tion not obtainable under the Canadian Human Rights Act [S.C. 1976-77, c. 33], the procedure parallels the regulations which govern the giving of reasons respecting a refusal to grant parole by the Board (section 17 of the Parole Regulations).
With respect to the revocation of the applicant's U.T.A. program in this case, an affidavit, dated February 7, 1984, filed by one of the members of the Parole Board, Sarah McAlpine, states:
16. That the Board received on or about November 7, 1983, from the Correctional Service a Progress Summary report dated November 1, 1983, concerning the applicant ... stating in part
"We have received a confidential report dated 1983/10/17 regarding his activity in the institution.
In view of the new information, we are not prepared to support Cadieux and we therefore recommend that his U.T.A. program be cancelled ..."
21. That, on November 17, 1983, the Board cancelled the U.T.A. Program for the Applicant giving as reasons:
"The Board is in receipt of confidential information which satisfies us that you are a risk to re-offend on any form of release at this time."
which decision and reason were communicated to the Applicant by letter from the Board dated November 25, 1983.. .
24. The information contained in the said confidential reports in a class that contains information from employees of the said Correction Service, other inmates and others supplied on a voluntary basis and on the explicit understanding that the identity of the informant and the nature of the information provided will not be revealed save to the Correction Service ...
25. That disclosure of the said confidential report would expose any source of information named therein or capable of being identified to possible risk of physical injury or worse or to threat of violence.
I believe that it is in the public interest that the said confiden tial reports, in their entirety and as a class, be immune from disclosure.
Counsel for the applicant argues that the refusal by the Board to disclose the reasons for its decision to the applicant and the concomitant failure to give him an opportunity to respond is a denial of the principles of fundamental justice as provided for in section 7 of the Canadian Charter of Rights and Freedoms [being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.)].
There are three issues raised by this case as I see it: (1) whether the decision-making process respecting U.T.A.s is of such a nature that it attracts the rules of fundamental justice; (2) if the
answer to this is yes, then one must ask whether the rules of fundamental justice have been infringed in this case; and (3) even if this is so, whether the refusal to grant access to the confi dential information in question was made pursuant to a "reasonable limit prescribed by law as can be demonstrably justified in a free and democratic society" (as allowed by section 1 of the Canadian Charter of Rights and Freedoms).
Nature of U.T.A.s—a Form of Liberty within the Scope of Section 7 of the Charter?
With respect to the first issue, both counsel agreed that there are no reported decisions dealing with U.T.A.s. There is, however, abundant author ity that decisions of the National Parole Board respecting the revocation of parole are reviewable by certiorari, independently of any Charter argu ment that might be made: Couperthwaite v. Na tional Parole Board, [1983] 1 F.C. 274; 70 C.C.C. (2d) 172 (T.D.); Howarth v. National Parole Board, [1976] 1 S.C.R. 453 (although the Court held that revocation of parole was an administra tive not a judicial or quasi-judicial decision-mak ing function, by implication it decided that such decisions were reviewable under section 18 of the Federal Court Act [R.S.C. 1970 (2nd Supp.), c. 10] for compliance with the fairness doctrine); Dubeau v. National Parole Board, [1981] 2 F.C. 37; [1980] 6 W.W.R. 271 (T.D.); Morgan v. National Parole Board, [ 1982] 2 F.C. 648; 65 C.C.C. (2d) 216 (C.A.).
Whether or not revocation of parole attracts the protection of section 7 of the Canadian Charter of Rights and Freedoms does not appear to have been the subject, as yet, of any appellate court decision. There is, however, a plethora of trial decisions holding that it does; Re Cadeddu and The Queen (1982), 4 C.C.C. (3d) 97 (Ont. H.C.); R. v. Lowe (1983), 3 C.R.D. 900.150-03; 9 W.C.B. 349 (B.C.S.C.); R. v. Nunery (1983), 5 C.R.R. 69; 2 C.R.D. 900.150-02 (Ont. H.C.); R. v. Martens (1983), 3 C.R.D. 900.150-02 (B.C.S.C.); Re Swan
and The Queen (1983), 7 C.C.C. (3d) 130 (B.C.S.C.); R. v. Mason (1983), 3 C.R.D. 900.150-04 (Ont. H.C.). I agree with these decisions.
It seems clear that the interest of an inmate affected by a decision of the National Parole Board revoking his U.T.A. is similar to that affect ed when either his day parole or full parole is revoked. Under U.T.A. an inmate is allowed to be outside the prison for a temporary period of time. This is "liberty" of a more limited nature than is the case with full parole or day parole, but it is similar in character to the latter. Thus, in my view, decisions respecting U.T.A.s also fall within the scope of the rules respecting certiorari at common law, as well as being subject to the requirements of fundamental justice prescribed by section 7 of the Charter. The fact that there is no procedure set out by regulation for dealing with U.T.A.s does not change their character.
This raises the question whether the fact that the applicant's U.T.A. program had not been implemented or the fact that the granting of a U.T.A. program itself might be labelled a privi lege, limits or lessens the applicability of the fair ness doctrine or the guarantees of fundamental justice. I notice, for example, that the distinction between rights and privileges is one which has played, in the past, this kind of distinguishing role. See: Rogers v. Secretary of State for the Home Department, [1972] 2 All ER 1057 (H.L.), a case to which I will refer in greater detail later; Davis, K. C., Administrative Law Text, 3rd ed. 1972, at pages 186 ff.; Davis, K. C., Administrative Law Treatise, 2nd ed. 1978, Vol. 2, at pages 369 ff.; Reid, R. F., Administrative Law and Practice, 1971, at page 149 and Lazarov v. Secretary o) State of Canada, [1973] F.C. 927 (C.A.), espe cially at page 935.
With respect to present Canadian law, the Supreme Court decision in Martineau v. Matsqui Institution Disciplinary Board, [1980] 1 S.C.R. 602 clearly indicates that the distinction between "rights" and "privileges" is not one which should ground a difference between allowing and not
allowing judicial review. That case, of course, con cerned the decision of a penitentiary disciplinary board. Mr. Justice Dickson [as he then was], at pages 622-623, wrote:
In my opinion, certiorari avails as a remedy wherever a public body has power to decide any matter affecting the rights, interests, property, privileges, or liberties of any person.
I think it would be inconsistent with the princi ples underlying this decision to determine the applicability of section 7 of the Charter on the basis of whether a right or privilege was involved, particularly when a person's liberty is at stake. It is true that section 7 specifically applies to "the right to life, liberty and security of the person". But, "right" is a word used in two senses: some times it is used in a narrow sense, as distinct from "privileges", "powers", etc.; at other times, it is used in a more generic sense as encompassing all those concepts. I take it as being used in the latter sense in section 7. Accordingly, I think the fact that one is dealing with the granting of a privilege does not, in this case, lessen the applicability of either the rules of fairness applied through common law certiorari or the guarantee of funda mental justice provided for by the Charter.
Requirement of Fundamental Justice
Under both the rules of fairness, applicable to an administrative decision, and under the rules of fundamental justice set out in the Charter, a cardi nal principle is that the person whose liberty is being decided upon should have the right to know the case made against him and an opportunity to respond. However, it is clear that the rules of fairness do not always require disclosure of all information the decision-making body has before it. For example, in Rex v. Canterbury (Arch- bishop). Ex parte Morant, [1944] 1 K.B. 282 (C.A.), it was held that confidential letters rele vant to the selection of a rector for a parish need not be disclosed. In coming to this decision, the Court said, at page 291, with respect to the appointment:
It is a right the exercise of which is to be subject to curtailment in the interests of the persons whose spiritual welfare will depend on the proper exercise of the right.
And at page 293:
To impose on him [the Archbishop] the obligation to disclose to the patron the material which comes to his hand would make it impossible for him satisfactorily to perform his delicate duties.
See also: Reg. v. Gaming Board for Great Britain, Ex parte Benaim and Khaida, [1970] 2 Q.B. 417 (C.A.) and Reg. v. Secretary of State for Home Affairs, Ex parte Hosenball, [ 1977] 1 W.L.R. 766 (C.A.), and R. v. Teachers Tribunal: Ex parte Colvin, [1974] V.R. 905 (S.C.).
Having found that the rules of fairness do not always require the disclosure of all information, does section 7 of the Charter of Rights demand a higher standard? Section 7 provides:
7. Everyone has the right to life, liberty and security of the person and the right not to be deprived thereof except in accordance with the principles of fundamental justice.
In this regard I note that Mr. Justice McEach- ern of the British Columbia Supreme Court in Re Swan and The Queen (1983), 7 C.C.C. (3d) 130, at page 141, said of sections 7 and 9 of the Charter:
These provisions impatiently await analysis by appellate authority, but they seem to me to tilt the scales strongly towards the requirements of natural justice rather than just procedural fairness in the post-revocation process .... Where not just the rights and privileges of citizens are involved, but their very liberty, then there must be more than just an administrative inquiry or a discretionary hearing. As Laskin, C.J.C. pointed out in Mitchell v. The Queen, supra, our citizens should not be expected to take the Board's word that they have acted fairly, and justice cannot tolerate a hearing only as a matter of grace.
Similarly, Mr. Justice Potts in Re Cadeddu and The Queen (1982), 4 C.C.C. (3d) 97 (Ont. H.C.), has held that the requirements of section 7 are more extensive than the common law doctrine of fairness or natural justice. Under the rules of fairness, an applicant is not entitled to an in-per son hearing. But, it was held in the Cadeddu case that for decisions respecting parole revocation, in order to meet the Charter requirements of funda mental justice, an in-person hearing should be held.
On the other hand, Nitikman D.J., in Re Howard and Presiding Officer of Inmate Discipli nary Court of Stony Mountain Institution (1983),
8 C.C.C. (3d) 557 (F.C.T.D.), at page 561 quoted the Adjudicator:
In dealing with the Section 7 argument submitted by Diane Dzydz, I express the opinion that Section 7 does not create a new wave of rights nor does it elevate any greater degree of responsibility by an administrative tribunal such as the Inmate Disciplinary Board is.
I would not pretend to answer the general ques tion of whether section 7 demands a higher stand ard of conduct with respect to administrative deci- sion-making bodies to which it applies than do the rules of fairness. In some instances it may do so, as the decision of Mr. Justice Potts in Re Cadeddu (supra) indicates. In reading the jurisprudence in this area one is struck time and time again by the fact that nothing more seems to be meant by the distinction between fairness and natural justice than an indication that the rules of natural justice differ in different circumstances. See: Reg. v. Secretary of State for Home Affairs, Ex parte Hosenball, supra, at page 786:
What is fair cannot be decided in a vacuum: it has to be determined against the whole background of any particular case.
And Reg. v. Gaming Board (supra) at page 430:
It is not possible to lay down rigid rules as to when the principles of natural justice are to apply: nor as to their scope and extent. Everything depends on the subject matter•
In any event, I do not find it necessary to answer the question in the terms set out in argument before me since I think that applying the higher test, that of the requirements of natural justice, leads to the same conclusion as pertains under the rules of fairness. Under either rules, in my view, there are circumstances in which an inmate may be denied knowledge of the reasons underlying the revocation of his U.T.A. program.
The starting point, it seems to me, is the deci sion of the Supreme Court in The Queen v. Snider, [1954] S.C.R. 479. Mr. Justice Rand in describing the circumstances in which disclosure would not be required, in the context of a criminal trial, said at page 482:
It [the privilege of confidentiality] springs, then, from a confidential communication coupled with a paramount public
interest in permitting the secrecy surrounding the communica tion or its contents to be maintained. This is perhaps best illustrated by the privilege relating to communications between husband and wife or between solicitor and client ....
Of a similar nature are communications by an informer to public enforcement officers ... .
And Mr. Justice Kellock, at page 487:
There is, accordingly, not only a public interest in maintaining the secrecy of documents where the public interest would otherwise be damnified, as, for example, where disclosure would be injurious to national defence or to good diplomatic relations, or where the practice of keeping a class of document is necessary for the proper functioning of the public service, but there is also a public interest which says that "an innocent man is not to be condemned when his innocence can be proved ...." It cannot be said, however, that either the one or the other must invariably be dominant. [Underlining added.]
See also the decision of the Supreme Court in Bisaillon v. Keable, [1983] 2 S.C.R. 60, at pages 96 ff.; 2 D.L.R. (4th) 193, at pages 222 ff. for a more recent discussion of the balancing of interests.
While, of course, not binding on Canadian courts, this principle has received elucidation in a number of recent United Kingdom cases which, to me, seem directly relevant to the case at bar.
The first is that of Rogers v. Secretary of State for the Home Department, [1972] 2 All ER 1057 (H.L.). In this case a person who had been unsuc cessful in obtaining a gaming licence attempted to obtain, for the purposes of prosecuting a suit in criminal libel, production of a letter written to the Board containing information on his character, reputation and related matters. The House of Lords held that disclosure was not required, that protection for the document could be claimed, not on the basis of Crown privilege but because the public interest required such communications to the Board to be immune from disclosure. It was held that this was necessary in order to allow the Board to effectively perform its statutory duty. In the performance of that duty it was necessary to obtain, from varying sources, the fullest possible information about the applicant; if the persons volunteering such information were afraid of repercussions, they would not speak up.
Lord Reid, at page 1060, said:
The ground put forward has been said to be Crown privilege. I think that that expression is wrong and may be misleading. There is no question of any privilege in the ordinary sense of the word. The real question is whether the public interest requires that the letter shall not be produced and whether that public interest is so strong as to override the ordinary right and interest of a litigant that he shall be able to lay before a court of justice all relevant evidence ....
The claim in the present case is not based on the nature of the contents of this particular letter. It is based on the fact that the board cannot adequately perform their statutory duty unless they can preserve the confidentiality of all communica tions to them regarding the character, reputation or antece dents of applicants for their consent.
The board require the fullest information they can get in order to identify and exclude persons of dubious character and repu tation from the privilege of obtaining a licence to conduct a gaming establishment. There is no obligation on anyone to give any information to the board. No doubt many law abiding citizens would tell what they know even if there was some risk of their identity becoming known, although many perfectly honourable people do not want to be thought to be mixed up in such affairs. But it is obvious that the best source of informa tion about dubious characters must often be persons of dubious character themselves. It has long been recognised that the identity of police informers must in the public interest be kept secret and the same consideration must apply to those who volunteer information to the board.
Two observations must be made about this case. Although production of the letter was sought, its contents and author were known by the applicant, a copy of the letter already being in the hands of the plaintiff as a result of an unauthorized release. Secondly, the Court, as a whole, decided that non-disclosure was appropriate on the basis of the class of documents into which the letter fell.
Per Lord Reid, at page 1061:
It is possible that some documents coming to the board could be disclosed without fear of such consequences. But I would think it quite impracticable for the board or the court to be sure of this. So it appears to me that, if there is not to be very serious danger of the board being deprived of information essential for the proper performance of their difficult task, there must be a general rule that they are not bound to produce any document which gives information to them about an applicant.
Natural justice requires that the board should act in good faith and that they should so far as possible tell him the gist of any grounds on which they propose to refuse his application so that he may show such grounds to be unfounded in fact. But the board must be trusted to do that; we have been referred to their
practice in this matter and I see nothing wrong in it. [Underlin- ing added.]
In 1976, the House of Lords was again seized of the matter of non-disclosure of confidential docu ments in a judicial setting. In D. v. National Society for the Prevention of Cruelty to Children, [1978] A.C. 171, a mother sued the Society for personal injuries (mental and emotional) which had resulted from the investigation of a false complaint about her with respect to the possible maltreatment of her child. The Society denied negligence and applied for an order that there should be no discovery or inspection of any of the documents relating to the complaint. Non-disclo sure was claimed on the ground that the proper performance by the Society of its duties under its charter required the absolute protection of infor mation given to it in confidence. The Court held that non-disclosure in the public interest was required in this case. The Court also held, how ever, that the provision of information in confi dence does not, of itself, provide a ground for non-disclosure of either the nature of the informa tion or the identity of the informant. Per Lord Diplock at page 218:
The fact that information has been communicated by one person to another in confidence, however, is not of itself a sufficient ground for protecting from disclosure in a court of law the nature of the information or the identity of the infor mant .... The private promise of confidentiality must yield to the general public interest that in the administration of justice truth will out, unless by reason of the character of the informa tion or the relationship of the recipient of the information to the informant a more important public interest is served by protect ing the information or the identity of the informant from disclosure in a court of law.
See also Lord Simon of Glaisdale, at page 237, and Lord Edmund-Davies, at page 242. Lord Edmund-Davies quoted from Professor Hanbury, as follows:
Few situations in life are more calculated to arouse resentment in a person than to be told that he has been traduced, but cannot be confronted with his traducer. It is submitted that, ideally, nothing but the very pressing demands of public secu rity, where the vital interests of the community are unquestion ably involved, can require that private individuals should be expected to acquiesce in their vulnerability by an invisible foe.
I would make reference also to Collymore v. Attorney-General, [1970] A.C. 538 (P.C.). The Judicial Committee of the Privy Council had before it an appeal from the Court of Appeal of Trinidad and Tobago. Part of the claim by the appellant was that paragraph 2(e) of the Constitu tion of that country had been infringed. Paragraph 2(e) provided that no Act of Parliament should "deprive a person of the right to a fair hearing in accordance with the principles of fundamental jus tice for the determination of his rights and obliga tions." [Emphasis added.] The challenged legisla tion in question allowed an industrial court to receive and base its conclusions on evidence which it would not make known to the parties. It is to be particularly noted in this case that the Privy Coun cil was called upon to interpret the words "the principles of fundamental justice" in a constitu tional guarantee of rights, and not merely the doctrine of fairness.
The Privy Council in deciding the issue said at page 550:
This problem is not new. There are exceptional circum stances when a court finds itself in this dilemma: if it is known that the information it obtains will be disclosed to the parties before it and also perhaps to the world at large, then those persons who have the information may, despite their legal obligation, resort to one device or another to avoid giving it, or will give information which is not the truth or the whole truth. Justice may not therefore be done. On the other hand, the knowledge that the court will treat the information in strict confidence greatly increases the probability that it will be forthcoming. Yet in this case the parties themselves will under standably feel aggrieved that they have not had the chance of verifying or testing the information which the court has secured, and which in some cases may be decisive.
A case raising a similar issue is In re K. (Infants) heard by the House of Lords in 1963 and reported in [1965] A.C. 201. There the mother of two wards of court asked to see two confidential reports on the infants which the Official Solicitor had made to the judge. The judge refused to disclose them to her. The Court of Appeal reversed the judgment. The House of Lords restored it. There are, of course, certain special features about cases concerning infants, since the welfare of an infant has to be treated as the first and paramount consideration. But the mother in her appeal to the House of Lords insisted that the principles of natural justice required the disclosure of the reports to her, she being a party to the wardship proceedings. In the course of dealing with this claim pronouncements were made in the House of Lords of a general character which may be usefully quoted.
Lord Evershed, at p. 218 of the report, quoted and adopted the following observation of Tucker L.J. in Russell v. Duke of Norfolk (1949) 65 T.L.R. 231:
"There are, in my view, no words which are of universal application to every kind of inquiry and every kind of domes tic tribunal. The requirements of natural justice must depend on the circumstances of the case, the nature of the inquiry, the rules under which the tribunal is acting, the subject- matter under consideration, and so forth."
Lord Devlin said, at p. 238:
"But a principle of judicial inquiry, whether fundamental or not, is only a means to an end. If it can be shown in any particular class of case that the observance of a principle of this sort does not serve the ends of justice, it must be dismissed, otherwise it would become the master instead of the servant of justice. Obviously, the ordinary principles of judicial inquiry are requirements for all ordinary cases and it can only be in an extraordinary class of case that any one of them can be discarded."
And again, at p. 240:
"Where the judge sits as an arbiter between two parties, he need consider only what they put before him. If one or other omits something material and suffers from the omission, he must blame himself and not the judge. Where the judge sits purely as an arbiter and relies on the parties for his informa tion, the parties have a correlative right that he should act only on information which they have had the opportunity of testing. Where the judge is not sitting purely, or even primarily, as an arbiter but is charged with the paramount duty of protecting the interests of one outside the conflict, a rule that is designed for just arbitrament cannot in all circumstances prevail."
In cases before the industrial court the issue is not solely between employers and employed. The people of Trinidad may also be parties: and the court is directed by section 9 of the Industrial Stabilisation Act, in addition to taking into account the evidence presented on behalf of all the parties, to be guided by a number of other specified considerations, e.g., "the need to maintain and expand the level of employment": "the need to maintain for Trinidad and Tobago a favourable balance of trade and balance of payments": "the need to ensure the continued ability of the Government of Trinidad and Tobago to finance development programmes in the public sector" and so on. In discharging this duty the court may well have to seek information which it feels cannot be disclosed to the parties before it. This is a matter in its discretion, and as the learned Chief Justice indicated in his judgment any alleged wrongful exercise of its discretion might be tested on appeal as a matter of law. In these circumstances their Lordships do not feel that they can uphold the contention that section I1 (2) of the Act either in its original or altered form infringes the Constitution.
In my view, the reasoning in these cases is directly relevant to the applicant's claim in this case. I am conscious of the fact that in none of the cases cited could one say that a person's "liberty"
was at stake. Normally, when a subject's liberty is in issue, the non-disclosure of the substance of the claims against him automatically result in his re maining at large (see also Marks v. Beyfus (1890), 25 Q.B.D. 494 (C.A.)). Normally, without disclosure of the information a conviction cannot be obtained. An inmate in prison, however, is in a different situation. The "liberty" he is claiming pursuant to a U.T.A. or parole program is not the absolute liberty to which every citizen is entitled, but only a conditional liberty dependent upon cer tain conditions and granted as a matter of discre tion by the Parole Board. This discretion is exer cised (to approve a U.T.A. program) when the Board determines that such a program could serve a rehabilitative purpose and on a determination that the inmate is able to function as a responsible member of society during the time he is outside the prison. An inmate is not in the same position as a person entitled to absolute liberty who is charged with a criminal offence. Thus it is not surprising that the rules of fairness or natural justice which pertain in that situation will not necessarily be the same as those applicable to a determination of whether or not a U.T.A. program is granted or revoked.
I think it will be rare that an inmate cannot be told at least the gist of the reasons against him. This would especially be so if the alleged conduct took place outside the institution when the inmate was at large. I can, however, more easily envisage some situations when it might be necessary to refuse to disclose even the gist of the case against him when the information relates to conduct occurring within the institution. This might be necessary if the content of the information was such that its disclosure would automatically lead to the identity of the informer becoming known. (It is trite law that the identity of informers is protected from disclosure.) Refer: Solicitor Gener al of Canada et al. v. Royal Commission of Inquiry (Health Records in Ontario) et al., [1981] 2 S.C.R. 494 and Bisaillon v. Keable, [1983] 2 S.C.R. 60; 2 D.L.R. (4th) 193. In the context of the prison situation, safety and order within the
prison may particularly require the non-disclosure of the identity of informers. Non-disclosure might also be necessary if such disclosure would automatically lead to the revealing of information collection methods and thus substantially under mine the future functioning of the Board. In cir cumstances such as these, I do not think the Board should be denied the right to rely on and use information which comes to its knowledge even though it does not pass the gist of that information on to the inmate. The public interests in preventing repeat offences while the inmate is at large, in maintaining security and order in the penal institu tion, and in preserving the Parole Board's ability to function effectively may outweigh the normal rule that a person is entitled to know the gist of the case against him. But, the occasions on which this is justified must be rare. There must be an element of necessity; mere convenience for the functioning of the Board is not enough.
Counsel for the applicant cited the decision by the Federal Court of Appeal in Lazarov v. Secre tary of State of Canada, [1973] F.C. 927 as support for the proposition that an inmate in the position of the applicant is entitled to be told the gist of the case against him. Particular reference was made to page 936 and the quotations therein from Reg. v. Gaming Board for Great Britain, Ex parte Benaim and Khaida, [ 1970] 2 W.L.R. 1009 (C.A.) and In re H.K. (An Infant), [1967] 2 Q.B. 617. In my view the Court of Appeal in the Lazarov case did not have to deal with the issue raised in the present case. The Lazarov case dealt only with the question of whether the audi alteram partem rule applied generally to a discretionary decision of the Minister in refusing to grant citi zenship (an administrative decision) when there were no rules of procedure prescribed by statute. The Court of Appeal held that it did. The Lazarov case did not deal with and did not have to deal with the question of when, if ever, limitations on the audi alteram partem rule were justified in the public interest.
The general principle enunciated in the Lazarov case equally applies to decisions of the National Parole Board respecting U.T.A.s. In general an inmate is entitled to know the substance of the reasons for revocation of his U.T.A. program. This does not mean he is entitled to know the identity of the source of information. This does not mean that he is entitled to production of the actual docu ments themselves nor to all the details of the case against him. But, he is generally entitled to know the substance of the reasons for the revocation of his U.T.A. (or full parole or day parole as the case may be). Otherwise he is unable to make reply.
It seems clear also, from the jurisprudence cited above, that the mere fact that information was provided in confidence is not, in itself, sufficient reason to justify non-disclosure of that informa tion. See also Snider case (supra), [1954] S.C.R. 479; Minister of National Revenue v. Huron Steel Fabricators (London) Ltd., [1973] F.C. 808 (C.A.); and Science Research Council v Nassé, [1979] 3 All ER 673 (H.L.). I think that such fact is particularly not sufficient when one is consider ing the rules of fundamental justice required by section 7 of the Charter. To allow non-disclosure to be justified merely on the ground that the information was given in confidence, is far too weak a justification for a limitation on the scope of a constitutional guarantee. This is particularly so when a person's liberty is at stake (even though that liberty be of a limited and conditional nature).
The question thus arises as to whether a class exemption can be claimed in a case such as the present. The jurisprudence indicates that the courts are less and less willing to accept claims for privilege framed in terms of class exemptions. The reasoning of the Ontario Court of Appeal in Smerchanski v. Lewis (1981), 120 D.L.R. (3d) 745 is instructive. In that case, the Court held that disclosure of statements made to the police could not be prevented merely on the ground that they fell as a class within the public interest privilege. At page 751:
There are certain classes of documents including those relating to Cabinet proceedings, the conduct of foreign affairs, national defence and security which by their very nature are generally acknowledged to be privileged. While certain classses of docu ments dealing with easily recognizable state secrets are almost automatically recognized as privileged, the obvious tendency of decisions since Conway v. Rimmer has been to restrict class privilege.
Cromarty J. held that the statements given to the police were entitled to the protection of "class" privilege to prevent the prosecution of criminal offences from being compromised by premature disclosure .... In my respectful opinion he erred in concluding that the statements were privileged from production as a "class" and in failing to consider whether the "contents" of all or part of the statements might be admissible.
The authorities establish that statements given to the police have never been regarded as falling within the class of docu ments automatically privileged for production.
Refer also: Ellis v. Home Office, [1953] 2 Q.B. 135 (C.A.); Gagnon v. Commission des Valeurs Mobilières du Québec et al., [1965] S.C.R. 73 (both of which were decided before Conway v. Rimmer, [1968] A.C. 910 (H. L.)). And in Minis ter of National Revenue v. Huron Steel Fabrica- tors (London) Ltd., [ 1973] F.C. 808 (C.A.) at page 810, Thurlow J. [as he then was] said with respect to a claim for confidentiality of tax returns:
This, to my mind, amounts to nothing more than the putting forward by a somewhat different wording of an alleged public interest in keeping a whole class of documents from disclosure on grounds of the necessity to ensure candour and truthfulness by persons who file income tax returns. Such a reason at best has, in my opinion, very little weight or validity by itself ....
There are, of course, stronger reasons in this case for allowing for non-disclosure on a class basis than exist with respect to income tax returns. These are the interests, as noted above, of protect ing the public, preserving the safety and order within the penal institution and not undercutting the effective functioning of the Parole Board. These may all be adequate reasons to justify a refusal, on a class basis, to produce the actual confidential reports themselves to the inmate, but
in my view, they do not justify a refusal to disclose to him the gist of the case against him.
The House of Lords decision in Science Research Council y Nassé, [1979] 3 All ER 673 is instructive. In that case an employee who felt she had been discriminated against sought access to the annual performance appraisals prepared by the employer on other employees with whom she had been in competition for promotion. Disclosure was resisted on the ground that such reports were confidential. The House of Lords held that under the relevant rules of court disclosure was a matter of discretion, to be exercised if it was in the interest of justice to do so. Factors to be con sidered in assessing this would be: whether disclo sure was necessary for fairly disposing of the pro ceedings, or for saving costs; whether the documents had been prepared in confidence and the extent to which their disclosure would affect the interests of third parties. The Court held that in coming to a decision as to whether disclosure should be ordered, it was perfectly proper to con sider whether justice could be done by special measures, such as covering up confidential but irrelevant parts of the documents or by substitut ing anonymous references for specific names.
The claim in the present case is with respect to a Charter guarantee. I do not think that non-disclo sure of the gist of the case against the applicant can be justified on the basis of a claim for a class exemption. This does not satisfy the requirements of section 7. As noted above, while there may be occasions on which non-disclosure of the gist of a case against an inmate is justified, the reasons therefore must relate to the specific content of the information in question. There must be a nexus between the content of that information and the protection of the public interest said to be served by non-disclosure.
It remains then to consider the affidavits filed in this case: that of Sarah McAlpine, a member of
the National Parole Board, and that of Fraser Simmons, a regional manager of case preparation for the National Parole Board. Nowhere in them do I find that the affiants have addressed their minds to whether the gist of the reasons, or part thereof, for the cancellation of Mr. Cadieux's U.T.A. program could be disclosed to him. Nor have they considered whether special measures might be taken which would allow substantial or partial disclosure of the information sought to be disclosed without damage to the public interest of the kind noted above. The overall tone and content of the affidavits is one of claiming a blanket class exemption.
It may be that sufficient reasons exist in this case for refusing disclosure of even the gist of the case against Mr. Cadieux. If this is so, then new affidavits, containing a greater degree of specifici- ty, can cure that defect. It is my view, however, that if it becomes necessary to make such a claim on some second application concerning this matter, the Board should be prepared to produce for the Court the documents in question. This might be done in a sealed envelope together with a specific explanation as to why, in its view, non-disclosure is justified (a procedure similar to that developed at common law in privilege cases and similar to that existing under section 36.1 of the Canada Evi dence Act [R.S.C. 1970, c. E-10, as enacted by S.C. 1980-81-82-83, c. 111, s. 4]). I would not adopt the approach of the House of Lords in the Rogers case (supra) under which a decision respecting non-disclosure was left unreviewable by the Courts. Rather, the reasoning of Mr. Justice McEachern in Re Swan (supra) and the reliance by him on the comments of Laskin C.J. in the Mitchell case [Mitchell v. The Queen, [ 1976] 2 S.C.R. 570] are relevant here. An inmate should not be expected to take only the Board's word. While it might be rare for a court to interfere with the Board's judgment on a matter such as this, the jurisprudence of this Court indicates that on occa sion excessive claims for privilege have been made, albeit not by the National Parole Board. See: Blais v. Honourable Robert Andras, [1972] F.C. 958 (C.A.); Churchill Falls (Labrador) Corp. Ltd. v. The Queen (1972), 28 D.L.R. (3d) 493
(F.C.T.D.); Minister of National Revenue v. Huron Steel Fabricators (London) Ltd., [1973] F.C. 808 (C.A.).
In those cases review by the Court was pursuant to subsection 41(1) [repealed by S.C. 1980-81-82- 83, c. 111, s. 3] of the Federal Court Act. The successor to subsection 41(1), the present section 36.1 of the Canada Evidence Act, does not seem to directly apply in the present situation since it is expressed to govern the disclosure of information "before a court, person or body with jurisdiction to compel the production of information". The application before me is one for certiorari, to quash the decision of the National Parole Board; it is not asking for an order to compel the production of the information in question. Nevertheless, sec tion 36.1 and subsection 41(1) before it are, in many ways, merely codifications of the common law, with some modifications thereof. Thus, even if section 36.1 does not expressly apply to the present case, in my view, the common law makes a proce dure such as that outlined above, allowing for review by the Court of the Board's decision, applicable.
Reasonable Limit Prescribed by Law as can be Demonstrably Justified in a Free and Democratic Society?
The argument of counsel for the respondents focussed virtually exclusively on this aspect of the case. Great reliance was placed on the provisions of Part IV of the Canadian Human Rights Act (and its successor the Privacy Act [S.C. 1980-81- 82-83, c. 111, Schedule II]). The gist of the argu ment was that even if the requirements of "funda- mental justice" had been breached in this case, this had occurred pursuant to a "reasonable limit prescribed by law as can be demonstrably justified
in a free and democratic society" (as is allowed by section 1 of the Canadian Charter of Rights and Freedoms). As noted above, the Parole Regula tions (subsection 17(3)) specifically provide that in the case of cancellation of parole, the inmate is to be informed of the reasons therefore except for informaton described in paragraphs 54(a) to (g) of the Canadian Human Rights Act, which need not be disclosed.
In the case of U.T.A.s, this qualification is contained not in regulations but in the Manual of Policy and Procedures established by the executive committee of the Board. This Manual is issued pursuant of section 25 of the Parole Regulations which provides:
25. The executive committee referred to in subsection 3(2.1) of the Act shall, in consultation with the Board,
(a) develop and promulgate policies and procedures to be followed by the Board in carrying out the duties and func tions of the Board under the Act; and
(b) when requested by the Chairman of the Board, advise the Chairman on policies and procedures in respect of his duties and functions under the Act.
I am not convinced that a procedure manual so published could be said to be "prescribed by law" as that term is used in section 1 of the Charter. If the procedure manual had been approved by the Governor in Council as required by subsection 3(6) of the Parole Act [as am. by S.C. 1976-77, c. 53, s. 18], this conclusion would be different. However, I do not need to decide this issue which was not extensively argued before me, since even if the manual partook of the status of law, I would adopt the words of my colleague Strayer J. in Latham v. Solicitor General of Canada, [1984] 2 F.C. 734; 39 C.R. (3d) 78; 12 C.C.C. (3d) 9 (T.D.). At page 747 (F.C.), he wrote respecting subsection 17(3) of the Parole Regulations:
It appears that subsection 17(3) of the Parole Regulations would provide a legally effective limitation on any common law fairness requirement of disclosure. It would not be effective, in my view, in limiting the right which the parolee has under section 7 of the Canadian Charter of Rights and Freedoms.
I share this view. The Privacy Act and Part IV of the Canadian Human Rights Act before it were enacted for the purpose of giving individuals access to information held by the government concerning them. The exemptions from the requirement to disclose are much broader than those applicable to decision-making by either an administrative or a judicial body. Of course, if such exemptions are specifically made applicable by statute to either an administrative or a judicial decision-making body (as is the case with subsection 17(3) of the Parole Regulations) then, in the absence of a constitu tional guarantee to the contrary, this would consti tute a valid limitation on the rules of fairness or natural justice. However, the exemption is certain ly too broadly framed to be a reasonable limit pursuant to section 1 of the Charter.
Because of the view I take of this argument, I also do not need to decide whether it is section 54 of the Canadian Human Rights Act which is incorporated by reference into the Manual of Policy and Procedures or whether it is the Privacy Act. Part IV of the Canadian Human Rights Act is now repealed and replaced by the Privacy Act. The better view may very well be that the incorpo ration by reference of the Canadian Human Rights Act, continues as an incorporation of the relevant provisions as they existed on the date of the issue of the manual, despite the fact that Part IV of that Act has been repealed for its own independent purposes. In any event, in either case the result is the same, the limitation prescribed is not reasonable in the terms of section 1 of the Charter.
Accordingly, the decision of the Board will be quashed and the matter referred back to the Board for reconsideration by it, such reconsideration to proceed on the basis that a determination is required as to whether the applicant can be informed of the gist of the case against him.
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