Judgments

Decision Information

Decision Content

A-245-87
College of Physicians and Surgeons of British Columbia (Appellant) (Defendant)
v.
Dr. Kenneth D. Varnam (Respondent) (Plaintiff)
and
Minister of National Health and Welfare, Direc tor of the Bureau of Dangerous Drugs of the Department of National Health and Welfare (Respondents) (Defendants)
INDEXED AS: VARNAM v. CANADA (MINISTER OF NATIONAL HEALTH AND WELFARE)
Court of Appeal, Mahoney, Hugessen and Desjar- dins IL—Vancouver, February 8; Ottawa, Febru- ary 22, 1988.
Federal Court jurisdiction — Trial Division — Appeal from trial judgment refusing to strike statement of claim as against College of Physicians and Surgeons — Appeal allowed — Interpretation of Federal Court Act, s. 17(1) in Marshall v. The Queen overruled — "Intertwining" of cause of action too vague a standard upon which to found exclusive Federal Court jurisdiction — No "intertwining" giving jurisdiction in absence
of statutory grant Every sort of relief within Court's jurisdiction under s. 17(1), but only against Federal Crown.
Criminal justice Narcotics — Appeal from trial judg
ment holding Narcotic Control Regulations, s. 58, requiring Minister to act only "after consultation with" College of Physicians and Surgeons sufficient to give Court jurisdiction over College — Consultation requirement in adequate basis for jurisdiction — Whether provincial licensing authorities playing decisive role in Minister's action — Appeal allowed.
This was an appeal from the Trial Judge's finding that the Federal Court had jurisdiction over the action against the College of Physicians and Surgeons because the claim against the College was "intertwined" with that against the Crown. The plaintiff, a physician, was seeking a declaration that the Minister of National Health and Welfare had acted illegally in revoking his authorization to prescribe methadone and/or a prerogative writ to set aside such revocation. He alleged that the Minister acted upon negligent and false representations made by the College and that the College conspired with the Minister to intentionally interfere with his ability to carry on his profession. The Trial Judge held that the requirement in section 58 of the Narcotic Control Regulations that the Minis ter could only act "after consultation with" the College was enough to give the plaintiff's claim against the College the necessary foundation in federal law.
Held, the appeal should be allowed.
The Court lacked jurisdiction over the plaintiffs claim against the College. A mere consultation, as is required by section 58, was far too thin a thread on which to hang the jurisdiction of the Court. However, the Trial Judge did not err in refusing to dismiss the action on this basis at such a preliminary stage because, in light of sections 61 and 62 of the Regulations, which appear to give provincial licensing authori ties a conclusive say as to when a section 58 notice should be revoked, it was possible that the College played a decisive role in the Minister's action.
The Trial Judge relied upon her own interpretation of sub section 17(1) of the Federal Court Act in Marshall v. The Queen, wherein she held that subsection 17(1) gave the Court jurisdiction over the whole case when a claim was made against the Crown and a subject if the cause of action was intertwined. That interpretation was wrong. The concept of "intertwining" was too vague and elastic a standard upon which to found exclusive jurisdiction in the Federal Court. The public interest requires that exclusive Federal Court jurisdiction not be a matter for guesswork. No degree of intertwining could be great enough to create jurisdiction where it is not granted by the statute, just as none could be small enough to remove jurisdic tion where the statute gives it.
The Marshall interpretation focused on the use of "cases" in subsection 17(1), which was interpreted as "actions" or "causes". The use of "cas" in the French text does not support that interpretation. The focus of subsection 17(1) is "relief', which is defined to include every species of relief. Thus, relief of every sort against the Federal Crown falls within the exclu sive jurisdiction of the Federal Court, but relief against persons other than the Federal Crown is not within the contemplation of the text. This interpretation is in consonance with the rest of the Act, where the Court's jurisdiction over persons other than the Crown is specifically set out. Finally, the Marshall inter pretation of subsection 17(1) was contrary to the consistent approach taken by the judges of the Federal Court since its creation. Although it was regrettable that a litigant might be required to sue in two courts, the Court must not extend its jurisdiction beyond its statutory limits simply for the sake of convenience.
STATUTES AND REGULATIONS JUDICIALLY CONSIDERED
Criminal Code, R.S.C. 1970, c. C-34.
Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, ss. 2,
17(1), 20, 22, 23, 25.
Narcotic Control Regulations, C.R.C., c. 1041, ss. 53,
58, 59, 61, 62.
Parole Act, R.S.C. 1970, c. P-2.
Penitentiary Act, R.S.C. 1970, c. P-6.
CASES JUDICIALLY CONSIDERED
APPLIED:
Roberts v. Canada, [1987] 2 F.C. 535 (C.A.); Rasmuss- en v. Breau, [1986] 2 F.C. 500 (C.A.).
DISTINGUISHED:
Oagv. Canada, [1987] 2 F.C. 511 (C.A.).
REVERSED:
Varnam v. Canada (Minister of National Health and Welfare), [1987] 3 F.C. 185 (T.D.).
OVERRULED:
Marshall v. The Queen, [1986] 1 F.C. 437 (T.D.).
REFERRED TO:
ITO—International Terminal Operators Ltd. v. Miida Electronics et al., [1986] 1 S.C.R. 752; Pacific Western Airlines Ltd. v. R., [1979] 2 F.C. 476 (T.D.); affd. [1980] 1 F.C. 86 (C.A.); Lubicon Lake Band (The) v. R., [1981] 2 F.C. 317 (T.D.); affd. (1981), 13 D.L.R. (4th) 159 (F.C.A.); Anglophoto Ltd. v. The "Ikaros", [1973] F.C. 483; 39 D.L.R. (3d) 446 (T.D.); Desbiens v. The Queen, [ 1974] 2 F.C. 20 (T.D.); Sunday v. St. Lawrence Seaway Authority, [1977] 2 F.C. 3; (1976), 72 D.L.R. (3d) 104 (T.D.).
COUNSEL:
David Martin and Douglas H. Clarke for appellant (defendant) College of Physicians and Surgeons of British Columbia.
Daniel J. Barker for respondent (plaintiff) Dr. Kenneth D. Varnam.
SOLICITORS:
Douglas, Symes & Brissenden, Vancouver, for appellant (defendant) College of Physi cians and Surgeons of British Columbia. Kopelow & Barker, Vancouver, for respon dent (plaintiff) Dr. Kenneth D. Varnam. Deputy Attorney General of Canada for respondents (defendants) Minister of Nation al Health and Welfare, Director of the Bureau of Dangerous Drugs of the Depart ment of National Health and Welfare.
The following are the reasons for judgment rendered in English by
HuGESSEN J.: The plaintiff is a qualified physi cian and a member of the defendant College. He practices in Vancouver. He alleges that in Septem- ber 1986 the defendant Minister purported to issue a notice pursuant to sections 53, 58 and 59 of the Narcotic Control Regulations.' He says that as a result of such notice the Minister has further revoked his authorization to prescribe the drug methadone.
In the action which he has launched against the Minister and the College, the plaintiff alleges that the Minister acted illegally and that the relevant sections of the Narcotic Control Regulations are ultra vires; alternatively, he claims that the Minis ter acted contrary to the principles of natural justice, breached the duty of fairness, was biased and acted unreasonably. He further alleges that the Minister acted upon negligent and false representations made by the College and that the latter acted in bad faith and with intent to injure him. He alleges a conspiracy between the College and the Minister to intentionally interfere with his right and ability to carry on his profession.
Based on these allegations, the plaintiff claims relief by way of declaration and/or prerogative writ to set aside the notice issued by the Minister. As against the College, he seeks orders that it "disclose" and provide a "written explanation" as to the reasons for its actions. Finally, he asks general and special damages against all the defendants.
The College moved in the Trial Division to have the action against it dismissed for want of jurisdic tion. The motion was heard by Reed J. [[1987] 3 F.C. 185], who, relying on her own prior decision in Marshall v. The Queen, [ 1986] 1 F.C. 437 (T.D.), found that the action as framed was within the Court's jurisdiction. In her view, the claim against the College was "intertwined" with the claim against the Crown so as to bring it within the rule that she had enunciated in Marshall. By the terms of section 58 of the Narcotic Control
' C.R.C., c. 1041.
Regulations, the Minister could only act "after consultation with" the College. In the opinion of Reed J., this was enough to give the plaintiff's claim against the College the necessary foundation in federal law; she said [at pages 196-197]:
The requirement in the Narcotic Control Regulations (number 58) that the Minister consult with the licensing authority in the province before refusing to license a practitioner to prescribe narcotics, or methadone, is the underpinning of the claim against the British Columbia College of Physicians and Sur geons. The claim against the defendant College is not made merely because the Crown is already a party to a contract or tort claim based solely on provincial law. The advice given by the College to the Minister pursuant to section 58 is the very essence of the plaintiff's claim. The Minister must consult with the provincial licensing body before issuing a section 58 notice. The advice given is obviously crucial perhaps determinative of any decision the Minister ultimately makes. Thus, the statutory shelter, or the integral relationship, or the close practical relationship of the claim against the College with the National Control Act exists.
I have considerable doubt as to whether this passage properly states the law. I question whether the mere fact that a federal law requires consulta tion is enough to support the Federal Court's jurisdiction against the person consulted on the basis of his having acted negligently or fraudulent ly. Many federal statutes require some particular individual action as a condition precedent to State action. An obvious example is the Criminal Code [R.S.C. 1970, c. C-34] requirement of a sworn information before the issuance of a warrant, a summons or a search warrant. It is not however, in my view, accurate to say that a subsequent civil action against the individual for having acted improperly (e.g. for false arrest) is founded to any significant extent in federal law. The case of Oag v. Canada, [1987] 2 F.C. 511 (C.A.), relied on by the Trial Judge, is clearly distinguishable: Oag's claim was that the defendant Crown officers had acted illegally and contrary to a federal statute (the Parole Act [R.S.C. 1970, c. P-2]) in such a way as to deprive him of a freedom to which he was entitled solely by the operation of another federal statute (the Penitentiary Act [R.S.C. 1970, c. P-6]). Thus not only did the damage which he suffered consist solely in the deprivation of a right
whose only source was a federal statute, but the deprivation itself was caused solely by the alleged abuse by federal officers of their powers under another federal statute. A mere consultation such as is required by section 58 of the Narcotic Con trol Regulations seems to me to be far too thin a thread on which to hang the jurisdiction of this Court.
It is conceivable, however, that the role played by the defendant College in the Minister's action is more decisive than would at first blush appear from the simple requirement of a consultation in section 58 of the Regulations. In argument counsel pointed in particular to sections 61 and 62 of the same Regulations, which appear to give to the provincial licensing authorities a conclusive say as to when a notice given pursuant to section 58 should be revoked. That being so, it is possible that the evidence at trial would establish that the reali ties of the application of section 58 equally give the College a decisive role in the Minister's action. In those circumstances, I cannot say that the Trial Judge here was wrong in refusing to dismiss the claim against the College as not being founded in federal law. She was dealing with a preliminary motion and it is conceivable, though unlikely, that the facts necessary to support this aspect of juris diction would manifest themselves at the trial.
This brings me to the other condition which any claim to jurisdiction in the Federal Court must meet, namely, a statutory grant of jurisdiction. 2
2 This is the first of the "essential requirements" listed by McIntyre J. in ITO—International Terminal Operators Ltd. v. Miida Electronics et al., [1986] 1 S.C.R. 752, at p. 766.
The Trial Judge, as I have said, relied upon her own previous decision in Marshall. In Roberts v. Canada, [1987] 2 F.C. 535 (C.A.), I voiced some doubts about Marshall but it was not necessary for us to express any concluded opinion on the matter.
In Marshall as in the present case, the only possible source of statutory jurisdiction is subsec tion 17(1) of the Federal Court Act: 3
17. (1) The Trial Division has original jurisdiction in all cases where relief is claimed against the Crown and, except where otherwise provided, the Trial Division has exclusive original jurisdiction in all such cases.
This is how the Trial Judge dealt with that text in her judgment in Marshall [at pages 447-448]:
This subsection is a general or umbrella grant of jurisdiction. The following subsections of section 17 either describe qualifi cations or special aspects of the general grant given in subsec tion 17(1).
The question, then, is whether subsection 17(1) confers jurisdiction on the Federal Court so as to allow a plaintiff to sue both the Crown and a subject in that Court when the cause of action against both of them is one that is as intertwined as is the case here (eg: with respect to the alleged collusion). On a plain reading of the section, such jurisdiction would appear to have been intended since the grant given is over "cases where relief is claimed against the Crown". The jurisdiction is not merely over "claims against the Crown", as a narrower inter pretation would seem to require.
That Parliament intended the broader scope not only would seem to follow from the literal wording of the section but it is also a reasonable inference from the fact that certain claims against the federal Crown are to be brought exclusively in the Federal Court. It seems unlikely that Parliament would have intended to disadvantage persons, in the position of the plain tiff, by requiring them to split a unified cause of action and bring part of it in the Federal Court and part in the superior courts of the provinces. The effect of such an intention would be to subject a plaintiff, in a position similar to the plaintiff in this case, to different and possibly contradictory findings in different courts, and to place jurisdictional and cost impedi ments in the path of such persons if they sue the federal Crown. I do not think that such was the intention of Parliament. While there is no doubt that the jurisdiction of statutory courts are strictly interpreted in that they are not courts of inherent jurisdiction, it is well to remember that section 11 of the Interpretation Act, R.S.C. 1970, c. 1-23 requires that all federal statutes be interpreted with such a construction as best to ensure the attainment of their purpose. This would seem to require that subsection 17(1) be interpreted as conferring on
3 R.S.C. 1970 (2nd Supp.), c. 10.
the Federal Court jurisdiction over the whole case, in a situa tion such as the present, where the plaintiff's claim is against both the employer (the Crown), and the Union (the P.S.A.).
Also, I would note that the scope which in my view subsec tion 17(1) bears would not accord the Federal Court any jurisdiction over cases between subject and subject, solely on the ground that a federal claim might potentially be present but is not being pursued. Without a claim being made directly against the Crown there would be no foundation for Federal Court jurisdiction, exclusive or concurrent, pursuant to subsec tion 17(1). But when such a claim against the federal Crown is made, in my view, subsection 17(1) is broadly enough drafted to allow a co-defendant, in a case such as the present, to be sued along with the Crown.
With great respect and indeed not without regret, I do not think that this reading of subsec tion 17 (1) is correct.
In the first place and as I indicated in Roberts, supra, it is my view that the concept of "intertwin- ing", which does not take its source from any words in the statute, is altogether too vague and elastic a standard upon which to found exclusive jurisdiction in the Federal Court. While the degree to which claims would have to be intertwined in order to give this Court jurisdiction is a matter which could no doubt be settled over time by case law, the development of the necessary rules would be a lengthy process during which litigants would be subject to continuing uncertainty as to which court they should sue in. It is not in the public interest that exclusive Federal Court jurisdiction should be a matter for guesswork. What is more, it seems to me that no degree of intertwining could be great enough to create jurisdiction where it is not granted by the statute, just as none could be small enough to remove jurisdiction where the statute gives it. An example of the former is Rasmussen v. Breau, [1986] 2 F.C. 500 (C.A.) (the Saltfish case). There the Court declined juris diction in an action against a corporate Crown agent even though the claim against the Crown itself was based in part upon the actions of that agent for which the Crown was vicariously liable: it is difficult to imagine two more intertwined
claims than those against the master and the ser vant for whose acts he is responsible.
In the second place, I do not think that the wording of subsection 17(1), when properly con strued, supports the interpretation put on it in Marshall. That interpretation, as is indicated by the passage quoted above, turns on the use of the word "cases" in the text. The Trial Judge in Marshall gives to that word the sense of "actions" or "causes". I note that the French text uses the word "cas", which does not readily support that reading. Indeed it seems to me that the focus of subsection 17(1) is not on the "cases" ("cas") but much more importantly on the "relief" (or "redressement"). This is a defined term in section 2:
2....
"relief" includes every species of relief whether by way of damages, payment of money, injunction, declaration, restitu tion of an incorporeal right, return of land or chattels or otherwise;
The extreme breadth and sweep of that defini tion points, in my view, to the proper interpreta tion of subsection 17(1): relief of every sort and nature against the Federal Crown falls within the exclusive jurisdiction of the Federal Court in all cases. Relief against persons other than the Feder al Crown is simply not in the contemplation of the text.
This reading is also, as it seems to me, in consonance with the remainder of the Federal Court Act and in particular with the provisions of sections 17 to 26, dealing with the jurisdiction of the Trial Division. The draftsman of the statute was very conscious of the need to make plain every grant of jurisdiction over persons other than the Crown. It is enough to look at the wording of sections 20, 22, 23 and 25, to see how meticulously the Act has specified the Court's jurisdiction as between subject and subject. I would particularly refer to the wording of section 23, which grants jurisdiction between subject and subject in cases where the claim for relief is sought under an Act in relation to bills of exchange "where the Crown is a party to the proceedings". Where jurisdiction over the subject is conditional upon the Crown being impleaded, the Act says so in very clear
words. The comparison with subsection 17 (1) is telling.
Finally, and Reed J. in Marshall very properly recognizes this, her interpretation is contrary to that which had previously been given to the stat ute. Reference is particularly made to Pacific Western Airlines Ltd. v. R., [1979] 2 F.C. 476 (T.D.); affirmed by [1980] 1 F.C. 86 (C.A.); Lubicon Lake Band (The) v. R., [1981] 2 F.C. 317 (T.D.); affirmed by (1981), 13 D.L.R. (4th) 159 (F.C.A.); Anglophoto Ltd. v. The `7karos", [1973] F.C. 483; 39 D.L.R. (3d) 446 (T.D.); Desbiens v. The Queen, [ 1974] 2 F.C. 20 (T.D.); Sunday v. St. Lawrence Seaway Authority, [1977] 2 F.C. 3; (1976), 72 D.L.R. (3d) 104 (T.D.). There are others. While some of those decisions may not technically have been binding upon her and may have been distinguishable, they represent a consistent approach taken by the judges of this Court since its foundation. They also, in my opin ion, represent sound judicial policy: as a statutory court, we must not hesitate to exercise the jurisdic tion which has been granted to us but we should not seek to extend it beyond what has been clearly intended by the words of the statute.
I indicated earlier that it was with regret that I had concluded that Marshall was wrongly decid ed. That regret does not flow from any desire to expand this Court's jurisdiction. Rather it has its source in a concern for the unenviable situation of the litigant who may, in some circumstances, find himself obliged to sue in two courts. That concern was well expressed by Reed J. in Marshall. It was most eloquently stated by Collier J. in Pacific Western Airlines, supra, where he described the situation [at page 490] as "lamentable". For my part however, while sharing those views, I can only echo the words of the Chief Justice in Saltfish, supra [at page 513]:
... the convenience or advantage, if any, to be obtained is not a reason for extending the jurisdiction of the Court beyond its statutory limits.
I conclude that the Court is without jurisdiction to entertain the claim of the plaintiff against the College. I would allow the appeal, set aside the judgment appealed from and dismiss the plaintiff's action as against the defendant College. The defendant should have its costs both here and below.
MAHONEY J.: I agree. DESJARDINS J.: I agree.
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