Judgments

Decision Information

Decision Content

A-1457-83
John C. Doyle (Applicant) v.
Restrictive Trade Practices Commission and F. H. Sparling and Canadian Javelin Ltd./Javelin International Ltd. (Respondents)
Court of Appeal, Pratte, Ryan and Marceau JJ.— Ottawa, April 24, 25 and June 3, 1985.
Judicial review — Applications to review — Corporations
— S. 28 application to set aside report of Restrictive Trade Practices Commission pursuant to Canada Corporations Act s. 114 — Following investigation, hearings held into alleged fraudulent use of Canadian Javelin Ltd. by applicant — Commission filing report confirming fraudulent conduct — Applicant alleging two of three commissioners signing report not present at all hearings — Two commissioners absent on separate occasions for all or part of hearings, on up to six days
— Transcription of hearings available — Act providing two members constituting quorum — Applicant invoking rule "he who decides must hear" — Whether irregularity rendering report null and void — Rule based on legislator's supposed intentions — Inapplicable when expressly excluded by legisla tor or not implied by statutory provisions — Rule requiring commissioners hear evidence and arguments according to law
— Applicant's absence from hearings not disqualifying him from challenging validity of report — Law requiring commis sioners be present at hearings to consider evidence — Whether rule applying only to judicial or quasi-judicial bodies making decisions directly affecting rights of parties — Commission only making recommendations — Although not creating individual rights or obligations, report not devoid of legal effect as empowering Minister to initiate proceedings in name of company — Non-compliance with statutory requirements concerning presence of commissioners, sufficient to void report as if judicial or quasi-judicial decision — Canada Corpora tions Act, R.S.C. 1970, c. C-32, s. 114 (as am. by R.S.C. 1970 (1s' Supp.), c. 10, s. 12) — Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 28.
The applicant is asking that a report of the Restrictive Trade Practices Commission, made pursuant to section 114 of the Canada Corporations Act, be set aside under section 28 of the Federal Court Act. Following an investigation of Canadian Javelin Ltd. by the Commission's inspector, hearings were held into allegations that the applicant had fraudulently used the company for his personal gain at the expense of other share holders. Between April 26, 1982, and June 1983, the Commis-
sion held 32 days of hearings. The applicant was not present at the hearings but was represented by counsel until July 21, 1982. Two of three commissioners were absent on separate occasions for all or part of the hearings on a total of six days. Transcriptions of the hearings were available to the commis sioners to review what had taken place in their absence. In September 1983, the Commission filed its report, signed by the three commissioners, stating that most of the allegations of fraud made by the inspector were founded and appropriate recommendations were made. It appears that two of three commissioners were not present at all times to hear the evi dence. The applicant, invoking the maxim "he who decides must hear", argues that the absences of the commissioners render the report null and void as only one member was authorized to sign it. The respondent maintains that the maxim does not apply since the Commission only makes recommenda tions, not decisions affecting the rights of the parties. Further more, the applicant's absence from the hearings prevents him from invoking the irregularity.
Held (Marceau J. dissenting): the application should be granted and the report a quo set aside.
Per Pratte J.: The principal issue to be decided is whether the maxim "he who decides must hear" is applicable in the present case. The rule establishes that only those members of a tribunal having heard the evidence can participate in its decision. The rule is more than a corollary to the maxim audi alteram partem in that it actually affects the judge's jurisdiction. Its violation can be invoked even though the applicant, by his absence from the proceedings, forfeited his right to be heard. The applicant's choice of not participating in the hearings does not deprive him of the right to be judged by members of a tribunal present throughout the hearings. The rule "he who decides must hear" is based on the legislator's supposed inten tions. When it applies to a tribunal, it requires that all members taking part in the decision hear the evidence and arguments of the parties in the manner prescribed by law. Even though transcriptions of the hearings were made available for the benefit of the absent commissioners, the question remains whether the evidence was received according to law.
It is stated in numerous cases that the rule applies only to judicial or quasi-judicial bodies making decisions that directly affect the rights of the parties involved. Although, in accord ance with section 114 of the Act, the Commission only makes recommendations, it is necessary to examine the statutory provisions governing the Commission. The recommendations contained in the report are not without legal effect since they empower the Minister to institute, maintain or settle proceed ings in the name of the company under investigation. It is apparent that Parliament intended the Commission to hold hearings where the parties concerned could be heard and that only the commissioners present to hear the evidence could lawfully sign the ensuing report. In light of these provisions, the absences of two commissioners who signed the report render it void as if it were a judicial or quasi-judicial decision. Therefore, the report a quo should be set aside.
Per Marceau J. (dissenting): It is clear from the statutory provisions governing the Commission that the report can only be prepared and submitted to the Minister after those con cerned have had the opportunity to be heard. However, the requirement put forth by the applicant that no commissioner who is absent at any time during the hearings participate in the preparation of the report, cannot be inferred from the Act. Section 114 discloses no presumed intention on the part of Parliament that the rule "he who decides must hear" be complied with. Furthermore, the Commission must maintain a quorum of two members to act legally. It must be emphasized that at all stages of the process it is the Commission that acts and not its members. In the case at bar, the evidence seems to indicate that only one commissioner was actually absent a limited number of times from the hearings.
The source of the rule not being in the Act itself or implied by presumed intention, the only remaining source would be as a corollary to the maxim audi alteram partem. If that were the case, the applicant, by his absence waived his right to invoke the rule. However, a requirement of this nature and impor tance, cannot be considered as a mere corollary to the parties' right to be heard. Furthermore, it is impossible in the present case to link the existence of the rule invoked to principles of natural justice as the Commission is not a tribunal rendering decisions affecting individual rights.
CASES JUDICIALLY CONSIDERED
REFERRED TO:
Conseil de section du Barreau de Québec v. E. et al., [1953] R.L. 257 (Que. K.B.); CRTC v. CTV Television Network Ltd. et al., [1982] 1 S.C.R. 530; Lipkovits v. Canadian Radio-television and Telecommunications Commission, [1983] 2 F.C. 321; 45 N.R. 383 (C.A.); Reg. v. Race Relations Board, Ex parte Selvarajan, [1975] 1 W.L.R. 1686 (Eng. C.A.); Foster v. City of Halifax, [1926] 1 D.L.R. 125 (N.S.S.C.); Rex v. Hunt- ingdon Confirming Authority. Ex parte George and Stamford Hotels, Ld., [1929] 1 K.B. 698 (C.A.); Mehr v. Law Society of Upper Canada, [1955] S.C.R. 344; Re Ramm (1957), 7 D.L.R. (2d) 378 (Ont. C.A.); Hughes v. Seafarers' International Union of North America, Canadian District & Heinekey (1961), 31 D.L.R. (2d) 441 (B.C.S.C.); R. v. Committee on Works of Halifax City Council, Ex p. Johnston (1962), 34 D.L.R. (2d) 45 (N.S.S.C.); Re Rosenfeld and College of Physicians and Surgeons (1969), 11 D.L.R. (3d) 148 (Ont. H.C.); R. v. Broker-Dealers' Association of Ontario, Ex parte Saman Investment Corporation Ltd., [1971] 1 O.R. 355 (H.C.); Re Rogers: Rogers v. Prince Edward Island Land Use Commission (1979), 20 Nfld. & P.E.I.R. 484 (P.E.I.S.C.); Murray v. Rockyview No. 44 (1980), 12 Alta. L.R. (2d) 342; 21 A.R. 512 (C.A.); Hayes v. Sask. Housing Corp., [1982] 3 W.W.R. 468 (Sask. Q.B.).
COUNSEL:
Robert Décary and Serge Laurin for appli cant.
J. Mabbutt for respondent Restrictive Trade Practices Commission.
François Garneau for respondent F. H. Sparling.
SOLICITORS:
Noël, Décary, Aubry & Associés, Hull, for applicant.
Deputy Attorney General of Canada for Attorney General of Canada.
Desjardins, Ducharme, Desjardins & Bour- que for respondent F. H. Sparling.
The following is the English version of the reasons for judgment rendered by
PRATTE J.: The applicant is asking that a report made by the respondent Commission under subsec tion 114(25) of the Canada Corporations Act [R.S.C. 1970, c. C-32 (as am. by R.S.0 1970 (1st Supp.), c. 10, s. 12)] be set aside under section 28 of the Federal Court Act [R.S.C. 1970 (2nd Supp.), c. 10].'
The applicant raised several arguments in sup port of his appeal. Only one, however, is worthy of consideration, namely the argument that the deci sion a quo should be set aside because two of the three commissioners who rendered it did not attend all the hearings during which the Commis sion obtained the evidence on which it was to base its report. When this case was heard, we did not feel it was necessary to hear counsel for the respondents on any other points.
Section 114 of the Canada Corporations Act provides that the Restrictive Trade Practices Com mission may, where there are reasonable grounds for believing that one of the situations provided for in subsection 114(2) exists, order that a company be investigated and appoint an inspector for that purpose. This investigation is carried out in two stages. First, the inspector investigates and, if he is
' This Court held on January 20, 1984 that this report was a "decision" within the meaning of section 28.
of the opinion that his investigation has revealed the existence of one of the situations contemplated by the Act, he submits to the Commission a state ment of the evidence he has obtained. The Com mission must then, as provided for in subsection 114(24), hold hearings at "which evidence and argument in support of the statement may be submitted by or on behalf of the inspector, and at which the persons against whom an allegation has been made in the statement shall be allowed full opportunity to be heard in person or by counsel". Once these hearings have been completed, the Commission reports to the Minister.
On May 17, 1977, the Commission ordered, pursuant to section 114, that an investigation be conducted into the affairs of Javelin International Ltd. On January 26, 1982, the inspector appointed to conduct this investigation submitted to the Commission a statement of the evidence he had obtained. In this document, the inspector stated, among other things, that he had discovered that the applicant Doyle had fraudulently used Javelin for his personal gain at the expense of the other shareholders of the company. Shortly thereafter, the Commission advised the inspector, the appli cant and all others concerned that it would be holding public hearings commencing on April 26, 1982. Between that date and June 1983, the Com mission held 32 days of hearings. The applicant, who lives outside the country, did not attend the hearings. However, he was represented at them by a lawyer until July 21, 1982; on that date the latter withdrew from the hearings to protest the manner in which the Commission was conducting the investigation; he was not to return. On Sep- tember 26, 1983, the Commission filed its report with the Minister of Consumer and Corporate Affairs; in the report it concluded that most of the allegations of fraud made by the inspector against the applicant were founded and made the recom mendations it considered appropriate. It is this report which the applicant is seeking to have set aside.
The Commission's report is signed by three members of the Commission: the Chairman, Mr. Stoner, and two commissioners, Mr. MacLellan and Mr. Roseman. It is clear that Mr. Stoner attended all the hearings which preceded the filing of the report. Mr. MacLellan, for his part, was
apparently not present at the hearings on January 24, 25 and 26, 1983; 2 he was apparently also absent at the commencement of the sessions on March 28 and 29, 1983; finally, he apparently left for a few minutes during the morning of March 30 and the afternoon of April 5, 1983. As for Mr. Roseman, he was apparently absent for part of the morning and the entire afternoon of June 29 or July 21, 1982. It is not disputed that the Commis sion had the benefit of stenographic and transcrip tion services which allowed the commissioners to review what had taken place in their absence.
Thus two of the three persons who signed the report apparently had not heard all the evidence. It is this irregularity raised by counsel for the appli cant. He invoked the maxim "he who decides must hear" and concluded that only one of the three persons who signed the report had the authority to sign it. The report was therefore null and void for two reasons: first, because it had been validly signed by only one person, whereas the Act pro vides that two members of the Commission shall constitute a quorum; 3 second, because it is suffi cient, for a decision rendered by serveral persons to be invalidated, for only one of them not to have the authority to participate in it.
To this, counsel for the respondents replied:
that the quorum rule had been complied with since the decision a quo had been signed by three members of the Commission and since two of them had been present at all times through out the hearings;
that the rule "he who decides must hear" did not apply in the case at bar because the Com mission was responsible for making recommen dations and not for rendering a decision defining the rights of the parties in question;
2 The stenographic notes made during the hearings gave the names of the commissioners present at the commencement of each hearing. According to these notes, Mr. MacLellan was not present at the commencement of the hearings on January 24, 25 and 26 and March 28 and 29, 1983. On January 24, Mr. MacLellan's absence was noted and the Chairman explained: "He has a touch of flu and it is rather serious for the moment." (Transcript, Vol. 17, p. 2278.) It can therefore be presumed that Mr. MacLellan was absent during the entire sessions on January 24, 25 and 26.
3 See: Combines Investigation Act, R.S.C. 1970, c. C-23, s. 16(8) (as am. by S.C. 1974-75-76, c. 76, s. 5).
that, in any event, having waived the right to be heard, the applicant could not be allowed to invoke the irregularity complained of;
finally, that it had not been established that this irregularity prejudiced the applicant in any way or that the Commission's report would have been different if all the commissioners had attended all the hearings.
I do not think it is necessary for the purpose of deciding this case to determine whether the rule that two members of the Commission constitute a quorum was complied with. The important issue is whether the maxim "he who decides must hear" invoked by the applicant should be applied here.
This maxim expresses a well-known rule accord ing to which, where a tribunal is responsible for hearing and deciding a case, only those members of the tribunal who heard the case may take part in the decision. It has sometimes been said that this rule is a corollary of the audi alteram partem rule. 4 This is true to the extent a litigant is not truly "heard" unless he is heard by the person who will be deciding his case. In my view, however, the rule expresses more than that; it is a rule which actually affects the judge's jurisdiction. For that reason its violation may be invoked even by a litigant who waived his right to be heard by the court which passed judgment on him. Thus, a defendant who voluntarily declines to attend the hearing thereby waives the right to be heard; he does not, however, waive the right to be judged by a judge who has heard the evidence. This having been said, it must be realized that the rule "he who decides must hear", important though it may be, is based on the legislator's supposed intentions. It therefore does not apply where this is expressly stated to be the case; 5 nor does it apply where a review of all the provisions governing the activities of a tribunal leads to the conclusion that the legislator could not have intended them to apply. 6 Where the rule does apply to a tribunal, finally, it
4 See: Conseil de section du Barreau de Québec v. E. et al., [1953] R.L. 257 (Que. K.B.), at p. 265.
5 See: CRTC v. CTV Television Network Ltd. et al., [1982] 1 S.C.R. 530; Lipkovits v. Canadian Radio-television and Telecommunications Commission, [1983] 2 F.C. 321; 45 N.R. 383 (C.A.).
6 See: Reg. v. Race Relations Board, Ex parte Selvarajan, [1975] 1 W.L.R. 1686 (Eng. C.A.).
requires that all members of the tribunal who take part in a decision must have heard the evidence and the representations of the parties in the manner in which the law requires that they be heard. It can therefore not be argued that the requirements of the law have been met merely because the members of the tribunal who rendered a decision heard the evidence and arguments; the rule requires that they hear them in the manner prescribed by law.
These general observations do not provide a solution to this dispute. However, they do make it possible, at least, to reject certain of the respond ents' arguments and define the issue more precise ly. Contrary to what was stated by counsel for the respondents, the mere fact that the applicant decided not to be heard by the Commission does not deprive him of the right to complain of the fact that all the commissioners who signed the report did not hear all the evidence; contrary to what they also stated, the fact that the commissioners were able to review the evidence, despite their absence from the hearings, does not mean that the appli cant's application should not be granted since the important thing is to determine whether the three commissioners reviewed the evidence in the manner prescribed by law.
The principal argument of counsel for the respondents is that the maxim "he who decides must hear" applies only to judicial and quasi-judi cial bodies which are responsible for making deci sions which directly affect the rights of the parties; it would not apply to the Commission, which, pursuant to section 114, may only make recommendations. '
7 It is true that the Court has already decided that the report which the Commission made in the case at bar was a decision within the meaning of section 28 of the Federal Court Act. However, the Court came to this conclusion chiefly on the ground that a report by the Commission which contains one of the recommendations referred to in subsection 114(27) is not devoid of legal effect since it has the effect of empowering the Minister to institute and maintain or settle proceedings in the name of the company in question. It is still the case, therefore, that a report made by the Commission pursuant to subsections 114(25) and (27), despite its legal effect, is not a decision which directly affects the rights of the persons against whom it is made.
This argument is important. In the numerous cases cited by counsel for the applicant, I have not found any decisions where the maxim invoked was applied to a body responsible merely for making recommendations. All the cases involved judicial or quasi-judicial bodies responsible for rendering decisions directly affecting the rights of the parties. 8
It is not sufficient, however, in order to deter mine how the Commission should have dealt with the evidence presented to it, to consider only the nature of the decision it was to render. It is also necessary to take into account all the statutory provisions governing the Commission. It is clear from subsections 114(24), (25), (26) and (29) that Parliament intended the Commission to obtain the evidence and information to be used in preparing its report during hearings which all parties con cerned would be invited to attend and at which they would have the right to be heard, in person or by counsel; in other words, it seems that Parlia ment attached so much importance to the Com mission's report that it intended that the latter should hold hearings and that those who prepared the report should hear the evidence by attending these hearings. It therefore seems to me to be clear from section 114 that the commissioners who sign a report pursuant to subsection 114(25) must be those who were present during the hearings held pursuant to subsection 114(24). The fact that, in the case at bar, two of the three persons who signed the report did not attend all the hearings is
8 See Foster v. City of Halifax, [1926] 1 D.L.R. 125 (N.S.S.C.); Rex v. Huntingdon Confirming Authority. Ex parte George and Stamford Hotels, Ld., [1929] I K.B. 698 (C.A.); Conseil de section du Barreau de Québec v. E. et al., [1953] R.L. 257 (Que. K.B.); Mehr v. Law Society of Upper Canada, [1955] S.C.R. 344; Re Ramm (1957), 7 D.L.R. (2d) 378 (Ont. C.A.); Hughes v. Seafarers' International Union of North America, Canadian District & Heinekey (1961), 31 D.L.R. (2d) 441 (B.C.S.C.); R. v. Committee on Works of Halifax City Council, Ex p. Johnston (1962), 34 D.L.R. (2d) 45 (N.S.S.C.); Re Rosenfeld and College of Physicians and Surgeons (1969), 11 D.L.R. (3d) 148 (Ont. H.C.); R. v. Broker-Dealers' Association of Ontario, Ex parte Saman Investment Corporation Ltd., [1971] 1 O.R. 355 (H.C.); Re Rogers: Rogers v. Prince Edward Island Land Use Commis sion (1979), 20 Nfld. & P.E.1.R. 484 (P.E.1.S.C.); Murray v. Rockyview No. 44 (1980), 12 Alta. L.R. (2d) 342; 21 A.R. 512 (C.A.); Hayes v. Sask. Housing Corp., [1982] 3 W.W.R. 468 (Sask. Q.B.).
sufficient to invalidate the report in the same way as if it were a judicial or quasi-judicial decision.
I would therefore grant the application and set aside the report a quo.
RYAN J.: I concur.
* * *
The following is the English version of the reasons for judgment rendered by
MARCEAU J. (dissenting): My brother Mr. Jus tice Pratte is of the view that the Court should grant this section 28 application and I have read the reasons he has written in support of his conclu sion. Unfortunately I am not convinced that his analysis is correct and I have no other choice but to dissociate myself from it.
Let us briefly review the facts. On May 9, 1977, the Minister of Consumer and Corporate Affairs asked the respondent Commission, pursuant to the provisions of section 114 of the Canada Corpora tions Act (R.S.0 1970, c. C-32 as amended by R.S.C. 1970 (1st Supp.), c. 10, s. 12, hereinafter referred to as the Act), to conduct an "investiga- tion", within the meaning of the Act, of the affairs of Canadian Javelin Ltd./Javelin International Ltd. Having agreed to do so, the Commission, as required, first instructed an inspector to investi gate and submit to it a "statement of the evidence obtained", if that evidence seemed to confirm the existence of one of the facts suspected by the Minister and used as a basis for his request for an investigation. Seven months later, in a "statement of evidence" which included some 292 exhibits and to which were attached no less than 27 volumes of transcripts of testimony, the inspector, confirming the Minister's suspicions, made a number of alle gations of fraudulent conduct against certain per sons, including the applicant. Once this "statement of evidence" had been filed and sent to all con cerned, as prescribed by the Act (subsection 114(23)), the Commission organized hearings during which, again as required by the Act (sub- section 114(24)), "evidence and argument in sup port of the statement (were) submitted by or on behalf of the inspector" and "the persons against whom an allegation (had) been made in the state-
ment" and "full opportunity to be heard in person or by counsel". Thirty-three sessions or full days of hearings, spread out over a period of more than a year, were to prove necessary. On September 26, 1983, the Commission finally submitted to the Minister a report of its investigation in which it reiterated what had been said by the inspector and made the recommendations it considered appropri ate, as was its role.
As we know, it is this report which the applicant is contesting and seeking to have set aside. The practical consequences of such a setting aside are not clear, but they are undoubtedly very serious. Admittedly this is not a report that may have created an individual right or obligation or had an effect on the institution or prosecution of criminal proceedings; under subsection 114(27) of the Act, however, its filing is a condition precedent to the exercise of the powers given to the Minister "to institute and maintain or settle proceedings in the name of the company whose affairs and manage ment were the subject of the investigation". 9 And, in any event, such a setting aside will inevitably pose an extremely awkward and most difficult dilemma for the Commission: it will have to decide whether to abandon considerable expense and effort undertaken in the name of the public inter est or to incur the additional cost involved in resuming the hearings and preparing a new report. Aside from the question of principle, this applica tion thus seems to me to have extremely significant practical consequences, and I have difficulty seeing how it could be granted other than on the basis of a compelling argument founded on a clearly established set of facts.
The applicant and those who, with him, were implicated by the inspector have already used all procedural means imaginable to obstruct the Com mission's work: twenty-five applications brought in various jurisdictions have already been dismissed. Now he is bringing a motion under section 28 which, in the midst of points of argument with the
9 This Court took this into account in characterizing the report as a "decision" within the meaning of section 28 of the Federal Court Act (decision of January 20, 1984 dismissing the respondents' motion to set aside).
Court did not even see fit to deal with—and which, moreover, had already been made elsewhere unsuccessfully more than once—raises a new, last- minute argument. The applicant maintains that two of the three commissioners who signed the report—who are, to reiterate, Chairman Stoner, Commissioner MacLellan and Commissioner Roseman—were not present at all the hearings, and that this is an irregularity which, in law, irreparably vitiates the "decision" a quo and makes it totally null and void.
The details of the absences in question are not important in themselves, in the final analysis, but it is useful to know the basis for the allegation and the factual context in which the argument being made here arises.
To establish that the three commissioners did not attend all the sessions, the applicant first filed the affidavit of J.A. Silcoff, counsel for one of the individuals involved, which contained the following statements:
4. During some of the hearing days, either Commissioner R.S. MacLellan, or Commissioner F. Roseman were absent from the hearing room for all or part of the hearing days in question.
5. More particularly, to my knowledge Commissioner MacLel- lan was absent from the hearing room, inter alia, on January 24, 1983 for the entire day, on March 30, 1983 for a brief period during the morning session and on April 5, 1983 for a brief period during the afternoon session.
6. Also, to my knowledge Commissioner Roseman was absent from the hearing room on December 15, 1982 for the entire day.
He later decided to add the affidavit of I. L. Golomb, an American lawyer who had been called as a witness, whose affidavit stated the following:
3. I was personally present at the hearing held July 21, 1982 in Ottawa at which I testified. I therefore have personal knowl edge of the facts hereinafter stated.
4. To my recollection, Commissioner Roseman asked several questions in the morning, then excused himself and left. He did not return during the morning session nor did he return during the afternoon session and I did not see him again although I remained on the witness stand until the matter was adjourned that day.
It should be said right away, in connection with these two affidavits, that the session on December 15 referred to in the Silcoff affidavit concerning Commissioner Roseman was not a hearing session
but merely a meeting with counsel to resolve a number of administrative and procedural ques tions. It should also be said that the cross-exami nation of the attorney Mr. Golomb showed that his memory was unreliable and that his statement regarding the absence of Commissioner Roseman on July 21 was clearly contradicted by the tran script of the hearing notes made by the official stenographers for that day.
Apart from these two affidavits, the applicant referred to extracts from the hearing transcript and stated the following (paragraph 29 of his memorandum):
29. [TRANSLATION] As appears from the extracts from the transcripts, the stenographers indicated, on the first page of the transcript for each hearing day, which commissioners were present at the commencement of each hearing. These extracts show that Commissioner Roseman was absent at the com mencement of the hearing on December 15, 1982 (Vol. 16) and that Commissioner MacLellan was absent at the commence ment of the hearings on January 24, 25 and 26, 1983 (Vols. 17, 18 and 19) and of the hearings on March 28 and 29 (Vols. 24 and 25);
That is all the evidence on record to establish the absence of one or other of the commissioners during the some thirty-three full days over which the hearing before the Commission took place. The exceptional nature of this application in terms of what is at stake means that it is not possible, I respectfully submit, to rely on suppositions or pre sumptions with regard to the facts on which it purports to be based, and I am of the view that the only clearly established absences, on which the applicant may base his claim in law, are those of Commissioner MacLellan as attested to by the Silcoff affidavit, namely January 24 for the entire day, March 30 for a "brief period" during the morning session and April 5, again for a "brief period" during the afternoon session. I am not overlooking the references in the transcripts to the effect that Commissioner MacLellan was not present at the commencement of the sessions on January 25 and 26 and of those on March 28 and 29, but I interpret them as indicating insignificant late arrivals, since otherwise the Silcoff affidavit would surely have mentioned them. This then is the factual context in which the legal argument the applicant is making must be assessed.
The applicant's position in law is that the Com mission was required to respect what he calls "his right to be judged by members of a tribunal who were present throughout the hearings". According to him, it had this obligation as a result of the rule that "he who decides must hear", and the slightest failure on its part to respect this obligation fully, which could be raised as establishing a denial of justice or lack of jurisdiction, would result in its proceedings and consequently the "decision" a quo being null and void.
My brother Mr. Justice Pratte feels that this legal argument by the applicant should be accept ed. He rejects the suggestion by the respondents that the application of the rule invoked is related to the issue of whether there was a quorum of two commissioners, which is necessary for the Com mission to be able to act legally. Nor does he agree that the fact the applicant decided not to be heard by the Commission could affect his position since, in his view, the rule invoked is not simply a corollary of the audi alteram partem maxim, but is truly related to the judge's jurisdiction. He concedes that there do not seem to be any decided cases where this rule "he who decides must hear" has been applied to a body, such as the Commis sion, which merely makes recommendations. How ever, he says that in his view this rule is based on the presumed intention of Parliament and it seems to him, from a reading of subsections 114(24), (25), (26) and (29), that in this case Parliament attached so much importance to the Commission's report that it must have intended that only those commissioners who were present at each and every hearing could sign it.
My own reaction to the applicant's legal argu ments is entirely different. First, I cannot find in the Act any presumed intention on the part of Parliament to require compliance with the rule invoked. It is clear that Parliament, aware of the repercussions which anything the Commission might say, even if it was intended merely to express opinions and make recommendations, could have on individual reputations, did not wish an "investigation" report to be prepared and sub mitted without all those concerned having had an
opportunity to be heard. It is also clear that Parlia ment, mindful of the fact that an opportunity to be heard can be more less explicit, chose to provide expressly that those concerned should be able to appear in person or by counsel and be at full liberty to adduce evidence. It is not possible, how ever, it seems to me, to read more than that into the Act and find some presumed intention in its provisions. Furthermore, if one considers only the actual provisions one is led, I would suggest, to a conclusion opposite to the one that would result in an application of the rule invoked. Let us review the provisions in question:
114....
(23) At any stage of an investigation
(a) the inspector may, if he is of the opinion that the evidence obtained discloses a circumstance alleged under subsection (2), or
(b) the inspector shall, if so required by the Minister, prepare a statement of the evidence obtained in the investiga tion, which shall be submitted to the Commission and to each person against whom an allegation is made therein.
(24) Upon receipt of the statement, the Commission shall fix a place, time and date on which evidence and argument in support of the statement may be submitted by or on behalf of the inspector, and at which the persons against whom an allegation has been made in the statement shall be allowed full opportunity to be heard in person or by counsel.
(25) The Commission shall consider the statement submitted by the inspector under subsection (23) together with any further or other evidence or material submitted to the Commis sion, and shall, as soon as possible thereafter, report thereon to the Minister.
These provisions refer, once again, only to the Commission, and not to its members. It is the Commission that receives the inspector's report, it is the Commission that holds the hearings and it is the Commission that reports after considering the "statement of evidence" and any other evidence or material submitted to it during the hearings. In all cases it is the Commission that acts, and the Commission needs only two members to act.
It therefore does not seem possible to me, and I say this with all due respect for those who are of the opposite view, to see this stringent and inflex ible requirement invoked by the applicant in sup port of his thesis—the requirement, I reiterate, that no commissioner who is absent for any time at all from the hearings held by the Commission for the purpose of preparing a report under section
114 may participate in the preparation of that report—as arising from the Act. Nor does it seem possible to me to link in any way the existence of such a requirement to the rules of natural justice (to which that maxim of English law which is being invoked, "he who decides must hear", is primarily related, I think, at least in the way in which it is applied), since the Commission is not a court and has no adjudicative function and no power to determine individual rights.
There remains, I submit, only one other possible source. If the requirement invoked by the appli cant exists, this can only be because it is a corol lary of the right which the Act gives to all con cerned to be heard before the Commission. And merely realizing that this is the case decides the matter, in my view. The requirement would then be a requirement to give the person concerned an opportunity to appear and to be heard orally, throughout each of the thirty-three sessions, by the same two members of the Commission who consti tute a quorum, and this requirement would have been met since the evidence, as I stated earlier, points to a lack of continuous attendance on the part of only one of the three persons who signed the report. By refusing to appear at the vast majority of the hearings, even by counsel, more over, the applicant would obviously have waived his right to be heard and could not complain that it was not respected. In any event, however, I do not believe that a requirement as stringent and rigor ous as the one invoked by the applicant can be regarded as a mere corollary of the right of those concerned to be heard. Could it be seriously argued that by allowing one of the three commis sioners responsible for the investigation to be absent for such a relatively short time, when every thing that occurs during his absence is recorded and accurately reported to him, the Commission is infringing the right which those concerned have under the Act to appear before the Commission to present their evidence and arguments?
This application seems to me to be without merit and I would dismiss it.
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