Judgments

Decision Information

Decision Content

A-284-84
Canada Employment and Immigration Commis sion, Minister of Employment and Immigration and Deputy Minister of Employment and Immi gration, Gaétan Lussier (Appellants)
v.
Dale Lewis (Respondent)
Court of Appeal, Heald, Marceau and Stone JJ.— Toronto, March 13; Ottawa, May 13, 1985.
Judicial review — Prerogative writs — Public service — Certiorari — Deputy Minister's decision to dismiss respondent for cause quashed on ground rules of procedural fairness denied in investigation — Whether respondent made aware of case against him prior to interview — Right to be treated fairly — Certiorari matter of discretion where adequate alter native remedy — Adjudication of grievance process curing procedural defect in investigation — Adjudication providing opportunity of being heard by independent party, for witnesses to be summoned and for enforcement of adjudicator's decision — Failure to file notice of adjudication not justifying recourse to certiorari — Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 18.
Public service — Employment and Immigration Commis sion employee accused of assaulting immigration detainee — Dismissal — Grievance procedure unsuccessful — Certiorari quashing dismissal granted on ground investigation leading to dismissal disregarding procedural fairness rules — Whether such rules applicable — Whether respondent made aware of complaint against him prior to investigation — Adjudication of grievance process adequate alternative remedy to certiorari — Failure to file notice of adjudication insufficient basis to quash dismissal — Adjudication process curing procedural defect in investigation — Appeal allowed — Public Service Staff Relations Act, R.S.C. 1970, c. P-35, ss. 90, 91(1)(b), 96(1),(2),(3),(4),(6), 99(3) — Public Service Terms and Condi tions of Employment Regulations, SOR/67-118, s. 106 — P.S.S.R.B. Regulations and Rules of Procedure, C.R.C., c. 1353, ss. 79(1), 89(1) — Immigration Act, 1976, S.C. 1976-77, c. 52, ss. 110, 111 — Financial Administration Act, R.S.C. 1970, c. F-10, ss. 7(1)(i),(2).
Two Investigating Committees were set up to inquire into incidents which had occurred at one of the Immigration Department's detention centres. Those incidents involved the respondent and another immigration officer. The respondent was advised of the investigation and invited by both Commit tees to make representations before each of them. He chose not to participate before the Committee dealing more specifically with his case. The Deputy Minister, acting on the recommenda tion of the Committee, discharged the respondent from employ ment as an immigration investigator on the ground that he had assaulted an immigration detainee. The respondent pursued the
grievance process to the final level without success. He was, however, successful in having the decision to dismiss him quashed by the Trial Division on the ground that the investiga tion leading to his dismissal had disregarded some of the rules of procedural fairness. The respondent argued that he had been denied procedural fairness in that he had not been informed of the complaint made against him prior to the interview with the Committee. The appellants seek to quash the order for certio- rari on the grounds that the respondent was afforded adminis trative fairness and that the order was not justified since an alternative remedy was available in the form of adjudication pursuant to paragraph 91(1)(b) of the Public Service Staff Relations Act.
Held, the appeal should be allowed.
Per Stone J. (Heald J. concurring): While the respondent was not entitled to the panoply of protections afforded by the principles of natural justice, including those of a full hearing into the complaint, he was nevertheless entitled to be treated fairly. This is particularly true where, as in the present case, the investigating function and the function of deciding what form of discipline should be imposed are carried out by two different bodies.
The appellants assert that the respondent was made aware of the complaint against him through his fellow immigration officer and his union representative. There is no clear evidence to that effect. Disclosure by the Committee of the allegations under investigation to the union representative cannot be treat ed as disclosure to the respondent. The union representative merely informed the respondent that the matter was of a "serious nature". There is no evidence that she conveyed to him the detailed allegations related to her by the Committee. Furthermore, knowledge on the respondent's part that his conduct was under investigation cannot be inferred from the fact that he retained counsel.
The decision to grant certiorari is one of discretion where, as in this case, there exists a possible alternative remedy. That remedy must, however, be adequate in the eyes of the law. In deciding whether such remedy existed, the Court examined the legislation relating to the adjudication of a grievance arising out of dismissal from employment. Under section 96 of the Public Service Staff Relations Act, the respondent would have been afforded an "opportunity of being heard" by an adjudica tor. Whereas the grievance procedure requires a review by the employer, the Act requires a decision in an adjudication pro ceeding to be made by an independent third party. As well, parties may have witnesses summoned to testify on their behalf at a hearing before an adjudicator. Subsection 96(4) obliges an employer to take the action required by the decision of an adjudicator. Intervention of the Board itself to enforce compli ance with the decision of an adjudicator is provided for in subsection 96(6) of the Act. Thus, in this case, the employer could have been required to reinstate the respondent. In light of these provisions, it cannot be said that an adequate alternative remedy did not exist. The adjudication process could have cured the procedural defect in the investigation which led to the respondent's dismissal.
Under subsection 79(1) of the P.S.S.R.B. Regulations and Rules of Procedure the respondent was required to file a notice of reference to adjudication with the registrar within a pre-
scribed time. However, the respondent, through his own lack of diligence, failed to do so. That failure to secure this alternative remedy and protect his statutory right cannot provide a suffi cient basis to quash the decision to dismiss the respondent.
Per Marceau J.: The decision a quo is not one to which the rules of procedural fairness apply. The imposition by the courts of a duty to act fairly in the carrying out of certain administra tive functions is aimed at filling a gap. There is no gap to be filled here. The law has provided for full protection against unjust disciplinary measures through the Public Service Staff Relations Act. The Court would not be justified in going beyond the will of Parliament by subjecting the taking of those decisions to requirements aimed at giving, in effect, a redun dant protection.
In any event, the evidence did not support a finding of denial of procedural fairness. The procedural rules of fairness involved are those required to give effect to the audi alteram partem maxim. It is obvious that the respondent was himself perfectly aware of all the information he needed to put his own case properly: the incidents complained of were precise as to the place, the date and the general time of the day; particulars of the complaints received by the Deputy Minister were given to the union officer who was clearly acting as the respondent's representative.
CASES JUDICIALLY CONSIDERED
FOLLOWED:
Harelkin v. University of Regina, [1979] 2 S.C.R. 561.
APPLIED:
Canadian Human Rights Commission v. Jones, [1982] 1 F.C. 738 (T.D.).
CONSIDERED:
Pearlberg v. Varty, [1972] 1 W.L.R. 534 (H.L.); Wise- man v. Borneman, [1971] A.C. 297 (H.L.); Nicholson v. Haldimand-Norfolk Regional Board of Commissioners of Police, [1979] 1 S.C.R. 311.
REFERRED TO:
R. v. R. (T.) (1983), 28 Alta L.R. (2d) 383 (Q.B.); King v. University of Saskatchewan, [1969] S.C.R. 678; Pillai v. Singapore City Council, [1968] 1 W.L.R. 1278 (P.C.); Calvin v. Carr, [1980] A.C. 574 (P.C.); P.P.G. Industries Canada Ltd. v. A.G. of Canada, [1976] 2 S.C.R. 739; Ridge v. Baldwin, [1964] A.C. 40 (H.L.).
COUNSEL:
Marlene I. Thomas for appellants.
J. Spence Stewart, Q. C. for respondent.
SOLICITORS:
Deputy Attorney General of Canada for
appellants.
Du Vernet, Stewart, Toronto, for respondent.
The following are the reasons for judgment rendered in English by
MARCEAU J.: I have had the advantage of reading the reasons of Mr. Justice Stone and, while in agreement with the result, I feel it neces sary to add comments of my own as I arrive at the conclusion by a different reasoning.
The order under appeal [sub nom. Lewis v. Canada Employment and Immigration Commis sion, T-2078-83, Jerome A.C.J., January 20, 1984, not reported] is one in the nature of certiorari quashing a decision of the appellant Deputy Minis ter whereby the respondent had been discharged from employment as an immigration investigator for misconduct in the performance of his duties. This decision, in the view of the Motion Judge, could not be allowed to stand because the investi gation which had led thereto had disregarded some of the rules of procedural fairness. Mr. Justice Stone finds himself in agreement with the Motion Judge's finding that the Deputy Minister had breached the rules of procedural fairness but he takes the position that the relief of certiorari should nevertheless have been refused because, in effect, the respondent had other remedies available to him.
If I had reached Stone J.'s view that the decision had indeed been made in an illegal manner, I would have had no difficulty in coming to my brother's further finding. In view of the failure of the respondent to fully avail himself of the griev ance procedure that was open to him under the Public Service Staff Relations Act, R.S.C. 1970, c. P-35, a remedy, easier, more direct and more appropriate than the one he resorted to—to which I might have added his unsatisfactorily explained failure to act in a timely fashion in seeking a relief of such an extraordinary nature—I, too, would have denied the application for certiorari. My understanding of the reasoning of the majority judgment of the Supreme Court in Harelkin v. University of Regina, [1979] 2 S.C.R. 561, would
have no doubt led me to that conclusion. However, I did not have to adopt this final line of reasoning for the simple reason that I have not been able to convince myself that certiorari was even, in this case, theoretically available. Indeed, not only am I of the opinion that the evidence does not support a finding that the respondent has been treated in disregard of some rules of procedural fairness, I am of the further and more general opinion that this was not, in any event, a decision to which rules of procedural fairness were applicable.
I
The facts that gave rise to these proceedings are fully set out in Mr. Justice Stone's reasons. I need not repeat them. The substance of the respondent's complaint of unfairness will easily be recalled. Following complaints of blameworthy conduct on the part of the respondent and another investigator in the course of incidents that had occurred at one of the Department's detention centres a few days before, the appellant Deputy Minister set up two Committees with the duty to investigate (each concentrating on one of the two employees involved and therefore identified in the record as the Lewis Committee and the Quigley Committee) and submit a report including recommendations for disciplinary action, if called for. The respon dent was advised of the investigation and the setting-up of the two Committees by letter signed by the acting manager of his unit, Ken Lawrence. He was invited by the two Committees to give his version of the events and make all representations he wished to make and he appeared before each of them, although he chose not to participate before the Committee dealing more particularly with his case. What he alleged in support of a contention that he was not treated fairly—a contention raised a full year later—is that before his appearance before the Committee he had not been made clear ly aware of the charge laid against him.
I do not think it can seriously be doubted that the respondent knew exactly which incidents were being investigated by the Committees. It should indeed be recalled: (1) that the Lawrence letter, while referring only to "incidents" was, neverthe less, precise as to the place (detention centre), the
date (September 16), the general time of the day (evening), where these incidents had occurred: in view of the fact that, during the evening of Sep- tember 16, the respondent and his partner had been at the detention centre a few minutes only, in the course of which, according to the respondent's own story, his partner had had some "dealings" with a taxi driver, he himself with the detainee Thomas and no one else, (apart naturally from the lady they had come to pick up), the exact identifi cation of the incidents in question should have raised no problem; (2) that, on September 22, after having sought assistance of a union repre sentative, the respondent appeared before the Quigley Committee and the incidents on which he was then called upon to testify were referred to as altercations with the taxi driver and the detainee Thomas; (3) that, on September 23, the Commit tee concerned with the respondent's case met in the respondent's absence but in the presence of his partner and a union officer who was clearly acting as the respondent's representative; and during that meeting all information about and particulars of the complaints received by the Deputy Minister were given; (4) and finally, that on the same day, September 23, after the Lewis Committee's meet ing, the respondent had a long discussion with the union representative and his partner, following which he made the decision to consult a solicitor.
Bearing in mind all those facts, I do not think one can believe that on September 24, the respon dent could have been ignorant of the nature of the incidents in which he had participated and about which the Committee was investigating. In fact, during the cross-examination he was subjected to on the affidavit he had filed in support of his application before the Trial Division, particulars were required about the statement contained in paragraph 15 thereof which reads as follows:
I became aware that the committee purportedly was dealing with allegations that I had assaulted a certain Michael Thomas, a detainee at the Waldorf Astoria Hotel who had been placed in custody there by myself and Mr. Quigley some two or three days prior.
The question asked was (page 128 of the Case Book):
Q. What's the time-frame of paragraph 15:
"I became aware that the committee purportedly was dealing with allegations...."
Now, you've told me this afternoon that you know that at least as early as September 23rd?
The respondent's answer was:
A. Yes, when Mr. Quigley advised me.
We are dealing here with rules of fairness appli cable with respect to the making of an administra tive decision, not with criminal procedure in a court of law. And the procedural rules of fairness involved are those required to give effect to the audi alteram partem maxim. So, the question is plainly whether the respondent was sufficiently aware of the incident under investigation and the role he was said to have had in it to be in a position to take full advantage of the opportunity he was given to be heard. I simply do not see how this question can be answered in the negative. It seems obvious to me that the respondent was himself perfectly aware of all that he needed to know to put his own case properly and, in any event, his representative had been fully informed of all details. Moreover, at no time was any particular denied to him, the point being that he never requested any. The definitive emergence of the "fairness doctrine" in the case of Nicholson v. Haldimand-Norfolk Regional Board of Commis sioners of Police, [1979] 1 S.C.R. 311 and its rapid development in the case law were due to a firm desire to better assure fair play and justice in the administrative process by protecting individu als against arbitrary, uninformed and hasty deci sions. The role of the procedural rules implied by the doctrine is to achieve such goals; it is not to introduce uselessly formal and empty procedural requirements. The so often repeated passage in the speech of Lord Morris of Borth-y-Gest, in Wise- man v. Borneman, [1971] A.C. 297 (H.L.) (pages 308-309) is again to the point:
We often speak of the rules of natural justice. But there is nothing rigid or mechanical about them. What they com prehend has been analysed and described in many authorities. But any analysis must bring into relief rather their spirit and their inspiration than any precision of definition or precision as to application. We do not search for prescriptions which will lay down exactly what must, in various divergent situations, be done. The principles and procedures are to be applied which, in any particular situation or set of circumstances, are right and just and fair. Natural justice, it has been said, is only "fair play in action."
I simply fail to see how it can be said that, in the circumstances of this case, any one of the proce dural rules attached to a duty to act fairly may have been breached to the detriment of the fair play and justice due to the respondent.
II
My disapproval of the order under appeal, how ever, is not mainly based on this difference of opinion as to whether a procedural rule imposed by a duty to act fairly would have been breached here. It comes first of all, as I said previously, from the view that the requirements of procedural fair ness had no role to play, in the circumstances of this case. I hold that view for the following reasons.
The decision questioned in these proceedings is that of the Deputy Minister dismissing the respondent for cause. The authority of the Deputy Minister to impose disciplinary measures up to and including discharge for cause in the course of carrying out his mandate of personnel manage ment is certain. This authority was first conferred by Parliament on the Treasury Board by para graph 7(1)(i) of the Financial Administration Act, R.S.C. 1970, c. F-10, but it could be delegated pursuant to subsection 7(2) of this Act and it was effectively so delegated by section 106 of the Public Service Terms and Conditions of Employ ment Regulations ([SOR/67-118] later substituted by TB 672696, September 13, 1967))
' These three provisions read, thus:
7. (1) ...
(J) establish standards of discipline in the public service and prescribe the financial and other penalties, including suspension and discharge, that may be applied for breaches of discipline or misconduct, and the circumstances and manner in which and the authority by which or whom those penalties may be applied or may be varied or rescinded in whole or in part;
(2) The Treasury Board may authorize the deputy head of a department or the chief executive officer of any portion of the public service to exercise and perform, in such manner and subject to such terms and conditions as the Treasury Board directs, any of the powers and functions of the Treasury Board in relation to personnel management in the public service and
(Continued on next page)
On becoming aware of a breach of discipline or misconduct by an employee under his authority, the Deputy Minister may, therefore, take a disci plinary measure. There is nothing in the regula tions to indicate how the Deputy Minister may become aware of the facts on which a particular measure can be taken and it is difficult to see how such indication could have been useful. He may happen to have witnessed personally certain mis behaviour or he may have been apprised of it by his supervisors, other subordinates or by third persons. That can hardly matter in so far as the right to act is concerned but in practice the par ticular source of information involved may natu rally raise a question of reliability. It is in this context that a mechanism for administrative inves tigations appears to have been suggested to the deputy heads (the text of which is reproduced at pages 65 et seq. of the Case), "designed to elicit information and establish a factual, documented base upon which decisions can be made". The mechanism is presented as, and is clearly in real ity, a pure fact-finding one, established for the benefit of the Deputy Minister, with a view to assisting him in the exercise of his authority. The investigating Committee set up is given no author ity, no power, no right to issue subpoenas for the attendance of witnesses, and no one who agrees to appear before it will be asked to testify under oath. Incidentally, there was some question raised during the hearing (and, in fact, the point had been made by counsel for the respondent before the investigators) as to whether the setting-up of
(Continued from previous page)
may, from time to time as it sees fit, revise or rescind and reinstate the authority so granted.
DISCIPLINE
106. Subject to any enactment of the Treasury Board, a deputy head may
(a) establish standards of discipline
(i) for employees;
(ii) for persons to whom the Prevailing Rate Employees (General) Regulations, 1963, the Ships' Crews Regu lations, 1964, or the Ships' Officers Regulations, 1964, apply and
(iii) for persons occupying teacher and principal positions in the Department of Indian Affairs and Northern Development,
(b) prescribe, impose and vary or rescind, in whole or in part, the financial and other penalties, including suspension and discharge, that may be applied for breaches of discipline or misconduct by persons referred to in paragraph (a). (TB 718417, 22 March 1973)
the Committees here was authorized by law. I do not see why such authority would be required. Of course, the Deputy Minister has to inform himself as to the facts surrounding alleged misconduct and the setting-up of investigating Committees is only a means for him to obtain the information he needs. In so far as he does not purport to confer on his investigators any power other than to look into the facts and submit a report, he certainly does not need special authority to do so. In any event, the setting-up of one or several fact-finding Commit tees can in no way affect or alter the power of a Deputy Minister to discipline an employee of his Department for cause. So the question to be asked is whether the Deputy Minister is required to observe rules of procedural fairness prior to resort ing to a disciplinary measure. I suggest, with respect, that he is not. Of course, I do not mean that there cannot be circumstances where it will be desirable and far more prudent for him, as for any manager, to respect all the requirements usually attached to the legal notion of natural justice before imposing a disciplinary measure of a par ticular gravity. I mean that he has no legal duty to do so.
The imposition by the courts of a duty to act fairly in the carrying out of certain administrative functions was aimed, as I understand it, at filling a gap. It was felt that there was no rational basis in treating completely differently, in so far as the protection of individuals was concerned, decisions classified as quasi-judicial because a certain formal requirement had been imposed in the legis lation and decisions classified as administrative because no such requirement had been so imposed. Chief Justice Laskin, in Nicholson, supra, was quite explicit (at page 325):
What rightly lies behind this emergence is the realization that the classification of statutory functions as judicial, quasi-judi cial or administrative is often very difficult, to say the least; and to endow some with procedural protection while denying others any at all would work injustice when the results of statutory decisions raise the same serious consequences for those adversely affected, regardless of the classification of the function in question: see, generally, Mullan, Fairness: The New Natural Justice (1975), 25 Univ. of Tor. L.J. 281.
There is no gap to be filled here. The law has provided for full protection against unjust discipli nary measures in the Public Service. If the proba tionary constable, in the Nicholson case, supra, had had a recourse against his dismissal as com plete and effective as the recourse against discipli nary measures set up in the Public Service Staff Relations Act, it is obvious that Chief Justice Laskin and the majority of the Court there would not have reacted as they did. Referring to the decision of the House of Lords in Pearlberg v. Varty, [1972] 1 W.L.R. 534 where Viscount Dil- home had said (at page 546):
Where the person affected can be heard at a later stage and can then put forward all the objections he could have preferred if he had been heard on the making of the application, it by no means follows that he suffers an injustice in not being heard on that application. Ex parte applications are frequently made in the courts. I have never heard it suggested that that is contrary to natural justice on the ground that at that stage the other party is not heard.
the learned Chief Justice stated quite simply [at page 326]:
Pearlberg v. Varty has no affinity with the present case .... Unlike the situation in the present case, the decision in issue would not be a final determination of his rights.
The centre point in the Nicholson case, as it had been previously in the landmark case of Ridge v. Baldwin, [1964] A.C. 40 (H.L.), was the peremp tory and final character of the impugned decision. This case cannot be seen, therefore, as falling under the governing influence of either one of them.
In my view, the law having set up an adequate system of control over the disciplinary decisions of the Deputy Minister, the Court would not be justified to go beyond the will of Parliament and subject the taking of those decisions to require ments aimed at giving, in effect, a redundant protection. It should be recalled that the expansion of the rules of fairness is not always advantageous and carries with it certain dangers as is pointed out in de Smith's Judicial Review of Administrative Action (4th edition) at page 47:
... to determine the procedural duties of public authorities by such an open-textured standard as the duty to act fairly can create grave uncertainties in administration and may lead to
the inappropriate imposition of an overly judicialised procedure upon bodies whose ability to discharge their statutory respon sibilities may thereby be impaired.
and again at page 240:
... there is a point at which the benefits of extensive applica tions of the notion of fairness may be outweighed by the costs of uncertainty in administration and in the courts.
A statement made by Lord Reid in the course of his speech in Wiseman v. Borneman, supra, (at page 308) comes to mind here:
Natural justice requires that the procedure before any tribunal which is acting judicially shall be fair in all the circum stances .... For a long time the courts have, without objection from Parliament, supplemented procedure laid down in legisla tion where they have found that to be necessary for this purpose. But before this unusual kind of power is exercised it must be clear that the statutory procedure is insufficient to achieve justice and that to require additional steps would not frustrate the apparent purpose of the legislation.
The procedural requirements created by the doctrine of fairness should not be imported, in my view, into the field of personnel management and disciplinary action in the Public Service where efficiency requires that things be done simply and quickly and where Parliament has already set up a complete and totally adequate mechanism to con trol the decisions of the authority. So, even if I had not reached the conclusion, in this case, that all that could reasonably be done to give effect to the audi alteram partem maxim was actually done, I would have said that no legal duty to comply with any procedural measures imposed by a special duty to act fairly was present.
I would therefore, like my brother Stone J., grant the appeal and quash the judgment of the Trial Division, with costs in both Courts.
* * *
The following are the reasons for judgment rendered in English by
STONE J.: The appellants seek to quash an order in the nature of certiorari issued by the Associate Chief Justice on January 20, 1984 pursuant to section 18 of the Federal Court Act [R.S.C. 1970 (2nd Supp.), c. 10], whereby a decision of the
appellant Deputy Minister, dated October 15, 1982, was quashed. By that decision the respon dent was discharged from employment effective October 20, 1982. The decision of the Deputy Minister followed an investigation of a complaint of misconduct on the part of the respondent in the course of his employment. No question arises on this appeal as to the authority to carry out the investigation which, apparently, is founded upon the provisions of paragraph 7(1)(i) of the Finan cial Administration Act, R.S.C. 1970, c. F-10.
FACTUAL BACKGROUND
By his letter dated October 15, 1982, the Deputy Minister, acting on the recommendation of an investigating Committee, discharged the respondent from employment as an immigration investigator with the Commission. The respondent had held that position from August of 1974 and had been employed with the Commission com mencing in March of 1973. While his position is referred to as "immigration investigator" or "immigration officer", it appears that the latter description is technically correct. He testified that his duties included "apprehension, arrest and detention of persons in violation of the Immigra tion Act and Regulations". Those are powers con ferred by virtue of section 111 of the Immigration Act, 1976 [S.C. 1976-77, c. 52] on an "immigra- tion officer" either appointed or designated under section 110. In his letter to the respondent, the Deputy Minister wrote:
This is further to the recommendation of your Executive Director to discharge you from the Commission/Department following an internal administrative investigation into your activities on the evening of September 16, 1982.
I have carefully reviewed the facts and circumstances sur rounding this recommendation and I am satisfied that you physically assaulted an Immigration Detainee, Michael Thomas, while he was being held in the Waldorf-Astoria Detention Centre.
In view of the nature and seriousness of your misconduct, I have decided, pursuant to the authority granted me under section 106 of the Public Service Terms and Conditions of Employment Regulations, to discharge you effective October 20, 1982 at the close of business.
In accordance with section 90 of the Public Service Staff Relations Act, you may present a grievance against my decision within 25 days following receipt of this letter.
On September 20, 1982, two Investigating Com mittees were struck to investigate the conduct of
the respondent and of his partner one Quigley, another immigration investigator employed by the Commission, in connection with certain incidents alleged to have occurred on the evening of Septem- ber 16, 1982, at or near the Waldorf-Astoria Hotel in Metropolitan Toronto. The allegation against Quigley was that he has assaulted a taxi driver. By letter dated September 20, 1982, the Assistant Manager, Toronto Enforcement, Canada Immi gration Centre, wrote to the respondent as follows:
An administrative investigation is being conducted with respect to certain incidents which allegedly took place during the evening of Thursday, 16 September 1982 at the Waldorf-Astoria Immigration Detention Centre. The two Investigative Committees formed to investigate these alleged incidents plan to interview you in the near future. You have the right to representation. A copy of this letter has therefore been provided to your union representative.
The Committee appointed to investigate the taxi driver's complaint interviewed the respondent on September 22. A transcript of the interview, which was tape-recorded, is before us. While the inter view was concerned with the complaint of the taxi driver, the alleged assault on Thomas was gone into with the respondent to some extent. He was not informed, however, that his own conduct had been brought into question in this connection and, indeed, it was made clear to him that the purpose of the interview was to determine the facts sur rounding the complaint of the taxi driver.
The Committee struck to investigate the Thomas complaint consisted of two officials of the Canada Immigration Centres at Toronto, namely, one Best of the Toronto East Centre and one Mitchell of the Toronto West Centre. Attempts by this Committee to interview Quigley and the respondent on September 23, 1982 were unsuc cessful because of the latter's unavailability until September 24. Quigley attended the Committee on September 23 accompanied by one Wasilewski, a representative of his union. A tape-recorded tran script of the discussion is before us. The union representative took objection to the interview pro ceeding on that day because she had only recently received notice of it and felt unprepared. She stated as her understanding that the investigation would probably lead to a report being made to the Manager of Toronto Enforcement and that he, at
that time, would "have to consider whether any kind of disciplinary action is warranted or if it turns out very negatively for Mr. Lewis and Mr. Quigley". She contended that neither Quigley nor the respondent had been informed of any specific allegations made against them up to that point in time. In response to this criticism, Committee member Best stated:
The outcome I can't comment on because I have no opinion. All we're doing, is literally that, the investigation. What the out come will be or whether there will be any outcome is something I have no concern with or interest in. I will submit the report and that's it. At that time before any disciplinary action is taken, if that's the decision, then of course, a disciplinary hearing will be held at which time they would have the right to union representation. This has nothing to do with disciplinary action. This is really to find out if something happened and if something did happen, what happened, no more.
After some further discussion, the Committee decided to defer the interview until the following day, commencing at 9:00 a.m. It had already arranged to interview the respondent commencing one hour later. Before adjourning, the Committee members described to the union representative and to Quigley the allegations under investigation as follows:
Mitchell: ... Okay, basically the allegations are such that a detainee at the Waldorf-Astoria hotel, a Mr. Michael Thomas was, we'll put it as, physically contacted by an officer, the commission, in spe cific Officer Dale Lewis.
Wasilewski: And physically contacted there, are you alleging that some form of force was used upon the person?
Best: Mr. Thomas claims that he was struck by Officer Lewis.
Wasilewski: Is he claiming that Mr. Quigley struck him as well?
Mitchell: No, he was not.
Wasilewski: Is he claiming that Mr. Quigley was present at
the time that this happened?
Mitchell: Yes.
Wasilewski: Were there any other people present other than
the two officers and the detainee?
Mitchell: Well
Best: There may have been other people who were in and around at the time, but you asked for the allegation, not a summary of our evidence.
Wasilewski: Okay, what time did this take place, do you know?
Mitchell: At approximately at 22:15 on the evening of the
16th of September 1982.
Wasilewski: Twenty to what?
Mitchell: 22:15, would be 10:15 Wasilewski: On the 15th?
Mitchell: On the 16th.
It is clear from the record that the respondent was not at any time informed in writing by the Committee or by anyone acting on its behalf that its investigation was directed toward an alleged assault by him upon Thomas and that it was one of the "incidents" referred to in the letter of Septem- ber 20, 1982. On the other hand, the appellants rely upon the revelations made by the Committee to Quigley and Wasilewski on September 23, cou pled with statements made by the respondent in an affidavit sworn September 9, 1983 in support of the application for the order under attack and upon evidence given upon cross-examination on that affidavit on October 5, 1983. At that 'cross- examination, counsel for the appellants produced a transcript of the September 23 interview and it was marked as Exhibit A for identification. With the aid of the transcript, counsel cross-examined the respondent on his understanding of the purpose of the Best/Mitchell investigation. His understand ing, he testified, was gained from Quigley follow ing his interview of September 23 and was to the effect that "they had asked him about an assault". The respondent's attention was drawn to pages 9 and 10 of the transcript upon which he testified as follows:
Q ... But, if I can direct your attention to five indentations up from the bottom of the page:
"Mitchell: Basically the allegations are such that a detainee at the Waldorf Astoria, Mr. Michael Thomas was, we'll put it as, physically contacted by an officer, The Commission, in specific, Officer Dale Lewis."
And then two down:
"Best: Mr. Thomas claims he was struck by Officer Lewis, not by Quigley, but Quigley was present at the time."
Did Quigley give you information to that effect sometime on September 23rd, 1982?
A He stated to the effect that they had asked about an assault. Those were the words he used.
Q Was the name Michael Thomas mentioned? A Yes—well, I would think so.
Q All right. So, is it fair for me to suggest to you that you knew at that time what—what allegations had been—
A I had been informed by Mr. Quigley that that's what they had asked him, yes.
Q All right. Did you speak to Ms. Wasilewski between— well, in the intervening time between the interview that's reflected in Exhibit A and the September 24th interview or meeting?
A Yes, I did.
Q Did she give you information that is in effect what's set out at page 9 of Exhibit A?
A She didn't tell me something specifically of that nature. She said that the matter that they were dealing with, in her opinion, was of a serious nature, and she said that she was not qualified to pursue the matter further; that she had asked for help from someone higher in the Union, and they didn't seem to know what to do; and that she suggested that I contact Coun sel, but she didn't want me to contact Counsel if there was no need to contact Counsel. She didn't know what to tell me. So, on that basis, I contacted Counsel.
I will return to consider this evidence in due course.
It is apparent from the Committee's report that it was in the hands of the Manager, Toronto Enforcement, Canada Immigration Centre, by October 8, 1982, when he addressed a letter to the respondent informing him to that effect and also:
As a result of this investigation a recommendation for your discharge has been forwarded today to Mr. G. Lussier, Chair- man/Deputy Minister, Canada Employment and Immigration Commission.
While the Deputy Minister states in this letter that he was acting on the recommendation of "your Executive Director", it is apparent that the recom mendation to discharge the respondent was based upon the Committee's report which in fact had recommended that "disciplinary action be taken against Dale Lewis and John Quigley concerning their participation in an assault against Michael Thomas". In that report, the Committee concluded from the facts before it that Thomas had been "hit, at least once, by Immigration Officer Dale Lewis".
The respondent attacked the decision of the Deputy Minister before the Associate Chief Jus-
tice on the ground that he had not been informed of the case made against him in advance of his scheduled interview. He claims that the letter of September 20, 1982, did not contain any specific allegation of misconduct but only that "certain incidents" were being investigated and that the committees formed to investigate the alleged inci dents "plan to interview you in the near future".
Following his discharge, the respondent invoked the grievance procedure provided for in the Public Service Staff Relations Act, R.S.C. 1970, c. P-35, subsection 90(1). It is clear on the record that he pursued his grievance to the final level without success. That point was arrived at in February 1983. In the meantime Quigley, too, had been disciplined both in respect of the alleged assault on the taxi driver as for his participation in the alleged assault on Thomas, the detainee. We are told that he, too, lodged a grievance and that he pursued it beyond the final level to adjudication. Before the adjudication process had run its course, Quigley launched an application under section 18 of the Federal Court Act praying for a writ of certiorari quashing the decision of the Deputy Minister discharging him from his employment with the Commission. That application was heard in the Trial Division on February 14, 1983, by Mr. Justice Mahoney who granted the relief sought on February 22, 1983 [sub nom. Quigley v. Canada Employment and Immigration Commission, T-9197-82, not reported]. No appeal to this Court was taken from that decision.
On February 28, 1983, after receipt of the final level grievance reply, the respondent sent a letter to his union with a notice of reference to adjudica tion and disclosing, inter alia, the name, address and telephone number of his solicitor who he had "retained and instructed ... to pursue this matter to the fullest". He did not pursue the matter to adjudication. Instead his solicitor sought his rein statement at the Regional Office level but was unsuccessful. This was followed by a letter dated June 16, 1983, from his solicitor to the Deputy Minister seeking the respondent's reinstatement on
the basis of the decision of the Trial Division in the Quigley case. He wrote in part:
Since all the same considerations would seem to apply to Mr. Lewis as to Mr. Quigley, I approached your Regional Office on the question of whether or not they would consider reinstating Mr. Lewis at this time rather than wait for the results of arbitration. I spoke to a Ms. Lynn Reesor who dealt with the matter on behalf of the Director of Personnel, Frank Ashmol. I was advised that no consideration would be given Mr. Lewis as a result of the decision of the Federal Court.
Since Mr. Quigley would seem to be in no better position than Mr. Lewis with regard to this matter, it may well be unneces sary to go to arbitration for Mr. Lewis. Indeed, if I am correct that the Federal Court decision on Mr. Quigley's case applies to Mr. Lewis' circumstances, then the arbitration would be dealing with a matter already decided by the courts.
I am writing you with the thought that you might want to give this matter further consideration at this time rather than involving Mr. Lewis and the Department of Employment and Immigration in further work and costs.
This attempt at reinstatement was also unsuccess ful as appears from a letter dated July 7, 1983, from the Deputy Minister who wrote in part:
Mr. Lewis was accused of having physically assaulted an Immigration detainee. He was made aware of the allegations against him and of the consequences by management through his Union representative, following which he obtained legal counsel. He then declined to be interviewed by the Internal Investigation Committee.
Upon review of the matter I am satisfied that Mr. Lewis' case is therefore quite different from that of Mr. Quigley and any intervention on my part is unwarranted.
The solicitor reported this result to the respon dent by letter, but due to a variety of circum stances the letter did not reach him until mid- August 1983. His present solicitors were thereafter retained and the originating notice of motion seek ing a writ of certiorari was filed and served in early September. It was heard by the Associate Chief Justice on October 31. While a number of grounds were advanced by the parties either for quashing or for sustaining the Deputy Minister's decision of October 15, 1982, this appeal is con cerned only with the order made by the learned Associate Chief Justice and with his reasons there- for. The respondent appeared satisfied with that order for the reasons given as he did not launch a cross-appeal. Accordingly, it is necessary here to
deal only with the alleged "errors" advanced by the appellants against that order. They may be summarized as follows:
(a) the respondent was afforded administrative fairness;
(b) the order was based upon a misapprehension of facts;
(c) it was wrong to make that order when an alternative remedy was available;
(d) a judicial attitude of reluctance to interfere in an employment relationship where a griev ance and an adjudication process is provided for determining disputes was disregarded;
(e) the order ought not to have been made because of laches on the part of the respondent.
These last three submissions, we are informed, were made before the Associate Chief Justice even though they are not dealt with expressly in his reasons. I shall deal with the above issues in turn.
DUTY OF FAIRNESS
The learned Associate Chief Justice, in referring in his reasons to the decision of Mr. Justice Mahoney in the Quigley case, observed [at page 2]:
If I may paraphrase, the basis of that decision is that while Quigley throughout the proceedings had been made aware that his own conduct might be subject to disciplinary measures, he had not been advised that he was equally in jeopardy for his involvement in the allegations against Lewis. While there are certain factual differences in the two situations, it would appear that a similar result must ensue here.
Assault by an employee of Immigration Canada upon any person held in Immigration detention is an extremely serious matter and if verified, invites dismissal. It is now well estab lished that in the conduct of such investigative proceedings, the duty to treat the accused person fairly includes his right to know what case he must meet, to make full answer and defence, and to be aware that an adverse decision might result in serious disciplinary measures.
In the case before us no question arises that the respondent was entitled to be treated fairly. Instead, the appellants contend that fairness was accorded and that there can be no cause for com plaint. On the other hand, the respondent claims
that fairness was denied because he was not informed prior to the scheduled interview that it was his own conduct that was the subject of the investigation and in what respect his conduct was under review. The leading case in this country on the duty of fairness is the decision of a majority of the Supreme Court of Canada in Nicholson v. Haldimand-Norfolk Regional Board of Commis sioners of Police, [1979] 1 S.C.R. 311. That case involved the summary dismissal of a probationary police constable. It was clear that as a probation ary employee Nicholson was not entitled to have his case heard prior to final disposition. The princi ple of that decision must, of course, be viewed in the circumstances it presented, including the fact that as a police constable Nicholson was the holder of a public office and was not merely the "servant" of his employer. The duty to treat fairly was summarized by Laskin C.J. in the following words (at page 328):
In my opinion, the appellant should have been told why his services were no longer required and given an opportunity, whether orally or in writing as the Board might determine, to respond. The Board itself, I would think, would wish to be certain that it had not made a mistake in some fact or circumstance which it deemed relevant to its determination. Once it had the appellant's response, it would be for the Board to decide on what action to take, without its decision being reviewable elsewhere, always premising good faith. Such a course provides fairness to the appellant, and it is fair as well to the Board's right, as a public authority to decide, once it had the appellant's response, whether a person in his position should be allowed to continue in office to the point where his right to procedural protection was enlarged. Status in office deserves this minimal protection, however brief the period for which the office is held.
While the respondent was not entitled to the panoply of protections afforded by the principles of natural justice including those of a full hearing into the complaint, he was entitled to be treated fairly. Here the function of investigating the com plaint was in different hands than the function of deciding what form of discipline should be meted out. This split in the process required particular care on the part of the Investigating Committee lest it reach an erroneous conclusion on which a disciplinary decision would be based. The respon dent had held office for several years and there is no suggestion that his performance over those years was in any way unsatisfactory. Admittedly, the allegation of assault upon a detainee was a
serious one but, as I view it, that was another reason for the exercise of fairness in the investiga- tory process. At the same time, obviously, the respondent could not frustrate that process by refusing to co-operate if, as the appellants claim, he was informed of the case made against him. Fairness required that he be so informed and that he have a fair opportunity of answering that case. Provided that was done then the respondent could have no cause to complain. He could only blame himself if, by neglecting to tell the Committee his side of the story, he left it to conclude its investiga tion as best it could and to make a recommenda tion on the basis of other evidence.
In my judgment, this aspect of the appeal reduces itself to a question whether, on the record before us, the respondent was made aware of the case made against him prior to the interview scheduled for September 24, 1982. The appellants say that the respondent was so informed. They claim that information disclosed to Quigley and to Wasilewski by the Investigating Committee on September 23 was, in turn, communicated to the respondent by those two individuals. On Septem- ber 24, 1982, the respondent, accompanied by his counsel and the union representative, attended the Committee with Quigley and his own counsel. On advice of counsel, both Quigley and the respondent refused to be interviewed after taking technical objections to the powers of the Committee under paragraph 7(1)(i) of the Financial Administration Act. The respondent's claim that he was not, even at that point, informed by the Committee of the case against him is not contradicted by the appellants.
If I could be satisfied that allegations of miscon duct were clearly brought home to the respondent through Quigley and Wasilewski, even though not directly by the Committee itself, I would have no hesitation in concluding that the respondent was treated fairly. But I am unable to find, in the record before us, clear evidence establishing unequivocally that the respondent learned of the case made against him in conversations with Quig- ley and Wasilewski. Neither of those individuals
were asked to convey the information to the respondent. I do not think its disclosure to Wasi- lewski can be treated as a disclosure to him. While, apparently, she was in charge of both cases under investigation, her presence at the September 23 interview was on behalf of Quigley alone. It is equally clear, on the record, that she merely informed the respondent that the matter was of a "serious nature". There is no evidence that she laid out to him the detailed allegations related to her by Best and Mitchell. The mention of "an assault" and of the name of "Thomas" to the respondent by Quigley may suggest that these allegations were somehow conveyed but I think the evidence falls somewhat short of establishing that that in fact occurred. Nor would I infer from the retention by the respondent of a solicitor, knowledge on the respondent's part that it was his conduct that was under investigation. He was, of course, entitled to consult a solicitor if he cared to and it matters not that such solicitor might or might not be heard by the Committee or even be present during the inter view. Moreover, in the face of the respondent's evidence as to the advice given to him by Wasilew- ski that "I contact Counsel, but she didn't want me to contact Counsel if there was no need to contact Counsel" and that "She didn't know what to tell me", it is perhaps not surprising that he decided to retain a solicitor even though at the eleventh hour.
I have concluded that as the respondent was not made aware of the case made against him prior to his scheduled interview of September 24 he was not treated fairly. Moreover, the Investigating Committee chose not to accept an invitation by the respondent's counsel made on September 24 to assist it on an informal basis if it required informa tion within his knowledge. Instead, the investiga tion was concluded and the report with its recom mendation for disciplinary action was made by the Committee without pursuing that line of possible inquiry.
MISAPPREHENSION OF THE FACTS
It is next contended that the learned Associate Chief Justice based his decision on a fact that had
not been established in the record before him and that the alleged error is reflected in the following observation made in his reasons for the order below [at page 3]:
In addition, during the course of the Quigley investigation, the Chairman specifically, and I might say quite erroneously, outlined the procedure to be followed by indicating that any disciplinary measures consequent upon his findings would be the subject of a separate disciplinary hearing. There was no authority for such a statement and indeed it was not done in respect to Quigley. Once again, it is impossible to determine to what extent that misdirection or misdescription brought forth admissions from the applicant Lewis which he would not otherwise have made. In the circumstances, I am not satisfied that the applicant Lewis received the benefit of those proce dural safeguards which are essential to the duty to treat him fairly during the course of these proceedings.
The reference by the Associate Chief Justice to the erroneous indication "that any disciplinary meas ures consequent upon the findings would be the subject of a separate disciplinary hearing" is to a statement made by Committee member Best on September 23, 1982, quoted above, that "before any disciplinary action is taken, if that's the deci sion, then of course, a disciplinary hearing will be held". I have no doubt that it is to this portion of the record that the Judge below was directing his mind. I accept as entirely reasonable the respon dent's argument that the reference in the reasons to the "Quigley investigation" was intended to be to the Quigley interview of September 23 made in the course of the "Lewis investigation". That being so, I do not think that the Associate Chief Justice misdirected himself. My appreciation of the guide lines governing the investigation is that no "disci- plinary hearing" was ever contemplated following conclusion of the investigation and the submission of the report thereon. All that remained to be done was for the Deputy Minister to decide whether disciplinary punishment was called for and, if so, what that punishment should be.
The appellants take this objection one step fur ther. They contend that the entire decision of the Judge below was founded upon this alleged error. I cannot agree. In the first place, as I have already stated, I do not think the error can be fairly described as anything more than typographical. Secondly, it is evident that in reaching his decision the learned Judge was principally concerned with the failure on the part of the appellants to make the respondent aware of the case made against
him. This is evident from his discussion of the Trial Division decision in the Quigley case and to the observations which follow that discussion where emphasis is laid on "the duty to treat the accused person fairly".
ALTERNATIVE REMEDY
I turn next to consider the appellants' argument that the Judge below erred in granting certiorari when there was an adequate alternative remedy available to the respondent in the form of adjudi cation pursuant to paragraph 91(1)(b) of the Public Service Staff Relations Act:
91. (1) Where an employee has presented a grievance up to and including the final level in the grievance process with respect to
(b) disciplinary action resulting in discharge, suspension or a financial penalty,
and his grievance has not been dealt with to his satisfaction, he may refer the grievance to adjudication.
In point of fact, when his section 18 application was launched in September 1983, the time for filing the Form 32 Notice of Reference to Adjudi cation prescribed in subsection 79(1) of the P.S.S.R.B. Regulations and Rules of Procedure [C.R.C., c. 1353] made pursuant to subsection 99(3) of the Act, had elapsed several months earlier. In essence, therefore, the appellants argue that this passing up by the respondent of the opportunity to secure an adequate remedy ought not now to entitle him to relief in the form of certiorari as it might have done had he no place to go for relief other than to the courts.
In his letter of October 15, 1982, to the respon dent, the Deputy Minister informed him that in accordance with section 90 of the Act he could "present a grievance against my decision within 25 days following receipt of this letter". The respon dent did present a grievance and took it through the various stages of the grievance procedure up to the final level. On February 26, 1983, he received the following reply from his former employer at the final level:
Management has carefully reviewed and discussed your griev ance with your CEIU representative.
Local Management's recommendation of October 8, 1982 to discharge you was appropriate under the circumstances and was subsequently acted upon.
Therefore, your grievance is denied.
The Act does not specify a time limit within which Form 32 initiating the adjudication process is required to be filed with the Public Service Staff Relations Board. Instead, the power of prescribing a limit by regulation is conferred on the Board itself by subsection 99(3) of the Act. Under sub section 79(1) of the Regulations and Rules of Procedure adopted by the Board the respondent was required to file Form 32 with the registrar. It reads:
79. (1) Where a grievance may be referred to adjudication under section 91 of the Act, an employee may, not later than the 30th day after
(a) the day on which he received a reply at the final level of the grievance process, or
(b) the last day on which the employer was required to reply to the grievance at the final level of the grievance process under section 77,
refer the grievance to adjudication by filing with the registrar in duplicate a notice in Form 32 together with a copy of the grievance that he submitted to his immediate supervisor or local officer-in-charge at the first level of the grievance process pursuant to subsection 74(1).
The evidence before us shows that while the respondent completed From 32 within a few days of receiving the employer's final level reply on February 26, 1983, and also that he forwarded it to his union shortly thereafter, it was not filed with, the registrar within the prescribed time. Nor is there evidence the time for filing the notice was extended by the Board pursuant to its authority under subsection 89(1) of the Regulations and Rules of Procedure.
On the basis of the evidence before us, it would appear that Form 32 was not processed by the union because of information received from the respondent that he had retained a lawyer to "pur- sue the matter to the fullest". Additionally, the respondent appeared content to seek reinstatement outside the adjudication process on the basis that the decision of the Trial Division in the Quigley case applied with equal force to his grievance. In granting certiorari relief Mr. Justice Mahoney stated in his reasons for judgment of February 22, 1983, in that case (at page 5):
It was argued on behalf of the respondent that the Court ought not to exercise its discretion to grant certiorari in view of the applicant's right to avail himself of the prescribed grievance procedure to challenge the decision. He has, in fact, done so. The courts have been traditionally reluctant to intrude into labour-management disputes whose resolutions are provided for by special procedures even where their jurisdiction is not ousted by the special provision, whether contractual or legislative. A reason for the reluctance is said to be the expertise of the special tribunals. Here the issue is procedural fairness, an area in which, with respect, the courts have the expertise, if such exists. A decision that the applicant has not been accorded the necessary measure of fairness in the process leading to his discharge is not, of course, a decision that the discharge was not fully justified on the merits.
Sometime after that decision was rendered, Quig- ley's employer reinstated him to his former posi tion. As a result Quigley withdrew his grievance which had already reached the adjudication stage but had not been fully argued nor disposed of at that stage.
I agree with the appellants' submission that in a case of this kind involving the existence of a possible alternative remedy, the respondent was not entitled to certiorari relief as of right. Put another way, the decision to grant such relief was one of discretion (P.P.G. Industries Canada Ltd. v. A.G. of Canada, [1976] 2 S.C.R. 739, at page 749). It is clear on the other hand that the alterna tive remedy must be adequate in the eyes of the law, else the discretion may be exercised in favour of the applicant. In deciding whether an adequate alternative remedy exists (and hence that the remedy of certiorari should be denied), the courts are required to consider a number of relevant factors. This is made clear by a decision of a majority of the Supreme Court of Canada in Harelkin v. University of Regina, [1979] 2 S.C.R. 561. That case involved the denial of natural jus tice by an inferior committee created under para graph 78(1)(c) of the governing statute and the availability of a new hearing on appeal before a superior committee of the University senate creat ed under paragraph 33(1)(e). Instead of pursuing his grievance to a hearing before the superior committee, the appellant sought and obtained relief by way of mandamus and certiorari in the Court of Queen's Bench for Saskatchewan. That relief was short lived, however, when the decision allowing it was reversed by the Court of Appeal for Saskatchewan. In upholding the decision of the
Court of Appeal, Beetz J. spelled out some of the factors which need to be weighed by a court in deciding in a case of this kind whether an adequate and convenient alternative remedy is available. He said (at page 588):
In order to evaluate whether appellant's right of appeal to the senate committee constituted an adequate alternative remedy and even a better remedy than a recourse to the courts by way of prerogative writs, several factors should have been taken into consideration among which the procedure on the appeal, the composition of the senate committee, its powers and the manner in which they were probably to be exercised by a body which was not a professional court of appeal and was not bound to act exactly as one nor likely to do so. Other relevant factors include the burden of a previous finding, expeditious- ness and costs.
In addition to these factors, the learned Judge placed particular emphasis on the general intent of the legislature as expressed in the governing stat ute favouring internal settlement of disputes with out resort to the courts. He observed (at pages 595-596):
Sections 78(1)(c) and 33(1)(e) are in my view inspired by the general intent of the Legislature that intestine grievances preferably be resolved internally by the means provided in the Act, the university thus being given the chance to correct its own errors, consonantly with the traditional autonomy of uni versities as well as with expeditiousness and low cost for the public and the members of the university. While of course not amounting to privative clauses, provisions like ss. 55, 66, 33(1)(e) and 78(1)(c) are a clear signal to the courts that they should use restraint and be slow to intervene in university affairs by means of discretionary writs whenever it is still possible for the university to correct its errors with its own institutional means. In using restraint, the courts do not refuse to enforce statutory duties imposed upon the governing bodies of the university. They simply exercise their discretion in such a way as to implement the general intent of the Legislature. I believe this intent to be a most important element to take into consideration in resolving the case, and indeed to be a conclu sive one, when taken in conjunction with the others.
The majority went on to decide that the remedy afforded by virtue of the statute in the form of an opportunity for a hearing and evidence de novo by a superior committee was an adequate one in the circumstances. In so concluding, Beetz J. stated the principle governing the exercise of discretion in a case of this kind as follows (at page 593):
The courts should not use their discretion to promote delay and expenditure unless there is no other way to protect a right.
I believe the correct view was expressed by O'Halloran J. in The King ex rel. Lee v. Workmen's Compensation Board ([1942] 2 D.L.R. 665), at pp. 677-678 dealing with mandamus but equally applicable to certiorari:
Once it appears a public body has neglected or refused to perform a statutory duty to a person entitled to call for its exercise, then mandamus issues ex debito justitiae, if there is no other convenient remedy ... If however, there is a conven ient alternative remedy, the granting of mandamus is discre tionary, but to be governed by considerations which tend to the speedy and inexpensive as well as efficacious administration of justice ... (Underlining is mine.)
In order to determine whether an adequate remedy existed in this case, it is necessary to examine certain provisions of the Act and Regula tions dealing with the reference to adjudication of a grievance arising out of dismissal from employ ment. Of first importance in this regard are the provisions of section 96 of the Act which reads in part as follows:
96. (1) Where a grievance is referred to adjudication, the adjudicator shall give both parties to the grievance an opportu nity of being heard.
(2) After considering the grievance, the adjudicator shall render a decision thereon and
(a) send a copy thereof to each party and his or its repre sentative, and to the bargaining agent, if any, for the bar gaining unit to which the employee whose grievance it is belongs; and
(b) deposit a copy of the decision with the Secretary of the Board.
(3) In the case of a board of adjudication, a decision of the majority of the members on a grievance is a decision of the board thereon, and the decision shall be signed by the chairman of the board.
(4) Where a decision on any grievance referred to adjudica tion requires any action by or on the part of the employer, the employer shall take such action.
Here, it is noteworthy that by subsection 96(1) the respondent could have been afforded an "oppor- tunity of being heard" by an adjudicator. By con trast, he was only entitled to be treated fairly by his employer in arriving at the decision to dismiss him. Whereas the different levels of decision in the grievance procedure required only a review by the employer, the Act requires a decision in an adjudi cation proceeding to be made by an independent third party. As well, under that process, parties may have witnesses summoned to testify at a hearing before an adjudicator on their behalf. Significantly, subsection 96(4) of the Act obliges an employer to take the action required by the decision of an adjudicator. Thus, it seems to me,
the employer in this case could have been required by an adjudicator to reinstate the respondent if he considered that to be appropriate in the circum stances. Intervention of the Board itself to enforce compliance with a decision of an adjudicator is provided for in subsection 96(6) of the Act.
In light of these provisions, it is difficult for me to conclude that an adequate alternative remedy was not available to the respondent under subsec tion 91(1) of the Act whereby the procedural unfairness complained of could have been set right. In essence his complaint is that, in the steps lead ing to the decision to dismiss him, he was denied fair treatment at the hands of his employer. The pursuit of a full hearing made available to him under the adjudication process including the possi bility of being absolved of misconduct and of being restored to his former position could, in my judg ment, have cured the procedural defect in the investigation which led to that decision. If denial of natural justice by the inferior Committee could be cured by a new hearing before a superior Committee as was held in the Harelkin case, in my view the denial of procedural fairness by the employer in this case could have been cured by a full hearing before an adjudicator. In that case, after quoting with approval from a judgment of Spence J. in King v. University of Saskatchewan, [1969] S.C.R. 678, at page 689, Beetz J. went on to say (at page 582):
But the senate committee in King did in practice act in a final appellate capacity and Spence J. expressed a general principle in holding that the denial of natural justice in the earlier proceedings could be cured in appeal, and implicitly but neces sarily, that the decision appealed from was not a complete nullity since it could be appealed. (See also Re Clark and Ontario Securities Commission, where Wells J.A. of the Ontario Court of Appeal held that the failure to observe the rules of natural justice in initial proceedings could be cured in appeal to an administrative commission; and see Re Polten and Governing Council of the University of Toronto, where Weath- erston J. in the Ontario Divisional Court said at p. 216, that "if the final appeal is in effect a new trial, and not an appeal in the ordinary sense, I do not see why any want of natural justice in the intermediate appeals is not cured").
To the same effect are the decisions of the Privy Council in Pillai v. Singapore City Council,
[1968] 1 W.L.R. 1278, and in Calvin v. Carr, [ 1980] A.C. 574, in which a number of English and Commonwealth cases on this subject are discussed.
The final aspect of this argument concerns the undoubted fact that when his application under section 18 was launched in September 1983, (after retaining new counsel) the time for referring his grievance to adjudication had long since passed. Did this fact furnish a basis for certiorari relief? In my judgment it did not. The opportunity to secure the alternative remedy had been open to the respondent but was passed up when he failed to file Form 32 with the registrar of the Board within the time prescribed. In this he may well have been guided by advice of his former solicitor who, it appears, counselled the seeking of redress infor mally. That is no excuse, in my view, for failing to file the required notice within the time prescribed. Had he done so, it would have been easy enough for him to pursue his alternative remedy in accord ance with subsection 91(1) of the Act in the event, as it transpired, the informal approach failed. I am quite unable to see how this failure on his own part to protect his statutory right to adjudication should now provide a sufficient basis for a Court order quashing the decision to dismiss him not withstanding that a serious allegation of miscon duct occurring in his capacity as an immigration officer remains outstanding and unanswered.
While it is equally true that he had been dis missed from his position as an immigration officer without being accorded fair treatment, a statutory remedy capable of curing that defect was ready to hand in the form of adjudication had he cared to pursue it. Failure to do so in a timely fashion, in my view, ought not now to entitle the respondent to the discretionary remedy of certiorari quashing the decision of the Deputy Minister. In this con nection, the reasoning of Mr. Justice Walsh in Canadian Human Rights Commission v. Jones, [1982] 1 F.C. 738 (T.D.), commends itself to me as applicable in a case of this kind even though that case was concerned with refusal by the Trial Division to grant mandamus relief where the applicant had neglected to pursue an appeal within
the statutory time limit. He stated (at pages 750-751):
Applicant did not bring any such appeal and it is conceded that it is now too late to do so. The applicant referred to the Supreme Court case of Harelkin v. The University of Regina in which by a 4 to 3 decision the Court found that although the audi alteram partem rule had been infringed when a student was expelled from the university, his right of appeal to a senate committee was an appropriate remedy rather than seeking certiorari and mandamus. Applicant distinguishes this case in that in rendering judgment of the majority Beetz J. stated at page 567:
Nor do I agree that appellant's application for certiorari and mandamus should have been allowed: appellant had and still has a better alternative remedy in his right of appeal to the senate committee; he ought to have exercised it.
In the present case this right of appeal no longer exists. However I do not think that the Court should be given jurisdic tion by way of mandamus which it might not otherwise have merely because of lack of diligence by the applicant in pursuing the right of appeal which it had. Such a finding would open the door for the applicant, if it preferred to have a finding of the Tribunal with which it did not agree considered and reversed by means of a prerogative writ in the Trial Division of the Federal Court rather than exercise its right to appeal under section 42.1 of the Act, to merely wait until the delay for such an appeal had expired, before seeking the prerogative writ. While I am not suggesting that the applicant had any such ulterior motive in the present case nevertheless it appears to me that when a statute provides a right of appeal this is the appropriate remedy rather than to seek a mandamus, which is not intended to be an alternative remedy, from the Federal Court.
Before leaving this aspect of appeal, I wish also to observe that the respondent, before launching the section 18 application, had not shown that he had sought but failed to obtain an extension of time for filing Form 32 from the Public Service Staff Relations Board. As I read subsection 89(1) of the Regulations and Rules of Procedure, it authorized the Board to grant such an extension either before or after the prescribed time limit expired. I would regard the respondent's failure to make an application under subsection 89(1) as somewhat akin to a failure to seek leave to appeal where a statute provides an alternative remedy in the form of an appeal but only with leave. In such a case it has been held the seeker of certiorari relief is not entitled to it when the alternative remedy is available upon the granting of leave (R. v. R. (T.) (1983), 28 Alta L.R. (2d) 383 (Q.B.)). In my view, however, as already noted, the respondent cannot obtain the discretionary remedy
of certiorari when, through his own lack of dili gence, he has not secured for himself the alterna tive statutory remedy of adjudication.
I think the appeal should succeed on this ground and that the order below should be quashed.
OTHER ARGUMENTS
In view of my conclusion that the order below should be quashed on the ground that the respon dent by failing to avail himself of an adequate alternative remedy was not entitled to it, it becomes unnecessary to consider the two remain ing arguments raised by the appellants against the order below. By those arguments the appellants sought to, have the order below quashed on the ground that the Trial Division had interfered with a method provided by law for the internal settle ment of the dispute between the respondent and his former employer and, secondly, that as the respondent was guilty of laches in bringing his section 18 application he should have been denied the relief claimed. The first of these arguments raises issues not unlike those considered above concerning the availability of an adequate alterna tive remedy with this important difference. Here it is argued that the Court should not have inter vened by granting a writ of certiorari when the parties to the dispute had available to them by statute another method of resolving the grievance, namely, through the adjudication process. I am doubtful that the doctrine of laches would have any application in light of the record and the explanations given by the respondent for his delay in launching his section 18 application until Sep- tember 1983, notwithstanding that the reply of his former employer at the final level grievance proce dure was received by him in February of that same year.
For the foregoing reasons, I would allow this appeal with costs both here and in the Trial Divi sion and quash the order in the nature of certiorari made by the Associate Chief Justice on January 20, 1984.
HEALD J.: I concur.
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