Saturday, June 9, 2012

Canada (Attorney General) v. Jodhan 2012 FCA 161 Date: May 30, 2012 Federal Court of Appeal Canada

Source: http://decisions.fca-caf.gc.ca/en/2012/2012fca161/2012fca161.html


Date: 20120530
Docket: A-478-10
Citation: 2012 FCA 161
CORAM: NADON J.A.
SHARLOW J.A.
DAWSON J.A.
BETWEEN:
ATTORNEY GENERAL OF CANADA
Appellant
and
DONNA JODHAN
Respondent
and
ALLIANCE FOR EQUALITY OF BLIND CANADIANS
Intervener
Heard at Toronto, Ontario, on November 15, 2011.
Judgment delivered at Ottawa, Ontario, on May 30, 2012.
REASONS FOR JUDGMENT BY: NADON J.A.
CONCURRED IN BY: SHARLOW J.A.
DAWSON J.A.


Date: 20120530
Docket: A-478-10
Citation: 2012 FCA 161
CORAM: NADON J.A.
SHARLOW J.A.
DAWSON J.A.
BETWEEN:
ATTORNEY GENERAL OF CANADA
Appellant
and
DONNA JODHAN
Respondent
and
ALLIANCE FOR EQUALITY OF BLIND CANADIANS
Intervener
REASONS FOR JUDGMENT
NADON J.A.
[1] The Attorney General of Canada (the “appellant” or the “Attorney General”), appeals the Judgment of Kelen J. (the “judge”) of the Federal Court, 2010 FC 1197 (rendered on November 29, 2010 and amended on February 9, 2011), which allowed Ms. Jodhan’s (the “respondent” or “Ms. Jodhan”) application for a declaration under section 18.1 of the Federal Courts Act, R.S.C. 1985, c. F-7 (“Federal Courts Act”), that she had been denied equal access to and benefit from government information and services provided online to the public on the Internet and that this denial constituted discrimination against her on the basis of her physical disability, i.e. blindness, and thus, a violation of her rights under subsection 15(1) of the Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), R.S.C., 1985, Appendix II, No. 44 (the “Charter”).
[2] The judge also declared that Ms. Jodhan’s inability to access certain departmental websites was representative of a system-wide failure by many of the 106 government departments and agencies of the Government of Canada to make their websites accessible to the visually impaired. In the judge’s view, the government’s failure to monitor and ensure compliance with its 2001 Accessibility Standards was an infringement of section 15 of the Charter since it discriminated against Ms. Jodhan and other visually impaired persons.
[3] The judge further declared that the government was constitutionally obliged to bring itself into compliance with the Charter within a period of 15 months.
[4] Finally, the judge retained jurisdiction over the implementation of his declarations, adding that he would resume proceedings, upon the application of either the Attorney General or Ms. Jodhan, if necessary, to ensure that the declarations were properly implemented.
[5] Although the appeal raises a number of issues, the main one is whether Ms. Jodhan was denied equal benefit of the law contrary to subsection 15(1) of the Charter.

The Facts and Context
[6] Ms. Jodhan is legally blind. She runs a consulting business that analyzes the accessibility of products and services for persons with special needs and is a “sophisticated computer user”.
[7] She commenced judicial review proceedings in the Federal Court on June 28, 2007, against the Attorney General as representative of the Treasury Board of Canada and Treasury Board Secretariat (jointly referred to hereinafter as “Treasury Board”), the Public Service Commission of Canada and Statistics Canada. In her application, Ms. Jodhan asked for the following declarations:
The applicant makes application for:
1. A declaration that the failure of the Treasury Board and the Treasury Board Secretariat to develop, maintain, and enforce standards which ensure that all Government of Canada websites and online services are accessible for all individuals with visual impairments.
(i) infringes the applicant’s right to equal protection and equal benefit of the law without discrimination based on physical disability, and therefore violates section 15 of the Charter, and
(ii) that such violation is not justified under section 1 of the Charter.
2. A declaration that Statistics Canada’s failure to ensure that the 2006 online Census was accessible to those with visual impairments:
(iii) infringes the applicant’s right to equal protection and equal benefit of the law without discrimination based on physical disability, and therefore violates section 15 of the Charter, and
(iv) that such violation is not justified under section 1 of the Charter.
3. A declaration that the Public Service Commission of Canada’s failure to ensure that its website and online application services are accessible to those with visual impairments:
(v) infringes the applicant’s right to equal protection and equal benefit of the law without discrimination based on physical disability, and therefore violates section 15 of the Charter, and
(vi) that such violation is not justified under section 1 of the Charter.
[8] Ms. Jodhan alleged unequal protection and benefit of the law in two ways. First, the online accessibility standards were inadequate because they failed to deal with “rich Internet applications”, i.e. dynamic, interactive websites, through which the government provides interactive services online, which constitute some of the main benefits of online access. Second, the accessibility standards had not been adequately implemented by the departments subject to Treasury Board supervision.
[9] In support of her claim that on numerous occasions she encountered difficulty accessing government websites and that her experience was shared by other visually impaired persons in Canada, Ms. Jodhan gave five examples of inaccessibility.
[10] First, in September 2004, Ms. Jodhan experienced difficulty applying for employment at www.jobs.gc.ca and had to complete the application with assistance by phone. This was followed by failure to access information on the site between March and June 2007.
[11] Second, she was unable to create an online profile at www.jobs.gc.ca because pop-up windows, which blind users cannot navigate, kept popping up. She had to complete her online profile on the website with sighted assistance.
[12] Third, she alleged significant accessibility issues when trying to access information on Statistics Canada and Service Canada websites between March and June 2007 since the information was only available in “pdf” format, which is not accessible to screen reader technology.
[13] Fourth, the 2006 online Census return was only available to the visually impaired by software such as the JAWS program, which made it inaccessible to Ms. Jodhan and other visually impaired users who did not have access to such expensive software. Ms. Jodhan alleged that the form of the Census did not meet the World Wide Web Consortium (“W3C”) standards for accessibility.
[14] Fifth, Ms. Jodhan experienced difficulty accessing www.servicecanada.gc.ca in June 2007 to obtain information on the Canada Pension Plan and employment programs.
A. History of the Web and Content Accessibility Guidelines
[15] The World Wide Web (the “WWW”) was created in 1989. For approximately ten years, there existed no WWW accessibility guidelines for persons with disabilities. In 1994, the W3C was created in order to develop a consensus on industry standards to ensure that the WWW remained open and accessible to all. In 1997, the W3C launched the Web Accessibility Initiative (the “WAI”) to promote web accessibility for people with disabilities.
[16] The WAI, through a process of consultation with its then 170 member organizations and experts from around the world, began to develop a first set of Web Content Accessibility Guidelines (the “WCAG 1.0”). The WCAG 1.0 provides detailed instructions to web content developers and authoring tools developers with respect to means to make Internet content accessible to people with disabilities, including the visually impaired. The version 1.0 of the WCAG was developed over a period of two years and, by May of 1999, final “W3C Recommendation” status was reached and published. These instructions are created in the form of guidelines which provide the basic goals that authors should work towards in order to make web content more accessible to all users. Each of the fourteen guidelines focuses on a core theme of accessibility and each guideline is divided in “checkpoint” definitions which explain how the guideline applies in typical content development scenarios. Each checkpoint has a priority level assigned by the Working Group based on the checkpoint's impact on accessibility.
[17] Shortly after the publication of the WCAG 1.0, work on the WCAG 2.0 began and, over the next seven years, extensive work was undertaken, with the WAI having grown by then to include over 400 member organizations which included the Government of Canada.
[18] The Government of Canada was actively involved with the WCAG Working Group to ensure that WCAG 2.0 would be compatible with its own standards. On December 11, 2008, the WCAG 2.0 reached “W3C Recommendation” status. WCAG 2.0 builds on WCAG 1.0 and is designed to apply broadly to different web technologies now and in the future, and to be testable with a combination of automated testing and human evaluation.

B. The Communications Policy and Online Activity
[19] In 1999, the government introduced a new project called “Government On-Line”, intended to provide electronic services to Canadians as part of a broader strategy aimed at stimulating the provision of better, faster, trusted and more convenient and accessible government services through four delivery channels: in person, by telephone, by mail and over the Internet. Government On-Line was meant to be client-centred, allowing Canadians to acquire information and services on their terms, and according to their needs.
[20] There are approximately 106 departments and agencies (“departments”) of the Government of Canada which provide services and programs to Canadians. Since the late 1990s, the departments have increased their presence on the Internet in order to provide more and more information and services to Canadians.
[21] As part of the government’s online initiative, the departments provide two types of services online, i.e. informational and interactive. Informational services include guides on starting a new business, travel advisories and information on various matters, such as epidemics. As to interactive services, they include applications for social services (for example, Employment Insurance and Canada Pension Plan benefits), online passport applications, and a single website from which Canadians can access online applications to all federal government job postings. Interactive services allow Canadians to interact with the government and are made possible through the use of dynamic, interactive websites, also called rich Internet applications.
[22] The security of the information provided by those who use the departments’ interactive services is protected through a group of services referred to as the “Secure Channel”. One of these services is “ePass”, which serves to protect the confidentiality of information provided by users to the departments. In 2008, 23 departments used the ePass technology to deliver 83 programs, including online applications for government jobs, passports and social benefits.
[23] The government’s decision, inter alia, to make its services available online has allowed Canadians to access government information and services at a time and place of their choosing.
[24] Pursuant to section 7 of the Financial Administration Act, R.S.C., 198, c. F-11, the Treasury Board developed the Communications Policy of the Government of Canada (the “Communications Policy”) dated April 1, 2002.
[25] The Communications Policy governs all communications made by the federal public administration, including online communications. In the Communications Policy, the government recognized that information must be made available in multiple formats to ensure equal access and that communications by the federal government had to comply with a number of statutes and policies, for example, the Charter, the Official Languages Act, R.S.C., 1985 (4th Supp.), c. 31, and the Privacy Act, R.S.C., 1985, c. P-21.
[26] The Communications Policy emphasizes the need for providing information to Canadians through a variety of channels, such the telephone, mail, print, broadcast media and the Internet.

[27] As part of the government’s initiative, the Communications Policy makes the departments subject to the Common Look and Feel Standards for the Internet, Part 2: Standard on the Accessibility, Interoperability and Usability of Web Sites (the “CLF 1.0 Standard”), which was issued by Treasury Board in May 2000 with a required implementation date of 2001. The CLF 1.0 Standard was made mandatory for all government departments and agencies and was created to enable access by all Canadians to information on government websites. The CLF 1.0 Standard provides an effective means for the public and the government to exchange information and for the government to offer its services in the official language and at the time and place of Canadians' choosing. The CLF 1.0 Standard requires that the websites of all government institutions listed in Schedules I, I.1 and II of the Financial Administration Act be in compliance with the WCAG 1.0 Priority 1 and 2 checkpoints.
[28] In September 2005, the CLF 1.0 Standard was updated to version 1.1 to bring the standards in line with current best practices. Further, in December 2006, the CLF 1.0 Standard was replaced by the CLF 2.0 Standard (“CLF 2.0 Standard”) to, inter alia, build on what had been learned from implementing the CLF 1.0 Standard across the various departmental websites. The CLF 2.0 Standard came into effect on January 1, 2007 with an implementation deadline of December 31, 2008. There is no dispute between the parties that there is little difference between the CLF 1.0 Standard and the CLF 2.0 Standard.
[29] The CFL Standard is built upon international guidelines, i.e. the WCAG 1.0. To facilitate equal access to online services and information, Treasury Board incorporated elements of the WCAG 1.0 into the CLF Standard. The WCAG 1.0 measures web accessibility according to three categories of checkpoints.
[30] Priority 1 checkpoints are basic, necessary requirements because if not met, “one or more groups of persons with disabilities will not be able to access content on the Web”. Without Priority 2 checkpoints “one of more groups will find it difficult to access content on the Web”. Priority 3 checkpoint may “prevent some groups from finding it ‘somewhat difficult’ to access website content.” The Attorney General notes that “[i]t is common ground between the parties that a checkpoint failure does not necessarily make a web site inaccessible”. Under the CLF Standard, all gc.ca websites must meet Priority 1 and 2 checkpoints. Departments may apply to Treasury Board for exemption, if need be.
C. Treasury Board and the CLF Standard
[31] Pursuant to section 7(1)(a) of the Financial Administration Act, Treasury Board may act for the Queen’s Privy Council for Canada on all matters relating to general administrative policy in the federal public administration. On that basis, the Treasury Board developed the government’s Communications Policy which, as I have already indicated, aims to ensure that government communications are well coordinated, effectively managed and responsive to the diverse information needs of the public.
[32] In 2000, the Treasury Board therefore created a Common Look and Feel Office (the “CLF Office”). The CLF Office works with the departments to develop their understanding and capability to implement the CLF Standard by, inter alia, creating consultation forums such as “Centers of Expertise”, i.e. groups of experts identified by the CLF Office to provide support to Website developers within the respective departments in implementing the CLF Standard. As no monitoring of departmental websites is effected by the CLF Office to ensure compliance with the CLF Standard, deputy heads of departments are accountable for implementing the CLF Standard within their institutions.
[33] However, pursuant to the CLF Standard, the Treasury Board is to monitor compliance with all aspects of the standard in a variety of ways which include, inter alia, assessments under the Management Accountability Framework, departmental performance reports and results of audits, evaluations and studies. Consequences of non-compliance can include informal follow-ups and requests from the Treasury Board, external audits and formal directions.
D. Access to the Internet by the Visually Impaired
[34] The visually impaired access Internet content with assistive technology, such as a screen reader and/or self-voicing browser software. A “screen reader” is a software application that identifies and interprets electronic text that is displayed on a computer screen, and then converts the information to an audible form or into Braille for the user to “read” tactilely. A “self-voicing” browser software is essentially a web browser with a screen reader built in. Screen readers have long been in use as software programs that allow the visually impaired to access online information.
[35] Using one or the other device, a visually impaired person uses keystrokes entered on a standard keyboard in lieu of mouse clicking to operate the screen reader and other software, such as a web browser displaying a web page.
[36] For the above to work, the web content must be designed in a compatible and accessible manner, i.e. designed so that assistive technologies can navigate and interpret the information encoded in the website. Thus, if the website is properly programmed, a visually impaired person can access its content as easily and efficiently as a sighted person. However, if accessibility is not built into a website the information may well be totally inaccessible to a visually impaired person.
[37] It is in the context whereby Canadians are choosing the time and place in which to access government information and services that the visually impaired assert the right to deal with the government over the Internet. Ms. Jodhan says that the possibility of accessing government information online “is more than just a matter of efficiency and reliability; it represents independence and privacy.” (Respondent’s Memorandum of Fact and Law, p. 7. para. 22).
[38] Ms. Jodhan further argues that because of the Internet, the visually impaired are able to access the same information and services that sighted persons have access to and that it allows them to interact independently and directly with the government, banks and employers.
[39] The technique and tools necessary to render websites accessible include authoring tools, which help Website developers to build in accessibility when creating a website by making access the default position, and automatic monitoring tools, which help to monitor websites by reason of the difficulty of manually checking websites insure their accessibility. Those tools have been in existence for quite a while.
[40] Because using authoring tools means that access is the default position, programmers have to remove access rather than build it in.
[41] The evidence is to the effect that the government does not use, in a consistent way, either authoring tools or automatic monitoring tools.
Relevant Legislation
A. The Federal Courts Act
[42] Subsection 18(1) sets out the Court’s jurisdiction with regard to federal administrative tribunals:
18. (1) Subject to section 28, the Federal Court has exclusive original jurisdiction
(a) to issue an injunction, writ of certiorari, writ of prohibition, writ of mandamus or writ of quo warranto, or grant declaratory relief, against any federal board, commission or other tribunal; and
(b) to hear and determine any application or other proceeding for relief in the nature of relief contemplated by paragraph (a), including any proceeding brought against the Attorney General of Canada, to obtain relief against a federal board, commission or other tribunal.
18. (1) Sous réserve de l’article 28, la Cour fédérale a compétence exclusive, en première instance, pour :
a) décerner une injonction, un bref de certiorari, de mandamus, de prohibition ou de quo warranto, ou pour rendre un jugement déclaratoire contre tout office fédéral;
b) connaître de toute demande de réparation de la nature visée par l’alinéa a), et notamment de toute procédure engagée contre le procureur général du Canada afin d’obtenir réparation de la part d’un office fédéral.
[43] A person must be “directly affected” by a decision to apply for judicial review.
18.1(1) An application for judicial review may be made by the Attorney General of Canada or by anyone directly affected by the matter in respect of which relief is sought.
18.1(1) Une demande de contrôle judiciaire peut être présentée par le procureur général du Canada ou par quiconque est directement touché par l’objet de la demande.
[44] The Federal Court has authority to provide the following remedies.
18.1(3) On an application for judicial review, the Federal Court may
(a) order a federal board, commission or other tribunal to do any act or thing it has unlawfully failed or refused to do or has unreasonably delayed in doing; or
(b) declare invalid or unlawful, or quash, set aside or set aside and refer back for determination in accordance with such directions as it considers to be appropriate, prohibit or restrain, a decision, order, act or proceeding of a federal board, commission or other tribunal.
18.1(3) Sur présentation d’une demande de contrôle judiciaire, la Cour fédérale peut :
a) ordonner à l’office fédéral en cause d’accomplir tout acte qu’il a illégalement omis ou refusé d’accomplir ou dont il a retardé l’exécution de manière déraisonnable;
b) déclarer nul ou illégal, ou annuler, ou infirmer et renvoyer pour jugement conformément aux instructions qu’elle estime appropriées, ou prohiber ou encore restreindre toute décision, ordonnance, procédure ou tout autre acte de l’office fédéral.
B. The Charter
15(1) Every individual is equal before and under the law and has the right to the equal protection and equal benefit of the law without discrimination and, in particular, without discrimination based on race, national or ethnic origin, colour, religion, sex, age or mental or physical disability.
15(1) La loi ne fait acception de personne et s'applique également à tous, et tous ont droit à la même protection et au même bénéfice de la loi, indépendamment de toute discrimination, notamment des discriminations fondées sur la race, l'origine nationale ou ethnique, la couleur, la religion, le sexe, l'âge ou les déficiences mentales ou physiques.
1 The Canadian Charter of Rights and Freedoms guarantees the rights and freedoms set out in it subject only to such reasonable limits prescribed by law as can be demonstrably justified in a free and democratic society.
1 La Charte canadienne des droits et libertés garantit les droits et libertés qui y sont énoncés. Ils ne peuvent être restreints que par une règle de droit, dans des limites qui soient raisonnables et dont la justification puisse se démontrer dans le cadre d'une société libre et démocratique.
24(1) Anyone whose rights or freedoms, as guaranteed by this Charter, have been infringed or denied may apply to a court of competent jurisdiction to obtain such remedy as the court considers appropriate and just in the circumstances.
24(1) Toute personne, victime de violation ou de négation des droits ou libertés qui lui sont garantis par la présente charte, peut s’adresser à un tribunal compétent pour obtenir la réparation que le tribunal estime convenable et juste eu égard aux circonstances.
C. The Financial Administration Act
[45] Section 7 of the Financial Administration Act sets out the responsibilities of the Treasury Board of Canada:
7(1) The Treasury Board may act for the Queen’s Privy Council for Canada on all matters relating to
(a) general administrative policy in the federal public administration;
(b) the organization of the federal public administration or any portion thereof, and the determination and control of establishments therein;
(c) financial management, including estimates, expenditures, financial commitments, accounts, fees or charges for the provision of services or the use of facilities, rentals, licences, leases, revenues from the disposition of property, and procedures by which departments manage, record and account for revenues received or receivable from any source whatever;
(d) the review of annual and longer term expenditure plans and programs of departments, and the determination of priorities with respect thereto;
(f) such other matters as may be referred to it by the Governor in Council.
7(1) Le Conseil du Trésor peut agir au nom du Conseil privé de la Reine pour le Canada à l’égard des questions suivantes :
a) les grandes orientations applicables à l’administration publique fédérale;
b) l’organisation de l’administration publique fédérale ou de tel de ses secteurs ainsi que la détermination et le contrôle des établissements qui en font partie;
c) la gestion financière, notamment les prévisions budgétaires, les dépenses, les engagements financiers, les comptes, le prix de fourniture de services ou d’usage d’installations, les locations, les permis ou licences, les baux, le produit de la cession de biens, ainsi que les méthodes employées par les ministères pour gérer, inscrire et comptabiliser leurs recettes ou leurs créances;
d) l’examen des plans et programmes des dépenses annuels ou à plus long terme des ministères et la fixation de leur ordre de priorité;
f) les autres questions que le gouverneur en conseil peut lui renvoyer.
D. The Communications Policy of the Government of Canada
[46] It is the Government of Canada’s Policy Statement to:
Policy Statement
(1) Provide the public with timely, accurate, clear, objective and complete information about its policies, programs, services and initiatives. In the Canadian system of parliamentary democracy and responsible government, the government has a duty to explain its policies and decisions, and to inform the public of its priorities for the country. Information is necessary for Canadians – individually or through representative groups or Members of Parliament – to participate actively and meaningfully in the democratic process. It is required for access to government programs and services. The public has a right to such information.
(4) Employ a variety of ways and means to communicate, and provide information in multiple formats to accommodate diverse needs. Government information must be broadly accessible throughout society. The needs of all Canadians, whose perceptual or physical abilities and language skills are diverse, must be recognized and accommodated. Information must be accessible so citizens, as responsible members of a democratic community, may be aware of, understand, respond to and influence its development and implementation of policies, programs, services and initiatives. Information must be available in multiple formats to ensure equal access. All means of communication – from traditional methods to new technologies – must be used to reach and communicate with Canadians wherever they may reside. Modern government requires the capacity to respond effectively over multiple channels in a 24-hour, global communications network.
Énoncé de la politique
(1) De fournir au public des renseignements sur ses politiques, programmes, services et initiatives qui sont opportuns, exacts, clairs, objectifs et complets. Dans le système canadien de démocratie parlementaire et de gouvernement responsable, le gouvernement a l'obligation d'expliquer ses politiques et ses décisions et d'informer le public des priorités qu'il établit pour le pays. Les Canadiens ont besoin de renseignements pour leur permettre - à titre individuel ou par le truchement des groupes qui les représentent ou de leurs députés - de participer activement et utilement au processus démocratique. Ces renseignements sont nécessaires pour avoir accès aux programmes et services gouvernementaux, et le public y a droit.
(4) D'employer diverses façons et divers moyens de communiquer, et de fournir l'information sur de nombreux supports de manière à répondre à divers besoins. L'information gouvernementale doit être accessible à tous les secteurs de la société. Il faut prendre en compte les besoins de tous les Canadiens, dont les habiletés perceptives et physiques ainsi que les compétences linguistiques sont variées, et y répondre. Les renseignements doivent être accessibles pour que tous les citoyens, en tant que membres d'une collectivité démocratique, soient au courant de l'élaboration et de la mise en œuvre des politiques, programmes, services et initiatives, les comprennent, qu'ils y réagissent et qu'ils exercent une influence à cet égard. Les renseignements doivent être disponibles sur de nombreux supports pour assurer l'égalité d'accès. Il faut utiliser tous les moyens de communication, allant des méthodes conventionnelles aux nouvelles technologies, pour communiquer avec les Canadiens où qu'ils habitent. Un gouvernement moderne doit pouvoir réagir efficacement dans un milieu de communication globale actif 24 heures sur 24, en ayant recours à de nombreux moyens de diffusion.
[47] It is the Government of Canada’s Policy Requirement to:
Policy Requirements
1. Informing and Serving Canadians
To assure quality service that meets the information needs of all Canadians, institutions must ensure that:
a. the Canadian Charter of Rights and Freedoms and the Official Languages Act, including all regulations and policies flowing from it, are respected at all times;
b. trained and knowledgeable staff provide information services to the public;
c. service is timely, courteous, fair, efficient and offered with all due regard for the privacy, safety, convenience, comfort and needs of the public;
d. a variety of new and traditional methods of communication are used to accommodate the needs of a diverse public;
e. published information is available on request in multiple formats to accommodate persons with disabilities;
Exigences de la politique
1. Information et services aux Canadiens
Pour fournir un service de qualité qui répond aux besoins de renseignements de tous les Canadiens, les institutions doivent faire en sorte :
a. que la Charte canadienne des droits et libertés et la Loi sur les langues officielles, ainsi que tous les règlements et les politiques qui en découlent, soient respectés en tout temps;
b. que le public soit servi par un personnel bien informé et compétent;
c. que le service soit empressé, courtois, équitable et efficace, tout en tenant compte comme il se doit de la protection des renseignements personnels, de la sécurité, des convenances, du bien-être et des besoins du public;
d. que toute une gamme de méthodes nouvelles et conventionnelles de communication servent à satisfaire les besoins d'un public diversifié;
e. que l'information soit fournie sur demande sur divers supports afin de répondre aux besoins des personnes handicapées;
18. Internet and Electronic Communication
The Internet, World Wide Web and other means of electronic communication are powerful enablers for building and sustaining effective communication within institutions and with their clients across Canada and around the world.
An important tool for providing information and services to the public, the Internet facilitates interactive, two-way communication and feedback. It provides opportunities to reach and connect with Canadians wherever they reside, and to deliver personalized services.
Institutions must maintain an active presence on the Internet to enable 24-hour electronic access to public programs, services and information. E-mail and Web sites must be used to enable direct communications between Canadians and government institutions, and among public service managers and employees.
Institutions must advance Government of Canada on-line initiatives aimed at expanding the reach and quality of internal and external communications, improving service delivery, connecting and interacting with citizens, enhancing public access and fostering public dialogue.
Institutions must ensure that Internet communications conform to government policies and standards. Government of Canada themes and messages must be accurately reflected in electronic communications with the public and among employees.
Institutions must:
a. manage their Web sites and portals in accordance with the Treasury Board's Common Look and Feel for the Internet: Standards and Guidelines;
18. Internet et communications électroniques
Internet, le Web et d'autres moyens de communication électronique sont des outils importants pour permettre et maintenir une communication efficace au sein des institutions et avec leurs clients dans tout le Canada et dans le monde entier.
Important outil pour fournir de l'information et des services au public, Internet facilite la communication interactive et bidirectionnelle ainsi que la rétroaction. Il offre des possibilités de joindre les Canadiens peu importe où ils habitent et de leur fournir des services personnalisés.
Les institutions doivent maintenir une présence active sur Internet pour permettre l'accès par voie électronique, 24 heures sur 24, à l'information, aux programmes et aux services publics. Le courrier électronique et les sites Web doivent servir à assurer la communication directe entre les Canadiens et les institutions gouvernementales, et entre les gestionnaires et les employés de la fonction publique.
Les institutions doivent promouvoir les initiatives en ligne du gouvernement du Canada qui visent à élargir la portée et à améliorer la qualité des communications internes et externes, à améliorer la prestation de services, à se rapprocher des citoyens et à interagir avec eux, à élargir l'accès du public et à favoriser le dialogue avec ce dernier.
Les institutions doivent veiller à ce que les communications sur Internet soient conformes aux politiques et aux normes gouvernementales. Les communications électroniques avec le public et entre les employés doivent véhiculer fidèlement les thèmes et les messages du gouvernement du Canada.
Les institutions doivent:
a. gérer leurs portails et leurs sites Web conformément à la politique sur l'Uniformité de la présentation et de l'exploitation pour l'Internet : Normes et directives du Conseil du Trésor;
E. The Common Look and Feel for the Internet: Standards and Guidelines “CLF 1.0 Standard
Overview
In keeping with the client-centred approach of the CLF initiative, universal accessibility standards are directed toward ensuring equitable access to all content on GoC Web sites. While site design is an important element of the electronic media, universal accessibility guidelines have been developed to ensure anyone can obtain content, regardless of the technologies they use. The key to effective implementation of universal accessibility guidelines lies in designing sites to serve the widest possible audience and the broadest possible range of hardware and software platforms, from assistive devices to emerging technologies. W3C WAI working groups continually test WCA Guidelines against a full range of browsers and assistive devices before recommending widespread implementation.
Universal accessibility does not depend on minimal Web page design, it depends on thoughtful design. Along with WAI guidelines, the CLF standards provide direction for Web authors, particularly those using multimedia content, to ensure that all site content and functions are available to all users. Authors should not be discouraged from using multimedia, but rather should use it in a manner that ensures that the material they publish is functional for the widest possible audience. The GoC has adopted the W3C Web Content Accessibility Guidelines (WCAG) to ensure the majority of Canadians will find it relatively easy to use on-line information and services.
Standard 1.1
All GoC Web sites must comply with W3C Priority 1 and Priority 2 checkpoints to ensure sites can be easily accessed by the widest possible audience.
Rationale
This standard is the key requirement for accessible design in the GoC. It points to an existing international standard: the Web Content Accessibility Guidelines 1.0 recommendation, from the World Wide Web Consortium (W3C).
The W3C checkpoints mentioned in the CLF standard are set out and defined in W3C’s recommendation. That documentation explains the rationale behind each of fourteen basic guidelines for making Web sites universally accessible. Following each guideline are one or more actions that a page author must perform to meet the requirements of the guidelines. These actions are called “Checkpoints”.
This CLF standard requires GoC Web sites to comply with Priority 1 and Priority 2 checkpoints.
(NOTE: No French version was provided to the Court)
The Federal Court Decision
[48] First, the judge carefully reviewed the considerable evidence adduced before him (Judge’s Reasons, paras. 25 to 75). Then, after setting out the relevant provisions of the Charter, he addressed three preliminary matters, i.e. the jurisdiction of the Court to hear Ms. Jodhan’s application, the Attorney General’s submission that the Court could not, in the circumstances of the case, provide a remedy to Ms. Jodhan’s system-wide complaint, and whether she was a public interest litigant. He first determined that the issue raised by Ms. Jodhan was a “matter” within the intendment of the Federal Courts Act. He then held, on the facts and pleadings before him, that Ms. Jodhan could bring a systemic complaint “which affects her and others in the same position” (Judge’s Reasons, para. 86). Lastly, it was his view that Ms. Jodhan was a “public interest litigant”, noting that the Attorney General “has accepted this characterization of the applicant” (Judge’s Reasons, para. 87).
[49] At paragraphs 88 and following of his Reasons, the judge then turned to an assessment of the evidence. He made a number of findings, of which the following are the most pertinent for the purposes of this appeal:
1. The Government of Canada made a commitment, originally in the 1999 Speech
from the Throne, to provide both information and services online to Canadians.
2. In order to give effect to its commitment, the government issued a Communications Policy, pursuant to section 7 of the Act, directing that communications by those departments and agencies subject to the Act be made in compliance with various statutes, including the Charter.
3. In 2000, the government issued the CLF 1.0 Standard, requiring that departments and agencies design and program their websites so as to make them accessible to the visually impaired by 2001.
4. A 2007 spot-audit of 47 departments by the CLF Office identified numerous failures by every department to meet the priority 1 and priority 2 checkpoints of the CLF 1.0 Standard.
5. Although none of the departments complied with the CLF 1.0 Standard, the CLF Office concluded that in the case of 22 departments, “serious violations” had occurred. As a result, the CLF Office directed letters to the deputy heads of these departments, requiring them to take steps to bring their departments into compliance.
6. The CLF Standard is inadequate because interactive applications are not accessible. Rich Internet applications, i.e. dynamic, interactive websites, use ePass as a security channel. These websites are used by 23 government departments to provide 83 online applications, such as for employment insurance or passports. For these websites to function, they must use particular technologies, such as “scripts” and “applets”, which, however, pose an access barrier to screen readers used by the visually impaired.
7. Although rich Internet applications are unable to function with scripts turned “off”, the CLF Standard obliges government websites to be made accessible by maintaining functionality with scripts turned off. In other words, the CLF Standard prevents government Website developers from creating rich Internet applications and, as a result, the government would be prevented from offering numerous online services if the websites were made available as required by the CLF Standard. As a consequence, the CLF standard has been ignored by the departments. These findings led the judge to say, at paragraph 100: “Accordingly, the Court finds that the government should update the CLF Standard to refer to WCAG 2.0 guidelines and thereby incorporate the guidelines which allow the accessibility of rich Internet applications using ePass as a secure channel”.
8. With regard to those government websites which do not use ePass as a security channel – in fact, the majority of the government websites – the CLF Standard has not been properly implemented and the evidence shows that there has been a “system wide failure by government departments and agencies to comply with the CLF Standard so that these websites are not fully accessible” (Judge’s Reasons, para. 101).
9. The government’s Communications Policy requires it to provide its information through a variety of channels which, in the case of the visually impaired, would mean the Internet, telephone, mail, in-person and, in respect of written material, the information would be provided in Braille.
10. Although the CLF Standard requires the departments to use their “best efforts” to make the contents of their website accessible, there was no satisfactory evidence presented to show what “best efforts” had been made. Treasury Board witnesses took the position that implementation and compliance with the CLF Standard was the responsibility of the deputy head of each of the 106 departments and agencies subject to the Act. Although 93 government departments had internal CLF sections, these had been unable to impress upon the deputy heads that their respective online services should be accessible to the visually impaired.
[50] Following these findings, the judge turned to the law and, in particular, to section 15 of the Charter. He first turned his attention to the Supreme Court of Canada’s decision in R. v. Kapp, 2008 SCC 41, [2008] 2 S.C.R. 483 (“Kapp”), where the Supreme Court explained that the true purpose of subsection 15(1) of the Charter was to ensure substantive equality, i.e. the idea that all Canadians were “recognized at law as human beings equally deserving of concern, respect and consideration” (Kapp, at para. 15, citing Andrews v. Law Society (British Columbia), [1989] 1 S.C.R. 143 at 171(“Andrews”)).
[51] The judge then pointed out that Ms. Jodhan was a member of a group falling within the ambit of section 15, i.e. “the physically disabled”, and that this group had suffered and continued to suffer discrimination, a fact which the Attorney General was not contesting.
[52] The judge then turned to the framework for a section 15 analysis. He indicated that the Supreme Court had provided guidance on this issue though its decisions in: Andrews; Eldridge v. British Columbia (Attorney General), [1997] 2 S.C.R. 624, 151 D.L.R. (4th) 577 (“Eldridge”); Law v. Canada (Minister of Employment and Immigration), [1999] 1 S.C.R. 497 (“Law”); and Kapp.
[53] The judge’s review of the Supreme Court’s decisions led him to state, at paragraph 140 of his Reasons that in Kapp, the Supreme Court had clearly enunciated, at paragraph 17, that the test for determining whether there had been discrimination was a two-part test:
The template in Andrews, as further developed in a series of cases culminating in Law v. Canada (Minister of Employment & Immigration), [1999] 1 S.C.R. 497 (S.C.C.), established in essence a two-part test for showing discrimination under s. 15(1): (1) Does the law create a distinction based on an enumerated or analogous ground? (2) Does the distinction create a disadvantage by perpetuating prejudice or stereotyping? These were divided, in Law, into three steps, but in our view the test is, in substance, the same.
[54] The judge then turned to the first part of the test and began with a preliminary point, which he characterized as the first stage of the first part of the test, i.e. identifying the impugned law and the appropriate comparator group. Relying on the Supreme Court’s decision in Eldridge, he indicated that the government’s Communications Policy constituted a “law” within the meaning of section 15 of the Charter.
[55] After a brief review of the Communications Policy, the judge opined that he was satisfied that this policy, coupled with the CLF Standard, conferred to Canadians the benefit of access to government services online, adding that the parties were in agreement that the appropriate comparator was sighted individuals who access government services online.
[56] The judge then dealt with the first part of the test and asked himself if the law created a distinction based on an enumerated ground. The judge sought to determine whether the Communications Policy and the CLF Standard created a distinction between the visually impaired and those who were not. After stating that both the Policy and the Standard were “facially neutral” with respect to website accessibility standards, he stated his view that the visually impaired were treated differently by reason of their disability, their visual impairment. The judge indicated that he was satisfied that two systemic failures underlined the government’s failure to provide online services that were accessible to the visually impaired. First, the CFL 1.0 Standard, in regard to which the government had directed that it be implemented by the departments many years ago, had not been implemented, nor had it been enforced and clearly not made a priority by the deputy heads. The CLF 1.0 Standard was the one that applied to ordinary government online information services. Second, with respect to the rich Internet applications which used ePass as a secure channel, they were not accessible to the visually impaired.
[57] These findings led the judge to conclude as follows at paragraph 152 of his Reasons:
Accordingly, the Court concludes that the impugned law does create a distinction based on the enumerated ground of physical disability, that the applicant has not received the equal protection and benefit of the government policy to make its information and services accessible to the public online, and that this arises from systemic failures pursuant to the application of the Communications Policy and the CLF Standard.
[58] The judge then turned to the second part of the test and asked himself if the distinction created by the impugned law created a disadvantage for Ms. Jodhan. After stating that not every difference created a disadvantage, the judge stated that the equality guaranteed by subsection 15(1) of the Charter was substantive equality, adding that substantive equality often required the making of a distinction between disabled and non-disabled persons. For this proposition, he relied on the Supreme Court’s decision in Eaton v. Brant (County) Board of Education, [1997] 1 S.C.R. 241 (“Eaton”) where, at paragraph 67, the Court expressed the view that in order to prevent discrimination against disabled persons, the government might have to “fine-tune society” or “make reasonable accommodations” so as to avoid “the relegation and banishment of disabled persons”.
[59] The judge also relied on the Supreme Court’s decision in Eldridge where, at paragraphs 77 and 78, the Court expressed the view that the government would be required, in some circumstances, to take special measures so as to allow disadvantaged groups to benefit equally from government services.
[60] With these principles in mind, the judge opined that, on the evidence before him, Ms. Jodhan and others like her were not receiving “the benefit of the government’s online services and information equally with non visually-impaired Canadians and that they encounter significant difficulties in being otherwise accommodated with the same information” (Judge’s Reasons at para. 157), noting that in three examples led before him, Ms. Jodhan had not been accommodated with written material in Braille. Consequently, the judge concluded that the distinction made by the impugned law created a disadvantage for the blind, adding at paragraph 158 of his Reasons:
This is an adverse effect caused by differential treatment of the visually impaired, a physical disability enumerated under subsection 15(1) of the Charter. This failure perpetuates a disadvantage which undermines the dignity of the visually impaired. This differentiation perpetuates the stereotyping and prejudice that blind persons cannot access and benefit from online government information and services which sighted persons can. Of course, the evidence demonstrates that there is long-established computer technology which allows the visually impaired to access computer programs and services, provided the websites are designed according to nine year old accessibility standards.
[61] The judge then discussed the idea of “reasonable accommodation”, stating that there were two elements to that idea. First, there was the element that for section 15 purposes, the government was obliged to take positive steps so that disadvantaged groups could benefit equally from services offered to all Canadians. According to the judge, accommodation was, in that sense, an integral part of the section 15 inquiry.
[62] The second element of the idea of “reasonable accommodation” was that the government was only obliged to accommodate those in need of accommodation by providing accommodations that were “reasonable”. Citing a passage from LaForest J.’s reasons in Eldridge at paragraph 79, the judge indicated that accommodation in that context meant to the point of undue hardship. I note that LaForest J., in the passage cited by the judge, does not use the expression “undue hardship”, but rather that of “reasonable limits” in the context of a section 1 analysis.
[63] The judge summarized his thoughts with regard to the idea of “reasonable accommodation” at paragraph 159, where he stated:
… Thus, in a section 15 inquiry the first step must be to determine what reasonable accommodations would be necessary to ensure substantive equality. Any reasons for why these accommodations are not being offered are then to be considered at the justification stage under a section 1 of the Charter defence. However, the respondent does not plead any justification defence under section 1 of the Charter even though specifically challenged on this by the applicant.
[64] With regard to the first element of the idea of “reasonable accommodation”, the judge turned to the case law and, in particular, to the Supreme Court’s decision in Eldridge where the Court, citing the words of Sopinka J. in Eaton, held that not only did subsection 15(1) of the Charter seek to prevent discrimination against disadvantaged groups, but sought to ameliorate their position within Canadian society. This led the judge to assert that the implementation of the CLF Standard would ameliorate the situation of the visually impaired. Further, relying on the Supreme Court’s decision in Council of Canadians with Disabilities v. Via Rail Canada, 2007 SCC 15, [2007] 1 S.C.R. 650 (“Via Rail”), the judge stated that the visually impaired who sought independent access to online services and dignity without physical limitations were entitled to this right.
[65] Finally, on this point, the judge referred to Mosley J.’s decision in Canadian Association of the Deaf v. Canada, 2006 FC 971, [2007] 2 F.C.R. 323 (“CAD”), where the Court held that the government’s Sign Language Interpretation Policy, which governed the manner in which sign language interpretation was to be provided at meetings between public servants and deaf persons, was so under-inclusive as to be discriminatory.
[66] This led the judge to hold that the CLF Standard, like the Sign Language Interpretation Policy in CAD, was an attempt by the government to create a “reasonable accommodation” and that its failure to implement or enforce that standard has the same effect as failing to develop any accessibility standards. Thus, the CLF Standard was so under-inclusive as to be discriminatory.
[67] Finally, the judge turned to the Attorney General’s submission on “reasonable accommodation”, i.e. that the visually impaired could obtain information that was available online to the general public by other means, i.e. in person, by telephone and by mail. In assessing the merits of this submission, the judge turned to the Supreme Court’s decisions in Via Rail and Eldridge as well as that of the Federal Court in CAD, and concluded that the submission did not withstand scrutiny. The judge held at paragraph 174 of his Reasons:
Based on the jurisprudence, the use of alternative channels is not a reasonable accommodation unless the respondent proved that it is not technically feasible to implement the CLF Standard or it would be so expensive that it would cause undue hardship in the context of a section 1 of the Charter defence. The respondent expressly did not plead this defence even though specifically challenged on this by the applicant. The only defence pleaded was that the applicant could obtain the information and services sought through alternative channels. In three (3) of the applicant’s examples this was not so. In any event the Court has found that these other channels are so under-inclusive as to be discriminatory.
[68] The judge, at paragraphs 175 to 178, emphasized the fact that the Attorney General had not taken the position that it would have been unreasonable for the government to make its online services accessible to the visually impaired, adding that although both the Communications Policy and the CLF Standard provided for the use of alternative measures where a federal institution was unable to provide information or services online, the Attorney General had not made any attempt to argue that alternative means of communication constituted a “reasonable limit prescribed by law as can be demonstrably justified in a free and democratic society”. In other words, the judge held that the Attorney General had not raised section 1 as a defence. The judge then stated that had an argument been made that providing accessibility to the visually impaired could only be done at a prohibitive cost or that it was not technically feasible or that the government had truly done its best to make the websites accessible, the Court would have considered these arguments as part of a section 1 justification.
[69] These findings and conclusions led the judge to render the following judgment:
THIS COURT ORDERS AND ADJUDGES that:
1. This application for judicial review is allowed and the applicant is entitled to a declaration under section 18.1 of the Federal Courts Act that she has been denied equal access to, and benefit from, government information and services provided online to the public on the Internet, and that this constitutes discrimination against her on the basis of her physical disability, namely that she is blind. Accordingly, she has not received the equal benefit of the law without discrimination based on her physical disability and that this is a violation of subsection 15(1) of the Charter;
2. It is also declared that the applicant’s inability to access online certain departmental websites is representative of a system wide failure by many of the 106 government departments and agencies to make their websites accessible. The failure of the government to monitor and ensure compliance with the government’s 2001 accessibility standards is an infringement of subsection 15(1) of the Charter since it discriminates against the applicant and other visually impaired persons. This declaration does not apply to stored government historical and/or archived information which is stored in a database and which the government shall retrieve and provide in an accessible format upon request;
3. It is also declared that the government has a constitutional obligation to bring itself into compliance with the Charter within a reasonable time period, such as 15 months;
4. This Court will retain jurisdiction over the implementation of this declaration and the Court will resume its proceedings on the application of either party if necessary to ensure the effect of this declaration is properly implemented; and
5. The applicant is a public interest litigant and is entitled to her legal costs including disbursements in the fixed amount of $150,000.
Attorney General’s Submissions
[70] In seeking the reversal of the judge’s decision, the Attorney General makes a number of submissions.
1. First, he says that the benefit of the law at issue is not, as found by the judge, equal online access to government information and services, but rather effective access to government information and services by means of one channel or another in the context of a multi-channel delivery system.
2. As a second error, the Attorney General says that the judge erred in finding that Ms. Jodhan had been discriminated against in the delivery of government information and services.
3. Next, he says that the judge erred in interpreting s. 15 of the Charter so as to create an additional, free-standing right owed to Ms. Jodhan and other visually impaired persons by the government to monitor and ensure compliance with the CLF Standard.
4. The Attorney General also submits that the judge erred in issuing a systemic declaration that applied to 106 government institutions without jurisdiction or sufficient evidence.
5. Lastly, the Attorney General says that the judge erred in retaining jurisdiction by means of a supervisory order without evidence of government delay or other unique circumstances to justify this extraordinary measure as part of a subsection 24(1) Charter remedy.
The Issues
[71] Two main issues must be determined by this Court on the appeal. First, did the judge err in finding that Ms. Jodhan was denied equal benefit of the law, contrary to subsection 15(1) of the Charter? Second, did the judge err by providing a system-wide remedy that included retaining jurisdiction to supervise the implementation of the remedy? To resolve these issues, it is necessary to determine:
1. The applicable standard of review;
2. Whether the Federal Court erred in finding that it had jurisdiction over the systemic application and the systemic remedy declarations;
3. Whether the Federal Court erred in finding that the government discriminated against Ms. Jodhan in violation of subsection 15(1) and that the discrimination was systemic;
4. Whether the Federal Court erred in finding that the government could not justify its violation of subsection 15(1) because it had not raised a section 1 defence; and
5. Whether the Federal Court erred in exercising its discretion to retain jurisdiction over implementation of the remedy granted.
Analysis
1. What is the applicable standard of review?
[72] This is an appeal from a judgment of the Federal Court in an application for a declaration, in which the judge was the trier of fact. Hence, the standards of review enunciated by the Supreme Court in Housen v. Nikolaisen, 2002 SCC 33, [2002] 2 S.C.R. 235, are applicable. Questions of law will be determined on the basis of the standard of correctness, while questions of fact and of mixed fact and law will be determined on the basis of the standard of palpable and overriding error, except where there exists an extricable question of law, in which case the standard will be that of correctness.
[73] More particularly, questions of constitutional interpretation are subject to the standard of correctness “because of the unique role of s. 96 courts as interpreters of the Constitution” (Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 SCR 190, at para. 58 (“Dunsmuir”)).
[74] In Misquadis v. Canada (Attorney General) (sub nom. Algonquin First Nation v. Canada (Attorney General), 2003 FCA 473, [2004] 2 FCR 108 at paragraph 16, Rothstein J. (as he then was) said that once subsection 15(1) of the Charter had been interpreted, its application to the facts before a court was to be reviewed on the basis of the standard of palpable and overriding error:
A question of constitutionality requires the standard of correctness, while the application of subsection 15(1) of the Charter to the facts of a case is reviewable on a standard of palpable and overriding error.
[75] Thus, if the judge incorrectly interpreted subsection 15(1), then that is a question of pure law subject to the standard of correctness. Similarly, subsection 24(1) of the Charter must be interpreted correctly because its interpretation is also a question of pure law. However, once interpreted correctly, the choice of remedy thereunder involves the exercise of discretion to which deference must be afforded (CAD, at para. 119). This Court “should refrain from using hindsight to perfect a remedy” and “should only interfere where the trial judge has committed an error of law or principle” (Doucet-Boudreau v. Nova Scotia (Minister of Education), 2003 SCC 62, [2003] 3 S.C.R. 3 (Iacobucci and Arbour JJ.) (“Doucet-Boudreau”), at para. 87).
[76] With the above in mind, I now turn to the second question for determination.
2. Whether the Federal Court erred in finding that it had jurisdiction over the systemic application and the systemic remedy.
[77] The Attorney General says that the judge erred in two ways. First, that he could not provide a remedy which went beyond the facts and issues put forward in the Notice of Application and in the form of the declarations sought. Second, that a remedy could only be given to the individual claimant, i.e. Ms. Jodhan.
[78] More particularly, the Attorney General says that by reason of the pleadings and the evidence led by him in response to those pleadings, the judge had to confine his remedy to the entities named in the Notice of Application, namely the Treasury Board, the Public Service Commission of Canada and Statistics Canada.
[79] Although the main relief sought was couched in broad terms, i.e. for the Treasury Board’s failure to “develop, maintain and enforce” the proper standards of accessibility, it was sought solely against the Treasury Board and not against the 106 departments. As to the two specific reliefs sought against the Public Service Commission of Canada and Statistics Canada, I note that the judge made no declaration in regard to those reliefs and that no appeal was taken in regard thereto. Thus, all that is before us in this appeal is the relief sought by Ms. Jodhan against Treasury Board.
[80] In my view, save in one respect, the Attorney General’s arguments cannot succeed.
[81] In Fédération Franco-Ténoise c. Canada (Attorney General), [2008] NWTCA 6 (“Fédération”), where the Attorney General similarly argued that the pleading were not sufficient to justify the systemic relief granted by the judge, the Northwest Territories (“NWT”) Court of Appeal held, at paragraph 72, that:
The function of pleadings is to set out the relevant facts; if they disclose a cause of action, the cause of action can be dealt with by the court.
[82] The Court of Appeal further opined, at paragraph 73, that to raise an issue of systemic breach, the pleadings need only “describe a reasonable number of representative breaches, indicating that these are part of a pattern of conduct”.
[83] I am satisfied that the pleadings in the present matter, when examined fairly, put forward a systemic violation of subsection 15(1) of the Charter. However, as I have already indicated, the allegations made and the declarations sought only pertained to the Treasury Board’s failure to develop, maintain and enforce the proper standards of accessibility.
[84] First, in her Notice of Application, Ms. Jodhan sought a declaration that Treasury Board’s failure “to develop, maintain and enforce standards which ensure that all Government of Canada websites and online services are accessible for all individuals with visual impairment” infringed her right to equal benefit of the law under sections 15(1) and that the infringement was not justified under section 1 of the Charter.
[85] Second, paragraphs 13 to 22 of the Notice of Application set out the factual basis upon which the sought-after declaration depends and puts in issue the steps taken by the Treasury Board to make accessible to the visually impaired the websites of the 106 departments under its authority.
[86] It cannot then be argued, in my opinion, that a new ground was put forward by Ms. Jodhan at the hearing and that the Attorney General was not given the opportunity to respond thereto by providing additional affidavits.
[87] However, none of the 106 departments under the supervision of the Treasury Board are parties to this application, except for the Public Service Commission of Canada and Statistics Canada. The Attorney General was named as a respondent in his capacity as representative of the Treasury Board, the Public Service Commission of Canada and Statistics Canada. The allegations made by Ms. Jodhan and the declarations sought are directed only at these entities.
[88] Both the Communications Policy and the CLF Standard, which are at the heart of these proceedings, are creations of the Treasury Board. Consequently, the declaration with systemic consequences sought by Ms. Jodhan must, by reason of the pleadings, be limited to the content of the policies at issue and to the Treasury Board’s actions pertaining to the enforcement and implementation of the standards.
[89] In my view, the implementation of the Treasury Board’s standards by the 106 departments was not the issue raised in the pleadings and thus the remedy to which Ms. Jodhan is entitled cannot be a declaration directed at the 106 departments. Thus, to the extent that the order made by the judge is directed at those departments which were not named in the Notice of Application, it must be set aside.
[90] With regard to the second point raised by the Attorney General – that the judge could not fashion a remedy beyond the individual claimant, i.e. Ms. Jodhan – I agree entirely with the position taken by Ms. Jodhan. In my view, subsection 24(1) did not prevent the judge from making a systemic order. (See Eldridge and Doucet-Boudreau where systemic orders were upheld by the Supreme Court under subsection 24(1).)
[91] What subsection 24(1) prevents, contrary to section 52, is the commencement of a proceeding where the claimant is not directly affected by an impugned law. In other words, the matter is one of standing as subsection 24(1) requires a claimant to have been directly affected by an impugned law whereas section 52 does not (see R. v. Ferguson, 2008 SCC 6, [2008] 1 S.C.R. 96, at paragraph 61).
[92] In addition to his arguments regarding the jurisdiction of the Court to issue the systemic remedy, the Attorney General says that the judge lacked an evidentiary foundation to make the systemic declaration. More particularly, the Attorney General says that the various reports and audits before the judge fall short of being able to support the judge’s broad ranging conclusions.
[93] Before the judge were numerous reports and/or audits pertaining to the accessibility of the government’s websites. First, there were reports concerning the accessibility of ePass. Second, there were government internal and external reports concerning specific departmental websites assessing their compliance with the CLF Standard. Finally, there were international reports concerning the accessibility of various government websites.
[94] With regard to the first category of documents, the judge found that the CLF Standard “failed to address and allow ‘rich Internet applications’ that use ePass as a security channel” (Para. 95 of the judge’s Reasons). This led the judge to find that the CLF Standard gave Website developers only one option, i.e. either to make their sites accessible to the visually impaired and thus not creating rich Internet applications or creating rich Internet applications and thus not making their sites accessible.
[95] In the judge’s opinion, the solution to the above problem was for the government to update the CLF Standard in accordance with the WCAG 2.0 guidelines which would thus allow the creation of rich Internet applications accessible to the visually impaired using ePass as a security channel.
[96] The judge’s findings were based on four reports prepared by the government concerning ePass. These reports which assessed, inter alia, the security of ePass, were to the effect that it was not accessible to the visually impaired.
[97] The second group of documents consisted of reports which assessed specific departmental websites for compliance with the CLF Standard. Included in this category are internal and external audits which demonstrate that federal government websites significantly failed to meet the CLF Standard.
[98] The third category of documents is made up of two international reports, one issued by the United Nations and the other by the European Commission, which assessed, inter alia, the accessibility of various Canadian government websites. The judge found that these reports were to the effect that most of the leading government websites, including those of the Government of Canada, did not meet international accessibility standards for the visually impaired.
[99] In addition to the documentary evidence, there was further evidence regarding the lack of accessibility of federal websites. That evidence consisted of the affidavit evidence of a number of witnesses called by the parties. More particularly, there was the evidence of, inter alia, John Rae, a past president of the Alliance for Equality of Blind Canadians, the Intervener in this case, that of Jutta Treviranus, Ms. Jodhan’s expert witness, that of Ken Cochrane, the Chief Information Officer of the Government of Canada, that of Steve Buell, the Project Lead Accessibility Integration, Accessibility Centre of Excellence within Service Canada, and finally that of Nancy Timbrell-Muckele, the Director Citizen Employment Service, Service Offering and Implementation Directorate, Citizen Service Branch, Service Canada.
[100] The judge carefully reviewed the affidavit evidence and made crucial findings of which the following are the most relevant:
1. Both Ken Cochrane and Steve Buell acknowledged that ePass was inaccessible and that it did not comply with the CLF Standard. Mr. Buell acknowledged that there were many instances of non-compliance with the CLF Standard on government websites.
2. Nancy Timbrell-Muckele testified that the “Job Bank” and the “Job Match” links on the jobs.gc.ca website were inaccessible to the visually impaired because they were not in compliance with the CLF Standard. Although there are accessibility centres within the various government departments, i.e. to provide information, education and consultation with respect to accessibility, these centres have no enforcement powers. Mr. Buell testified that because the centres are without enforcement powers, the departments can be “blissfully ignorant” of accessibility problems (Appeal Book, Vol. 22, Tab. D-49, p. 6185, Cross-examination of Steve Buell, p. 81).
3. A Treasury Board spot audit of 47 departments found that none were fully compliant with the CLF Standard. Deputy heads of 22 of those departments were found to be in serious violation of the CLF Standard and, as a result, were sent letters by the CLF Office.
4. Ms. Jodhan was denied access to information and services on both the Statistics Canada website and the Service Canada main website, in regard to which the judge found that the information sought by Ms. Jodhan was not available to her through another channel, either by telephone, in person or by mail, nor was it available to her in alternative formats, such as Braille or audio.
5. Jutta Treviranus explained in her affidavit basic accessibility problems that were frequently encountered by the visually impaired when trying to access government websites and online services, as well as the inaccessibility of the government’s rich Internet applications.
[101] In my view, both the documentary evidence and the affidavit evidence support the judge’s conclusion that Ms. Jodhan and the visually impaired were regularly denied access to government services and information online. This is not to say that Ms. Jodhan has led evidence demonstrating that all of the websites of the 106 departments are not accessible. However, the evidence is, as the judge concluded, sufficient to demonstrate that there are very serious problems of accessibility for the visually impaired throughout the government apparatus.
[102] Having considered the judge’s Reasons and the evidence which is before us, I have not been persuaded by the Attorney General that the judge made a palpable and overriding error in his assessment of the evidence. In truth, the Attorney General disagrees with the judge’s assessment of the evidence and invites us to substitute our appreciation of that evidence. I must therefore reject the Attorney General’s contention that there was no evidentiary foundation justifying the making of a systemic remedy.
[103] The Attorney General also says that there was no evidentiary basis to support the judge’s supervisory order. Later on in these Reasons, I will address this submission when dealing with the Attorney General’s specific arguments pertaining to the judge’s supervisory order.
3. Whether the Federal Court erred in finding that the government discriminated against vision impaired persons in violation of subsection 15(1) and that the discrimination was systemic.
[104] In Kapp, the Supreme Court explained the test applicable to a determination under subsection 15(1) of the Charter. At paragraph 17, the Court said:
The template in Andrews, as further developed in a series of cases culminating in Law v. Canada (Minister of Employment and Immigration), 1999 CanLII 675 (SCC), [1999] 1 S.C.R. 497, established in essence a two-part test for showing discrimination under s. 15(1): (1) Does the law create a distinction based on an enumerated or analogous ground? (2) Does the distinction create a disadvantage by perpetuating prejudice or stereotyping? These were divided, in Law, into three steps, but in our view the test is, in substance, the same.
[105] That test was recently reaffirmed by the Supreme Court in Withler v. Canada, 2011 SCC 12, [2011] 1 SCR 396 (“Withler”), at paragraphs 30 and 61. In Withler, the Court carefully explained the purpose of the test. It made it clear that the first step was meant to eliminate those distinctions that the Charter did not intend to prohibit. In other words, only distinctions that were made on the basis of either enumerated grounds or grounds analogous to enumerated grounds were to be considered for purposes of the inquiry (Withler, at para. 23).
[106] The Court then indicated that distinctions based on enumerated or analogous grounds did not necessarily lead to a finding that section 15 rights had been violated. The raison d'être of the second leg was to enable the Court to make that determination.
[107] Thus, to succeed, a claimant has to demonstrate “that the law has a discriminatory impact in terms of prejudicing or stereotyping in the sense expressed in Andrews” (Withler, at para. 34). In Andrews, McIntyre J., at pages 174-175 of his Reasons for the Court, explained the concept of discrimination as follows:
... discrimination may be described as a distinction, whether intentional or not but based on grounds relating to personal characteristics of the individual or group, which has the effect of imposing burdens, obligations, or disadvantages on such individual or group not imposed upon others, or which withholds or limits access to opportunities, benefits, and advantages available to other members of society. Distinctions based on personal characteristics attributed to an individual solely on the basis of association with a group will rarely escape the charge of discrimination, while those based on an individual's merits and capacities will rarely be so classed.
[108] The Court went on to explain that discrimination, or substantive inequality, could be demonstrated by showing that the impugned law perpetuated prejudice or disadvantage or stereotyping (Withler, at paras. 35 to 37).
[109] To enable the Courts to perform this exercise, the Supreme Court enumerated a number of factors which, depending of the circumstances of the case, ought to be considered in assessing the merits of a claim of discrimination namely, the claimant's historical position of disadvantage, the nature of the interest affected, correspondence between the benefit and the claimant's needs and circumstances, the ameliorative effect of the law on others, and the multiplicity of interests which the law seeks to balance (Withler, para. 38).
[110] At paragraph 39 of its Reasons in Withler, the Court made the point that the ultimate purpose of the section 15 inquiry was to determine whether the impugned law violated the claimant's rights to substantive equality. In particular, the Court made the following point:
The focus of the inquiry is on the actual impact of the impugned law, taking full account of social, political, economic and historical factors concerning the group. The result may be to reveal differential treatment as discriminatory because of prejudicial impact or negative stereotyping. Or it may reveal that differential treatment is required in order to ameliorate the actual situation of the claimant group.
[111] The Supreme Court further opined, at paragraph 40 of its Reasons in Withler, that formal comparison between the claimant and his or her group and a comparator group was not necessarily the best approach, adding that the better approach was one that took into account the full context which included “the situation of the claimant group and whether the impact of the impugned law is to perpetuate disadvantage or negative stereotypes about that group”.
[112] Discrimination under subsection 15(1) can result from a government policy that denies equal benefit despite a facially non-discriminatory law. In the present matter, the benefit at issue arises from the Communications Policy and the CLF Standard. In CAD, for example, the government’s policy regarding sign interpretation language, put forward in response to the Canadian Human Rights Act, R.S.C., 1985, c. H-6, requirement that “prohibits the denial of access to any good, service, facility, or accommodation on the basis of disability”, was held to be a benefit emanating from law (CAD at para. 85).
[113] Consequently, the judge was correct to state, at paragraph 142 of his Reasons, that “a law within the meaning of subsection 15(1) included a government policy or activity”. In his view, the Communications Policy and the CLF Standard constituted the law at issue from which a benefit could emanate.
[114] The situation that arises in this case is similar to that which arose in Eldridge in that it is not the impugned legislation that potentially infringes the Charter but rather “the actions of particular entities” or as in this case the inaction “of a delegated decision in applying the law” (Eldridge, at paras. 19-20-21).
[115] It was therefore proper for the judge to proceed to a review of the Communications Policy and of the CLF Standard. His review thereof led him to conclude, at paragraph 146 of his Reasons, that the benefit at issue was online access to government information and services.
Characterization of the benefit at issue
[116] The Attorney General says that the judge erred in his characterization of the benefit of the law at issue.
[117] The Attorney General argues that the benefit at issue is not, contrary to the judge’s finding, online access to government information and services but effective access to government information and services. In other words, the Attorney General says that Ms. Jodhan is not entitled to government information and services by her preferred channel of delivery. At paragraphs 62 and 63 of his Memorandum of Fact and Law, the Attorney General clearly sets out his position:
… If one channel is not available or accessible, an individual’s s. 15 right to substantive equality can be met by the government institution providing the information or service by means of an alternate channel or format, provided it is effective. In this way, reasonable accommodation of the diverse needs of Canadians, including persons with disabilities, is built into the benefit.
Alternate channels or formats, provided they allow for effective communications, reasonably accommodate the needs of persons with visual impairments, and constitute substantively equal treatment within the meaning of s. 15.
[118] In support of his position, the Attorney General relies both on the Communications Policy and the CLF Standard. More particularly, the Attorney General draws our attention to that part of the Communications Policy which provides that government institutions are to communicate with Canadians “through many channels” which include the telephone, mail, service centers, and the Internet, and that the information is to be available in multiple formats to ensure equal access, adding that traditional methods and new technologies are to be used to reach all Canadians.
[119] With regard to the CLF Standard, the Attorney General says that notwithstanding the fact that the CLF 1.0 Standard provides that online accessibility is the goal, visually impaired Canadians may have to use alternate versions of the information and services such as print, Braille, audio where online access is not possible.
[120] The Attorney General also relies on the Supreme Court’s decision in Eldridge where it held that the hearing impaired were entitled to “effective communication” in accessing health care services and not necessarily to sign language interpretation, adding that the “effective communication” standard was flexible in that it took into account factors such as the context in which the communication took place, the number of people involved, and the importance of the communication.
[121] The Attorney General also relies on the Federal Court’s decision in CAD and says that the Court accepted the Eldridge pronouncement and held that meaningful participation could be achieved by way of means other than visual interpretation services, such as in writing or electronic media.
[122] Thus, in the Attorney General’s view, it necessarily follows that the benefit of online access is not the benefit emanating from law.
[123] The Attorney General makes the point that the Communications Policy contemplates delivery of information and services by way of multiple channels. One of the chosen channels is the Internet and to that extent, the Communications Policy requires government institutions to provide information and services online and emphasizes that the Internet and other means of electronic communications are “powerful enablers for building and sustaining effective communication within government institutions and with their clients across Canada and around the world” (Communications Policy, Requirement no.18).

[124] The Communications Policy also requires government institutions to maintain an active presence on the Internet so as to, inter alia, provide access to public programs, services and information and to improve service delivery, connecting and interacting with citizens, enhancing public access and fostering public dialogue.
[125] The Communications Policy further states that Internet communication must conform to government policies and standards, and government institutions must manage their websites in accordance with Treasury Board standards.
[126] The CLF initiative, on the other hand, is there to provide universal accessibility standards and to ensure equitable access to the content of all government websites. Further, all government websites must comply with W3C Priority 1 and Priority 2 checkpoints “to ensure that sites can be easily accessed by the widest possible audience”.
[127] When read together, the Communications Policy and the CLF Standard make it clear that the goal is to provide Canadians “with timely, accurate, clear, objective, and complete information about its policies, programs, services, and initiatives” and that various ways are to be used to communicate with Canadians. More particularly, the Communications Policy recognizes that the Internet is an important tool for providing information and reviews to the public, and that it is to that end that the Policy directs the various departments subject to it to comply with the CLF Standard on accessibility of federal government websites.
[128] Thus, the Internet as a means of communication with Canadians and for Canadians to communicate and interact with government institutions is, in the eyes of the government, of great value and importance.
[129] The Attorney General says that effective access to government information and services, not online access, is the true benefit of the law. I have no difficulty going along with this proposition and thus I am prepared to agree with the Attorney General that the benefit of law is not, per se, online access to government information and services. However, I have great difficulty understanding how the benefit of access to government information and services can be truly enjoyed or exercised, in the present day, without access to that information by way of the Internet. In other words, depriving a person of access to government information and services by the use of one of the most important, if not the most important, tool ever designed for accessing not only government information and services, but all types of information and services, cannot constitute, in my respectful opinion, the provision of effective access to that information and those services.
[130] The thrust of the Attorney General’s submission is that effective access to government information and services is attained when the information is accessed by a person irrespective of the means used to obtain the information. I understand the Attorney General to be saying that as long as the sought-after information and services are obtained, irrespective of the time lag and inconvenience encountered, there has been effective access and thus the same benefit has been received. In other words, if one person can access information online within a matter of minutes and another person can access the same information by traveling to a government office, waiting for his or her turn and then meeting with a government employee to obtain the same information, there has been effective access in both cases and thus both persons have received the same benefit of the law. I cannot agree with the Attorney General’s position. In my view, one of the above two persons has not received the same benefit. They have not been treated equally.
[131] I am therefore of the view that the benefit of the law is access to government information and services. However, access thereto necessarily includes the benefit of online access, which is not just an ancillary component of the multi channel delivery mechanism, but an integral part thereof. In other words, one cannot speak of access to government information and services without including access thereto by way of the Internet.
[132] Before turning to the subsection 15(1) test, I wish to address the Attorney General’s submission that section 15 cannot be interpreted as creating an additional right owed to Ms. Jodhan and others for the government to monitor and ensure compliance.
[133] The Attorney General argues that such a right does not exist at law and that there is no authority in support of such a right, adding that the only right at issue was the section 15 right to equal benefit of the law which, the Attorney General says, is effective access to government information and services without discrimination. More particularly, the Attorney General says that that there is no separate or free-standing section 15 right for the government to “monitor” and ensure compliance with web accessibility standards owed directly to any person and that how the government ensures this goal is a matter for its own governance. In other words, the Attorney General says that it is only the actual provision of effective access that can be subject to oversight by the Court by means of Charter litigation.
[134] I agree with the Attorney General that the only right at issue is the section 15 right to equal benefit of the law. The Treasury Board’s failure to monitor and ensure compliance with its standards may well be the cause of the violation of Ms. Jodhan’s section 15 rights, but does not constitute in and of itself a violation of her section 15 rights. Consequently, in my view, the judge’s determination that the Treasury Board’s failure to monitor and ensure compliance constituted a violation of Ms. Jodhan’s section 15 rights must be set aside.
The first part of the subsection 15(1) test.
[135] I now turn to the first part of the test so as to determine whether the law creates a distinction based on an enumerated ground, i.e. visual impairment. In other words, do the Communications Policy and the CLF Standard create a distinction between the visually impaired and others on the basis of their physical disability?
[136] The judge dealt with this at paragraphs 148 to 153 of his Reasons. First, he expressed the view that the Communications Policy and the CLF Standard were facially neutral with regard to website accessibility in that the applicable standards were identical for all users. However, in his view, Ms. Jodhan and the visually impaired were treated differently because of their disability.
[137] In support of that proposition, the judge found that the CLF 1.0 Standard had not been properly implemented nor enforced by the deputy heads of the 106 departments thus rendering many of the websites inaccessible to the visually impaired. He also found that 83 online departmental interactive rich Internet applications, which used “ePass”, were not accessible to the visually impaired. This led the judge to state that updating the current CLF Standard to meet the new international standard would make the interactive online services accessible.
[138] As a result, the judge concluded, correctly in my view, that the impugned law created a distinction based on Ms. Jodhan’s physical disability. In other words, Ms. Jodhan and the visually impaired had received a different treatment because of their visual impairment.
[139] Other than arguing that the judge mischaracterized the benefit at issue, the Attorney General does not question the finding that the scheme for the provision of government information and services denies the visually impaired of a benefit that others receive, i.e. that sighted persons are able to access all of the government’s websites. However, the Attorney General submits that having regard to the relevant context, the impugned law does not “perpetuate[s] disadvantage or prejudice, or stereotype[s] the claimant group” (Withler, at para. 70). Put another way, the distinction which the Communications Policy and the CLF Standard make does not create a disadvantage which results in discrimination under subsection 15(1). I now turn to that question.
The second part of the subsection 15(1) test.
[140] The judge dealt with this question at paragraphs 154 to 174 of his Reasons, a summary of which appears at paragraphs 57 to 66 of these Reasons. I therefore need not repeat the judge’s findings and conclusions on this point.
[141] I now turn to the Attorney General’s submission as to why the judge erred in concluding that the distinction made by the law created a disadvantage that amounted to discrimination under subsection 15(1) of the Charter.
[142] The Attorney General begins his argument by submitting that in Withler, the Supreme Court made it clear that the purpose of the second step of the section 15 inquiry was to determine whether, in light of the full context, the distinction made by the law created a disadvantage by perpetuating prejudice or stereotyping, adding that this analysis was to be conducted by considering the factors which the Supreme Court enunciated in Withler.
[143] Having taken the position that there was no basis for the issuance of a systemic remedy for jurisdictional and evidentiary reasons, the Attorney General provided for our guidance a section 15 inquiry on only those three websites which the judge found to be inaccessible: one site of Statistics Canada, one site of Service Canada and the “Job Bank” site of Service Canada.
[144] In regard to these websites, the Attorney General says that alternate channels or formats which effectively communicate government information and services sought by the visually impaired correspond to their actual needs and circumstances. The Attorney General also says that the accessibility standards are ameliorative in purpose and effect and that they are designed to benefit many individuals in different circumstances and with different interests, with a wide variety of disabilities. The Attorney General also says that the standards are intended to balance a multiplicity of interests, including official languages obligations and the protection of users’ privacy and dignity.
[145] The Attorney General further says that Ms. Jodhan’s interests in this case are narrow, i.e. access to certain information and services available on three particular websites through a preferred channel of communication, the Internet, and that these narrow interests, to use the words of the Supreme Court in Law at paragraph 74, cannot be characterized as a denial of access to a “fundamental social institution” as affecting “a basic aspect of full membership in Canadian society” or as constituting “a complete non-recognition of a particular group”.
[146] This leads the Attorney General to assert that Ms. Jodhan’s alleged inability to access particular information and services online does not “operate to perpetuate prejudice or stereotyping against the claimant”, adding that satisfying Ms. Jodhan’s needs for government information and services by channels or formats other than the Internet corresponds to her needs, capacity and circumstances, and that alternate channels or formats “that communicate effectively the information and services sought do not constitute discriminatory treatment” (Attorney General’s Memorandum of Fact and Law, paragraph 72).
[147] For the reasons that follow, I cannot agree with the Attorney General.
[148] On the record before him, the judge found that there had been a breach of subsection 15(1) by reason of inadequate web accessibility standards, as concerns the accessibility of rich Internet applications using e-Pass as a secure channel, and by the failure of the Treasury Board to ensure implementation of its accessibility standards across the various departments. Hence, in the judge’s view, Ms. Jodhan and the visually impaired were systematically denied the benefit of access to government information and services online.
[149] The Attorney General’s position before us is that the judge erred in his characterization of the benefit. In the Attorney General’s submission, that benefit is effective access to government information and services. Consequently, the Attorney General says that the provision of its services and information by way of alternative channels and formats, i.e. by mail, telephone and in-person visits to government centres (the “alternative channels”) and Braille (“alternative format”) is sufficient to meet the substantive equality test of subsection 15(1). Thus, if I properly understand the Attorney General’s case, even if the government failed to provide the visually impaired with any access to its websites, this would not constitute a violation of subsection 15(1), as effective access would have been made available through other means of communication.
[150] In my view, that cannot be right. In Eldridge, at paragraph 73, the Supreme Court held that every benefit offered by the government had to be offered in a non-discriminatory manner and that in achieving that goal, the government might be required to take to take positive action. Substantially for the reasons given by the judge, I must conclude that the consequence of the Treasury Board’s failure to issue adequate standards and to ensure departmental compliance with its accessibility standards is that Ms. Jodhan and the visually impaired are denied equal access to the benefit of government information and services. An easy remedy to that situation is for the Treasury Board to correct the inadequacy of its standards and to use its best efforts to ensure that the standards are implemented by the various departments under its supervision.
[151] As I indicated earlier, I have difficulty with the proposition that equal access to government information and services can be attained without access to online information and services. In the present matter, no evidence has been offered by the Attorney General to the effect that there is any impediment to moving forward and enabling the visually impaired to readily access government information and services online. Consequently, I also have difficulty with the proposition that alternative formats and channels meet the goal of substantive equal treatment. Where not possible for technological, cost, or other reasons, I readily accept that the visually impaired would have to access government information and services through alternative formats or channels. Thus, to the extent possible, the benefit of law offered to the public must be as inclusive as possible. As stated by the Supreme Court in VIA Rail, at paragraph 175:
It is the rail service itself that is to be accessible, not alternative transportation services such as taxis. Persons with disabilities are entitled to ride with other passengers, not consigned to separate facilities.
[152] Thus, applying that approach to the present matter, Ms. Jodhan and the visually impaired are entitled to full access to government information and services which clearly includes online access. It should be remembered that one of the goals of the government’s Communications Policy is to allow Canadians to access its information and services at a time and place of their choosing. If the visually impaired are relegated to alternative channels and formats, they certainly will not be choosing the time and place in which to access the government’s information and services.
[153] At paragraph 157 of his Reasons, the judge opines that the examples provided by Ms. Jodhan combined with the evidence of systemic problems with the CLF Standard show that the visually impaired do not have access to government information and services equally with sighted persons, adding that the visually impaired encounter difficulty “in being otherwise accommodated with the same information”. In that respect, the judge pointed out that in three cases, Ms. Jodhan had not been accommodated with written material in Braille. Thus, in the judge’s opinion, the distinction created a disadvantage for the visually impaired. Further, the effect of inaccessibility of the government’s online information and services forces the visually impaired to, inter alia, rely on sighted assistance in order to access the information and services. In VIA Rail, Abella J., writing for the majority, made the following point at paragraph 162:
… Independent access to the same comfort, dignity, safety and security as those without physical limitations, is a fundamental human right for persons who use wheelchairs. This is the goal of the duty to accommodate: to render those services and facilities to which the public has access equally accessible to people with and without physical limitations.
[154] Invoking the words of Abella J. in VIA Rail, Ms. Jodhan says that forcing her to rely on sighted assistance is demeaning and propagates the point of view that she and the visually impaired are less capable and less worthy that those who can see, adding that not only did this constitute an invasion, but that it required her and those like her “to go to time and trouble not required of sighted persons” (Respondent’s Memorandum of Fact and Law, paragraph 99). On the basis of the Supreme Court’s rationale in VIA Rail, it is very difficult to disagree with Ms. Jodhan’s assertion, since subsection 15(1) of the Charter provides that she has the right to equal benefit of the law. Thus, she is entitled to access the government information and services as effectively as those who have no visual impairment.
[155] The government’s failure to ensure that Ms. Jodhan and the visually impaired be given the same access to its information and services as those given to the non visually impaired perpetuates, in Ms. Jodhan’s words, “the pre-existing disadvantage of people with disabilities by exacerbating their historic exclusion and marginalization from Canadian society” (Respondent’s Memorandum of Fact and Law, para.103). In making this assertion, Ms. Jodhan refers to Withler at paragraph 38, where the Supreme Court indicated that establishing a claimant’s historical position of disadvantage or demonstrating existing prejudices against the claimant’s group, as well as the nature of the interests that are affected, were relevant considerations.
[156] Ms. Jodhan points out that the Attorney General has conceded in these proceedings that Ms. Jodhan and those like her have been historically subject to pre-existing disadvantage and subject to stereotyping that they were not as capable as those with sight. This leads Ms. Jodhan to argue that denying her and those like her access to government information and services online has the effect of reinforcing “existing inaccurate understandings of the merit, capabilities and worth of vision impaired persons. It results in their further stigmatization.” (Respondent’s Memorandum of Fact and Law, para. 104). Again, I can find no basis to disagree with that statement.
[157] Ms. Jodhan further submits that the impact of the Treasury Board’s failure to ensure equal access to government websites and online services severely impacts Ms. Jodhan and those like her, in that they are systematically denied access to information and services which are readily accessible online by the sighted population. The end result of this denial, in my view, is that Ms. Jodhan and the visually impaired are not afforded substantive equality, because they are being denied the ability to interact with government institutions on a basis equal to that of those who can see.
[158] At paragraph 179 of his Reasons, the judge summarized his conclusions and findings. In particular, I wish to make mine his sub-points 9 and 10, which I hereby adopt:
9.. the visually impaired have not been "reasonably accommodated" because they allegedly can obtain the same information available online by other channels, namely in person, by telephone and by mail. These other channels are difficult to access, less reliable and not complete. Moreover, they fail to provide the visually impaired with independent access or the same dignity and convenience as the services online. The Supreme Court of Canada makes unequivocally clear that such alternatives do not constitute "substantively equal" treatment; and
10. for the blind and visually impaired, accessing information and services online gives them independence, self-reliance, control, ease of access, dignity and self-esteem. A person is not handicapped if she does not need help. Making the government online information and services accessible provides the visually impaired with "substantive equality". This is like the ramp to permit wheelchair access to a building. It is a ramp for the blind to access online services.
[159] One final comment in regard to this question. It is clear to me that the principle of accommodation which we must consider at the subsection 15(1) stage are the positive steps which the government may take so as to deliver a benefit of law equally to disadvantaged groups. As the judge points out in his Reasons, implementing the accessibility standards would ameliorate the position of Ms. Jodhan and the visually impaired and prevent discrimination. However, reasonable accommodation, in the larger sense, is, as the Supreme Court clearly held in Eldridge at paragraph 79, “generally equivalent to the concept of ‘reasonable limits’” and is to be addressed in the course of section 1 analysis. The Supreme Court in Eldridge reminded us that “reasonable accommodation” was not a device to be used in restricting the ambit of subsection 15(1)”. Consequently, in adopting sub-points 9 and 10 of paragraph 179 of the judge’s Reasons, I am obviously not saying that reasonable accommodation, in the larger sense, as discussed in Eldridge, should be debated in the course of a subsection 15(1) analysis. I understand the judge’s comments to be that the steps taken by the government, i.e. the positive steps which the government may take to deliver substantive equality, do not achieve the purpose intended and , therefore, that substantive equality has not been delivered to Ms. Jodhan and the visually impaired.
[160] Consequently, there is an argument to be made that the discussion concerning the alternative channels available to Ms. Jodhan and the visually impaired is a discussion which ought to have been in the confines of a section 1 analysis, to the extent that the alternative channels can be fitted in the concept of “reasonable accommodation”.
[161] For these reasons, I see no basis to interfere with the judge’s conclusion that the failure to ensure equal access by Ms. Jodhan and by the visually impaired to departmental websites and online services violated her rights under subsection 15(1).
4. Whether the Federal Court erred in finding that the government could not justify its violation of subsection 15(1) because it had not raised section 1 as a defence.
[163] Before us, the Attorney General does not dispute that finding but says that his failure to make a section 1 defence results from the fact that most of the 106 government institutions were not named as parties in the proceedings, and thus they were not called upon to put forward evidence so as to explain or justify any alleged failures to implement the accessibility standards. I need not address that argument since I have come to the conclusion that the proper order cannot be one directed against those government institutions that are not parties to these proceedings.
[164] However, there were specific allegations made by Ms. Jodhan in her Notice of Application and a declaration was sought that the Treasury Board’s failure to maintain and enforce standards to ensure that all government of Canada websites and online services are accessible to all individuals with visual impairment let to a denial of substantive equality to Ms. Jodhan and the visually impaired. In regard to that allegation, the Attorney General did not raise a section 1 defence.
5. Whether the Federal Court erred in exercising its discretion to retain jurisdiction over implementation of the remedy granted.
[165] The Attorney General argues that there was no justification for the judge’s supervisory order, which the Attorney General characterizes as an “extraordinary and intrusive measure”. In his view, the supervisory order does not respect the division of powers between the courts and the executive. Hence, the Attorney General submits that the supervisory order was not an “appropriate and just” remedy under the Charter.
[166] I note that in making the supervisory order, the judge gave no reasons to justify this order.
[167] In Doucet-Boudreau, the Supreme Court of Canada made a number of points which are relevant to the present matter. First, it said that in exercising their discretion to order remedies under subsection 24(1) of the Charter, courts were to remain sensitive to their role of judicial arbiter and that they were not to “fashion remedies which usurp the role of the other branches of governance by taking on tasks to which other persons or bodies are better suited” (Doucet-Boudreau, at para. 34). At paragraph 35, the Supreme Court further stated, quoting from its decision in Vriend v. Alberta, [1998] 1 S.C.R. 493, at paragraph 136, that:
… In carrying out their duties, courts are not to second-guess legislatures and the executives; they are not to make value judgments on what they regard as the proper policy choice; this is for the other branches. Rather, the courts are to uphold the Constitution and have been expressly invited to perform that role by the Constitution itself. But respect by the courts for the legislature and executive role is as important as ensuring that the other branches respect each others’ role and the role of the courts.
[168] The Court then set out five factors which were to be considered in fashioning a remedy that was “appropriate and just in the circumstances”. First, the remedy had to be one that “meaningfully vindicated the rights and freedoms of the claimants” (Doucet-Boudreau, at para. 55). Second, the remedy, to the extent possible, should respect the division of powers between the judiciary and the legislative and executive branches (Doucet-Boudreau, at para. 56). Third, the remedy ought to be a judicial remedy, i.e. a remedy which flowed from the function and powers of a court and not a remedy for which the court’s design and expertise were not suited (Doucet-Boudreau, at para. 57). Fourth, the remedy should be one that was fair to the parties against whom it was made. In the words of the Supreme Court, “the remedy should not impose substantial hardships that are unrelated to securing the right” (Doucet-Boudreau, at para. 58). Lastly, the remedy-making power was one that should be “flexible and responsible to the needs of a given case” (Doucet-Boudreau, at para. 59).
[169] With those principles in mind, I now turn to the Attorney General’s attack on the judge’s order, i.e. that he would retain jurisdiction over the implementation of the declarations and that either party could apply to him in order to ensure the proper implementation thereof.
[170] In support of his argument that the judge’s supervisory order constitutes an extraordinary and intrusive measure, the Attorney General relies, in part, on Professor Peter Hogg’s view, as expressed in his Constitutional Law of Canada, Vol. 2, 5th ed. Suppl. 2007, at page 40-45, that a supervisory order is “a remedy of last resort, to be employed only against a government that has refused to carry out its constitutional responsibility”. The Attorney General also relies on the view of Jones and de Villars in Principles of Administrative Law, 5th ed. (Toronto: Carswell, 2009) at page 756: ‘it is expected that government and other authorities will respect declaratory judgments of the courts”. Hence, the Attorney General argues that declarations will suffice to achieve the intended purpose sought by the remedy.
[171] The Attorney General also argues that supervisory orders are rarely issued and will only be issued where extraordinary or unique circumstances exist, such as those found in Doucet-Boudreau. The Attorney General submits that in this case, there is absolutely no evidence of events or circumstances which could possibly justify a supervisory order. In my view, the judge erred in not limiting his order to the declaration sought. I agree entirely with the view expressed by Professor Hogg in Constitutional Law of Canada, supra, where he says at page 40-45:
In my view, the dissenting view in Doucet-Boudreau is the better one. A supervisory order should be a remedy of last resort, to be employed only against governments who have refused to carry out their constitutional responsibilities. The courts exhaust their expertise when they find the facts, apply the law to those facts and order the defendant to rectify any law. After that, no legal issue remains, just the practical details of implementation, and that is a function of the executive.
[172] In Eldridge, the Supreme Court made it clear that there is a presumption that the government will, once a declaration to that effect is made, do the necessary to, “correct the unconstitutionality of the present scheme and comply with this Court’s direction” (Eldridge, at para. 26).
[173] In those few cases where supervisory orders were made, the factual situation seems to have amply justified the making of the order. In Doucet-Boudreau where the trial judge retained jurisdiction to supervise implementation of the remedy, parents had a Charter right to publicly-funded French language educational facilities for their children and, despite the Minister’s authority to build secondary-level French language schools, construction of these schools never took place. There was evidence of 16 years of government delay in the construction of these schools and also a suggestion of possible bad faith on the part of government.
[174] In the present matter, while the accessibility standards were issued in 1999 and were meant to be implemented by 2001, the evidence shows that the government has attempted, although not successfully, to make the Internet accessible to the visually impaired. Although the websites do not comply with the CLF 1.0 Standard, they are now more accessible than they were in 1999. In addition, we do not have before us any evidence with regard to the accessibility of the websites following the implementation deadline of December 31, 2008, for the CLF 2.0 Standard.
[175] In Fédération, the government of the NWT, having passed legislation to bring its laws into compliance with Charter guaranteed language rights, utterly failed to give it force of law by delaying its implementation for almost 20 years. In other words, there appears to have been a total abdication by the NWT Government of its responsibilities in regard to the language rights at issue. No such situation is present in this case.
[176] The supervisory order is akin to a structural remedy which the NWT Court of Appeal explained at paragraph 51 of its reasons in Fédération as follows:
Declaratory relief identifies a constitutional or quasi-constitutional breach and may direct that the breach be remedied. A structural remedy not only identifies the breach(es) and directs government to provide a remedy, but also details how government is to proceed in doing so.
[177] In my opinion such a remedy in the present matter is not a just and appropriate remedy in the circumstances.
[178] First, the evidence in this case is dated because it was closed prior to the implementation date for the CLF 2.0 Standard. It was also complete prior to the finalization of WCAG 2.0. In such a case, I believe that a declaration appropriately responds to the time lapse between gathering evidence for a hearing and the end of the appeal process because it alerts the government to its responsibilities and allows it to focus on any corrections needed that have not been made in the meantime.
[179] Second, the judge’s remedy ventures into the realm of the executive. In the view of the dissent in Doucet-Boudreau, a contempt proceeding would have been available to the Attorney Generals and would have constituted a more appropriate way to deal with government disobedience or further inaction rather than a supervisory order because it would intrude less on executive jurisdiction.
[180] Third, unlike Doucet-Boudreau, this case is the first time this particular breach of Charter rights has been established through litigation. In such a case, the general practice is to grant a declaration rather than a structural remedy because historically the government has responded and made necessary changes (see Fédération at para. 90). In addition, a declaration allows the government to remedy the situation, making its own policy decisions. As the Court said in Fédération at paragraph 90:
granting of a structural remedy against government on a first litigation of a constitutional or quasi-constitutional issue requires an exceptional case.
[181] Fourth, unlike the situation in Fédération, I do not see “extensive evidence” that a declaration would not be appropriate due to consistent failure to follow action plans, implement recommendations made in reports or take concrete steps to implement the CLF Standard. On the contrary, the Attorney General has explained the various steps taken by the Public Service Commission, Service Canada and Statistics Canada to comply with CLF 1.0 and 2.0 and each of these departments has a Centre of Expertise on Accessibility.
[182] Fifth, the issues in Fédération and Doucet-Boudreau pertained to language rights and significant periods of delay in implementing those rights.
[183] Sixth, the nature of the rights at issue is different. For example, in Doucet-Boudreau, the situation was more urgent because there was evidence of a “serious rate of assimilation” of the Francophone population, which would be aggravated by further delay (see Doucet-Boudreau at paras. 38-40).
[184] I am therefore satisfied that in the present matter, there was no factual or legal basis to justify the supervisory order made by the judge.
Disposition
[185] I would therefore allow the appeal in part with costs in favour of Ms. Jodhan in the amount of $35,000, inclusive of disbursements and tax, and I would vary the judgment of the Federal Court to read as follows:
1. This application for judicial review is allowed and the applicant is entitled to a declaration under section 18.1 of the Federal Courts Act that she has been denied equal access to, and benefit from, government information and services provided online to the public on the Internet, and that this constitutes discrimination against her on the basis of her physical disability, namely, that she is blind. Accordingly, she has not received the equal benefit of the law without discrimination based on her physical disability and that this constitutes a violation of subsection 15(1) of the Charter;
2. [First two sentences of paragraph 2 of the judge’s Judgment REMOVED]. This declaration does not apply to stored government historical and/or archived information which is stored in a database and which the government shall retrieve and provide in an accessible format upon request;
3. It is also declared that the government [Treasury Board] has a constitutional obligation to bring itself [the government departments and agencies under its control] into compliance with the Charter within a reasonable time period, such as 15 months;
4. [Entire paragraph 4 of the judge’s Judgment REMOVED];
5. The applicant is a public interest litigant and is entitled to her legal costs in the Federal Court including disbursements in the fixed amount of $150,000.
“M. Nadon”
J.A.
“I agree.
K. Sharlow J.A.”
“I agree
Eleanor R. Dawson J.A.”


FEDERAL COURT OF APPEAL
NAMES OF COUNSEL AND SOLICITORS OF RECORD
DOCKET: A-478-10
STYLE OF CAUSE: A.G.C. v. DONNA JODHAN et al
PLACE OF HEARING: Toronto, Ontario
DATE OF HEARING: November 15, 2011
REASONS FOR JUDGMENT BY: NADON J.A.
CONCURRED IN BY: SHARLOW J.A.
DAWSON J.A.
DATED: May 30, 2012
APPEARANCES:
Gail Sinclair
Peter Hajecek
Michelle Ratpan
FOR THE APPELLANT
David Baker
Meryl Zisman-Gary
Karen R. Spector
Laurie Letheren
FOR THE RESPONDENT
FOR THE INTERVENER
SOLICITORS OF RECORD:
Myles J. Kirvan
Deputy Attorney General of Canada
FOR THE APPELLANT
Bakerlaw
Toronto Ontario
ARCH Disability Law Centre
Toronto, Ontario
FOR THE RESPONDENT
FOR THE INTERVENER


Thursday, June 7, 2012

Denmark greenlights church marriages for gays According to a Gay Star News report,


Denmark greenlights church marriages for gays

BY NATASHA BARSOTTI – In an 85 to 24 vote, the Danish parliament cleared the way June 7 for same-sex couples to get married in church ceremonies — instead of blessing ceremonies — as soon as June 15. According to a Gay Star News report, the country's prime minister, Helle Thorning-Schmidt, of the Social Democrats party (Socialdemokraterne), says on her Facebook page, "Today we allow homosexual couples to enter into marriage on equal footing as everyone else."
The report also states that couples in civil partnerships will now be granted "married" status.
In 1989, Denmark became the first country to allow registered partnerships for gay couples. 

Monday, June 4, 2012

DES-7-08 IN THE MATTER OF Mohamed Zeki Mahjoub Federal Court of Canada Summary:


Summary:
The Federal Court released its decision on May 31, 2012, on Mr. Mahjoub’s

motion for a permanent stay of proceedings, which was heard on October 3, 2011, and

April 23 and 24, 2012. The motion was brought pursuant to events that led to the taking

and co-mingling of Mr. Mahjoub’s documents by the Ministers.

The Court found that the taking and co-mingling of Mr. Mahjoub’s documents, some of

which were privileged, was unintentional. The Court also found that no member of the

Ministers’ litigation team reviewed Mr. Mahjoub’s documents. Consequently, the Court

held that there would be no prejudice to Mr. Mahjoub’s fair trial rights were the

proceedings to continue.

The Court nevertheless found that the taking and co-mingling of Mr. Mahjoub’s

documents compromised the appearance of fairness in the administration of justice. In the

circumstances, the Court removed certain members of the Ministers’ litigation team to

ensure that public confidence in the administration of justice is maintained. The Court

held that this was not the clearest of cases in which a permanent stay of proceedings was

warranted.

**

A French language summary of the conclusions is available. A certified translation will

be provided at the earliest possible time. A copy of the English version of these reasons

can be obtained on request to:
media-fct@fct-cf.gc.ca

****

Andrew Baumberg

Media Contact / Liaison avec les Médias

Federal Court / Cour fédérale

Tel. / Tél. : (613) 947-3177

Saturday, June 2, 2012

Committee against Torture 48th session Canada


Committee against Torture

48th session

7 May to 1 June 2012

                         Consideration of reports submitted by States parties under article 19 of the Convention

               ADVANCE UNEDITED VERSION

                   Concluding observations of the Committee against Torture

                   Canada

1.     The Committee against Torture considered the sixth periodic report of Canada (CAT/C/CAN/6) at its 1076th and 1079th meetings, held on 21 and 22  May 2012 (CAT/C/SR.1076 and 1079), and adopted the following concluding observations at its 1087th and 1088th meetings (CAT/C/SR.1087 and 1088).

               A.      Introduction

2.     The Committee welcomes the submission of the sixth periodic report by the State party, which broadly comply with the guidelines on the form and content of periodic reports, but regrets that it was submitted three years late.

3.     The Committee welcomes the open dialogue with the inter-ministerial delegation of the State party as well as its efforts to provide comprehensive responses to issues raised by Committee members during the dialogue. The Committee further commends the State party for the detailed written replies to the list of issues, which was however submitted three months late, just before the dialogue. Such delay prevented the Committee from conducting a careful analysis of the information provided by the State party.

4.     The Committee is aware that the State party has a federal structure, but recalls that Canada is a single State under international law and has the obligation to implement the Convention in full at the domestic level.

               B.      Positive aspects

5.     The Committee notes the ongoing efforts by the State party to reform its legislation, policies and procedures in areas of relevance to the Convention, including:

a)       The establishment of the Refugee Appeal Division within the independent Immigration and Refugee Board by the 2011 Balanced Refugee Reform Act;

b)       The establishment of the Internal Inquiry into the Actions of Canadian Officials in Relation to Abdullah Almalki, Ahmad Abou-Elmaati and Muayyed Nureddin (Iacobucci Inquiry), in December 2006;

c)       The establishment of the Ipperwash Priorities and Action Committee by the Ontario Government in 2007 to work on the implementation of the Ipperwash Inquiry Report recommendations;

d)       The establishment of the Provincial Partnership Committee on Missing Persons in Saskatchewan in January 2006; and

e)       The Braidwood Inquiry, initiated by the province of British Columbia in 2008 to examine the case of Robert Dziekanski.

6.     The Committee notes with satisfaction an official apology and compensation provided to Maher Arar and his family, quickly after the release of a report by the Commission of Inquiry into the Actions of Canadian Officials in Relation to Maher Arar.

7.     The Committee notes with satisfaction an official apology by Royal Canadian Mounted Police (RCMP) to the mother of Robert Dziekanski for the loss of her son.

               C.      Principal subjects of concern and recommendations                     

Incorporation of the Convention in the domestic legal order

8.     While welcoming the statement made by the delegation that all levels of Canadian governments take seriously their obligations under the Convention, the Committee regrets that Canada has not incorporated all provisions of the Convention into domestic law and that those provisions cannot be argued independently as the basis for a legal claim in courts other than through domestic legal instruments. The Committee is of the view that the incorporation of the Convention into Canadian law would not only be of a symbolic nature but that it would strengthen the protection of persons allowing them to invoke the provisions of the Convention directly before the courts. (art. 2)

The Committee recommends that the State party incorporate all the provisions of the Convention into Canadian law in order to allow persons to invoke it directly in courts, to give prominence to the Convention as well as to raise awareness of its provisions among members of the judiciary and the public at large. In particular, the State party should   take all necessary steps to ensure that provisions of the Convention that give rise to extraterritorial jurisdiction can be directly applied before domestic courts.

Non-refoulement

9.     The Committee notes the State party’s information that the law allowing deportation despite a risk of torture is merely theoretical. However, the fact remains that it is the law in force at present. Therefore, the Committee remains seriously concerned that: (art. 3)

a)       The Canadian law, including subsection 115(2) of the Immigration and Refugee Protection Act (IRPA), continues to provide legislative exceptions to the principle of non-refoulement;

b)       The State party continues to engage in deportation, extradition or other removals, in practice, often using security certificates under the IRPA and occasionally resorting to diplomatic assurances, which could result in violations of the principle of non-refoulement; and

c)       No sufficient information is provided in relation to investigations into all allegations of violation of article 3 of the Convention, remedies provided to victims, and measures taken to guarantee effective post-return monitoring arrangements.

Recalling its previous recommendation (CAT/C/CR/34/CAN, paras.5(a) and (b)), the Committee urges the State party to amend relevant laws, including the IRPA, with a view to unconditionally respecting the absolute principle of non-refoulement in accordance with  article 3 of the Convention, and take all necessary measures to fully implement it in practice in all circumstances. Furthermore, the State party should refrain from the use of diplomatic assurances as a means of returning a person to another country where there are substantial grounds for believing that he would be in danger of being subjected to torture.

10.  The Committee regrets the State party’s failure to comply in every instance with the Committee’s decisions under article 22 of the Convention and requests for interim measures of protection, particularly in cases involving deportation and extradition (with reference to communications Nos. 258/2004, Mostafa Dadar v. Canada and 297/2006, Bachan Singh Sogi v. Canada), might undermine its commitment to the Convention. The Committee recalls that the State party, by ratifying the Convention and voluntarily accepting the Committee’s competence under article 22, undertook to cooperate with the Committee in good faith in applying and giving full effect to the procedure of individual complaints established thereunder. Consequently the Committee considers that, by deporting complainants despite the Committee’s decisions or requests for interim measures, the State party has committed a breach of its obligations under articles 3 and 22 of the Convention.  (arts. 3 and 22)

The State party should fully cooperate with the Committee, in particular by respecting in every instance its decisions and requests for interim measures. The Committee recommends the State party to review its policy in this respect, by considering requests for interim measures in good faith and in accordance with its obligations under articles 3 and 22 of the Convention.

11.  While noting the State party’s statement that the Canadian Forces assessed the risk of torture or ill-treatment before transferring a detainee into Afghan custody (CAT/C/CAN/Q/6/Add.1, para. 155), the Committee is concerned about several reports that some prisoners transferred by Canadian Forces in Afghanistan into the custody of other countries have experienced torture and ill-treatment. (art. 3)

The State party should adopt a policy for future military operations which clearly prohibits the prisoner transfers to another country when there are substantial grounds for believing that he or she would be in danger of being subjected to torture, and recognizes that diplomatic assurances and monitoring arrangements will not be relied upon to justify transfers when such substantial risk of torture exists.

Security certificates under the Immigration and Refugee Protection Act

12.  While taking note of the system of special advocates introduced by the amended Immigration and Refugee Protection Act (IRPA) in response to concerns raised by different actors and the judgement by the Supreme Court in the case of Charkaoui v. Canada, the Committee remains concerned that: (arts. 2, 3, 15 and 16)

a)       Special advocates have very limited ability to conduct cross-examinations or to seek evidence independently;

b)       Individuals subject to the security certificates have access to a summary of confidential materials concerning them and cannot directly discuss full content with the special advocates. Accordingly they cannot properly know the case against them or make full answer or defence in violation of the fundamental principles of justice and due process;

c)       The length of this detention without charges is indeterminate and some individuals are detained for prolonged periods; and

d)       Information obtained by torture has been reportedly used to form the basis of security certificates, as evidenced by the case of Hassan Almrei. 

The Committee recommends the State party to reconsider its policy of using administrative detention and immigration legislation to detain and remove non-citizens on the ground of national security, inter alia, by extensively reviewing the use of the security certificates and ensuring the prohibition of the use of information obtained by torture, in line with relevant domestic and international law. In that regard, the State party should implement the outstanding recommendations made by the UN Working Group on Arbitrary Detention following its mission to Canada in 2005, in particular that detention of terrorism suspects be imposed in the framework of criminal procedure and in accordance with the corresponding safeguards enshrined in the relevant international law (E/CN.4/2006/7/Add.2, para. 92).

Immigration detention

13.  While noting the State party’s need for a legal reform to combat human smuggling, the Committee is deeply concerned about Bill C-31 (the Protecting Canada’s Immigration System Act), given that, with its excessive Ministerial discretion, this Act would:  (arts. 2, 3, 11 and 16)

a)       Introduce mandatory detention for individuals who enter irregularly the State party’s territory; and

b)       Exclude “irregular arrivals” as well as individuals who are nationals of designated “safe” countries from having an appeal hearing of a rejected refugee claim. This increases the risk that those individuals will be subject to refoulement.

The Committee recommends the State party to modify Bill C-31, in particular its provisions regulating mandatory detention and denial of appeal rights, given the potential violation of rights protected by the Convention. Furthermore, the State party should ensure that:

                                                         a)            Detention is used as a measure of last resort, a reasonable time limit for detention is set, and non-custodial measures and alternatives to detention are made available to persons in immigration detention; and

                                                         b)            All refugee claimants are provided with access to a full appeal hearing before the Refugee Appeal Division.

Universal jurisdiction

14.  The Committee notes with interest that any person present in the State party’s territory who is suspected of having committed acts of torture may be prosecuted and tried in the State party under the Criminal Code and the Crimes against Humanity and War Crimes Act. However, the very low number of prosecutions for war crimes and crimes against humanity, including torture offences, under the aforementioned laws raises issues with respect to the State party’s policy in exercising universal jurisdiction. The Committee is also concerned about numerous and continuous reports that the State party’s policy of resorting to immigration processes to remove or expel perpetrators from its territory rather than subjecting them to the criminal process creates actual or potential loopholes for impunity. According to reports before the Committee, a number of individuals who are allegedly responsible for torture and other crimes under international law have been expelled, and not faced justice in their countries of origin. In that regard, the Committee notes with regret the recent initiative to publicize the names and faces of 30 individuals living in Canada who had been found inadmissible to Canada on grounds they may have been responsible for war crimes or crimes against humanity. If they are apprehended and deported, they may escape justice and remain unpunished. (arts. 5, 7 and 8)

The Committee recommends the State party to take all necessary measures with a view to ensuring the exercise of the universal jurisdiction over persons responsible for acts of torture, including foreign perpetrators who are temporarily present in Canada, in accordance with article 5 of the Convention. The State party should enhance its efforts, including through increased resources, to ensure that the “no safe havenpolicy prioritizes criminal or extradition proceedings over deportation and removal under immigration processes.

Civil redress and state immunity  

15.  The Committee remains concerned at the lack of effective measures to provide redress, including compensation, through civil jurisdiction to all victims of torture, mainly due to the restrictions under provisions of the State Immunity Act (SIA). (art.14)

The State party should ensure that all victims of torture are able to access remedy and obtain redress, wherever acts of torture occurred and regardless of the nationality of the perpetrator or victim. In this regard, it should consider amending the State Immunity Act to remove obstacles to redress for all victims of torture.

Torture and ill-treatment of Canadians detained abroad

16.  The Committee is seriously concerned at the apparent reluctance on part of the State party to protect rights of all Canadians detained in other countries, by comparison with the case of Maher Arar. The Committee is in particular concerned at: (arts. 2, 5, 11 and 14)

a)       The State party’s refusal to offer an official apology and compensation to the three Canadians despite the findings of the Iacobucci Inquiry. Their cases are similar to the case of Arar, in the sense that all of them were subjected to torture abroad and the Canadian officials were complicit in the violation of their rights.

b)       Canadian officials’ complicity in the human rights violation of Omar Khadr while detained at Guantánamo Bay (Canada (Prime Minister) v. Khadr, 2010 SCC 3; and Canada (Justice) v. Khadr, 2008 SCC 28) as well as the delay in approving his request to be transferred to serve the balance of his sentence in Canada.

In light of the findings of the Iacobucci Inquiry, the Committee recommends the State party to take immediate steps to ensure that Abdullah Almalki, Ahmad Abou Elmaati and Muayyed Nureddin receive redress, including adequate compensation and rehabilitation. Furthermore, the Committee urges the State party to promptly approve Omar Khadr’s transfer application and to ensure that he receives appropriate redress for human rights violations that the Canadian Supreme Court has ruled he experienced.

Intelligence information obtained by torture

17.  While taking note of the State party’s national security priorities, the Committee expresses its serious concern about the Ministerial Direction to the Canadian Security Intelligence Service (CSIS), which could result in violations of article 15 of the Convention in the sense that it allows intelligence information that may have been derived through mistreatment by foreign States to be used within Canada; and allows CSIS to share information with foreign agencies even when doing so poses a serious risk of torture, in exceptional cases involving threats to public safety, in contravention to recommendation 14 from the Arar Inquiry. (arts. 2, 10, 15 and16)

The Committee recommends the State party to modify the Ministerial Direction to CSIS to bring it in line with Canada’s obligations under the Convention. The State party should strengthen its provision of training on the absolute prohibition of torture in the context of the activities of intelligence services.

Oversight mechanism over security and intelligence operations

18.  The Committee is concerned about the lack of information on measures taken by the State party to implement proposals made in the Policy Report from the Arar Inquiry for a model of comprehensive review and oversight of law enforcement and security agencies involved in national security activities. (arts. 2, 12, 13 and 16).

The Committee recommends the State party to:

                                                         a)            Examine options for modernizing and strengthening national security review framework in a more timely and transparent manner;

                                                         b)            Consider urgently implementing the model for oversight of agencies involved in national security agencies, proposed by the Arar Inquiry; and

                                                         c)            Inform the Committee of changes made with regard to oversight mechanism over security and intelligence operations in the next periodic report.

Detention conditions

19.  While noting a Transformation Agenda launched by the Correctional Service of Canada (CSC) with a view to improving its operations, the Committee remains concerned at: (arts. 2, 11 and 16)

a)       The inadequate infrastructure of detention facilities to deal with the rising and complex needs of prisoners, in particular those with mental illness;

b)       Incidents of inter-prisoner violence and in-custody deaths resulted from high-risk lifestyles such as drug and alcohol abuse which, as acknowledged by the delegation, still circulate in places of detention; and

c)       The use of solitary confinement, in the forms of disciplinary and administrative segregation, often extensively prolonged, even for persons with mental illness.

The State party should take all necessary measures to ensure that detention conditions in all places of deprivation of liberty are in conformity with the UN Standard Minimum Rules for the Treatment of Prisoners, adopted by the Economic and Social Council in its resolutions 663 C (XXIV) and 2076 (LXII). It should, inter alia: 

                                                         a)            Strengthen its efforts to adopt effective measures to improve material conditions in prisons, reduce the current overcrowding, properly meet the basic needs of all persons deprived of their liberty and eliminate drug;

                                                         b)            Increase the capacity of intermediate and acute mental health treatment centres for prisoners;

                                                         c)            Limit the use of solitary confinement as a measure of last resort for as short a time as possible under strict supervision and with a possibility of judicial review; and

                                                         d)            Abolish the use of solitary confinement for persons with serious or acute mental illness.

Violence against women  

20.  While noting several measures taken by the federal and provincial governments to combat high violence against Aboriginal women and girls, including cases of murders and disappearances (CAT/C/CAN/Q/6/Add.1, paras.76 et al.), the Committee is concerned about ongoing reports that (a) marginalised women, in particular Aboriginal women, experience disproportionately high levels of life-threatening forms of violence, spousal homicides and enforced disappearances; and (b) the State party failed to promptly and effectively investigate, prosecute and punish perpetrators as well as to provide adequate protection for victims.  Furthermore, the Committee regrets the statement by the delegation that the issues on violence against women fall more squarely within other bodies’ mandate and recalls that the State bears responsibility and its officials should be considered as authors, complicit or otherwise responsible under the Convention for consenting to or acquiescing in acts of torture or ill-treatment committed by non-State officials or private actors. (arts. 2, 12, 13 and 16)

The State party should strengthen its efforts to exercise due diligence to intervene to stop, sanction acts of torture or ill-treatment committed by non-State officials or private actors, and provide remedies to victims. The Committee recommends the State party to enhance its efforts to end all forms of violence against aboriginal women and girls by, inter alia, developing a coordinated and comprehensive national plan of action, in close cooperation with aboriginal women’s organizations, which includes measures to ensure impartial and timely investigation, prosecution, conviction and sanction of those responsible for disappearances and murder of aboriginal women, and to promptly implement relevant recommendations made by national and international bodies in that regard, including the Committee on the Elimination of Racial Discrimination, the Committee on the Elimination of Discrimination against Women, and the Missing Women Working Group.

Conducted Energy Weapons  

21.  The Committee notes the various initiatives taken by the State party to introduced greater accountability and more restricted standards to govern use of Conducted Energy Weapons (CEWs), including  national guidelines issued by the federal government in 2010. However, it remains concerned at reports about the lack of consistent and coherent standards applicable to all policing forces at federal and provincial level as well as the unclear legal framework for the testing and approval for use of new forms of such weapons by police forces in Canada. Furthermore, the Committee regrets that the national guidelines are not binding and do not establish a consistent and sufficiently high threshold to govern the use of CEWs across the country. (arts. 2 and 16)

Taking into consideration the lethal and dangerous impact of CEWs on the physical and mental state of targeted persons, which may violate articles 2 and 16 of the Convention, the Committee recommends the State party to ensure that such weapons are used exclusively in extreme and limited situations. The State party should revise the regulations governing the use of such weapons, including the national guidelines, with a view to establishing a high threshold for the use of them, and adopting a legislative framework to govern the testing and approval for use of all weapons used by law enforcement personnel. Furthermore, the State party should consider relinquishing the use of CEWs such as “tasers”.

Police crowd control methods

22.  The Committee is concerned about reports on the excessive use of force by law enforcement officers often in the context of crowd control at federal and provincial levels, with particular reference to indigenous land-related protests at Ipperwash and Tyendinaga as well as the G8 and G20 protests. The Committee is particularly concerned about reports of severe crowd control methods and inhumane prison conditions in the temporary detention centers. (arts. 11 and 16)

The Committee recommends the State party to strengthen its efforts to ensure that all allegations of ill-treatment and excessive use of force by the police are promptly and impartially investigated by an independent body, and those responsible for such violation are prosecuted and punished with appropriate penaltiesFurthermore, the State party and the government of the Province of Ontario should conduct an inquiry into the Ontario Provincial Police handling of incidents at Tyendinaga and into all aspects of the policing and security operations at the G8 and G20 Summits.



Data collection  

23.  The Committee regrets the absence of comprehensive and disaggregated data on complaints, investigations, prosecutions and convictions of cases of torture and ill treatment by law enforcement, security, military and prison personnel, as well as on extrajudicial killings, enforced disappearances, trafficking and domestic and sexual violence.

The State party should compile statistical data relevant to the monitoring of the implementation of the Convention obligations at the national level, including data on complaints, investigations, prosecutions and convictions of cases of torture and ill-treatment, detention conditions, abuse by public officials, administrative detention, trafficking and domestic and sexual violence as well as on means of redress, including compensation and rehabilitation, provided to the victims.

24.  The Committee recommends that the State party strengthen its cooperation with United Nations human rights mechanisms and its efforts in implementing their recommendations. The State party should take further steps in ensuring a well-coordinated, transparent and publicly accessible approach to overseeing implementation of Canada’s obligations under the United Nations human rights mechanisms, including the Convention.

25.  In light of the State party’s pledges to the Human Rights Council in 2006 and its acceptance of recommendations by the Universal Periodic Review working group (A/HRC/11/17, para. 86(2)), the Committee urges the State party to accelerate the current domestic discussions and to ratify the Optional Protocol to the Convention against Torture and Other Cruel, Inhuman or Degrading Treatment or Punishment as soon as possible.

26.  The Committee invites the State party to ratify the core United Nations human rights treaties to which it is not yet a party, namely the International Convention for the Protection of All Persons from Enforced Disappearance, the International Convention on the Protection of the Rights of All Migrant Workers and Members of Their Families, and the Convention on the Rights of Persons with Disabilities.

27.  The State party is requested to disseminate widely the report submitted to the Committee and the Committee’s concluding observations, in appropriate languages, through official websites, the media and non-governmental organizations.

28.  The State party is invited to update its common core document (HRI/CORE/1/Add.91), in accordance with the requirements of the common core document contained in the harmonized guidelines on reporting under the international human rights treaties (HRI/GEN.2/Rev.6).

29.  The Committee requests the State party to provide, by 1 June 2013, follow-up information in response to the Committee’s recommendations related to (1) ensuring or strengthening legal safeguards for detainees, (2) conducting, prompt, impartial and effective investigations, and (3) prosecuting suspects and sanctioning perpetrators of torture or ill-treatment, as contained in paragraphs 12, 13, 16 and 17 of the present document.

30.  The State party is invited to submit its next report, which will be the seventh periodic report, by 1 June 2016.  To that purpose, the Committee invites the State party to accept, by 1 June 2013, to report under its optional reporting procedure, consisting in the transmittal, by the Committee to the State party, of a list of issues prior to the submission of the periodic report. The State party's response to this list of issues will constitute, under article 19 of the Convention, its next periodic report.

                                      

Friday, June 1, 2012

Federal Court of Appeal [2012] F.C.J. No. 492

[2012] F.C.J. No. 492

Federal Court of AppealBlais C.J. and Létourneau Layden-Stevenson JJ.A.
April 25, 2012.
(161 paras.)


Civil litigation — Civil evidence — Privilege — Privileged relationships — Appeal by Harkat from four Federal Court orders allowed in part — Harkat subject to security certificate for terrorism — Class privilege for police informants did not extend to human sources providing information to CSIS on Harkat — Destruction of original CSIS evidence against Harkat violated his right to disclosure, warranting exclusion of summaries of evidence at hearing into reasonableness of certificate — New hearing required to consider reasonableness of certificate.

Constitutional law — Canadian Charter of Rights and Freedoms — Reasonable limits on Charter rights — Legal rights — Remedies for denial of rights — Procedural remedies — Exclusion of evidence — Appeal by Harkat from four Federal Court orders allowed in part — Harkat subject to security certificate for terrorism — Amended security certificate process not unconstitutional, as special advocate system ensured right to know case against named person not violated — Destruction of original CSIS evidence against Harkat violated his right to disclosure, warranting exclusion of summaries of evidence at hearing into reasonableness of certificate — New hearing required to consider reasonableness of certificate — Canadian Charter of Rights and Freedoms, ss. 1, 7, 24.

Immigration law — Constitutional issues and legislation — Canadian Charter of Rights and Freedoms — Procedure (fundamental justice) — Appeal by Harkat from four Federal Court orders allowed in part — Harkat subject to security certificate for terrorism — Amended security certificate process not unconstitutional, as special advocate system ensured right to know case against named person not violated — Destruction of original CSIS evidence against Harkat violated his right to disclosure, warranting exclusion of summaries of evidence at hearing into reasonableness of certificate — New hearing required to consider reasonableness of certificate — Canadian Charter of Rights and Freedoms, ss. 1, 7, 24.

Immigration law — Removal and deportation — Removal from Canada — Security certificate — Appeal by Harkat from four Federal Court orders allowed in part — Harkat subject to security certificate for terrorism — Amended security certificate process not unconstitutional, as special advocate system ensured right to know case against named person not violated — Court had discretion to lift ban on communication between advocates and named persons — Class privilege for police informants did not extend to human sources providing information to CSIS on Harkat — Destruction of original CSIS evidence against Harkat violated his right to disclosure, warranting exclusion of summaries of evidence — New hearing required to consider reasonableness of certificate — Immigration and Refugee Protection Act, ss. 33, 34, 77, 78, 82, 83, 85.

Appeal by Harkat from four decisions of a Federal Court judge in relation to a security certificate issued against him. Harkat arrived in Canada in 1995 and was granted refugee status in 1998. A security certificate was issued against him in 2002, alleging he was inadmissible to Canada on the grounds of terrorism. Harkat's application for review of the certificate was dismissed in 2005, the judge finding that the security certificate process was constitutional and that reasonable grounds existed to believe Harkat had engaged in terrorism. Harkat's appeal to the Federal Court of Appeal was dismissed, but he and two others successfully appealed to the Supreme Court of Canada. The Supreme Court held the security certificate procedure unconstitutional because it limited the named person's right to know and answer the case against him. The Supreme Court suspended the declaration for one year, during which time changes were made to the procedure to incorporate a special advocate system into security certificate proceedings. This system provided the named person's advocates with the same access to information as judges, but limited advocates' ability to communicate with named persons subject to the court's discretion. By 2008, CSIS had destroyed volumes of intelligence gathered regarding Harkat. Only summaries of this evidence were provided to Harkat's special advocates. The advocates received disclosure of thousands of CSIS files in September 2008, but the sources from which CSIS obtained information were protected, the judge extending police informer privilege to covert human intelligence sources subject to a need to know exception. When it was disclosed that one of the human sources had failed a polygraph test, the judge ordered the disclosure of that entire source file to Harkat's special advocates, to restore confidence in the proceedings. The judge subsequently rejected a request from the advocates to examine sources, because such sources were protected by a common law class privilege. In December 2010, the judge upheld the reasonableness of the certificate issued against Harkat, confirmed the constitutionality of the certificate procedure, and rejected Harkat's application to either stay the proceedings or to exclude evidence based on an abuse of process.

HELD: Appeal allowed in part. The new security certificate process reasonably informed named persons of the case against them and enabled them to answer it. The protection of the identity of the human sources remained necessary for national security reasons and was not an undue restriction on Harkat's rights. The class privilege for police informants should not have been extended to these sources, where Parliament had not legislated such protection. The Court still needed to consider each piece of evidence to determine whether or not disclosure to a named person would run contrary to national security. Limits on disclosure of information provided by foreign states were reasonable and accorded with principles of fundamental justice. As the Court had discretion to lift the ban on communication between the special advocates and the named person, there was nothing unfair about this aspect of the procedure. The destruction by CSIS of original evidence of conversations regarding Harkat breached his right to disclosure, and the appropriate remedy was to exclude the summaries of such conversations. A stay of proceedings was not warranted. The exclusion of the summaries necessitated a new decision on the reasonableness of the security certificate.