[sv 1,459] [sv 75,1] [sv 19,1995]
quebec ports terminals inc. v. canada
A-1584-92
Quebec Ports Terminals Inc. (Applicant)
v.
Canada Labour Relations Board
(Respondent)
and
Maritime Employers' Association, Compagnie d'amarrage
Trois-Rivières Ltée, Compagnie d'arrimage
Trois-Rivières Ltée, J. C. Malone et Compagnie
Ltée, Les Élévateurs de
Trois-Rivières, Somavrac Inc., Syndicat des
débardeurs de Trois-Rivières, Local 1375
(CUPE), Société du parc industriel et portuaire
de Bécancour (Mis en cause)
A-513-93
Quebec Ports Terminals Inc. (Applicant)
v.
Maritime Employers' Association and Syndicat des
débardeurs de Trois-Rivières, Local 1375
(CUPE) (Respondents)
and
Claude H. Foisy in his capacity as arbitrator and
Canada Labour Relations Board (Mis en cause)
Indexed as: Quebec Ports Terminals Inc. v. Canada
(Labour Relations Board)
(C.A.)
Court of Appeal, Desjardins and Décary, JJ.A. and
Chevalier D.J.A."Montréal, September 29 and 30;
Ottawa, October 28, 1994.
Labour relations
" Applications for judicial review of CLRB order appointing
employer representative pursuant to Canada Labour Code, s.
34(4), and decision collective agreement subsequently entered
into binding on all employees, employers " In light of
privative clause in Code, s. 22, standard of judicial review
whether Board's order, decision patently unreasonable, or
clearly irrational " Use of "employer representative" in
present s. 34 instead of "agent" (used in predecessor)
indicating system changed " S. 34(4) imposing legal duty on
Board to select "employer representative," who "shall be
deemed" to be employer (s. 34(5)) " By virtue of appointment
under s. 34, invested with necessary powers to discharge all
duties, responsibilities of employer under Code, Part I "on
behalf of those employers" " Lengthy explanation of choice of
candidates, analysis of general collective, multi-employer,
industry-wide bargaining systems indicating Board's
interpretation not unreasonable though not applying criteria
of objectivity, impartiality favoured by applicant " Once
collective bargaining notice given, parties having duty to
meet, attempt to conclude collective agreement " Collective
agreement so concluded binding on all employees,
employers.
Barristers and Solicitors
" Application for judicial review of CLRB's appointment of
employer representative under Canada Labour Code, s. 34(4)
when employers failing to agree thereon " Applicant alleging
appearance of bias as successful candidate represented by
same law firm as CLRB in unrelated case before S.C.C. "
Standard for determination of whether appearance of bias that
of "informed person," having no interest in ongoing case,
aware of Board's limited role before Court in judicial review
proceedings " As no connection between two cases, no fear of
transmission of confidential information " No benefit to be
gained by CLRB in favouring candidate represented by law firm
also representing Board in another case.
Judicial review
" CLRB appointing employer representative under Canada
Labour Code, s. 34(4) " Applicant alleging appearance of bias
as successful candidate represented by same law firm as Board
in unrelated proceedings " Reference to standard for
determination of whether appearance of bias " As no
connection between cases, no possibility of transmission of
confidential information, allegation unfounded.
These were applications for judicial review of the Canada
Labour Relations Board's (CLRB) order appointing the Maritime
Employers' Association (MEA) as the employer representative
for all employers covered by the certification of the
Syndicat des débardeurs de Trois-Rivières,
Local 1375, of CUPE, and the Board's decision that the
collective agreement subsequently entered into between the
employer representative and the union was binding on all
employees and employers in the bargaining unit, including the
applicant. Upon certification of the union, the Board
directed employers to select a representative. When no
agreement was reached, the Board summoned the employers to a
hearing. The criteria used for selecting an "employer
representative" included the wishes expressed by the
employers, relevant experience in the long-shoring or a
comparable industry, material resources to serve effectively
and expeditiously a plurality of employers, the ability to
assume existing employer obligations, the presence of
mechanisms through which individual employers can express
their concerns and if necessary resolve disputes between
them, and the ability of the representative to discharge its
obligations under the Code, in particular the obligation to
bargain in good faith. It then appointed MEA as the "employer
representative."
Under Canada Labour Code, subsection 34(3), as
amended in 1991, where the Board has certified a trade union
as the bargaining agent for employees of two or more
employers in the long-shoring industry, it shall require the
employers to jointly choose a representative and shall
appoint the representative so chosen. Under subsection 34(4),
if the employers fail to choose a representative, the Board
shall appoint an employer representative of its own choosing.
Previously, subsection 34(3) provided for the appointment of
an agent to act on behalf of the employers.
Before deciding that the collective agreement was binding,
the Board analyzed the general collective bargaining system
as compared to the multi-employer bargaining system
contemplated by section 33 and the industry-wide bargaining
system contemplated by section 34. It held that under
subsection 34(5) the employer representative was explicitly
invested by the Code, and not by the employers it
represents, with the power to bind all employers in the
unit.
The applicant argued that the powers vested in the
employer representative were only those of a legal agent,
which could not commit an employer in negotiations unless it
had obtained the necessary instructions from that employer.
If there were several employers, the legal agent must obtain
instructions from each. Secondly, the applicant submitted
that the Board acted unreasonably in not applying the
criteria of objectivity and impartiality, when it selected
MEA as "employer representative" instead of the firm proposed
by the applicant. Finally, the applicant argued that there
was an appearance of bias when the Board found in favour of
the MEA, which was represented by Ogilvy Renault, the same
law firm which had represented the Board in an application
for leave to appeal in an unrelated case. It maintained that
once an appearance of bias was raised, the Board had a duty
to explain the circumstances in which counsel had obtained
his instructions. Failure to do so meant that the Board had
not discharged its burden of proof.
Held, the applications should be dismissed.
In light of the privative clause in Canada Labour
Code, section 22 the judicial review test applicable was
that of whether the Board's order and decision were patently
unreasonable or were clearly irrational.
It was reasonable for the Board to conclude that the
employer representative, deemed to be the employer, possessed
a power similar to that of the bargaining agent, namely that
of negotiating the collective agreement. Use of "employer
representative" in the 1991 legislation instead of "agent" to
designate the spokesperson for the employers at the
bargaining table, indicated that the system had been changed.
If the employers cannot agree, the Board has a legal duty
under subsection 34(4) of the Code to select the "employer
representative". Subsection 34(5) provides that the employer
representative "shall be deemed to be an employer" and
"by virtue of having been appointed under this section" it
was invested with the necessary powers to "discharge all the
duties and responsibilities of an employer" under Part I of
the Code "on behalf of all the employers of the employees in
the bargaining unit, including" that of entering into a
collective agreement "on behalf of those employers." By
comparison, old section 34 gave the Board power only to order
employers to appoint an agent and authorize him to discharge
the duties and responsibilities of an employer.
The Board demonstrated no irrationality in its choice of
sufficiently reliable criteria for selecting the "employer
representative" for determining which candidate was more
suitable to fill the position of "employer representative."
Although it did not use the criteria of objectivity and
impartiality which the applicant favoured, it explained its
position at length and considered that the new subsection
34(6), prohibiting an employer representative from acting
arbitrarily, discriminatorily or in bad faith in the
representation of any of the employers, gave the applicant
sufficient protection. In view of the lengthy analysis of the
various bargaining systems, the Board's interpretation was
not unreasonable.
A reasonable person would quickly realize that the
allegation of bias was groundless. Counsel who represented
the Board in the Supreme Court of Canada never represented
the MEA before the Board. In judicial review proceedings, the
Board's role is limited to providing the Court with
information on the practices and procedures developed to
administer the Code so that its fundamental objectives are
achieved, on the administrative process used in disposing of
applications before it and on certain special factors
pertaining to labour relations. Private law firms who are
retained by the Board must be able to fully master the Code,
procedure and practices used before the Board and those used
in the Federal Court. Firms from which the Board can choose
are generally limited to those regularly appearing before
it.
The "informed" person who must decide whether there is an
appearance of bias is a person, not interested in the ongoing
case, and who is not unaware that the Board has a limited
part to play when it appears in the courts. The conflict of
interest alleged herein was not that of a lawyer who changes
sides. There was no connection between the two cases. The
applicant was not concerned about the transmission of
confidential information from one case to another, but about
the possibility that the Board wished to favour one
organization because its law firm was representing the Board
in the Supreme Court of Canada. There was no benefit to be
gained by the Board by favouring an organization represented
by Ogilvy Renault since it was the Supreme Court of Canada,
not the law firm, which had to decide its application for
leave to appeal.
statutes and regulations judicially considered
An Act to amend the Canada Labour Code (geographic
certification), S.C. 1991, c. 39, s. 1.
Canada Labour Code, R.S.C., 1985, c. L-2, ss. 3,
16, 22 (as am. by S.C. 1990, c. 8, s. 56), 24, 25, 26, 28,
32, 33, 34(1),(2),(3) (as am. by S.C. 1991, c. 39, s. 1), (4)
(as am. idem), (5) (as am. idem), (6) (as am.
idem), (7) (as am. idem), 35, 36, 37,
50(a)(i), 56, 65, 97 (as am. idem, s. 2).
Federal Court Rules, C.R.C., c. 663, R. 1611 (as
enacted by SOR/92-43, s. 19).
cases judicially considered
distinguished:
Committee for Justice and Liberty et al. v. National
Energy Board et al., [1978] 1 S.C.R. 369; (1976), 68
D.L.R. (3d) 716; 9 N.R. 115; MacDonald Estate v.
Martin, [1990] 3 S.C.R. 1235; (1990), 77 D.L.R. (4th)
249; [1991] 1 W.W.R. 705; 70 Man. R. (2d) 241; 48 C.P.C. (2d)
113; 121 N.R. 1.
referred to:
[cl96d]Quebec Ports Terminals Inc. et al. (1992),
89 di 153; 93 CLLC 16,035 (C.L.R.B.); Terminaux portuaires
du Québec Inc. v. Association des employeurs maritimes
et al. (1988), 89 N.R. 278 (F.C.A.); Terminaux
portuaires du Québec Inc. v. Association des
employeurs maritimes et al. (No. 2) (1992), 142 N.R. 44
(F.C.A.); Canadian Union of Public Employees, Local 963 v.
New Brunswick Liquor Corporation, [1979] 2 S.C.R. 227;
(1979), 25 N.B.R. (2d) 237; 97 D.L.R. (3d) 417; 51 A.P.R.
237; 79 CLLC 14,209; 26 N.R. 341; Caimaw v. Paccar of
Canada Ltd., [1989] 2 S.C.R. 983; (1989), 62 D.L.R. (4th)
437; [1989] 6 W.W.R. 673; 40 B.C.L.R. (2d) 1; 40 Admin. L.R.
181; 89 CLLC 14,050; National Corn Growers Assn. v. Canada
(Import Tribunal), [1990] 2 S.C.R. 1324; (1990), 74
D.L.R. (4th) 449; 45 Admin. L.R. 161; 114 N.R. 81; Canada
(Attorney General) v. Public Service Alliance of Canada,
[1993] 1 S.C.R. 941; (1993), 101 D.L.R. (4th) 673; 150 N.R.
161; U.E.S., Local 298 v. Bibeault, [1988] 2 S.C.R.
1048; (1988), 35 Admin. L.R. 153; 95 N.R. 161; Almecon
Industries Ltd. v. Nutron Manufacturing Ltd. (1994), 172
N.R. 140 (F.C.A.); R. v. D. (W.R.), [1994] 1 W.W.R.
689 (Man. Q.B.); Shaw v. Law Society of Prince Edward
Island (1992), 101 Nfld. & P.E.I.R. 340; 97 D.L.R.
(4th) 504; 321 A.P.R. 340 (P.E.I.S.C.); Ashburton Oil Ltd.
v. Sharp (1992), 67 B.C.L.R. (2d) 64 (S.C.); Bell v.
Nash, [1992] 4 W.W.R. 512; (1992), 66 B.C.L.R. (2d) 361
(B.C.S.C.); Everingham v. Ontario (1992), 8 O.R. (3d)
123; 88 D.L.R. (4th) 755; 5 C.P.C. (3d) 118; 54 O.A.C. 224
(Div. Ct.); R. v. B. (B.P.) (1992), 71 C.C.C. (3d) 392
(B.C.S.C.); Asian Video Movies Wholesaler Inc. v.
Mathardoo (1991), 36 C.P.R. (3d) 29; 46 F.T.R. 19
(F.C.T.D.); Calgas Investments Ltd. v. 784688 Ontario
Ltd. (1991), 4 O.R. (3d) 459; 81 D.L.R. (4th) 518; 1
C.P.C. (3d) 64 (Gen. Div.); Everingham v. Ontario
(1991), 84 D.L.R. (4th) 354; 3 C.P.C. (3d) 87 (Ont. Gen.
Div.); Pac. Coast Super 8 Motels Inc. v. Nanaimo Shipyard
(1985) Ltd. (1991), 53 B.C.L.R. (2d) 281 (S.C.);
Trilea Centres Inc. v. Cumming Cockburn Ltd. (1991), 5
O.R. (3d) 598 (Gen. Div.); J-Star Industries, Inc. v. Berg
Equipment Co. (Canada) Ltd. (1992), 43 C.P.R. (3d) 132
(T.M. Opp. Bd.); Creamer v. Hergt (1991), 55 B.C.L.R.
(2d) 141 (S.C.); Turner-Lienaux v. Civil Service
Commission (N.S.) et al. (1992), 111 N.S.R. (2d) 351; 303
A.P.R. 351 (S.C.); Chin v. Wong (1991), 53 B.C.L.R.
(2d) 288 (S.C.); Markinova, Re, [1991] 6 W.W.R. 47;
(1991), 57 B.C.L.R. (2d) 73 (S.C.); R.G. Tours and
Promotions Ltd. v. Greater Moncton Home Builders Associations
et al. (1992), 126 N.B.R. (2d) 200; 317 A.P.R. 200
(Q.B.); Essa (Township) v. Guergis; Membery v.
Hill (1993), 15 O.R. (3d) 573 (Div. Ct.); Lasch v.
Annapolis (County) (1992), 118 N.S.R. (2d) 418; 327
A.P.R. 418 (Co. Ct.); Feherguard Products
Ltd. v. Rocky's of B.C. Leisure Ltd., [1993] 3 F.C.
619 (C.A.); R. c. Morales, [1993] R.J.Q. 2940
(C.Q.); Commission des droits de la personne du
Québec c. Hudon & Daudelin Ltée, [1994]
R.J.Q. 264 (H.R.T. Qué.); Canada Labour Relations
Board v. Attorney General of Canada, [1993] 1 S.C.R. vi
(leave to appeal refused); Canada (Attorney General) v.
Gaboriault, [1992] 3 F.C. 566 (C.A.); Richard
Gaboriault et al. and Tecksol Inc. and Transport Canada
(1988), 75 di 130 (C.L.R.B.); Canada (Attorney General) v.
Young, [1989] 3 F.C. 647; (1989), 27 C.C.E.L. 161; 89
CLLC 14,046; 100 N.R. 333 (C.A.); Plantation Indoor Plants
Ltd. v. Attorney General of Alberta, [1985] 1 S.C.R. 366;
(1985), 60 A.R. 343, 18 D.L.R. (4th) 319; [1985] 3 W.W.R.
539; 37 Alta. L.R. (2d) 151; 18 C.C.C. (3d) 438; 58 N.R. 228;
Newfoundland Telephone Co. v. Newfoundland (Board of
Public Utilities), [1992] 1 S.C.R. 623; (1992), 95 Nfld.
& P.E.I.R. 271; 4 Admin. L.R. (2d) 121; 134 N.R. 241;
Quebec Ports Terminals Inc. v. Canada (Labour Relations
Board) (1993), 17 Admin. L.R. (2d) 16 (F.C.A.);
Northwestern Utilities Ltd. et al. v. City of
Edmonton, [1979] 1 S.C.R. 684; (1978), 12 A.R. 449; 89
D.L.R. (3d) 161; 7 Alta. L.R. (2d) 370; 23 N.R. 565;
Terminaux portuaires du Québec c. Association des
employeurs maritimes, C.S. Montréal,
500-05-009311-885, 1990-02-01, D.T.E. 90T-307; Terminaux
portuaires du Québec Inc. c. Association des
employeurs maritimes, C.S. 400-05-00375-924, 1992-08-05;
Terminaux portuaires du Québec Inc. c. Association
des employeurs maritimes, C.S. Montréal,
500-05-009311-885, 1988-11-09, D.T.E. 88T-1035; 2747-3174
Québec Inc. c. Québec (Régie des permis
d'alcool), [1994] A.Q. No. 734 (C.A.) (QL).
authors cited
Canadian Bar Association. Code of Professional
Conduct. Ottawa: Canadian Bar Association, 1974.
APPLICATIONS for judicial review of Canada Labour
Relations Board's order appointing an employer representative
under Canada Labour Code, subsection 34(4) (Quebec
Ports Terminals Inc. et al. (1992), 89 di 194; 93 CLLC
16,036 (C.L.R.B.)) and decision that the collective agreement
subsequently entered into between the employer representative
and the bargaining agent was binding on all employers and
employees (Maritime Employers' Association (1993), 92
di 135; 94 CLLC 16,027 (C.L.R.B.)). Applications
dismissed.
counsel:
Luc Huppé and Raynold Langlois for
applicant.
Manon Savard and Gérard Rochon for
Maritime Employers' Association (respondent in A-513-93,
mise en cause in A-1584-92).
Yves Morin and Normand Léonard for
Syndicat des débardeurs de Trois-Rivières
(respondent in A-513-93, mis en cause in
A-1584-92).
Georges Marceau and Johane Tremblay for
Canada Labour Relations Board (mis en cause in
A-513-94, respondent in A-1584-92).
solicitors:
Langlois, Robert, Montréal, for
applicant.
Ogilvy Renault, Montréal, for Maritime
Employers' Association (respondent in A-513-93, mis en
cause in A-1584-92).
Lamoureux, Morin, Lamoureux, Longueuil, Quebec, for
Syndicat des débardeurs de Trois-Rivières
(respondent in A-513-93, mis en cause in
A-1584-92).
Melancon, Marceau, Grenier et Sciortino,
Montréal, and Canada Labour Relations Board Legal
Services, Ottawa, for Canada Labour Relations Board (mis
en cause in A-513-94, respondent in A-1584-92).
The following is the English version of the reasons for
judgment rendered by
Desjardins J.A.: This Court has before it by way of
judicial review an order [Quebec Ports Terminals Inc. et
al. (1992), 89 di 194] and a decision [Maritime
Employers' Association (1993), 92 di 135] by the Canada
Labour Relations Board (the Board) which deal with the
long-shoring situation as it exists at present in the ports
of Trois-Rivières and
Bécancour.1*ftnote1 The
complexity of the labour relations existing in these two
ports, in particular following disputes between the applicant
QPT and the Maritime Employers' Association (MEA), is well
known to the parties. This background to the case was
reviewed by the Board in the reasons for its decision No. 967
[Quebec Ports Terminals Inc. et al. (1992), 89 di 153]
made on October 30, 1992, as well as a number of other
decisions by the Board. This Court has heard related matters
on two occasions, in Terminaux portuaires du Québec
Inc. v. Association des employeurs maritimes et al.
(1988), 89 N.R. 278 (F.C.A.) and in Terminaux portuaires
du Québec Inc. v. Association des employeurs maritimes
et al. (No. 2) (1992), 142 N.R. 44 (F.C.A.).
The purpose of the Board's order, dated October 30, 1992,
was to set up an "employer counterpart who is able to
negotiate and enter into a collective agreement without
delay"2*ftnote2 (1992), 89 di 194, at
p. 209. with the union side. The disputed order was made
pursuant to subsection 34(4) of the Canada Labour Code
(the Code).3*ftnote3 R.S.C., 1985, c.
L-2 [as am. by S.C. 1991, c. 39, s. 1]. In it the Board
appointed the Maritime Employers' Association (the MEA) as
the "employer representative" for all employers covered by
the certification of the Syndicat des débardeurs de
Trois-Rivières, Local 1375, of the Canadian Union of
Public Employees (CUPE), given on June 12, 1992.
In accordance with this appointment order made on October
30, 1992, the MEA and CUPE concluded a collective agreement
on December 8, 1992. During the months that followed CUPE
filed several grievances alleging various breaches of the
collective agreement by Quebec Ports Terminals (QPT). The MEA
then asked QPT to give it its comments on the validity of
these grievances. QPT considered that the grievances
concerned clauses which it had not authorized the MEA to
ratify. QPT accordingly argued that the MEA should be solely
responsible for the consequences that might result from the
alleged breaches. The MEA rejected this position and, as QPT
provided no further information on the grievances as such, it
sent a number of them on to arbitration. It then informed the
arbitrator of its intention to file an application for
referral to the Board pursuant to subsection 34(7) [as am.
idem] of the Code, to determine whether it had the
necessary authority to conclude a collective agreement on
behalf of QPT containing provisions not previously authorized
by the latter. If so, the MEA indicated that it would ask the
Board to take all the necessary action to ensure that QPT
accepted once and for all the provisions of the Code
regarding geographic certification and the resulting duties.
The MEA asked the arbitrator to stay the hearing of the
grievances until the Board's decision became known.
In its decision No. 1027 on August 16, 1993 [Maritime
Employers[cad39] Association (1993), 92 di 135], which is
the subject of the second application for review, the Board
found that the collective agreement was binding on all
employees and employers in the bargaining unit, including
QPT, regardless of the latter's objections. The Board
referred the matter back to arbitration.
As these two applications for review were joined for
hearing,4*ftnote4 Order of December 16,
1993, per Marceau J.A. the reasons by which I intend
to dispose of the order and decision of the Board are
contained in the same document. It must be noted that case
A-1584-92 of this Court deals with the appointment order or
order No. 968 of the Board [(1992), 89 di 194], while the
second case in this Court, A-513-93, deals with decision No.
1027 of the Board [(1993), 92 di 135].
All parties in this Court were agreed in saying that, in
light of the privative clause in section 22 [as am. by S.C.
1990, c. 8, s. 56] of the Canada Labour
Code,5*ftnote5 S. 22 of the Code
reads as follows:
22. (1) Subject to this Part, every order or
decision of the Board is final and shall not be questioned or
reviewed in any court, except in accordance with the
Federal Court Act on the grounds referred to in
paragraph 18.1(4)(a), (b) or (e) of that
Act.
(2) Except as permitted by subsection (1), no order,
decision or proceeding of the Board made or carried on under
or purporting to be made or carried on under this Part
shall
(a) be questioned, reviewed, prohibited or
restrained, or
(b) be made the subject of any proceedings in or
any process of any court, whether by way of injunction,
certiorari, prohibition, quo warranto or
otherwise,
on any ground, including the ground that the order,
decision or proceeding is beyond the jurisdiction of the
Board to make or carry on or that, in the course of any
proceeding, the Board for any reason exceeded or lost its
jurisdiction. the judicial review test applicable in both
cases is that of whether the Board's order and decision are
patently unreasonable6*ftnote6
Canadian Union of Public Employees, Local 963 v. New
Brunswick Liquor Corporation, [1979] 2 S.C.R. 227;
Caimaw v. Paccar of Canada Ltd., [1989] 2 S.C.R. 983;
National Corn Growers Assn. v. Canada (Import
Tribunal), [1990] 2 S.C.R. 1324. or are "clearly
irrational."7*ftnote7 Canada
(Attorney General) v. Public Service Alliance of Canada,
[1993] 1 S.C.R. 941.
The Board's order and decision are concerned with
interpreting section 34 of the Code as it read
following the adoption by the federal Parliament on
November 29, 1991 of Bill C-44, which as of December 5, 1991
repealed subsection 34(3) of the Code and replaced it by new
wording.8*ftnote8 An Act to amend
the Canada Labour Code (geographic certification), S.C.
1991, c. 39, s. 1. The old s. 34 of the Code needs to be
reproduced in order to compare the extent of the changes:
34. (1) Where employees are employed in
(a) the long-shoring industry, or
(b) such other industry in such geographic area as
may be designated by regulation of the Governor in Council on
the recommendation of the Board,
the Board may determine that the employees of two or more
employers in such an industry in such a geographic area
constitute a unit appropriate for collective bargaining and
may, subject to this Part, certify a trade union as the
bargaining agent for the unit.
(2) No recommendation under paragraph (1)(b) shall
be made by the Board unless, on inquiry, it is satisfied that
the employers engaged in an industry in a particular
geographic area obtain their employees from a group of
employees the members of which are employed from time to time
by some or all of those employers.
(3) Where the Board, pursuant to subsection (1), certifies
a trade union as the bargaining agent for a bargaining unit,
the Board shall order that
(a) one agent be appointed by the employers of the
employees in the bargaining unit to act on behalf of those
employers; and
(b) the agent so appointed be appropriately
authorized by the employers to discharge the duties and
responsibilities of an employer under this Part. Section 34
of Part I of the Code now reads as follows:
34. (1) Where employees are employed in
(a) the long-shoring industry, or
(b) such other industry in such geographic area as
may be designated by regulation of the Governor in Council on
the recommendation of the Board,
the Board may determine that the employees of two or more
employers in such an industry in such a geographic area
constitute a unit appropriate for collective bargaining and
may, subject to this Part, certify a trade union as the
bargaining agent for the unit.
(2) No recommendation under paragraph (1)(b) shall
be made by the Board unless, on inquiry, it is satisfied that
the employers engaged in an industry in a particular
geographic area obtain their employees from a group of
employees the members of which are employed from time to time
by some or all of those employers.
(3) Where the Board, pursuant to subsection (1), certifies
a trade union as the bargaining agent for a bargaining unit,
the Board shall, by order,
(a) require the employers of the employees in the
bargaining unit
(i) to jointly choose a representative, and
(ii) to inform the Board of their choice within the time
period specified by the Board; and
(b) appoint the representative so chosen as the
employer representative for those employers.
(4) Where the employers fail to comply with an order made
under paragraph (3)(a), the Board shall, after
affording to the employers a reasonable opportunity to make
representations, by order, appoint an employer representative
of its own choosing.
(5) An employer representative shall be deemed to be an
employer for the purposes of this Part and, by virtue of
having been appointed under this section, has the power to,
and shall, discharge all the duties and responsibilities of
an employer under this Part on behalf of all the employers of
the employees in the bargaining unit, including the power to
enter into a collective agreement on behalf of those
employers.
(6) In the discharge of the duties and responsibilities of
an employer under this Part, an employer representative, or a
person acting for such a representative, shall not act in a
manner that is arbitrary, discriminatory or in bad faith in
the representation of any of the employers on whose behalf
the representative acts.
(7) The Board shall determine any question that arises
under this section, including any question relating to the
choice of appointment of the employer representative.
The applicant made five arguments against the appointment
order. The third and fourth arguments were dismissed at the
hearing as they related exclusively to the field of evidence
and it was clear that this Court could not allow them. The
respondent and the mis en cause were invited to reply
to the first, second and fifth arguments made by QPT.
As its first argument QPT maintained that the Board had
improperly exercised its jurisdiction in interpreting and
applying the new provisions of section 34 of the Code. In
particular, QPT objected to the part of the decision in which
the Board dismissed its argument that, by its 1991 amendment,
Parliament intended to create a system in which the employer
representative was merely the agent of the various employers
operating in the longshoring industry in a given geographic
area.
QPT contended that section 34 of the Code is a departure
from the general rules applicable to certification. Whereas
the latter is usually issued to an employer or a business, or
sometimes even to a group of employers or businesses as
provided for by sections 33 and 35 of the Code, the
industry-wide and geographic certification of section 34
constitutes a compulsory grouping as compared with the
voluntary grouping in section 33. In its submission,
therefore, such a system must be given a limiting
interpretation. Even if Parliament substituted the words
"employer representative" for the word "agent" in the old
version, the new system, though it treats the employer
representative like an employer, makes no provision whatever
that it will itself become the employer since it continues to
perform "on behalf of [the employer]" the obligations imposed
on the employer and may enter into a collective agreement "on
behalf of [the employer]." The powers vested in it by
subsection 34(5) of the Code, QPT concluded, are only those
of a legal agent of all the employers covered by the
certification.
QPT argued that, unlike sections 24, 25, 28 and 36 of the
Code in which certification is expressly mentioned, the new
section 34 does not use this terminology to describe the
employer representative. The new version also does not use
the phrase "employer bargaining agent" as sections 24, 26 and
32 of the Code do in respect of the union or a group of
unions, which they refer to as "bargaining agents." The new
section 34 has not followed the language of section 33 of the
Code with respect to the appointment of an "employers'
organization," which the Board characterizes as an employer
and which has the power to bind all employers when the
collective agreement is entered into. In QPT's submission, a
legal agent cannot commit an employer in negotiations unless
it has obtained the necessary instructions from that
employer. In the event that there are several employers, the
legal agent must obtain instructions from each one.
Otherwise, it cannot commit an employer who has not given
such instructions.
QPT dwelt at length on the special situation in which it
happens to be as the only employer included in this unit
which operates in Bécancour: all the others operate in
Trois-Rivières. It and the other employers are
competitors in business and their interests differ. Such a
combination within one bargaining unit, it submitted, cannot
take the same form as that of the employees, who have common
interests. Only the employer knows what freedom of manoeuvre
it can approve in negotiations dealing with working
conditions. Accordingly, QPT further submitted, the
collective agreement concluded by the MEA has the effect of
imposing on QPT a 55% cost increase for all the wage clauses
and administrative expenses. Furthermore, depending on the
situation, it produces 10% to 20% cost increases in addition
to the aforementioned 55% increase. The Trois-Rivières
employers, all members of the MEA, on the other hand, are
only affected by a clear cost increase of 10% to 15%. In the
submission of QPT, there would have to be clearer language
than that contained in section 34 to support the Board's
position, which amounts to placing employers in the
longshoring industry at the mercy of, and making them
economically dependent on, the employer representative.
The Board's response was as follows.
Once the union certification was granted, it directed
employers by order, pursuant to subsection 34(3) of the Code,
to select a representative and inform the Board by June 25,
1992 at the latest. As nothing was done, it summoned them to
a hearing to give them an opportunity to present arguments.
In accordance with subsection 34(4), it then itself proceeded
to appoint an "employer representative", the function and
powers of which it described as
follows:9*ftnote9 Quebec Ports
Terminals Inc. et al., supra, note 2, at pp.
204-205.
The Board must, in the final analysis, appoint as
"employer representative" the party it deems qualified to act
in this capacity. First, the representative must be able to
fulfil all obligations that Part I of the Code imposes on an
employer, including its obligations under section 34(5) as
"employer representative." One of these obligations,
bargaining in good faith with the bargaining agent with a
view to entering into collective agreements in an orderly
fashion, is fundamental to the achievement of industrial and
social peace. It was, moreover, in the interest of
maintaining this industrial and social peace that Parliament
established this special system of industry-wide bargaining
in 1973 and clarified it on December 5, 1991.
In developing objective criteria for determining the
appropriate "employer representative," the Board, with
respect, sees no value in relying at all on the traditional
notions of "mandate" in civil law and "agency" in common law.
The amendments of December 5, 1991 to the special system of
industry-wide bargaining eliminated the ambiguities arising
from the use of the word "agent" in the old text. The
Superior Court, relying specifically on the rules governing
"mandate," issued, before these amendments came into force,
an interlocutory injunction and a permanent injunction, the
effect of which was to give QPT a right of veto over the
signing of any collective agreement between the ILA and the
MEA (Terminaux portuaires du Québec Inc. c.
Association des employeurs maritimes, no.
500-05-009311-885, November 9, 1988 (Que. S.C.)
[sic]).
Our analysis of the legislation enacted following these
injunctions reveals that the replacement of the word "agent"
with the words "employer representative," and the
clarifications made to the powers of this representative,
reflect Parliament's intention to create a special system in
keeping with the autonomy that characterizes collective
labour relations legislation. Thus, under section 34(5), the
"employer representative" appointed is explicitly invested
by the Code, and not by the employers it represents,
with the power to bind all employers in the unit,
including necessarily those that had not proposed it as
representative. Its appointment alone empowers it to
negotiate and sign a collective agreement on behalf of the
employers it represents. This is the very essence of
industry-wide or geographic bargaining. The representative,
however, cannot act arbitrarily.
In my opinion this reasoning of the Board was far from
being unreasonable in view of the new legislation which it
had to interpret.
In substituting the words "employer representative" for
the word "agent" in the old version to designate the
spokesperson for the employers at the bargaining table,
Parliament was indicating that the system had been changed.
Why would it have used a new term if it wished to preserve
the same legal institution? Contrary to the arguments made by
QPT, Parliament could not have chosen the phrase "employer
bargaining agent" without creating confusion in the language
since under section 3 of the Code the phrase "bargaining
agent" already means the union. The word chosen was not the
word "representative," which standing alone might suggest
that it was used as a synonym of the word "agent," but
instead the phrase "employer representative."
If the employers cannot agree, the Board has a legal duty
under subsection 34(4) of the Code to select the "employer
representative." The latter "shall be deemed to be an
employer."10*ftnote10 My emphasis. "By
virtue of having been appointed under this section," it is
then invested with the necessary powers to discharge all the
duties and responsibilities of an employer under Part I of
the Code on behalf of all the employers of the employees in
the bargaining unit, including that of entering into a
collective agreement "on behalf of those employers," that is,
in place of them and on their account. By comparison, the old
section 34 only gave the Board the power to order employers
to appoint an agent and authorize him to discharge the duties
and responsibilities of an employer. The new version
therefore marks a radical change. Although it is true, as QPT
argued, that the Canada Labour Code does not preclude
application of the provisions of the Civil Code [Civil
Code of Lower Canada],11*ftnote11
U.E.S., Local 298 v. Bibeault, [1988] 2 S.C.R. 1048,
at p. 1112. it does not follow from this that the special
characteristics of labour law should be ignored when they are
found therein. If Parliament had not intended to create a
special statutory system, why would it have imposed on the
"employer representative" in subsection 34(6) [as am.
idem] a duty to fairly represent all those affected by
its bargaining, when the Civil Code contains its own means of
redress against an agent who goes beyond his instructions?
Why would it have thus codified the Civil Code in the
Canada Labour Code? One cannot help being struck by
the parallel that exists between subsection 34(6), dealing
with the employer, and section 37, dealing with the
union.12*ftnote12 It should be noted
that s. 97 [as am. idem, s. 2] was amended
accordingly. In the case at bar it was entirely reasonable
for the Board to conclude that the employer representative,
deemed to be the employer, possessed a power similar to that
of the bargaining agent, namely that of negotiating the
collective agreement.13*ftnote13 Ss.
34(5) and 36 of the Canada Labour Code.
As its second argument, QPT maintained that the Board
acted unreasonably in not applying the criteria of
objectivity and impartiality, which in its opinion were
essential, when it preferred the candidacy of the MEA as
"employer representative" to that of the Bédard firm
proposed by QPT.
Following its rational analysis of the function and powers
of the "employer representative," the Board demonstrated no
irrationality in accepting as the criteria for selection of
the "employer representative" those which it considered
reliable enough14*ftnote14 Quebec
Ports Terminals Inc. et al., supra, note 2, at p.
206. The criteria used were:
1. The wishes expressed by the various employers of the
employees in the unit concerned.
2. Relevant experience in the longshoring industry or in
an industry considered comparable from the standpoint of
labour relations.
3. The material resources to serve effectively and
expeditiously a plurality of employers.
4. The ability to assume existing employer obligations, in
particular, if necessary, job security and the dispatching of
workers.
5. The presence of mechanisms through which individual
employers can express their concerns and, if necessary,
effectively resolve disputes between them.
6. The ability of the representative chosen to discharge
forthwith its obligations under the Code, in particular the
obligation to bargain in good faith. to decide which of the
two proposed candidates was more suitable to fill the
position of "employer representative." While it is true that
the Board did not use the two criteria of objectivity and
impartiality which QPT would have liked to use, it explained
its position at length and considered that the new subsection
34(6) gave QPT all the necessary protection. It was not
unreasonable for the Board to act in this way. In view of all
this it is not surprising to find that in rendering decision
No. 1027 the Board concluded
that:15*ftnote15 Maritime Employers'
Association, supra, at p. 150.
Based on our parallel analysis of the general collective
bargaining system and the exceptional industry-wide
bargaining system, we conclude that an industry-wide
collective agreement entered into by the union bargaining
agent and the employer representative duly appointed under
the Code binds all employees in the bargaining unit and all
their employers, regardless of the wishes of those on whose
behalf they act. With all due respect, we believe that this
interpretation is the only one that will allow the attainment
of the objective of section 34, having regard to the
principles governing the general collective bargaining system
in Canada.
In the instant case, this means that the collective
agreement entered into by CUPE and the MEA on December 8,
1992 meets the requirements of section 3 of the Code and
binds its signatories and all employees in the bargaining
unit governed by the agreement and their employers. QPT is
therefore bound, as an employer, by all provisions of the
collective agreement and is subject to them.
This interpretation is far from unreasonable in view of
the lengthy analysis made by the Board of the general
collective bargaining system as compared to the
multi-employer bargaining system contemplated by section 33
and the industry-wide bargaining system contemplated by
section 34 of the Code.16*ftnote16 In
its analysis on the designation order the Board (at p. 203)
referred to the review of the parliamentary debates made in
decision No. 967. This approach was not unreasonable. See
Canada (Attorney General) v. Young, [1989] 3 F.C. 647
(C.A.), at p. 657. Accordingly, even in this exceptional
compulsory system, once the collective agreement bargaining
notice is given, the
"parties"17*ftnote17 S. 3 of the
Canada Labour Code. have a duty to meet and attempt to
conclude a collective
agreement.18*ftnote18 S.
50(a)(i) of the Canada Labour Code. Once
concluded, the collective agreement is binding on the
bargaining agent, the employees and the
employer.19*ftnote19 S. 56 of the
Canada Labour Code.
None of the arguments made by the applicant in its second
application for review persuaded me that the reasoning used
by the Board in explaining its decision No. 1027 was
unreasonable.
It also was not unreasonable for the Board in decision No.
1027 to rule on the validity of the collective agreement
binding on QPT when the appointment of the MEA was at issue
in this Court, since the exercise of its power to
adjourn20*ftnote20 Ss. 16 and 65 of the
Code. is discretionary and no application to stay this
decision of October 30, 1992 or proceedings resulting from
that decision was made in this Court by
QPT.21*ftnote21 This Court denied a
stay of execution of decision No. 1027 (October 4, 1993),
per Hugessen J.A.
It also was not unreasonable for it to proceed despite the
injunction and contempt of court proceedings in the Quebec
Superior Court and Court of
Appeal,22*ftnote22 Terminaux
portuaires du Québec c. Association des employeurs
maritimes (February 1, 1990), 500-05-009311-885 (S.C.),
D.T.E. 90T-307, Jacques Croteau J.; Terminaux portuaires
du Québec Inc. c. Association des employeurs
maritimes (August 5, 1992), 400-05-00375-924 (S.C.),
Legris J.; Terminaux portuaires du Québec Inc. c.
Association des employeurs maritimes (November 9, 1988),
500-05-009311-885 (S.C.), D.T.E. 88T-1035, Brossard J. in
view of the fact that these ongoing proceedings concerned the
old section 34 of the Code and the Board could reasonably
believe23*ftnote23 Plantation Indoor
Plants Ltd. v. Attorney General of Alberta, [1985] 1
S.C.R. 366; Canada (Attorney General) v. Young, [1989]
3 F.C. 647 (C.A.), at p. 657. It should be noted that this
Court makes no ruling on the correctness of this decision by
the Board, as the matter is before the Quebec Court of
Appeal. that the federal Parliament intended in 1991 to alter
the legal provisions applicable under section 34 of the
Code.
The applicant made a fifth argument relating to the
appointment order, but one which if correct could have
ramifications for decision No. 1027, as if the first was
quashed for the reasons alleged by QPT, the second would be
as well.
QPT argued that the Board had placed itself in a position
which suggested an appearance of bias when it found in favour
of the MEA, represented by the firm Ogilvy Renault, in the
appointment order made on October 30, 1992, when since
October 13, 1992 it had itself been represented by the same
firm Ogilvy Renault in an application for leave to appeal to
the Supreme Court of Canada in Canada Labour Relations
Board v. Attorney General of
Canada.24*ftnote24 [1993] 1 S.C.R.
vi. That case has to do with a separate order, namely order
No. 713 of the Board [Richard Gaboriault et al. and
Tecksol Inc. and Transport Canada (1988), 75 di 130] ,
which was in fact the subject of a judgment by this
Court,25*ftnote25 Canada (Attorney
General) v. Gaboriault, [1992] 3 F.C. 566 (C.A.) Marceau,
Desjardins and Décary JJ.A. except that the member of
the Board who wrote the reasons for order No. 713, Serge
Brault, also wrote them in the appointment order.
It should be noted that John Coleman of the firm Ogilvy
Renault, which represented the Board in the Supreme Court of
Canada on October 13, 1992, never represented the MEA in the
case at bar before the Board. Only Gérard Rochon and
Manon Savard represented the MEA in this case before the
Board.
The mis en cause Board was authorized to
participate in the argument.26*ftnote26
Order of Hugessen J.A. (June 10, 1993), A-1584-92; Rule 1611
of the Federal Court Rules [C.R.C., c. 663 (as enacted
by SOR/92-43, s. 19)]. It explained to the Court the policies
followed on the awarding of briefs to law firms in connection
with applications for judicial review.
The Board stated that the part played by it in judicial
review proceedings is limited, depending on the
circumstances, to providing the Court with information on the
special context in which it carries out its duties, on the
practices and procedures developed in order to administer the
Code in a way which will make it possible to achieve its
fundamental objectives, on the administrative process used in
disposing of applications before it and on certain special
factors pertaining to labour relations. The specialized
nature of this information is such that private law firms who
are retained by the Board must be able to fully master the
Code, procedure and practices used before the Board and those
used in the Federal Court. This special expertise required by
the Board means that the firms from which it can choose are
generally limited to those firms regularly appearing before
it. In its selection the Board stated that it also takes into
account the area where the application for judicial review
originated and the interests being defended.
However, QPT argued that the explanations given by the
Board were inadequate and that once an appearance of bias was
raised the Board had a duty to explain the circumstances in
which John Coleman received his instructions. Did he meet
only with the Board's legal counsel, or did he also meet with
Serge Brault? Was there a Chinese wall or a cone of silence
inside the Board?27*ftnote27
MacDonald Estate v. Martin, [1990] 3 S.C.R. 1235. QPT
maintained that it could not get any answer to these
questions as there was no affidavit by the Board and
solicitor-client relations were protected by professional
privilege. Accordingly, QPT concluded that the Board had not
discharged its burden of proof in the case at bar.
It should be noted that what QPT complains of is an
appearance of bias, not an actual situation of bias. An
appearance of institutional bias is also not at
issue.28*ftnote28 2747-3174
Québec Inc. c. Québec (Régie des permis
d'alcool), [1994] A.Q. No. 734 (C.A.) (QL).
A person who must decide on whether there is an appearance
of bias is, according to the language of the dissenting
opinion of de Grandpré J. in Committee for Justice
and Liberty et al. v. National Energy Board et
al.:29*ftnote29 See Committee
for Justice and Liberty et al. v. National Energy Board et
al., [1978] 1 S.C.R. 369, at p. 394. This dissenting
opinion has become the applicable test on this point:
Newfoundland Telephone Co. v. Newfoundland (Board of
Public Utilities), [1992] 1 S.C.R. 623, at p. 636;
Quebec Ports Terminals Inc. v. Canada (Labour Relations
Board) (1993), 17 Admin. L.R. (2d) 16 (F.C.A.),
per Décary J.A., at pp. 23-24.
. . . an informed person, viewing the matter
realistically and practically"and having thought the matter
through . . .
This "informed" person is a person not interested in the
ongoing case and who is not unaware that the Board has a
limited part to play when it appears in the
courts.30*ftnote30 Northwestern
Utilities Ltd. et al. v. City of Edmonton, [1979] 1
S.C.R. 684; Caimaw v. Paccar of Canada Ltd., [1989] 2
S.C.R. 983.
Further, as de Grandpré J. himself
said:31*ftnote31 Supra, note 28,
at p. 395.
The grounds for this apprehension must . . . be
substantial and I entirely agree with the Federal Court of
Appeal which refused to accept the suggestion that the test
be related to the "very sensitive or scrupulous
conscience".
The ideas of "Chinese walls" and "cones of silence"
referred to by QPT in its oral argument take their origin
from MacDonald Estate v.
Martin.32*ftnote32 Supra,
note 26, at p. 1260. That case turned essentially on the
standard that should govern the conduct of lawyers in
conflict of interest situations when they move from one law
firm, representing one party, to another firm which
represents the opposing
party.33*ftnote33 The Court discussed
inter alia Chapter V of the Code of Professional
Conduct of the Canadian Bar Association. As the use of
confidential information is generally impossible to prove
Sopinka J. of the Supreme Court of Canada, speaking for the
majority, considered that the test to be used in such
circumstances must be such that the public, represented by
the reasonably informed person, would be satisfied that no
use of confidential information would occur when a lawyer
changes sides in this way. He made a distinction between the
use of confidential information by a lawyer at the time of
earlier relations with a client and the use he may make of it
later to the detriment of his first client.
On the first point, Sopinka J. rejected the notion that
there could be an irrebuttable presumption that the lawyer
obtained confidential information while working for his first
client. He found this rule too strict and tempered it as
follows:34*ftnote34 MacDonald
Estate, supra, note 26, at pp. 1260-1261.
. . . once it is shown by the client that there
existed a previous relationship which is sufficiently related
to the retainer from which it is sought to remove the
solicitor, the court should infer that confidential
information was imparted unless the solicitor satisfies the
court that no information was imparted which could be
relevant. This will be a difficult burden to discharge. Not
only must the court's degree of satisfaction be such that it
would withstand the scrutiny of the reasonably informed
member of the public that no such information passed, but the
burden must be discharged without revealing the specifics of
the privileged communication. Nonetheless, I am of the
opinion that the door should not be shut completely on a
solicitor who wishes to discharge this heavy burden.
On the second point, Sopinka J. considered that a lawyer
who had thus obtained relevant confidential information was
automatically disqualified from acting against his former
client. However, he made a distinction for partners. In his
view, the concept of imputed knowledge is unrealistic in a
time of mega-firms. He considered that institutional
mechanisms such as Chinese walls and cones of silence could
mitigate the strictness of the rule. However, it was the
function of professional bodies to develop standards in this
regard, provided that a reasonable member of the public who
is in possession of the facts would conclude that no
unauthorized disclosure of confidential information had
occurred or would occur.35*ftnote35
MacDonald Estate, supra, note 27, at p. 1263.
To my knowledge all the cases in which MacDonald
Estate has been cited have dealt with solicitor-client
relations and not relations between an administrative
tribunal and lawyers who may be likely to represent it in the
courts. See Almecon Industries Ltd. v. Nutron
Manufacturing Ltd. (1994), 172 N.R. 140 (F.C.A.),
per McDonald J.; R. v. D. (W.R.), [1994] 1
W.W.R. 689 (Man. Q.B.); MacDonald Estate v. Martin,
[1990] 3 S.C.R. 1235; Shaw v. Law Society of Prince Edward
Island (1992), 101 Nfld. & P.E.I.R. 340 (P.E.I.S.C.);
Ashburton Oil Ltd. v. Sharp (1992), 67 B.C.L.R. (2d)
64 (S.C.); Bell v. Nash, [1992] 4 W.W.R. 512
(B.C.S.C.); Everingham v. Ontario (1992), 8 O.R. (3d)
123 (Div. Ct.); R. v. B. (B.P.) (1992), 71 C.C.C. (3d)
392 (B.C.S.C.); Asian Video Movies Wholesaler Inc. v.
Mathardoo (1991), 36 C.P.R. (3d) 29 (F.C.T.D.); Calgas
Investments Ltd. v. 784688 Ontario Ltd. (1991), 4 O.R.
(3d) 459 (Gen. Div.); Everingham v. Ontario (1991), 84
D.L.R. (4th) 354 (Ont. Gen. Div.); Pac. Coast Super 8
Motels Inc. v. Nanaimo Shipyard (1985) Ltd. (1991), 53
B.C.L.R. (2d) 281 (S.C.); Trilea Centres Inc. v. Cumming
Cockburn Ltd. (1991), 5 O.R. (3d) 598 (Gen. Div.);
J-Star Industries, Inc. v. Berg Equipment Co. (Canada)
Ltd. (1992), 43 C.P.R. (3d) 132 (T.M. Opp. Bd.);
Creamer v. Hergt (1991), 55 B.C.L.R. (2d) 141 (S.C.);
Turner-Lienaux v. Civil Service Commission (N.S.) et
al. (1992), 111 N.S.R. (2d) 351 (S.C.); Chin v.
Wong (1991), 53 B.C.L.R. (2d) 288 (S.C.); Markinova,
Re, [1991] 6 W.W.R. 47 (B.C.S.C.); R.G. Tours and
Promotions Ltd. v. Greater Moncton Home Builders Associations
et al. (1992), 126 N.B.R. (2d) 200 (Q.B.); Essa
(Township) v. Guergis; Membery v. Hill (1993), 15
O.R. (3d) 573 (Div. Ct.); Lasch v. Annapolis (County)
(1992), 118 N.S.R. (2d) 418 (Co. Ct.); Feherguard Products
Ltd. v. Rocky's of B.C. Leisure Ltd., [1993] 3 F.C.
619 (C.A.); R. c. Morales, [1993] R.J.Q. 2940
(C.Q.), at p. 2949; Commission des droits de la personne
du Québec c. Hudon & Daudelin Ltée,
[1994] R.J.Q. 264 (H.R.T. Qué.).
In the case at bar the conflict of interest presented is
not that of a lawyer who changes sides. So far as the
evidence is concerned no one, like the plaintiff in
MacDonald Estate v. Martin, sought to show the
existence of a prior connection between the two situations
complained of by QPT. On the contrary, it is clear that there
is no connection between these two cases. The fear expressed
by QPT had to do not with the transmission of confidential
information from one case to another but the possibility that
the Board wished to favour the firm Ogilvy Renault by ruling
in its favour since that firm was representing it in the
Supreme Court of Canada. At the same time, what benefit would
there have been for the Board in favouring this law firm
since ultimately it is not Ogilvy Renault but the Supreme
Court of Canada which would be deciding on its application
for leave to appeal?
Committee for Justice and Liberty et al. v. National
Energy Board et al.,36*ftnote36
Supra, note 29. on which the applicant also relied, is
different since in the case at bar the member of the Board
who wrote the reasons for the appointment order and order No.
713 [(1988), 75 di 130] had no previous connection with
either of the two cases. He only sat in the two cases. The
one is not connected to the other. What is more, no personal
connection was shown between this member of the Board and the
firm Ogilvy Renault.
In the case at bar a reasonable person would refrain from
any comment as he would quickly realize that this allegation
of bias is groundless.
I would dismiss the two applications for judicial
review.
Décary J.A.: I concur.
Chevalier D.J.A.: I concur.