Guide to Making Federal Acts and Regulations
Part 3 - Making Regulations
Overview
This part provides an overview of the regulatory process and is intended to
situate the process of making regulations within the broader context of making
laws. Persons directly involved in the development and the processing of
regulations should refer to the Regulatory Policy and the Process Guides
at http://www.pco-bcp.gc.ca/raoics-srdc/raoics-srdc/default.asp?Language=E&Page=Publications.
In this part
- What are regulations?
- What is the legal framework for regulations?
- What is the policy framework for regulations?
- Summary of the regulatory process
Audience
All Government officials involved in the law-making process and other
interested persons.
Key Messages
- The Statutory Instruments Act and the Regulatory Policy
govern the making of regulations.
- The Statutory Instruments Act establishes a process designed to
ensure that regulations are made on a legally secure foundation and are
accessible through the Canada Gazette.
- The Regulatory Policy establishes requirements for a Regulatory
Impact Analysis as a means of ensuring that the Government's regulatory
activity serves the public interest, particularly in the areas of health,
safety, the quality of the environment and economic and social well-being.
- Ensuring that the public's money is spent wisely is also in the public
interest. The Regulatory Impact Analysis also involves weighing the benefits
of alternatives to regulation, and of alternative regulations, against their
cost, and focusing resources where they can do the most good.
- To these ends, the federal government is committed to working in partnership
with industry, labour, interest groups, professional organizations, other
governments and interested individuals.
What are regulations?
Regulations are a form of law, often referred to as delegated or
subordinate legislation. Like Acts, they have binding legal effect and
usually state rules that apply generally, rather than to specific
persons or situations. However, regulations are not made by
Parliament. Rather, they are made by persons or bodies to whom
Parliament has delegated the authority to make them, such as the
Governor in Council, a Minister or an administrative agency. Authority
to make regulations must be expressly delegated by an Act. Acts that
authorize the making of regulations are called enabling Acts.
An Act generally sets out the framework of a regulatory scheme and
delegates the authority to develop the details and express them in
regulations.
Most regulations are designated as such in the Act that authorize
them to be made. However, Acts sometimes authorize the making of
documents that have the same legislative effect, but which are called
by another name, for example, "by-laws," "rules,"
"tariffs," "ordinances" or "orders."
Usually, these documents are made in the same way as regulations and
are subject to the same policy and legal constraints.
What is the legal framework for regulations?
A regulation-making authority does not have a free hand in making
regulations. There are a number of legal constraints, including the
Constitution and other generally applicable laws discussed in Chapter
1.2 "Legal Considerations". One of the most important of
these for regulations is the Statutory Instruments Act (SI Act)
and the Statutory Instruments Regulations (SI Regulations),
which are made under it. They set out three basic legal requirements
for making regulations:
- legal examination,
- registration,
- publication in the Canada Gazette.
Enabling Acts provide an additional source of legal constraints.
Regulations must stay within the scope of the authority that the
enabling Act grants and must not conflict with it or restrict or
extend the scope of its application.
What is the policy framework for regulations?
The Regulatory Policy of the Government of Canada provides
the primary policy framework for making regulations. Its objective is
to ensure that use of the government’s regulatory powers results in
the greatest net benefit to Canadian society. It states that
regulatory authorities must ensure that:
1. Canadians are consulted, and that they have an opportunity to
participate in developing or modifying regulations and regulatory
programs.
2. They can demonstrate that a problem or risk exists, federal
government intervention is justified and regulation is the best
alternative.
3. The benefits outweigh the costs to Canadians, their
governments and businesses. In particular, when managing risks on
behalf of Canadians, regulatory authorities must ensure that the
limited resources available to government are used where they do the
most good.
4. Adverse impacts on the capacity of the economy to generate
wealth and employment are minimized and no unnecessary regulatory
burden is imposed. In particular, regulatory authorities must ensure
that:
- information and administrative requirements are limited to what is
absolutely necessary and that they impose the least possible cost;
- the special circumstances of small businesses are addressed; and
- parties proposing equivalent means to conform with regulatory
requirements are given positive consideration.
5. International and intergovernmental agreements are respected
and full advantage is taken of opportunities for coordination with
other governments and agencies.
6. Systems are in place to manage regulatory resources
effectively. In particular, regulatory authorities must ensure that:
- the Regulatory Process Management Standards are followed;
- compliance and enforcement policies are articulated, as appropriate;
and
- resources have been approved and are adequate to discharge
enforcement responsibilities effectively and to ensure compliance
where the regulation binds the government.
7. Other directives from Cabinet concerning policy and law making
are followed such as:
The Special Committee of Council (a committee of the Cabinet) is
responsible for the Regulatory Policy. The Regulatory Affairs
Division of the Regulatory Affairs and Orders in Council Secretariat
of the Privy Council Office supports the Special Committee in this
responsibility by providing advice, developing guides, supporting
capacity-building to help regulatory authorities comply with the
policy, and monitoring the effectiveness of this policy.
Summary of the Regulatory Process
Most regulations and some other documents have to meet the
requirements of a series of steps known as the regulatory process.
This process is a combination of requirements that flow from the legal
and policy frameworks. It includes the following steps:
- development of a regulatory proposal by a department responsible for
an enabling Act or an administrative agency or other body that has
regulation-making authority (sponsoring department or agency),
- central agency review (by Privy Council Office, Treasury Board
Secretariat, Department of Justice);
- pre-publication;
- making or approval;
- registration;
- coming into force;
- publication;
- distribution;
- parliamentary scrutiny.
Who is involved in the process?
The following are the main participants in the regulatory process:
- the authority that "makes" or "approves" the
regulation
- usually the "Governor in Council," which is the Governor
General acting on the advice of the Privy Council (this advisory role
is usually exercised by the Special Committee of Council)
- sometimes another Cabinet committee (such as the Treasury Board) or
a particular Cabinet minister,
- sometimes an administrative agency, such as the Canadian
Radio-television and Telecommunications Commission, or other body;
- the Minister and the officials in the sponsoring department (in the
case of Governor in Council or ministerial regulations) or the
officials in the sponsoring agency (in the case of regulations made by
an agency);
- the Clerk of the Privy Council;
- the Regulatory Affairs and Orders in Council Secretariat of the
Privy Council Office;
- the Deputy Minister of Justice;
- the Regulations Section of the Department of Justice;
- the Treasury Board Secretariat;
- the Canada Gazette Directorate of the Department of Public Works and
Government Services;
- the Standing Joint Committee of the Senate and the House of Commons
for the Scrutiny of Regulations.
What documents are subject to the regulatory process?
The regulatory process applies to most regulations, as defined in the
Statutory Instruments Act (SI Act). Four types of documents are
regulations:
- documents described as "regulations" in an Act;
- rules, orders and regulations governing the practice or procedure in
proceedings before a judicial or quasi-judicial body established by or
under an Act;
- statutory instruments (as defined in the SI Act) made in the
exercise of a legislative power conferred by or under an Act; and
- statutory instruments (as defined in the SI Act) for the
contravention of which a penalty, fine or imprisonment is prescribed
by or under an Act.
Some regulations are not subject to the regulatory process. They
are wholly or partially exempted by their enabling Act or by the Statutory
Instruments Regulations.
The Regulations Section of the Department of Justice provides
advice on whether documents are regulations. Information on this
question is also found in Part 2, section 2 of the Federal
Regulations Manual (which is published by the Regulations
Section).
The legal requirements of registration and publication (but not the
policy requirements) also apply to a second group of documents. These
include statutory instruments that fall outside the definition of
"regulation" (for example, an order fixing the day on which
an Act comes into force). Although there is no legal requirement for
the examination of these documents, in practice the Regulations
Section examines them as well.
Conception and development of regulations
Having the authority to make a regulation does not justify making it.
The requirements of the Regulatory Policy must also be met. This
includes demonstrating that a problem or risk exists, that the
Government should intervene and that regulation is the best option. A
regulation may not be the best tool or the only one to be used to
achieve a policy objective.
Before deciding whether to regulate a particular field of activity,
the sponsoring department or agency must assess all the possible
solutions for achieving its objectives. If it concludes that a
regulation should be pursued, it must initiate a process of planning,
analysis and public consultation in accordance with the Regulatory
Policy.
Early notice of proposed major regulations is given in departmental
and agency annual Reports on Plans and Priorities submitted to
Parliament. The extent to which a regulation has achieved its stated
objective is subsequently reported to Parliament in the annual
departmental Performance Reports.
The department or agency then drafts its regulatory proposal with the
assistance of its legal advisers and, in some cases, the Regulations
Section of the Department of Justice.
Regulatory Impact Analysis
An analysis of the expected impact of each regulatory initiative must
be done. The results of this analysis are summarized in a Regulatory
Impact Analysis Statement (RIAS). Each section of the RIAS implements
one or more elements of the Regulatory Policy. The RIAS is, in
effect, a public accounting of the need for each regulation in terms of
this policy.
The RIAS explains:
- the elements of the regulatory proposal, including what problems or
situations it addresses and what it is meant to achieve;
- what alternatives to regulation have been considered;
- what are the anticipated costs and benefits of the regulations;
- what consultations have been carried out and what opportunities
Canadians have had to be heard;
- what is the response of the department or agency to the concerns
voiced or suggestions made;
- what mechanisms are built in to ensure compliance with the
regulations once they are in force;
- how the effectiveness of the regulations will be measured.
The RIAS serves the same purpose as a Memorandum to Cabinet, used
by ministers to make informed decisions on the making of laws. The
RIAS also becomes a public document that helps the Government to be
accountable to Canadians and parliamentarians in the exercise of
delegated authority for the making of laws. Each of these audiences
demands that the RIAS be prepared with close attention, ensuring that
material submitted for consideration:
- is written in simple, clear, complete and concise language that the
general public can easily understand;
- describes the problem or situation that it is intended to address;
and
- describes the potential impact of the proposal and the measures to
be taken to minimize any adverse effects.
Detailed guidance to the preparation of a RIAS may be found in the RIAS
Writers’ Guide (http://www.pco-bcp.gc.ca/raoics-srdc/docs/publications/rias_e.pdf).
This guide explains the objectives of the RIAS and some approaches
that will result in an excellent finished product.
For regulations that have to be made or approved by the Governor in
Council, a communications plan is required and, if needed, a
supplementary note. The communications plan covers, among other
things, the strategy to be used by the department or agency to bring
the regulatory measures to the attention of the groups affected once
they are made. As well, confidential information to support decision
making should be placed in a supplementary note and be separate from
the RIAS.
Central Agency Review
Clerk of the Privy Council and Deputy Minister of Justice
The roles of the Clerk of the Privy Council and the Deputy Minister
of Justice are set out in the SI Act. They are supported in these
roles by the Regulatory Affairs and Orders in Council Secretariat of
the Privy Council Office and by the Regulations Section of the
Department of Justice.
Regulatory Affairs and Orders in Council Secretariat
The Regulatory
Affairs and Orders in Council Secretariat (RAOIC) is responsible
for monitoring, coordinating and advising on regulatory and Orders in
Council issues and policies, and their consistency with economic,
social and federal-provincial policies. The RAOIC secretariat is
divided into the Regulatory Affairs Division and the Orders in Council
Division. The secretariat provides support to the Special Committee of
Council (SCC) with respect to regulatory and Orders in Council
matters.
The prime responsibilities of the Regulatory Affairs Division
include:
- the monitoring of regulatory proposals;
- the provision of substantive support to SCC through analysis,
briefing, and advice with respect to regulatory proposals; and
- support for the implementation and development of the Regulatory
Policy.
In more specific terms, it reviews each regulatory proposal from an
overall policy perspective and may request additional information or
analyses from the sponsoring department prior to the proposal being
submitted to the SCC for consideration.
The Orders in Council Division's main responsibilities include:
- the management of the approval process for all Orders in Council,
regulations, and other statutory instruments;
- the provision of secretariat services to the SCC;
- the provision of advice on the use of Orders in Council and/or
Instruments of Advice;
- the production and distribution of Orders
in Council;
- the registration and publication of regulations in Part II of the Canada
Gazette (see http://canadagazette.gc.ca/);
and
- the maintenance of records of approved
Orders in Council, the Consolidated Index of Statutory
Instruments, and a number of Oath Books (see http://www.pco-bcp.gc.ca/oic-ddc).
Regulations Section
The tasks of the Deputy Minister under the SI Act are
carried out by the Regulations Section, which examines all proposed
regulations submitted by departments and agencies (except those
exempted from examination), to ensure that:
- they are authorized by the enabling statute;
- they do not constitute an unusual or unexpected use of the authority
under which they are to be made;
- they do not trespass unduly on existing rights and freedoms and are
not, in any case, inconsistent with the Canadian Bill of Rights
or the Canadian Charter of Rights and Freedoms; and
- their form and drafting are in accordance with established
standards.
When it has finished its examination, the Regulations Section
stamps the draft regulations. If the solution found for any legal
problems in the file involves some legal risk, the Regulations Section
writes to the department or agency explaining what the risk is. If
serious legal issues remain unsettled, the Regulations Section reports
its concerns to the Clerk of the Privy Council.
Regulations are not invalid just because they have been made
without being examined by the Regulations Section. However, the Clerk
can refuse to register them and the Governor in Council can, on the
recommendation of the Minister of Justice, repeal all or part of any
regulation that was made without having been examined.
Treasury Board Secretariat
The Treasury Board Secretariat examines draft regulations that,
under their enabling statutes, require Treasury Board approval or
recommendation. It also examines regulations that are liable to have
significant financial implications, including those related to cost
recovery programs.
Pre-publication
The purpose of pre-publication is to give those who are interested in
a regulatory proposal an opportunity to determine the extent to which
the proposal is in keeping with previous consultations.
A Cabinet Directive of 1986 requires draft regulations to be
pre-published in Part I of the Canada Gazette, before they can be
made. In some cases this requirement is imposed by the enabling Act.
Part I of the Canada Gazette can be accessed at http://canadagazette.gc.ca/partI-e.html.
An exemption from pre-publication may be granted unless
pre-publication is required by the enabling Act. For regulations made or
approved by the Governor in Council, exemptions may be granted by the
Special Committee of Council and are considered on a case by case basis.
For more information on exemptions, see the Federal Regulatory
Process. For regulations made by a Minister or agency, exemptions
may be granted by the Minister or agency.
The pre-publication requirement does not apply to documents that are
not regulations, unless the enabling Act says so.
Draft regulations must be approved before they are pre-published. If
the regulations are made or approved by the Governor in Council, the
approval is given by the Special Committee of Council. If they are made
by a minister or agency, the approval is given by the minister or
agency. The RIAS is published along with the draft regulations.
When draft regulations are pre-published, interested persons are
allowed a period of time to express their views. The period is usually
30 days in the case of regulations pre-published under the Cabinet
policy. In other cases, the length of pre-publication may be specified
in the enabling Act. The pre-publication period may also be determined
by international agreements, such as the World Trade Organization
agreements and the North American Free Trade Agreement. In general, it
is both prudent and a requirement of the Regulatory Policy that
regulations covered under international trade agreements be
pre-published for a minimum of 75 days.
Making or Approval of Regulations
A regulation is "made" when it is officially established by
the regulation-making authority. This is usually done through a separate
document called an executive order. The regulation is attached to the
order as an annex.
If the authority is the Governor in Council, the executive order is
an "order in council" and the regulation is made when the
Governor General indicates that the order in council is made. If the
authority is a minister, the executive order is a "ministerial
order" and the regulation is made when the minister signs the
ministerial order. In the case of an agency or other body, the executive
order is usually a resolution or other document, depending on its
decision-making process.
In the case of regulations made by the Governor in Council, the
sponsoring department must seek the approval of the responsible Cabinet
committee, which is usually the Special Committee of Council. In
preparing this submission, the department must augment its original RIAS
documents with information relating to the comments received during the
pre-publication period, any actions taken to address those comments and
the rationale for the department's response.
Sometimes an enabling Act not only authorizes someone to
"make" regulations, it also says that some other person or
body must "approve" them. For example, the enabling provision
may say "The Commission may, with the approval of the Governor in
Council, make regulations …" Approval is given through an
executive order, such as an order in council or a ministerial order.
Registration
The SI Act requires regulations to be transmitted to the Clerk of the
Privy Council within seven days after they are made so that they can be
registered, unless the SI Regulations exempt them from this requirement
because they are too numerous.
For regulations, the Clerk records the title of the regulation, the
name of the regulation-making authority, the source of the power to make
the regulation, the date of making and the date of registration, and
assigns it a number, preceded by the designation "SOR." For
other documents, the Clerk records much the same information and assigns
each its own number, preceded by the designation "SI". In
practice, the Clerk's responsibilities are fulfilled by the Orders in
Council Division of the Regulatory Affairs and Orders in Council
Secretariat.
Coming into force
Registration is a crucial step in the case of regulations because it
determines when they take effect. Regulations that must be registered
come into force on the day they are registered, unless the enabling
statute or the regulations themselves specify another commencement date
(see subsection 6(2) of the Interpretation Act). Other
regulations and documents come into force on the day they are made,
unless they specify another commencement date.
Commencement dates before the making of a regulation or other
document can only be specified if there is authority to do so in the
enabling Act. Such a commencement date makes a regulation or document
retroactive and clear statutory authority is required for this.
Publication
The SI Act and SI Regulations provide for the publication of
regulations in Part II of the Canada Gazette within 23 days after
their registration. Some regulations are exempt from publication. They
are listed in section 15 of the SI Regulations.
The Canada Gazette is published by the Queen’s Printer,
whose responsibilities in this regard are carried out by the Canada
Gazette Directorate of the Department of Public Works and Government
Services.
What if a regulation is not published even though it is supposed to
be? Failure to publish it does not make it invalid, but it prevents
conviction for an offence of contravening the regulation. The reason is
the constitutional principle of the rule of law: the terms of the law
must be knowable, not secret. If a regulation is not published, people
cannot be presumed to have had any way of finding out what their rights
and responsibilities were under it.
There is one exception. Someone who has contravened an unpublished
regulation can be convicted if the regulation is exempt from publication
or if it expressly provides that it applies according to its terms
before it is published in the Canada Gazette. However, in such
cases it must also be proved that reasonable steps had been taken to
bring the gist of the regulation to the notice of those likely to be
affected by it.
Distribution
All Orders in Council, including regulations, are made available to
the public three working days after they have been approved by the
Governor General. A list of all approved orders is available at http://www.pco-bcp.gc.ca/oic-ddc.
In addition, electronic versions of regulations and other documents
published in Part II of the Canada Gazette are available at http://canadagazette.gc.ca/partII-e.html.
Parliamentary Scrutiny
The Standing Joint Committee for the Scrutiny of Regulations monitors
the exercise of regulatory power on behalf of Parliament. Its mandate,
set out in section 19 of the SI Act, is to review regulations and other
statutory instruments after they are made.
The Committee checks the instruments against the criteria that the
Senate and the House of Commons have approved at the beginning of each
session of Parliament. Some of these criteria are the same as those
applied by the Regulations Section of the Department of Justice in its
examination of proposed regulations.
When the Committee finds a problem with a statutory instrument, it
tells the regulation-making authority and suggests solutions. If the
Committee and the regulation-making authority are unable to agree on a
solution, the Committee may make a report drawing the matter to the
attention of both Houses of Parliament. If the instrument is made by the
Governor in Council or a minister, the Committee is also authorized,
under subsection 123(1) of the Standing Orders of the House of
Commons, to make a report to the House of Commons proposing the
disallowance of the instrument. A disallowance resolution, if not
rejected, becomes an Order of the House enjoining the Governor in
Council or minister to revoke the statutory instrument.
References
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