Report on Law-Making and Governance
A Summary of Discussions Held by the
Deputy Ministers’ Challenge Team on
Law-Making & Governance
Privy Council Office
Table of Contents
Preface
Part 1: Introduction and Overview
Part 2: A Process Perspective
Part 3: A Thematic Perspective
Part 4: Responding to the Challenges
Part 5: Concluding Remarks
Report on Law-Making and Governance
A Summary of Discussions Held by the Deputy Ministers’ Challenge Team on
Law-Making & Governance
Preface
The Challenge Team was established in mid-1996 under the title
of the Deputy Ministers’ Challenge Team on Regulatory Reform to effect
needed reforms in the areas of regulations and regulation-making in context of Building
a More Innovative Economy (BMIE), a central part of the Government’s Jobs
& Growth Agenda.
The report summarizes the Challenge Team’s discussions on
the way the Government makes laws. The objective was to review key policy
processes, examine the frameworks that guide them, and suggest directions for
improvements and future work.
The report is intended to encourage constructive dialogue on
the issue of law-making, an issue that has absorbed significant energies over
the last decade and which will present a continued challenge into the future. It
is our hope that this report will add clarity to the important issues associated
with law-making and serve as a platform for continued dialogue and action that
will improve the way policy is made, laws written, programs implemented, and
reported to Parliament and the Canadian people.
This report attempts to reflect the knowledge and experience
of the Deputy Ministers’ Challenge Team and the significant work of regulatory
departments, the Treasury Board Secretariat, the Privy Council Office and the
Department of Justice.
Regulatory Affairs and Orders in Council Secretariat
Privy Council Office
Part 1: Introduction and Overview
Purpose
This report outlines the key issues
identified and discussed by the Deputy Ministers’ Challenge Team over the past
three years, the Team's recommendations to date and its proposals for guiding
the evolution of federal law-making. The document is designed to:
consolidate the Team's thinking on the issues of law-making and
governance; and
provide a basis for planning the Team's future activities.
Some Basics
The following are some plain language descriptions of key terms used in this
report.
- Legislation is a general term encompassing both statutes and
regulations – the legally binding rules that governments use to place
requirements on enterprises, citizens and government itself.
- Statutes refer to laws passed by Parliament.
- Regulations are made by the Government pursuant to authority
delegated to it by Parliament in order to add details to statutes.
- Regulatory reform aims at improving the quality of legislation in
Canada. As used in this report, the term refers to a wide spectrum of
activities, from the revision of specific regulations and statutes to
the improvement of law-making processes and institutions.
A Brief History
The concept of regulatory reform arose in the late 1970s and early 1980s in
response to concerns that federal regulation was out of control. The key
influences through this period were the reports of the Nielsen Task Force (the
Ministerial Task Force on Program Review) and the Economic Council of Canada.
The views expressed by these and other parties led the Government to conclude
that the regulatory process needed to be improved.
The first phase of reform in the mid-1980s saw the Government establish a
regulatory policy and the Citizen’s Code of Regulatory Fairness, as well as
the requirement for a regulatory impact analysis statement. Under these
measures, new regulations would have to undergo an exhaustive, centrally managed
review.
In 1992 and again in 1995, the Government revised its regulatory policy. In
fact, starting in 1992, the Government reassessed every regulation on the books.
This regulatory review led to the Government modifying or revoking 835 of about
2,800 regulations then listed in the Consolidated Index of Statutory
Instruments.
The most substantive change to the regulatory policy, introduced in 1995, was
the incorporation of the Regulatory Process Management Standards, which
are intended to provide a framework to ensure a high quality of departmental
regulatory processes and to deliver better regulations. Regulatory authorities
are expected to adopt and report on their compliance with these standards.
Today’s Context
In 1997, the mandate of the Special Committee of Council (SCC) was expanded.
In addition to its original task of approving Orders, including regulations,
requiring Governor-in-Council approval, the SCC also became responsible for
legislative planning and review, and also for issues relating to legislative
policy and process.
Recognizing this opportunity, the Deputy Ministers’ Challenge Team on
Regulatory Reform also focussed on the inherent linkage between statutes and
regulations. Further, the Team recognized that legislating had become
increasingly complex because policy areas now tend to overlap (as, for example,
in the fields of bio-technology, health, food, agriculture and trade), demanding
cross-departmental and even cross-jurisdictional responses.
Consequently, this report refers to law-making. Up to now, there has been a
tendency to treat statutes and regulations differently and sometimes even
independently from one another. From the citizen’s perspective, however, both
statutes and regulations have a similar effect. Both instruments create legally
binding rules with criminal or civil consequences for non-compliance.
Discussions among the Challenge Team members were based on the
following principles:
- Legislation is a crucial policy instrument that responds directly to the
concerns of Canadians in areas such as health, safety and the
environment for example.
- A country’s legal and regulatory regime has emerged as a key issue in
international competitiveness.
- Stakeholders who are involved in legislative and regulatory issues may
not necessarily be interested in less law, but in better law.
In summary, there are higher expectations for restraint, transparency,
accountability and performance in the law-making process.
Overview of this Report
This report reflects the Challenge Team’s discussions on a wide spectrum of
law-making issues. The Team considered a number of questions for helping to
determine when to use law-making powers as a means of effecting social and
economic change. The basic questions DMs thought would be useful in coming to
this determination are as follows:
- What is the issue?
- Is government intervention appropriate?
- Has the Government consulted and engaged Canadians and its partners
effectively?
- Is legislation the best way of meeting the policy objective?
- Do the benefits outweigh the costs (economic, social, environmental)?
- Does government have the capacity and resources to implement and enforce
the proposed legislation?
- How will results be measured and reported?
Supplementary questions which flow from the above are:
- Where in the process should these questions be asked?
- Who should be asking these questions and to whom should they be posed?
- Have sufficient resources been invested in the right places to support
these rules?
This report analyses the issue of law-making from two perspectives: the
law-making process (covered in Part 2) and specific themes that permeate
law-making discussions (the topic of Part 3). The fourth part of this report
looks at the work already underway to address the challenges outlined and at
possible future directions for governance.
Part 2: A Process Perspective
Through a detailed review of the policy development, statute development and
regulatory development processes, the Team identified certain challenges
involved in making laws.
Challenge: Are there ways to improve how problems are defined by Government
and the choice of instrument to address them?
In recent years, departments have realized the importance of selecting the
right instrument (e.g., a law, an information campaign, a funding strategy) to
effect policy objectives. The Government's recent program review and its greater
emphasis on planning and performance measurement have contributed to better
analyses and choices. However, the Challenge Team felt that departmental policy
staff would benefit from more guidelines on how to define problems and choose
alternative policy instruments. They could benefit from sharing experiences with
their colleagues more and becoming more aware of alternative ways to effect
change.
Challenge: Should the guidelines for drafting Memoranda to Cabinet be
enhanced to better support Cabinet decision making?
The Memorandum to Cabinet is the key document that ministers use to outline
policy options and recommendations. The Challenge Team discussed whether the
information required to be provided in Memoranda to Cabinet was sufficient or
whether it could be supplemented by further information, such as:
- problem definition and analysis of instrument choice;
- the nature of consultations, including outcomes;
- estimates of costs and benefits (social, economic, environmental) of
proposed initiatives;
- indications of implementation time lines;
- performance measures and expected outcomes of policy interventions; and
- the connection between the initiative and broad government policy.
Challenge: Should policy analysts be given better guidance on developing
legislative drafting instructions?
Drafting statutes and regulations is principally about drafting policy into
legal language. Two parties are involved in this exercise: 1) policy analysts,
who write drafting instructions describing the intent of the proposed
legislation; and 2) the legal experts from the Department of Justice, who use
these instructions to draft laws. The quality of the legislation depends largely
on the quality of the instructions, how well the sponsoring department and the
Department of Justice communicate, and on the quality of the analysis that
supported the policy development.
Most of the detailed work of drafting policy into bills takes place at the
departmental level, through cooperation among the Department of Justice drafting
teams, departmental legal services units and policy officials in the sponsoring
department. Early and close cooperation among these parties ensure that drafting
instructions are clear and fully address the policy’s intent. A checklist for
drafting instructions would be of benefit. In addition, policy officials need
guidelines that:
- encourage their early engagement with legislative drafters,
- clarify roles,
- set work plans, and
- provide advice on how to present drafting instructions.
Challenge: Should the regulatory policy be re-examined?
The current regulatory policy consists of eight key requirements. When
proposing regulations, regulatory authorities are asked to demonstrate that:
- a problem or risk exists;
- government intervention is justified;
- regulation is the best alternative;
- Canadians have been consulted;
- the benefits of regulation outweigh the costs;
- the Government will minimize the adverse economic impacts and burdens of
regulation;
- the regulation does not contravene intergovernmental and international
agreements, and the Government is coordinating its regulatory efforts
with other jurisdictions;
- the Government will manage regulatory resources effectively.
As noted above, the regulatory policy, established more than a decade ago,
has contributed to significant improvements in government regulatory practices
and performance. The Challenge Team raised the issue of whether consideration
could be given to apply some of the principles of this policy to statutes as
well as regulations.
Drafted in the 1980s in response to concerns about over-regulation, the
current policy assumes a need for strong central agency guidance and control.
However, it may now be time to focus more on improving the quality rather than
reducing the quantity of regulations – on creating better regulations
responding to stakeholder needs and the public’s interest.
The strides departments have made in improving their regulatory processes
could warrant giving them more flexibility in developing legislation. It may be
worthwhile, therefore, to redefine the regulatory policy so that instead of
spelling out in detail how regulations should be developed, it states basic
principles to be followed in making both statutes and regulations. This shift
would need to be balanced with departments demonstrating greater accountability
for the legislation they put forward.
A policy based on high-level principles would have to ensure that the eight
basic questions outlined above are fully addressed, but should also emphasize:
- effective quality assurance mechanisms;
- performance measurement and reporting;
- adherence to other government policies (e.g., sustainable development);
and
- adherence to risk management principles.
However, stakeholders have expressed concerns not so much with the content of
the regulatory policy as with how it is implemented. In particular, there are
concerns with:
- how the Privy Council Office ensures that the regulatory policy is
adhered to;
- consistency in the application of the regulatory policy;
- consistency in the application of impact assessments;
- fair consideration of stakeholder positions; and
- the need for an effective and objective appeal mechanism.
These two perspectives – the interest in greater departmental flexibility
in law-making and stakeholders' concerns about implementation – will need to
be reconciled in any attempt to revise the regulatory policy.
Challenge: How might information to ministers on proposed regulations be
improved to better meet their needs?
Providing appropriate information to ministers for their regulatory decisions
is a challenge because of two main issues.
The first issue is the dual nature of the Regulatory Impact Analysis
Statement . It is both a briefing document for ministers and a public
document meant to give a factual summary of the issues, options and views on a
proposal and to enable stakeholders to challenge the analysis and point out more
effective alternatives. As such it is a public document and the basis of
informed decision making, by ministers. Guidance would need to be provided to
regulatory developers to ensure that the primacy of transparency and open
consultation are not compromised.
The second issue is that sponsoring departments act as both objective
analysts and advocates. Generally speaking, by the time ministers consider a
regulatory proposal, the sponsoring department will have undertaken significant
consultation with affected parties, defined a policy position, and prepared
draft regulations accordingly. By this point, the department may no longer be
exploring or analyzing but rather advocating the proposal. This brings into
question the objectivity of the information provided to ministers. The issue is
less one of substance than of perception, however, the perception of fairness
and balance in the impact statement is very important.
These issues could be addressed if Privy Council Office (PCO) were to enhance
its oversight role. The Challenge Team recognizes the need within PCO for
additional mechanisms to ensure that the regulatory proposals being put forward
conform to government policies and are accorded the appropriate opportunity for
discussion by ministers.
Part 3: A Thematic Perspective
This chapter focuses on six themes inherent in law-making processes: policy
analysis, the challenge function, consultation, accountability, performance
measurement and reporting, and capacity-building. These themes bear on all the
processes and also connect in various ways to each other.
Challenge: Are there ways to enhance the analysis process used to help
determine whether government intervention is warranted and the type of
intervention is appropriate?
Policy making is largely information processing. Putting the right
information in the appropriate form increases the chances that policy
interventions will be successful.
Typically, departments generate information for making policies by applying a
specific analytical framework – a broad set of rules on what considerations
will be brought to bear on a decision.
The analytical frameworks are used to create the decision documents: the
Memorandum to Cabinet, in the case of a statutory change; and the Regulatory
Impact Analysis Statement, in the case of a regulatory change.
Policy makers have a broad range of analytical frameworks from which to
choose; the Canadian Standards Association’s Q850 Risk Management Standard,
and the regulatory policy’s Regulatory Process Management Standard are but two
examples. Perhaps most important is not which model is applied, but that
whatever model used meets the following standards:
Comprehensiveness: The policy makers have a clear set of outcome
objectives, consider and fully analyse alternatives, think through both the
policy and the operational detail, and produce clear drafting instructions.
Balance: Policy makers present and consider their analysis in an
objective way; they understand and represent fairly the views of all concerned;
and they recommend the option that will provide the greatest benefit to
Canadians.
Timeliness: The sponsoring department asks the right questions at the
right time. It avoids the pitfall of making a critical decision (e.g.,
legislative versus a non-legislative alternative) too early, without a thorough
analysis.
Engagement: The department systematically uses an inclusive, public and
transparent process, finding appropriate ways to engage and consult citizens,
partners and colleagues.
Policy making could be enhanced by:
- challenging the traditional choice of instrument for effecting change;
- setting clear, objective outcomes and reporting on their results;
- putting greater emphasis on a balanced analysis;
- planning policy development better; and
- finding the most appropriate ways to engage and consult the public.
Challenge: Can the challenge function which exists within government be
enhanced?
When departments propose legislation or policies, other departments and
agencies and central agencies may question the proposal and suggest changes to
it. This questioning process is known as the challenge function and is important
to policy making for several reasons:
- Even the best analytical frameworks are likely to overlook important
factors, which will often come to light through challenges raised by
other government departments.
- At some stage in the policy-making process, departments inevitably
become advocates for their initiatives. Challenges from other government
departments provide a healthy counterbalance to this bias.
- Parliamentary committees also challenge proposed policies. The
committees' work will be more effective if departments themselves raise
issues early in the policy development process and provide the right
information and background material to committees.
The challenge function can be met informally through routine exchanges of
information and consultation among government officials, but its effectiveness
will be enhanced if it is integrated into the different policy-making processes.
An effective challenge depends on several factors:
- Clear roles and responsibilities: Departments and central
agencies should know when and how to raise challenges in support of
Cabinet decision making.
- High-quality information: Departments, central agencies,
ministers and Parliament need to know what questions to ask and what
types of information will support their inquiries.
- Appropriate level of transparency: The policy-making process must
be highly transparent to encourage broad debate and discussion, both
within and outside government.
The challenge function could be improved through a number of measures.
Improvements in providing relevant policy information: A strong challenge
function rests on good information. Central agencies or other departments can
not adequately challenge proposals if they know little about the past
performance of related initiatives, the initiative's intended outcomes, how it
will be implemented, societal costs and benefits, and what enabling regulations
are necessary. The recent project called Improved Reporting to Parliament,
whereby departments provide Parliament with detailed reports on their goals and
activities, is an example of reporting that can strengthen the challenge
function.
Appropriate information channelling and specific types of information:
Different players in the challenge process require different kinds of
information. Ministers, central agencies or other government departments may
require specific details to effectively assess the implications of a policy.
Clarifying roles: Central agencies have traditionally treated statutes
and regulations differently. The Privy Council Office (PCO) could play a role in
helping Cabinet committees take a more integrated and comprehensive approach
when considering legislation. PCO could also encourage departments to scrutinize
the implications of a regulation early in the policy development stage. Further,
central agencies could play a greater role in helping departments with issues
such as instrument choice, policy and program design, and results measurement
and performance evaluation.
The Department of Justice could also be better utilized by policy makers.
Justice can have a significant influence on legislative policy design, both
through legal services provided within departments and through legislative and
regulatory drafters. These specialists may influence policy decisions by
attending to details that may not have been addressed in the drafting
instructions. The Justice department could be more influential in policy making
by ensuring that its lawyers are familiar with the range of regulatory and
non-regulatory instruments, and by challenging the instrument choice early in
the process.
Improving transparency: The confidentiality of Cabinet discussion and
decision making is a key principle of parliamentary democracy. It enables
Cabinet ministers to openly express their views in Cabinet when considering
proposed government policy, and, once a collective decision is made, maintain
Cabinet solidarity. However, these confidentiality rules can limit the public’s
knowledge of proposed legislation, as draft legislation presented to Cabinet and
the supporting information remain confidential. The Government of Canada has
committed itself to greater citizen involvement in the
law-making process, and several departments now conduct pre-Parliamentary
consultations on draft bills. The new Cabinet Directive on Law-Making
states that ministers "may wish to consult on the basis of draft
bills" and that, if they do, their intention should be stated in the
Memorandum to Cabinet and that Cabinet should be asked to agree to this
consultation.
Challenge: Can departments improve their ability to consult with stakeholders
and other government departments?
Over the last 20 years, the Government of Canada has been committed to
greater public consultation in policy development. In addition to hearing
witness and expert testimony on draft legislation – a traditional aspect of
the Parliamentary process – governments have committed themselves to fostering
more public consultation throughout the policy development process.
Consultation overlaps with the challenge function, but is distinct. A
challenge entails a pointed critique of a given initiative, probing for weakness
and gaps. This certainly happens during consultations, however, increasingly,
they function to develop a common, shared definition among stakeholders of the
problem, the options and the ultimate solution.
The regulation-making process is clearly designed to ensure that consultation
takes place in the development of regulatory initiatives. Nevertheless, more
could be done to enhance consultations. Discussions with stakeholders could be
integrated into each stage of the process rather than merely being tagged on.
Some ways to improve consultations are:
More focussed consultations: Departments have genuinely adopted a
consultative culture. However, departments could be more successful in this if
they had detailed guidance on how to conduct and take greatest advantage of
consultations. Such consultations are particularly important at the outset of
the policy development process in order to help determine the instrument choice
or the administrative vehicle for implementation.
Transparency: Departments control how the results of consultations are
reported. To enhance transparency, departments could publicize these results so
that all participants have a formal record of the positions and issues.
A project management approach to consultations: Stakeholders expect clear
objectives, predictability, dependability and timeliness of consultations. To
achieve these ends departments could develop: departmental guidelines or quality
standards, guidelines on consultation summaries, departmental registries of
on-going consultations and when they began, and programs to support the
inclusion of a broader range of public interest groups.
Challenge: Can implementation planning and performance measurement and
reporting in the law-making process be enhanced?
Implementation planning and performance reporting are critical to good policy
making and governance for several reasons.
Good policies poorly implemented can lead to problems: Even if well
designed, a policy, statute or regulation will fail to achieve the desired ends
if it is poorly implemented.
Improving the government’s ability to develop good policies depends on
knowledge of past experiences: Policy makers require information on how
policies, programs, etc., performed in the past in order to develop better
initiatives in the future.
Limited resources encourage alternative delivery mechanisms: The public
continues to demand certain services, even though resources are constrained, and
one answer is the consideration of alternative delivery mechanisms.
Alternative service delivery needs to be assessed: Departments should
base such initiatives on an analysis of the past performance of similar
initiatives.
Modes of governance are changing: The Government now focusses more on
satisfying clients and producing results when delivering public services.
Law-making and policy development should also reflect this orientation where
appropriate.
The key principle that underlies all these rationales is accountability to
Parliament and to the public. The Government recently undertook a number of
linked initiatives to increase accountability and to encourage better program
performance and reporting.
Program Review: This initiative used six tests to encourage the most
effective and cost-efficient way of delivering programs and services. The first
four addressed implementation. (Does the program serve the public? Is government
involvement necessary? Is government involvement required? Is there scope for
partnerships?).
Getting Government Right: A key element of this renewal agenda has been
determining the appropriate government role in delivering programs and services.
Framework for Alternative Service Delivery: A Treasury Board guide has
been developed to assist departments to select and design organizational and
management strategies to achieve service improvement and high performance.
Improved Reporting to Parliament Project: As mentioned earlier, this
initiative, launched in 1996, has replaced Part III of the spending estimates
with two annual departmental reports to Parliament – one in the spring on
plans and priorities and one in the fall on performance under this project,
Performance Reports for all departments were first tabled in November 1997.
To achieve its goals and improve policy making, the Government is focussing
more on planning the implementation of legislation and policies, delivering
services, reporting on results, and integrating this information into the
policy, statute and regulation development processes.
A number of on-going initiatives address different aspects of the
implementation and reporting function. The issues in this area are perhaps
broader and more long-term than those previously outlined. They centre around
improving existing tools and extending modern management concepts to the legal
instrument.
Implementation issues arise in all three of the processes discussed in this
report – policy development, statute development and regulation development
– but are sometimes neglected as a distinct focus for analysis, planning, and
reporting. How an initiative is implemented usually depends on the nature of the
policy issue, the policy instrument and the department. From a management
perspective, the issue is how to support better planning of implementation and
how to improve information flows regarding the initiative.
Recent initiatives have aimed for a results-oriented management system,
coupled with new frameworks for alternative service delivery and quality
standards. A client and service orientation is at the heart of all of these
initiatives. To date, the focus of these initiatives has not directly included
statutes and regulation, even though these instruments can be viewed from a
service perspective. Stakeholders have expressed concern with inefficient,
ineffective or unresponsive regulation. Therefore, it may be helpful to apply
service and quality standards to legal instruments.
While some steps have been taken to help service delivery officers think
about law and legislative officers to think about service, it is still uncertain
about how best to apply the tools of modern management to legislative affairs
– how far, for example, to extend the idea of alternative service delivery to
law.
Performance reporting is an evolving process. As noted above, the new reports
on plans and priorities and on performance have improved reporting by
encouraging the tabling of more accessible and useful information. As part of
this effort, after 1997, key regulatory initiatives reported under the former
federal regulatory plan have been incorporated into the annual departmental
reports to Parliament. The intent is to illustrate more clearly the linkages and
results of regulatory efforts and policy objectives. The Treasury Board
Secretariat continues to work with departments to improve the process, outcome
and relevance of how departments report their plans and results, including work
on departmental and interdepartmental accountability frameworks.
Because this new reporting regime is still developing, departments must
continue to adjust their performance measurement strategies to meet new
informational demands. Given these constraints, and despite the advantages of
the new formats of the reports to Parliament, the content of the performance
reports are still evolving.
Challenge: How can the accountability framework of law-making be more clearly
articulated and enhanced?
Much of government is based on certain core accountability relationships that
determine who reports to whom, when, and how. Some of these traditional
relationships are changing, or may need to change to promote better law-making
and governance.
Departmental "stovepipes": Accountability to the Crown through
the minister has a profound effect on how officials perceive their roles and
responsibilities. They tend to orient themselves "vertically" – that
is, respond to the demands of their superiors and their own departments. This is
natural and desirable but can sometimes discourage early consultations or team
approaches to policy development across departmental or agency lines.
Public’s role: Public demands for participation and influence in the
policy process are increasing, as is the technological capacity to consult
directly with the public. Policy makers need to take these factors into account.
Role of officials: Previously, officials could assume that their
obligation was to listen to the public's views and simply convey them to
decision-makers. However, a more active public is changing the role of officials
considerably. They are becoming facilitators and, to a degree, partners in the
policy development process.
Parliament: A key issue is the balance between the Government’s need
for flexibility and the country’s need to maintain democratic accountability.
A tool that gives government flexibility is framework legislation; it outlines
policy and delegates authority for the details to those who make regulations.
The frequent use of framework legislation needs to be balanced with clear
reporting and accountability back to Parliament on the outcomes of the
Government’s interventions. As mentioned earlier, the new reports to
Parliament (plans and priorities and performance reports) respond to this, in
part, by improving information flows to Parliament and by giving the legislature
a better basis for critiques of departmental performance.
Challenge: Can departmental capacity be further developed to more effectively
manage the making of laws?
Capacity, in the context of this paper, is defined as knowing whether, when,
and how to use policy instruments (particularly the legal instrument) to achieve
the public policy objectives of government. Capacity building, in this sense,
includes all those activities that develop and sustain the capacity to use the
legal instrument wisely and well. It implies the development of an on-going
store of human, organizational, and informational resources that can grapple
with governance reform issues over the long term.
Capacity building efforts might be focussed in the following areas:
Senior management: The public service is undergoing profound change
because of extensive reforms to how policies are made and implemented and how
programs and services are delivered. With so many simultaneous changes underway,
departments will have to strive to maintain capacity to ensure success in
regulatory reform initiatives.
Information and data: The measurement of objectives depends on
specialized databases. Past experience has shown that programs have sometimes
been introduced without proper consideration of the information and data systems
required to measure, assess and report program results.
Job aids: Departments may require tools to promote an in-depth
understanding among their people of the policy development, legislative and
regulation-making processes and the requirements for planning and managing
legislative initiatives.
Staff development: Central agencies, departments and other agencies need
good leadership at all levels. In order for law-making reform initiatives to
succeed, each department and agency requires at least one key leader who is
knowledgeable, experienced, able and motivated to ensure success.
Communications: All members of the public service should be continually
reminded of the principles of the regulatory policy and the need to consider
regulation as part of the continuum of policy development. As well, the public
needs access to information on legislative initiatives in a timely fashion.
Part 4: Responding to the Challenges
The Steering Committee on the Legislative and Regulatory Processes has
revised the Cabinet Directive on Law-Making and is overseeing the
redevelopment of the Guide to Making Federal Acts and Regulations to
reflect this new directive. The Guide will do more than simply describe
in detail the legislative and policy development processes. It will provide a
project management approach to the process of transforming policy into
legislation, a checklist for legislative drafters, and project management
advice. These two documents – the Cabinet Directive on Law-Making and
the Guide to Making Federal Acts and Regulations – are intended to
enhance planning and management capacities across government. The Steering
Committee continues to look into government consultation processes and
techniques as related to draft legislation and to issues of capacity building
focussed on areas such as job aids and staff development.
The Challenge Team has developed detailed maps of the law development process
– from policy through statute to regulation. Based on this work, the Canadian
Centre for Management Development, with the support of central agencies has
undertaken to produce a prototype multi-media learning program for policy
developers. This tool is intended to guide policy makers in addressing the many
issues they may face in developing laws.
In addition, measures have been taken to enhance accountability and the
machinery for regulatory development. A significant step, the Regulatory Affairs
& Orders in Council Secretariat was established within the Privy Council
Office in the fall of 1998.
As well, responsibility for the Federal Regulatory Policy was transferred, in
June 1999, to the Special Committee of Council from the Treasury Board, further
consolidating responsibility and accountability for regulatory governance.
In the fall of 1999, in light of its success in addressing these governance
issues, the Challenge Team set a new agenda for the next 24 months focused on
horizontal issue management in the area of regulations and law-making cutting
across departmental responsibilities, namely:
- Promoting Canada’s International Competitiveness: The Team will
benchmark key regulatory programs against those of our major trading
competitors. As well, the Challenge Team has recommended Canada’s
participation in an OECD review of Member countries' regulatory
management, including regulatory processes, telecommunications,
competition policy, and market openness.
- Enhancing Coordination and Consideration of Risk Management Issues:
The committee is exploring the possibility of serving as a key
senior-level forum for the exchange of experiences, debate, and common
understanding of horizontal management of risk.
- Considering Alternative Instruments to Effect Public Policy
Objectives: The Team will examine innovative approaches to
government intervention through a series of case studies. This work will
result in a better understanding of the array of instruments available
(information, tax, law, voluntary codes, etc.) used to effect public
policy objectives and of factors critical to their successful
implementation.
- Reviewing Compliance With the Regulatory Policy: The Challenge
Team wants to reinforce effective compliance with the requirements of
the Regulatory Policy, particularly to ensure transparency and
stakeholder engagement. In particular, the Team will be looking at the
effectiveness of the RPMS and the RIAS in support of the Regulatory
Policy.
The Regulatory Affairs & Orders in Council Secretariat in support of the
work of the Challenge Team continues to:
- work with departments to strengthen information provided to SCC;
- provide a challenge function to regulatory proposals;
- support an integrated and comprehensive approach to the consideration of
regulatory issues and policy; and
- consider and manage horizontal issues related to regulation and
regulatory governance.
The Challenge Team’s program of work is intended to contribute to the
enhancement of horizontal issue management, and to reinforce public engagement
and collaboration in the areas of law-making and governance. Considering the
broad range of issues being addressed by this committee, it adopted a new title,
the Deputy Ministers' Challenge Team on Law-Making & Governance.
Part 5: Concluding Remarks
This report has taken stock of the issues which law-makers currently face.
The suggestions for future work are by no means exhaustive, but are intended to
contribute to continuing efforts to improve how legislation is developed and
implemented. The report has helped to consolidate thinking on governance issues
and contribute to determining the Deputy Ministers’ Challenge Team agenda for
the future.
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