Judgments

Decision Information

Decision Content

A-560-91
Alcan Aluminium Limited, Minister of the Environment, Minister of Indian Affairs and Northern Development, Minister of Fisheries and Oceans, and Minister of Transport (Appellants)
v.
Carrier-Sekani Tribal Council, Marvin Charlie, Chief of the Cheslatta Indian Band, on behalf of himself and all other members of the Cheslatta Indian Band, Maureen Ogen, Chief of the Broman Lake Indian Band, on behalf of herself and all other members of the Broman Lake Indian Band, Geoffrey Thomas, Chief of the Stoney Creek Indian Band, on behalf of himself and all other members of the Stoney Creek Indian Band, Peter Quaw, Chief of the Fort George Indian Band, on behalf of himself and all other members of the Fort George Indian Band, Ernie Nooski, Chief of the Fraser Lake Indian Band, on behalf of himself and all other members of the Fraser Lake Indian Band, Robert Michell, Chief of the Stellaquo Indian Band, on behalf of herself [sic] and all other members of the Stellaquo Indian Band, Leonard Thomas, Chief of the Necoslie Indian Band, on behalf of himself and all other members of the Necoslie Indian Band, Edward John, Chief of the Tl'azt'en Nation Indian Band, on behalf of himself and all other members of the Tl'azt'en Nation, Roy French, Chief of the Takla Lake Indian Band, on behalf of himself and all other members of the Takla Lake Indian Band, Wilf Adam, Chief of the Lake Babine Indian Band, on behalf of himself and all other members of the Lake Babine Indian Band, Robert Charlie, Chief of the Burns Lake Indian Band, on behalf of himself and all other members of the Burns Lake Indian Band (Respondents)
A-561-91
Alcan Aluminium Limited, Minister of the Environment, Minister of Indian Affairs and
Northern Development, Minister of Fisheries and Oceans, and Minister of Transport (Appellants)
v.
Save the Bulkley Society, Nechako Neyenkut Society, United Fishermen and Allied Worker's Union, B.C. Wildlife Federation, The Steelhead Society of British Columbia, Canadian Association of Smelter and Allied Workers (Respondents)
INDEXED AS: CARRIER-SEKANI TRIBAL COUNCIL V. CANADA (MINISTER OF THE ENVIRONMENT) (CA.)
Court of Appeal, Heald, Marceau, and Linden B.A. —Vancouver, December 16, 17, 18, 19 and 20, 1991, and April 8, 9 and 10, 1992; Ottawa, May 8, 1992.
Environment — Kemano Completion Project (KCP) for expansion of hydro-electric facility on Nechako River to supply Alcan smelter at Kitimat — Whether subject to Environmental Assessment Review Process Guidelines Order (EARPGO) — Order in council declaring project not subject to EARPGO — Ministers of Transport and Fisheries and Oceans giving clear ances under Navigable Waters Protection Act and Fisheries Act — Supreme Court deciding in Oldman River case EARPGO applying where exercise of ministerial power or duty legally necessary to execution of project — Ministerial exemp tions not such power or duty — Finding of fact not constituting exercise of regulatory power.
Judicial review — Equitable remedies — Declarations — Motions Judge holding order in council ultra vires on applica tion for certiorari against named ministers — Granting orders of certiorari and mandamus upon hearing of preliminary motion to strike — Decision declaratory in nature — Declara tion against order in council only available by action against Attorney General — Certiorari remedy for administrative actions, not legislative enactments — Granting orders without hearing substantive defence denial of right to be heard.
Constitutional law — Governor in Council enacting by sub sequent order in council EARPGO not applying to specific pro ject — Whether subsequent order ultra vires — Delegate empowered to enact subordinate legislation able to dispense
from such legislation in absence of directory language in ena bling statute.
This was an appeal and cross-appeal from a Trial Division decision granting applications for certiorari and mandamus.
In 1967, Alcan dammed the Nechako River in west-central British Columbia to furnish electricity for its smelter at Kiti- mat. In 1979, the Department of Fisheries and Oceans brought an action against Alcan in the Supreme Court of British Columbia, in which the Attorney General of British Columbia was joined, to enforce water flows through the dam. That liti gation was settled in 1987. Pursuant to the Settlement Agree ment, the Governor in Council passed regulations directing the Minister of Fisheries and Oceans to exercise, consistently with the Agreement, his discretion to approve Alcan's works on the Nechako and enacting (by SOR/90-729) that the Environmen tal Assessment Review Process Guidelines Order did not apply to the subsequent phase of those works, called the Kemano Completion Project (KCP). The Minister of Fisheries and Oceans issued an opinion, under subsection 20(10) of the Fish eries Act, that the water flows anticipated from the KCP would be sufficient for the safety and spawning of fish. The Minister of Transport issued exemption and approval orders under the Navigable Waters Protection Act.
The respondents seek to have the KCP subjected to a full environmental review. They had brought an action in Federal Court in April, 1988, but have taken no steps to move it for ward since Alcan filed its statement of defence in May, 1989. The instant proceedings were commenced in October, 1990 by originating motions. The applications were for certiorari and mandamus against the execution of the Agreement, the minis terial approvals, and, by subsequent amendment to the applica tions, SOR/90-729. The appellants brought motions to strike. After the hearing on the preliminary motions, the Motions Judge dismissed the motions to strike and granted the principal applications.
Held, the appeals should be allowed, the cross-appeal denied.
The cross-appeal is from the Motions Judge's failure to make the rights guaranteed to native peoples under section 35 of the Constitution Act, 1982 a ground for the relief granted; but an appeal can only be against a decision, and not the rea sons for the decision.
The vires of an order in council can only be attacked in an action against the Attorney General. The Ministers named in the applications do not represent the Governor in Council. An order giving effect to the challenge mounted against the order in council—that it is ultra vires and contrary to the Constitu- tion—is declaratory in nature, and the summary procedure of
originating motion cannot be used to seek a declaration, but only to apply for a prerogative writ, such as certiorari. Certio- rari is a remedy for the review of administrative decisions, not legislative acts. While the respondents argue that what is chal lenged is the recommendation which resulted in the adoption of the order, that recommendation cannot be challenged inde pendently of the order, the only legal instrument to which effect can be given.
The hearing before the Motions Judge was devoted entirely to the preliminary motions to strike. Appellants' counsel did not address, and was not given an opportunity to address, the substantive issues raised by the originating applications. This deprived the appellants of their right to place before the Court all their means of defence. The Motions Judge was not entitled to grant the orders sought before the appellants had been afforded a full opportunity to present their case.
None of the challenged ministerial actions constituted deci sions capable of bringing the project within the purview of the EARP guidelines. The EARPGO requirements apply to "pro- posals", defined to mean any "initiative ... for which the Gov ernment of Canada has a decision-making responsibility". The applicable law is Friends of the Oldman River Society v. Canada (Minister of Transport), recently decided by the Supreme Court of Canada. The Court held that the Guidelines are not brought into play whenever there is some potential environmental effect on a matter of federal jurisdiction. They apply in all cases where Parliament has conferred upon a fed eral minister the power and duty to give or refuse permission to carry on a work, or to regulate the way in which it will be carried on, ministerial permission being a pre-condition to the execution of the work. The signing of the Settlement Agree ment by the Minister of Fisheries and Oceans was not such an exercise of power. The decision to settle was an executive decision of the Governor in Council, effected by order in coun cil. Similarly, the issuance of an opinion that the volume of water to be released was sufficient for the downstream fishery was not an approval of proposed works, but a direction as to how existing and proposed works should be operated to satisfy the statutory obligations on the owner, so that the Minister would not consider it his duty to intervene. The declarations of exemption under the Navigable Waters Protection Act were based on the Minister of Transport's finding of fact that the works would not interfere substantially with navigation, and the legal consequence of that fact is that the Minister has no regulatory power or duty under the Act. The making of a find ing of fact is not an exercise of regulatory power.
Order in council SOR/90-729 is, on its face, a bar to the relief sought by the respondents. Whether the order in council be characterized as an amendment to the EARP Guidelines or as a clarification of their scope, it was clearly authorized by
Parliament under section 6 of the Department of the Environ ment Act. The power to adopt regulations necessarily includes the power to clarify or vary them. While a minister has no power to dispense from the operation of the law, a delegate empowered to make subordinate legislation may dispense from the rule he makes, in the absence of directory language in the statute. Just as the original Guidelines could have been enacted with an exempting provision for the Project, the same result may equally be achieved by a later regulation. If the purpose of the Act has not been breached, there can be no question of bad faith in the enactment of SOR/90-729. It cannot be said that the Government was in breach of its fiduciary duty toward aborig inal peoples without knowing the exact content of that duty. There is nothing in the record to indicate that the Govern ment's duty to the aboriginals could be fulfilled only by the application of the EARP Guidelines to the KCP. The doctrine of legitimate expectation does not apply as there is no promise from someone in authority on which reliance was placed by the respondents. Furthermore, the doctrine applies only to administrative procedure; it has no bearing on the validity of a legislative enactment.
STATUTES AND REGULATIONS JUDICIALLY CONSIDERED
Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.) [R.S.C., 1985, Appendix II, No. 44], s. 35.
Department of the Environment Act, R.S.C. 1970 (2nd
Supp.), c. 14, s. 6 (as am. by S.C. 1978-79, c. 13, s. 14). Department of the Environment Act, R.S.C., 1985, c.
E-10, ss. 4, 5, 6.
Environmental Assessment and Review Process Guide lines Order, SOR/84-467.
Federal Court Rules, C.R.C., c. 663, RR. 321.1 (as enacted by SOR/88-22l, s. 7; as am. by SOR/90-846, s. 8; SOR/92-43, s. 4), 419, 1203 (as am. by SOR/79-57, s. 20).
Fisheries Act, R.S.C. 1970, c. F-14, ss. 20(10), 33.1 (as enacted by R.S.C. 1970 (1st Supp.), c. 17, s. 3; S.C. 1976-77, c. 35, s. 8).
Fisheries Act, R.S.C., 1985, c. F-14, ss. 22(3), 37. Government Organization Act, 1979, S.C. 1978-79, c. 13, s. 6.
Kemano Completion Project Guidelines Order, SOR/90- 729.
Kenney Dam and Skins Lake Spillway Orders Regula tions, SOR/87-723.
Navigable Waters Protection Act, R.S.C., 1985, c. N-22, ss. 5(2), 10(2).
Utilities Commission Act, S.B.C. 1980, c. 60.
CASES JUDICIALLY CONSIDERED
APPLIED:
Friends of the Oldman River Society v. Canada (Minister of Transport), [1992] 1 S.C.R. 3; [1992] 2 W.W.R. 193; (1992), 7 C.E.L.R. (N.S.) 1.
REFERRED TO:
Attorney General of Canada et al. v. Aluminum Co. of Canada et al.; B.C. Wildlife Federation, Intervenor (1987), 35 D.L.R. (4th) 495; [1987] 3 W.W.R. 193; 10 B.C.L.R. (2d) 371; 26 Admin. L.R. 18; 15 C.P.C. (2d) 289 (B.C.C.A.); rev'g [1987] 1 C.N.L.R. 10; (1986), 15 C.P.C. (2d) 8 (B.C.S.C.).
AUTHORS CITED
Hogg, Peter W. Constitutional Law of Canada, 2nd ed., Toronto: Carswell Co. Ltd., 1985.
APPEAL AND CROSS-APPEAL from an order of the Trial Division (1991), 6 C.E.L.R. (N.S.) 265, allowing applications for certiorari and mandamus. Appeal allowed, cross-appeal dismissed.
COUNSEL:
Brian J. Wallace, Q.C. and Ron A. Skolrood for appellant Alcan Aluminium Limited.
H.J. Wruck, Q. C. and Valerie Osborne for appel lants Minister of the Environment, Minister of Indian Affairs and Northern Development, Min ister of Fisheries and Oceans, and Minister of
Transport.
Arthur Pape and John Rogers for respondent
Carrier-Sekani Tribal Council.
Martin L. Palleson for respondent Save the
Bulkley Society.
SOLICITORS:
Lawson, Lundell, Lawson, Vancouver, for appel lant Alcan Aluminium Limited.
Deputy Attorney General of Canada for appel lants Minister of the Environment, Minister of Indian Affairs and Northern Development, Min ister of Fisheries and Oceans, and Minister of Transport.
Pape & Salter, Vancouver, for respondent Car- rier-Sekani Tribal Council.
Ferguson, Gifford, Vancouver, for respondent Save the Bulkley Society.
The following are the reasons for judgment ren dered in English by
MARCEAU J.A.: Two appeals and a cross-appeal are before the Court. They are all directed against a deci sion of a Motions Judge in the Trial Division issuing various orders in the nature of certiorari and manda- mus. At the root of the proceedings is the construc tion of the so-called Kemano Completion Project, the second phase of Alcan Aluminium Limited's ("Alcan") hydro-electric generation facilities and alu minum reduction facilities in west-central British Columbia. Several parties are involved in the pro ceedings. On one side, with Alcan, are four ministers of the federal Crown: Environment, Fisheries and Oceans, Transport, Indian and Northern Affairs ("appellant Ministers"), who are said to have illegally allowed the Project to proceed. On the other side stand the Carrier-Sekani Tribal Council and the Chiefs of eleven Carrier Indian bands representing themselves and their members ("the Tribal Council"), together with a coalition of environmental and fishing interests led by the Save the Bulkley Society ("the Save the Bulkley Society"), who attack the Ministers' actions and seek a federal environmental review of the Project. The issues are numerous and complex and, to be properly addressed, they need to be care fully put in context. This will require a complete review of the facts that have led to the litigation and a history of the proceedings themselves.
Factual Background The Existing Facilities
In 1950, Alcan reached an agreement with the Government of British Columbia relating to the con struction of hydro-electric and aluminum reduction facilities in west-central British Columbia. The com pany was given the right to store and direct water flows in the Nechako and Nanika Rivers. Prior to commencing construction of the first phase of its pro ject, the company held discussions with the federal Department of Fisheries that culminated in 1952 with
the Minister's determination that minimum water flows could be met by the release of 100 cubic feet per second into the Nechako River through a spillway to be dug at Skins Lake.
Work was completed in 1967. The essential feature of these primary facilities was a dam (the Kenney Dam) controlling the flow of the eastward running Nechako River which permitted the storage of a large quantity of water in a reservoir (the Nechako Reser voir) and the diversion of some of it westward to a powerhouse at Kemano whose function was to supply electricity to an aluminum smelter plant at Kitimat.
The Project of Expansion of the Facilities
During the 1970's, Alcan developed a plan for the second phase of its facility which called for the expansion of its capacity to store and divert water from both the Nechako and Nanika Rivers. The plan came to be known as the Kemano Completion Project or the KCP.
The Dispute with the Federal Authorities
In 1979, the federal Department of Fisheries and Oceans became concerned about the level of water released into the Nechako River from the existing facilities, particularly through the Skins Lake spill way. When Alcan disputed the validity of the Depart ment's analysis, the Attorney General of Canada commenced an action in the Supreme Court of Brit- ish Columbia and obtained a mandatory injunction forcing the company to meet certain water flows. Alcan opposed the action and filed a counterclaim. The Attorney General of British Columbia was then joined as a defendant. As time passed, Alcan, in 1983, determined to go ahead with the KCP in spite of the pending action, applied for an energy project certificate pursuant to the provincial Utilities Com mission Act, S.B.C. 1980, c. 60. Alcan later post poned its application and, in an attempt to come to a full agreement with the federal authorities, submitted,
for the Department's consideration, water flow stud ies it itself had conducted.
While the litigants were attempting to resolve their dispute, other parties indicated an interest in the mat ter. In 1984, the Tribal Council advised the Minister of Indian Affairs that the management of the Nechako River system would be a central issue in their forthcoming land claim negotiations. In June 1985, after Alcan filed a revised counterclaim, the Tribal Council even sought to be added as a party to the pending action but were eventually denied by the British Columbia Court of Appeal on the ground that the litigation dealt with a constitutional question, the resolution of which could not impair the legal posi tion of the Indians. 1
The action finally came to trial in August 1987. The main issue was the scope of the Minister of Fish eries and Oceans' power to control flows on the Nechako River under the Fisheries Act, R.S.C., 1985, c. F-14; there were also some subsidiary issues, such as the quantity of water actually released and the level of flow required for the protection of the fish.
The Settlement of the Litigation
On September 14, 1987, at the beginning of the third week of the trial, the three parties to the action, the Queen in Right of Canada, the Queen in Right of British Columbia and Alcan, reached an agreement ("the Settlement Agreement") that effectively termi nated the litigation. Alcan gave up the rights con ferred on it in 1950 to dam and direct the flow into the Nanika River watershed as well as its rights to certain portions of the flow of the Nechako River; it also undertook to construct facilities that would enhance water quality in the river and promote the preservation of fish. In return, Alcan ensured the establishment of clear standards for the local fisheries
1 Attorney General of Canada et al. v. Aluminum Co. of Canada et al.; B.C. Wildlife Federation, Intervenor (1987), 35 D.L.R. (4th) 495 (B.C.C.A.); rev'g [1987] 1 C.N.L.R. 10 (B.C.S.C.).
resource, something it needed to complete its expan sion; and, to that effect, an opinion was immediately issued by the Minister of Fisheries and Oceans, pur suant to subsection 20(10) of the Fisheries Act [R.S.C. 1970, c. F-14], stating that, provided certain remedial measures were taken, current water flows and the flows associated with KCP in the Nechako River would be sufficient for the safety and spawning of fish. 2 It was also agreed that a committee formed by representatives of each of the three parties would have the responsibility of supervising and managing water flows on the Nechako River.
On December 10, 1987, the Governor in Council issued orders in council P.C. 1987-2481 and 1987- 2482 [Kenney Dam and Skins Lake Spillway Orders Regulations, SOR/87-723]. The first order, passed pursuant to section 6 of the Government Organization Act, 1979 [S.C. 1978-79, c. 13], approved the Settle ment Agreement; the second order, passed pursuant to paragraph 33.1(3)(b) [as enacted by R.S.C. 1970 (1st Supp.), c. 17, s. 3; S.C. 1976-77, c. 35, s. 8] (now paragraph 37(3)(b)) of the Fisheries Act, directed the Minister to exercise his powers under subsection 33.1(2) [as enacted idem] (now subsection 37(2)) of the Act in a manner consistent with the Settlement Agreement and the written opinion he had given under subsection 20(10) of the said Act.
The Aftermath of the Settlement Agreement
On April 14, 1988, an action was commenced in the Federal Court by the Save the Bulkley Society and other plaintiffs, directed against Her Majesty the Queen in Right of Canada, the Minister of Fisheries and Oceans and the Attorney General of Canada, challenging the validity of the Settlement Agreement. An amendment to the statement of claim filed on June 8, 1988 alleged that the Settlement Agreement was invalid on the grounds inter alia that it consti tuted an unlawful delegation and/or fettering of the Minister of Fisheries and Oceans' discretion under the Fisheries Act. Alcan obtained approval to be
2 This is one of the Ministers' actions to be reviewed, so I will come back to it later.
added as a defendant in the litigation and filed its statement of defence on May 5, 1989. Since then, the plaintiffs have taken no further steps in the action.
On August 10, 1988, Alcan, now in possession of the necessary provincial authorization, announced its intention to proceed with the expansion of its power generating facilities. In due course, construction of the KCP commenced in the fall of 1988.
Certain of the works associated with the KCP involved construction in or across navigable waters. With respect to those works, the Minister of Trans port issued, during 1988 and 1989, a series of "exemption orders" pursuant to subsection 5(2) of the Navigable Waters Protection Act, R.S.C., 1985, c. N-22. One other work called for modifications to the existing spillway, and with respect to it the Minister of Transport also issued an "approval" under subsec tion 10(2) of the same Act. 3
On October 12, 1990, the Governor in Council passed, as recommended by the Minister of the Envi ronment on October 4, 1990, the Kemano Completion Project Guidelines Order ("SOR/90-729"). This order provided that the environmental regulations, enacted pursuant to section 6 of the Department of the Environment Act [R.S.C. 1970 (2nd Supp.), c. 14; as am. by S.C. 1978-79, c. 13, s. 14; now R.S.C., 1985, c. E-10], by order in council SOR/84-467 and called the Environmental Assessment and Review Process Guidelines Order (the "EARP Guidelines" or the "Guidelines Order") did not apply to the KCP. It is often referred to as the "Exemption Order".
Construction of the KCP proceeded as planned until June 1991 when, as a result of the decision ren dered by the Motions Judge in the present proceed ings, Alcan moved to suspend work until such time as the appeal litigation is finally settled. By then, a large part of the project had been completed.
Procedural Background
The proceedings now before the Court were com menced in October 1990. The Save the Bulkley Soci-
3 They too will be discussed later.
ety were the first to file their originating motion on October 5; the Tribal Council filed theirs on October 11. Both groups, dissatisfied with the response of the Ministers to their requests for a full environmental review of the KCP, were moving against the Minis ters seeking orders quashing the Settlement Agree ment and the aforementioned ministerial actions taken under the Fisheries Act and the Navigable Waters Protection Act and enjoining a full environ mental review of the KCP, pursuant to the EARP Guidelines. On November 5, 1990, the parties con sented to a hearing on February 26, 1991.
There was no reference to SOR/90-729, the Exemption Order, in the applications and Alcan was not a party to them. On January 17, 1991, both the Tribal Council and the Save the Bulkley Society (the respondents herein) amended their respective originating motions with a view to adding to the list of orders sought one quashing SOR/90-729. A few days later, Alcan made an application to be joined as a respondent, which was granted.
In answer to the originating motions, Alcan and the Ministers (the appellants herein) filed a number of preliminary motions contending that the applica tions should be struck or, at least, that the hearing be postponed. On February 18, 1991, the Motions Judge, before whom the matter came, determined that it was preferable to adjourn the hearing to a special session to be held on February 26, 1991, at the outset of which the preliminary objections would be dealt with.
Accordingly, on February 26, 1991, the Motions Judge had before him the two originating motions for prerogative relief made by the Save the Bulkley Soci ety and the Tribal Council and the two preliminary motions to quash or postpone of the Ministers and Alcan.
In the originating motions, the relief sought, in spite of some variations in the wording, was to the same effect:
(a) An Order in the nature of certiorari quashing and setting aside the execution by the Minister of Fisheries and Oceans of the Settlement Agreement;
(b) An Order in the nature of certiorari quashing and setting aside the decision of the Minister of Fisheries and Oceans made pursuant to subsection 20(10) of the Fisheries Act;
(c) An Order in the nature of certiorari quashing and setting aside the following Declarations of Exemption and an Approval issued by the Minister of Transport pursuant to the Navigable Waters Protection Act.
(i) Declaration of Exemption dated June 22, 1989, File No. 8200-T-3489.1;
(ii) Declaration of Exemption dated July 24, 1989, File No. 8200-T-7558-1;
(iii) Declaration of Exemption dated September 26, 1989, File No. 8200-T-7560-1;
(iv) Declaration of Exemption dated December 15, 1989, File No. 8200-T-2768.2;
(v) Approval dated February 19, 1990, File No. 8200- 4560.
(d) An Order in the nature of mandamus requiring the respondent Ministers of Fisheries and Oceans, Transport, Indian Affairs and Northern Development, and Environment to comply with the EARP Guidelines and to subject the decisions noted in paragraphs (a) to (c) above to an environ mental screening and assessment pursuant to section 10 of the EARP Guidelines.
(e) An Order in the nature of certiorari quashing and setting aside the Kemano Completion Project Guidelines Order SOR/90-729.
In the preliminary motions, it was submitted prin cipally that the relief sought by the Save the Bulkley Society and the Tribal Council was not available on the applications as they stood, the Ministers contend ing that none of the orders contemplated could be issued while Alcan only challenged one, namely that related to the quashing of order in council SOR/90- 729. It was submitted, alternatively, that a trial on the issues should be heard, or at least an adjournment of this hearing granted, so as to permit Alcan and the Ministers to submit their own evidence addressing the allegations contained in the voluminous material filed in support of the originating motions.
A transcript of the three-day hearing is on file. At its conclusion, judgment was reserved.
On May 14, 1991, the learned Motions Judge handed down his decision: the preliminary motions to quash were denied and all the relief sought in the originating applications was granted. Appeals to this Court were immediately launched.
A cross-appeal, as I mentioned at the outset, was also filed with this Court. The Tribal Council regret ted that the Motions Judge had not added to the grounds on which he had found the order in council SOR/90-729 to be ultra vires the additional alleged ground that it was inconsistent with some constitu tionally protected rights of the native people pursuant to section 35 of the Constitution Act, 1982 [Schedule B, Canada Act 1982, 1982, c. 11 (U.K.) [R.S.C., 1985, Appendix II, No. 44]]. It was extremely doubt ful that such procedure was open to the cross-appel lant as a cross-appeal must be directed at the decision itself, not the reasons therefor (see Rule 1203 of the Rules of the Court [Federal Court Rules, C.R.C., c. 663, as am. by SOR/79-57, s. 20]). Besides, in the appeals themselves, the validity of the judgment a quo would have to be confirmed with respect to all the grounds raised in the originating motions. In any event, the cross-appeal was never pursued indepen dently of the appeals.
The appeal hearing lasted seven and a half days, five in December 1991 and two and a half in April 1992, during which every facet of all the legal problems arising were thoroughly addressed and dis cussed by a battery of first-class counsel. The written arguments covered hundreds of pages. Some of the discussion had to be reopened after the Supreme Court of Canada, on January 23, 1992, handed down its long awaited judgment in the case of Friends of the Oldman River Society v. Canada (Minister of Transport) [[1 992] 1 S.C.R. 3] which was at the heart of all presentations and ought to be the primary gov erning authority for the disposition of the originating motions.
I see no reason, in these reasons for judgment, to review and discuss at length each and every submis sion made. After analysis and reflection, I have come to the view that—if I have grasped the facts properly and if my understanding of the legal principles
involved, particularly the teachings of the Supreme Court in the Oldman River case, is correct—these appeals can be disposed of on the basis of arguments less complex and involved than the extended and knowledgeable presentation of counsel would make one believe. I intend to carefully limit myself to stat ing my conclusions and explaining clearly, but as briefly as possible, the approach and legal reasoning that support them.
The appellants place their several grounds of attack against the Motions Judge's decision under three gen eral allegations. First, they say that the Motions Judge erred in refusing to strike out paragraph 5 of the originating motions. Second, they contend that, in deciding to immediately consider the originating motions, the Motions Judge denied them a full and fair hearing. Third, they submit that, in any event, the relief sought in the originating motions could not be granted. While each allegation may lead to the grant ing of the appeal, obviously each of them do not have the same scope and, thus, cannot lead to the same final disposition. Each must be analysed separately but, in view of my conclusion on the third one, I will deal with the first two quickly.
I
Paragraph 5 of each of the originating motions sought an order quashing SOR/90-729. In the appli cation of the Tribal Council, it reads as follows:
(5) To the extent necessary, an order in the nature of certio- rari quashing and setting aside the Kemano Completion Pro ject Guidelines Order, S.O.R./90-729, on the grounds that it is ultra vires Section 6 of the Department of the Environ ment Act; or it was made in bad faith because it breached fiduciary duties the Respondents owed to the Applicants, to comply with S.O.R./84-467 before taking decisions or actions which might adversely affect Applicants' rights or interests; or it is inconsistent with the recognition and affir mation of the Applicants' existing aboriginal rights in Sec tion 35 of the Constitution Act, 1982.
In the application of the Save the Bulkley Society, the same relief was sought but set out differently:
(5) An order in the nature of certiorari quashing and setting aside the Kemano Completion Project Guidelines Order, SOR/90-729 for breach of the duty of fairness.
The appellants contend that an order of the Gover nor in Council could be the subject of a judicial attack only in a proceeding directed against the Attorney General; that such an order passed in the exercise of a legislative function is not reviewable by certiorari; and that, in any event, the relief sought, which is really a declaration, is only available in pro ceedings commenced by way of action.
I think that each of these three procedural objec tions has validity. There is no doubt that the Minis ters against whom the proceedings are directed do not and cannot act as the legal representatives of the Governor in Council. The Deputy Attorney General appeared and acted for the respondent Ministers, as it was his legal responsibility to do, but he was not there on behalf of the Attorney General of Canada and even less so on behalf of the Cabinet and the Governor in Council. It is clear to me also that, how ever broad its scope may have become, certiorari is a common law remedy which was developed and still exists to review administrative determinations or decisions, not legislative prescriptions. And above all, it is well established that the summary procedure of originating motion can only be used to seek a pre rogative writ, not a declaratory remedy.
The respondents' reply that what is really chal lenged is the recommendation of the Minister of the Environment which resulted in the adoption of the order in council rather than the Order itself is, in my view, of no avail. The recommendation of the Minis ter has no force of law in itself and cannot be isolated and challenged independently of the order in council which is the only legal instrument to which effect can be given. Likewise, it is no answer to say that the objections are not substantive, as if we were dealing
with a usual motion to quash directed against a state ment of claim and based on the contention that the allegations made reveal no reasonable cause of action. The objections are indeed of a procedural nature, but it would be a mistake to look at them as being merely technical as some basic requirements of the proper administration of justice are directly involved. The importance and possible consequences of a challenge to the validity of an order in council are too great to permit it to be done via a short-cir cuited route and without all the normal procedural safeguards. And finally, it is specious to argue that no formal declaration was sought or made. The order in council was being challenged on the basis that it was ultra vires, enacted in bad faith and contrary to sec tion 35 of the Constitution; a court order giving effect to any such challenge is certainly declaratory in nature.
In my judgment, therefore, the objections raised by the appellants as to the availability of the relief sought in paragraph 5 of the amended originating motions are all valid. Does it follow that the Motions Judge had no choice but to strike out in both applica tions the impugned paragraph? I do not think so. The usual motion to strike made pursuant to Rule 419 of the Rules of the Court and directed against an action will normally lead to the dismissal of the proceeding. But, as pointed out before, the preliminary motions here were only analogous to Rule 419 motions; they were not based on the proposition that the respon dents herein had obviously no right to obtain the relief they were seeking, but merely that they had resorted to an inappropriate procedure. If it was pos sible to correct the situation by ordering that certain measures be taken, and no doubt that was the case, the striking out of the impugned paragraph would not only be unnecessary but could amount to a wrong remedy. What remains undeniable, however, is that the appellants are entitled to say that the Motions Judge could not, on the sole basis of the procedure before him, grant, as he did, the relief sought in para graph 5 of the two originating motions.
II
The appellants, as I said, do not leave it at that. They submit that the Motions Judge could not grant, as he did, any of the relief sought in the originating motions without breaching the most basic principle of natural justice. They refer to the transcript of the proceedings to show that the hearing was devoted exclusively to the preliminary motions to strike, fol lowing a determination that the originating motions themselves would be referred to the Associate Chief Justice for scheduling, a referral which would have allowed them to file material and to cross-examine on the affidavits relied on by the respondents herein. They did not address the issues raised by the originat ing motions, they say, and they were given no oppor tunity to do so. What apparently happened is that, fol lowing the completion of the hearing and during the course of his deliberations, the learned Motions Judge came to the conclusion that he could deal with the substantive issues, despite not having heard from counsel in respect thereto, since all the material nec essary to establish the factual background supporting the originating motions was already on file and to do so immediately would preclude further expensive and lengthy proceedings.
Counsel for the respondents do not deny that the issues raised by the originating motions were not squarely addressed at the oral hearing. They contend, however: first, that Alcan had dealt with these issues in their written submission filed prior to the hearing and that the federal Ministers had only themselves to blame if they had failed to do so contrary to the requirements of Rule 321.1 [as enacted by SOR/88- 221, s. 7; SOR/90-846, s. 8; SOR/92-43, s. 4]; sec ond, that the issues were almost entirely ones of law requiring little reference to factual material; and third, that the Motions Judge had the jurisdiction and the discretion to make immediate decisions and, in the context of the case as a whole, he had valid grounds to so exercise his discretion.
With respect, I disagree with counsel for the respondents. It seems clear to me, in reviewing the transcript, that the procedures adopted below may have had the effect of depriving the appellants of a complete and fair hearing. The audi alterarn partem rule is, of course, too fundamental to be tampered with for the sake of saving time and money. The appellants are right when they say that the Motions Judge was not entitled to grant the orders sought in the originating motions before they had been afforded a full opportunity to present their case.
This natural justice argument acquired even further substance in the course of the appeal hearing. In their amended notices of motion, the respondents had listed among the several ministerial decisions for which they were seeking certiorari a certain Approval dated February 19, 1990 granted to Alcan pursuant to the Navigable Waters Protection Act. During the hearing in the court below, counsel for the respondents had agreed to delete that Approval from the list; they had been led to believe that the docu ment was not relevant to the KCP by statements con tained in an affidavit filed by Alcan. The formal Trial Division decision still refers to this particular Approval (probably because the written motions had not been formally amended), but it was common ground that the issue was not before the Motions Judge who, in fact, does not refer to it anywhere in his reasons. In the course of the appeal hearing, how ever, it was realized that there had been some misun derstanding by all concerned since, in fact, the partic ular Approval was actually linked to the KCP and counsel for the respondents asked the Court for leave to withdraw their agreement not to attack it so as to revive the issue. Counsel for Alcan were prepared not to oppose the withdrawal, but they advised that they intended to adduce evidence to show the circum stances in which the Approval was issued with a view to arguing alternatively, if necessary, that its issuance was borne of an abundance of caution; it was not nec essary for the completion of the project.
In light of these flaws, there is no doubt in my mind that this Court could not uphold the conclusions of the learned Motions Judge without depriving the appellants of their right to place before the Court all their means of defence.
III
The appellants go even further. They submit that, in any event, on the face of the record as it stands, however unsatisfactory and incomplete it is, even adding the issue with respect to the February 19, 1990 Approval, the only conclusion the Motions Judge could reach was that the EARP Guidelines did not apply to any of the impugned ministerial actions identified in the applications as having been made in relation to the Kemano Completion Project, so that the remedies sought in the originating motions could not be granted. In my judgment, this final and deci sive submission is also correct.
Indeed, as I see it: (a) none of the impugned minis terial actions which are said to have triggered the application of the EARP Guidelines to the KCP con stituted decisions capable of bringing the KCP within the purview of the Guidelines; and (b) if there was any doubt to that effect, order in council SOR/90-729 would have definitely settled the matter.
(a) The actions were not decisions within the mean ing of the Guidelines.
Section 6 of the EARP Guidelines provides that the requirements set out therein apply only to "pro- posals", a term which, pursuant to section 2, means "any initiative, undertaking or activity for which the Government of Canada has a decision-making responsibility". The Supreme Court of Canada, in its recent judgment in the Oldman River case, was called upon to determine, for the first time, the scope of application of the Guidelines by commenting on that definition of the term "proposal" given by section 2. In writing the reasons for a unanimous Court (Mr. Justice Stevenson dissented on other issues), Mr. Jus tice La Forest, after having rejected a suggestion that
the Guidelines could be applicable only to projects where the federal government would be the promi nent or sole decision-making authority, wrote as fol lows, at pages 47-50:
That is not to say that the Guidelines Order is engaged every time a project may have an environmental effect on an area of federal jurisdiction. There must first be a "proposal" which requires an "initiative, undertaking or activity for which the Government of Canada has a decision making responsibility". (Emphasis added.) In my view the proper construction to be placed on the term "responsibility" is that the federal govern ment, having entered the field in a subject matter assigned to it under s. 91 of the Constitution Act, 1867, must have an affirm ative regulatory duty pursuant to an Act of Parliament which relates to the proposed initiative, undertaking or activity. It cannot have been intended that the Guidelines Order would be invoked every time there is some potential environmental effect on a matter of federal jurisdiction. Therefore, "responsi- bility" within the definition of "proposal" should not be read as connoting matters falling generally within federal jurisdiction. Rather, it is meant to signify a legal duty or obligation. Once such duty exists, it is a matter of identifying the "initiating department" assigned responsibility for its performance, for it then becomes the decision-making authority for the proposal and thus responsible for initiating the process under the Guide lines Order.
That there must be an affirmative regulatory duty for a "decision making responsibility" to exist is evident from other provisions found in the Guidelines Order which suggest that the initiating department must have some degree of regulatory power over the project. For example s. 12 provides:
12. Every initiating department shall screen or assess each proposal for which it is the decision making authority to determine if
(f) the potentially adverse environmental effects that may be caused by the proposal are unacceptable, in which case the proposal shall either be modified and subsequently rescreened or reassessed or be abandoned.
Again, s. 14 reads:
14. Where, in any case, the initiating department deter mines that mitigation or compensation measures could pre vent any of the potentially adverse environmental effects of a proposal from becoming significant, the initiating depart ment shall ensure that such measures are implemented.
Those provisions amplify the regulatory authority with which the Government of Canada must have clothed itself under an Act of Parliament before it will have the requisite decision- making responsibility.
Applying that interpretation to the present case, it will be seen that the Oldman River Dam project qualifies as a proposal for which the Minister of Transport alone is the initiating department. In my view the Navigable Waters Protection Act does place an affirmative regulatory duty on the Minister of Transport. Under that Act there is a legislatively entrenched regulatory scheme in place in which the approval of the Minis ter is required before any work that substantially interferes with navigation may be placed in, upon, over or under, through or across any navigable water. Section 5 gives the Minister the power to impose such terms and conditions as he deems fit on any approval granted, and if those terms are not complied with the Minister may order the owner to remove or alter the work. For these reasons I would hold that this is a "proposal" for which the Minister of Transport is an "initiating department".
There is, however, no equivalent regulatory scheme under the Fisheries Act which is applicable to this project. Section 35 prohibits the carrying on of any work or undertaking that results in the harmful alteration, disruption or destruction of fish habitat, and s. 40 lends its weight to that prohibition by penal sanction. The Minister of Fisheries and Oceans is given a discretion under s. 37(1) to request information from any per son who carries on or proposes to carry on any work or under taking that will or may result in the alteration, disruption or destruction of fish habitat. However, the purpose of making such a request is not to further a regulatory procedure, but is merely to assist the Minister in exercising an ad hoc delegated legislative power granted under s. 37(2) to allow an exemption from the general prohibition. That provision reads:
37....
(2) If, after reviewing any material or information pro vided under subsection (1) and affording the persons who provided it a reasonable opportunity to make representa tions, the Minister or a person designated by the Minister is of the opinion that an offence under subsection 40(1) or (2) is being or is likely to be committed, the Minister or a per son des nated by the Minister may, by order, subject to reg ulations made pursuant to paragraph (3)(b), or, if there are no such regulations in force, with the approval of the Gover nor in Council,
(a) require such modifications or additions to the work or undertaking or such modifications to any plans, specifica tions, procedures or schedules relating thereto as the Min ister or a person designated by the Minister considers nec essary in the circumstances, or
(b) restrict the operation of the work or undertaking,
and, with the approval of the Governor in Council in any case, direct the closing of the work or undertaking for such period as the Minister or a person designated by the Minis ter considers necessary in the circumstances. [Emphasis added.]
In my view a discretionary power to request or not to request information to assist a Minister in the exercise of a leg-
islative function does not constitute a decision-making respon sibility within the meaning of the Guidelines Order. Whereas the Minister of Transport is responsible under the terms of the Navigable Waters Protection Act in his capacity as regulator, the Minister of Fisheries and Oceans under s. 37 of the Fisher ies Act has been given a limited ad hoc legislative power which does not constitute an affirmative regulatory duty. For that ma son, I do not think the application for mandamus to compel the Minister to act is well founded.
The key words in these passages are "affirmative regulatory duty" which appears to be used in contrast to the expression "ad hoc delegated legislative power". Their exact meaning in the context in which they are used is not perfectly clear and counsel obvi ously were in complete disagreement as to their scope and content when came the time to apply them to the facts and legislation of the present case. Coun sel for the appellants would have assigned to them quite a limited reach, arguing, for instance, that in the case of an "ad hoc delegated legislative power", such as the one conferred on the Minister of Fisheries and Oceans by subsection 37(2) of the Fisheries Act, the EARP Guidelines would never be triggered. Counsel for the respondents, on the contrary, favoured an extended interpretation, seeking support in the strong words used by La Forest J. at the outset of his reasons in stressing the importance that the protection of the environment had acquired in today's society.
My understanding of the judgment differs some what from that of counsel. I do not think that La For est J. ever had in mind, in discussing the discretion of the Minister of Fisheries and Oceans to request infor mation under section 37, the actual exercise of the powers he has under subsection 37(2) to impose modifications, additions or restrictions to a proposed work or undertaking. Nor do I think that the impor tance assigned today to the protection of the environ ment could have any bearing on whether an EARP review is triggered or not. The protection of the envi ronment, in our country, is the responsibility of all levels of government, and the challenge it has become, to use the words of La Forest J., must be presumed to have been assumed by all levels of gov ernment with regard to their respective legislative authority; so it is not, in itself, the issue here. The significance of environmental protection cannot help
us determine which government is entitled to, and has the duty to, assume responsibility.
The propositions for which the judgment stands, as I read it, are the following. The EARP Guidelines must be given full application in all cases where Par liament has conferred on a federal minister the power and duty to give or refuse permission to carry on a work or to impose terms and conditions under which the work could be carried on, the promoter being pre cluded from acting without prior ministerial consent. The Guidelines have no application, however, when a minister, who has been conferred the power and duty to intervene in certain conditions, is still in the stage of supervising, controlling and verifying whether those conditions requiring his intervention actually exist. The environmental impact assessment man dated by the Guidelines Order is not meant to satisfy mere academic curiosity but to help a minister in the exercise of a duty to intervene and act positively with respect to the execution or completion of a project.
It is on the basis of these propositions that I have concluded that none of the impugned actions of the Ministers namely: i) the execution of the Settlement Agreement; ii) the decision pursuant to subsection 20(10) of the Fisheries Act; iii) the several declara tions of exemption pursuant to subsection 5(2) of the Navigable Waters Protection Act; and finally iv) the Approval pursuant to subsection 10(2) of the Naviga ble Waters Protection Act, required the previous application of the Guidelines to the Project, because none was the result of a decision made in the exercise of a federal Minister's decision-making responsibil ity.
(i) The execution of the Settlement Agreement by the Minister of Fisheries and Oceans was not such an action. First, as we have seen, this was an agreement between Alcan, Her Majesty the Queen in right of Canada and Her Majesty the Queen in right of the
Province of British Columbia which was aimed at, inter alia, settling litigation between Alcan and the federal Crown. The decision to settle was an execu tive decision taken by the Government of Canada. The Minister of Fisheries and Oceans simply signed the Agreement on behalf of the Crown. He prepared the decision, of course, and his influence in Cabinet would surely be an important factor given his poten tial future responsibility, but he did not exercise any independent decision-making authority with respect to it; an order in council, P.C. 1987-2481, approving the Settlement Agreement had to be passed.
Besides, the lawsuit which was being settled by the Agreement had been initiated, as indicated above, as a result of concerns raised by the federal fisheries officials about the level of water released into the Nechako River from the existing facilities and the main issue was the scope of the Minister's statutory and constitutional power to control flows on the Nechako River under the Fisheries Act. It was of course inevitable that, in determining the conditions of the settlement, not only the existing facilities but also their projected extension would be taken into account. But, that did not make the decision to enter into the Agreement one taken pursuant to any affirm ative regulatory duty established under an Act of Par liament.
It is argued that, by virtue of the provisions of the Settlement Agreement, the Minister of Fisheries and Oceans has assumed some type of regulatory duty in relation to the KCP. That may be the case, but the duty would be new and assumed; it would not be a duty conferred under a federal statute, and the Agree ment was obviously not entered into pursuant to any such duty. On the other hand, if the creation of a mechanism for the cooperative management of the fish and water resources of the Nechako River is, no doubt, one of the main aspects of the Agreement, such a mechanism simply provides a means of assist ing the Minister in carrying out his general responsi bilities in relation to fish. The mechanism does not by itself create an affirmative regulatory duty in the Minister. On the contrary, it is meant to render unnecessary the exercise of his power to intervene
and enforce special terms and conditions that may become warranted.
(ii) Similarly, the signing by the same Minister of Fisheries and Oceans of an opinion-letter pursuant to subsection 20(10) (now subsection 22(3)) of the Fish eries Act, was not a decision which could trigger the application of the Guidelines.
Subsection 22(3) provides as follows: 22....
(3) The owner or occupier of any obstruction shall permit the escape into the river-bed below the obstruction of such quantity of water, at all times, as will, in the opinion of the Minister, be sufficient for the safety of fish and for the flood ing of the spawning grounds to such depth as will, in the opin ion of the Minister, be necessary for the safety of the ova deposited thereon.
This provision does not concern the approval or rejection of a proposal or project. Rather, it contem plates an obstruction already in place. Besides, in expressing his view as to the flows required to pro vide sufficient water for the safety of fish and the flooding of the spawning grounds, the Minister was not exercising an affirmative regulatory duty, but rather, stating the conditions under which he would not consider it to be his duty to intervene. In other words, the opinion-letter was not an approval but merely a direction as to how the project should pro ceed to satisfy the obligations imposed on the owner or occupier by the law.
(iii) It is also clear to me that the declarations of exemption issued by the Minister of Transport for certain elements of the KCP that required construc tion in, or across, navigable waters could not trigger the application of the Guidelines.
The section of the Navigable Waters Protection Act which was applicable is the following:
5. (1) No work shall be built or placed in, on, over, under, through or across any navigable water unless
(a) the work and the site and plans thereof have been approved by the Minister, on such terms and conditions as the Minister deems fit, prior to commencement of construc tion;
(b) the construction of the work is commenced within six months and completed within three years after the approval referred to in paragraph (a) or within such further period as the Minister may fix; and
(c) the work is built, placed and maintained in accordance with the plans, the regulations and the terms and conditions set out in the approval referred to in paragraph (a).
(2) Except in the case of a bridge, boom, dam or causeway, this section does not apply to any work that, in the opinion of the Minister, does not interfere substantially with navigation.
In providing in subsection 5(2) that, where a pro ject does not interfere substantially with navigation, subsection 5(1) does not apply, Parliament has clearly indicated that the Minister has no regulatory duty or power in relation to works which do not interfere with navigation. This limitation is wholly in keeping with the federal jurisdiction under the Con stitution, which only arises when there is an actual or eventual impact on navigation.
The declarations of exemption in question here were all strictly based on an acknowledgement that the works described would not interfere substantially with navigation. As a result, the approval provisions of subsection 5(1) were not applicable. We are strictly concerned here with a finding of fact. The word exemption may be misleading, although there is, in a sense, an exemption from the necessity of approval. In reality, a subsection 5(2) "exemption" is an acknowledgement based on a finding of fact. It may be that the finding of fact behind the acknowl edgement was not accurate and could somehow be disputed. But obviously, the mere making of a find ing of fact cannot be treated, in this context or in any other, as an exercise of regulatory power.
(iv) The same reasoning applies, it seems to me, to the Approval, dated February 19, 1990, granted by the Minister of Transport pursuant again to the Navi gable Waters Protection Act, more precisely its sub section 10(2).
Section 10 of the Navigable Waters Protection Act reads thus:
10. (1) Any lawful work may be rebuilt or repaired if, in the opinion of the Minister, interference with navigation is not increased by the rebuilding or repairing.
(2) Any lawful work may be altered if
(a) plans of the proposed alteration are deposited with and approved by the Minister; and
(b) in the opinion of the Minister, interference with naviga tion is not increased by the alteration.
(3) For the purposes of sections 5, 6 and 12, a reference to the plans of a work shall be construed as including the plans of the alteration thereof referred to in subsection (2).
(4) Where, in the opinion of the Minister, an existing lawful work has become a danger to or an interference with naviga tion by reason of the passage of time and changing conditions in navigation of the navigable waters concerned, any rebuild ing, repair or alteration of the work shall be treated in the same manner as a new work.
In my view, an approval under subsection (2) is of the same type as a subsection 5(2) exemption. It is true that, on the face of the enactment, the Minister has to make a decision of approval; but one should not be misled by the legislative technique. The deci sion under subsection 10(2) amounts to an acknowl edgement that the alteration will not, as a fact, inter fere substantially with navigation, with the result that the Minister will not have to exercise his power to intervene.
Thus, in my judgment, none of the impugned actions of the Minister could have drawn the applica tion of the Guidelines to the Project.
(b) SOR/90-729: The Exemption Order
In any event, even if my analysis above is faulty, the "Exemption Order" would have settled the mat ter. SOR/90-729 expressly provides that the EARP Guidelines do not apply to the Kemano Project. It reads as follows:
P.C. 1990-2252 12 October, 1990
His Excellency the Governor in Council, on the recommen dation of the Minister of the Environment, pursuant to section 6 of the Department of the Environment Act, is pleased hereby to approve the annexed Order establishing the Kemano Com pletion Project Guidelines, made by the Minister of the Envi ronment on October 4, 1990.
ORDER ESTABLISHING THE KEMANO COMPLETION PROJECT GUIDELINES
Short Title
1. This Order may be cited as the Kemano Completion Pro ject Guidelines Order.
2. The Environmental Assessment and Review Process Guidelines Order does not apply to the project known as the Kemano Completion Project and, in particular, to any deci sions made as a result of the Settlement Agreement entered into by Her Majesty in right of Canada, Her Majesty in right of the Province of British Columbia and Alcan Aluminum Lim ited on September 14, 1987 and approved by the Governor in Council by Order in Council P.C. 1987-2481 of December 10, 1987.
This order in council was, on its face, an obvious bar to the relief sought by the respondents in their originating motions and the Motions Judge saw immediately that, in spite of his reservations about whether it was open to him to do so, he had to quash it, if his conclusions that the Guidelines were applica ble were to be given effect. He said as follows (at page 300):
Paragraph 5 presents a more difficult problem in view of the Order in Council SOR/90-729, since there is considerable doubt by virtue of the jurisprudence whether it can be quashed in the present proceedings, if at all. The applicants insist that it is the recommendation of the Minister leading to the adoption of the Order in Council which they seek to quash, and, if it is quashed, then the Order in Council itself will be without effect. While I am prepared to quash the Minister's decision, it would appear that if nothing is said with respect to the Order in Coun cil, it may well be subsequently relied on by respondents in order to defeat the order to be made herein to hold an environ mental assessment review under the EARP process. This would result in subsequent time-consuming proceedings. In practice, therefore, in order to avoid this, it may be necessary not only to quash the Minister's recommendation that no review be made, but also the resulting Order in Council adopting this rec ommendation, so I will also grant certiorari with respect to para. 5 of the motions.
The learned Judge does not indicate the legal basis on which he relies to set the order in council aside. Elsewhere in his reasons, he vaguely addresses criti cism with respect to its adoption and notes, with some irritation, that it was passed the day following
the filing of the originating motions. But in this cen tral passage just quoted, while he gives an explana tion as to why he feels it necessary to quash the order, he does not say on what ground he was doing so. The respondents, in defending the Judge's conclu sion, reiterated what they had alleged in the proceed ings, namely: that the order was ultra vires the pow ers conferred by the Act; that it was enacted in bad faith and contrary to section 35 of the Constitution; and finally that it was passed in disregard of the legit imate expectations of the respondents. Could any of these grounds be sustained? I think not.
Whether the order in council is characterized as an amendment to the EARP Guidelines enacted for the purpose of specifically exempting the Project from their application, or as a mere confirmation that the scope of the Guidelines did not extend to it, made with a view to clarifying the situation, it seems to me that, passed, as it was, pursuant to section 6 of the Department of the Environment Act, it was clearly authorized by Parliament. The power to adopt regula tions or other legislative enactments necessarily includes the power to clarify, amend or vary those regulations or enactments subsequently, provided, of course, that the power is not exercised in a manner which would contravene the intentions of the legisla ture. But, I simply do not see how it could be said that the order in council is not in conformity with the duties and functions of the Minister of the Environ ment defined in section 4 of the Department of the Environment Act or was enacted without due regard to the prescriptions set out in section 5 of the said Act. 4
4 I reproduce here ss. 4, 5 and 6 of the Department of the Environment Act:
4. (1) The powers, duties and functions of the Minister extend to and include all matters over which Parliament has jurisdiction, not by law assigned to any other department, board or agency of the Government of Canada, relating to
(a) the preservation and enhancement of the quality of the natural environment, including water, air and soil quality;
(b) renewable resources, including migratory birds and other non-domestic flora and fauna;
(c) water;
(d) meteorology;
(Continued on next page)
It was argued that there is a fundamental constitu tional principle to the effect that a delegated legisla tive authority cannot dispense with the law unless power to do so has been formally conferred on it. A passage of Professor Hogg's treatise on the Constitu tional Law of Canada (2nd ed., 1985), at page 631, was relied upon with the cases referred to therein. The passage is the following:
(Continued from previous page)
(e) notwithstanding paragraph 4(2)W of the Department of National Health and Welfare Act, the enforcement of any rules or regulations made by the International Joint Commission, promulgated pursuant to the treaty between the United States of America and His Majesty, King Edward VII, relating to boundary waters and questions arising between the United States and Canada, in so far as they relate to the preservation and enhancement of the quality of the natural environment;
(f) the coordination of the policies and programs of the Government of Canada respecting the preservation and enhancement of the quality of the natural environment;
(g) national parks; and
(h) national battlefields, historic sites and monuments.
(2) The powers, duties and functions of the Minister also extend to and include such other matters, relating to the environment and over which Parliament has jurisdiction, as are by law assigned to the Minister.
5. The Minister, in exercising his powers and carrying out his duties and functions under section 4, shall
(a) initiate, recommend and undertake programs, and coordinate programs of the Government of Canada that are designed
(i) to promote the establishment or adoption of objectives or standards relating to environmental quality, or to control pollution,
(ii) to ensure that new federal projects, programs and activities are assessed early in the planning process for potential adverse effects on the quality of the natural environment and that a further review is car ried out of those projects, programs and activities that are found to have probable significant adverse effects, and the results thereof taken into account, and
(iii) to provide to Canadians environmental informa tion in the public interest;
(b) promote and encourage the institution of practices and conduct leading to the better preservation and enhance ment of environmental quality, and cooperate with pro vincial governments or agencies thereof, or any bodies, organizations or persons, in any programs having similar objects; and
(Continued on next page)
A corollary of cases such as Entick v. Carrington and Ron- carelli v. Duplessis is that the Prime Minister (or Premier) or a Minister of the Crown or any other representative of the gov ernment has no power to suspend the operation of a law for a time, or to dispense with a law in favour of a particular person or group. These "suspending" and "dispensing" powers were asserted by the Stuart Kings, but were abolished by the Bill of Rights of 1688. From time to time, modern governments assert such powers, and the assertions are repudiated by the courts, who always add a stern admonition that the Crown is not above the law 2'
And footnote 21 reads thus:
21 Fitzgerald v. Muldoon [1976] 2 N.Z.L.R. 615 (N.Z. S.C.) (N.Z. Prime Minister may not suspend statutory obligation to contribute to state pension plan); Re Anti-Inflation Act [1976] 2 S.C.R. 373 (Lieutenant Governor in Council may not change law by agreement with Governor in Council); Man. Govt. Employees Assn. v. Govt. of Man. [1978] 1 S.C.R. 1123 (same decision); R. v. Catagas (1977) 81 D.L.R. (3d) 396 (Man. C.A.) (Minister may not dispense with Migratory Birds Convention Act in favour of native people.)
A misunderstanding must be avoided here. It is obvious that the will of Parliament is paramount and no administrative or executive authority is entitled to contravene it, whether directly or indirectly. But that does not mean that a delegate empowered to make subordinate law has no power to dispense from the law he makes. This could be so, I agree, if it appears that Parliament's intention was that the law to be made would be applicable to everyone. For example, had the word "must" been used in section 6 of the Department of the Environment Act instead of "may", an argument could have been made that the intention was to forbid any exemption. But this is not the case. And if the original Guidelines could have had a clause exempting the KCP, why could the same result
(Continued from previous page)
(c) advise the heads of departments, boards and agencies of the Government of Canada on all matters pertaining to the preservation and enhancement of the quality of the natural environment.
6. For the purposes of carrying out his duties and func tions related to environmental quality, the Minister may, by order, with the approval of the Governor in Council, esta blish guidelines for use by departments, boards and agencies of the Government of Canada and, where appropriate, by corporations named in Schedule Ill to the Financial Admi nistration Act and regulatory bodies in the exercise of their powers and the carrying out of their duties and functions.
not be achieved in two steps? Frequent use of this device could undermine the credibility of the Guide lines, but surely this is a matter for Parliament to resolve, not the Courts. It is obvious to me that SOR/90-729 cannot be said to have been passed in contravention of the intentions of Parliament.
On the other hand, the allegation that the order in council would have been passed in bad faith and con trary to section 35 of the Constitution, if relevant, which I doubt, remains totally unsubstantiated. If the purpose of the Act has not been breached, there can be no question of bad faith, and, on the evidence before the Court, section 35 of the Constitution can have no bearing whatsoever. To say that in passing the order in council, the Government was illegally breaching its fiduciary duty towards aboriginals, not only would one have to be aware of the precise con tent of that duty but, more particularly, be satisfied that the only way to fulfill that duty, in the circum stances, would be to confirm the application of the Guidelines to the Project. Of course, there is nothing in the record that could lead to such a conclusion.
Finally, I do not see how the order could be impugned on the ground of legitimate expectation. First, the circumstances required to give support to a possible application of this recently developed doc trine of legitimate expectation do not exist as the evi dence does not show that there has ever been a prom ise from someone in authority on which reliance was placed by the respondents. Second, and more impor tantly, the doctrine, as I understand it, was meant to apply in matters of administrative procedure; it does not and cannot, it seems to me, have any bearing on the validity of legislative enactment.
There is simply no basis, in my judgment, on which order in council SOR/90-729 could be declared of no force and effect. If I am wrong in thinking that none of the impugned ministerial actions by themselves were subject to the application
of the EARP Guidelines to the KCP, this so-called Exemption Order would settle all difficulties.
My overall conclusion, therefore, is that the appeals should be allowed and the cross-appeal dis missed; the various orders issued by the Motions Judge should be quashed and the originating motions of the respondents should be dismissed.
The appellants should be entitled to their costs both here and in the Trial Division. While the originating motions were argued together both here and below, the appellant Alcan and the appellant Ministers were represented by separate counsel in both Divisions. Accordingly, the appellant Alcan and the appellant Ministers should be entitled to a sepa rate set of costs in this Court as well as in the Trial Division.
HEALD J.A.: I agree. LINDEN J.A.: I agree.
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