HomeMy WebLinkAbout2008-3401.Keaney.10-07-15 Decision
Commission de
Crown Employees
Grievance Settlement
règlement des griefs
Board
des employés de la
Couronne
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GSB#2008-3401
Union# G-90-08-BO
IN THE MATTER OF AN ARBITRATION
Under
THE CROWN EMPLOYEES COLLECTIVE BARGAINING ACT
Before
THE GRIEVANCE SETTLEMENT BOARD
BETWEEN
Amalgamated Transit Union - Local 1587
(Keaney)
Union
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The Crown in Right of Ontario
(Greater Toronto Transit Authority - GO Transit)
Employer
BEFOREDaniel Harris Vice-Chair
FOR THE UNIONSimon Blackstone
Green & Chercover
Counsel
FOR THE EMPLOYERGlenn Christie
Hicks Morley Hamilton Stewart Storie LLP
Barristers and Solicitors
HEARINGJuly 7, 2010.
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Decision
The Proceedings
[1]This is a preliminary matter in which the Union seeks to exclude the report of a forensic
handwriting analyst. The report compared a handwritten comment on a sympathy card with
samples of the grievor?s handwriting on various business documents held by the Employer. The
Union takes the position that it was a breach of the grievor?s privacy for the Employer to have
provided the samples to the forensic handwriting analyst. The Union relies on the provisions of
theFreedom of Information and Protection of Privacy Act, R.S.O. 1990 Chapter F.31, as
amended (hereafter ?FIPPA? or the ?Act?).
The Facts
[2]The father of one of the Employer?s supervisors passed away, and a sympathy card was
made available for employees to sign. An anonymous contributor wrote a comment on the card
which, the Employer says, naturally caused the supervisor anguish. From its own assessment of
the handwriting and other surrounding factors, it concluded that the grievor wrote the comment.
It confronted the grievor with its conclusion. The grievor denied having written the comment
and even knowing the card existed.
[3]The Employer gathered together documents in its possession that included samples of the
grievor?s handwriting. Those documents consisted of a ?Request for Time-Off? form as well as
a number of ?Notification Reports?. The latter reports were documentation of incidents that
occurred in the course of the grievor driving his bus. There are six such reports.
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[4]The Employer retained a forensic handwriting analyst to compare the offending comment
on the card with the business record samples. He concluded that the person who wrote the
comment on the card was conclusively one and the same as the person who wrote the samples.
The grievor was confronted with that conclusion. He maintained his denial. He was suspended
for four days for having written the comment, for having shown no remorse, and for not having
taken responsibility for his actions.
[5]The following provisions of FIPPA were referred to by the parties:
2. (1) ?
?personal Information? means recorded information about an identifiable
individual, including,
?
(h)the individual?s name where it appears with other personal information
relating to the individual or where the disclosure of the name would reveal
other personal information about the individual; (renseignements personnels?)
?
?record? means any record of information however recorded, whether in printed
form, on film, by electronic means or otherwise, and includes,
(a)correspondence, a memorandum, a book, a plan, a map, a drawing, a diagram,
a pictorial or graphic work, a photograph, a film, a microfilm, a sound
recording, a videotape, a machine readable record, any other documentary
material, regardless of physical form or characteristics, and any copy thereof,
and
(b)subject to the regulations, any record that is capable of being produced from a
machine readable record under the control of an institution by means of
computer hardware and software or any other information storage equipment
and technical expertise normally used by the institution; (?document?)
?
41. (1) An institution shall not use personal information in its custody or under its control
except,
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(a) where the person to whom the information relates has identified that
information in particular and consented to its use:
(b) for the purpose for which it was obtained or compiled or for a consistent
purpose:
?
42. (1) An institution shall not disclose personal information in its custody or
under its control except,
?
(c)where disclosure is made to an officer, employee, consultant or agent of the
institution who needs the record in the performance of their duties and where
disclosure is necessary and proper in the discharge of the institution?s
functions;
?
65. (6) Subject to subsection (7), this Act does not apply to records collected, prepared,
maintained or used by or on behalf of an institution in relation to any of the following:
1. Proceedings or anticipated proceedings before a court, tribunal or other entity
relating to labour relations or to the employment of a person by the institution.
2. Negotiations or anticipated negotiations relating to labour relations or to the
employment of a person by the institution between the institution and a person,
bargaining agent or party to a proceeding or an anticipated proceeding.
3. Meetings, consultations, discussions or communications about labour relations
or employment-related matters in which the institution has an interest. 1995, c. 1,
s. 82.
The Union?s Submissions
[6]The Union submitted that the use made by the Employer of the business documents to
identify the grievor was collateral to the purpose for which they were created. That use was said
to be contrary to FIPPA.Accordingly, any report obtained is inadmissible because it was
obtained contrary to law.
[7]The Union said that the first document, the ?Request for Time-Off? included personal
information as to the reason the request was made, the grievor?s signature and his handwriting.
The Union said that those are all personal identifiers protected from disclosure pursuant to
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FIPPA. The ?Notification Reports? include the grievor?s handwriting, which was said to be
personal information in and of itself. The Union said that this Employer is bound by FIPPA to
safeguard and protect the personal information it gathers in relation to its employees.
[8]The Union submitted that the structure of FIPPAis to put in place a broad prohibition
against the disclosure of personal information, subject to specific exceptions, none of which
apply in these circumstances.
[9]The Union also submitted that I have the jurisdiction to apply FIPPA as an employment
related statute and that the information here, including the grievor?s handwriting, was personal
information. The Employer did not concede these two points. It argued its position on other
considerations. In these circumstances, I assume, without deciding, that the Employer is bound
byFIPPA, I have the jurisdiction to apply FIPPA, and the information at issue, including the
handwriting, is ?personal information?.
[10]The Union reviewed the labour relations exceptions to the application of FIPPA set out in
s. 65(6). It said that good public policy in the labour relations context was to ensure that
employees have confidence that the form and content of documents they are required to fill out
in the course of their employment be treated by their employer in a manner that is respectful of
their privacy. That is to be achieved by narrowly construing the labour relations exceptions to
theAct?s application.
[11]The Union said that the documents themselves must relate to one of the three categories
of exceptions set out in s. 65(6). It said these documents did not fall into those categories. That
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is, they did not relate to proceedings or anticipated proceedings; they clearly did not relate to
negotiations nor were they related to meetings, consultations, discussions or communications
about labour-relations or employment-related matters. With respect to the latter exception, being
that in s. 65(6) 3, the Union said that that exception deals with macro issues, not issues involving
individuals. The majority of the documents at issue here were said not to be related to
employment matters but rather were related to the general operations of the Employer.
Accordingly, they were covered by FIPPA. Among other authorities, the Union relied on the
following excerpt from MCS and David GOODIS, Senior Adjudicator and Jane DOE,
Requestor, 2008 CanLII 2603 (ON S.C.D.C.):
[26] Moreover, s. 65(6) should be interpreted in light of the purpose of the Act, which
is found in s. 1. It states:
The purposes of this Act are:
(a)to provide a right of access to information under the control if
institutions in accordance with the principles that,
i.information should be available to the public,
ii.necessary exemptions from the right of access should be
limited and specific, and
iii.decisions on the disclosure of government information should
be reviewed independently of government; and
(b)to protect the privacy of individuals with respect to personal
information about themselves held by institutions and to provide
individuals with a right of access to that information.
The interpretation suggested by the Ministry in this case would seriously curtail
access to government records and thus undermine the public?s right to
information about government. If the interpretation were accepted, it would
potentially apply whenever the government is alleged to be vicariously liable
because of the actions of its employees. Since government institutions necessarily
act through their employees, this would potentially exclude a large number of
records and undermine the public accountability purpose of the Act (Ontario
(ministry of Transportation) v. Ontario (Information and Privacy Commissioner),
[2005] O.J. No. 4047 (C.A.) at para. 28).
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[12]The Union said that the Act prohibits use or disclosure without consent and the
exceptions do not apply. Further, there are strong labour relations reasons to protect the privacy
of employees. The Union relied on the following authorities:Freedom of Information and
Protection of Privacy Act, R.S.O. 1990, CHAPTER F.31, as amended; Kawartha Pine Ridge
District School Board v. Elementary Teachers? Federation of Ontario (S.D. Grievance) 2008,
th
169 L.A.C. (4) 353 (Luborsky); Order M-585, Thunder Bay District Health Unit (August 24,
1995); order MO-1194, Town of Ancaster (March 8, 1999); Solicitor General and Minister of
Correctional Services and Tom Mitchinson, Assistant Commissioner and John Doe, Requester
2001 CanLII 8582 (ON C.A.); Ministry of Correctional Services and David Goodis, Senior
Adjudicator, and Jane Doe, Requester 2008 CanLII 2603 (ON S.C.D.C.).
The Submissions of the Employer
[13]The Employer submitted that it was motivated by appropriate labour relations rationales
when it used the documents in question as it did. It said that there were three exceptions to
FIPPA that allowed the use of the documents in question, being s.65(6)1., s. 65(6)3 and, in the
alternative, s. 42(1)(d).
[14]The Employer submitted that the preamble to s. 65(1) has four distinct aspects, being
records ?collected, prepared, maintained or used?, which apply to the three listed labour relations
purposes. It said that it ?used? the documents within the context of the first and third exceptions,
so the Act does not apply.
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s. 65(6) 1
[15]First, the Employer said that it used the documents for anticipated proceedings. It said
that with the grievor?s denial of responsibility the Employer could anticipate that there would be
labour relations proceedings, and it was free to use the documents in relation to those anticipated
proceedings. The Employer said that as long as the proceedings were a real possibility, which
was surely the case here, the first exception is established and the Act does not apply.
s. 65(6) 3
[16]Second, personal information need not be collected or prepared for meetings,
consultations, discussions or communications in order to be legitimately used in meetings,
consultations, discussions or communications about labour relations matters in which the
Employer had an interest. Existing documents containing personal information may be ?used?
provided the use relates to labour relations matters. It said that the circumstances here meet
those requirements. The documents were not created in order to disclose them to the Union, but
that is not the test. They were used in consultations and meetings dealing with labour relations
matters. Further, it had a legitimate interest in finding out who had written the remarks on the
card in order to promote an harassment-free workplace.
s. 42(1)(d)
[17]Third, the Employer said in the alternative that in this case there was disclosure of the
personal information to a consultant to the institution who needed the records to carry out his
analysis. Further, the Employer submitted that it was necessary and proper to disclose the
personal information in order to complete a thorough investigation of the incident. It had only
one suspect, who had denied any involvement. In order to promote a workplace free of
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harassment, discrimination and abuse it was necessary to properly investigate. It was a labour
relations requirement to thoroughly investigate before leveling any discipline. The Employer
submitted that s. 42(1)(d) permits disclosure of documents to which the Act applies. Its primary
submission was that FIPPA does not apply to these documents.
[18]The Employer said that an employer?s ability to use and disclose information has been
broadened over time, including by statutory amendment. Section 42(1)(d) was added after 2005
and the previous discretion in the Privacy Commissioner to invoke s. 65(6) was taken away,
leaving its subsections as discrete exemptions not subject to discretion. It also said that care
must be used in applying the Union?s authorities, as they are cases where outside access was
being sought to inert documents. In disclosure cases such as this, it will almost always come
down to ?use?. Provided the use is related to labour relations, such usage is exempt from FIPPA.
[19]The Employer relied on the following authorities: Freedom of Information and
Protection of Privacy Act, R.S.O. 1990, Chapter F.31; Order MO-2507; City of Ottawa, [2010]
O.I.P.C. No. 34; Order PO-2613; Ministry of Government Services, [2007] O.I.P.C. No. 154;
Order PO-2531; Ministry of Community Safety and Correctional Services, [2006] O.I.P.C. No.
226; Privacy Complaint Order PC-020052-1; Ministry of Public Safety and Security, [2003]
O.I.P.C. No. 140; Privacy Complaint Order PC-020022-1; Ministry of Public Safety and
Security,[2003] O.I.P.C. No. 19.
The Reply Submissions of the Union
[20]The Union said that timing is a factor when considering whether there are anticipated
proceedings.
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[21]The Union also submitted that the Employer?s focus solely on ?use? leads to the result
that any document would fall under the s. 65(6)3 exemption. The Union said that it is necessary
to look at what the document is. These documents are not related to employment; they are
related to operations. The subsequent use of them is not dispositive of the application of the Act.
[22]As for s. 42(1)(d), the Employer?s view would permit the Employer to contract out of the
Act. Here it was not ?necessary? to make the disclosure. The grievor could have been asked for
his consent, which he was not.
Reasons for Decision
[23]For ease of reference s. 65 (6) is again set out as follows:
65. (6) Subject to subsection (7), this Act does not apply to records collected, prepared,
maintained or used by or on behalf of an institution in relation to any of the following:
1. Proceedings or anticipated proceedings before a court, tribunal or other
entity relating to labour relations or to the employment of a person by the
institution.
2. Negotiations or anticipated negotiations relating to labour relations or to
the employment of a person by the institution between the institution and a
person, bargaining agent or party to a proceeding or an anticipated
proceeding.
3. Meetings, consultations, discussions or communications about labour
relations or employment-related matters in which the institution has an
interest. 1995, c. 1, s. 82.
[24]The Employer here relies on the first and third exceptions set out in section 65(6).
Section 65(6) was considered by the Ontario Court of Appeal in 2001 and by the Ontario
Divisional Court in 2008 in Mitchinson, supra, and Goodis, supra, respectively. Both cases
involve outside requests for the release of information.
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[25]InMitchinson there were three appeals relating to three unrelated requests for the release
of information. The responsible government officials had decided that s. 65 applied, so the Act
did not apply and access to the records was denied. Those decisions were overturned by the
Assistant Privacy Commissioner (hereafter ?APC?). The decisions of the APC were upheld on
review by the Divisional Court as both reasonable and correct. The Court of Appeal ruled that
the standard of review was correctness. The APC?s decisions were determined by the Court of
Appeal to be incorrect and the decisions of the heads of the respective Ministries were restored.
The Court held that the APC erred ?first, by restricting the meaning of ?interest? to a ?legal
interest? in s. 65(6) 3, and, second, by introducing an erroneous time element into both s. 65(6) 1
and s. 65(6) 3.? In the latter regard, the APC found that the ?interest? of the employer had to be
a current legal interest. Similarly, with respect to s. 65(6) 1, the APC held that the proceedings
or anticipated proceedings had to exist at the time the request for the documents was made. It
was not sufficient that such a situation had previously existed. As noted in the Court?s Decision
at paragraph 36, the APC concluded, in part, as follows:
? However, when proceedings have been completed, are no longer anticipated, or are
not in the reasonably proximate past, disclosure of these same records could not possibly
have an impact on any labour relations issues directly related to these records, and
different considerations should apply.
[26]The Court held in paragraph 38 that time sensitivity is addressed in the preamble to s.
65(6). It underscored that there are four relevant actions in the preamble that speak to time.
Paragraph 38 reads as follows:
[38] In my view, the time sensitive element of subsection 6 is contained in its
TheAct ?does not apply? to particular records if the criteria set out in
preamble.
any of sub clauses 1 to 3 are present when the relevant action described in the
preamble takes place, i.e. when the records are collected, prepared, maintained or
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used.
Once effectively excluded from the operation of the Act,the records remain
excluded. The subsection makes no provision for the Act to become applicable at some
later point in time in the event the criteria set out in any of sub clauses 1 to 3 cease to
apply.
(emphasis added)
[27]I take the Court?s decision to mean that the four actions are distinct, as is also indicated
by the disjunctive ?or?. Accordingly, I find that the time at which the documents were ?used? is
the relevant time at which to consider whether the ambit of the Act is excluded because the usage
is for a labour relations purpose.
[28]The Union submitted that s. 65(6) 3 does not apply to the circumstances of an individual
employee; rather, it deals with what the Union described as ?macro? issues. It relied on
paragraph 35 of the Court?s Decision, which reads as follows:
[35] As already noted, section 65 of the Act contains a miscellaneous list of records to
which the Act does not apply. Subsection 6 deals exclusively with labour relations and
employment related matters. Subsection 7 provides certain exceptions to the exclusions
set out in subsection 6. Examined in the general context of subsection 6, the words ?in
which the institution has an interest? appear on their face to relate simply to matters
involving the institution?s own workforce. Sub clause 1 deals with records relating to
?proceedings or anticipated proceedings relating to labour relations or to the employment
of a person by the institution [emphasis added]. Sub clause 3 deals with records relating
to a miscellaneous category of events ?about labour-relations or employment related
matters in which the institution has an interest?. Having regard to the purpose for which
the words ?
the section was enacted [?], and the working of the subsection as a whole,
in which the institution has an interest? in sub clause 3 operate simply to restrict the
categories of excluded records to those records relating to the institutions? own
workforce where the focus has shifted from ?employment of a person? to
?employment-related matters?.
To import the word ?legal? into the sub clause when it
dies not appear, introduces a concept there is no indication the legislature intended.
(emphasis added)
[29]The Union also pointed to paragraph 23 of the Goodis decision released by the Divisional
Court, to support its submission that s. 65(6) 3 is not directed to concerns about individual
employee actions. Paragraph 23 reads as follows:
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[23] Moreover, the words of subclause 3 of s. 65(6) make it clear that the records
collected, prepared, maintained or used by the Ministry in relation to meetings,
consultations or communications are excluded only if those meetings, consultations,
discussions or communications are about labour relations or ?employment-related?
matters in which the institution has an interest. Employment-related matters are separate
and distinct from matters related to employees? actions.
[30]A complete reading of the Divisional Court?s decision supports the conclusion that the
Court was differentiating between documents related to the actions of employees that might
result in the employer being held vicariously liable and documents related to matters in which
the institution is acting as employer. For example, with regard to s. 65(6) 1, not all proceedings
or anticipated proceedings cause an exemption from the Act. The proceedings or anticipated
proceedings must relate to labour relations or to the employment of the person. This is clear
from paragraph 22 of the Divisional Court?s Decision:
In my view, the language used in s. 65(6) does not reach so far as the Ministry argues.
Subclause 1 of s. 65(6) deals with records collected, prepared, maintained or used by the
institution in proceedings or anticipated proceedings ?relating to labour relations or to the
employment of a person by the institution?. The proceedings to which the paragraph
appears to refer are proceedings related to employment or labour relations per se ? that is,
to litigation relating to terms and conditions of employment, such as disciplinary action
against an employee or grievance proceedings. In other words, it excludes records
relating to matters in which the institution has an interest as an employer. It does not
exclude records where the Ministry is sued by a third party in relation to actions taken by
government employees.
[31]Further, in paragraph 24, the Divisional Court considered the impact of s. 65(7). The
types of records excluded from the application of the Act are only those documents related to
matters in which the institution is acting as an employer:
[24] The scope of s. 65(6) is made clearer when one looks at the relationship between it
and s. 65(7), as well as the legislative history of the provision. Subsection 65(6) is
subject to s. 65(7), which states:
This Act applies to the following records:
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1.An agreement between an institution and a trade union.
2.An agreement between an institution and one or more employees which ends a
proceeding before a court, tribunal or other entity relating to labour relations or
to employment-related matters.
3.An agreement between an institution and one or more employees resulting from
negotiations about employment-related matters between the institution and the
employee or employees.
4.An expense account submitted by an employee of an institution to that
institution for the purpose of seeking reimbursement for expenses incurred by
the employee in his or her employment.
The fact that the Act applies to the documents in subclauses 1 through 3 of s. 65(7)
suggests that the type of records excluded from the Act by s. 65(6) are documents related
to matters in which the institution is acting as an employer, and terms and conditions of
employment or human resources questions are at issue.
[32]All of the documents used here ?are documents related to matters in which the institution
is acting as employer, and terms and conditions of employment or human resources questions are
at issue?. These documents are all related to the grievor?s employment. In this case, they were
used by the Employer to further labour relations goals. With respect to s. 65(6)1, the Employer
reasonably anticipated that labour relations proceedings might flow from its allegations against
the grievor. With respect to s. 65(6) 3, it was engaged in ?meetings, consultations, discussions or
communications? about the grievor?s alleged behaviour and it used employment-related records
to seek to establish its allegations against the grievor. Labour relations are enhanced by
providing the Employer with the ability to fully investigate its concerns before imposing
discipline on an employee. Manifestly, the Employer had an interest in maintaining discipline,
and promoting an harassment-free work-place by dealing thoroughly with this incident.
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[33]By virtue of the provisions of sections 65(6)1 and 3, the Act does not apply to the
documents in question and the Employer was not prohibited from disclosing them to its
consultant. Accordingly, FIPPA does not stand in the way of the admission into evidence of the
consultant?s report. Having determined that the Act does not apply, it is not necessary to
consider s. 42(1)(d), which permits disclosure of documents to which the Act does apply.
The Decision
[34]For the reasons set out above, the Union?s preliminary objection is dismissed.
th
Dated at Toronto this 15 day of July 2010.
Daniel Harris, Vice-Chair