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T-1372-82
Chambre des notaires du Québec (Applicant) v.
Restrictive Trade Practices Commission and Director of Investigation and Research (Respond- ents)
Trial Division, Dubé J.—Montreal, April 5; Ottawa, April 23, 1982.
Practice — Privilege of documents — Price fixing of notar ies' tariff alleged — Confidential documents between notaries
and clients privileged Records of Chambre des notaires' Committee on Discipline and Syndic not privileged — MotiOn to quash denied — Combines Investigation Act, R.S.C. 1970, c. C-23, ss. 5, 10, 32, 38 — Professional Code, R.S.Q. 1977, c. C-26, ss. 109, 111, 112, 114, 149, 192, 193, 194, 195, 196 Notaries Act, R.S.Q. 1977, c. N-2, ss. 1, 5, 15 19, 20 Canada Evidence Act, R.S.C. 1970, c. E-10, s. 37 — Federal Court Act, R.S.C. 1970 (2nd Supp.), c. 10, s. 18 — Criminal Code, R.S.C. 1970, c. C-34, s. 7.
This is a motion to quash the authorization, certificate and seizure, during an investigation under sections 32 and 38 of the Combines Investigation Act, of documents held by the Cham- bre des notaires. The documents consisted of reports of the Professional Inspection Committee of the Chambre des notaires, prepared during investigations of the records of Quebec notaries; records of their Committee on Discipline dealing with complaints brought against notaries; and docu ments of their Syndic made during inquiries of notaries for offences under the Professional Code and the Notaries Act. The applicant maintained that the documents were privileged under the requirement for confidentiality between professional legal advisors and their clients and that between notaries and the professional Order to which they belong.
Held, the motion is dismissed. The common law principles governing confidentiality of documents in possession of a lawyer are not directly applicable to Quebec notaries. There are provisions in the Notaries Act and the Professional Code for maintaining professional secrecy. However, the Combines Investigation Act is criminal legislation, and provincial statutes cannot govern the admissibility of evidence during a criminal prosecution. In criminal law, the common law recognizes com munications as privileged if they concern a legal matter, are made confidentially and are not made for an unlawful purpose. Thus, private, confidential documents deposited in the notaries' records in good faith are privileged. However, documents pre pared by the Committees and the Syndic are not privileged unless they include reproductions of confidential documents, and must be given to the Restricted Trade Practices Commission.
CASES JUDICIALLY CONSIDERED
CONSIDERED:
Regina v. Hoffmann-La Roche Ltd. (Nos. 1 and 2) (1981), 33 O.R. (2d) 694 (C.A.); Solosky v. Her Majesty The Queen, [1980] 1 S.C.R. 821; In re Shell Canada Ltd., [1975] F.C. 184 (C.A.); Shellard v. Harris (1833), 5 Car. & P. 592; 172 E.R. 1113 (K.B.); Centre com- munautaire juridique de Montréal et autre c. Mierzwin- ski (juge), [1978] C.S. 792, affirmed by the Court of Appeal in a judgment that has not yet been reported (500-10-000 260-784).
COUNSEL:
François Aquin for applicant.
Bruno Pateras, Q. C., for respondent Director
of Investigation and Research.
SOLICITORS:
Geoffrion, Prud'homme, Montreal, for appli cant.
Deputy Attorney General of Canada for respondents.
The following is the English version of the reasons for order rendered by
Dust J.: This is a motion to quash the author ization, the certificate and any seizure of docu ments under the Combines Investigation Act' on the ground that the said documents are confiden tial.
The authorization in question was issued by the Director of Investigation and Research, under sec tion 10 of the above-mentioned Act, in connection with an inquiry held in respect of sections 32 and 38, concerning the provision of notarial services and related products. It authorized three govern ment employees to enter the premises of the appli cant, the Chambre des notaires du Québec, * in Montreal, where there might be evidence relating to the subject of the inquiry, and to examine any documents found there and copy or remove them. This authorization, dated January 7, 1982, was accompanied by the certificate of a member of the respondent, the Restrictive Trade Practices Com mission, dated January 8, 1982. The documents seized are at present sealed and in the Board's custody.
' R.S.C. 1970, c. C-23.
* Often referred to as the "Board" hereinafter—Tr.
The documents may be divided into three categories.
The first category consists of the reports of the Board's Professional Inspection Committee, reports prepared during and following inspections of the records of Quebec notaries. This Commit tee, whose function is to "supervise the practice of the profession by the members of the corporation", was established in 1973 pursuant to the Profes sional Code. 2 It keeps an up-to-date professional file on each of the some 2,500 notaries in the Province. The Committee's inspector has access to any firm and to any records of a notary, including all the deeds executed en minute, the repertory of such deeds and the corresponding index. The inspection report may disclose and make a finding of procedural or formal irregularities and even criminal acts, such as forgery, fraud and misappro priation of funds, and may even contain the notary's confession to such acts. These reports may be accompanied by additional sheets, extracts from deeds or documents and even full reproduc tions of certain notarial deeds. The report may also contain the names of clients or of persons who were parties to a notarial deed, the names of persons for whom money is being held in trust and full reproductions of certain deeds, and even of the wills of persons still alive. The members of the Committee take an oath of secrecy under section 111 of the Professional Code. The Committee has the privileges set out in section 114, the powers set out in section 192 and the immunities conferred by sections 193, 194, 195 and 196 of the above-men tioned Code.
The second category of documents belongs to the Board's Committee on Discipline, which deals with any complaints brought against notaries. The Committee has the legal authority to subpoena witnesses and require production of any docu ments, and has all the powers of the Superior Court to compel witnesses to appear. The records of this Committee contain information, often not yet proved, that could behighly prejudicial to the reputation of the notaries concerned. They could even contain an actual confession by a notary that he had committed offences of a criminal nature.
2 R.S.Q. 1977, c. C-26.
The Committee's records also contain the testimo ny of notaries or other witnesses heard at discipli nary hearings. Like the Professional Inspection Committee, the Committee on Discipline enjoys the powers and immunities provided for in the above-mentioned Code.
The third category of documents includes infor mation received by the Board's Syndic, who makes inquiries of a notary against whom an information has been laid in connection with an offence under the Professional Code, the Notaries Act 3 or the Regulations under these two Acts. This informa tion may come from the public, members of the Order or the Professional Inspection Committee mentioned above. During his investigation the Syndic may require that the notary give him any information and documents respecting the inquiry. The Syndic and the assistant syndics enjoy the privileges provided for in section 114, the powers provided for in section 192, and the immunities conferred by sections 193 to 196 of the Profes sional Code. Their records contain information, not yet proved, that could be highly prejudicial to the reputation of the notaries concerned, and even confessions by them to criminal offences.
The Board maintained that these documents were confidential in two respects. First, it relied on the legal obligation of every notary and his repre sentatives, agents and professional corporation to respect the right to confidentiality of his clients and the parties to any deeds executed. Second, it relied on the principle of the privileged communi cations that must exist between notaries and the professional Order to which they belong in matters of discipline and professional inspection.
In Canada the profession of notary exists only in Quebec. The common law principles governing the confidentiality of documents in the possession of a lawyer are, therefore, not directly applicable to Quebec notaries. There is no doubt, however, that a notary's obligation to maintain professional
3 R.S.Q. 1977, c. N-2.
secrecy exists in Quebec just as in France. 4 As we know, the role of a notary is different from that of a lawyer. He may act as a private adviser, or be neutral between two parties. He is not called upon to defend his clients' interests in court. However, he often plays the role of a family adviser. In principle he is obliged not to disclose any confi dences he receives and the notarial deeds he pre pares. However, he is not bound to keep confiden tial public deeds that are to be registered and will become a matter of public knowledge. In the case of private deeds a notary must maintain the strict est discretion.
The role and confidentiality obligations of a notary are set out in certain provisions of the Notaries Act. In section 1 "records of a notary" are defined as all the deeds executed en minute by a notary, the repertory of such deeds and the index. The "files relating to a notary's records" are the documents and title deeds which the holder of a notary's records has in his keeping for another. Section 5 provides that the records of a notary shall not be liable to seizure. Section 15 sets out the principal duties of a notary, and provides in the first paragraph that he shall not "divulge confiden tial knowledge acquired by him in the practice of his profession". Sections 19 and 20 provide that a notary must keep in a proper state a repertory of all deeds executed by him and an index to the repertory.
These preliminary remarks as well as the above- mentioned provisions of the Notaries Act indicate the degree of confidentiality that must be main tained in the relations between a notary and his client.
At a second level, the Professional Code estab lishes the degree of confidentiality between a notary and the Board. Section 109 provides for the establishment of the Professional Inspection Com mittee mentioned above, whose functions are set out in section 112. Section 111 provides that each investigator shall take the oath contained in Schedule II "... that I will not reveal or make known, without being authorized therefor by law,
^ Jean-Louis Baudouin, Secret professionnel et droit au secret dans le droit de la preuve, Paris, Librairie générale de droit et de jurisprudence, 1965, and A. Perraud-Charmantier, Le secret professionnel, Paris, Librairie générale de droit et de jurisprudence, I926.
anything whatsoever of which I have taken cogni zance in the performance of my duties". Section 192 allows a syndic, a professional inspection com mittee or a committee on discipline to take cogni zance of a record kept by a professional and to require the delivery of any document respecting an inquiry. These investigators are protected by the immunity provided for in section 193 and cannot be prosecuted for acts done in good faith in the performance of their duties. Section 149 provides that the evidence given by a notary at an inquiry is privileged and that every person conversant with such evidence shall be personally bound to secrecy. Section 194, finally, prohibits any extraordinary recourse and any injunction against the investiga tors.
However, we are dealing here with a seizure under the provisions of federal criminal legislation, 5 the Combines Investigation Act. Sec tion 7 of the Canadian Criminal Code, R.S.C. 1970, c. C-34, establishes the supremacy of the common law in this respect.
It is true that section 37 of the Canada Evidence Act 6 provides that in all proceedings over which the Parliament of Canada has legislative authority, the laws of evidence in force in the province apply, subject to this and other Acts of the Parliament of Canada. This section does not make it possible to interpret a provincial statute as governing the admissibility of evidence during a criminal pros ecution, however, [TRANSLATION] "It is to common law principles that we must look in assessing the extent and scope of solicitor-client privilege".'
Dickson J. discussed solicitor-client privilege in a recent decision of the Supreme Court of Canada, Solosky v. Her Majesty The Queen. $ He empha sized that there are exceptions to the privilege, and stated the following [at page 837]:
See Regina v. Hoffmann-La Roche Ltd. (Nos. 1 and 2) (1981), 33 O.R. (2d) 694 (C.A.) at p. 736.
6 R.S.C. 1970, c. E-10.
7 See Centre communautaire juridique de Montréal et autre c. Mierzwinski (juge), [1978] C.S. 792, affirmed by the Court of Appeal in a judgment that has not yet been reported (500-10-000 260-784).
8 [1980] 1 S.C.R. 821.
As Mr. Justice Addy notes, privilege can only be claimed document by document, with each document being required to meet the criteria for the privilege—(i) a communication be tween solicitor and client; (ii) which entails the seeking or giving of legal advice; and (iii) which is intended to be confi dential by the parties.
In this regard I shall take the liberty of adopting the conclusion of Alain Cardinal in his article "Les communications privilégiées avocat -client" in The Canadian Bar Review of March 1981 [Vol. 59, p. 652]:
[TRANSLATION] We hope that the reader will recall that there is no right to a lawyer's "professional secrecy" in Quebec or Canadian law, but merely a "privilege" subject to judicial assessment.
The common law thus recognizes the confiden tiality of certain documents entered into between a client and his lawyer, but this confidentiality does not extend to all documents. In criminal law the common law recognizes as privileged oral, docu mentary or gesticulated communications between a client and his professional legal adviser acting within his instructions provided that the said com munications (a) concern a legal matter and are relevant thereto; (b) are made confidentially, and (c) are not made for an unlawful purpose. 9
A decision of the Federal Court of Appeal, In re Shell Canada Ltd.,'° establishes clearly that even though fact-finding powers in the widest terms are conferred on the Director under sections 5 et seq. of the Combines Investigation Act, section 10 of the Act nevertheless reveals no intention of under mining the solicitor-client relationship of confiden tiality as to bona fide communications that made necessary the solicitor-client privilege in connec tion with the giving of evidence in the courts. The privilege applies to the communications between the respondent company and its salaried lawyers, as it would in the case of communications between the respondent and general practitioners of law.
Should Quebec notaries be regarded as profes sional legal advisers? The author of the above-cit ed Droit pénal canadien asks himself this question. There is no doubt that in civil matters [TRANSLA- TION] "the notaries' code, referring to article 332
9 See I. Lagarde, Droit pénal canadien (2nd ed. 1974), Vol.
III, pp. 2649 et seq.
1 ° [ 1975] F.C. 184 (C.A.).
of the Code of Civil Procedure, recognizes the existence of a confidentiality requirement on the part of notaries. Does the same apply in criminal matters?". " By analogy with the role of the solici tor in common law, it seems that a request to have a deed transferring title to real property prepared is a professional consultation. 12
In my view, where consultations and documents between a client and his notary meet the same criteria as govern the confidentiality of documents between a client and his lawyer, such consultations and documents must be privileged. We are not dealing here of course with public notarial deeds or documents to be registered in public registries, but with private, confidential documents deposited in the notary's records in good faith.
The same is not true, however, of the reports, records and other documents prepared by the Professional Inspection Committee, the Commit tee on Discipline or the Syndic of the Board, unless the said documents include photocopies or repro ductions of confidential documents prepared by the notary for his client. Neither the Professional Code nor the Notaries Act can determine or limit the admissibility of evidence in a criminal court.
It should be emphasized that this inquiry con ducted by the Restrictive Trade Practices Com mission respecting the provision of notarial ser vices and related products is concerned with the notaries' tariff, that is, the fees notaries charge their clients. The Commission is not interested in the content of confidential documents, whether wills, deeds of sale or other notarial deeds. It wishes to determine under sections 32 and 38 of the Combines Investigation Act whether there was a combination or price fixing with respect to the notaries' tariff on the part of the Board and local associations of notaries in the Province. For pur poses of its inquiry the Commission must ascertain the various rates charged; presumably the best place to obtain this information is from the Cham- bre des notaires du Québec.
" See Lagarde supra, at p. 2650.
12 Parke J. in Shellard v. Harris (1833), 5 Car. & P. 592;
172 E.R. 1113 (K.B.).
In other words, private notarial deeds and other confidential documents entered into between notaries and their clients are privileged and must remain in the custody of the Chambre des notaires. However, the other documents prepared by the two Committees and the. Syndic for the Board's purposes are not privileged and must be given to the Commission. A list of all these docu ments, which would no doubt be a very long one, was not filed with the Court. The originating notice of motion gives a general description of eight different groups of documents, however. My general conclusion is that all the reports, exchanges of correspondence, disciplinary records, directives and communications between the Board and its two Committees and the Syndic are not privileged. If certain confidential documents pre pared by the notaries for their clients are attached to these reports, they must remain in the Board's office.
It is quite likely that these general directions will not be sufficient to resolve the issue of confi dentiality with respect to all the documents. Accordingly, if the Chambre des notaires wishes to be exempted from filing certain documents it claims are confidential and privileged, it must apply, for such an exemption by means of a motion, accompanied by a list and description of the docu ments in question, and set out in an affidavit the specific grounds on which it is relying in support of its application for an exemption.
We shall, accordingly, not order that the author ization, certificate or seizure be quashed as requested in this motion. In this sense the motion is dismissed, but without costs.
ORDER
The motion is dismissed without costs.
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