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Decision Content

A-706-91
The Minister of Employment and Immigration (Applicant)
v.
Ugan Mehmet (Respondent)
INDEXED AS: CANADA (MINISTER OF EMPLOYMENT AND IMMIGRATION) V. MERNET (C.A.)
Court of Appeal, Marceau, Desjardins and Décary JJ.A.—Montréal, February 5; Ottawa, April 1, 1992.
Immigration — Refugee status — S. 28 application to review refusal of first level tribunal to apply exclusion clause in United Nations Convention — Respondent having tortured Kurds as Turkish armed forces commando — First level tribu nal declining to apply exclusion clause in Convention for want of jurisdiction — Functions of first level tribunal, Refugee Division analyzed — Case law reviewed — Exclusion negative aspect of refusal, can only be considered at second stage — Distinction between "changed circumstances" and exclusion clauses — Application of exclusion clause to claimant meeting eligibility test not automatic, requiring assessment of circum stances.
This was a section 28 application to set aside a decision of the adjudicator and member of the Refugee Division (the first level tribunal) who refused to apply the exclusion clause con tained in Section F of Article 1 of the United Nations Conven tion Relating to the Status of Refugees. The said clause states that the provisions of the Convention shall not apply to persons suspected of a war crime, of a serious non-political crime or of acts contrary to the purposes and principles of the United Nations. The claimant was a Turkish national who served as a specialized commando in the armed forces and tortured Kurd- ish citizens accused of collaborating with alleged terrorists from the Kurdistan Workers' Party. He left Turkey for Canada in November 1986 as he feared reprisals from the party sympa thizers when he returned to civilian life. The Minister's repre sentative asked the first level tribunal to consider the "possibil- ity of applying the exclusion clause in the Convention". The reason given by the tribunal for rejecting this invitation was that only the body empowered to decide whether an individual is a Convention refugee had jurisdiction to deny that person the benefits associated with such status. The first level tribunal, satisfied that the claim had a credible basis, referred the case to the Refugee Division.
The issue before the Court was whether the first level tribu nal erred in ruling that it lacked jurisdiction to apply the exclu sion clause contained in Section F of the Convention.
Held (Desjardins J.A. dissenting), the application should be dismissed.
Per Marceau J.A.: The adjudicator and member of the Divi sion were correct in indicating that they lacked jurisdiction to consider whether the exclusion clause in Section F of the Con vention should be applied herein. After finding in the evidence facts which could support the claimant's testimony that he fears persecution in his country, the tribunal could not then conclude that the claim lacked a credible basis. The possibility that an exclusion might be applied did not remove the exis tence of credible evidence on which the claim may be based.
The first level tribunal does not have power to grant refugee status and its function, which is defined in subsection 46.01(6) of the Immigration Act, is not to question the adequacy of the evidence submitted in support of a claim but only the existence of such evidence. It would offend the coherence of the system for the first level tribunal to do more than ascertain whether a credible basis exists; it is for the Refugee Division, the body empowered to allow the claim after weighing the evidence and finding it to be sufficient, to consider whether an exclusion requires it to deny the claimant the protection to which he would otherwise be entitled. An exclusion is a negative aspect of refusal which has nothing to do with the positive aspects of the very definition of a Convention refugee in subsection 2(1) of the Immigration Act, and can only be treated separately at a second stage.
In Mileva v. Canada (Minister of Employment and Immigra tion), the Federal Court of Appeal held that the first level tribu nal might take into account "changed circumstances" in the claimant's country of origin. There is, however, a necessary distinction between "changed circumstances" and the exclu sion clauses: unlike the latter, the "changed circumstances" are closely associated with the concept of refugee, since they directly affect the rational or reasonable aspect of the fear cited by the claimant in attempting to make out his claim. It is this distinction that explains the way in which the text defining the meaning of the phrase "Convention refugee" was drafted. It is not possible for the first level tribunal, when it is considering the credibility of a claim, to suddenly realize that it is dealing with a clear and unequivocal case of exclusion because, under the new system, the claimant must already at that point have satisfied the tribunal that he is eligible. The application of an exclusion clause to a claimant who meets the eligibility test is never automatic, and will always require an assessment of the circumstances and the situation as a whole. The jurisdiction to apply one of the exclusion clauses contained in Section F of Article 1 of the United Nations Convention belongs exclu sively to the Refugee Division which will have to make a final ruling on the claim.
Per Desjardins J.A. (dissenting): According to the respon dent, there are two definitions of a "Convention refugee": one which is positive and tends towards inclusion and one which is negative and tends towards exclusion. The respondent's posi tion, that the first level tribunal's jurisdiction is limited to examining the "credible basis" of a claim and does not extend to the negative and secondary aspects of the first definition of a Convention refugee is much too general and does not take into account the function, limited though it may be, conferred on the first level tribunal by the legislation. Whether the exclusion clause constitutes a second definition or is one of the essential components of the definition of a "Convention refugee", it is the same legislative provision which both adjudicative levels have the duty of applying, but from different standpoints.
Claimants falling within the exclusions contained in Sec tions E and F of the Convention may in no way claim the pro tection offered by Canada to Convention refugees. As to whether the first level tribunal has a part to play in the exclu sion process, the answer to this question could be found in Mileva. In that case, the Court had to decide on the jurisdiction of the first level tribunal over evidence of recent political changes in Bulgaria, an essentially negative component of the definition. Nevertheless, the function of the Refugee Division and the first level tribunal described by the majority of the Court seems to have general application in view of the respon sibilities conferred on them by the Act. The function of the first level tribunal is that of screening out frivolous claims or those lacking a credible basis. In a case where the exclusion is obvious at the first level, it would be inconsistent with the pur pose of creating the first level tribunal to send the claim on to the evaluation process regardless. If, however, it appears to the first level tribunal that there is only a possibility of applying the exclusion and the positive and negative evidence needs to be weighed, the first level tribunal should refer the case to the Refugee Division. The respondent's contention that, when a claimant has met the eligibility criteria, an exclusion clause cannot be set up against him at the first level, was unaccept able. The scope of the eligibility criteria is not necessarily the same as that of the exclusion clauses. There is a marked dis tinction between paragraph 19(1)(j) of the Immigration Act which is more limited since it refers to "a war crime or a crime against humanity within the meaning of subsection 7(3.76) of the Criminal Code and that, if it had been committed in Canada, would have constituted an offence against the laws of Canada in force at the time of the act or omission" and para graph (a) of Section F of the Convention which is wider since it deals, inter alia, with "a crime against peace, a war crime, or a crime against humanity, as defined in the international instruments drawn up to make provision in respect of such crimes". The fact that a claimant has successfully met the lim ited test of eligibility is no guarantee that, if his claim discloses credible evidence of exclusion, it must necessarily proceed to the second level. In the case at bar, the first level tribunal in exercising its jurisdiction should have determined whether there was credible or trustworthy evidence that would justify
denial of refugee station on one of the grounds mentioned in Section E or F of Article 1 of the Convention.
STATUTES AND REGULATIONS JUDICIALLY CONSIDERED
An Act to amend the Immigration Act and to amend other Acts in consequence thereof, R.S.C., 1985 (4th Supp.), c. 28, ss. 40, 41, 43.
Criminal Code, R.S.C., 1985, c. C-46, s. 7(3.76) (as am. by R.S.C., 1985 (3rd Supp.), c. 30, s. 1).
Federal Court Act, R.S.C., 1985, c. F-7, s. 28 (as am. by R.S.C., 1985 (2nd Supp.), c. 30, s. 61).
Immigration Act, R.S.C., 1985, c. I-2, ss. 2(1) (as am. by R.S.C., 1985 (4th Supp.), c. 28, s. 1), 19(1)(j) (as am. by R.S.C., 1985 (3rd Supp.), c. 30, s. 3), 46.01(1),(6) (as enacted by R.S.C., 1985 (4th Supp.), c. 28, s. 14), 69.1(5) (as enacted idem, s. 18), 82.1 (as enacted idem, s. 19), schedule (as enacted idem), s. 34).
Refugee Claimants Designated Class Regulations, SOR/90-40, s. 3(2)(e).
CASES JUDICIALLY CONSIDERED
APPLIED:
Mileva v. Canada (Minister of Employment and Immigra tion), [1991] 3 F.C. 398; (1991), 50 Admin. L.R. 269; 129 N.R. 262 (C.A.).
REFERRED TO:
Leung v. Canada (Minister of Employment and Immigra tion) (1990), 74 D.L.R. (4th) 313; 12 Imm. L.R. (2d) 143 (F.C.A.); Canada (Minister of Employment and Immigra tion) v.. Paszkowska (1991), 13 Imm. L.R. (2d) 262 (F.C.A.); Ramirez v. Canada (Minister of Employment and Immigration), [1992] 2 F.C. 306.
AUTHORS CITED
Driedger, Elmer A. Construction of Statutes, 2nd ed., Toronto: Butterworths, 1983.
Goodwin-Gill, Guy S. The Refugee in International Law, Oxford: Clarendon Press, 1983.
Office of the United Nations High Commissioner for Ref ugees. Handbook on Procedures and Criteria for Determining Refugee Status under the 1951 Convention and the 1967 Protocol relating to the Status of Refu gees, Geneva, September 1979.
United Nations General Assembly-International Law Commission. The Charter and Judgment of the Nürn- berg Tribunal: History and Analysis, Appendix I1, U.N. Doc. A/CN. 4/5 (3 March 1949).
APPLICATION under section 28 to review refusal by an adjudicator and a member of the Refugee Divi sion to apply one of the exclusion clauses contained in section E or F of Article 1 of the United Nations
Convention Relating to the Status of Refugees. Application dismissed.
COUNSEL:
Normand Lemyre for applicant. M. Pia Zambelli for respondent.
SOLICITORS:
Deputy Attorney General of Canada for appli
cant.
Sabine Venturelli, Montréal, for respondent.
The following is the English version of the reasons for judgment rendered by
MARCEAU J.A.: It may be thought that after so many decisions by this Court in which the new sys tem for determining and granting refugee status (adopted by An Act to amend the Immigration Act and to amend other Acts in consequence thereof, R.S.C., 1985 (4th Supp.), c. 28, in effect on January 1, 1989) had been challenged, all the problems involved in defining the respective functions of the various administrative bodies concerned would long since have been resolved. That is not so. The applica tion at bar made pursuant to section 28 of the Federal Court Act [R.S.C., 1985, c. F-7 (as am. by R.S.C., 1985 (2nd Supp.), c. 30, s. 61)] (as it stood before February 1, 1992) raises a significant question which to my knowledge has never to date been dealt with by the courts. By subsection 2(1) of the Immigration Act [R.S.C., 1985, c. I-2 (as am. by R.S.C., 1985 (4th Supp.), c. 28. s. 1)] ("the Act"), which undertakes at the outset to define certain words subsequently used, the phrase "Convention refugee" ("réfugié au sens de la Convention" in the French version) is defined as follows:
"Convention refugee" means any person who
(a) by reason of a well-founded fear of persecution for rea sons of race, religion, nationality, membership in a particu lar social group or political opinion,
(i) is outside the country of the person's nationality and is unable or, by reason of that fear, is unwilling to avail him self of the protection of that country, or
(ii) not having a country of nationality, is outside the country of the person's former habitual residence and is unable or, by reason of that fear, is unwilling to return to that country, and
(b) has not ceased to be a Convention refugee by virtue of subsection (2),
but does not include any person to whom the Convention does not apply pursuant to section E or F of Article 1 thereof, which sections are set out in the schedule to this Act;
The new question now before the Court is whether the first level tribunal, consisting of an adjudicator and a member of the Refugee Division, which is made responsible for ensuring that a claim has a "credible basis" before it is submitted to the body responsible for disposing of it, has jurisdiction to apply one of the exclusion clauses contained in sec tion E or F of Article 1 of the Convention [United Nations Convention Relating to the Status of Refu gees], in particular in section F which reads as fol lows, as set out in the schedule to the Act [as enacted idem, s. 34]:
F. The provisions of this Convention shall not apply to any person with respect to whom there are serious reasons for con sidering that:
(a) he has committed a crime against peace, a war crime, or a crime against humanity, as defined in the international instruments drawn up to make provision in respect of such crimes;
(b) he has committed a serious non-political crime outside the country of refuge prior to his admission to that country as a refugee;
(c) he has been guilty of acts contrary to the purposes and principles of the United Nations.
It is surprising that the courts have not considered the point before, but that it was finally raised here is readily understandable in the circumstances of the case at bar. The claimant was a Turkish national who, in the years preceding his flight from his country, when he was serving as a specialized commando in the armed forces, apparently engaged in acts of tor ture of Kurdish citizens accused of collaborating with alleged terrorists from the Kurdistan Workers' Party. In the course of his argument, the Minister's repre sentative asked members of the first level tribunal to consider the "possibility of applying the exclusion clause in the Convention". However, the adjudicator and member of the Refugee Division felt they should decline the invitation and, in a decision in which they recognized that the claim had the necessary credible
basis for being submitted to the Refugee Division, they explained their approach as follows (at page 7):
[TRANSLATION] In the absence of reasoned argument to the contrary, we consider that only the body empowered to decide whether an individual is a Geneva Convention refugee has jurisdiction to deny that individual the benefits associated with such status; the exclusion clauses described in Sections D, E and F of Article 1 of the 1951 Convention state that it will not be applicable to persons who are already receiving United Nations protection or assistance, persons who are recognized in their country of residence as having the rights and obliga tions attached to possession of the nationality of that country and, finally, persons who it is felt should not enjoy interna tional protection because of the reprehensible acts committed by them.
Accordingly, in view of the mandate conferred on us as the first level tribunal, we feel that we do not have jurisdiction to rule in the case at bar on the possibility of the exclusion clause applying in these circumstances.
The question is so clearly presented that the Minis ter, who disputes the tribunal's approach, could not avoid asking this Court to intervene.
I will say at once that I do not think the Court should intervene as I concur fully in the tribunal's opinion. In my view, the adjudicator and member of the Division were right to indicate that they lacked the power to consider whether an exclusion clause should be applied here, and I take this view for the following reasons.
The function of the first level tribunal is, as we know, defined in subsection 46.01(6) [as enacted idem, s. 14] of the Act, which reads as follows:
46.01 .. .
(6) If the adjudicator or the member of the Refugee Divi sion, after considering the evidence adduced at the inquiry or hearing, including evidence regarding
(a) the record with respect to human rights of the country that the claimant left, or outside of which the claimant remains, by reason of fear of persecution, and
(b) the disposition under this Act or the regulations of claims to be Convention refugees made by other persons who alleged fear of persecution in that country,
is of the opinion that there is any credible or trustworthy evi dence on which the Refugee Division might determine the claimant to be a Convention refugee, the adjudicator or member shall determine that the claimant has a credible basis for the claim.
My first comment is a simple one. I simply do not see how the adjudicator and member of the Division, after finding in the credible evidence admitted by them facts which could support the claimant's allega tion that his fear of being a victim of persecution in his country on one of the indicated grounds is justi fied, could then conclude that the claim lacked a credible basis. The possibility that an exclusion might be applied does not remove "the existence of credible evidence" on which the claim may be based, and what they have to do as soon as they find that such evidence exists is clearly stated in the Act.
On reviewing the many decisions of this Court which have dealt with the function of a first level tri bunal it can be seen that, behind a whole range of varied expressions some of which are undoubtedly less well-chosen than others, there is one overriding principle: it is not the function of the first level tribu nal to question the adequacy of the evidence submit ted in support of a claim; only the existence of such evidence is before it. This clearly could not be other wise, since it is in no way the function of this tribunal to grant the status claimed; in that case, is it logical to think that although the first level tribunal is not a judge of the adequacy of the evidence to support the claim, it is still empowered to decide on the adequacy of evidence to deny the status in spite of a valid claim? It seems to me that such a legal concept would be both awkward and incomprehensible.
In my view it would offend the 'coherence of the system for the first level tribunal to do more than ascertain whether a credible basis exists, touching on each component of the definition and so capable of supporting a refugee claim. It is for the Refugee Division, the body empowered to allow the claim, after weighing the evidence and finding it to be suffi cient, to consider whether an exclusion does not ulti mately make it necessary to deny the claimant the protection to which he would otherwise be entitled. Further confirmation of the 'exclusive nature of the
function of the Refugee Division in this connection is to be found in subsection 69.1(5) [as enacted idem, s. 18] of the Act, as it stands:
69.1 ...
(5) At the hearing into a claim, the Refugee Division
(a) shall afford the claimant a reasonable opportunity to pre sent evidence, cross-examine witnesses and make represen tations; and
(b) shall afford the Minister a reasonable opportunity to pre sent evidence and, if the Minister notifies the Refugee Divi sion that the Minister is of the opinion that matters involv ing section E or F of Article 1 of the Convention or subsection 2(2) of this Act are raised by the claim, to cross- examine witnesses and make representations.
I agree that strictly speaking this section deals only with the Minister's powers and the right to call wit nesses and make representations when there is any question of refusing to recognize status pursuant to one of the exclusion clauses in Section E or F of Arti cle 1 of the Convention; but this provision does not occur in isolation and must be seen in its context. It has to be given some meaning; and the only explana tion is that an exclusion is a negative aspect of refusal which has nothing to do with the positive aspects of the very definition of a refugee, and can only be treated separately at a second stage.
I am not forgetting that in Mileva v. Canada (Min- ister of Employment and Immigration), [1991] 3 F.C. 398, this Court refused to deny the first level tribunal the right to take into account "changed circum stances" in the claimant's country of origin, and I realize that changed circumstances can be seen as a negative aspect, in the same way as exclusion clauses, especially as they are mentioned in subsec tion 69.1(5) of the Act to which I have just referred. However, I think there is still a necessary distinction between "changed circumstances" and the exclusion clauses. The "changed circumstances" are closely associated with the idea of a refugee, since they directly affect the rational or reasonable aspect of the fear cited by the claimant when he is trying to make out his claim. Exclusion clauses, on the other hand, are completely external to the characteristics of a ref ugee and to both the genuineness and the reasonable ness of his fear of persecution on the grounds stated, if he is sent back to his country of origin. Moreover,
it is this necessary distinction that explains the way in which the text defining the meaning of the phrase "Convention refugee" in subsection 2(1) of the Act was drafted. It is undoubtedly to give effect to this that mention is made of "changed circumstances" in paragraph (b), the pendant to paragraph (a) setting out the components of the refugee concept, while the exclusions are introduced quite separately.
Although this distinction is beyond question, it will be said, the reaction in Mileva may also be explained by practical considerations: why place before the Refugee Division an application which clearly cannot succeed, as the alleged fear certainly can no longer he regarded as genuine or reasonable in the circum stances that now prevail? On the same practical basis, may we not ask why the Refugee Division should hear an application which will undoubtedly be dis missed because an exclusion clause will ultimately prevent the application from being allowed? I think the answer is that it is not possible for the first level tribunal, when it is considering the credibility of a claim, to suddenly realize it is dealing with a clear and unequivocal case of exclusion. This is so because under the new system the claimant must already at that point have satisfied the tribunal that he is eligi ble, and among ineligible persons subsection 46.01(1) [as enacted idem, s. 14] includes those described in paragraph 19(1)(j) [as am. by R.S.C., 1985 (3rd Supp.), c. 30, s. 3], namely:
19.(1)...
(j) persons who there are reasonable grounds to believe have committed an act or omission outside Canada that constituted a war crime or a crime against humanity within the meaning of subsection 7(3.76) of the Criminal Code and that, if it had been committed in Canada, would have constituted an offence against the laws of Canada in force at the time of the act or omission.
The application of an exclusion clause to a claimant who meets the eligibility test is never automatic, and will always require an assessment of the circum stances and the situation as a whole, as Guy S. Goodwin-Gill clearly explains in his book The Refu gee in International Law, at pages 61 and 62:
Article I F excludes 'persons', rather than `refugees' from the benefits of the Convention, suggesting that the issue of a well-founded fear of persecution is irrelevant and need not be examined at all if there are 'serious reasons for considering' that an individual comes within its terms. In practice, the claim to be a refugee can rarely be ignored, for a balance must also be struck between the nature of the offence presumed to have been committed and the degree of persecution feared. A person with a well-founded fear of very severe persecution, such as would endanger life or freedom, should only be excluded for the most serious reasons. If the persecution feared is less, then the nature of the crime or crimes in question must be assessed to see whether criminal character in fact outweighs the appli cant's character as a bona fide refugee.'
It is true that the claimant in the case at bar did not have to undergo the eligibility test, as he made his claim before the new Act came into effect and under the transitional provisions he moved on directly to the stage at which credibility is considered; 2 but of course the parameters of a new system cannot be assessed with the aid of limits which transitional pro visions may have placed on its application, whether for reasons involving observance of existing rights or for any other reason.
In the Handbook on Procedures and Criteria for Determi ning Refugee Status under the 1951 Convention and the 1967 Protocol relating to the Status of Refugees, published by the Office of the United Nations High Commissioner for Refugees — which of course does not make any mention of an eligibility test — the idea seems to underlie the entire analysis. It can be seen at once from reading the opening paragraph [at page 33]:
140. The 1951 Convention, in Sections D, E and F of Article 1, contains provisions whereby persons otherwise having the characteristics of refugees, as defined in Article 1, Section A, are excluded from refugee status. Such persons fall into three groups. The first group (Article 1 D) consists of persons already receiving United Nations protection or assistance; the second group (Article 1 E) deals with persons who are not con sidered to be in need of international protection; and the third group (Article 1 F) enumerates the categories of persons who are not considered to be deserving of international protection.
2 Sections 40, 41 and 43 of an Act to amend the Immigration Act and to amend other Acts in consequence thereof, R.S.C., 1985 (4th Supp.), c. 28.
Moreover, there is no reason to think that for these "designated refugees" the passage is that much sim pler, as paragraph 3(2)(e) of the Refugee Claimants Designated Class Regulations (SOR/90-40) contains an exclusion in principle of persons covered by para graph 19(1)(j); that paragraph reads in part as fol lows:
3....
(2) The Refugee Claimants Designated Class shall not include a person who
(e) is described in any of paragraphs 19(1)(c) to (g), (j) or 27(2)(c) of the Act;
Those then are the reasons leading me to think that the first level tribunal in the new system for deter mining refugee status does not have jurisdiction to apply to a claimant one of the exclusion clauses con tained in Section E or F of Article 1 of the Geneva Convention. That jurisdiction belongs exclusively to the Refugee Division which will have to make a final ruling on the claim.
In my opinion, the application should be dis missed.
DÉCARY J.A.: I concur.
* * *
The following is the English version of the reasons for judgment rendered by
DESJARDINS J.A. (dissenting): Only one question of law is raised by this application pursuant to section 82.1 of the Immigration Act ("the Act"): 3 does the first level tribunal have jurisdiction regarding evi dence of the exclusions contained in the body of the definition of a "Convention refugee" in section 2 of the Immigration Act, which refers to the schedule of the Act. The wording is as follows:
2. (1)...
"Convention refugee" means any person who
(a) by reason of a well-founded fear of persecution for rea sons of race, religion, nationality, membership in a particu lar social group or political opinion,
3 R.S.C., 1985, c. I-2 [as enacted by R.S.C., 1985 (4th Supp.), c. 28, s. 19].
(i) is outside the country of the person's nationality and is unable or, by reason of that fear, is unwilling to avail him self of the protection of that country, or
(ii) not having a country of nationality, is outside the country of the person's former habitual residence and is unable or, by reason of that fear, is unwilling to return to that country, and
(b) has not ceased to be a Convention refugee by virtue of subsection (2),
but does not include any person to whom the Convention does not apply pursuant to section E or F of Article 1 thereof, which sections are set out in the schedule to this Act; [My emphasis.]
Section F of Article 1 of the Convention, contained in the schedule to the Act, provides:
F. The provisions of this Convention shall not apply to any person with respect to whom there are serious reasons for con sidering that:
(a) he has committed a crime against peace, a war crime, or a crime against humanity, as defined in the international instruments drawn up to make provision in respect of such crimes;
(b) he has committed a serious non-political crime outside the country of refuge prior to his admission to that country as a refugee;
(c) he has been guilty of acts contrary to the purposes and principles of the United Nations.
The respondent, who is of Turkish origin, did his compulsory military service in Turkey from March 1985 to September 1986 and took part as a sergeant in reprisals against and torture of the Kurdish people of the village of Borcka, suspected of collaborating with alleged terrorists of the Kurdistan Workers' Party ("P.K.K."). The claimant explained that his compulsory military service obliged him to carry out his superiors' orders like an automaton, and that if he had not done so, he would have suffered severe pen alties. He left Turkey in November 1986 for Canada because he feared reprisals by P.K.K. sympathizers when he returned to civilian life.
The case presenting officer invited the first level tribunal in his submissions, and after the evidence was closed, to consider the possibility of applying the exclusion clause contained in the final paragraph of the definition of a "Convention refugee". The reason given by the tribunal for rejecting the claim was that only the body empowered to decide whether an indi vidual is a "Convention refugee" had jurisdiction to
deny that individual the benefits associated with such status. The first level tribunal concluded that the claimant's testimony was credible and referred his case to the Refugee Division, as it was satisfied that the claim had a credible basis.
The tribunal said the following : 4 [TRANSLATION] ANALYSIS
The testimony of the claimant at the hearing was given with out prompting from his counsel, frankly and without exaggera tion. His story was detailed, coherent and in his own words. The claimant did not seek to hide his participation in actions which might not be favourable to him in the minds of members of the tribunal. Of his own accord, without any specific ques tion compelling him to do so, he described how he came to participate in actions against the P.K.K. as part of his military service.
EXCLUSION CLAUSE
As we said earlier, at no time before his submissions did the C.P.O. indicate that he would be asking the tribunal to apply the exclusion clause in the instant case. Further, he raised no questions in his cross-examination designed to throw light on the claimant's participation in the acts committed against the Kurdish people. The only questions raised by Mr. Castonguay concerned the two versions given by the claimant of his rea sons for coming to Canada._
It is worth setting out here paragraphs 140 and 141 of the Handbook on Procedures and Criteria for Determining Refu gee Status dealing with the application of exclusion clauses:
140. The 1951 Convention, in Sections D, E and F of Article 1, contains provisions whereby persons otherwise having the characteristics of refugees, as defined in Article I, Section A, are excluded from refugee status. Such persons fall into three groups. The first group (Article I D) consists of per sons already receiving United Nations protection or assis tance; the second group (Article 1 E) deals with persons who are not considered to be in need of international protection; and the third group (article I F) enumerates the categories of persons who are not considered to be deserving of interna tional protection.
141. Normally it will be during the process of determining a person's refugee status that facts leading to exclusion under
4 Decision rendered on May 16, 1991, Hearing Division and Immigration and Refugee Board, file No. 9529-E-6950.
these clauses will emerge. It may, however, also happen that the facts justifying exclusion will become known only after a person has been recognized as a refugee. In such cases, the exclusion clause will call for a cancellation of the decision previously taken.
In the absence of reasoned argument to the contrary, we con sider that only the body empowered to decide whether an indi vidual is a Geneva Convention refugee has jurisdiction to deny that individual the benefits associated with such status; the exclusion clauses described in Sections D [sic], 5 E and F of Article 1 of the 1951 Convention state that it will not be appli cable to persons who are already receiving United Nations pro tection or assistance, persons who are recognized in their coun try of residence as having the rights and obligations attached to possession of the nationality of that country and, finally, per sons who it is felt should not enjoy international protection because of the reprehensible acts committed by them.
Accordingly, in view of the mandate conferred on us as the first level tribunal, we feel that we do not have jurisdiction to rule in the case at bar on the possibility of the exclusion clause applying in these circumstances.
The applicant, who is challenging this decision, referred the Court to sections 46 [as am. idem, s. 14] and 46.01 of the Act, which set out the jurisdiction of the first level tribunal. His argument is as follows. Subsection 46.01(1) confers jurisdiction on the adju dicator and the member of the Refugee Division to determine whether the claim is admissible. A claim found to be inadmissible is not forwarded to the Ref ugee Division. If the claim is found to be admissible, the first level tribunal then considers whether the claim has a "credible basis", and under subsec tion 46.01(6) this is clearly associated with the defi nition of a "Convention refugee". The first level tri bunal accordingly has a duty to consider all the essential aspects of this definition, in carrying out its duties as specified by the Act and the decisions of this Court. 6 In the applicant's submission, the exclu- sions are essential parts of this definition. If there is evidence giving members of the first level tribunal
5 Although the first level tribunal mentions the exclusion clause described in Section D of Article 1 of the Convention, this section is not part of the Immigration Act.
6 See Leung v. Canada (Minister of Employment and Immi gration) (1990), 74 D.L.R. (4th) 313 (RC.A.); Mileva v. Canada (Minister of Employment and Immigration), [1991] 3 F.C. 398 (C.A.); Canada (Minister of Employment and Immi gration) v. Paszkowska (1991), 13 Imm. L.R. (2d) 262 (F.C.A.).
"serious reasons for considering" 7 that the claimant does not fall within the definition of a "refugee" because he is a person to whom the Convention does not apply pursuant to Sections E and F of Article 1, the first level tribunal must then consider it. If sub section 46.01(6) of the Act is interpreted as giving the first level tribunal no jurisdiction to consider the exclusion clause, only part of the definition will be looked at. The result would be a situation in which, though it felt that the Convention does not apply to the case of a claimant who clearly meets the exclu sion criteria, the first level tribunal should forward the claim to the Refugee Division. The latter would be required either to recognize that the claimant has refugee status and then exclude him because he is not covered by the Convention or conclude that the claimant falls within an exclusion clause and decide that it is accordingly pointless to consider the validity of his fear of persecution. In either case, the second level proceeding would be futile.
The respondent did not agree that the exclusion clause is one of the essential components of the defi nition of a "Convention refugee". He noted that in the English version the words "means" and "does not include" have acquired in the language of legal draft ing the sense that the word "means" is limiting while the word "include" ("does not include") is more gen eral. 8 There are in fact two definitions of a "Conven- tion refugee": one which is positive and tends
7 This language is taken from Section F of the Convention, contained in the section of the Act.
8 E. A. Driedger, Construction of Statutes, 2nd ed. (Toronto: Butterworths, 1983) at p. 18:
Definition provisions appear in varying forms. One encoun ters definitions where a word or phrase is stated:. (1) to mean something, (2) to include something, (3) to mean something and to include another thing, or (4) to mean and include some thing.
The standard guide for draftsmen is that means restricts and includes enlarges.
towards inclusion and one which is negative and tends towards exclusion. 9 The French version of the definition of a "Convention refugee" is even closer to the statutory wording since it contains two separate paragraphs. This approach accordingly requires that the first level tribunal look initially at the positive aspects of the definition, and only thereafter at the negative aspects. However, it cannot rule on the exclusions since the inclusion factors must first be assessed, which it has no power to do as it has no jurisdiction to weigh the evidence.
The respondent argued that this Court's decision in Mileval 0 cannot be applied since it deals with changed circumstances in the country of origin, and this change is closely bound up with the inclusion components of the definition—which is not the case with the exclusion clause. The eligibility stage,tt he went on, is designed specifically to exclude at the outset persons who cannot look for protection under the Convention whatever the merits of their fear of persecution. 12 The first level tribunal then has the
9 The respondent cited this description of the definition of a «Convention refugee», contained in the Handbook on Proce dures and Criteria for Determining Refugee Status, Office of the United Nations High Commissioner for Refugees, Geneva, September 1979, at p. 9:
31. The inclusion clauses define the criteria that a person must satisfy in order to be a refugee. They form the posi tive basis upon which the determination of refugee status is made. The so-called cessation and exclusion clauses have a negative significance; the former indicate the con ditions under which a refugee ceases to be a refugee and the latter enumerate the circumstances in which a person is excluded from the application of the 1951 Convention although meeting the positive criteria of the inclusion clauses.
10 Mileva v. Canada (Minister of Employment and Immigra tion), [1991] 3 F.C. 398 (C.A.).
11 Subsection 46.01(1) of the Immigration Act.
12 It should be noted that the respondent's claim is governed by the Refugee Claimants Designated Class Regulations, SOR/90-40, December 27, 1989, which applies in the case of persons who claimed refugee status before January 1, 1989 and whose claim had a credible basis either under s. 46.01(6) or (7) of the Act or under s. 43(1) of an Act to amend the Immigra tion Act and to amend other Acts in consequence thereof, R.S.C., 1985 (4th Supp.), c. 28. Subsection 46.01(1) is not applicable. However, the definition excludes persons covered
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function of screening out those who abuse the pro cess. Its jurisdiction is limited to examining the "credible basis" of a claim and does not extend to the negative and secondary aspects of the "first defini tion" of a Convention refugee. In support of its argu ment, the respondent relied on subsection 69.1(5) of the Act, which is specific when the Minister wishes to rely on exclusions E and F contained in Article 1 of the Convention.
The respondent's position seems to me much too general and does not take into account the function, limited though it may be, conferred on the first level tribunal by the legislation.
In my opinion, it does not matter whether we say as the respondent does that the exclusion clause con stitutes a second definition or, with the applicant, that this clause is one of the essential components of the definition of a "Convention refugee". It is the same legislative provision which both adjudicative levels have the duty of applying, but from different stand points.
It is clear that someone who falls within the exclu- sions contained in Sections E and F of the Conven tion may in no way claim the protection offered by Canada to Convention refugees. In a case where the evidence admits of no doubt, the Refugee Division, which is the second level tribunal, can never give such a person Convention refugee status. Where the evidence needs to be weighed, the Refugee Division may only determine whether the claimant is entitled to refugee status after it has analysed the evidence as a whole with all mitigating circumstances or grounds of defence.
Does the first level tribunal have a part to play in the exclusion process?
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by ss. 19(1)(c) to (g) or (j) and 27(2)(c) of the Act. A person meeting the criteria of the definition can apply directly to an immigration officer for landing without going through the Refugee Division.
If evidence found credible by the first level tribu nal happens to bear on the exclusion of a person on grounds mentioned in Sections E and F of the Con vention, and that evidence clearly establishes that it would be impossible, or that the Refugee Division might never grant the claimant Convention refugee status, I do not see what logic could deprive the first level tribunal of the function defined for it in Mileva.
It is true that in Mileva, this Court had to decide on the jurisdiction of the first level tribunal over evi dence of recent political changes taking place in Bul- garia. This was an essentially negative component of the definition. The function of the Refugee Division and the first level tribunal described by the majority of the Court seems to me to have general application in view of the responsibilities conferred on them by the Act.
Pratte J.A. said the following: 13
Before going any further, it will be useful to recall the dif ference between the respective roles of the Refugee Division, on the one hand, and the adjudicator and member of the Refu gee Division, on the other, when they have to consider a claim for refugee status the admissibility of which is not in dispute.
What the Refugee Division is asked to do is to determine whether, on the evidence, the claimant is a Convention refu gee. The Refugee Division must accordingly take note of evi dence relating to past or present facts affecting the claimant, his family and country of origin. Such evidence must be weighed by the Refugee Division in the same way as any other tribunal would do, taking into account its credibility and evi- dentiary force, and deciding what facts are established by that evidence. The Refugee Division must then decide whether the facts so proven are such that it can conclude that the claimant really runs the risk of being persecuted for reasons mentioned in the Convention if he returns to his country. As it is impossi ble to predict the future, the Refugee Division in making such a judgment of course is only expressing an opinion.
The function of an adjudicator and a member of the Refugee Division is defined by subsection 46.01(6) [as enacted idem, s. 14] of the Act. They also must take note of the various points of evidence submitted to them. They must rule on the credibil ity of that evidence. They must then consider whether, based on the evidence they find to be credible, the Refugee Division could reasonably conclude that the claim was valid if the mat ter was referred to it. It is not their function to decide what facts are established - by the evidence; nor do they have to decide whether the evidence supports the conclusion that the
13 Mileva, supra, note 10, at pp. 402-403, per Pratte J.A.
claimant really runs the risk of being persecuted if he returns home. After deciding on the credibility of the evidence, the only question the adjudicator and the member of the Refugee Division can ask themselves is whether, based on such evi dence as is credible, the Refugee Division could if it had the matter before it conclude that facts existed which it could regard as sufficient to make out the validity of the claim. [My emphasis.]
He went on to say: 14
While the adjudicator and member of the Refugee Division must consider evidence tending to show a change in circum stances in the claimant's country of origin, they are not required to decide whether the change in circumstances estab lished by this evidence is sufficient to defeat the claim. They are only required to decide whether that evidence is such that it. would be impossible for the Refugee Division to allow the claim. [My emphasis.]
For my part, I said: 15
The first instance tribunal must determine the credibility of any evidence submitted to it. It must then determine whether, on the evidence so found to be credible, the Refugee Division could reasonably conclude that the claim was justified. It is not required to weigh this evidence in terms of the existence of each of the essential components of the definition of a "Con- vention refugee", since that is the function of the Refugee Division. However, if the evidence is such that the Refugee Division could never conclude that the claim was valid, the first instance tribunal has the power to disallow the claim on the ground that it lacks a credible basis. [My emphasis.]
The function of the first level tribunal is precisely that of screening out frivolous claims or those lack ing a credible basis. In a case where the exclusion is obvious at the first level, it seems to me to be incon sistent with the purpose of creating the first level tri bunal to send the claim on to the evaluation process regardless. If of course, on the evidence accepted as credible, it appears to the first level tribunal that there is only a possibility of applying the exclusion and the positive and negative evidence accepted needs to be weighed, then the first level tribunal should refer the case to the Refugee Division.
I cannot accept the respondent's position that, when a claimant has met the eligibility criteria, an exclusion clause cannot be set up against him at the first level. The scope of the eligibility criteria is not necessarily the same as that of the exclusion clauses.
14 Ibid., at p. 405.
15 Ibid., at p. 418.
For example, paragraph 46.01(1)(e) refers to para graph 19(1)(j), which reads as follows:
19. (1) No person shall be granted admission who is a member of any of the following classes:
(j) persons who there are reasonable grounds to believe have committed an act or omission outside Canada that consti tuted a war crime or a crime against humanity within the meaning of subsection 7(3.76) of the Criminal Code and that, if it had been committed in Canada, would have consti tuted an offence against the laws of Canada in force at the time of the act or omission.
There is a marked distinction between paragraph 19(1)(j) of the Act and Section F of Article 1 of the Convention. Paragraph 19(1)(j) is more limited since it refers to "a war crime or a crime against humanity within the meaning of subsection 7(3.76) of the Criminal Code and that, if it had been committed in Canada, would have constituted an offence against the laws of Canada in force at the time of the act or omission" [underlining added]. Paragraph (a) of Sec tion F is wider since it deals, inter alia, with "a crime against peace, a war crime, or a crime against human ity, as defined in the international instruments drawn up to make provision in respect of such crimes". 16 Even assuming that the standard of guilt applicable in Canadian law is the same as that in these interna tional instruments—as to which I express no opin- ion 17 —paragraph 19(1)(j) requires that the crime he an offence in Canada at the time it was committed. In my view, the fact that a claimant has successfully met the limited test of eligibility is no guarantee that, if his claim discloses credible evidence of exclusion, it must necessarily proceed to the second level. How, for example, might one refer to the second level the
16 However, it should be noted that the definition of a "crime against humanity" contained in s. 7(3.76) of the Crimi nal Code [R.S.C., 1985, e. C-46 (as am. by R.S.C., 1985 (3rd Supp.), c. 30, s. 1)] is similar to the definition contained in the Charter of the International Military Tribunal reproduced in the Handbook on Procedures and Criteria for Determining Refu gee Status, Annex V, Office of the United Nations High Com missioner for Refugees, Geneva, 1979. See also The Charter and Judgment of the Nurnberg Tribunal: History and Analysis, Appendix 11, United Nations General Assembly—International Law Commission, 1949 (A/CN. 4 / 5 of March 3, 1949).
17 See as to this the comments of MacGuigan J.A. for the Court in Ramirez v. Canada (Minister of Employment and Immigration), [1992] 2 F.C. 306 (C.A.).
case of a claimant convicted by an international mili tary tribunal for a crime against humanity committed before the sections creating such a crime were incor porated into the Canadian Criminal Code? 18 Is such a person by definition not excluded from the definition so that his claim can contain no credible basis?
Subsection 69.1(5) of the Act 19 does not alter the matter in any way. I do not think any other inference can be drawn from this than was noted by Pratte J.A. in Mileva [at pages 404-405]:
Subsection 69.1(5), relied on by counsel for the applicant, has nothing to do with this. It only indicates the cases in which the Minister is entitled, at a hearing on a refugee status claim, to cross-examine witnesses and make representations. There is no such provision applicable to hearings of the adjudicator and member of the Refugee Division because the latter are always, under subsection 46(3) [as am. idem, s. 14], required to "afford the claimant and the Minister a reasonable opportunity to pre sent evidence, cross-examine witnesses and make representa tions with respect to those matters".
I conclude that in the case at bar the first level tri bunal in exercising its jurisdiction should have deter mined whether there was credible or trustworthy evi dence tending to exclude the claimant for one of the grounds mentioned in Sections E and F of Article 1 of the Convention. Once the credible evidence was accepted, it should have referred the matter to the Refugee Division if it considered that the Refugee Division might on hearing the case conclude that the respondent's claim was valid. It should have dis missed the claim if it thought that, on that evidence, it was impossible for the Refugee Division to conclude that the respondent's claim was valid.
18 S. 7(3.76) of the Canadian Criminal Code came into effect on September 16, 1987 (R.S.C., 1985 (3rd Supp.), c. 30, s. 1; S.C. 1987, c. 37, s. 1).
i9 69.1...
(5) At the hearing into a claim, the Refugee Division
(a) shall afford the claimant a reasonable opportunity to pre sent evidence, cross-examine witnesses and make represen tations; and
(b) shall afford the Minister a reasonable opportunity to pre sent evidence and, if the Minister notifies the Refugee Divi sion that the Minister is of the opinion that matters invol ving section E or F of Article 1 of the Convention or subsection 2(2) of this Act are raised by the claim, to cross- examine witnesses and make representations.
I would have allowed the application, set aside the decision rendered on May 16, 1991 by the tribunal consisting of an adjudicator and a member of the Refugee Division and returned the matter to be rede- termined by a different tribunal created in accordance with the reasons I have just stated.
 You are being directed to the most recent version of the statute which may not be the version considered at the time of the judgment.