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Document
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PO-2286-I
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/ifq?>
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File #
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PA-000370-4
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Institution/HIC
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Ministry of Community Safety and Correctional Services
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Summary
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BACKGROUND
Interim Order PO-2221-I is one in a series of orders involving the Ministry of Community Safety
and Correctional Services (the Ministry) and an appellant who is seeking access to videotape and
photographic records produced during the occupation of Ipperwash Provincial Park (Ipperwash)
in September 1995.
Interim Order PO-2221-I included two provisions (Provisions 3 and 4) requiring Ontario
Provincial Police (OPP) Superintendent Susan Dunn to provide affidavit evidence attesting to
various possible discrepancies in certain identified records and outstanding issues relating to
compliance with a previous related order, Interim Order PO-2033-I. The process to be followed
and the scope of the evidence to be provided were outlined in these order provisions. Interim
Order PO-2221-I also included two different provisions (Provisions 5 and 6) requiring
Superintendent Dunn and other current and former officials of the OPP with knowledge of
activities taking place at Ipperwash to provide affidavit evidence attesting to the steps taken to
identify and locate all records responsive to the appellant’s request (the search affidavits).
After reviewing the first affidavit from Superintendent Dunn dealing with Provisions 3 and 4,
which was shared with the appellant, I determined that it was inadequate, for reasons outlined in
Interim Order PO-2338-I. I determined it would be necessary for me to summon Superintendent
Dunn and other OPP officials, pursuant to my authority under section 52(8) of the Freedom of
Information and Protection of Privacy Act (the Act), and require them to attend before me to give
sworn evidence relating to the various outstanding discrepancy issues. Before my scheduled oral
inquiry on this matter took place, OPP Commissioner Gwen Boniface asked her RCMP
counterpart for a review of the discrepancy issues identified in Provisions 3 and 4 of Interim
Order PO-2221-I. After receiving assurances that I would be provided with a copy of the report
outlining the results of the RCMP review for use in my inquiry, I decided to adjourn the oral
inquiry. I subsequently received a copy of the RCMP report (the Report) as well as a
supplementary affidavit from Superintendent Dunn. The Ministry is taking the position that
certain portions of the Report may not be shared with the appellant. The primary purpose of this
interim order is to rule on this issue.
In response to Provisions 5 and 6 of Interim Order PO-2221-I, I received a search affidavit from
Superintendent Dunn, one search affidavit from each of 23 current and/or former OPP officials,
and one “will say” statement from a 24th official who is now residing outside Canada. The
Ministry took the position that these search affidavits could not be shared with the appellant.
After receiving representations from the Ministry and the appellant on this sharing issue, I issued
Interim Order PO-2263-I, which found that most of the information contained in the affidavits
could be shared. The Ministry asked me to reconsider my finding in Interim Order PO-2263-I as
it relates to portions of the various search affidavits. I provided the appellant with a copy of the
portions of the affidavits not covered by the reconsideration request. My decision on the
reconsideration request will be dealt with separately and I will not address it in this interim order.
In my discussion of sharing issues in Interim Order PO-2263-I, I acknowledged that small
portions of certain search affidavits submitted in response to Provisions 5 and 6 of Interim Order
PO-2221-I touched on matters relating to outstanding discrepancy issues regarding Provisions 3
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[IPC Interim Order PO-2286-I/May 27, 2004]
and 4 of that previous order. I decided at that time to defer my findings regarding whether these
sections of the relevant search affidavits could be shared with the appellant until I had considered
the sharing issues relating to other aspects of Provisions 3 and 4. Accordingly, I will address the
outstanding issues relating to these search affidavits in this interim order.
I am also in receipt of a second affidavit from Superintendent Dunn that deals with the
discrepancy issues outlined in Provisions 3 and 4. This interim order will also deal with whether
this affidavit can be shared with the appellant.
The Ministry provided representations in support of its position that portions of the RCMP report
should not be shared. These representations were shared with the appellant, who responded with
representations. The appellant’s representations were in turn shared with the Ministry, which
submitted further representations in reply.
PRELIMINARY MATTERS:
STATUS OF THE RCMP REPORT
The Ministry makes the following statement in its first set of representations:
The RCMP Report was provided to the Assistant Commissioner by [counsel
representing OPP Commissioner Boniface] under cover of a letter dated March
23, 2004. In that letter, [Commissioner Boniface’s counsel] confirmed the
“undertaking” of counsel for the Assistant Commissioner, that the “report will be
treated as if the subject of a request pursuant to the Act”.
The Ministry returns to this subject in its reply representations dealing with the section 15(b)
exception - information received in confidence from another government. After repeating the
statement from the initial representations, the Ministry goes on to state:
In other words, it was expressly understood and agreed that the report was not to
be treated as part of the Ministry’s representations for the purpose of this inquiry.
It was understood and agreed that the report would be dealt with as if a request for
access under the Act had been made with respect to it. Accordingly, the Ministry
had every expectation of confidentiality with respect to the record when it was
provided to the IPC.
Commissioner Boniface’s counsel contacted my counsel in March of this year to advise that
Commissioner Boniface had decided to request a review and report by the RCMP on matters that
were the subject of this inquiry. At the time, my counsel obtained assurances that I would be
provided with a copy of the RCMP Report, and explained the process for sharing representations
made in the context of an inquiry under the Act. Although Ministry counsel understands the
provisions of Practice Direction 7 that govern sharing matters, Commissioner Boniface’s
counsel was new to the process and not necessarily aware of these provisions. In that context,
my counsel explained that the Report would be treated in the normal course as part of the
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[IPC Interim Order PO-2286-I/May 27, 2004]
Ministry’s representations in my inquiry, and that the confidentiality criteria set out in Practice
Direction 7 would be applied in determining whether any portions of the Report should not be
shared with the appellant. In particular, my counsel explained the provisions of confidentiality
criterion 5(b) and its potential application to a record such as the Report.
At no point during this discussion was it “expressly understood and agreed that the Report was
not to be treated as part of the Ministry’s representations for the purpose of this inquiry”, as
suggested by Ministry counsel. Had that been the case, the March 23, 2004 letter from
Commissioner Boniface’s counsel would no doubt have said so. Instead, he refers to the
language of criterion 5(b), albeit imprecisely. It is also significant to point out that the March 23,
2004 letter goes on to state:
I expect that [Ministry counsel], will make submissions to you regarding the
dissemination of the report, including any law enforcement, confidentiality or
public interest consideration that should inform its treatment. However, since
[Ministry counsel] has been away from the office for several days, and given the
desirability that you receive the report as soon as possible, it seemed preferable to
provide the report to you now rather than await the Ministry’s submissions. I am
sure that your office and [Ministry counsel] will be in communication over the
timing of those submissions.
Ministry counsel is well aware of the confidentiality criteria described in Practice Direction 7
and how they apply to representations received from the parties during the course of an inquiry.
Indeed, the application of these criteria has been the subject of interim orders issued by me
during the course of the lengthy proceedings stemming from the appellant’s request. Ministry
counsel is also aware of this office’s Code of Procedure, which governs the conduct of an
inquiry under the Act. Section 3 of the Code defines “representations” as “the documents, other
evidence and/or arguments a party provides to an Adjudicator in an inquiry”. The Report, which
was provided to me during the course of this inquiry, clearly meets the requirements of this
definition.
It should have been clearly understood by all concerned that “the dissemination of the report”, to
quote the phrase used by Commissioner Boniface’s counsel, would be governed by the
confidentiality criteria under section 5 of Practice Direction 7. The Ministry is well aware that
this office does not “disseminate” records subject to an appeal, but rather orders institutions to
disclose non-exempt records or portions of records directly to a requester pursuant to section
54(1) of the Act. The statement that Ministry counsel “will make submissions ... regarding the
dissemination of the report” makes it clear that Commissioner Boniface’s counsel also
understood how I intended to deal with the Report in the context of my inquiry - as part of the
Ministry’s representations.
I find it quite surprising, indeed disturbing, that Ministry counsel would raise a semantic
argument of this nature at this late stage of these proceedings in an effort to convince me that “it
was expressly understood and agreed” that the normal processes of this office would not be
followed with respect to the Report. I can think of no reason why I would ever have agreed to
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[IPC Interim Order PO-2286-I/May 27, 2004]
treat the Report, which speaks to the very issues identified in Provisions 3 and 4 of Interim Order
PO-2221-I, as anything other than “a document provided during an inquiry”, as defined in
section 3 of the Code of Procedure. And if I had decided to consider departing from the normal
process for whatever reason, Ministry counsel should be aware based on my past practices in this
lengthy and complex appeal, that I would have provided the Ministry and the appellant with an
opportunity to make submissions on whether I should make such a departure before deciding
whether to do so.
The Report forms part of the Ministry’s representations in this inquiry, and it will be shared with
the appellant in the normal course, subject to the application of the confidential criteria in section
5 of Practice Direction 7.
CUSTODY AND CONTROL
The Ministry prefaces its first set of representations by noting that “there is a real concern as to
whether [the Ministry] has ‘custody’ or ‘control’ of the RCMP report within the meaning of s. 10
of the Act.” On its own, this statement appears to question my jurisdiction to deal with the
Report in this inquiry. However, the Ministry immediately goes on to state that it is not
necessary for me to decide that issue “because the RCMP has authorized the release of the
report, subject to certain severances”.
I must assume from this rather cryptic statement that the Ministry does not specifically deny that
the Report is in its custody or under its control within the meaning of section 10, and that I may
therefore proceed to dispose of the sharing issue on the basis of the application of Practice
Direction 7. In other words, if I find that the withheld portions of the Report do not, in fact, fit
within the confidentiality criteria, I will not be faced with the argument that I lack jurisdiction to
share these portions of the Report with the appellant on the ground that the entire Report is
outside the scope of the Act because it is not in the Ministry’s custody or control. In this
connection, I would observe that at no point did Commissioner Boniface’s counsel suggest that
the Report, once presented by the RCMP to his client, would not be within the custody or under
the control of the Ministry.
More importantly, in my view, any issue of custody or control is simply not germane to a
question of sharing evidence and representations provided to this office in an inquiry. If an
institution provides me with information and asks me to take it into account in reaching my
decision, it cannot dictate how that information is ultimately treated or impose any restrictions
based on arguments that are foreign to the normal adjudicative processes. A tribunal is “master
of its own processes” and, subject to rules of natural justice and procedural fairness, has the
authority to devise procedures that will “achieve a certain balance between the need for fairness,
efficiency and predictability of outcome” (See: Baker v. Canada (Minister of Citizenship and
Culture) (1999), 174 D.L.R. (4th) 193 at 210-214 (S.C.C.); Knight v. Bd. of Ed. of Indian Head
School Div. No. 19 (1990), 69 D.L.R. (4th) 489 at 512 per L’Heureux-Dubé J. (S.C.C.)). As I
indicated in Interim Order PO-2263-I, the Divisional Court has confirmed that this office has
authority to decide whether and the extent to which representations should be shared among the
parties, provided that the confidentiality criteria in Practice Direction 7 are adequately
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[IPC Interim Order PO-2286-I/May 27, 2004]
considered and applied (See Toronto District School Board v. Ontario (Information and Privacy
Commissioner), [2002] O.J. No. 4631 (Div. Ct.)).
Nonetheless, given that the custody or control issue has been raised, I have decided to consider
and dispose of it before proceeding to apply the confidentiality criteria.
Although the Ministry has not provided specific representations on this issue, it made the
following submissions by way of general background:
In February of 2004, by reason of the questions raised by the IPC in the public
realm, the Commissioner of the OPP requested an independent investigation by
the RCMP into the integrity of the videotapes and audiotapes in issue.
The RCMP Report was provided by Chief Superintendent AI McIntyre [sic] of
the RCMP to the Commissioner of the OPP on or about March 17, 2004. The
report is marked “Confidential” and has a “Security Classification/Designation”
of “Protected A”.
Chief McIntyre advised that while the “Protected A” designation described as
“low-sensitive”, nevertheless a document is “designated protected” when its
“unauthorized disclosure ... could reasonably be expected to cause harm to an
ongoing or anticipated law-enforcement investigation” or “hinder effective law
enforcement by detailing sensitive protective, operational or administrative
strategies and procedures”.
Chief Superintendent McIntyre “authorize(d) the OPP to release my report to
[Assistant Commissioner Mitchinson]”. Chief Superintendent McIntyre stated
“(n)o further distribution of same is approved and should others seek access, they
will have to follow the appropriate and current process relative to accessing
federal agency files and documents”,
The RCMP subsequently authorized the release of the report, subject to certain
severances.
In response to the Ministry’s submissions, the appellant takes the position that the Report is in
the Ministry’s custody or control. She submits:
Should the Assistant Commissioner decide that he should address that question,
the appellant submits that the report and attachments are clearly in the custody or
the control of the Ministry.
The report is in the possession of the OPP. As Commissioner Linden held in
Order P-120, “physical possession of a record is the best evidence of custody, and
only in rare cases could it successfully be argued that an institution did not have
custody of a record in its actual possession”.
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[IPC Interim Order PO-2286-I/May 27, 2004]
This appeal is not one of those “rare cases”. The report was prepared by the
RCMP at the request of the OPP, to be submitted to the OPP for use for the OPP's
own purposes. The report was created in response to a request from OPP
Commissioner Boniface for “the assistance of the Royal Canadian Mounted
Police to technically examine the records provided and submit their opinion
respecting the identified issues”. The report is even titled: “Assist to Ontario
Provincial Police.” The RCMP was essentially acting as an agent for the OPP,
fulfilling a specific mandate set by the OPP Commissioner, examining only the
exhibits provided by the OPP (see paragraph 14 of the RCMP report).
Moreover, Appendices 2 through 6 (inclusive) are all documents that were
prepared by the OPP, including logs describing the videotapes that have already
been disclosed to the appellant.
Even in the documents prepared by the RCMP, much of the severed information
is OPP information. For example, the severance at paragraph 10 of the RCMP
report is apparently a description of the affidavits sworn by the OPP for
submission to the Assistant Commissioner, affidavits which were ordered to be
disclosed to the appellant in Interim Order PO-2263-I.
In light of the foregoing, the report and appendices are clearly in the custody or
control of the Ministry.
The terms “custody” and “control” are defined in Black’s Law Dictionary, 6th ed. (St. Paul:
West Publishing Co., 1990) at pages 329 and 384, as follows:
Custody: The keeping, guarding, care, watch, inspection, preservation or security
of a thing, carrying with it the idea of the thing being within the immediate
personal care and control of the person to whose custody it is subjected.
Control: Power or authority to manage, direct, superintend, restrict, regulate,
govern, administer or oversee.
In Ontario (Criminal Code Review Board) v. Doe (1999), 47 O.R. (3d) 201, the Ontario Court of
Appeal held that the word “control” should be given a broad, liberal and purposive construction
in order to give effect to the purposes of the Act that citizens should have a meaningful right of
access to information (at pp. 209-210). The Court cited with approval the following passage
from the decision of the Federal Court of Appeal in Canada Post Corporation v. Canada
(Minister of Public Works) (1995), 30 Admin. L.R. (2d) 242 (at pp. 244-245):
The notion of control referred to in [the Act] is left undefined and unlimited.
Parliament did not see fit to distinguish between ultimate and immediate, full and
partial, transient and lasting or “de jure” and “de facto” control. Had Parliament
intended to qualify and restrict the notion of control to the power to dispose of the
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[IPC Interim Order PO-2286-I/May 27, 2004]
information, as suggested by the appellant, it could certainly have done so by
limiting the citizen’s right of access only to those documents that the government
can dispose of or which are under the lasting or ultimate control of the
government.
....
It is not in the power of this Court to cut down the broad meaning of the word
“control”, as there is nothing in the Act which indicates that the word should not
be given its broad meaning. On the contrary, it was Parliament’s intention to give
the citizen a meaningful right of access under the Act to government information.
In determining whether records are in the custody or under the control of an institution within the
meaning of section 10(1) of the Act, this office will consider, among other relevant indicators,
several non-exhaustive factors first articulated by former Commissioner Sidney B. Linden in
Order P-120, and since used in many subsequent appeals:
1. Was the record created by an officer or employee of the institution?
2. What use did the creator intend to make of the record?
3. Does the institution have possession of the record, either because it has
been voluntarily provided by the creator or pursuant to a mandatory
statutory or employment requirement?
4. If the institution does not have possession of the record, is it being held by
an officer or employee of the institution for the purposes of his or her
duties as an officer or an employee?
5. Does the institution have a right to possession of the record?
6. Does the content of the record relate to the institution’s mandate and
functions?
7. Does the institution have the authority to regulate the record’s use?
8. To what extent has the record been relied upon by the institution?
9. How closely is the record integrated with other records held by the
institution?
10. Does the institution have the authority to dispose of the record?
Clearly, the Report is in the custody of the Ministry. It was submitted to Commissioner
Boniface, at her request, and it can be implied from the circumstances that “the keeping,
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[IPC Interim Order PO-2286-I/May 27, 2004]
guarding, care, watch, inspection, preservation or security” of the Report is the responsibility of
Commissioner Boniface, whose agency is part of the Ministry for the purposes of the Act.
The Report has been provided to me by the Ministry as part of its representations in this inquiry.
While various components of the report were prepared by the RCMP, and not by the Ministry or
the OPP, it was prepared at the OPP’s request for the benefit and use of the OPP and the Ministry
in response to questions that I raised concerning what has been called the “discrepancy” issues in
this inquiry. I have been provided with no evidence that the Report or any part of it was
prepared for the RCMP’s own purposes or that any specific portions of the Report are being
withheld at the RCMP’s request or direction. Indeed, the portions the Ministry has asked me not
to share coincide with portions of other documents the Ministry has asked me to withhold from
the appellant. None of this information has a direct bearing on any independent concerns that the
RCMP would have regarding its own law enforcement functions.
Given the purpose of the Report, the fact that it was created at the request of the OPP for the
benefit and use of the Ministry and the OPP, the fact that the OPP and the Ministry have actual
lawful possession of it and have provided copies of it to me, I find that it is also under the control
of the Ministry.
SHARING OF REPRESENTATIONS PROCEDURE:
INTRODUCTION
The processes and procedures followed by the Office of the Information and Privacy
Commissioner (the IPC) in conducting inquiries under the Act are contained in the published
Code of Procedure and accompanying Practice Directions. Practice Direction 7 deals with
sharing of representations provided by the parties during the course of an inquiry, and identifies
the criteria for withholding representations. Sections 5 and 6 of Practice Direction 7 reads as
follows:
5.The Adjudicator may withhold information contained in a party’s
representations where:
(a) disclosure of the information would reveal the substance of
a record claimed to be exempt; or
(b) the information would be exempt if contained in a record
subject to the Act; or
(c) the information should not be disclosed to the other party
for another reason.
6.For the purposes of section 5(c), the Adjudicator will apply the following test:
(i) the party communicated the information to the IPC in a
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[IPC Interim Order PO-2286-I/May 27, 2004]
confidence that it would not be disclosed to the other party;
(ii) confidentiality is essential to the full and satisfactory
maintenance of the relation between the IPC and the party;
(iii) the relation must be one which in the opinion of the
community ought to be diligently fostered; and
(iv) the injury to the relation that would result from the
disclosure of the information is greater than the benefit
thereby gained for the correct disposal of the appeal.
The Divisional Court has upheld the application of the confidentiality criteria set out in Practice
Direction 7 as a proper means for the IPC to determine whether representations of one party can
be withheld from another party during the course of an appeal (Toronto District School Board).
The Ministry submits that the Report should not be shared for two reasons:
1. The law enforcement exemption in section 14 of the Act applies;
2. Its disclosure could reasonably be expected to reveal information received
from another level of government or its agencies within the meaning of
section 15(b) of the Act.
Although the Ministry does not refer specifically to any of the confidentiality criteria in Practice
Direction 7, it is clear that the section 5(b) criterion is the only one with potential application in
the context of the Ministry’s representations.
THE RCMP REPORT
Law Enforcement
Section 14(2)(a) - law enforcement report
The Ministry identifies section 14(2)(a) as the specific provision of section 14 it is relying on.
This section reads:
A head may refuse to disclose a record,
(a) that is a report prepared in the course of law enforcement,
inspections or investigations by an agency which has the function
of enforcing and regulating compliance with the law;
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[IPC Interim Order PO-2286-I/May 27, 2004]
representations of the parties
The Ministry submits:
The Ministry submits that s.14(2)(a) of the Act applies [to] the report. Subsection
14(2)(a) has three elements: first, the record must be a “report”. Second, the
report must have been prepared “in the course of law enforcement, inspections or
investigation”; and third, the report must have been “prepared ... by an agency
which has the function of enforcing and regulating compliance with the law”.
(See Interim Order PO-2054-I at p.14.)
In Order 200, former Commissioner Tom Wright stated as follows with respect to
the meaning of “report”:
The word ‘report’ is not defined in the Act. However, it is my
view that in order to satisfy the first part of the test, i.e., to be a
report, a record must consist of a formal statement or account of
the results of the collation and consideration of information.
Generally speaking, results would not include mere observations or
recordings of fact.
The Ministry does not agree that a “report” must necessarily include an “account
of the results of the collation and consideration of information”. However, it is
not necessary to decide that issue in this case, because the RCMP report clearly
contains the opinion and conclusions of the RCMP with respect to the integrity of
the tapes.
The report was prepared “in the course of an “investigation” by the RCMP into
the integrity of the tapes in issue [sic]. The investigation by the RCMP could have
led to a law enforcement proceeding. (See Order PO-1779 at pages 6 to 8.)
There can be no dispute that the RCMP is “an agency which has the function of
enforcing and regulating compliance with the law”. Accordingly, the Ministry
submits that s.14(2)(a) applies to the report.
The Ministry also relies upon its representations with respect to access to the
[search] affidavits and its reply representations, and upon its representations with
respect to access to the technical information and records, and upon its reply
representations.
The appellant agrees with the 3-part test identified by the Ministry and applied in previous orders
of this office. The appellant also does not dispute that the third part of the test is satisfied,
namely that the RCMP has the function of enforcing and regulating compliance with the law.
However, she takes issue with the application of the first two parts of the test. In the appellant’s
view, the Report is not a “report” as this office has interpreted that term, and the Report was not
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[IPC Interim Order PO-2286-I/May 27, 2004]
prepared in the course of “law enforcement, inspections or investigation”. She submits:
Section 14(2)(a) of the Act requires consideration of whether each record falls
within the exemption: Order PO-1959. Accordingly, each attachment must be
considered separately [appellant’s emphasis].
Although the RCMP is an agency that has the function of enforcing and
regulating compliance with many laws, the RCMP report and attachments do not
meet the first part of the s. 14(2)(a) test, and the report and several of the
attachments also do not meet the second branch of the test.
In order to satisfy the first part of the test, that is to constitute a “report”, the
record must consist of a formal statement or account of the results of the collation
and consideration of information. Results do not include mere observations or
recordings of fact. See e.g. Orders M-1048, MO-1238.
An outline of the steps taken by the investigating officer during the course of an
investigation constitutes “mere observations and recordings of fact and is not a
formal statement or account of the results of the investigation.” Order M-682 (per
Assistant Commissioner Mitchinson); see also Order M-397.
In Order M-17, Commissioner Wright held that notes compiled by an investigator
on an “Information Sheet” did not constitute a report, as “the record is not a
formal statement or account of the results of the Licensing Enforcement Officer’s
work but a series of entries outlining his observations with respect to his
investigation of the appellant's complaint“.
The appendices from which information has been severed in this case are “mere
observations and recordings of fact”. Appendices 3, 4 and 5, the OPP’s video and
audio logs, are officers’ notes of their minute-by-minute observations of the
surveillance conducted at Ipperwash Provincial Park. Appendix 6 is also a
recording of fact - a list of the exhibits given by the OPP to the RCMP. Appendix
7, a Request for Analysis, lists factual information to provide background to the
technical analyst. It is clearly preliminary to any report. Appendix 8 outlines the
tests performed by the technical analyst and his observations with respect to his
investigation of the integrity of the videotapes. It is also a preliminary description
of the analysis, rather than a “formal statement or account of the results” of the
RCMP’s investigation.
With respect to the March 17, 2004 Investigation Report of Chief Superintendent
Macintyre, although some comments might be considered evaluative, as
Adjudicator [Sherry] Liang held in Order PO-1988, this is not determinative if the
essential nature of the document is to describe observations and facts. Chief
Superintendent Macintyre’s report is a day-by-day account, written on a standard
pre-printed form, of the steps taken by the RCMP in response to the OPP
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[IPC Interim Order PO-2286-I/May 27, 2004]
Commissioner’s request. The few comments that might be considered evaluative
do not detract from its essential nature as a descriptive document. Moreover, the
Ministry must justify its severances, and it has only severed factual, descriptive
parts of the document, not the conclusion section: see Order PO-2054-I
(reconsideration request rejected in Order PO-2086-R).
Furthermore, although the video and audio logs created by the OPP during the
Ipperwash protest (Appendices 4, 5 and 6 [sic – should be Appendices 3, 4, and
5]) were made in the course of law enforcement, the documents created by the
OPP and RCMP in response to the OPP Commissioner’s request (i.e. the report
and Appendices 7 and 8) are not. There is no reference in either the OPP
Commissioner’s letter of request (Appendix 2 to the report) or in Chief
Superintendent Macintyre’s report to anticipated law enforcement proceedings.
Rather, as noted in the Ministry's submissions …, the Commissioner’s request
was made “by reason of the questions raised by the IPC in the public realm”.
Similarly, at page 2 of Appendix 7, in the Request for Analysis, Chief
Superintendent Macintyre describes the background to the request as being that
“the credibility of the Ontario Provincial Police has been publicly questioned”.
The OPP’s desire to restore its credibility “in the public realm” is not a “law
enforcement” purpose within the meaning of the Act.
In reply representations, the Ministry takes issue with the appellant’s characterization of the
various components of the Report and restates its position that the Report relates to an
investigation that could lead to a law enforcement proceeding:
The Appellant argues that the report does not meet the first and second elements
of the test under s. 14(2)(a) of the Act. …
For the purpose of her argument, the Appellant parses the report into parts and
argues that each part of the report should be considered separately.
In support of her argument, the Appellant relies upon Order PO-1959. However,
Order PO-1959 is not authority for the proposition that each part of a record must
meet all three elements of the test. Order PO-1959 states that each record must
meet the test. The Ministry submits that the correct approach is to consider the
RCMP report as a whole [Ministry’s emphasis].
Although the Ministry does not concede that in order “to be a report, a record
must consist of a formal statement or account of the results of the collation and
consideration of information”, the Ministry submits that the RCMP report meets
the first part of the test, because it clearly contains the opinions and conclusions
of the RCMP with respect to the integrity of the tapes.
The fact that some parts of the report contain factual observations does not mean
that the entire record is not a report. It is to be expected in a report that the
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[IPC Interim Order PO-2286-I/May 27, 2004]
opinions and conclusions will be prefaced by factual observations [Ministry’s
emphasis].
The Appellant also argues that because the severances made by the Ministry are
of “factual, descriptive parts of the documents” and “not the conclusion section”,
the exemption in s. 14(2)(a) does not apply. The Ministry reiterates that the
question is whether the exemption applies to the record and not to each part of the
report.
In any event, the Ministry notes that in its representations, it also relies upon its
representations with respect to the applicability of s. 14(1) and s. 21 to the
affidavits and to the technical information and records. …
The report was prepared “in the course of” an “investigation” by the RCMP into
the integrity of the tapes in issue. Notwithstanding that one of the reasons for the
request to the RCMP was the “the credibility of the Ontario Provincial Police has
been publicly questioned”, the fact is that had the investigation by the RCMP
revealed a problem with the tapes, it could have led to a law enforcement
proceeding. This is sufficient to satisfy the second part of the test. (See Order
PO-1779 at pages 6 to 8.)
analysis and findings
I accept, as does the appellant, that the RCMP is “an agency which has the function of enforcing
and regulating compliance with the law”. However, I do not accept that the entire document
together with all of the appendices constitutes a “report” as this office has interpreted this term;
nor do I accept that all of these appendices were “prepared” by the RCMP simply because they
are appended to the March 17, 2004 document that was, in fact, prepared by the RCMP’s Chief
Superintendent McIntyre.
However, my principal basis for rejecting the Ministry’s position is that neither the entire Report
nor any individual part of it was prepared by the RCMP “in the course of law enforcement,
inspections or investigations”.
“Law enforcement” is defined at section 2(1) of the Act to mean
(a) policing,
(b) investigations or inspections that lead or could lead to proceedings in a
court or tribunal if a penalty or sanction could be imposed in those
proceedings, and
(c) the conduct of proceedings referred to in clause (b);
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[IPC Interim Order PO-2286-I/May 27, 2004]
The Report provided to me by the Ministry is titled “Assist to Ontario Provincial Police”, and
consists of a document dated March 16, 2004 titled “Investigation Report” and 8 appendices
described in the body of this document. At paragraph 1 of the Report, Chief Superintendent
Macintyre refers to the purpose of the RCMP’s involvement in this matter as responding to a
request by OPP Commissioner Boniface for “an external review of a matter by a RCMP senior
officer”. At paragraph 4 he refers to a copy of the formal request from Commissioner Boniface
(Appendix 2), which he describes as a “mandate letter”. Commissioner Boniface’s request letter
dated February 18, 2004 provides some background information with respect to my current
inquiry and my previous orders in these proceedings, and goes on to describe the RCMP’s
mandate in preparing the Report as follows:
As a result, it was the opinion of [Assistant Commissioner Mitchinson] that in fact
the Ministry had not fully responded to the request citing a number of issues
surrounding the quality, apparent deficiencies, gaps and other related technical
issues. Specifically, the integrity of the video records has been brought into
question by the requestor and [Assistant Commissioner Mitchinson].
So far, it still remains the view of the appellant and [Assistant Commissioner
Mitchinson] that the Ministry’s (OPP) response is inadequate.
That being the case, I am requesting the assistance of the Royal Canadian
Mounted Police to technically examine the records provided and submit their
opinion respecting the identified issues. An officer is requested to collect the
records at issue and commence the examination. Appropriate RCMP
documentation will be prepared to begin the process once the officer is assigned.
Appendix 6 to the Report is a letter from an OPP Detective Inspector listing the original
videotapes that the OPP was turning over to Chief Superintendent Macintyre “for examination”,
and Appendix 7 is an undated document titled “Request for Analysis Examination of Exhibits”
from the Chief Superintendent to the RCMP’s Director of Technical Operations, which states in
its salient parts as follows:
This priority request for examination and analysis is based on a formal request for
assistance from the Commissioner of the Ontario Provincial Police (OPP) to the
Commissioner of the RCMP.
...
As a result of a myriad of issues, the credibility of the [OPP] has been publicly
questioned relative to the authenticity and completeness of audio and video tapes,
and in the manner and condition in which alleged copies of same were provided to
those seeking access pursuant to the Freedom on Information and Protection of
Privacy Act of Ontario.
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[IPC Interim Order PO-2286-I/May 27, 2004]
Exhibit 7 goes on to set out a series of questions under a section titled “Specific Request(s) for
Analysis” which, at items 1 through 9, deal with the specific questions I raised concerning
certain videotapes in Provisions 3 and 4 of Interim Order PO-2221-I. Items 10 and 11
specifically refer to my inquiry as the context in which the analysis is being requested by
Commissioner Boniface and undertaken by the RCMP.
The questions I raised in Interim Order PO-2221-I are the only issues addressed in the Report
submitted by Chief Superintendent Macintyre. As well, the specific tapes identified in Appendix
8 and titled “Case Report Audio and Video Analysis” and an attached “Exhibit Report” lists the
very tapes and portions of tapes identified in Interim Order PO-2221-I, and no others.
Accordingly, it is clear that the purpose of the RCMP’s involvement in this matter was to assist
Commissioner Boniface in assessing the physical condition of the videotape records and
determining:
1. whether they are original records; and
2. the reason or reasons for certain “discrepancies” in the tapes which I
identified in Order PO-2221-I.
Nothing in the Report itself, its appendices or any other material I have been provided indicates
that the RCMP was involved in any activity either on its own initiative or at the request or on
behalf of Commissioner Boniface that could be described as “law enforcement”, in the sense that
it would or could lead to proceedings in a court or tribunal where a penalty or sanction could be
imposed. Based on the material before me, I find no basis for the Ministry’s assertion in its reply
representations that “had the investigation by the RCMP revealed a problem with the tapes, it
could have led to a law enforcement proceeding”.
Rather, both the RCMP’s activity and the contents of the Report and appendices are in the nature
of a technical examination or fact-finding exercise, undertaken for the sole purpose of assisting
Commissioner Boniface, and by extension the OPP and the Ministry, in providing evidence and
making representations with respect to the specific questions I raised in Interim Order PO-2221-I
regarding the physical attributes of the videotapes. Neither my questions nor the analysis
reflected in the Report involve any alleged wrongdoing on the part of any organization or
individual in violation of any law. The only authority I have during the course of an inquiry is to
“dispose of the issues raised by the appeal” under section 54(1) under the Act. This ordermaking
authority does not include an ability to impose penalties or sanctions.
It is also important to state that nothing in the material before me suggests that Commissioner
Boniface asked the RCMP to conduct its examination with a view to determining if there was
some basis for commencing law enforcement proceedings against any individual.
Further, while the RCMP is a law enforcement agency, the activity in question - making a
technical assessment and analysis of records - is not exclusively, or even primarily, a law
enforcement activity. It is an activity engaged in by many bodies on a regular basis (such as
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[IPC Interim Order PO-2286-I/May 27, 2004]
auditors, for example) that perform no law enforcement role. Indeed, the Report describes the
type of testing methods any expert retained by me would have followed had the RCMP not
performed this function, and my expert would clearly not be engaging in law enforcement
activities. The fact that Commissioner Boniface chose to ask the RCMP to perform this review
function, presumably due to its familiarity with the technologies in question and/or its
independence from the OPP, does not transform an otherwise neutral technical or fact-finding
examination into an exercise in law enforcement as the Act defines that term.
In my view, Order PO-1779 cited by the Ministry also does not advance its position. In that
case, I accepted that an OPP investigation into the conduct of police officers on another police
force “was, in fact, conducted in order to determine whether criminal charges could or should be
laid.” That is not the case here.
For all of these reasons, I find that the RCMP report is not “a report prepared in the course of law
enforcement, inspections or investigations by an agency which has the function of enforcing and
regulating compliance with the law” within the meaning of section 14(2)(a). Accordingly, the
confidential criterion in section 5(b) of Practice Direction 7 has not been established as it relates
to this exemption.
While this finding is sufficient to dispose of the Ministry’ section 14(2)(a) submission, I also
want to comment on the appellant’s submission that neither the Report as a whole nor any part of
it is a “report” for the purposes of this exemption.
As stated earlier, previous orders have found that in order to qualify as a “report”, a record must
consist of a formal statement or account of the results of the collation and consideration of
information. Generally speaking, “results” would not include mere observations or recordings of
fact (see Order 200). In addition, section 14(2)(a) requires consideration of whether each record
at issue falls within that exemption (see Order PO-1959).
I agree with the appellant, in part, that certain appendices to the document do not constitute a
“report” or part of a “report” as this office has interpreted that term. In Order PO-1959, relied on
by the appellant, Adjudicator Liang outlined the approach this office takes when an institution
submits that a document consisting of several discrete records constitutes a “report” within the
meaning of this exemption. In rejecting the submissions of the Ministry of the Attorney General
in Order PO-1959 that the entire content of a Special Investigation Unit [SIU] “brief” constituted
a “report”, Adjudicator Liang described the records at issue and made her findings as follows:
Apart from Record 46, the Ministry submits that the records are all part of the
SIU’s “investigative brief” of the incident. Record 2, the SIU Director’s Report
to the Attorney General of Ontario constitutes a summary of some of the more
material information contained in the other records, together with the SIU
Director’s analysis of that information and ultimate decision in respect of whether
criminal charges should be laid. The Ministry submits that the records in total
provide an overview of the incident and a description of the events prior to,
during and subsequent to the occurrence which was investigated. Further, it is
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[IPC Interim Order PO-2286-I/May 27, 2004]
said that all of the records form an integral part of the SIU’s Director’s Report in
that it is these materials which are reviewed by the Director in arriving at an
ultimate disposition of the case, which is then formally articulated in the Report.
It is submitted that these materials are more than “mere observations or recordings
of fact.” The Director’s Report and the rest of the records, considered together,
comprise a formal statement of the results of the collation and consideration of
information and, consequently, the information contained in these records
constitutes a “report” for the purposes of part 1 of the section 14(2)(a) test.
Essentially, the Ministry’s submission is that all of the records must be considered
together for the purposes of the application of section 14(2)(a). I am unable to
accept this submission, and I find that section 14(2)(a) requires consideration of
whether each record at issue falls within that exemption.
....
Although I find that Record 2 (the Report of the Director) meets the requirements
of section 14(2)(a), it does not follow that all the material which may have been
gathered together, placed before and considered by the Director before arriving at
his conclusions is also exempt, without further analysis. In this respect, I agree
with the appellant that section 14(2)(a) does not provide a “blanket exemption”
covering all records which the Ministry views as constituting part of the SIU’s
“investigative brief.”
In the case before me, the SIU investigation file consists of numerous different
records from diverse sources. As the representations of the Ministry describe,
they are essentially a compilation of information obtained during the course of the
SIU’s investigation and the steps taken by SIU staff in the discharge of that
investigative jurisdiction, and include documentary materials obtained by the SIU
or generated by the SIU. The Director’s decision is based upon a review of all the
records, but his analysis and decision is contained in Record 2 (the Director’s
Report) alone.
I accept ... that Record 2 qualifies as a “report” for the purposes of section
14(2)(a), in that it consists of a formal statement of the results of the collation and
consideration of information. I also find that Record 4, the cover letter to Record
2, qualifies for exemption, as the two records together can reasonably be viewed
as forming the report to the Attorney General from the SIU Director.
I also accept that Records 3, 11, 38, 43a and 44 qualify as “reports”. Rather than
consisting of mere observations or recordings of fact, they also include some
consideration of the information collected during the course of the investigation in
question.
I find that none of the remaining records at issue meet the definition of a “report”.
- 18 -
[IPC Interim Order PO-2286-I/May 27, 2004]
To elaborate further on some of these, Records 15, 19, 23 to 27 and 29 to 37
consist of either Sarnia Police Service incident reports, supplementary reports, or
excerpts from police officers’ notebooks. Generally, occurrence reports and
similar records of other police agencies have been found not to meet the definition
of “report” under the Act, in that they are more in the nature of recordings of fact
than formal, evaluative accounts of investigations ...
Applying this approach to the document under consideration here, I have no in difficulty finding
that the section titled “Investigation Report”, as well as the various documents comprising
Appendix 8 titled “Case Report Audio and Video Analysis” and the appended “Exhibit Report”,
consist of a formal statement or account of the results of the collation and consideration of
information and thus satisfy the first part of the test as a “report” within the meaning of section
14(2)(a).
However, none of the remaining appendices constitute “reports”. Clearly, Chief Superintendent
Macintyre’s resume (Appendix 1), Commissioner Boniface’s request letter (Appendix 2), the
letter listing the videotapes (Appendix 6) and the RCMP’s internal “Request for Analysis
Examination of Exhibits” (Appendix 7) do not fall within the scope of “reports”, as defined
above. The video logs and audio logs (Appendices 3, 4 and 5) are, in my view, analogous to the
incident reports, supplementary reports and police officers’ notes at issue in Order PO-1959, in
that they consist of observations and recordings of fact rather than formal, evaluative accounts.
None of these documents can accurately be said to consist of a formal statement or account of
the results of the collation and consideration of information, as required in order to meet the
definition of “report”.
Accordingly, even the Report was prepared in the course of law enforcement, inspections or
investigations, which it was not, Appendices 1-7 of the Report would not satisfy the first part of
the test for exemption under section 14(2)(a), and thereby fail to satisfy confidentiality criterion
5(b) of Practice Direction 7.
Other grounds raised by the Ministry
As noted earlier, the Ministry concludes its first set of representations under the heading “law
enforcement” with the following statement:
The Ministry also relies upon its representations with respect to access to the
affidavits and its reply representations, and upon its representations with respect
to access to the technical information and records, and upon its reply
representations.
The appellant’s representations do not respond to this statement.
In its reply representations, the Ministry states:
In any event, the Ministry notes that in its [first set of] representations, it also
- 19 -
[IPC Interim Order PO-2286-I/May 27, 2004]
relies upon its representations with respect to the applicability of s. 14(1) and s. 21
to the affidavits and to the technical information and records. …
The Ministry’s first set of representations, in fact, makes no specific reference to the exemptions
at sections 14(1) and 21. Leaving aside this inaccuracy, it should be clear to the Ministry that
what might be described as a “shot gun” approach such as this is not an acceptable way to make
submissions on why representations should not be shared with another party. Sections 3 and 4 of
Practice Direction 7 state:
3. A party providing representations shall indicate clearly and in detail, in its
representations, which information in its representations, if any, the party wishes
the Adjudicator to withhold from the other party or parties.
4. A party seeking to have the Adjudicator withhold information in its
representations from the other party or parties, shall explain clearly and in detail
the reasons for its request, with specific reference to the following criteria [set out
at section 5].
I am not prepared to speculate blindly as to which part or parts of the Ministry’s lengthy
representations on withholding the affidavits and technical information supplied in other facets
of this appeal apply to which part or parts of the various documents comprising the Report. Not
only is this unfair to the appellant in her ability to respond, it unduly complicates and protracts
what is a purely procedural aspect of this already lengthy proceeding.
To the extent that the Ministry considers that the basis for its submission should be “obvious” to
me, I make the following comments and findings.
The information severed form the Report can be divided into the following categories:
1. the names of OPP officer who swore search affidavits and which were also
provided to the RCMP for the purposes of its technical examination of the
videotapes (Appendix 7);
2. highly generic descriptions of the recording devices, their location, the
means of recording, and the means by which certain recordings came
about (Appendix 7);
3. the names of specific OPP officers associated with specific videotapes or
recording devices (Appendices 3, 6 and 8);
4. certain times associated with equipment-related events or recording
observations, as well as OPP officers’ names appearing on the video and
audio logs for the Maintenance Shed and the video log for the Gatehouse
(Appendices 3, 4 and 5);
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[IPC Interim Order PO-2286-I/May 27, 2004]
5. a general reason advanced by the OPP for the gaps identified in the
videotapes (Appendix 7);
6. a general description of a document provided to the RCMP Director of
Technical Operations (Appendix 7);
7. a brief outline of possible future contacts between the RCMP and OPP and
the reason for same, together with the name of an OPP officer (Appendix
7);
8. brief descriptions of tests performed by the RCMP on the videotapes,
reasons for “loss of the audio signal”, certain features of a video recording
that would indicate it is a copy, a specific feature of FOI Videotape 6 and
a reason for concluding that Videotape 7 has not been erased or recorded
over (Appendix 8); and
9. the model number of one videocassette recorder (Appendix 8).
In its representations concerning technical information provided to me at an earlier stage of this
appeal, the Ministry submits that the following provisions of section 14 are relevant
considerations in determining whether these representations can be shared with the appellant:
14. (1) A head may refuse to disclose a record where the disclosure could
reasonably be expected to,
(a) interfere with a law enforcement matter;
(b) interfere with an investigation undertaken with a view to a
law enforcement proceeding or from which a law
enforcement proceeding is likely to result;
(c) reveal investigative techniques and procedures currently in
use or likely to be used in law enforcement;
(e) endanger the life or physical safety of a law enforcement
officer or any other person;
(g) interfere with the gathering of or reveal law enforcement
intelligence information respecting organizations or
persons;
(l) facilitate the commission of an unlawful act or hamper the
control of crime.
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[IPC Interim Order PO-2286-I/May 27, 2004]
I have already determined in my discussion of section 14(2)(a) above that the RCMP’s role in
examining the records or preparing its report is not a law enforcement matter.
Further, and in any event, I have not been provided with sufficient evidence or argument on
which I could base a finding that disclosing the withheld portions of the Report could reasonably
be expected to:
- interfere with any law enforcement matter in which the RCMP is or has
been engaged (s. 14(1)(a)), including any investigation (s. 14(1)(b)); or
- reveal any law enforcement technique employed by the RCMP in the
course of conducting its examination and making its report (s. 14(1)(c)).
As far as section 14(1)(c) is concerned, I do not consider a general description of the kinds of
tests performed by the RCMP in examining the tapes to constitute investigative techniques or
procedures in relation to law enforcement simply because these tests were performed by the
RCMP. They are more accurately described at best as “techniques” that are within the
knowledge of individuals proficient in the operation of video and audio equipment, many of
whom clearly have no role in law enforcement activities.
I have also not been provided with sufficient information and reasoning to persuade me that
disclosing the withheld portions of the Report could reasonably be expected to:
- interfere with any RCMP law enforcement interests relating to the
endangerment of the life or physical safety of an individual (s. 14(1)(e))
- interfere with the gathering or revealing of law enforcement intelligence
information (s. 14(1)(g)); or
- facilitate the commission of an unlawful act or hampering the control of
crime (s. 14(1)(l)).
Accordingly, as it relates to the role of the RCMP in this matter, I am unable to conclude that
section 14(1) would apply to any information contained in the Report.
Some of the withheld information in the Report relates to law enforcement activities of the OPP
in September 1995 at Ipperwash. For the most part, this consists of generic descriptions of the
equipment used and their location, as well as references to the OPP’s activities with respect to
the use of this equipment. The appellant already knows much of this information, either as a
result of having been given access to the physical tapes and their contents, or as a result of other
information generated and provided to the appellant in these proceedings.
To the extent that any information severed from the RCMP report and appendices is not already
known to the appellant, or is not already known in the exact terms described, I am not satisfied
that the exemption at section 14(1) would apply to any of it, with one limited exception. Two
- 22 -
[IPC Interim Order PO-2286-I/May 27, 2004]
pages of Appendix 8 contain a total of four references to the model number of one videocassette
recorder. This number was also contained in the Ministry’s representations on the technical
information, which I have not yet dealt with. I have decided to withhold this model number at
this time, pending my ruling on the sharing issues relating to the Ministry’s representations on
sharing the technical information.
As far as the section 21 reference in the Ministry’s “law enforcement” representations is
concerned, I can only assume that it relates to the names of OPP officers wherever they appear in
the Report and its various appendices, and that the Ministry is taking the position that these
names associated with other information in the Report constitutes the “personal information” of
OPP officers within the meaning of section 2(1) of the Act. I have already dealt with this issue in
my previous orders, most recently in Order PO-2263-I concerning the Ministry’s request that I
not disclose the names of the OPP officers who swore the search affidavits. In Order PO-2263-I,
I stated:
As the appellant points out, and as I found in my previous orders in this inquiry,
the search affidavits relate to activities undertaken by the police officials in their
professional capacities and thus do not constitute their “personal information” as
defined in section 2(1) of the Act. Their identities and participation in the events
in question are, for the most part, already known to the appellant and, in fact, the
names of these individuals were provided to me by the appellant in the first place.
This conclusion applies equally to the names of the officers where they appear in the Report and
appendices, including names that were not provided to me by the appellant, but rather by the
Ministry. The name references relate exclusively to the officers in the context of their
professional capacities, and do not constitute their “personal information”.
In arriving at this conclusion, I have also considered the submission made by the Ministry in its
request for reconsideration of Order PO-2263-I to the effect that questions involving the physical
attributes or integrity of the videotapes somehow amount to complaints against individual OPP
officers. As discussed in my decision disposing of this reconsideration request, I find that there
have been no complaints advanced against any individual officers and that neither the RCMP’s
examination and Report nor my inquiry concerning the videotapes amounts to an investigation
into or otherwise relates to a complaint against any individual officer.
Accordingly, to the extent that I am correct in assuming that the Ministry is arguing that section
21 applies because the severances contain the personal information of OPP officers, I also reject
this submission.
In summary, I find that the requirements of confidentiality criterion 5(b) have not been
established as they relate to the potential application of sections 14 or 21 of the Act.
Information Received in Confidence
The Ministry also argues that the Report would be exempt under section 15(b) of the Act because
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[IPC Interim Order PO-2286-I/May 27, 2004]
disclosing it “could reasonably be expected to ... reveal information received in confidence from
another level of government or its agencies”. This section reads:
A head may refuse to disclose a record where the disclosure could reasonably be
expected to,
Reveal information received in confidence from another
government or its agencies by an institution;
Section 15 recognizes that the Ontario government will create and receive records in the course
of its relations with other governments. The purpose of section 15(b) is to allow the Ontario
government to receive information in confidence, thereby building the trust required to conduct
affairs of mutual concern (Order PO-1927-I; see also Order P-1398, upheld on judicial review in
Ontario (Minister of Finance) v. Ontario (Information and Privacy Commissioner) (1999), 118
O.A.C. 108 (C.A.)).
To establish the requirements of section 15(b), an institution must demonstrate that disclosure of
the withheld portions of the Report “could reasonably be expected to” lead to the specified result.
To meet this test, the Ministry must provide “detailed and convincing” evidence to establish a
“reasonable expectation of harm”. Evidence amounting to speculation of possible harm is not
sufficient (Ontario (Workers’ Compensation Board) v. Ontario (Assistant Information and
Privacy Commissioner) (1998), 41 O.R. (3d) 464 (C.A.)).
representations of the parties
The Ministry submits:
In this case, the report contains information with respect to the analysis performed
and the conclusions reached by the RCMP. The information in the report was
received in confidence by the OPP from the RCMP. The report was marked
“Confidential” and has a “Security Classification/Designation” of “Protected A”.
The RCMP advised the OPP that its “unauthorized disclosure” was prohibited.
The RCMP is an agency of the federal government. The IPC has previously
accepted that the RCMP is the agent of another level of government. (See Interim
Order P-1636 at p.14.)
The appellant makes the following submissions in response:
Appendices 3 through 6 inclusive clearly do not fall within the scope of this
exemption, as they are all OPP (not RCMP) documents. A record that is sent by
an institution that is subject to the Act to another government agency and then
returned to the institution does not qualify for exemption under s. 15(b) of the Act:
see Order P-278.
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[IPC Interim Order PO-2286-I/May 27, 2004]
Equally, all or virtually all of the information severed from the RCMP-created
records consists of factual information supplied to the RCMP by the OPP. As a
result, the severed information does not “reveal information received from
another government or its agencies”. The situation is comparable to that
considered in Orders M-128 and M-839 regarding the RCMP’s Canadian Police
Information Centre (“CPIC”). Although CPIC is a federal system, much of the
information contained in it was originally supplied by provincial or municipal
police forces. [The IPC] has consistently held that only the retrieval of
information originally supplied to CPIC by the RCMP can be considered to be
“received” from the RCMP. Even though CPIC documents are federal
government records, a municipal or provincial police force cannot rely on s. 9(1)
of the Municipal Freedom of Information and Protection of Privacy Act or the
parallel s. 15 (b) of the Act to exempt information that it originally provided to
CPIC.
Similarly, in this case, the OPP cannot rely on s. 15(b) of the Act to exempt
information that it originally provided to the RCMP, even when it is recited in an
RCMP document. This is consistent with the purpose of s. 15(b), which is to
exempt information of the other government, not the institution’s own
information.
Furthermore, the RCMP report and attachments were not submitted to the
Ministry in confidence. It was always anticipated that the report would be
submitted to the Assistant Commissioner. The very purpose of the report was to
respond to the concerns raised in the Assistant Commissioner’s earlier orders in
this appeal. The Ministry advised the Assistant Commissioner, in the context of
this appeal, of the fact that the report was being prepared. The Request for
Analysis (Appendix 7) makes it clear that the RCMP was aware that the report
had to be completed in time for submission at or before the oral inquiry.
(Ultimately, the oral inquiry was postponed to allow time for receipt and
consideration of the report.) Accordingly, it would have been evident to the
RCMP and the Ministry at the time that the report was completed that it would be
used as evidence in this appeal. Accordingly, the RCMP could only reasonably
have expected confidentiality with respect to severances that satisfy the criteria in
section 5 of Practice Direction 7.
The Assistant Commissioner’s recent ruling in Order PO-2263-I (at page 29) that
the search affidavits were not submitted in confidence is thus instructive:
First, the Ministry, like any other party submitting representations
in an inquiry under the Act, would be aware that its representations
- in the form of both evidence and legal submissions or argument -
may be shared with the other party in the appeal based on the
application of the confidentiality criteria in section 5 of Practice
Direction 7. Clearly, the parties in the appeal, who have
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[IPC Interim Order PO-2286-I/May 27, 2004]
participated in a number of separate inquiries which followed this
procedure are well aware of how representations are treated.
Submitting representations with a mere assertion that they are
being provided in confidence is not sufficient to establish
confidentiality. Confidentiality is determined on the basis of the
application of the criteria in section 5.
Second, any expectation of confidence in relation to
representations made in the context of an inquiry must be
reasonable. It would not be reasonable to expect that information
previously communicated to a party during the course of an inquiry
or made public through the publication of an order would be
treated confidentially, regardless of whether an assertion of
confidentiality is made. A great deal of information has been
shared with the appellant during the course of this lengthy appeal,
including correspondence, Notices of Inquiry, representations, six
public orders, and even Superintendent Dunn’s first discrepancy
affidavit. Yet, in claiming confidentiality criteria 5(c) to the entire
content of all search affidavits, the Ministry is in effect asking me
to treat previously-communication (sic) information as confidential
... [appellant’s emphasis]
Similarly, the severances from the RCMP report and attachments include:
(a) descriptions in the OPP video and audio logs (Appendices
3, 4 and 5) of records that have already been disclosed to
the appellant;
(b) notations in those logs of the times when videotapes were
changed, which is information that is apparent to the
appellant from the time codes and labels of the videotapes
already disclosed to her;
(c) descriptions of markings on videotapes already shown to or
included on the labels of the copies disclosed to the
appellant; and
(d) descriptions of or excerpts from affidavits already ordered
to be disclosed to the appellant.
There is no reasonable expectation that such information would be treated
confidentially. Accordingly, the third branch of the s. 15(b) test has not been
established by the Ministry.
Although the Ministry has not relied upon s. 21 of the Act, it is apparent that many
- 26 -
[IPC Interim Order PO-2286-I/May 27, 2004]
of the severances are of names or identifying information of OPP officers or of
native protesters who were described in the video and audio logs at Appendices 3,
4 and 5. This clearly is not confidential information of the RCMP, and could not
reasonably have been expected to be treated confidentially given the numerous
previous rulings in this appeal that such information is not confidential. This
issue was most recently addressed in Order PO-2263-I, in which the Assistant
Commissioner held at page 41:
As far as the names of the [OPP] deponents are concerned, I find
no basis for withholding them. As the appellant points out, and as
I found in my previous orders in this inquiry, the search affidavits
relate to activities undertaken by police officials in their
professional capacities and thus do not constitute their “personal
information” as defined in section 2(1) of the Act. Their identities
and participation in the events in question are, for the most part,
already known to the appellant and, in fact, the names of these
individuals were provided to me by the appellant in the first place.
I also find that the officers’ names in association with the contents
of particular affidavits must be linked in order for the appellant to
adequately respond to the search issue.
Turning to the names of the protesters included in the affidavits, in
most cases these individuals have consented to their identities
being shared with the appellant in these proceedings. In addition,
as the appellant points out, I have already determined, pursuant to
section 23 of the Act; that there is a compelling public interest in
disclosing this identifying information that clearly outweighs the
purpose of the privacy exemption as it relates to these affected
individuals. [appellant’s emphasis]
Similarly, with respect to “technical information”, such as the fact that the audio
taping was “paused” (the word is only partially blacked out at p. 15 of Appendix
5), there is no reasonable expectation of confidentiality. As the Assistant
Commissioner held in Order PO-.2263-1 at p. 20:
... I am not persuaded that disclosing them would reveal
investigative techniques that are not already well known to be the
subject of this inquiry, particularly in light of the fact that the
actual photographs and video surveillance tapes under
consideration have already been disclosed to the appellant.
In reply, the Ministry submits:
Again, the argument of the Appellant is premised on parsing the report into
sections and applying the s. 15(b) of the Act to each part of the record.
- 27 -
[IPC Interim Order PO-2286-I/May 27, 2004]
The Ministry submits that when viewed as a whole, disclosure of the record
would reveal “information received in confidence from another government”.
The fact that the Ministry has chosen, with the agreement of the RCMP, to
disclose certain information in the record, does not mean that the exemption does
not apply to the record.
The Appellant’s argument that the report was not received in confidence is
incorrect. As stated in … the Ministry’s representations, the RCMP Report was
provided to the Assistant Commissioner by [Commissioner Boniface’s counsel]
under cover of a letter dated March 23, 2004. In that letter, [Commissioner
Boniface’s counsel] confirmed the “undertaking” of counsel for the Assistant
Commissioner, that the “report will be treated as if the subject of a request
pursuant to the Act”. In other words, it was expressly understood and agreed that
the report was not to be treated as part of the Ministry’s representations for the
purpose of this inquiry. It was understood and agreed that the report would be
dealt with as if a request for access under the Act had been made with respect to it.
Accordingly, the Ministry had every expectation of confidentiality with respect to
the record when it was provided to the IPC [Ministry’s emphasis].
analysis and findings
I am essentially in agreement with the appellant’s position on section 15(b) and its application to
the Report. Specifically, I find that:
1. Section 15(b) cannot be used to shelter a record or information contained
in a record that has been sent by an institution that is subject to the Act to
another government agency and then returned to the originating
institution. (See Orders P-278, M-128 and M-839). I also agree with the
appellant that most of the information the Ministry asks me to withhold in
this case fits that characterization.
2. There can be no reasonable expectation of confidentiality on the part of
the RCMP, the OPP or the Ministry with respect to any information that
has already been communicated to the appellant in the course of the
inquiry, including:
(a) information that can be gleaned from reviewing the
videotapes or from the descriptions of markings on
videotapes already shown to or included on the labels of
copies of the tapes disclosed to the appellant; and
(b) with respect to the RCMP’s references to the OPP officers’
search affidavits, information in those affidavits that is to
be shared with the appellant pursuant to Order PO-2263-I.
- 28 -
[IPC Interim Order PO-2286-I/May 27, 2004]
3. The RCMP, the Ministry and the OPP are or should have been aware that
any representations provided in this appeal, including the evidence
contained in the RCMP Report, may be shared with the appellant based on
the application of the confidentiality criteria in section 5 of Practice
Direction 7. The quotation in the appellant’s representations from Interim
Order PO-2263-I makes this clear. The presence of a “confidential”
security classification/designation on the Report does not in and of itself
negate the application of Practice Direction 7 in the circumstances of this
case.
Finally, I would repeat my earlier finding that the Report forms part of the representations of the
Ministry, as defined in the Code of Procedure, and at no point did I depart from the procedures
in the Code and in Practice Direction 7 as they relate to the Report.
In summary, I find that the requirements of confidentiality criterion 5(b) have not been
established as they relate to the potential application of section 15(b) of the Act.
Summary
In summary, for all of the reasons outlined in this interim order and in Interim Order PO-2263-I,
I find:
1. No part of the RCMP Report satisfies the requirements of confidentiality criterion 5(b).
2. The model number of the one video cassette recorder referred to in the body of this order
will not be disclosed to the appellant at this time.
SUPERINTENDENT DUNN’S SECOND AFFIDAVIT
On February 18, 2004, I received a second affidavit from Superintendent Dunn, elaborating on
the information provided in her original affidavit responding to Provisions 3 and 4 of Interim
Order PO-2221-I. This second affidavit also includes an Exhibit “A”, consisting of audio logs
for the Maintenance Shed and video logs for both the Maintenance Shed and the Gatehouse.
For the same reasons as outlined above regarding the RCMP Report and in Interim Order PO-
2263-I, I find that no portions of Superintendent Dunn’s second affidavit, including the attached
Exhibit “A”, satisfy the requirements of the confidentiality criteria in section 5 of Practice
Direction 7.
OUTSTANDING ISSUES RELATING TO THREE SEARCH AFFIDAVITS
In Interim Order PO-2263-I, which dealt with sharing issues relating to the various search
affidavits, I identified portions of three search affidavits that contain information that touches on
the discrepancy issues relating to Provisions 3 and 4 of Interim Order PO-2221-I. As noted
- 29 -
[IPC Interim Order PO-2286-I/May 27, 2004]
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Legislation
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FIPPA
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14(1)
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14(2)(a)
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15(b)
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Subject Index
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Signed by
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Tom Mitchinson
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Published
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May 27, 2004
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Type
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Order – Interim
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Judicial Review
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Institution's application abandoned October 12, 2010
Minister of Community Safety and Correctional Services v. Jane Doe, Requester and Tom Mitchinson, Assistant Commissioner Information and Privacy Commissioner/Ontario, Tor. Doc. 320/04 (Div. Ct.)
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