British Columbia Bill 207 (Private Member) — 40th Parliament, 4th Session — Previous Version 1
40-4 Member Bill 207-1
British Columbia — Bills
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2015 Legislative Session: 4th Session, 40th Parliament
FIRST READING
The following electronic version is for informational purposes only.
The printed version remains the official version.
MR. SHANE SIMPSON
BILL M 207 – 2015
WHISTLEBLOWERS PROTECTION ACT, 2015
Contents
Part One –
Interpretation
Definitions
Purpose
Wrongdoing
Part Two – Procedures for Making a Disclosure
Procedure for disclosure
Designated officer
Exception
Information about Act must be communicated on an annual basis
Report about disclosures
Public access to report
Part Three – Making a Disclosure
Obligation to investigate disclosure
Request for advice
Disclosure by employee
Disclosure to Auditor General regarding Office of the Ombudsperson
Content of disclosure
Ombudsperson to facilitate resolution within ministry
Public disclosure if situation is urgent
Part Four – Types of Information that can be Disclosed
Confidentiality provisions
Where disclosure restrictions continue to apply
Other obligations to report not affected
Part Five – Investigations by Ombudsperson
Purpose of investigation
Investigation by Ombudsperson
Notice of investigation
When investigation not required
Referring investigation to Auditor General
Conducting an investigation
Ombudsperson's report re investigation
Ministry to notify Ombudsperson of proposed steps
Report to minister or Speaker
Annual report
Special report
Part Six – Protection of Whistleblowers
Protection of employee from reprisal
Complaint to British Columbia Labour Relations Board
Labour Relations Code applies
Part Seven – Disclosure of Wrongdoing by Others
Disclosure of wrongdoing by non-employee
Information for disclosure by non-employee
Ombudsperson may investigate
Report
Protection for private sector employee who provides information
Protection for person contracting with government
Part Eight – General Provisions
Protection from liability
Liability protection for supervisor, officer, chief executive or Ombudsperson
Offences
Arranging legal advice
Limitation period
Regulations
Commencement
This Bill will facilitate the disclosure and investigation of serious matters in the
public interest that are potentially unlawful, injurious or dangerous to the public.
The Bill will also protect people who disclose information in the public interest
against reprisals from their employers.
HER MAJESTY, by and with the advice and consent of the Legislative Assembly of the
Province of British Columbia, enacts as follows:
Part One –
Interpretation
Definitions
1 In this Act:
"board" means the Labour Relations Board appointed under the Labour Relations Code ;
"chief executive" means
(
a) in relation to a ministry, the deputy minister of that ministry;
(
b) in relation to a government body, the chief executive officer or director of
that body; or
(
c) in relation to an office, the officer of the Legislative Assembly in charge of
that office;
"conduct" includes
an act or omission;
"designated officer" means the senior official designated under
section 5 to receive and deal with disclosures
under this Act;
"detriment" means
(
a) injury, damage or loss;
(
b) intimidation or harassment; or
(
c) discrimination, disadvantage or adverse treatment in relation to career, profession,
employment, trade or business;
"disclosure" means a disclosure made in good faith by an employee in accordance with the Act;
"employee" means an employee or officer of a ministry, government body or office;
"government body" includes
(
a) a government body, government corporation or public body as defined in the Financial Administration Act ;
(
b) a regional health authority established or continued under the Health Authorities Act ;
(
c) a community care facility licensed under the Community Care and Assisted Living Act ;
(
d) British Columbia Ferry Services, Inc. or the B.C. Ferry Authority;
(
e) any other body designated as a government body in the regulations;
"office" means
(
a) the office of the Auditor General;
(
b) the Representative for Children and Youth;
(
c) the Chief Electoral Officer; and
(
d) the Office of the Ombudsperson;
(
e) any other body designated as an office in the regulations;
"ombudsperson" means the Ombudsperson appointed under the Ombudsperson Act ;
"private sector employee" means an employee or officer other than an employee or officer of a ministry, government
body or office;
"public service" means ministries, government bodies and offices;
"reprisal" means any of the following measures taken against an employee because the employee
has, in good faith, sought advice about making a disclosure, made a disclosure, or
co-operated in an investigation under this Act:
(
a) a disciplinary measure;
(
b) a demotion;
(
c) a termination of employment
(
d) any measure that adversely affects his or her employment or working conditions;
(
e) a threat to take any of the measures referred to in clauses (
a) to (d); and
"wrongdoing" means a wrongdoing referred to in
section 3.
Purpose
2 The purpose of this Act is
(
a) to facilitate the disclosure and investigation of significant and serious matters
in or relating to the public service, that are potentially unlawful, dangerous to
the public or injurious to the public; and
(
b) to protect persons who make those disclosures.
Wrongdoing
3 This Act applies to the following wrongdoings in or relating to the public service:
(
a) an act or omission constituting an offence under
an Act of the Legislature or
the Parliament of Canada, or a regulation made under
an Act;
(
b) an act or omission that creates a substantial and specific danger to the life,
health or safety of persons, or to the environment, other than a danger that is inherent
in the performance of the duties or functions of an employee;
(
c) gross mismanagement, including of public funds or a public asset;
(
d) knowingly directing or counselling a person to commit a wrongdoing described
in clauses (
a) to (c).
Part Two – Procedures for Making a Disclosure
Procedure for disclosures
(1) Every chief executive must establish procedures to manage disclosures by employees
of the ministry, government body or office for which the chief executive is responsible.
(2) The procedures established under subsection (1) must include procedures
(
a) for receiving and reviewing disclosures, including setting time periods for action;
(
b) for investigating disclosures in accordance with the principles of procedural
fairness and natural justice;
(
c) respecting the confidentiality of information collected in relation to disclosures
and investigations;
(
d) for protecting the identity of persons involved in the disclosure process, subject
to any other Act and to the principles of procedural fairness and natural justice;
(
e) for reporting the outcomes of investigations; and
(
f) respecting any other matter specified in the regulations.
Designated officer
(1) Every chief executive must designate a senior official to be the designated officer
for the purposes of this Act.
(2) The designated officer designated under subsection (1) must receive and deal
with disclosures by employees in the ministry, government body or office for which
the chief executive is responsible.
Exception
(1) Sections 4 and 5 do not apply to a chief executive who determines in consultation
with the Ombudsperson that it is not practical to apply those sections given the size
of the ministry, government body or office for which the chief executive is responsible.
(2) If no designation is made under
section 5, the chief executive officer is the
designated officer for the purposes of this Act.
Information about Act must be communicated
7 A chief executive must ensure that information about this Act and the disclosure procedures
is widely communicated to the employees of the ministry, government body or office
for which the chief executive is responsible on an annual basis.
Report about disclosures
(1) Each year, a chief executive must prepare a report on any disclosures of wrongdoing
that have been made to a supervisor or designated officer of the ministry, government
body or office for which the chief executive is responsible.
(2) The report must include the following information:
(
a) the number of requests for advice about disclosing information;
(
b) the number of disclosures received and the number acted on and not acted on;
(
c) the number of investigations commenced as a result of a disclosure;
(
d) the number of investigations referred to the Ombudsperson or Auditor General;
(
e) in the case of an investigation that results in a finding of wrongdoing, a description
of the wrongdoing and any recommendations or corrective actions taken in relation
to the wrongdoing or the reasons why no corrective action was taken;
(
f) in the case of an investigation conducted by the Ombudsperson, whether, in the
opinion of the Ombudsperson, there are any systemic problems that give rise to the
wrongdoings.
Public access to report
(1) The report described in
section 8 must be included in the annual report of the
ministry, government body or office, if an annual report is made publicly available.
(2) If an annual report is not made publicly available, the chief executive must
make the report available to the public on request.
Part Three – Making a Disclosure
Obligation to investigate disclosure
10 The person or body to whom an employee makes a disclosure has a duty to conduct a
competent and timely investigation into that claim.
Request for advice
(1) An employee who is considering making a disclosure may request advice from the
designated officer or the Ombudsperson.
(2) The designated officer or Ombudsperson may require the request for advice to
be in writing.
Disclosure by employee
12 If an employee reasonably believes that he or she has information that could show
that a wrongdoing has been committed or is about to be committed, the employee may
make a disclosure to any of the following:
(
a) the employee's supervisor;
(
b) the employee's designated officer;
(
c) the Ombudsperson.
Disclosure to Auditor General regarding the Office of the Ombudsperson
(1) If an employee of the Office of the Ombudsperson is seeking advice or making a
disclosure regarding that office, the advice may be sought from, or the disclosure
made to, the Auditor General.
(2) If a disclosure is made pursuant to subsection (1), the Auditor General must
carry out the responsibilities of the Ombudsperson under this Act in relation to that
disclosure.
Content of disclosure
14 A disclosure made under
section 12 or 13 must be in writing and must include the following
information, if known:
(
a) a description of the wrongdoing;
(
b) the name of the person or persons alleged to
(
i) have committed the wrongdoing, or
(ii) be about to commit the wrongdoing;
(
c) the date of the wrongdoing;
(
d) whether the wrongdoing has already been disclosed and a response received.
Ombudsperson to facilitate resolution within ministry
15 When an employee makes a disclosure to the Ombudsperson, the Ombudsperson may take
any steps he or she considers appropriate to help resolve the matter within the ministry,
government body or office.
Public disclosure if situation urgent
(1) If an employee reasonably believes that a matter constitutes an imminent risk
of a substantial and specific danger to the life, health or safety of persons, or
to the environment, such that there is insufficient time to make a disclosure under
section 12, the employee may make a disclosure to the public
(
a) if the employee has first made the disclosure to an appropriate law enforcement
agency or, in the case of a health-related matter, the Provincial Health Officer or
a medical health officer; and
(
b) subject to any direction that the agency or officer considers necessary in the
public interest.
(2) Immediately after a disclosure is made under subsection (1), the employee must
also make a disclosure about the matter to his or her supervisor or designated officer.
Part Four – Types of Information that can be Disclosed
Confidentiality provisions
17 Subject to
section 18, a person who makes a disclosure does not by doing so
(
a) commit an offence under any enactment that imposes a duty to maintain confidentiality
with respect to a matter or any other restriction on the disclosure of information;
(
b) breach an obligation by way of oath or rule or practice under an agreement requiring
him or her to maintain confidentiality or otherwise restricting the disclosure of
information with respect to a matter.
Where disclosure restrictions continue to apply
(1) Nothing in this Act authorizes the disclosure of
(
a) information described in subsection 12 (1) of the Freedom of Information and Protection of Privacy Act , except in circumstances mentioned in subsection 12 (2);
(
b) information that is protected by solicitor-client privilege;
(
c) in the case of a disclosure to the public under
section 16, information that
is subject to any restriction created by or under
an Act of the Legislature or the
Parliament of Canada, or a regulation made under
an Act.
(2) If the disclosure involves personal information or confidential information,
the employee must take reasonable precautions to ensure that no more information is
disclosed than is necessary to make the disclosure.
Other obligations to report not affected
19 Nothing in this Act relating to the making of a disclosure is to be construed as affecting
an employee's obligation under any other Act or regulation to disclose, report, or
otherwise give notice of any matter.
Part Five – Investigations by Ombudsperson
Purpose of investigation
20 The purpose of an investigation into a disclosure of wrongdoing is to bring the wrongdoing
to the attention of the appropriate ministry, government body or office, and to recommend
corrective measures that should be taken.
Investigation by Ombudsperson
(1) The Ombudsperson is responsible for investigating disclosures that he or she receives
under this Act.
(2) An investigation is to be conducted as informally and expeditiously as possible.
(3) The Ombudsperson must ensure that the right to procedural fairness and natural
justice of all persons involved in an investigation is respected, including persons
making disclosures, witnesses and persons alleged to be responsible for wrongdoings.
Notice of the Investigation
22 Before conducting an investigation of a disclosed matter, the Ombudsperson must inform
the relevant body of his or her intention to do so in writing.
When investigation not required
(1) The Ombudsperson is not required to investigate a disclosure, and may cease an
investigation if he or she is of the opinion that
(
a) the subject matter of the disclosure could more appropriately be dealt with,
initially or completely, according to a procedure provided for under another Act;
(
b) the disclosure is frivolous or vexatious, or has not been made in good faith
or does not deal with a sufficiently serious subject matter;
(
c) so much time has elapsed between the date when the subject matter of the disclosure
arose and the date when the disclosure was made that investigating it would not serve
a useful purpose;
(
d) the disclosure relates to a matter that results from a balanced and informed
decision-making process on a public policy or operational issue;
(
e) the disclosure does not provide adequate particulars about the wrongdoing as
required by
section 14;
(
f) the disclosure relates to a matter that could more appropriately be dealt with
according to the procedures under a collective agreement or employment agreement;
(
g) there is another valid reason for not investigating the disclosure.
(2) The Ombudsperson must, within two weeks of his or her decision, notify the person
making the disclosure of his or her decision not to investigate a disclosure or cease
an investigation under subsection (1) and give reasons for that decision.
Referring investigation to Auditor General
(1) If the Ombudsperson believes that a disclosure made to the Ombudsperson would
be dealt with more appropriately by the Auditor General, the Ombudsperson may refer
the matter to the Auditor General to be dealt with in accordance with the Auditor General Act .
(2) If a matter is referred to the Auditor General under subsection (1), the reprisal
protections set out in
Part 6 of this Act apply to the employee or former employee
who made the disclosure to the Ombudsperson.
Conducting an investigation
(1) The Ombudsperson and persons employed under the Ombudsperson have the powers and
protections provided for in the Ombudsperson Act when conducting an investigation of a disclosure under this Act.
(2) If, during an investigation, the Ombudsperson has reason to believe that another
wrongdoing has been committed, the Ombudsperson may investigate that wrongdoing in
accordance with this Act.
Ombudsperson's report re investigation
(1) Upon completing an investigation, the Ombudsperson must prepare a report containing
his or her findings and any recommendations about the disclosure and the wrongdoing.
(2) The Ombudsperson must give a copy of the report to the employee and the chief
executive of the appropriate ministry, government body or office.
(3) When the matter being investigated involves the chief executive, the Ombudsperson
must also give a copy of the report,
(
a) in the case of a ministry, to the minister responsible;
(
b) in the case of a government body or corporation, to the board of directors and
the minister responsible; or
(
c) in the case of an office, to the Speaker of the Legislative Assembly.
Ministry to notify Ombudsperson of proposed steps
27 When making recommendations, the Ombudsperson may request the ministry, government
body or office to notify him or her, within a specified time, of the steps it has
taken or proposes to take to give effect to the recommendations.
Report to minister or Speaker
28 If the Ombudsperson believes that the ministry, government body or office has not
appropriately followed up on his or her recommendations, or did not co-operate in
the Ombudsperson's investigation under this Act, the Ombudsperson may make a report
on the matter
(
a) in the case of a ministry, to the minister responsible;
(
b) in the case of a government body, to the board of directors and the minister
responsible; or
(
c) in the case of an office, to the Speaker of the Legislative Assembly.
Annual report
(1) The Ombudsperson must make an annual report to the Legislative Assembly on the
exercise and performance of his or her functions and duties under this Act, setting out
(
a) the number of general inquiries relating to this Act;
(
b) the number of disclosures received and the number acted on and not acted on;
(
c) the number of investigations commenced under this Act;
(
d) the number of recommendations the Ombudsperson has made and whether the ministry,
government body or office has complied with the recommendations;
(
e) whether, in the opinion of the Ombudsperson, there are any systemic problems
that give rise to wrongdoings; and
(
f) any recommendations for improvement that the Ombudsperson considers appropriate.
(2) The report must be given to the Speaker, who must table a copy of it in the Legislative
Assembly within 15 days after receiving it if the Assembly is sitting or, if it is
not, within 15 days after the next sitting begins.
Special report
30 Where it is in the public interest to do so, the Ombudsperson may publish a special
report relating to any matter within the scope of the Ombudsperson's responsibilities
under this Act, including a report referring to and commenting on any particular matter
investigated by the Ombudsperson.
Part Six – Protection of Whistleblowers
Protection of employee from reprisal
31 No person shall take a reprisal against an employee or direct that one be taken against
an employee because the employee, in good faith
(
a) has sought advice about making a disclosure from his or her supervisor, designated
officer or chief executive, or the Ombudsperson;
(
b) has disclosed, threatened to disclose or is about to make a disclosure in accordance
with this Act;
(
c) has objected or refused to participate in any activity, policy, or
(
d) has co-operated or plans to co-operate in an investigation under this Act.
Complaint to British Columbia Labour Relations Board
(1) An employee or former employee who alleges that a reprisal has been taken against
him or her may file a written complaint with the board.
(2) Section 14 of the Labour Relations Code (procedures for dealing with unfair labour practice) applies to a complaint filed
under subsection (1), with necessary changes.
(3) If the board determines that a reprisal has been taken against the complainant
contrary to
section 31, the board may order one or more of the following measures
to be taken:
(
a) permit the complainant to return to his or her duties;
(
b) reinstate the complainant or pay damages to the complainant, if the board considers
that the trust relationship between the parties cannot be restored;
(
c) pay compensation to the complainant in an amount not greater than the remuneration
that the board considers would, but for the reprisal, have been paid to the complainant;
(
d) pay an amount to the complainant equal to any expenses and any other financial
losses that the complainant has incurred as a direct result of the reprisal;
(
e) cease an activity that constitutes the reprisal;
(
f) rectify a situation resulting from the reprisal;
(
g) do or refrain from doing anything in order to remedy any consequence of the reprisal.
Labour Relations Code applies
33 Sections 125, 126, 133, 140, 153 and 156 of the Labour Relations Code apply to any proceeding before the board under this Act, with necessary changes.
Part Seven – Disclosure of Wrongdoing by Others
Disclosure of wrongdoing by non-employee
34 If a person who is not an employee reasonably believes that he or she has information
that could show that a wrongdoing has been committed or is about to be committed,
the person may provide that information to the Ombudsperson.
Information for disclosure by non-employee
(1) Information provided to the Ombudsperson under
section 34 must be in writing and
must include the following information, if known:
(
a) a description of the wrongdoing;
(
b) the name of the person or persons alleged to
(
i) have committed the wrongdoing, or
(ii) be about to commit the wrongdoing;
(
c) the date of the wrongdoing;
(
d) whether the information has already been provided to the ministry, government
body or office concerned and a response received.
Ombudsperson may investigate
36 Upon receiving information under
section 35, the Ombudsperson may investigate the
wrongdoing.
Report
37 The Ombudsperson must give a copy of the report of an investigation under this
section
to the person who provided the information about the wrongdoing.
Protection for private sector employee who provides information
(1) No employer of a private sector employee shall take any of the measures listed
in subsection (2) against an employee by reason primarily that
(
a) the employee has, in good faith, provided information to the Ombudsperson about
an alleged wrongdoing; or
(
b) the employer believes that the employee will do so.
(2) The measures prohibited by subsection (1) are
(
a) a disciplinary measure;
(
b) a demotion;
(
c) termination of employment;
(
d) any measure that adversely affects the employee's employment or working conditions;
and
(
e) a threat to take any of the measures referred to in clauses (
a) to (d).
(3) Nothing in this
section affects any right of a private sector employee either
at law or under a collective agreement or employment contract.
Protection for person contracting with government
39 No person acting or purporting to act on behalf of the government, a government body
or an office shall
(
a) terminate a contract;
(
b) withhold a payment that is due and payable under a contract; or
(
c) refuse to enter into a subsequent contract;
by reason primarily that a party to the contract or a person employed by a party to
the contract has, in good faith, provided information to the Ombudsperson about an
alleged wrongdoing in or relating to the public service.
Part Eight – General Provisions
Protection from liability
(1) A person who makes a disclosure is not subject to any civil or criminal liability
or any liability arising by way of administrative process for making the disclosure.
(2) A person who makes an involuntary disclosure made under administrative or judicial
compulsion is not subject to any civil or criminal liability arising by way of administrative
process for making the disclosure.
(3) Despite anything to the contrary in this section, a person's liability for his
or her conduct is not affected by the person's disclosure of that conduct under this
Act.
Liability protection for supervisor, officer, chief executive or Ombudsperson
(1) No action or proceeding may be brought against a supervisor, designated officer
or chief executive, or the Ombudsperson, or a person acting on behalf of or under
the direction of any of them, for anything done or not done, or for any neglect,
(
a) in the performance or intended performance of a duty under this Act; or
(
b) in the exercise or intended exercise of a power under this Act;
unless the person was acting in bad faith.
Offences
(1) No person shall, in seeking advice about making a disclosure, in making a disclosure,
or during an investigation, knowingly make a false or misleading statement, orally
or in writing, to a supervisor, designated officer or chief executive, or the Ombudsperson,
or to a person acting on behalf of or under the direction of any of them.
(2) No person shall wilfully obstruct a supervisor, designated officer or chief executive,
or the Ombudsperson, or any person acting on behalf of or under the direction of any
of them, in the performance of a duty under this Act.
(3) No person shall, knowing that a document or thing is likely to be relevant to
an investigation under this Act,
(
a) destroy, mutilate or alter the document or thing;
(
b) falsify the document or make a false document;
(
c) conceal the document or thing; or
(
d) direct, counsel or cause, in any manner, a person to do anything mentioned in
clauses (
a) to (c).
(4) A person who contravenes this
section is guilty of an offence and is liable on
summary conviction to a fine of not more than $10,000.
Arranging legal advice
(1) If the designated officer or Ombudsperson is of the opinion that it is necessary
to further the purposes of this Act, he or she may, subject to the regulations, arrange
for legal advice to be provided to employees and others involved in any process or
proceeding under this Act.
Limitation period
44 A prosecution under this Act may not be commenced later than two years after the day
the alleged offence was committed.
Regulations
(1) The Lieutenant Governor in Council may make regulations authorized by
section 41
of the
Interpretation Act .
(2) Without limiting subsection (1), the Lieutenant Governor in Council may make
regulations as follows:
(
a) designating a public sector body as a government body for the purposes of this
Act;
(
b) designating an entity that receives all or a substantial part of its operating
funding from the government as a government body for the purposes of this Act;
(
c) for the purpose of
section 4, respecting the procedures to be followed in managing
and investigating disclosures and reporting the outcome of investigations, including
setting time periods for action;
(
d) exempting Acts or regulations from the application of
section 16 where the exemption
is in the public interest;
(
e) respecting the provision of legal advice under
section 43, including determining
the circumstances under which legal advice may be provided and the amounts that may
be paid;
(
f) defining any word or phrase used but not defined in this Act;
(
g) respecting any other matter that the Lieutenant Governor in Council considers
necessary or advisable to carry out the purposes of this Act.
Commencement
46 This Act comes into force on the date of Royal Assent.
Explanatory Note
This Bill will facilitate the disclosure and investigation of serious matters in the
public interest that are potentially unlawful, injurious or dangerous to the public.
The Bill will also protect people who disclose information in the public interest
against reprisals from their employers.
Copyright (
c) Queen's Printer, Victoria, British Columbia, Canada