Last Updated:
Status:
Published
Review Number:
21-07
Last Updated:
Status:
Published
Review Number:
21-07
Ottawa, Ontario, October 7, 2022 – The third Annual Report of the National Security and Intelligence Review Agency (NSIRA) was tabled in Parliament today, October 7, 2022.
NSIRA’s 2021 Annual Report focuses on our progress and activities in our second full year of operation. During this time, we pursued the reform of our processes and methods for doing review and investigations, both of which helped us improve the consistency and efficiency of our work.
This report highlights key findings and recommendations. The report also presents our intention to use future annual reports to publicly assess and track the implementation of previous recommendations, in accordance with our continued commitment to transparency and public engagement. Review highlights include:
In 2021, NSIRA saw its complaints investigation caseload increase significantly as a result of 58 complaints referred to NSIRA by the Canadian Human Rights Commission pursuant to subsection 45(2) of the Canadian Human Rights Act. NSIRA also completed its investigation process reform initiative after consultation with multiple stakeholders. NSIRA investigations under this new model are already showing improved efficiency.
NSIRA’s 2021 Annual Report also discusses our organization’s underlining goals and values, and highlights how the organization continued to grow in size and capacity throughout the year, and sought to enhance its technical and subject-matter expertise.
Date of Publishing:
Dear Prime Minister,
On behalf of the National Security and Intelligence Review Agency, it is my pleasure to present you with our third annual report. Consistent with subsection 38(1) of the National Security and Intelligence Review Agency Act, the report includes information about our activities in 2021, as well as our findings and recommendations.
In accordance with paragraph 52(1)(b) of the National Security and Intelligence Review Agency Act, our report was prepared after consultation with relevant deputy heads, in an effort to ensure that it does not contain information the disclosure of which would be injurious to national security, nation al defence or international relations, or is information that is subject to solicitor-client privilege, the professional secrecy of advocates and notaries, or to litigation privilege.
Yours sincerely,
The Honourable Marie Deschamps, C.C.
Chair // National Security and Intelligence Review Agency
The National Security and Intelligence Review Agency (NSIRA) is pursuing its mission of enhancing accountability for national security and intelligence activities in Canada. In 2021, our agency continued to grow in size and improved its ability to fully take advantage of its broad review and investigations mandate covering the national security and intelligence activities of departments and agencies across the federal government.
It is our pleasure to present to you our third annual report in which we discuss our progress and activities in our second full year of operation. Despite the recurrent challenges posed by the COVID-19 pandemic and delays caused by a cyber incident, we completed a wide array of reviews and investigations, and continued improving our processes across the agency. Indeed, we pursued the reform of our processes and methods for doing reviews and investigations, both of which helped us to improve the consistency and efficiency of our work tremendously. These reforms, in conjunction with our growing experience, have allowed us to implement and deliver on our review plan. All of this was made possible by the development of a much stronger corporate policy framework backed by a corporate group that really cares about service delivery and the health of the agency.
In accordance with our continued commitment to transparency and public engagement, this report will present our intention to use future annual reports to publicly assess and track the implementation of previous recommendations. In the same spirit of holding us and the reviewed organizations accountable, we also formalized standards that will allow us to assess the timeliness of responses. It is our hope that these initiatives, in addition to the stringent verification process to assess our confidence in each review that we are currently developing, will inspire confidence and trust in our recommendations and findings.
We would like to thank the staff of NSIRA’s Secretariat for their efforts, patience and resilience throughout this challenging year and we hope you share our enthusiasm for what we can accomplish in the year ahead.
Marie Deschamps
Craig Forcese
Ian Holloway
Faisal Mirza
Marie-Lucie Morin
The National Security and Intelligence Review Agency (NSIRA) marked its second full year in operation in 2021. With the agency’s broad jurisdiction under the National Security and Intelligence Review Agency Act (NSIRA Act), it reviewed and investigated national security and intelligence matters relating to not only the Canadian Security Intelligence Service (CSIS) and the Communications Security Establishment (CSE), but also several federal departments and agencies, including:
In 2021, NSIRA continued to grow in capacity and sought to enhance its technical and subject-matter expertise.
Over the course of 2021, NSIRA completed four reviews that strengthened its knowledge of important areas of CSIS activity:
In 2021, NSIRA completed two reviews of CSE activities, and directed CSE to conduct one departmental study:
In 2021, NSIRA completed two reviews of the DND/CAF:
NSIRA conducted two specifically mandated multi-departmental reviews in 2021:
NSIRA also completed a multi-departmental review under its general mandate to review any activity carried out by a department that relates to national security or intelligence:
In 2021, NSIRA saw its complaints investigation caseload increase significantly as a result of 58 complaints referred to NSIRA by the Canadian Human Rights Commission pursuant to subsection 45(2) of the Canadian Human Rights Act.
Further, the COVID-19 pandemic contributed to delays in NSIRA’s investigations by reducingparties’ responsiveness in providing access to information and evidence.
In 2021, NSIRA completed its investigation process reform initiative after consultation with multiple stakeholders. NSIRA investigations under this new model are already showing improved efficiency.
Established in July 2019, the National Security and Intelligence Review Agency (NSIRA) is an independent agency that reports to Parliament and conducts investigations and reviews of the federal government’s national security and intelligence activities. Prior to NSIRA’s creation, several gaps existed in Canada’s national security accountability framework. Notably, NSIRA’s predecessor review bodies did not have the ability to collaborate or share their classified information but were each limited to conducting reviews for their specified department or agency.
By contrast, NSIRA has the authority to review any Government of Canada national security or intelligence activity in an integrated manner. As noted in the 2019 annual report, with NSIRA’s expanded role, Canada now has one of the most extensive systems for independent review of national security.
NSIRA has a dual mandate to conduct reviews and investigations of Canada’s national security and intelligence activities. Annex B contains a financial and administrative overview of NSIRA.
NSIRA’s review mandate is broad, as outlined in subsection 8(1) of the National Security and Intelligence Review Agency Act (NSIRA Act). This mandate includes reviewing the activities of both the Canadian Security Intelligence Service (CSIS) and the Communications Security Establishment (CSE), as well as the national security- or intelligence-related activities of any other federal department or agency. This includes, but is not limited to, the national security or intelligence activities of the Royal Canadian Mounted Police (RCMP), the Canada Border Services Agency (CBSA), the Department of National Defence (DND) and Canadian Armed Forces (CAF), Global Affairs Canada (GAC), and the Department of Justice.
Further, NSIRA reviews any national security or intelligence matters that a minister of the Crown refers to NSIRA. Annex C contains summaries of the reviews completed in 2021.
NSIRA reviews assess whether Canada’s national security and intelligence activities comply with relevant laws and ministerial directions, and whether they are reasonable and necessary. In conducting its reviews, NSIRA can make any findings or recommendations it considers appropriate.
Reviews of CSIS and CSE will always remain a core part of NSIRA’s work since the entire focus of these organizations is to address national security and intelligence matters. Unlike its predecessor review bodies, however, NSIRA has an all-encompassing review mandate. NSIRA will thus continue to prioritize and examine how other departments engaging in national security and intelligence activities meet their obligations. NSIRA reviews help keep Parliament and Canadians informed about the lawfulness and reasonableness of Canada’s national security and intelligence activities.
In addition to its review mandate, NSIRA is responsible for investigating national security- or intelligence-related complaints. This duty is outlined in paragraph 8(1)(d) of the NSIRA Act, and involves investigating complaints about:
This mandate also includes investigating national security-related complaints referred to NSIRA by the Civilian Review and Complaints Commission for the RCMP (the RCMP’s own complaints mechanism) and the Canadian Human Rights Commission.
NSIRA has a mandate to review any Canadian Security Intelligence Service (CSIS) activity. The NSIRA Act requires NSIRA to submit a classified annual report to the Minister of Public Safety and Emergency Preparedness on CSIS activities each year, including information related to CSIS’s compliance with the law and applicable ministerial directions, and the reasonableness and necessity of the exercise of CSIS’s powers.
In 2021, NSIRA completed four reviews of CSIS, summarized below. NSIRA also began two more reviews: one of CSIS’s Justification Framework and the other of CSIS’s Dataset Regime. Several other ongoing NSIRA reviews contain a CSIS component.
In a 2020 decision (2020 FC 616), the Federal Court recommended that a “comprehensive external review be initiated to fully identify systemic, governance and cultural shortcomings and failures that resulted in CSIS engaging in operational activity that it has conceded was illegal and the resultant breach of candour.” Based on that recommendation, the Minister of Public Safety and Minister of Justice referred the review to NSIRA pursuant to paragraph 8(1)(c) of the NSIRA Act. Acting on this reference and relying on its own jurisdiction, NSIRA therefore reviewed the manner in which CSIS seeks and receives legal services from the Department of Justice and prepares and executes the warrants it needs to collect information.
This review found an intelligence service and its counsel who struggle to organize themselves in a manner that enables them to meet their legal obligations, including to the Federal Court. NSIRA also found a failure at CSIS to fully and sustainably professionalize the warrant application process as a specialized trade requiring training, experience and investment. This review also demonstrated the need to transform the relationship between CSIS and its legal counsel.
This review was led by NSIRA members Marie Deschamps and Craig Forcese. One or both members were directly involved in every aspect of the review including review process management, briefings, interviews and document review. This included dozens of confidential interviews with Department of Justice and CSIS employees whose perspectives were essential for “ground-truthing” the knowledge NSIRA had gained from documents and formal briefings.
In organizing these interviews, NSIRA ensured robust representation covering the range of functions in the warrant and legal advice giving processes. The interviews raised issues and concerns that would have otherwise been unavailable to NSIRA. This assisted NSIRA in making recommendations on governance, systemic and cultural issues that contribute to inefficiencies threatening the ability of CSIS and the Department of Justice to fulfil their mandates.
NSIRA heard repeated concerns from interviewees that these problems put at risk the ability of the intelligence service to meet the mandate Parliament has assigned to it. Addressing these challenges urgently is in the public interest. Though CSIS and the Department of Justice have made improvements, difficulties are still evident.
NSIRA grouped its findings and recommendations into three overarching areas:
CSIS operates in often rapidly evolving and legally challenging environments. Timely, nimble and actionable legal advice is critical. The Department of Justice provides CSIS with legal advice on national security matters via the National Security Litigation and Advisory Group (NSLAG). This review highlighted factors that prevent NSLAG from providing CSIS with the legal advice it needs.
The Department of Justice has employed a centralized “one voice” model for delivering its legal services. The one voice model reflects a desire for uniform and consistent legal advice delivered on behalf of the Attorney General of Canada. Although the premise for the one voice approach is sound, NSIRA found that NSLAG struggled to provide timely, responsive and useful legal advice in the CSIS context. The way the Department of Justice provides advice has often not been responsive to CSIS operations. For example, NSLAG presents its advice as a legal risk assessment using the Department of Justice-wide Legal Risk Management grid. This grid uses a colour-coded risk rating that can be compared to a “traffic light” system: a green risk rating represents a low legal risk to CSIS, a red risk rating represents a high legal risk, and, more ambiguously, a yellow risk rating represents an intermediate legal risk. Yellow light responses are reportedly the most common and the most frustrating for CSIS, especially when unaccompanied by discussions on how to mitigate the risk, the inclusion of which NSIRA heard is not currently common practice.
Therefore, some at CSIS perceive the Department of Justice as presenting a roadblock because of its bureaucracy, its perceived operational illiteracy and its unhelpful approach to communicating legal advice.
However, the problems with timely, responsive and useful legal advice do not stem from the Department of Justice alone. NSIRA heard that CSIS has not always shared all relevant information with the Department of Justice, prompting a degree of mistrust. The internal process for requesting legal advice at CSIS also contributes to delays and lack of relevance. The advice that sometimes comes back to operational investigators at CSIS filtered through bureaucratic hierarchies may be of limited relevance.
NSIRA heard that the laborious advice-seeking and -receiving process has sometimes caused [discussion of detrimental effects on and risks to operations].
CSIS and the Department of Justice often operate in a situation of legal doubt because of lack of clarity in the law. Clarifying legal standards often requires judicial case law. However, an unwieldy warrant process, discussed below, makes that prospect more difficult.
The Department of Justice is aware of the need for change. Broad, recent initiatives include the Vision Project, which promises client-centric strategic partnerships. New procedures have been implemented at NSLAG to address internal silos between advisory and litigation counsel, and to improve training, improve access to legal advice and facilitate consistent legal opinions. NSLAG also appears to recognize the desire for a different approach to providing legal advice, including moving toward legal advice that promotes collaborative and iterative engagement with CSIS in order to achieve its operational goals, within the bounds of the law. However, as of fall 2021, it did not appear that CSIS and the Department of Justice had systematically put this model into effect.
To facilitate proper advice-giving, CSIS needs to provide NSLAG with all the facts, and to engage NSLAG early on, at the operational level. Earlier and ongoing involvement throughout the stages of an investigation or operation would enable counsel to provide informal legal nudges that allow CSIS to course-correct before too much time has been spent. A more iterative process of incorporating legal advice over the full course of an operation could address the reported challenge of operations halted due to untimely or ambiguous legal advice.
CSIS organizes the process of seeking a warrant around a system of internal preparation and approvals before proceeding to the statutory step of seeking ministerial approval of the warrant application. A number of legal concepts and expectations enter into the warrant process, including the “duty of candour” owed to the Court.
The Federal Court duty of candour concerns fit into two categories: disclosure of information material to the credibility of the sources who supply information used in the application; and disclosure of information material to matters of potential concern about the broader context of the warrant and how it will be executed.
Despite past attempts at reforms, the current warrant process adopted by CSIS and supported by the Department of Justice has repeatedly failed to meet these candour obligations. Many reforms appear to have contributed to the bureaucratic complexity of the warrant process, without addressing candour issues.
CSIS has especially struggled to ensure that all information material to the credibility of sources is properly included in warrant applications. NSIRA heard repeatedly that CSIS officers involved in the early stages of preparing warrant applications do not clearly understand the legal expectations surrounding the duty of candour. Deficient information management systems related to human sources at CSIS have also resulted in important omissions, violating duty of candour obligations. These challenges produce what NSIRA calls the “recurring omissions” problem.
In 2019, CSIS sought to professionalize affiant work by creating an Affiant Unit. CSIS’s establishment of the Affiant Unit is a critical development and, properly resourced and staffed, it would be well positioned to respond to long-standing problems with the duty of candour. However, when created, the Affiant Unit was placed [Name of Branch]. [Name] has a broad mandate that does not align with the Affiant Unit’s functions in preparing legally robust warrant applications. This governance anomaly may explain the Affiant Unit’s present administrative and human resource challenges. The Affiant Unit’s sustainability is in question, and indeed NSIRA heard that the unit could currently be described as being in a state of crisis. CSIS has not supported the unit with resources commensurate with the importance of this unit in fulfilling CSIS’s mission.
Warrants counsel at NSLAG have several key roles in the warrant application process and are intimately implicated in ensuring adherence to the duty of candour. Fostering a strong, collaborative and productive relationship with CSIS is key. Morale among NSLAG warrants counsel may have suffered in light of the recent Federal Court decision that prompted this review. With recent staffing increases, it appears that NSLAG currently has the requisite complement to manage the number of annual warrant applications expected from CSIS, but recruitment challenges remain an ongoing issue. NSLAG should be staffed to ensure that CSIS’s operations are not stalled due to the lack of availability of warrants counsel.
The warrant application process is meant to be strengthened through a review of the near- final affidavit by an “independent counsel” (IC) – in practice, a lawyer drawn from the Department of Justice’s National Security Group. The role was originally envisioned as performing a rigorous challenge of the warrant application. However, the primary role of the IC appears to be more clerical than substantive, designed to cite check rather than assertively perform a devil’s advocate function.
NSIRA believes that the presence of a rigorous challenge function performed by a knowledgeable, adequately supported lawyer distant from the warrant application is valuable and necessary. However, NSIRA proposes that the current IC model be abandoned in favour of a challenge function performed at Public Safety Canada, whose precise role is that of oversight of the CSIS warrant application process.
Working with the Public Safety Canada unit charged with warrant review, an experienced and specialized warrant counsel could perform a genuine challenge role to the warrant, analogous to the role a defence lawyer would play were warrants subject to an adversarial process. NSIRA believes that a testing review of this sort will help forestall duty of candour shortcomings stemming from a failure to disclose fully information material to matters of potential concern about the broader context of the warrant and how it will be executed.
Once a judge issues a warrant, CSIS may execute the warrant. That execution must comply with the scope and terms of the warrant. However, the CSIS regional warrant coordinators have not received sufficient training to enable the contents of warrants to be translated into advice on proper execution.
Concern about inadequate training at CSIS was a recurring theme in this review. This concern was noted in internal CSIS documents. CSIS acknowledges that it is currently not a learning organization and does not have a learning culture. There are too few training opportunities required to sustain a modern professional intelligence service operating in a complex environment.
This report concluded with observations on cross-cutting cultural and governance challenges that stem, at least in part, from challenges characterizing the provision of legal advice and the warrant process. NSIRA divides these broad, cross-cutting phenomena into two categories: morale and attitudes; and performing the mission.
Low morale at CSIS was a common theme throughout this review. The systemic problems in the warrant application process are likely one cause of this problem: morale is affected when a warrant acquisition system repeatedly prevents CSIS officers from performing their mandated duties and is the source of regular reputational crises stemming from failures to meet the duty of candour.
Meanwhile, a failure to correct problems with the warrant process impairs CSIS’s and the Department of Justice’s abilities to fulfil their mandates. The Department of Justice must go from being perceived as a roadblock to a frank and forthright advisor fully attuned to operational objectives.
Within CSIS, the warrant application process was sometimes likened to winning a lottery — not because the Federal Court declines to issue warrants, but because of the resources required to prepare and complete the application. The current, laborious warrant application process is preventing some collection activities from moving forward.
In sum, this review was sparked by a compliance failure in a duty of candour matter. It concludes that repeated failures in this area are both caused by, and cause, deep-seated cultural and governance patterns. This vicious cycle has compounded the challenges of reform in the warrant acquisition process.
Cherry-picked or paper-based reforms that mask without addressing the overarching systemic, cultural, and governance challenges will suffer the fate of prior reforms: the problems will continue.
NSIRA intends to launch a follow-up review within two years that will measure progress at CSIS, the Department of Justice and Public Safety Canada in resolving the systemic problem with the warrant process addressed by this review. Moreover, in other regular reviews implicating warrants, NSIRA will document recurrences of systemic problems. In the meantime, since this review originated with a decision of the Federal Court, it is vital that the Minister and CSIS share it in its full form with the designated judges of that court. NSIRA’s full redacted report can be read on its website.4
Response to NSIRA’s recommendations
NSIRA’s recommendations, the management response of CSIS, Public Safety Canada and the Department of Justice, and other details about this review are found in Annex D of this report.
Canada’s national security threat landscape is constantly evolving and changes in technology present CSIS with a variety of new investigative opportunities. Consequently, CSIS must develop and acquire new technical capabilities, as well as adapt (repurpose) existing tools to support its mandated collection activities. This process presents potential compliance risk, as CSIS’s existing governance and legal frameworks may not capture the new deployment or adaptation of these technical capabilities. Furthermore, certain personnel and supporting legal counsel may not fully understand how these tools are used operationally, impacting their ability to advise whether or not CSIS has the legal and policy framework required to support use of the technology. These risks require NSIRA to maintain up-to-date knowledge of CSIS’s technical capabilities and related warrant powers.
NSIRA’s survey of CSIS technical capabilities offers a first step in this endeavour by surveying CSIS’s suite of capabilities, along with its associated governance structure, and identifying areas of interest or concern to which NSIRA may return in future reviews.
Reality of the risks
NSIRA’s review of CSIS’s use of a geolocation tool found that the lack of “developed policies and procedures around the assessment of new and emerging collection technologies” directly contributed to the risk that CSIS had breached section 8 of the Canadian Charter of Rights and Freedoms while testing the tool.
– NSIRA Study 2018-05
The full range of technical capabilities CSIS currently employs in support of its intelligence collection operations was examined. NSIRA reviewed relevant policy and legal frameworks as communicated by CSIS but did not conduct an independent verification or audit of the claims or activities themselves. NSIRA also examined the tripartite information/knowledge sharing and support nexus that exists between CSIS’s operational branches, technological branches and CSIS’s Department of Justice counsel with regard to the deployment of capabilities in support of operations.
In addition to the foundational knowledge NSIRA gained of CSIS’s technical capabilities, NSIRA made several observations identifying areas of interest for possible future reviews. For example, NSIRA noted, and CSIS agreed, that the main policy suite related to the use of technical capabilities is outdated and under revision, though the timeline for completing this task is unclear.
In the interim, the policy suite is buttressed as required by directives from senior leadership and other relevant policies and practices. The lack of up-to-date policies and procedures may result in heightened compliance risks, an issue of interest to future NSIRA reviews.
In addition, CSIS is currently reworking the framework it uses to assess compliance and risk in this area. CSIS indicated that greater efficiencies in addressing stakeholder needs and compliance gaps could be achieved through new initiatives such as the creation of the Operational Technology Review Committee, which was created in May 2021. This committee’s objective is to review all new technologies used to collect intelligence and existing technologies that will be used in a new or different manner. The creation of the Operational Technology Review Committee suggests a positive step toward mitigating the risk of compliance breaches related to the deployment of technologies in support of operations. Most obviously, it presents a forum in which potential risks can be proactively identified and mitigated. The evolving nature of how compliance is monitored in relation to technical capabilities will be of interest to NSIRA moving forward.
Further questions exist regarding how CSIS monitors the operational value of technical capabilities. CSIS needs to strengthen its performance metrics program with regard to its deployment of technologies in support of operations. A performance measurement regime, currently under development, will become an important feature of the governance framework, with attendant compliance implications for possible future NSIRA reviews.
Overall, it will be important for NSIRA to remain up to date with respect to the technical aspects of CSIS intelligence collection operations, particularly given the speed with which technology and associated technical capabilities evolve.
As part of this effort, it may be possible to leverage existing reporting requirements already undertaken by CSIS. For example, Section 3 of the Ministerial Direction to the Canadian Security Intelligence Service: Accountability (September 10, 2019) requires CSIS to inform the Minister of Public Safety of operational activities in which “a novel authority, technique or technology is used.” These notifications could provide NSIRA with ongoing and up-to-date knowledge of CSIS’s capability suite and how/when technologies are deployed operationally. Furthermore, sharing the notifications would bolster CSIS’s efforts toward proactive transparency, which are in line with commitments to provide explanatory briefings to the Federal Court on new technologies used in warranted operations.
NSIRA has recommended that the full, unredacted, version of this technical survey be shared with the designated judges of the Federal Court.
Under the Anti-terrorism Act, 2015, CSIS was granted the authority to undertake threat reduction measures (TRMs). NSIRA is required to review, annually, at least one aspect of CSIS’s performance in the use of its threat reduction powers. NSIRA recognizes that CSIS’s threat reduction powers can be an effective tool to diminish a national security threat; however, these powers also command heightened responsibility, given their nature and ability to profoundly impact, not only the subject of a given TRM, but others potentially captured by its scope.
This year, NSIRA produced its second annual review of CSIS’s TRMs. This review sought to expand on findings from the previous review by examining a larger number of TRMs, wherein CSIS disclosed information to external parties, and in doing so, provided the external party the opportunity to take action, at their discretion and pursuant to their authorities, to reduce identified threats. This review studied the characteristics of these particular TRMs but focused its examination on the extent to which CSIS appropriately identified, documented and considered any plausible adverse impacts that these measures could have on affected individuals.
NSIRA observed that several different kinds of external parties were involved in the TRMs. These external parties had varied levers of control through which they could take action to reduce a threat.
NSIRA found that CSIS’s documentation of the information disclosed to external parties as part of TRMs was inconsistent and, at times, lacked clarity and specificity. NSIRA also found that CSIS did not systematically identify or document the authorities or abilities of external parties to take action, or the plausible adverse impacts of the TRM. NSIRA also found that CSIS did not always document the outcomes of a specific TRM, or the actions taken by external parties to reduce a threat.
Without robust documentation, CSIS is neither capable of assessing the efficacy of its measures nor appreciating the full impact of its actions related to these measures.
NSIRA recommended that when a TRM involves the disclosure of information to external parties, CSIS should clearly identify and document the scope and breadth of information that will be disclosed as part of the proposed measure. NSIRA recommended that CSIS should also fully identify, document and consider the authority and ability of the external party to take specific action to reduce a threat, as well as the plausible adverse impacts of the measure. Beyond recommending that CSIS comply with its record-keeping policies, NSIRA recommended that CSIS amend its TRM policy to include a requirement to systematically document the outcomes of TRMs, including actions taken by external parties. This practice should inform post-action assessments and future decision-making.
In addition, NSIRA found that the current assessment framework employed as part of the TRM approval process is overly narrow and does not sufficiently consider the full impact of CSIS TRMs. NSIRA recommended that CSIS consider plausible adverse impacts resulting not only from CSIS disclosures of information, but also from the actions of external parties as part of TRMs.
The variety of impacts observed in this year’s review, combined with the gaps identified in CSIS’s understanding and assessment of these impacts, highlights the salience of a number of NSIRA’s recommendations made in 2020. NSIRA reiterated its 2020 recommendation that CSIS consider more comprehensively the plausible adverse impacts of these types of measures on the affected individuals, even when they are carried out by the external party and not CSIS. These impacts should be considered not only when assessing the reasonableness and proportionality of a proposed measure, but also when determining whether a warrant is required.
The Canadian Security Intelligence Service Act (CSIS Act) is clear that when a proposed TRM would limit a right or freedom protected in the Canadian Charter of Rights and Freedoms, or would otherwise be contrary to Canadian law, CSIS must seek a judicial warrant. NSIRA fundamentally disagrees with CSIS’s understanding of and approach to the legal analysis of determining whether a warrant is required for proposed TRMs. In 2020, CSIS responded to this recommendation by stating, “the Department of Justice will consider this recommendation and factor it into its work related to TRMs under the CSIS Act.”
Going forward, NSIRA recommended that CSIS seeks a warrant when a proposed TRM could infringe on an individual’s Charter rights, or where it would otherwise be contrary to Canadian law, regardless of whether the activity would be conducted by CSIS directly, or via an external party to whom CSIS discloses information.
NSIRA was able to use its direct access to CSIS information repositories to confirm information that it needed to verify and pursue necessary additional inquiries. For that reason, NSIRA has a high level of confidence in the information used to complete this review. NSIRA would also like to recognize CSIS’s timeliness in responding to NSIRA’s requests for information throughout the course of this review.
Response to NSIRA’s recommendations
NSIRA’s recommendations, the management response of CSIS and other details about this review are found in Annex D of this report.
In accordance with the CSIS Act, CSIS is required to provide information to NSIRA on specific activities. In response, NSIRA has developed a process to examine this information throughout the year and highlight any significant observations as part of NSIRA’s annual reporting obligations to the Minister of Public Safety. This process aims to keep NSIRA informed of key CSIS activities so that it can identify emerging issues and compliance gaps in a timely manner, and plan reviews and annual reporting obligations. Furthermore, this process facilitates additional scrutiny of these activities, as necessary, to assess for compliance, reasonableness and necessity.
In 2021, NSIRA formalized this process and initiated an annual review pursuant to its review mandate (paragraph 8(1)(a) of the NSIRA Act). To enhance transparency, NSIRA requested additional categories of information from CSIS, including approved warrant applications, compliance reports, internal audits and evaluations, and communications between CSIS and the Federal Court and CSIS and the Minister of Public Safety. These additional categories sought to ensure that NSIRA has the benefit of specific policy and governance information beyond that which CSIS is legislatively required to provide.
NSIRA found that CSIS met its legislated reporting requirements; however, these requirements do not always translate into information that can be used for assessments by NSIRA. Notably, CSIS did not provide information on the additional categories of activities requested by NSIRA. Conversations to address these gaps will continue in 2022.
In 2022, NSIRA will continue its review of CSIS activities with the support of the information from CSIS as required under the CSIS Act and the NSIRA Act.
NSIRA requested that CSIS provide for publication statistics and data about public interest and compliance-related aspects of its activities. NSIRA is of the opinion that the following statistics will provide the public with information related to the scope and breadth of CSIS operations, as well as display the evolution of activities from year to year.
Section 21 of the CSIS Act authorizes CSIS to make an application to a judge for a warrant if CSIS believes, on reasonable grounds, that more intrusive powers are required to investigate a particular threat to the security of Canada. Warrants may be used by CSIS, for example, to intercept communications, enter a location, and/or obtain information, records or documents. Each individual warrant application could include multiple individuals or request the use of multiple intrusive powers.
NSIRA is aware that difficulties with the warrant acquisition process within CSIS persist. NSIRA’s Review on Rebuilding Trust: Reforming the CSIS Warrant and Justice Legal Advisory Process found that the current warrant process continues to be overly burdensome, despite attempts at reform. The review found a failure at CSIS to professionalize the warrant application process fully and sustainably. The lack of clear accountability and clear communication combined with excessive complexity have contributed to the problems facing this process. The review made a number of findings and recommendations related to systemic problems with CSIS’s warrant process.
Section 21 warrant applications made by CSIS, 2018 to 2021
2018 | 2019 | 2020 | 2021 | |
Approved warrants Total | 24 | 23 | 15 | 31 |
New warrant | 10 | 9 | 2 | 13 |
Replacements | 11 | 12 | 8 | 14 |
Supplemental | 3 | 2 | 5 | 4 |
Denied total | 0 | 1 | 0 | 0 |
Section 12.1 of the CSIS Act authorizes CSIS to take measures to reduce threats to the security of Canada, within or outside Canada. CSIS is authorized to seek a judicial warrant if it believes that certain intrusive measures (outlined in subsection 21 (1.1) of the CSIS Act) are required to reduce the threat. To date, CSIS has sought no judicial authorizations to undertake warranted TRMs.
NSIRA’s first two reviews of CSIS’s use of threat reduction measures found that CSIS did not sufficiently consider the full impact of the measure as part of the approval process for these activities. More specifically, these impacts were not explicitly considered when determining whether a warrant may be required. As already noted, NSIRA expects that when CSIS is proposing a TRM where an individual’s Charter rights would be limited or the TRM would otherwise be contrary to Canadian law, whether CSIS is undertaking the TRM directly or whether it will be executed by an external party, CSIS will seek a warrant to authorize the TRM.
Threat reduction measures approved, executed by CSIS and warranted, 2015 to 2021
2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | |
Approved TRMs | 10 | 8 | 15 | 23 | 24 | 11 | 23 |
Executed | 10 | 8 | 13 | 17 | 19 | 8 | 17 |
Warranted TRMs | 0 | 0 | 0 | 0 | 0 | 0 | 0 |
CSIS is mandated to investigate threats to the security of Canada, including espionage; foreign-influenced activities; political, religious or ideologically motivated violence; and subversion. Section 12 of the CSIS Act sets out criteria permitting CSIS to investigate an individual, group or entity for matters related to these threats. Sub jects of a CSIS investigation, whether they be individuals or groups, are called “targets.”
CSIS targets, 2018 to 2021
2018 | 2019 | 2020 | 2021 | |
Number of targets | 430 | 467 | 360 | 352 |
Data analytics is a key investigative tool for CSIS, providing it with the capacity to make connections and identify trends that are not possible through traditional methods of investigations. The National Security Act, 2017, which was passed by Parliament in June 2019, gave CSIS a suite of new powers including a legal framework for the collection, retention and use of datasets. The framework authorizes CSIS to collect datasets (sub- divided into Canadian, foreign and publicly available datasets) that have the ability to assist CSIS in the performance of its duties and functions. It also establishes safeguards for the protection of Canadian rights and freedoms, including privacy rights. These protections include enhanced requirements for ministerial accountability. Depending on the type of dataset, CSIS must meet different requirements before it is able to use the dataset.
The CSIS Act also requires CSIS to keep NSIRA apprised of certain dataset-related activities. Reports prepared following the handling of datasets are to be provided to NSIRA, under certain conditions and within reasonable timeframes. While CSIS is not required to advise NSIRA of judicial authorizations or ministerial approvals for the collection of Canadian and foreign datasets, CSIS has been proactively keeping NSIRA apprised of these activities.
While this new framework has provided opportunities to execute CSIS’s mandate to investigate threats, CSIS noted in its 2020 Public Annual Report that the current legislative framework is not without its challenges. NISRA is currently reviewing CSIS’s implementation of its dataset regime. The results of this review will inform Parliament’s review of the National Security Act, 2017.
Datasets evaluated by CSIS, approved or denied by the Federal Court or Intelligence Commissioner, and retained by CSIS, 2019 to 2021
2019 | 2020 | 2021 | |
Publicly available datasets | |||
Evaluated | 8 | 11 | 4 |
Retained | 8 | 11 | 215 |
Canadian datasets | |||
Evaluated | 10 | 0 | 2 |
Retained by CSIS | 0 | 0 | 016 |
Denied by the Federal Court | 0 | 0 | 0 |
Foreign datasets | |||
Evaluated | 8 | 0 | 0 |
Retained by CSIS | 0 | 1 | 117 |
Denied by Minister | 0 | 0 | 0 |
Denied by IntelligenceCommissioner | 0 | 0 | 0 |
The National Security Act, 2017, also created a legal justification framework for CSIS’s intelligence collection operations. The framework establishes a limited justification for CSIS employees, and persons acting at their direction, to carry out activities that would otherwise constitute offences under Canadian law. CSIS’s Justification Framework is modelled on those already in place for Canadian law enforcement. The Justification Framework provides needed clarity to CSIS, and to Canadians, as to what CSIS may lawfully do in the course of its activities. It recognizes that it is in the public interest to ensure that CSIS employees can effectively carry out its intelligence collection duties and functions, including by engaging in otherwise unlawful acts or omissions, in the public interest and in accordance with the rule of law. The types of otherwise unlawful acts and omissions that are authorized by the Justification Framework are determined by the Minister and approved by the Intelligence Commissioner. There remain limitations to what activities can be undertaken, and nothing in the Justification Framework permits the commission of an act or omission that would infringe a right or freedom guaranteed by the Charter.
According to subsection 20.1 (2) of the CSIS Act, employees must be designated by the Minister of Public Safety in order to be covered under the Justification Framework while committing or directing an otherwise unlawful act or omission. Designated employees are CSIS employees who require the Justification Framework as a part of their duties and functions. Designated employees are justified in committing an act or omission themselves (commissions by employees) and they may direct another person to commit an act or omission (directions to commit) as a part of their duties and functions. NSIRA is currently reviewing CSIS’s implementation of the Justification Framework. The results of this review will inform Parliament’s review of the National Security Act, 2017.
Authorizations, commissions and directions under the Justification Framework, 2019 to 2021
2019 | 2020 | 2021 | |
Authorizations | 83 | 147 | 178 |
Commissions by employees | 17 | 39 | 51 |
Directions to commit | 32 | 84 | 116 |
Emergency designations | 0 | 0 | 0 |
CSIS’s internal operational compliance program leads and manages overall compliance within CSIS. The objective of this unit is to promote a “culture of compliance” within CSIS by investing in information technology (IT) to support the process around warrants, designing an approach for reporting and assessing potential non-compliance incidents, embedding experts in operational branches to provide timely advice and guidance, and producing internal policies and procedures for employees. This program is the centre for processing all instances of potential non-compliance related to operational activities.
NSIRA’s knowledge of CSIS operational non-compliance and associated violations of the Charter is limited to what is contained in the CSIS Director’s Annual Report on Operations to the Minister of Public Safety. NSIRA notes with interest that CSIS reports Charter violations as operational non-compliance. NSIRA will continue to monitor closely instances of non- compliance that relate to Canadian law and the Charter, and to work with CSIS to improve transparency around these activities.
Non-compliance incidents processed by CSIS, 2019 to 2021
2019 | 2020 | 2021 | |
Processed compliance incidents19 | 53 | 99 | 85 |
Administrative | 53 | 64 | |
Operational | 4020 | 19 | 21 |
Canadian law | 1 | ||
Canadian Charter of Rights and Freedoms | 6 | ||
Warrant conditions | 6 | ||
CSIS governance | 8 |
In 2022, NSIRA is commencing or conducting five reviews exclusively focused on CSIS, one review focused on CSIS and CSE operational collaboration (See 2022 CSE review plan, below), one focused on threat management by CSIS and the RCMP of ideologically motivated violent extremism, and a number of interagency reviews that contain a CSIS component.
In addition to NSIRA’s three legally mandated reviews of the Security of Canada Information Disclosure Act, the Avoiding Complicity in Mistreatment by Foreign Entities Act and CSIS’s TRMs, NSIRA has initiated or is planning the following CSIS reviews:
Justification Framework |
This review will assess the implementation of CSIS’s new Justification Framework for activities that would otherwise be unlawful, authorized under the National Security Act, 2017. |
Datasets |
This review will examine the implementation of CSIS’s dataset regime following the coming into force of the National Security Act, 2017. |
CSIS Cover Program |
This review would be the first review of CSIS Cover Operations. It will survey the full range of CSIS cover activities and concentrate on building foundational knowledge to allow NSIRA to select specific activities for detailed review in future years. |
Ideologically Motivated Violent Extremism |
This is a joint CSIS-RCMP review of their respective and joint threat management of ideologically motivated violent extremism. The core of the review will be the interplay between CSIS and the RCMP in the context of ideologically motivatedviolent extremism, and an assessment of whether activities complied with the law, applicable ministerial directions, operational policies, and whether activitieswere necessary and reasonable. |
Beyond 2022, NSIRA intends to explore reviews of CSIS on topics including, but not limited to:
Throughout 2021, NSIRA faced differing levels of access and responsiveness in relation to CSIS. COVID-19 related restrictions resulted in considerable delays with receiving requested information and briefings and impeded direct access to NSIRA’s dedicated office space within CSIS Headquarters.
In response to NSIRA’s requests for information, CSIS was transparent in its ability to respond and communicate anticipated delays. When access and staffing levels were no longer restricted, CSIS responses to formal and informal requests related to the Study of Technical Capabilities and the TRM review were timely and complete, and briefings were well administered and provided the requested information.
As mentioned above, throughout 2021, NSIRA did not have consistent access to its dedicated office space within CSIS Headquarters, which is used by NSIRA review, legal and investigation staff. As a result, NSIRA’s direct access to CSIS’s information systems was notably limited. NSIRA was provided various temporary accommodations within CSIS headquarters during this time.
CSIS was able to continue to provide NSIRA members access to its regional offices across Canada throughout 2021, however. This access supported NSIRA members not based in the National Capital Region, whose work often requires secure facilities where they can safely and securely access information relevant to reviews and investigations. NSIRA greatly appreciates the willingness and efforts of CSIS and its regional colleagues in this regard.
NSIRA has the mandate to review any activity conducted by CSE. NSIRA must also submit a classified annual report to the Minister of National Defence on CSE activities, including information related to CSE’s compliance with the law and applicable ministerial directions, and NSIRA’s assessment of the reasonableness and necessity of the exercise of CSE’s powers.
In 2021, NSIRA completed two reviews of CSE, and directed CSE to conduct one departmental study, all of which are summarized below. NSIRA also began five new reviews focused on CSE’s activities that are scheduled for completion in 2022 (see 2022 CSE Review Plan, below). Furthermore, CSE is implicated in other NSIRA multi-departmental reviews, such as the legally mandated annual reviews of the Security of Canada Information Disclosure Act (SCIDA) and the Avoiding Complicity in Mistreatment by Foreign Entities Act (ACA), the results of which are described below (see Multi-departmental Reviews).
Although the pandemic and other priorities precluded NSIRA from advancing its previous commitments to redacting, translating and publishing reviews of the former Office of the CSE Commissioner, NSIRA remains committed to releasing this material, resources permitting.
The Communications Security Establishment Act (CSE Act) provides CSE with the authority to conduct active cyber operations (ACOs) and defensive cyber operations (DCOs). As defined by the CSE Act, an ACO is designed to “degrade, disrupt, influence, respond to or interfere with the capabilities, intentions or activities of a foreign individual, state, organization or terrorist group as they relate to international affairs, defence or security.” A DCO helps protect Canadian federal government systems, or systems deemed by the Minister of National Defence to be important to Canada against foreign cyber threats. ACOs and DCOs are authorized by ministerial authorizations and, due to the potential impact on Canadian foreign policy, require the Minister of Foreign Affairs to consent to an ACO ministerial authorization or be consulted on a DCO ministerial authorization.
In this review, NSIRA assessed the governance framework that guides the conduct of ACOs and DCOs, and whether CSE appropriately considered its legal obligations and the foreign policy impacts of operations. NSIRA analyzed policies and procedures, governance and operational documentation, and correspondence within and between CSE and GAC. The review scope included the earliest available materials pertaining to ACOs and DCOs and ended concurrently with the validity period of the first ACO and DCO ministerial authorizations (2019–2020).
NSIRA incorporated GAC into this review, given the role of the Minister of Foreign Affairs in the ACO and DCO governance structure. As a result, NSIRA gained an understanding of the governance and accountability structures in place for these activities by obtaining unique perspectives from the two departments on their respective roles and responsibilities.
The novelty of these powers required CSE to develop new mechanisms and processes while also considering new legal authorities and boundaries. NSIRA found that both CSE and GAC made considerable efforts in building the ACO and DCO governance structure. In this context, NSIRA has found that some aspects of the governance of ACOs and DCOs could be improved by making them more transparent and clearer.
Specifically, NSIRA found that CSE could improve the level of detail provided to all parties involved in the decision-making and governance of ACOs and DCOs, within documents such as the ministerial authorizations authorizing these activities and the operational plans that are in place to govern their execution. Additionally, NSIRA also identified several gaps that CSE and GAC need to address, and recommended improvements relating to:
The gaps observed by NSIRA, if left unaddressed, could carry risks. For instance, the broad and generalized nature of the classes of activities, techniques and targets comprising ACOs and DCOs could capture unintended higher-risk activities and targets. Additionally, given the difference in the required engagement of GAC in ACOs and DCOs, misclassifying what is truly an ACO as a pre-emptive DCO could result in a heightened risk to Canada’s international relations through the insufficient engagement of GAC.
While this review focused on the governance structures at play in relation to ACOs and DCOs, of even greater importance is how these structures are implemented and followed in practice. NSIRA made several observations about the information contained within the governance documents developed to date and will subsequently assess how they are put into practice as part of NSIRA’s forthcoming review focused on the operations themselves.
Response to NSIRA’s recommendations
NSIRA’s recommendations and other details about this review are found in Annex D of this report.
This review examined CSE’s legal authority for sharing information obtained in the course of one aspect of its mandate for the purposes of fulfilling another aspect of its mandate. Specifically, the review focused on internal information sharing within CSE between the foreign intelligence aspect and the cybersecurity and information assurance (cybersecurity) aspect of CSE’s mandate.
NSIRA examined whether CSE’s internal sharing of information relating to a Canadian or a person in Canada (IRTC) is consistent with the Privacy Act, which limits how collected personal information can be used by a federal institution, and the CSE Act, which applies to CSE’s incidental collection and use of IRTC. NSIRA concluded that from the descriptions of the aspects in sections 16 and 17 of the CSE Act, sometimes information acquired under one aspect can be used for the same, or a consistent purpose, as another. This would satisfy Privacy Act requirements for sharing information internally. However, this principle cannot simply be assumed to apply as the purposes of the aspects differ within the CSE Act. CSE must conduct case-by-case compliance analysis that considers the purpose of the collection and sharing.
NSIRA considers it necessary for the Chief of CSE’s application for a ministerial authorization to fully inform the Minister of National Defence of how IRTC might be used and analyzed by CSE, including the sharing of IRTC to another aspect, and for what purpose. With one exception, the Chief’s applications for the period of review appropriately informed the Minister that retained IRTC might be used to support a different aspect. Moreover, the foreign intelligence applications appropriately informed the Minister how CSE assessed “essentiality” for IRTC collected under the foreign intelligence aspect.
Under CSE policy, an assessment of IRTC’s relevance, essentiality or necessity to each aspect is required for sharing information across the aspects. CSE policy offers definitions and criteria for assessing and applying these thresholds to the information. NSIRA found that CSE’s policy framework with regards to the internal sharing of information between the foreign intelligence and cybersecurity aspects of the mandate is compliant with the CSE Act.
Response to NSIRA’s recommendations
NSIRA’s recommendations, CSE’s management response and other details about this review are found in Annex D of this report.
Following a 2020 review of CSE’s disclosures of Canadian identifying information (CII),21 NSIRA concluded that CSE’s implementation of its disclosure regime under the National Defence Act may not have been in compliance with the Privacy Act. On November 25, 2020, following the release of the review, NSIRA submitted a compliance report to the Minister of National Defence. NSIRA was of the opinion that CSE, as the custodian of incidentally collected CII, has the responsibility to assure itself and to document that both a collection and disclosure authority exist before sharing it with third-party recipients. NSIRA then directed CSE to conduct a departmental study of its disclosure of CII from August 1, 2019, to March 1, 2021.
The purpose of the departmental study was to ensure that disclosures of CII conducted by CSE were conducted in a manner that complies with the CSE Act, and that all disclosures of CII were essential to international affairs, defence, security or cybersecurity.
CSE provided the completed departmental study to the Minister of National Defence on October 8, 2021, with a copy to NSIRA, on November 1, 2021. NSIRA is satisfied that CSE provided a complete accounting of its disclosure regime for the requested period of review and provided a report that meets the objectives detailed in NSIRA’s terms of reference. In doing so, CSE defined its process for assessing and disclosing CII requests to Government of Canada and foreign clients under the CSE Act while also providing an update on relevant changes that have been made to its disclosure regime based on NSIRA’s recommendations from the last CII review.
The production of the departmental study also provided an opportunity for CSE to review the CII disclosure regime from CSE’s own perspective. This process provides NSIRA with a clearer understanding of how CSE manages its program and evaluates its relevant legal authorities. In addition to contributing to NSIRA’s current understanding of CSE’s disclosure regime, the study will also assist in identifying avenues of inquiry for the planned follow-up review of CII scheduled for 2023.
To achieve greater public accountability, NSIRA recommends that CSE publish statistics and data about public interest and compliance-related aspects of its activities. NSIRA is of the opinion that the following statistics will provide the public with information related to the scope and breadth of CSE operations, as well as display the evolution of activities from year to year.
Ministerial authorizations and ministerial orders
Ministerial authorizations are issued by the Minister of National Defence and authorize specific activities conducted by CSE pursuant to one of the aspects of the CSE mandate. The following table lists the ministerial authorizations issued between 2019 and 2021.
CSE ministerial authorizations, 2021
Type of ministerial authorization | Enabling section of the CSE Act | Number issued in 2019 | Number issued in 2020 | Number issued in 2021 |
Foreign intelligence | 26(1) | 3 | 3 | 3 |
Cybersecurity — federal and non- federal | 27(1) and27(2) | 2 | 1 | 2 |
Defensive cyber operations | 29(1) | 1 | 1 | 1 |
Active cyber operations | 30(1) | 1 | 1 | 2 |
Note: This table refers to ministerial authorizations that were issued in the given calendar years and may not necessarily reflect ministerial authorizations that were in effect at a given time. For example, if a ministerial authorization was issued in late 2020 and remained in effect in parts of 2021, it is counted above solely as a 2020 ministerial authorization.
Ministerial orders are issued by the Minister of National Defence and designate people or organizations with whom CSE can work and share information. For instance, a ministerial order designating non-federal information infrastructures as being of importance to the Government of Canada is required for CSE to carry out certain aspects of its cybersecurity and defensive cyber operations mandate. A ministerial order is also required to designate recipients of CII. The following table lists the three ministerial orders in effect in 2021.
CSE ministerial orders, 2021
Nameof ministerial order | In effect in 2021 | Enabling section of the CSE Act |
Designating electronic information and information infrastructures of importance to the Government of Canada | 1 | 21(1) |
Designating recipients of information relating to a Canadian or person in Canada acquired, used or analyzedunder the cybersecurity and information assurance aspects of the CSE mandate | 1 | 44(1) and45 |
Designating recipients of Canadian identifying information used, analyzed or retained under a foreign intelligence authorization pursuant to section45 of the CSE Act | 1 | 43 and 45 |
Pursuant to section 16 of the CSE Act, CSE is mandated to acquire information from or through the global information infrastructure, and to use, analyze and disseminate the information for the purpose of providing foreign intelligence in accordance with the Government of Canada’s intelligence priorities.
According to CSE, it released 3,050 foreign intelligence end-product reports to 1,627 clients across 28 departments or agencies of the Government of Canada in 2021.
As discussed in NSIRA’s Review of Information Sharing Across Aspects of CSE’s Mandate, IRTC includes information about Canadians or persons in Canada that may be incidentally collected by CSE while conducting foreign intelligence or cybersecurity activities under the authority of a ministerial authorization. According to CSE policy, IRTC is any information recognized as having reference to a Canadian or person in Canada, regardless of whether that information could be used to identify that Canadian or person in Canada.
CSE was asked to release statistics or data about the regularity with which IRTC or “Canadian-collected information” is included in CSE’s end-product reporting. CSE responded that “as this type of information has not previously been disclosed publicly, CSE is carrying out an injury assessment to determine if information can be provided for publication.” CSE subsequently advised that “The impact assessment for disclosure of information requested … is a longer-term endeavour that is unlikely to be resolved in time for the 2021 NSIRA public annual report. Please consider [CSE’s response] as ‘no releasable information’ for the purpose of this year’s report.”
CSE is prohibited from directing its activities at Canadians or persons in Canada. However, given the nature of the global information infrastructure and CSE’s collection methodologies, such information may be incidentally acquired by CSE. When used in CSE foreign intelligence reporting, incidentally collected information potentially identifying a Canadian or a person in Canada is suppressed in order to protect the privacy of the individual(s) in question. CSE may release unsuppressed CII to designated recipients when the recipients have the legal authority and operational justification to receive it and when it is essential to international affairs, defence or security (including cybersecurity).
The following table shows the number of requests CSE received for disclosure of CII in 2021.
Number of requests for disclosure of Canadian identifying information, 2021.
Type of request | Number |
Government of Canada requests | 741 |
Five Eyes27 requests | 90 |
Non-Five Eyes requests | 0 |
Total | 831 |
CSE was also asked to release the number of instances where CII is suppressed in CSE foreign intelligence or cybersecurity reporting. CSE indicated that “as this type of information has not previously been disclosed publicly, CSE is carrying out an injury assessment to determine if information can be provided for publication.” CSE subsequently advised that “The impact assessment for disclosure of information requested … is a longer-term endeavour that is unlikely to be resolved in time for the 2021 NSIRA public annual report. Please consider [CSE’s response] as ‘no releasable information’ for the purpose of this year’s report.”
A privacy incident occurs when the privacy of a Canadian or a person in Canada is put at risk in a manner that runs counter to, or is not provided for, in CSE’s policies. CSE tracks such incidents via its Privacy Incidents File, Second-party Privacy Incidents File and Minor Procedural Errors File.
The following table show the number of privacy incidents and procedural errors CSE tracked in 2021.
CSE privacy incidents and procedural errors, 2021
Type of incident | Number |
Privacy incidents | 96 |
Second-party privacy incidents | 33 |
Minor procedural errors | 18 |
Pursuant to section 17 of the CSE Act, CSE is mandated to provide advice, guidance and services to help protect electronic information and information infrastructures of federal institutions, as well as non-federal entities which are designated by the Minister as being of importance to the Government of Canada.
CSE was asked to release statistics or data characterizing CSE’s activities related to the cybersecurity and information assurance aspect of its mandate. CSE responded that:
Pursuant to section 18 of the CSE Act, CSE is mandated to conduct DCOs to help protect electronic information and information infrastructures of federal institutions, as well as non- federal entities that are designated by the Minister of Defence as being of importance to the Government of Canada from hostile cyber attacks.
Pursuant to section 19 of the CSE Act, CSE is mandated to conduct ACOs against foreign individuals, states, organizations or terrorist groups as they relate to international affairs, defence or security.
CSE was asked to release the number of DCOs and ACOs approved during 2021. CSE responded that it is “not in a position to provide this information for publication by NSIRA, as doing so would be injurious to Canada’s international relations, national defence and national security.”
As part of the assistance aspect of CSE’s mandate, CSE receives Requests for Assistance from Canadian law enforcement and security agencies, as well as from the DND/CAF.
The following table shows the number of requests for assistance CSE received and acted on in 2020 and 2021.
CSE requests for assistance received and acted on, 2020 and 2021
Requests for assistance | 2020 | 2021 |
Number received | 24 | 35 |
Number acted on | 23 | 32 |
In addition to NSIRA’s two legally mandated reviews of the Security of Canada Information Disclosure Act and the Avoiding Complicity in Mistreatment by Foreign Entities Act, both of which implicate CSE, NSIRA has initiated or is planning the following five reviews of CSE:
Review of CSE’s Internal Security Program (Safeguarding) |
This review will examine how CSE safeguards its employees, information and assets. It will explore the ways in which CSE mitigates internal security risks through inquiries and investigations, and in particular, the use of the polygraph as a tool in the security screening process. This review will alsoassess CSE’s compliance with Treasury Board security policies and directives, as well as the adequacy of, adherence to and effectiveness of CSE’s internal processes used to address potential or actual security incidents, violations and breaches of security. |
Review of Cybersecurity — Network-Based Solutions |
This will be NSIRA’s first review focused on the cybersecurity and information assurance aspect of CSE’s mandate. It will explore the use of a specific tool: Network Based Solutions as outlined within the cybersecurity ministerial authorization. |
Review of Active and Defensive Cyber Operations — Part 2 (Operations) |
This review is the continuation of NSIRA’s examination of CSE’s active and defensive cyber operations conducted prior to July 30, 2021. The first review focused on the internal policies and procedures governing CSE’s use of active and defensive cyber operations. This review builds on NSIRA’s previous work and will focus on the implementation of these governance structures in actual operations. |
Review of a Program under the Foreign Intelligence Mandate |
This is a review of a classified program under the foreign intelligence aspect of CSE’s mandate. Thisprogram is authorized by a ministerial authorization, which also sets out its parameters. |
Review of CSE-CSIS Operational Collaboration |
This review will examine operational collaboration between CSE and CSIS, both under the assistance aspect of CSE’s mandate, but also as it relates to joint operational activities coordinated between them under each agency’s respective mandates. |
Beyond 2022, NSIRA intends to review topics including, but not limited to:
In its 2020 Public Annual Report, NSIRA noted that it was seeking to formalize CSE’s provision of specific categories of information on a regular basis, such as ministerial authorizations, orders and directives, which would be used to ensure compliance of activities and to inform the conclusions NSIRA provides in the annual classified report to the Minister of National Defence. NSIRA will commence this review, called the annual compliance review of CSE, in 2022. NSIRA is pleased to report that CSE has already begun the process of providing the requested information.
NSIRA also previously reported that a lack of comprehensive and independently verifiable access to CSE’s information repositories posed a significant challenge to NSIRA’s ability to review CSE’s activities. In 2021, this challenge persisted.
In 2021, NSIRA sought to develop direct access to CSE information repositories, further to NSIRA’s “trust but verify” review model. With the exception of dedicated office space, which NSIRA continues to utilize at CSE’s Headquarters, NSIRA and CSE have been unable to achieve a workable trust-but-verify model for any reviews of CSE to date, despite several proposals for test cases brought forward by NSIRA throughout the year. NSIRA remains committed to developing a greater degree of verifiable access to CSE information so as to ensure the robustness of its findings and recommendations and, in turn, provide greater transparency of CSE activities to Parliament and the Canadian public.
In lieu of direct access to CSE information repositories, NSIRA has to rely on CSE External Review staff to collect relevant information held by CSE on its behalf. CSE External Review organizes briefings by subject matter experts, solicits responses to specific questions, and coordinates searches by CSE staff through information repositories for documents and other materials relevant to reviews. NSIRA recognizes the work of CSE External Review staff and thanks them for their contribution to the work of review.
However, reliance on CSE to locate, collate and curate information for NSIRA is not a proper long-term alternative to direct access. Currently, and on receipt of a request for information, CSE conducts a lengthy process to locate and collect information, followed by an internal review of this information to determine relevance prior to releasing materials to NSIRA. CSE’s predetermination of relevance of information undercuts NSIRA’s authority to decide whether information relates to its reviews and contributes to significant delays in the provision of information to NSIRA. Furthermore, this process creates a burden on CSE staff to coordinate responses to NSIRA’s information requirements. This workload could be substantially reduced by allowing NSIRA to conduct its own searches in CSE’s information repositories. Concurrently, it would serve as an element of verification that could strengthen NSIRA’s confidence in the completeness of information reviewed.
Beyond the issues related to limitations on NSIRA’s ability to trust but verify are ongoing concerns related to CSE’s responsiveness. As mentioned above, significant delays in the provision of information continued to pose a disruptive challenge to all NSIRA reviews of CSE activities in 2021. Although the COVID-19 pandemic interrupted life everywhere, it alone could not account for the extent of delays experienced during 2021. The timely provision of information required for a review not only facilitates the work of NSIRA, but is a legal requirement to which NSIRA expects CSE to adhere.
The sole exception to NSIRA’s right of access to information under the control of CSE is a confidence of the Queen’s Privy Council for Canada, otherwise known as a Cabinet confidence. Information subject to the Privacy Act, or any other act of Parliament, for that matter, as well as highly classified or Exceptionally Controlled Information (ECI) must be made available to NSIRA in a timely manner, when it relates to a review. This was not always the case in 2021.
In light of the ongoing challenges to NSIRA reviews of CSE activities, NSIRA continues to be of the opinion that the only mechanism to ensure a high degree of confidence, reliability and independence in its work is to have direct access to information relevant to its reviews. One important way by which CSE can continue to increase the level of transparency for its activities is to facilitate greater direct access for external review. For NSIRA to be able to conduct its work with a high degree of confidence, it must be able to verify the accuracy and completeness of the information on which it bases its findings and recommendations. NSIRA will continue to work with CSE to identify ways it can begin to implement additional elements of NSIRA’s trust but verify methodology in a more comprehensive and meaningful manner.
Beyond CSIS and CSE, NSIRA initiated reviews of the following departments and agencies in 2021:
As well, through the annual reviews of the Security of Canada Information Disclosure Act and the Avoiding Complicity in Mistreatment by Foreign Entities Act, NSIRA has engaged with all departments and agencies that make up the Canadian national security and intelligence community.
The following sections outline reviews completed or initiated in 2021, by department or agency, as well as some planned future reviews.
The purpose of this study was threefold. The primary objective focused on understanding the concept of the Defence Intelligence Enterprise (DIE), the umbrella under which DND/CAF conducts its intelligence activities. The second objective focused on developing an understanding of the compliance and oversight functions within the DIE, as well as the reporting of instances of non-compliance. Finally, the information gathered through the two primary objectives of this review provided NSIRA with prerequisite knowledge to help design future reviews.
Although comprising only a small percentage of the work of DND/CAF, the intelligence function is growing both in how DND/CAF perceives its importance, as well as in resource allocation. All of DND/CAF’s intelligence activities and structures fall within the DIE and without an understanding of this enterprise, NSIRA’s review plan would lack focus and organization. The DIE represents a large and complex structure with widely varied activities and functions. Successive reviews will build on NSIRA’s knowledge and experience, as well as developing the required expertise to proactively identify areas of future review. In addition, having a more complete understanding of the DIE will help NSIRA better situate DND/CAF in the broader security and intelligence community, so it can identify more opportunities for horizontal review activities.
This study also helped to highlight and identify some of the challenges NSIRA may face in reviewing DND/CAF moving forward. Notably, DND/CAF represents a large and complex structure with widely varied activities and functions. Reporting structures are complex. For example, DND senior management structures report directly to the Deputy Minister, CAF Commands report directly to the Chief of the Defence Staff, and some accountability structures require reporting to both. NSIRA also observed that information collection and storage procedures vary across the organization and that it has over 180 independent electronic repositories. The combination of these elements emphasizes the importance of maintaining strong working relationships with DND/CAF to help navigate access to timely information and assets. NSIRA is working closely with DND/CAF on how to overcome these challenges, including the possibility of providing detailed search strings and follow-up briefings to attest to the reliability, completeness and specificity of the provided documentation.
This review was a follow up to last year’s review of the Canadian Forces National Counter- Intelligence Unit (CFNCIU). This year’s review focused on how IT searches were used to support counter-intelligence investigations. NSIRA assessed whether IT searches and the collection of information in support of counter-intelligence investigations interfered with individuals’ reasonable expectation of privacy in the circumstances.
Over the course of the review, NSIRA identified three areas of concern tied to the requests for, and conduct of, counter-intelligence internal IT network searches. These are arranged under the following categories: (1) CFNCIU’s search of a subject’s email, internet and removable device activity; (2) the CFNCIU checklist used to identify and restrict search parameters, and how applicable stakeholders define search parameters; and (3) the use acquired information to expand supplementary searches.
NSIRA believes that DND employees and CAF members have a reasonable expectation of privacy when using work computers for personal use. CFNCIU requires the assistance of police or security agencies to obtain search warrants or technical intercept services, under Level II and Level III investigations. NSIRA found that CFNCIU may be inappropriately relying on DND/CAF policies as lawful authority to interfere with a subject’s reasonable expectation of privacy.
NSIRA observed that information obtained by CFNCIU via the checklist has the potential to capture intimate and personal information that touches on a subject’s biographical core. NSIRA found that the checklist risks capturing information that is protected by section 8 of the Charter. NSIRA also found that DND/CAF is applying a definition of metadata that captures information that could be subject to a reasonable expectation of privacy.
NSIRA observed that CFNCIU IT inquiries used broad search parameters, which may include information not relevant to the investigation. These parameters were applied as broad approvals with no specific internal controls or oversight at both the operational and working levels. Collection techniques, due in part to the limitations of IT audit tools and broad search parameters, resulted in a wide net being cast. NSIRA found that the investigative IT system practices observed in the context of CFNCIU’s counter-intelligence investigations have insufficient legal oversight to ensure that they are as minimally invasive as possible.
As a result of these findings, NSIRA recommended that DND/CAF suspend investigative IT system practices in the context of CFNCIU counter-intelligence investigations until a reasonable legal authority has been established. Once a reasonable legal authority has been established, DND/CAF should create a new policy framework that is reflective of the noted findings.
Response to NSIRA’s recommendations
NSIRA’s recommendations, DND/CAF’s management response and other details about this review are found in Annex D of this report.
NSIRA has several reviews planned for DND/CAF and will conduct further work on two in 2022. The first one in progress is NSIRA’s review of DND/CAF’s human intelligence (HUMINT) program. This review will examine the entirety of the human source handling program used by DND/CAF.
Second, NSIRA is currently examining the domestic open-source collection activities of DND/CAF. More specifically, this review will take a closer look at legal authorities and the policy framework, program support and training, information and technology management systems, collection activities, intelligence production and dissemination, and oversight and accountability mechanisms.
DND/CAF is the largest federal government department, both in terms of personnel (127,000 including regular and reserve forces) and number of physical locations occupied (42 in the National Capital Region alone). Given its domestic and international breadth, information collection and storage varies across the organization, with 180+ independent electronic repositories. NSIRA primarily accesses information through DND/CAF’s liaison body, the National Security and Intelligence Review and Oversight Coordination Secretariat (NSIROCS).
To help ensure that NSIRA receives timely and complete access to requested information, DND/CAF has formalized processes for responding to requests for information that includes a Level 1 (assistant deputy minister or equivalent) approval and attestation. Therefore, when NSIROCS receives a request for information, it coordinates with internal stakeholders to provide the requested information and submit it for Level 1 approval, after which the assistant deputy minister (or equivalent) provides a managerial attestation verifying the completeness and accuracy of the information provided.
NSIRA has also established direct access to specific DND/CAF IT systems for an ongoing review, and is working on a “proxy access” model for future reviews. Ultimately, the nature and scope of the review will dictate the access and verification model to be applied. NSIRA remains committed to working with NSIROCS to ensure that access and verification processes meet review requirements.
NSIRA is currently working on three reviews focused exclusively on the RCMP. One of these reviews assesses the RCMP’s use of human sources in national security criminal investigations. Another review examines how the RCMP bypasses encryption when it intercepts private communications in national security criminal investigations. Lastly, NSIRA’S review of the Operational Research Unit of the RCMP will be examining the unit’s access to and use of security intelligence. The RCMP is also implicated in one multi- departmental review that is discussed below.
NSIRA began reviewing the RCMP in 2020 and does not yet have direct access to the RCMP’s IT systems. The decentralized nature of the RCMP’s information holdings, COVID-19- related restrictions, and limitations resulting from other emergencies have resulted in delays in the RCMP providing NSIRA with requested information. NSIRA is committed to working with the RCMP’s National Security External Reviews and Compliance (NSERC) team to establish approaches for the timely provision of information.
In lieu of direct access to RCMP IT systems, NSIRA currently relies on the RCMP’s NSERC team to collect relevant information. NSIRA thanks the NSERC team for its contribution to the work of review but looks forward to working toward direct access to RCMP IT systems or alternate independent verification processes that provides NSIRA with independent confidence in the reliability and completeness of the information it has access to.
In 2021, NSIRA completed its review of the Government of Canada’s use of biometrics in the border continuum that, while also examining IRCC and Transport Canada, had a strong CBSA component. The summary of this review can be found in the multi-departmental review section below.
NSIRA also made considerable progress on two CBSA -focused reviews. The first review is of air passenger targeting and examines the CBSA’s use of predictive analysis to identify inbound air travellers for further scrutiny in relation to national security threats. The second review assesses the CBSA’s use of confidential human sources, building on prior work in this area by National Security and Intelligence Committee of Parliamentarians.
NSIRA is currently working on its first review of the Financial Transactions and Reports Analysis Centre of Canada (FINTRAC). NSIRA will examine FINTRAC’s existing regime for sharing information with its domestic and international partners by looking at queries and disclosures to foreign financial intelligence units.
Biometrics play a fundamental role in the border continuum, which includes the screening of foreign nationals seeking admission to Canada and the identification of passengers travelling internationally by air. In the course of this review, NSIRA examined activities conducted by the CBSA, IRCC and Transport Canada. The review also extended to the RCMP, which plays a supporting role in one of the major IRCC-led programs using biometrics.
Biometrics are sensitive personal information. The identification of persons by virtue of their biological characteristics raises privacy and human rights concerns. There is public apprehension about the government’s use of biometric analysis, as reflected in discussions regarding the use of facial recognition technology and, relatedly, its possible disparate impact on marginalized groups. At the same time, identifying individuals entering the country — and consequently determining whether they have a right to enter, or what risks they might pose — serves a national security function. In this way, the use of biometrics requires an assessment of the balance between security and privacy.
The immediate objective of this review was to map the nature and scope of biometric activities occurring in this space. This included examining the collection, retention, use and disclosure of biometric information, as well as the legal authorities under which these activities occur. This review also considered the reasonableness and necessity of these activities, studying the accuracy and reliability of biometrics.
This review identified a set of observations linked to nine overarching themes:
Public debate about the government’s application of biometric technology will continue to evolve, driving change in the legal and regulatory frameworks associated with such activities. As such, continued scrutiny from NSIRA is warranted, particularly in those instances where the collection and use of biometric information is justified by explicit reference to national security outcomes.
In November 2021, NSIRA and the Office of the Privacy Commissioner of Canada (OPC) completed a joint review of the 215 disclosures made under the Security of Canada Information Disclosure Act (SCIDA) in 2020 — NSIRA’s first joint review with another review body.
SCIDA encourages and facilitates the sharing, or disclosure, of information within the federal government to protect against activities that undermine or threaten national security, subject to certain conditions. SCIDA permits disclosures of information where the disclosing federal institution satisfies itself that the information will contribute to the exercise of the recipient federal institution’s jurisdiction or responsibilities in respect of activities that undermine the security of Canada, and will not affect any person’s privacy interest more than is reasonably necessary. This is called the disclosure test.
The review found that 212 of the 215 disclosures (approximately 99%) appeared to meet both parts of the disclosure test. In the remaining three disclosures, the information appeared speculative, with no clear connection to activities that undermine the security of Canada. All three of the disclosures of concern were proactive disclosures by the RCMP. Of particular interest was the RCMP’s disclosure of the identities and biometric information about approximately 2,900 individuals to the CAF. NSI RA and the OPC recommended that the RCMP update its policies and practices to support compliance with the disclosure test, that the institution that received the disclosure of concern from the RCMP delete or return the information unless they can demonstrate a valid reason not to,and that any institution disclosing personal information about a large number of individuals (bulk disclosure) exercise heightened due diligence.
The records reviewed also highlighted one case of a verbal disclosure made to CSIS months prior to a formal SCIDA disclosure and without an apparent source of legal authority. NSIRA and the OPC recommended that institutions with national security expertise ensure that when they request personal information for national security purposes from other federal institutions, they make it clear that their request, in and of itself, does not constitute or confer authority on the other institution to disclose personal information.
Based on CSE’s and IRCC’s information-sharing patterns under SCIDA, NSIRA and the OPC recommended that these two institutions enter into an information-sharing arrangement, and that GAC and CSIS update their information-sharing arrangement to incorporate SCIDA’s guiding principles.
Finally, the review examined the federal government’s SCIDA policies. The review found that Public Safety Canada developed a SCIDA guide for federal institutions, led an interdepartmental working group, and provided training that included all 17 of the federal institutions listed in SCIDA. The review also found that 16 of the 17 federal institutions listed in SCIDA — the exception being the Canadian Food Inspection Agency — have policies to support compliance with SCIDA. NSIRA and the OPC recommended that the Canadian Food Inspection Agency develop a similar framework to implement a SCIDA policy.
Response to NSIRA’s recommendations
NSIRA’s recommendations, the management response of reviewees and other details about this review are found in Annex D of this report.
The Avoiding Complicity in Mistreatment by Foreign Entities Act (ACA) and directions issued according to the ACA seek to prevent the mistreatment of any individual as a result of information exchanged between a department of the Government of Canada and a foreign entity. At the heart of the directions is the consideration of substantial risk, and whether that risk, if present, can be mitigated. To do this, the ACA and the directions lay out a series of requirements that need to be met or implemented when handling information.
This review covered the implementation of the directions sent to 12 departments and agencies from January 1, 2020, to the end of the calendar year, December 31, 2020. It was conducted under subsection 8(2.2) of the NSIRA Act, which requires NSIRA to review, each calendar year, the implementation of all directions issued under the ACA.
This was the first ACA review to cover a full calendar year. Many of the reviewed departments noted that the COVID-19 pandemic impacted their information-sharing activities, such as the number of cases requiring further review as per the ACA. As such, NSIRA found that from January 1, 2020, to December 31, 2020, no cases under the ACA were issued to deputy heads in any department.
While NSIRA was pleased with the considerable efforts made by many departments new to the ACA in building their frameworks, the CBSA and Public Safety Canada had not finalized their policy frameworks in support of the directions received under the ACA within the review period.
Mitigation measures used by departments were also reviewed this time, since they are an integral part in the information-sharing process for departments.
NSIRA believes that it is now in a position to conduct in-depth case study assessments of individual departments’ adherence to the ACA and directions, irrespective of whether a department reported any cases to its deputy head. Finally, future reviews will follow up on the ongoing implementation of NSIRA’s past recommendations.
In the future, NSIRA intends to continue to take advantage of its mandate to “review any activity carried out by a department that relates to national security or intelligence” by pursuing more multi-departmental reviews and avoiding examinations in siloes. In addition to the mandated annual SCIDA and ACA reviews, NSIRA plans to work on two more reviews involving multiple departments. The first one is a review of how CSIS and the RCMP manage threats posed by ideologically motivated violent extremism. The second review will study the relationship between CSE and CSIS on operational activities.
Traditionally associated with the systems and software responsible for the administrative support of an organization, IT plays an increasingly large role in the operational activities of Canada’s national security and intelligence community. By taking advantage of rapid advances in cutting-edge technologies, Canada’s security and intelligence community is operationalizing advancements in technology to a degree greater than ever before. Modern national security and intelligence agencies must not only use new technologies to enhance their respective mandates, but they also do so to keep abreast of new opportunities, as well as new threats.
These advancements happen quickly, are complex and are often unique to each institution. Furthermore, emerging technologies, while ostensibly developed for one purpose, often have unforeseen implications on civil liberties and privacy, especially when used in an intelligence or security capacity. It is essential for an accountability body like NSIRA to keep pace with the use of developing technologies in Canada’s national security and intelligence community to ensure that the organizations it is responsible to review are discharging their mandates lawfully, reasonably and appropriately.
The vision for NSIRA’s Technology Directorate is to enhance the review landscape to incorporate an appropriate focus on the use and implementation of technology by security and intelligence agencies in Canada. By extending its reach into the practical applications of technology, and by entrusting this new focus to an in-house team of engineers, computer scientists and experienced review professionals, NSIRA will be well placed to ensure that the departments and agencies are held accountable for the decisions they make in leveraging the various aspects of emerging technology.
The development of this capacity at NSIRA will also provide a unique opportunity to build a review model that will put us on equal footing within the Five Eyes and the international review community. Without dedicated in-house technology expertise, NSIRA’s work will not stay current with contemporary national security legal and compliance risks or issues.
To that effect, NSIRA’s Technology Directorate will:
In 2022, NSIRA will continue to increase the number of employees working in the Technology Directorate as it takes an increasingly active and significant role. It will also lead the first technology-focused reviews of the lifecycle of CSIS information collected by technical capabilities pursuant to a Federal Court warrant. NSIRA is also scheduled to review CSE’s SIGINT retention practices in 2023.
In terms of important considerations for ongoing reviews, NSIRA Technology Directorate has identified the following three technology-related topics as priorities for consideration:
As Canada’s security and intelligence community continues to grow its technical collection and analytic capacity, NSIRA must develop its own expertise in technical review in tandem. Over the next year, NSIRA intends to establish domestic and international partnerships and develop working relationships with academics, civil society and commercial leaders to ensure key technological issues factor into its approaches. NSIRA’s Technology Directorate will also support the NSIRA complaint investigations team to understand where and when technology advancements could be applied to NSIRA investigations.
To ensure greater accountability and predictability, NSIRA will be using the following guidelines to assess the timeliness of reviewee responses to requests for information (RFIs) during the review process, and will comment both privately and publicly on the outcomes. Notably, NSIRA’s annual report will track timeliness each year. These guidelines provide clear, standardized expectations on this important aspect of the review process.
Standard request for information (RFI) timelines
Much of the information requested by NSIRA falls into two categories: “off-the-shelf,” readily available material, and material requiring additional work to compile. Off-the-shelf material may include items such as policy documents, ministerial directives, operational policies, legal opinions and standard operating procedures. Information that requires additional work to compile may include things such as material that requires data manipulation or explanations and material in certain specialized databases and emails. RFIs will clearly state which type of material they pertain to, and standard timelines of 15 or 30 days, respectively, will be provided for responses.
Non-standard RFI timelines
NSIRA may deem it necessary to provide longer response times for information requests, for example, when the review covers new subject matter, the request is expected to return a large amount of information or documentation, or the reviewee has other ongoing reviews or other operational considerations. Non-standard timelines are at NSIRA’s discretion and will be applied based on the judgment of the review team.
NSIRA recognizes that extraordinary factors and extenuating circumstances may affect responses to requests for information and documentation. To accommodate this, reviewees may present, with significant justification, an alternative RFI timeline to the one originally provided. This should be done on receipt and review of the request, if possible. The decision to grant an extension is made by the NSIRA review team, and other arrangements, such as providing the requested information in tranches, can be considered. Regardless, RFI’s will always have an associated response timeline attached to them. This timeline will determine whether subsequent remedial steps are required.
Remedial steps
NSIRA will implement a three-stage approach to engage reviewees when no response is received to an RFI within the associated timeline. When a deadline is missed with no satisfactory response, NSIRA will escalate its concerns progressively by sending a series of letters to the assistant deputy minister, deputy minister and, finally, the responsible minister.
The letters will be attached as an annex to the related review and will inform an overall assessment of timeliness of the reviewee in NSIRA’s public annual report. The above guidelines will also be reviewed annually and may be updated based on the outcome of their ongoing implementation to ensure they meet their objectives.
The key outcomes of the work flowing from NSIRA’s review mandate are typically captured and distilled in the recommendations NSIRA provides based on its findings. In most NSIRA reviews completed since its inception, NSIRA has issued recommendations to the departments and agencies under review. In turn, reviewees have provided responses to these recommendations, which may include a plan for implementation. With a little over two years since recommendations for the first NSIRA reviews were issued, NSIRA believes enough time has elapsed to begin seeing the results of the implementation of these recommendations reflected in reviewees’ activities and policies. Therefore, NSIRA will begin considering the most appropriate means to track and evaluate the implementation of the recommendations issued in past reviews.
NSIRA will discuss with agencies and departments that were reviewed how to evaluate the implementation of past recommendations. For example, if issues and challenges remain unaddressed, NSIRA may initiate follow-up reviews. NSIRA’s public annual report may also raise issues in the implementation of recommendations as needed.
As noted above, verification is a fundamental component of credible and professional independent review. NSIRA must be able to test the completeness or accuracy of information it may receive as a matter of course during every review. This component is key to NSIRA’s ability to assure its stakeholders that it has confidence in the information it receives during a review, and thereby in the findings and conclusions of the review.
During a review, NSIRA is entitled to receive all information it deems relevant, except for Cabinet confidences. This feature of the NSIRA Act is critical for the success of NSIRA’s mandate. For NSIRA to assure Parliament and Canadians that it has a high level of confidence in the information it receives, departments and agencies under review are expected to support processes that satisfy NSIRA’s requirement to independently verify the completeness and accuracy of information provided by the department or agency. For example:
Reviewees should always expect an element of verification as a regular part of each review. In keeping with its commitment to transparency and methodological rigour, NSIRA reviews now contain a “confidence statement.” This statement reflects NSIRA’s ability to verify information during a review. The confidence statement also provides important additional context to the review, apprising readers of the extent to which NSIRA has been able to verify necessary or relevant information during the review, and whether its confidence was impacted as a result of this exercise.
In the course of the year, NSIRA continued to adapt in conducting its complaints investigations by using innovative approaches. This included the use of videoconference technology for its hearings and investigative interviews, as well as finding procedural efficiencies such as proceeding with some investigations in writing. In part due to challenges inherent to the COVID-19 pandemic, NSIRA experienced delays in its investigations stemming from reduced responsiveness in accessing information and evidence. Annex E contains statistics for NSIRA’s complaints investigations in 2021.
Advancing the investigations and obtaining evidence presented issues for both NSIRA and the federal government parties to investigations that were obligated to provide information to NSIRA. In several ongoing matters, NSIRA granted adjournments and extensions of deadlines for procedural steps, including the filing of submissions and evidentiary material. In addition to pandemic-related delays, NSIRA notes that federal government parties to investigations cited other reasons for their requests for extensions of deadlines to file material, such as issues related to availability of witnesses and shortage of resources. Furthermore, NSIRA had to ask for additional information in response to incomplete initial disclosures in more than one investigation, which also created delays.
As to NSIRA’s investigation caseload in 2021, NSIRA dealt with a continued substantial increase in its inventory of cases. This increase resulted from 58 complaints referred in April 2021 to NSIRA for investigation by the Canadian Human Rights Commission, pursuant to subsection 45(2) of the Canadian Human Rights Act. This high-volume caseload has impacted NSIRA’s overall management of its cases.
NSIRA has also been focusing on strengthening its program delivery by working on strategies for the collection, analysis and use of race-based and demographic data in the context of the complaints investigation process. Working closely with its partner, the Civilian Review and Complaints Commission for the RCMP, NSIRA has been developing strategies of common interest in improving procedures to take into account considerations of diversity and inclusion. The specific objective is to improve access to justice by improving awareness and understanding of the investigation process. The intent is also to document the different racial groups among civilian complainants and determine:
Looking to the year ahead, NSIRA will analyze procedural data with respect to the timelines of its investigations in order to inform the establishment of new service standards, continuing its efforts to ensure efficiency and transparency in the process. NSIRA is mindful that service standards are based on time commitments in normal circumstances. As the public health situation with respect to the COVID-19 pandemic continues to improve, NSIRA looks forward to the cooperation of federal government parties in increasing their responsiveness to advance investigations. In light of NSIRA’s objective of developing service standards, it will be adopting a measured approach to requests for adjournments and extensions of deadlines, which will be permitted in exceptional circumstances. Also for the year ahead, NSIRA will continue to improve its website to promote accessibility to and relevance of processes in the investigation of complaints.
In 2021, NSIRA completed its investigation process reform initiative after a complex consultation with multiple stakeholders. In July 2021, NSIRA launched its new process that included the implementation of its new rules of procedure, aiming to provide greater accessibility as well as greater efficiency in NSIRA’s investigation mandate. Investigations under this new model show early signs of efficiency in that NSIRA has set timelier dates for the conduct of investigative interviews.
Background
The Complainant filed a complaint against the Canadian Security Intelligence Service (CSIS) regarding its involvement in different incidents with airport authorities while the Complainant was travelling.
In addition, the Complainant alleged harassment, possible interference with employment opportunities, interference with a passport application, intercepting and reviewing mail, and disrupting personal relationships.
Investigation
During the investigation, the Complainant raised several separate incidents that led to the filing of their complaint. NSIRA reviewed the evidence before it to determine whether CSIS’s actions were reasonable and proportionate in the circumstances; whether CSIS’s actions constituted harassment; and whether it had acted lawfully.
NSIRA considered the evidence given by witnesses, the documentation submitted by the parties, as well as other relevant material made available during the course of the investigation of the complaint. NSIRA also heard evidence provided by the Complainant.
With respect to one specific incident in dealing with airport authorities while travelling, NSIRA heard evidence by witnesses regarding section 8 of the Canadian Charter of Rights and Freedoms (Charter). Section 8 of the Charter provides that everyone has the right to be secure against unreasonable search and seizure.
Conclusion
With respect to all allegations, NSIRA determined that the complaint is unsupported. However, concerning events related to CSIS participating in a Canada Border Services Agency search of the Complainant’s cell phone at an airport on one occasion, NSIRA found that CSIS breached section 8 of the Charter.
NSIRA concluded that CSIS did not take the Complainant’s privacy interests casually and did not deliberately disregard privacy considerations in relation to the search. The breach of section 8 of the Charter was not egregious and constituted an error in judgment.
Background
NSIRA issued a supplemental final report resulting from a reopened investigation that was concluded by its predecessor, the Security Intelligence Review Committee (SIRC).
The Complainant alleged that CSIS had violated his constitutional rights due to his race and religion as well as his refusal to work as a human source. He further alleged that CSIS agents were harassing him by stopping him in airports and following him. Lastly, the Complainant alleged that CSIS had disclosed false information to a foreign entity, which resulted in him being held for eight hours without food in a foreign country’s airport.
In SIRC’s final report, SIRC concluded that the Complainant’s allegations of discrimination and harassment were unsupported. SIRC also concluded that the actions of CSIS officials had violated section 12 of the CSIS Act, ministerial directions, policies and operational procedures, and that these actions resulted in adverse consequences for the Complainant.
NSIRA’s reopened investigation was strictly limited to two questions of law: (1) whether the reasonable grounds to suspect standard under section 12 of the CSIS Act must be met when CSIS makes initial inquiries of its operational holdings; and (2) whether CSIS was required to obtain an individual targeting authority against the Complainant.
Investigation
The investigation of the reopening was deemed to be continued before NSIRA pursuant to subsection 11(1) of the National Security Act. NSIRA considered the documentation submitted by the parties, including classified submissions and documents filed by CSIS. NSIRA also considered the submissions filed by the Complainant as well as any other relevant material made available during the course of the investigation of this reopening.
With respect to whether the reasonable grounds to suspect standard under section 12 of the CSIS Act must be met when CSIS makes initial inquiries of its operational holdings, CSIS conceded during the investigation that it requires reasonable grounds to suspect that activities constitute a threat to the security of Canada, as described in section 2 of the CSIS Act, to conduct such initial inquiries of its operational holdings.
On the facts of this case, NSIRA determined that SIRC had correctly found that CSIS did not possess objective facts about activities that met the requisite reasonable grounds to suspect standard.
With regard to whether CSIS was required to obtain an individual targeting authority against the Complainant, NSIRA concluded that SIRC’s findings of fact regarding the extent and manner in which CSIS investigated the Complainant would not be revisited by NSIRA. NSIRA found that SIRC’s conclusion that there is a point in the CSIS investigation where CSIS agents were specifically investigating the activities of the Complainant was unequivocal, and, therefore, it was clear that CSIS should have obtained an individual targeting authority against him, yet failed to do so.
Conclusion
NSIRA determined that SIRC’s report and the findings were affirmed.
In 2021, NSIRA delivered on its mandate by completing reviews on a wide array of federal departments and agencies involved in national security and intelligence activities. Similarly, despite the challenges of the COVID-19 pandemic for complaints investigation proceedings and a large increase in its workload, NSIRA adapted its methods and continued its efforts to improve its program delivery.
NSIRA aims to increase its capacity to review technology and its practical use in national security and intelligence activities. The ongoing growth in NSIRA’s staff complement will also help the organization review a greater variety of national security and intelligence activities and continue to progress in its investigation of a large number of complaints.
NSIRA remains committed to engage with non-government stakeholders. NSIRA took note of feedback on its prior annual report and will continue to aim to improve its usefulness.
Once again, NSIRA members are very grateful for the excellent work of the Secretariat staff and their dedication to the organization’s mission of promoting greater accountability in the Canadian security and intelligence community and improving the confidence of Canadians in their oversight institutions.
Date of Publishing:
The Government of Canada (GoC) uses biometrics to identify individuals with a level of confidence beyond what is possible absent such techniques.
Biometrics play a fundamental role in the border continuum, which includes the screening of foreign nationals seeking admission to Canada and the identification of passengers travelling internationally by air. In the course of this study, the National Security and Intelligence Review Agency (NSIRA) examined activities conducted by the Canadian Border Services Agency (CBSA), Immigration, Refugees, and Citizenship Canada (IRCC), and Transport Canada (TC). The study also extended to the Royal Canadian Mounted Police (RCMP), which plays a supporting role in one of the major IRCC-led programs in this area.
Biometrics are sensitive personal information. The identification of persons by virtue of their biological characteristics raises privacy and human rights concerns. There is public apprehension about the government’s use of biometric analysis, as reflected in discussions regarding the use of facial recognition technology and, relatedly, its possible disparate impact on marginalized groups. At the same time, identifying individuals entering the country – and consequently determining whether they have a right to enter, or what risks they might pose – serves a national security function. In this way, the use of biometrics requires an assessment of the balance between privacy and security.
This report informs, contextualizes, and contributes to this conversation by presenting NSIRA’s foundational study of the GoC’s biometric activities in the border continuum.
The study identified a set of observations linked to nine overarching themes:
These observations are intended to contribute to Canadians’ understanding of the complex and evolving use of biometrics in the border continuum, and to shape how NSIRA as an organization engages with this area in future work.
Public debate about the government’s application of biometric technology will continue to evolve, driving change in the legal and regulatory frameworks associated with such activities. As such, continued scrutiny from NSIRA is warranted, particularly in those instances where the collection and use of biometric information is justified by explicit reference to national security outcomes.
The National Security Review Agency (NSIRA) conducted this study under section 8(1)(b) of the National Security and Intelligence Review Agency Act.
Biometrics enhance the government’s ability to know who you are. The measurement and analysis of unique biological characteristics – including, inter alia, fingerprints, iris patterns, and facial features – facilitates the identification of individuals to a level of confidence beyond what is possible absent the use of such techniques. Biometrics can be layered with traditional identifiers – such as name, date of birth, place of birth, gender etc. – to enhance the government’s identification process.
Knowing who you are – including verifying that you are who you claim to be – has benefits for national security. At the border, in particular, questions about identity are paramount: who has the right to enter the country, who does not, and who might pose a threat to the security of Canada and Canadians?
At the same time, the identification of persons by virtue of their biological characteristics raises acute privacy and human rights concerns. Biometrics are intrinsically personal information, and are largely immutable (i.e., they cannot be easily changed, as can passwords or other identifiers). There is public apprehension about the government’s use of biometric analysis, as reflected in discussions regarding the use of facial recognition technology and, relatedly, its possible disparate impact on marginalized groups. As biometric technology is increasingly integrated into public spaces, it will be important for government and for Canadians to consider the associated calibration of security, privacy, and human rights.
This report informs, contextualizes, and contributes to this conversation by presenting NSIRA’s foundational study of the Government of Canada (GoC)’s biometric activities in the border continuum, with a focus on activities relating to the screening of foreign nationals seeking admission to Canada and the identification of passengers travelling internationally by air. The immediate objective of the study was to map the biometric activities occurring in this space. This includes examining the collection, retention, use, and disclosure of biometric information, as well as the legal authorities under which said activities occur. The baseline for an informed public discussion is accurate information about which activities are being pursued by the GoC and whether/how they are authorized in law.
The study also considered the reasonableness and necessity of these activities, studying the accuracy and reliability of biometrics, including the possibility of discrimination on the basis of identity factors like race and gender; the proportionality of their collection, retention, use and disclosure; and the transparency with which the GoC discusses its use of biometrics and their contribution to national security.
NSIRA’s ability to look across departments and agencies and to make both specific and general observations – to examine the forest as well as the trees – was particularly valuable in assessing a wide and growing biometric landscape.
In addition to informing an important public conversation, the report’s broad treatment of biometric activities in the border continuum advances NSIRA’s work in two ways. First, it identifies several more narrow areas of interest or concern, to which NSIRA may return in future targeted reviews. Second, it defines a set of criteria against which NSIRA may review the GoC’s use of biometrics in national security and intelligence activities – both within and beyond the border continuum.
The border is distinct from other public settings. There are security imperatives that arise when individuals cross sovereign boundaries, such that the state is justified in taking measures not permissible in other contexts. While privacy rights and civil liberties do not disappear, expectations of privacy and of free movement are significantly lower. In considering the GoC’s biometric activities, therefore, it was practical to separate the border continuum from other settings; what might be overly intrusive in the latter may be justified in the former. Further, the border can serve as a testing ground for new biometric techniques and technologies, which then spread to other areas. If there are public concerns about biometric technology more generally, the border may serve as a harbinger of things to come and ought to be scrutinized accordingly.
In this study, we examine the collection, retention, use, and disclosure of biometric information and evaluate, where applicable, said activities against the criteria outlined below. We reviewed relevant policy and legal frameworks as communicated by departments and agencies, to inform our assessment of reasonableness and necessity, and to establish foundational knowledge that will inform future compliance assessments in the biometrics space. Our assessment of reasonableness and necessity was conducted at a high-level, reflecting on the themes, trends and issues manifest in considering the GoC’s biometric activities in the border continuum as a whole. We did not conduct independent verification or audit of the claims or activities themselves.
In the course of this study, NSIRA examined activities conducted by the Canada Border Services Agency (CBSA), Immigration, Refugees, and Citizenship Canada (IRCC), and Transport Canada (TC). The study also extended to the Royal Canadian Mounted Police (RCMP), which plays a supporting role in one of the major IRCC-led programs in the border continuum.
NSIRA also surveyed the history, and possible future, of biometric activities in the border continuum. The biometric landscape is not static, nor are practices in traveler facilitation and border security. Much of the public concern regarding biometrics (in particular over something like facial recognition technology) has to do with what lays just over the horizon, rather than simply any activity currently taking place. To this end, discussion of past activities, programs, and pilot projects illustrate the expansion of biometrics that has culminated in the present moment. Similarly, several pilot projects and initiatives known to be in development serve as examples of what may be to come. This wider lens contextualizes present activities and thus helps fulfill the broader objectives of the study.
A set of basic criteria guided NSIRA’s assessment of the GoC’s present biometric activities in the border continuum:
Collectively, these criteria informed NSIRA’s assessment of the lawfulness, reasonableness and necessity of the departments’ exercise of their powers as concerns the use of biometrics in Canada’s border continuum. Our observations highlight potential issues and areas of concern, which may serve as a basis for subsequent in-depth review of particular activities.
NSIRA received information from departments and agencies in the form of briefings, written responses, and documents. The latter included policies, procedures, project reports, technical studies, operational bulletins, manuals, correspondence, websites, and relevant legal opinions.
In addition to information obtained from departments and agencies, the nature of the study – dealing with a broad category of information widely used and heavily scrutinized across the globe – meant that a significant volume of open-source research was pertinent. As such, NSIRA examined media reports (both domestic and international), industry reports, academic research, think tank reports, government reports/documents from other jurisdictions, and intergovernmental and non-governmental organization research on biometrics and related technology. What emerged was a sense of the common standards, themes, risks, and even lexicon associated with biometrics, all of which helped inform NSIRA’s observations regarding the GoC’s biometric activities in the border continuum.
The body of the report is organized into three descriptive sections, presented in chronological order:
The concluding section unpacks overarching themes and observations pertinent to the study objectives outlined above. While some of these observations are specific to a particular program or activity, others apply horizontally across various aspects of the study. The mélange reflects both the nature of a foundational study and the unique, crosscutting mandate that NSIRA enjoys. Our observations are intended to contribute to Canadians’ understanding of the complex and evolving use of biometrics in the border continuum, and to shape how NSIRA as an organization engages with this area in future work.
IRCC began collecting fingerprints from asylum claimants and deportees in 1993, partly as a consequence of the rise in global migration volumes following the end of the Cold War. Canada received 37,000 refugee protection claims in 1992, up from just a few thousand annually for the balance of the 1980s. The resulting pressure on the system led, in part, to the introduction of Bill C-86 in June 1992, which included several provisions designed to enhance the efficiency and integrity of Canada’s immigration and refugee system, among them the fingerprinting of asylum claimants and deportees. This provision generated public criticism, with the government eventually amending it to include the deletion of fingerprints if/when an individual became a Canadian citizen. Ultimately, the purpose of the collection was to introduce processing efficiency into the system and to enhance both fraud detection and fraud deterrence through rigorous identity management.
Over the subsequent years, the collection and use of biometrics in the border continuum has steadily expanded, such that nearly everyone entering Canada by air – whether a foreign national or Canadian citizen – now has their biometric information collected and/or analyzed in some way. How did we get from there to here? The present section addresses this question by describing the evolution of the GoC’s activities over time, highlighting key moments, programs, and projects that animate it along the way.
The terrorist attacks of September 11, 2001, dramatically altered Canada’s national security landscape. The 2001 budget reflected the new priorities of the day, with $7.7 billion over five years allocated to security measures, including $1 billion to immigration screening and enforcement and $1.2 billion to border security initiatives.
These outlays came on the heels of explicit recommendations from a parliamentary committee to, among other things, “modernize border management to accommodate future security and trade needs” and “test and implement […] advanced technologies in […] border processing operations.” The latter recommendation included the suggestion that “biometric technology in the form of fingerprint or retina scanners could […] be considered to identify individuals […] crossing the border.” The report also called for the reactivation and full implementation of the NEXUS program, which had been a cross-border travel pilot project between the US and Canada launched in November 2000 but suspended in the wake of the attacks.
The central plank of post-9/11 US-Canada border security cooperation, however, was the Smart Border Declaration, signed on December 12, 2001. Accompanied by a 30-point Action Plan, the declaration guided US and Canadian efforts to enhance border security. The very first item on the Action Plan was the introduction of “biometric identifiers”, calling for the two countries to “develop on an urgent basis common biometric identifiers in documentation such as permanent resident cards, NEXUS, and other travel documents to ensure greater security.” Also of note were the provisions to expand information sharing in the visa and refugee/asylum context.
The two countries explicitly framed the Smart Border Action Plan as an effort to “develop a zone of confidence against terrorist activity”. In the US, the Final Report of the National Commission on Terrorist Attacks Upon the United States (more widely known as the “9/11 Commission Report”) expressed this logic, calling for a “biometric screening system” that would encompass the entire border continuum, from passport and immigration application to arrival at ports of entry, along with information sharing between jurisdictions. Canada’s 2004 National Security Policy (NSP) similarly foregrounded biometrics in its chapter on border security. The NSP noted that Canada would “work toward a broader use of biometrics” and “examine how to use biometrics in [its] border and immigration systems to enhance the design and issuance processes of travel and proof-of-status documents and to validate the identity of travellers at [Canada’s] ports of entry.” For both countries, biometrics were seen as a means of identifying possible terrorists crossing the border. 9/11 had fused border security to national security, turning identity management – hitherto primarily associated with efficiencies and fraud – into a national security priority.
In Canada, the NSP set the basic outline of the GoC’s current steady-state biometric activities: facial recognition in the issuance and use of travel documents (Passport Program) and fingerprints and the validation of identity at ports of entry (Immigration Program). We return to these in Section 5.
In the balance of this section, we briefly describe the key biometric activities and programs adopted in the years following 9/11.
Though standard in the document for decades, passport photographs were not considered “biometrics” until passports became machine-readable. The 2003 International Civil Aviation Organization (ICAO) guidelines on ePassports, also commonly referred to as “biometric passports,” therefore mark the introduction of biometric identifiers to the document on the international stage. Canada committed to the ePassport in 2004, though actual implementation unfolded in stages over subsequent years, with the full rollout occurring in 2013. Hundreds of other jurisdictions adopted the ePassport during this period, gradually establishing it as an international recommended practice for official travel documents. Canada’s current iteration of the ePassport is discussed in paragraphs 95-112, below.
In addition to the “smart chip” embedded in the ePassport and containing the facial photograph, the government also pursued facial recognition in the passport application/issuance process. The first Privacy Impact Assessment (PIA) for what was then known as the “Facial Recognition Project” was crafted in 2003, though full implementation under the guise of the “Facial Recognition Solution” (FRS) did not occur until 2010. The system used facial recognition to help assess entitlement to a Canadian passport or other official Canadian travel document. The specific objectives of the program were: to detect fraud, support the authentication of identity, and prevent passport issuance to ineligible applicants. We discuss the current iteration of the FRS, which is a key component of the steady-state Passport Program, in paragraphs 95-112, below.
The “Temporary Resident Biometrics Program” (TRBP) – initiated in 2009 and operational by 2013 – marked a significant expansion of the collection of biometrics in the immigration context. Under the TRBP, biometrics (fingerprints and a digital photograph) were collected by IRCC (then-Citizenship and Immigration Canada [CIC]) as part of temporary resident applications from 30 nationalities. The fingerprints were screened “against fingerprint records of known criminals, past refugee claimants, persons previously deported, and previous immigration applicants” held by the GoC. Once the application was approved and the applicant arrived in Canada, the CBSA verified the biometrics ensuring that the person presenting was the same individual that had applied. In 2014, biometrics collection was expanded beyond temporary resident applications to include overseas refugee and resettlement applications.
According to the GoC, biometrics were adopted as a means to access more complete and accurate information, so as to inform admissibility decisions made under the Immigration and Refugees Protection Act (IRPA) regarding temporary resident applicants. The TRBP’s use of biometrics therefore supported identity management goals, with national security – the identification of individuals who might pose a security threat – constituting a supporting feature of the larger program.
In 2011, Canada and the US issued the joint declaration Beyond the Border: A Shared Vision for Perimeter Security and Economic Competitiveness and its accompanying “Beyond the Border Action Plan”. The plan made a commitment to increase information sharing between the two countries. Canada and the US had shared immigration information on a case-by-case, ad hoc basis since 2003, but the process was labour intensive and consequently limited in volume.
The resulting program was the Immigration Information Sharing (IIS) initiative, which made it possible for Canadian and American authorities to systematically exchange immigration information on the basis of a biometric match between their respective immigration databases – a capability that became fully operational in August 2015. For example, all biometric-required applicants to Canada had their fingerprints systematically checked against US fingerprint holdings at the time of enrolment. In the event of a match, the US returned relevant immigration information (e.g. biographical information to confirm identity, the outcome of any previous immigration applications, etc.) to IRCC, to help inform decisions about admissibility. The arrangement was reciprocal, meaning the US similarly queried Canadian immigration fingerprint holdings, with Canada returning immigration information in the event of a match. As characterized by a 2015 implementation report, this capability helped to “counter identity fraud, strengthen identity management and provide valuable information to inform respective admissibility determinations.”
The IIS was, in many ways, the natural extension of TRBP. Whereas TRBP made it possible to screen an applicant’s biometrics against domestic databases, IIS extended this capability to US databases, thereby increasing the range of information obtainable through biometric querying.
Beginning in 2013, a two-phase pilot project between CBSA and IRCC/CIC explored the benefits of leveraging facial recognition through information sharing. The impetus for the project was the experimental querying of 72 photographs of individuals wanted by the CBSA against IRCC/CIC’s passport database. The querying was intended to verify whether any passports had been issued to individuals subject to CBSA warrants for arrest under the IRPA (under genuine or false identities), thus helping protect the integrity of the passport system, while also facilitating enforcement of the IRPA. The CBSA and IRCC rely on sections 7, 8(2)(a) and 8(2)(e) of the Privacy Act for the use and disclosure of this information.
Using facial recognition, the one-to-many identification of these 72 individuals identified three individuals who had fraudulently acquired travel documents. On the strength of these results, the organizations drafted a Memorandum of Understanding (MOU) in December 2013 to share photographs of 1,000 individuals wanted on active CBSA warrants and ran a one-to-many identification against the passport database using facial recognition. This time, 15 individuals were found to have submitted fraudulent passport applications.
In 2015, another round of the project was initiated under a subsequent MOU, raising the number of queries to 3,000 individuals. Also expanded was the scope of information that could be returned as a result of a positive match. Whereas the 2013 MOU only authorized the sharing of information related to document fraud, the 2015 MOU authorized the sharing of any derogatory information relevant to the enforcement of the IRPA. Appendix III of the Information Sharing Annex to the 2017 IRCC-CBSA MOU established this information sharing on a permanent basis.
In addition to the expansion, refinement, and leveraging of biometric activities associated with passports and immigration, the GoC explored additional uses of biometrics, including facial recognition, through research into emerging technologies and pilot initiatives, testing possible applications in the border continuum.
In 2011, CBSA led the “Pilot and Research on Operational Video-based Evaluation of Infrastructure and Technology: Face Recognition in Video” (PROVE-IT: FRiV) project. PROVE-IT: FRiV examined, in a lab setting, the possible use of live-capture facial recognition in a controlled environment, such as an airport. Researchers evaluated commercial products and tools available for this purpose, and determined that “face-based surveillance” was ready for live use in “in semi-constrained environments.”
Building on the findings and results of PROVE-IT: FRiV, CBSA launched the “Faces on the Move” (FOTM) pilot project in 2014. FOTM involved the live video capture of the facial images of travellers as they passed through Toronto Pearson International Airport Terminal 3 for a six-month period between June 2016 and November 2016.
Project-specific video cameras were installed to capture facial images in the immigration arrivals area, primary inspection, and toward the exit following primary processing. Facial images were checked in real time using facial recognition against two image databases: a “control” watchlist comprised of 65 CBSA volunteers, and an “operational” watchlist of 4,860 previously deported individuals, generated by CBSA. The CBSA volunteers conducted over 1,200 test walkthroughs over the course of the six-month demonstration. At the same time, approximately 15,000 to 20,000 travellers per day were screened against the operational watchlist, of which forty-seven were correctly detected by the system. All records of personal information were to be destroyed at the end of the project, save those that served an administrative purpose, which would be retained for two years following the date of their last use in keeping with section 6(1) of the Privacy Act and section 4(1)(a) of the Privacy Regulations.
The immediate purpose of FOTM was to raise the technology readiness level of facial recognition to the point of being ready for live, real-time implementation in a controlled environment. Further objectives included the establishment of privacy and security protocols governing the deployment of facial recognition and the development of Canadian industry offerings in the facial recognition space through partnership with CBSA and access to the CBSA’s operational environment (i.e. the border). Longer-term strategic goals included promoting the “efficient flow of people across Canada’s borders” and addressing “evolving threats to public safety at or before the border…while respecting Canadian values including the right to privacy.” Ultimately, FOTM was couched as a building block toward future applications of facial recognition in the border continuum and “similar security scenarios (transportation facilities, shopping malls, stadiums, mass public events).” The lessons from FOTM were to inform a “roadmap” for the use of “science and technology […] for face surveillance, specifically at the border.”
According to the project’s final report, FOTM experienced several policy challenges, “including concept of operation, deployment constraints, public notification, data security, data retention/purging rules, and legality of enforcement based on face recognition and privacy issues.” These and other challenges were likely to “influence face surveillance future deployments and/or technology road maps.” Nonetheless, it recognized that the combination of advancing capabilities and relaxing public resistance to facial recognition technology “will drive the need for continual investment in both the science and the application of face recognition based surveillance.”
Prior to the demonstration period, a PIA conducted for FOTM in consultation with the OPC had brought additional issues to light. This resulted in certain changes to the project, including dropping plans to use watchlist photographs from multiple government agencies and foregoing plans to advise enforcement agencies of a previously deported person’s presence if the individual was not intercepted by the CBSA before leaving the port of entry. The consultants’ final report for the project “recognized that should facial recognition be deployed for long-term, operational use, the PIA would have to be redone and updated to identify potential ongoing risks that did not affect the short-term FOTM project.” Furthermore, CBSA recognized that, were FOTM to become a permanent program, the use of facial recognition would require an update to its Policy on the Overt Use of Audio-Video Monitoring and Recording Technology, and to the description of the related CBSA Personal Information Bank57 (PIB), PPU 1104, which did not include “biometric information.”
Indeed, public signage and notice about the cameras was limited during the demonstration period. Signage at Terminal 3 of Toronto Pearson’s International airport stated that “[t]his area is under video surveillance,” but made no mention of facial recognition. Similarly, the November 19, 2012, version of the CBSA’s Privacy Notice on Video Monitoring and Recording, referred to in the PIA for FOTM, discloses that “[c]ameras may […] monitor the movement of travelers and goods from one point of CBSA operation to another, for example, from primary to secondary,” but does not provide notice of a facial recognition capability. These lacunae in the notice provisions appear to have been acknowledged in the final report on FOTM, however, which notes that the machine learning component “may require an extension to the current [privacy and security] protocols.”
To date, FOTM or similar use of facial recognition has not been adopted as an ongoing activity. Other operational priorities, including the deployment of Primary Inspection Kiosks (PIKs) at select airports, took precedence at the time the project was completed, and CBSA has not indicated plans to revive FOTM. The technology for FOTM was removed from the airport at the end of the pilot.
The CBSA relied on its powers of examination under sections 15-18 of IRPA to authorize the FOTM project, explaining that “[t]hese sections require all persons seeking entry to Canada to submit to an examination of their persons and documents” and “allow for the presentation of photographic evidence of an applicant’s identity.” Indeed, section 15(3) of IRPA authorizes “an officer [to] … examine any person carried by [a means of transportation bringing persons to Canada],” and to examine “any record or document respecting that person.” Section 16 of IRPA further specifies that “[a] person who makes an application must answer truthfully all questions put to them for the purpose of the examination and must produce [at this examination] a visa and all relevant evidence and documents that the officer reasonably requires.” In the case of a foreign national, this evidence includes “photographic and fingerprint evidence.” The CBSA did not request legal assessment from the Department of Justice (DOJ) as to whether these authorities would support the FOTM pilot program.
The CBSA’s reliance on these general powers of examination to conduct facial recognition on travelers as they make their way to the point of processing is of concern to NSIRA. The legislative authorities relied on by the CBSA presume an overt interaction between the traveler and CBSA officials, and the knowing presentation by travelers of their individual documents, fingerprints and photographs during their examination. NSIRA is not satisfied that sections 15-18 of the IRPA provide clear authority for the collection of travellers’ facial biometrics, particularly prior to – and away from – the point of formal examination. NSIRA is of the opinion that further legal advice would be required in order to ensure that the use of facial recognition in Canadian airports (or elsewhere at the border) is well-founded in the CBSA’s legislative authorities.
Moreover, with respect to the pilot’s compliance with section 8 of the Charter, the CBSA explained that a legal opinion from the Department of Justice (DOJ) was not required because “no information [was] being collected above and beyond the CBSA’s current use of CCTV technology.” The pilot used “the existing surveillance infrastructure” and “did not introduce any additional (audio or video) at ports of entry.” As such, the CBSA was of the opinion that FOTM did not engage privacy or other concerns that would necessitate legal consultation.
As described in paragraph 39, however, project documents indicate that new cameras were installed for the demonstration period. Moreover, these arguments under-value the effects of facial recognition technology on individuals’ privacy. The important fact is not the installation or absence of new cameras, but rather their ability to conduct facial recognition. This new aspect of what is being collected arguably changes the subject-matter of the search. As the OPC has recommended, PIAs (and, in NSIRA’s view, assessments of lawful authority) should be renewed when new technologies are used, in order to ensure that the subject-matter of the search – and its privacy implications – are well-understood. Notices should also be updated to ensure that the use of facial recognition is clearly made known to the public, unless operational imperatives justify a lower degree of transparency.
The deployment of such technology, whether on a short-term or long-term basis, must be carefully studied and be fully supported by legal authority and a sound policy framework. The FOTM demonstrated genuine benefits for the execution of the CBSA’s duties at the border, specifically the identification of individuals of concern. Individuals previously deported for inadmissibility are known to attempt re-entry into Canada under assumed or false identities. The 47 “real hits” during the six-month demonstration window of FOTM attest to this fact. As noted in other contexts, of course, national security is one among many interests supported through better identity management. Further, findings of inadmissibility on security grounds (s. 34 of the IRPA) constitute a comparatively small portion of overall inadmissibility decisions. At the same time, rare events can have extreme consequences. National security cases are, by their nature, infrequent but serious.
FASTER-PrivBio was a ‘proof of concept’ project that developed a prototype mobile application that facilitated the application and approval of electronic travel authorizations (eTAs). It was led by IRCC in conjunction with CBSA and other partners (including the University of Ottawa and Ryerson University). The application captured a digital photograph (selfie), extracted the digital photograph contained in the ePassport chip, compared the two using facial recognition (one-to-one comparison), and validated the authenticity of the travel document. Upon successful enrolment, the application would then create a ‘client token’ facilitating movement through the travel continuum for low-risk travellers. The project incorporated a ‘Privacy-by-Design’ framework, with a specific emphasis on addressing the privacy concerns raised by the use of biometrics.
Two basic security benefits were envisioned: first, the facilitation of low-risk travellers would allow resources and attention to be applied elsewhere, including toward higher-risk travellers in manual processing. Second, the application would automatically check enrolled travellers against CBSA, IRCC and other applicable (e.g. International Criminal Police Organization [INTERPOL]) biographic watchlists, thereby identifying individuals of concern. This latter function, however, would largely replicate existing screening in the eTA process.
The project closed in 2017 having successfully demonstrated its intended deliverables. Its key takeaways included the viability of mobile (smartphone-based) biometric credentials (including adequate data security protections, according to project participants), compatibility with ePassports and related IRCC systems and infrastructure, and the robust identity verifications possible through such a system. The next phase of the project was to work toward live implementation, set to occur under the “Chain-of-Trust” (CoT) initiative. CoT development continues at present and is covered in Section 6, paragraphs 151-155, below.
Initiated in 2015, the Biometrics Expansion Project (BEP), as its name suggests, marked another significant increase in the collection of biometrics in the immigration stream. Building on the TRBP, the BEP expanded the collection of biometrics to all persons (unless exempted) making a claim, application or request under the IRPA. The BEP incorporated the IIS initiative and extended automated immigration information sharing, including through biometric querying, to other international partners in the Migration 5 (M5) group, which comprises the immigration agencies of the United States, Australia, New Zealand, and the United Kingdom. The BEP also broadened the capacity for fingerprint verification at Canadian ports of entry (POE) through the introduction of automated Systematic Fingerprint Verification (SFV) at eight international airports (see paragraph 73) and the addition of discretionary fingerprint verification at secondary inspection at an additional 11 airports and 40 land POE.
The BEP closed in 2020 and the biometric activities it established were transferred to steady-state operations. As such, the activities described here are addressed in Section 5, paragraphs 63-94, below.
This section surveyed the development of biometric activities in the border continuum over the past several decades, highlighting key moments, programs, and pilots along the way. Taken collectively, several themes emerge.
First, the GoC’s collection and use of biometrics has steadily expanded. In the immigration context, for example, what began with deportees and asylum claimants in 1993 culminated in 2018 with all persons (unless exempted) making a claim, application or request under IRPA.
Second, the commitments and priorities established in the wake of the 9/11 attacks spurred the adoption of biometrics in the early part of the millennium, setting the foundation for the basic architecture of biometric activities in the border continuum today. In this context, the rationale for biometric adoption was national security. Identifying individuals meant possibly identifying terrorists.
Third, identifying individuals is also (and increasingly) about broader identity management. For CBSA and IRCC, biometrics contribute to overall organizational goals, not just national security objectives. As the immediacy of 9/11 receded, broader identity management became a relatively larger part of the rationale for collecting and using biometrics. This shift reflected a more balanced logic for biometric adoption, embracing their overall utility rather than emphasizing the smaller – though important – national security subset.
Fourth, as biometric activities have expanded, so too has the overlap and/or shared responsibility between organizations in their design and implementation: between government departments/agencies (e.g. IRCC and CBSA); between jurisdictions (e.g. Canada and the US, and Canada and other international partners); and between the public and private sector (as the GoC engages industry partners). Such closer cooperation may have implications for individuals’ privacy rights, for possible future uses of biometrics, and also underscores the importance of sound data security across these various institutions.
Fifth, traveller facilitation has emerged as another force behind biometric adoption, to improve efficiency at the border and to reflect evolving societal norms about the use of technology. As the FASTER-PrivBIO project suggests, the development of new biometric activities takes for granted traveller familiarity with digital devices. At the same time, individuals are likely to be more comfortable adopting relatively intrusive technologies when they do so voluntarily and consensually. This tension – between expectations of convenience and expectations of privacy – is likely to shape public dialogue over biometrics moving forward.
Sixth, and related to the above, the expansion of biometrics has coincided with a growing emphasis on privacy and privacy protections. Many of the pilots and projects described in this section explicitly addressed such concerns, including by adopting so-called “Privacy-by-Design” principles, which are intended to proactively protect personal information. This dynamic reflects the development, over time, of the wider understanding (whether on the part of government, industry, the legal community, or academia) as to the particular risks associated with the collection and use of biometrics. Some applications of biometric analysis – for example the facial recognition used in the FOTM project – carry more risks than others, and ought to be scrutinized accordingly.
This section focuses on the GoC’s steady-state biometric activities in the border continuum. The balance of the section examines the role of biometrics in the immigration and Passport programs, respectively. For each, we examine how biometrics serve program objectives (noting, as relevant, their collection, use, retention, and disclosure) and consider the criteria outlined in Section 3. The end of the section examines the process of “arriving into Canada”, which includes the analysis of traveller and NEXUS member biometrics by automated kiosks at Canadian airports. Throughout, we highlight the relevant national security considerations.
IRCC is responsible for screening the admissibility of potential permanent and temporary residents coming to Canada. As part of this process (hereafter the “Immigration Program”), IRCC employs biometrics, in cooperation with CBSA and the RCMP. As IRCC characterized it to NSIRA, for biometrics in the Immigration Program: “IRCC collects, the RCMP stores, and the CBSA verifies.”
IRCC collects (all ten) fingerprints and a digital photograph in support of applications for temporary resident visas or status, work permits, study permits, temporary resident permits, and permanent residency, and in support of refugee and asylum claims. The collected biometrics are stored in two databases: photographs are stored in the IRCC’s Global Case Management System (GCMS) and fingerprints are stored in the RCMP’s Automated Fingerprint Identification System (AFIS). The digital photograph, while ICAO compliant, is not used for facial recognition and may not be of sufficient quality for that type of analysis. As such, we focus primarily on fingerprints in our description and analysis of activities.
Biometrics are collected and enrolled at multiple service points, both in Canada and abroad, with the vast majority (approximately 90%) occurring at Visa Application Centres (VACs). VACs are commercial service suppliers, managed by private companies, contracted by IRCC to deliver biometric enrolment overseas.
The collection phase is a sensitive juncture given the personal nature of biometric information. The primary concerns here relate to privacy and the security of biometric data. Media reports have highlighted concerns about VACs, questioning whether adequate privacy protection can be maintained given the central role of private contractors based outside of Canada. Possible links between the subcontractor administering Canada’s VAC in Beijing and Chinese security forces have also been scrutinized. Foreign governments have an interest in knowing who is applying to come to Canada – the information can be leveraged to monitor, suppress, harass, coerce, threaten or otherwise harm an individual. The possible interception or theft of biometric data is especially concerning, given its possible use in monitoring, surveillance, and identification.
IRCC has taken steps to ensure the flow of biometric information (including collection and transmission) at VACs is controlled. Contracts with VAC providers stipulate that they must abide by Canadian privacy laws. IRCC further states that oversight of VAC contractors occurs through audits and site reviews, conducted by Canadian officials, at VAC locations. All biometric information collected outside of Canada is said to be encrypted before being transmitted back to IRCC servers located in Canada (photographs in GCMS) and to the RCMP (fingerprints in the AFIS). Once successfully transmitted, IRCC states that the information is deleted from the point of collection.
Given the nature of operating in certain foreign jurisdictions, however, there remain challenges to securing the information provided by applicants at VACs. Some VACs are located in countries with national interests inimical to those of Canada – the national security consequences of security breaches at these VACs may therefore be particularly acute. While the scope of the present study precluded in-depth examination of the security arrangements at VACs, NSIRA may wish to revisit the issue at a later date.
In the border continuum, Canada leverages (or uses) the collected biometrics in three ways: for screening at enrolment (with any returned information informing decisions about an application), for verification upon arrival at a Canadian POE, and for ongoing assessment of admissibility (or immigration status) once an individual is present in Canada.
Screening at enrolment is automatic, and includes both domestic (Canadian) and foreign databases. For enrolment, IRCC or CBSA submits the collected fingerprints to the RCMP. Fingerprints and biographic information are then compared against the RCMP’s criminal and immigration fingerprint repositories (the latter includes fingerprints collected as part of previous applications). Fingerprints are also queried against the immigration databases of Canada’s M5 partners.
Information returned from domestic and foreign screening informs decisions on admissibility – including possible inadmissibility on IRPA s. 34 security grounds. Biometric immigration information sharing with the M5 partners includes sharing of derogatory alert codes. Information that indicates a potential national security concern may be referred to the Public Safety portfolio (including CSIS and CBSA) for additional security screening. While foreign screening also occurs using biographical information, biometrics confer the additional advantage of identifying matches to previous applications associated with different names and/or with discrepant biographical information.
Following the screening process, biometrics are used by the CBSA to verify the identity of enrolled foreign nationals arriving at a Canadian POE. This ensures – to a level of confidence beyond what is generally possible absent the use of biometric information – that the individual granted a visa or permit is the same individual entering Canada.
The mode of verification varies between POE. At eight international airports, Systematic Fingerprint Verification (SFV) occurs through Primary Inspection Kiosks (PIKs). PIKs are automated kiosks used to process travellers through customs and immigration at major Canadian airports (for more on the PIK see paragraphs 125-137, below). The PIK captures fingerprints and transmits biometrics to the RCMP for one-to-one matching against the traveller’s reference fingerprint in the RCMP database. Where SFV is not available, Border Services Officers (BSOs) verify identity by comparing the traveller’s enrolled photograph with the individual presenting in front of them, while fingerprint verification occurs on a discretionary basis at secondary inspection using CBSA’s LiveScan device.
Biometrics are also used to assess ongoing admissibility. That is, they serve as a means to connect individuals to information that could affect their immigration status and/or future immigration applications (for example interaction with law enforcement that might indicate inadmissibility).
The retention period for biometrics collected is partially contingent on the application’s outcome. For both temporary resident and permanent resident applications refused on the grounds of what the IRCC considers “serious inadmissibility” (sections 34-37 of the IRPA), biometrics are retained until the individual’s 100th birthday.
This extended retention period provides security benefits as biometrics can help identify an individual should they submit a subsequent application at any (realistic) point in the future, even if submitted under a different name. Extended retention also makes such identification possible for domestic and/or foreign partners with querying access to the immigration database. Should the individual receive a record suspension, criminal rehabilitation, or ministerial relief, the retention period reverts to the typical 15 years from the date of biometric enrolment. This caveat is important, as it realigns the retention of an individual’s biometrics beyond the resolution of the underlying circumstances which warranted the extended retention.
At the end of the retention period, biometric information is disposed of by IRCC according to disposition authorizations issued by Library and Archives Canada. With respect to fingerprints held by the RCMP, an automated electronic purge transaction request is transmitted by IRCC and a confirmation of the purge returned.
In 2021, IRCC discovered a privacy breach related to the retention of immigration fingerprints and photographs beyond their prescribed retention period. The information belonged to individuals who attained Canadian citizenship meaning that, according to IRCC biometric retention policy, fingerprints and photographs associated with their immigration file should have been deleted. IRCC notified the OPC in February 2021 about the issue, and notified affected clients, by email, in March 2021. A public notification was placed on the IRCC website.
The disclosure of biometric information raises privacy considerations and calls for attentive consideration of their subsequent use. Given that biometrics are personal information, the current legal framework requires that the GoC only use them for the purposes for which they were obtained (namely, determining an individual’s admissibility to enter, or remain in, Canada); for a use consistent with that purpose; or as otherwise authorized by law.
The automated querying that occurs between Canada and its M5 partners involves an anonymous biometric (fingerprint) search, with no identifying biographic information included; if a match is detected, relevant immigration information is returned; if there is no match, the receiving country sends a nil result. In either case, the receiving country is required to purge and not retain the fingerprint. The system is designed, ultimately, with the intention that no biographic and/or immigration information is exchanged unless both parties already possess the biometric in their databases – an important privacy protection measure. Further, the automated agreements specify that any information exchanged will pertain to third-party nationals only; that is, Canada will not send or receive information on Canadian citizens or, with the exception of asylum claims, permanent residents.
Less frequent case-by-case (or ad hoc) exchanges may result in the actual exchange of underlying biometric information (whether photographs or fingerprints) if the information is deemed, by the requesting party, relevant to enforcing that party’s immigration and citizenship laws. Such exchanges are subject to caveats regarding use, onward disclosure, and retention, which apply to any information disclosed (not just biometrics), but which are not legally binding on the participants. IRCC further indicated that ad hoc exchanges of biometric information may also occur with international partners beyond the M5, “with either the consent of the individual to whom the information pertains, or pursuant to section 8(2)(a) [i.e. the consistent use provision] of the Privacy Act.”
The primary sources of authority for the collection, use, and disclosure of biometric information in the Immigration Program are the IRPA and the Immigration and Refugee Protection Regulations (IRPR). Specifically, s.10.01 of the IRPA authorizes the collection of biometrics for the purposes of enrollment and verification pursuant to an application under the Act. Under s. 10.02 of IRPA, the Minister may issue regulations respecting the implementation of these processes, through the IRPR. The Regulations specify to whom the biometrics requirements apply, the type of biometrics at issue, and guide their collection, processing and verification. Section 16(1) of the IRPA requires that individuals making an application under the Act submit truthfully to examination and produce “relevant evidence and documents” while 16(2), which applies only to foreign nationals, specifies that such evidence includes “photographic and fingerprint evidence”. IRCC also cites s. 4 of the Privacy Act as authorizing their collection of biometrics, given that the information relates “directly to the administration of [IRCC’s] immigration programs.” They note further that, consistent with s. 7 of the Privacy Act, biometrics “will only be used for the purposes for which it was collected, or for a use consistent with that purpose.”
In terms of the IRCC’s disclosure of biometrics to international allies, s. 7 of the IRPA authorizes the Minister, with the approval of the Governor in Council, to enter into an agreement(s) with the government of a foreign state(s), for the purposes of the IRPA. Multiple such agreements are part of the IRPR, which cover Canada’s information sharing activities with each M5 partner including: the ‘Agreement between the Government of Canada and the Government of the United States of America for the Sharing of Visa and Immigration Information’; the ‘Annex Regarding the Sharing of Information on Asylum and Refugee Status Claims to the Statement of Mutual Understanding’; and the bilateral automated exchange arrangements with the Governments of Australia, New Zealand and the United Kingdom. These agreements provide for the disclosure of biographic and biometric data between the parties to the extent “necessary, relevant and proportionate to achieve [the administration and enforcement of the parties’ citizenship and immigration laws].” Provisions in each agreement also govern the destruction of the information, the correction of previously disclosed information, and grant the Minister a discretion to refuse to disclose information detrimental to Canada’s national interests.
Such disclosures would also be consistent with s. 8(2)(f) of the Privacy Act, which allows for the disclosure of personal information under an agreement or arrangement between the Government of Canada and a foreign state, for the purpose of administering or enforcing its laws. Ad hoc exchanges with partners beyond the M5 are conducted pursuant to the consistent use provisions of s. 8(2)(a) of the Privacy Act.
Canadian law enforcement may also access fingerprints collected by IRCC during the immigration application process for law enforcement purposes. Section 13.11 of the IRPR allows the RCMP to use – or disclose to other law enforcement agencies in Canada – any biometric information and specified, related personal information for the purpose of establishing or verifying a person’s identity in order to prevent, investigate or prosecute an offence. This information may also be used to establish or verify the identity of a person whose identity cannot reasonably be otherwise established or verified because of a physical or mental condition or because of their death. In other words, when law enforcement agencies submit fingerprints collected in the course of its duties to the RCMP — or the RCMP itself verifies a fingerprint — both criminal and immigration repositories, containing the fingerprints of foreign nationals and permanent residents, are included in the search. Section 13.11(2) of the IRPR allows the following personal information to be used or disclosed: the individual’s fingerprints and the date on which they were taken; their surname and first name; their other names and aliases, if any, their date of birth, their gender, and any file number associated with the biometric information or related personal information.
Biometrics facilitate identity management in the Immigration Program. First, the enrolment of biometrics ties an application to an individual. Second, biometric querying screens applicants against domestic and foreign databases, with the information returned as part of these queries informing decision-making regarding their admissibility into Canada. Third, biometrics are verified upon arrival at a Canadian POE to ensure that the individual presenting is the one to whom a visa or permit has been granted. Finally, biometrics are retained for a specified period (varying between application streams) so as to both assess continuing admissibility (status) under the IRPA and allow foreign nationals to submit subsequent applications without having to re-enrol their biometrics.
National security benefits are a consequence of robust identity management. National security is a component of, rather than the sole impetus behind, the use of biometrics. Enrolling biometrics at the application stage serves as a potential deterrent to individuals who might otherwise apply for mala fide purposes. Biometric screening of domestic and foreign databases helps identify individuals who are inadmissible (including, potentially, for reasons of national security). Verifying biometrics upon arrival ensures that the individual authorized to enter and not an individual posing as that person is the individual who does enter. The retention of biometrics which includes the retention of biometrics tied to applications denied for reasons of national security allows for the ongoing assessment of admissibility under the IRPA (including s. 34) and facilitates the reciprocal querying of foreign databases. Without biometrics, such exchanges would rely on biographical information, which is more susceptible to fraud and/or error.
Unique to each individual and easily captured by digital technology, fingerprints are generally regarded as accurate and reliable means of identification. However, both CBSA and IRCC noted potential concerns in relation to Gender Based Analysis Plus (GBA+), which is an analytical process designed to assess how diverse groups of people may experience policies, programs and initiatives. Specifically, some groups have more difficulty than others having their fingerprints captured, including individuals working in certain trades (which may indicate lower socio-economic status) and women (due to a biological difference in finger ridges). Mitigation strategies at the collection stage included training for operators, and operational guidelines as well as a regulatory provision (R12.8 of the IRPR) that allow the application process to continue if fingerprint capture is not possible.
Similarly, research has shown that fingerprint-matching algorithms – such as those used during SFV – may be less accurate for certain ethnic, gender, age, and socio-economic groups. Examples include individuals of East Asian origin, women, those working in certain trades, and older individuals. These groups may be subject to higher error rates when their fingerprints are verified (e.g. compared to an existing fingerprint holding). Mitigation strategies identified by CBSA included hardware and software adjustments that would improve the ability of PIKs (the kiosks used for SFV) to capture and analyze fingerprints.
In terms of transparency, there is significant material available to the public regarding biometrics and the immigration application process. Much of this content is practical in nature, intended to guide prospective applicants in the provision of their biometric information. IRCC also explains the program benefits of using biometrics, including that they help facilitate entry into Canada, ensure that the person seeking entry is the same as the one who was granted a visa, permit, or permanent residence, and to help prevent the use of stolen, borrowed, or altered visas and/or permits to enter Canada. While national security justifications are provided, the emphasis is on service delivery and the broader imperatives of identity management.
Overall, fingerprints appear to be a reasonable, appropriate choice of biometric to use in the immigration system. They can be collected relatively easily, with little intrusion, and while they are reliable identifiers, they offer comparatively little extrinsic evidence about individuals’ lifestyles or personal choices. Moreover, they offer a vital inter-operability across domestic immigration and law enforcement systems, as well as with those of nearly all foreign jurisdictions. The privacy costs of relying on biometrics for immigration screening therefore appear to be reasonable and proportionate to the benefits they convey to the state and the integrity of its immigration system.
Once collected, the use of biometrics for screening and verification are proportionate to the objective of identity management. From a national security perspective, decisions about admissibility – who may and who may not enter the country – are fundamental. So, too, is the desire to prevent fraudulent entry. At the screening stage, biometrics are particularly helpful in linking information across databases – e.g. in connecting information about an individual held in domestic or foreign repositories. The ability to make such linkages even in the face of multiple names or biographical profiles – perhaps cultivated for mala fide purposes – is largely unique to biometrics as a class of information. Likewise, verification – confirming that an individual is who they say they are when presenting at the border – is significantly enhanced through biometric analysis.
The activities are not without risks, however. The availability of immigration biometrics to Canadian law enforcement, for example, has the potential to stigmatize the immigrant population by associating them with criminality. In 2015, the European Union’s EURODAC (European Asylum Dactyloscopy Database) was heavily criticized by civil rights groups for “criminalizing” asylum seekers by making their fingerprints available to European law enforcement agencies. While held in different repositories, immigration and criminal fingerprints exist within the same RCMP system, and both are searchable by law enforcement, including when attempting to identify latent fingerprints taken from crime scenes.
There are benefits to making immigration fingerprints available to law enforcement, most immediately in assisting police with the enforcement of Canadian criminal law and, consequently, in returning information to IRCC and CBSA which may be relevant for enforcing the IRPA. At the same time, if the fingerprints of all Canadian citizens were in the possession of the government and searchable by Canadian law enforcement, that too would benefit the enforcement of Canadian law, though few – if any – would consider such an arrangement proportionate or desirable. It is therefore legitimate to question whether the availability of immigration fingerprints – collected in the course of applying to come to Canada – to law enforcement is proportional in all circumstances, or whether it should be limited to certain serious offences.
The Passport Program, led by IRCC, is responsible for “issuing, refusing to issue, revoking, withholding, cancelling, recovering and providing instructions on the use of Canadian passports and other travel documents.” The program’s ultimate purpose is to enable the travel of eligible Canadian citizens, permanent residents, and refugees. Preventing individuals who are ineligible or not entitled to a passport from obtaining and travelling under official documents is the obverse of this goal. A subset of applicants will be ineligible for reasons related to national security. Established pursuant to the royal prerogative on passports, the Canadian Passport Order (CPO) constitutes the main legal framework for the issuance of regular and temporary passports by the Passport Program. It provides the authority for IRCC to collect and use personal information, including biometrics, for the processing of applications and determining an individual’s entitlement to a passport. IRCC maintains that this collection is consistent with s. 4 of the Privacy Act, given that collection relates directly to the administration of a lawfully authorized program.
Specifically with respect to biometrics, s. 8.1(1) of the CPO allows IRCC to convert an applicant’s photograph into a digital format and insert it on the electronic chip in the ePassport. Section 8.1(2) facilitates the use of the FRS by authorizing the conversion of the photograph into a biometric template “for the purpose of verifying the applicant’s identity, including nationality, and entitlement to obtain or remain in possession of a passport.” This provision similarly authorizes the use of the System Lookout-Facial Recognition System (SL-FRS) described below.
As with the Immigration Program, the full range of benefits associated with biometrics extend beyond national security outcomes. According to IRCC, the “use of biometrics in the Passport Program does not per se constitute a security and intelligence activity.” Rather, as in the immigration context, biometrics serve identity management, with potential national security benefits downstream of that broader ambit.
Two identical, printed facial photographs, meeting certain International Civil Aviation Organization (ICAO) standards, must be submitted as part of applications for all Canadian travel documents. According to IRCC, all application information is transmitted via secure systems, and all facial recognition data traffic is secured through encryption.
The collected photograph is used for two purposes. First, it is screened using facial recognition to help establish identity and inform an assessment of the applicant’s eligibility and entitlement to Canadian travel document services. Second, it is embedded in the document and used by border officials to validate the identity of the holder when crossing an international border.
The applicant’s digitized photograph is transferred to the Facial Recognition Solution (FRS) application. The FRS then converts the image into a biometric template using a proprietary algorithm and stores it in an accompanying database. If the application is linked to a previous application, such as renewals or the replacement of lost or stolen passports, one-to-one facial verification is performed against the applicants’ previous template(s). For both renewals and new applications, one-to-many facial identification is performed against existing templates (approximately 55 million, from previous applications) in the FRS database from adult (age 16+) applicants and photographs supplied as part of the Passport System Lookout (SL). The SL-FRS , as it is called, is effectively a watchlist comprised of individuals who are considered high-risk for identity fraud, including those known to have a history of using false identities or multiple aliases, or who have otherwise been identified by security partners – including CSIS and the RCMP – as high-risk for such behaviour. The precise criteria or circumstances for inclusion on the list are not clear, and appear to be highly discretionary. IRCC caveats, however, that “only a small number of IRCC Passport Program officers have the ability to add entries to the list.” The list has been in operation since February 2018, and currently includes fewer than 100 individuals.
According to IRCC, the use of the FRS protects the integrity of the Canadian passport. IRCC cites 2016 ICAO guidelines on security in the issuance of travel documents noting that the issuance phase – or the “beginning of the chain” – is becoming the primary target for fraud given “the rapid development of new technologies and new security techniques” which make forgery increasingly difficult, including, for example, the security features associated with the ePassport.
The authority to refuse passport applications for national security reasons lies with the Minister of Public Safety, as per the CPO. Biometric screening through FRS may inform that decision-making process by detecting identity fraud or flagging individuals from the SL-FRS. No such decisions are automatic; individuals on the SL-FRS may still be entitled to a passport or travel document following review.
Preventing fraud (whether through deterrence or detection) in the issuance of official travel documents offers clear national security benefits. The movement of mala fide actors across borders threatens both international and Canadian security. While identity fraud is committed for a host of reasons – including criminal, financial, or personal – the possibility that terrorism, espionage, or other national-security threats may involve the misuse of passports is well documented. Again, rare events can have significant consequences.
The second fundamental usage of the collected biometric is by way of the ePassport itself during the course of international travel. When the passport is issued, the facial photograph is both printed on the biographical page and embedded as a digital image on an electronic chip within the document.
The embedded digital photograph enables three-way verification between the image on the passport, the image on the chip, and the person presenting the passport. Certain countries – including Canada (see the discussion of the PIK in paragraphs 125-137, below) – leverage facial recognition technology for this purpose. The result is greater confidence in a) the integrity and authenticity of the document, and b) that the individual presenting the document is the individual to whom it was issued. The chip is digitally signed using Public Key Infrastructure (PKI) techniques allowing for the verification of the document against the issuing country and to ensure that the data contained within has not been modified.
Photographs submitted as part of passport applications, as well as the biometric templates derived therefrom, are retained until an applicant has reached 100 years of age. IRCC assesses that this retention period is consistent with the practices of international partners (e.g., the United Kingdom and Australia), and balances, in their estimation, the need to issue secure, trusted travel documents with the requirements of the Privacy Act to retain personal information only for as long as necessary. Hard paper copies of the passport applications, including photographs, are retained for six weeks following conversion to digital format, and subsequently shredded.
The length of the retention period facilitates identity management as individuals renew their passports over the course of their lifetime. Each returning adult applicant (e.g. renewal, replacement, etc.) can be verified through the FRS against previous applications from the same individual. Similarly, one-to-many FRS screening includes templates from most adult applicants, maximizing the scope of detecting possible identity fraud.
IRCC discloses photographs and related biographic information collected by the Passport Program to other government departments (OGDs). Unlike in the Immigration Program, these disclosures are not systematic. Rather, they come in response to ad hoc requests from OGDs with criminal, national security, and intelligence mandates. The OGDs make the requests pursuant to their own legislation, and their scope is circumscribed by s. 4 of the Privacy Act. According to IRCC, the context of many of these requests is often the need for information regarding Canadians travelling abroad to engage in foreign conflicts or unlawful acts.
Such requests can involve confirmation or validation of biometric information provided by the OGD against passport records, or identifying individuals of security concern by processing a photograph provided by the OGD through the FRS. For example, the RCMP may identify a person of national security concern, but have only a photograph of the person (e.g. from their social media presence); CSIS may provide IRCC with a photograph of an individual they are investigating but cannot identify. Alternatively, the RCMP and CSIS may share photographs of known individuals with the IRCC. The purpose of these checks is to ensure the person has not obtained a passport under another identity. The IRCC states that, for the RCMP, the scenarios described herein may require the RCMP to obtain a Production Order, depending on the particular circumstances of the request.
In both cases, the IRCC converts the photograph provided by CSIS/RCMP into a biometric template and runs it through FRS. In the first instance, in the event of a possible match, the IRCC would return limited biographic and/or biometric information to the RCMP or CSIS to assist in confirming the person’s identity. In the second instance, the IRCC may validate the person’s previously known identity and confirm whether the person’s photograph is associated to any other identities logged by the Passport Program. The scope of information disclosed by the IRCC, in both cases, depends on the nature of the investigation and its authorities to disclose.
The IRCC discloses this information pursuant to s. 5 of the Security of Canada Information Disclosure Act (SCIDA), if applicable, or may rely on s. 8(2)(e) of the Privacy Act in the case of specific requests. Section 5 of SCIDA allows the IRCC to disclose information to the RCMP, CSIS and other specified institutions where it is satisfied that the disclosure will contribute to the exercise of the recipient institution’s jurisdiction in respect of activities that undermine the security of Canada. To disclose under SCIDA, the IRCC must also be satisfied that the disclosure will not affect a person’s privacy interest more than is reasonably necessary in the circumstances. In contemplating such disclosures, the IRCC affirms that it first obtains sufficient details to ensure these conditions are met. In other instances, such as when the disclosure is to assist a law enforcement investigation, the IRCC may rely on s. 8(2)(e) of the Privacy Act to provide specific investigative bodies with information they have requested in writing, for the purpose of enforcing Canadian law or carrying out a lawful investigation. Where a production order or warrant supports the OGD requests, section 8(2)(c) of the Privacy Act authorizes the disclosure of information for the purpose of complying with the warrant.
In addition to these disclosures to assist national security or law enforcement investigations, the IRCC may disclose information to the Department of Public Safety, where necessary to assist the Minister of Public Safety in rendering a decision under the CPO. Sections 10.1 and 11.1(2) of the CPO authorize the Minister of Public Safety to decide that a passport should not be issued, or that a current passport should be revoked or cancelled, when such action is necessary to prevent the commission of a terrorist act or protect the national security of Canada or a foreign state. By virtue of this authority, the IRCC may collect information on an ongoing basis to verify an individual’s continued entitlement to possess the document. The IRCC also relies on the CPO to disclose, to the Minister of Public Safety, information necessary to support his decision on such matters. In practical terms, this includes IRCC’s disclosure of the relevant passport application, including the digitized photo, to Public Safety. Section 5 of SCIDA and section 8(2)(a) of the Privacy Act (on consistent use) further support these disclosures.
A significant source of public concern regarding the use of facial recognition is the possibility that the technology will be inaccurate. In the passport context, false positive identification could lead to inconvenience and/or additional investigative attention for individuals. False negatives, by contrast, worry operators, as they potentially undermine the security benefits of the system.
The FRS has certain natural advantages with respect to accuracy. First, it predominately uses high-quality probe images (templates extracted from passport photographs taken according to ICAO specifications) and searches them against the same (a gallery populated by templates extracted from passport photographs). Exceptions are the images on the SL-FRS and images supplied by OGDs for checking against FRS, which may be of lesser quality. Second, the matching process is not time sensitive (as would be the case in a live environment such as a POE). Adjudication – triage, analysis, and investigation – of possible matches (one-to-many) or non-matches (one-to-one) can be conducted thoroughly before any decisions are made which affect individuals.
A related concern is that certain groups will be disproportionately affected by system inaccuracies. Extant research has demonstrated that age, gender, and ethnicity, among other factors, may influence the ability of a facial recognition system to accurately identify individuals, leading to possible bias and discrimination.
IRCC employs several mitigation measures. First, enrolled templates are stored in one of six separate galleries according to age (adults 16+ and children under the age of 16) and self-identified gender (male, female, or other). Age and gender are known to be confounding factors in facial recognition; separating the database into galleries according to these characteristics allows thresholds to be adjusted as necessary to improve the performance of the system.
In January 2021, IRCC completed an evaluation of a next generation algorithm for possible use in FRS. The results were favourable in terms of the accuracy observed in testing, and implementation of the new algorithm is set for 2021-22. Specifically, the new algorithm demonstrated superior performance in terms of age and gender disparity as compared to the algorithm currently in use. The new algorithm demonstrated improvement in matching photographs taken at lengthy time intervals (e.g. 15 years), which is directly relevant to passport renewals. The testing did not evaluate, however, the algorithm’s performance with respect to race and ethnicity.
IRCC provides public information regarding the use of facial recognition in the passport application process. The photograph guidelines posted on the IRCC website state that “The [ICAO] recommends that passport photos be taken with a neutral expression. This lets us use facial recognition systems to help prevent fraud.” Similarly, a Privacy Notice Statement is included on passport application forms, describing the collection, use, disclosure and retention of personal information, including biometrics.
The biometric embedded on the electronic chip in the ePassport does not constitute a significant risk or expansion beyond what was included in analog passports prior to the ePassport’s implementation. What is on the chip – the facial image and biographical information – is also on page 2 (the biographical page) of the physical document itself.
By contrast, the issuance process – including the use of FRS – directly implicates both biometric information and national security considerations. Preventing mala fide actors – including those posing a threat to national or international security – from obtaining bona fide travel documents warrants stringent processes and security measures during the issuance phase. At the same time, information collected and used in the context of the issuance process will impact all individuals – millions of Canadians and individuals living in Canada – who apply for a passport or other official travel document.
The key consideration is whether the privacy impact of the FRS is commensurate with the benefit to national security associated with its collection, use, retention, and disclosure of biometric information.
The OPC’s recent investigation into the RCMP’s use of facial recognition services supplied by the private firm Clearview-AI is worth considering in this context. In that case, the OPC found that the RCMP’s leveraging of biometric information collected by Clearview-AI from social media and other internet sources violated the Privacy Act because Clearview-AI’s collection of that information had been unlawful. More relevant for the present discussion, however, is the OPC’s characterization of the practical effect of law enforcement’s use of Clearview AI, which meant that “billions of people essentially found themselves in a ‘24/7’ police line-up.” That is, the existence of their biometric information in a database available to law enforcement meant they were subject to identification by law enforcement at any time.
In national security investigations, there may be different policy justifications, security benefits, and disclosure limitations that render use of the IRCC’s passport database proportionate. The disclosure of this information by the IRCC to the RCMP is also supported by law (see paragraph 111). The connection between passport biometrics and the investigations and activities of the RCMP, CSIS and CBSA remains a striking example, however, of the connections made possible by biometrics. Moving forward, NSIRA may wish to review these arrangements, to assess their reasonableness and necessity in terms of balancing individual interests (privacy, liberty, etc.) and the state’s security goals.
The Passport and Immigration programs are the major programs governing Canada’s border continuum. Together, they help manage the processes by which individuals enter the country, largely by providing the documentation that makes international travel possible. Related to these larger programs is the actual process of arriving at a POE and going through Canadian customs and immigration. While the above discussions of both Immigration and Passport touched on these processes, this section discusses two additional activities that involve the analysis of biometric information to verify the identity of individuals arriving into Canada.
Primary Inspection Kiosks (PIKs) are automated, self-serve kiosks present at ten major Canadian airports. The kiosks facilitate the immigration and customs process for international arrivals into Canada.
As discussed in relation to the Immigration Program, biometrically-enrolled foreign nationals are subject to biometric verification upon arrival into Canada. At airports equipped with Systematic Fingerprint Verification (SFV), this occurs through PIKs. Additionally, PIKs validate ePassports and help verify the identity of ePassport holders (including Canadians) using facial recognition (one-to-one matching) technology.
In 2019, PIKs processed 21,853,422 individuals, an average of 59,872 travellers per day. This means that most individuals – whether Canadian or foreign – arriving in Canada by air have their biometrics analyzed in some way (either as biometrically-enrolled foreign nationals, ePassport holders, or both). CBSA derives its authority to collect information from individuals as they arrive in Canada from s. 11 of the Customs Act and ss. 15 and 18(1) of the IRPA.
The PIK facilitates risk assessment by sending passport and biographical information to CBSA for processing in real time. CBSA uses the information to check the traveller against existing traveller processing systems. This includes the Interdiction and Border Alert System and the Integrated Customs Enforcement System.
According to CBSA, all information passes between the PIK and CBSA through an encrypted tunnel and is purged prior to the next traveller using the device.
The use of the facial photograph embedded on the ePassport’s electronic chip is for identity verification at the kiosk and during primary inspection. Facial recognition – or facial “matching” as it is called by CBSA in this context – occurs on a one-to-one basis by extracting the digital photograph from the chip and comparing it to a live photograph of the traveller captured by the kiosk. A match score is generated, based on the vendor’s proprietary algorithm, and the score is sent to the CBSA to determine whether it is above or below a pre-determined threshold. The result is printed on the PIK receipt. The CBSA itself defines the match/no-match threshold; it is not determined by, nor shared with, either the vendor or Airport Authorities.
The PIK receipt also includes the facial photograph taken by the kiosk. The traveller presents the receipt to a Border Services Officer (BSO); in the event of a no-match, the BSO may correct obvious non-technical errors (for example, one individual was photographed twice as part of a group of two travellers) through visual verification, ask additional questions, and/or refer the individual to secondary inspection on a discretionary basis.
The inclusion of the photograph on the receipt was a significant issue in the 2012 PIA conducted for the PIK project. CBSA justified the practice on the basis of efficiency (quicker processing by the BSO collecting receipts) and security (preventing receipt swapping prior to egress at primary inspection). The PIK receipt – including the printed photograph – is retained by CBSA for seven years. The OPC expressed concerns regarding this retention period given the presence of the traveller’s photograph. In essence, the retention of these photographs constitutes a database of (nearly) all travellers who enter Canada. While CBSA asserted that the photographs are not searchable nor used for facial recognition purposes, OPC noted the sensitivity of retaining biometric information in centralized databases and has urged CBSA to consider mitigation strategies.
The CBSA details the necessary specifications and requirements for PIKs, but relies on Airport Authorities to procure both the hardware and software (including the algorithm used for facial matching). This means that different versions exist at different airports across Canada. The accuracy of the facial matching process consequently varies between locations. The algorithms are proprietary, meaning CBSA does not have visibility into precisely how they operate, though it does have access to data on accuracy and performance through the US Department of Commerce’s National Institute of Standards and Technology (NIST) as well as from in-house performance testing.
In 2020, CBSA evaluated the performance of the four face-matching algorithms integrated in the three kiosk designs currently in use, and determined that opportunities existed to improve performance in certain airports by adjusting facial matching thresholds. The testing similarly examined issues of possible demographic bias. The results suggested that small discrepancies along the lines of gender (lower matching rates for females) and age (lower matching rates for younger and older) did exist in airports using a particular algorithm. Recommendations for mitigation included shifting vendors and/or setting gender-specific match thresholds, though the latter option was considered potentially problematic in terms of inviting higher false positive match rates.
Public reporting has expressed concern that higher facial matching error rates for certain ethnicities might result in more frequent referrals from PIKs to secondary inspection. It has been observed, for example, that rates of referral are higher for nationals from Iran and Jamaica, as compared to countries such as Iceland and Denmark. The CBSA indicated to NSIRA that no referrals to secondary inspection occur as a result of the facial matching process (i.e. there are no referral codes associated with facial matching leading from the PIK to secondary inspection). In practice, however, a failed match will lead to greater scrutiny as a BSO at primary inspection assesses the reason for the failed match. It is possible that discretionary referrals to secondary occur as a result; the CBSA does not track statistics associated with this scenario.
CBSA is aware of concern regarding possible bias associated with higher facial match error rates for certain ethnicities, and points to improvements in the overall accuracy of algorithms that will help close any gaps in performance across demographic categories. Further, CBSA notes that its “work in this area is nascent and is not yet conclusive with significant work still to be conducted.” Given the significance of the public interest and concern associated with possible bias, NSIRA encourages CBSA to continue its work in this area. In addition to technical solutions aimed at further closing identified gaps, an examination of the implications of facial matching errors on travellers might suggest policy solutions to mitigate any possible disparate impacts.
The PIK will continue to play an integral role in future applications of biometric technology at Canada’s international airports. As noted in the CBSA’s 2021-22 Departmental Plan, the agency is set to integrate the PIK into new applications of mobile technology with the aim of further streamlining the customs and immigrations arrival process.
NEXUS is a voluntary trusted traveller program intended to expedite border crossing between the US and Canada for preapproved, low-risk travelers (“NEXUS”). Section 11.1(1) of the Customs Act authorizes the Minister to administer such programs, by allowing him to authorize persons to present themselves at the border “in an alternative manner.” The program is jointly managed by CBSA and US Customs and Border Protection (CBP). As mentioned in Section 4, although NEXUS began as a pilot initiative prior to 9/11, it was expanded and implemented following the attacks with an eye toward robust identity verification and traveller facilitation in the context of enhanced border security.
In 2019, NEXUS underwent a “modernization” process, which saw the adoption of the PIK facialmatching model into NEXUS-dedicated kiosks for air arrivals, replacing iris scans with facial matching as the biometric modality for identity verification. In order to facilitate facial matching, CBSA collects the biometric from electronic passports, stores it in the NEXUS database, and uses the photograph to verify identity during travel. The process is similar to how the PIK operates in other traveller streams and produces roughly similar outcomes. The main difference here is that the photograph taken at the kiosk is matched against the traveller’s image in the NEXUS database. NEXUS’ purpose in using the passport photograph is the same as in the regular PIK process: to verify the individual’s identity prior to allowing them admission into Canada. NEXUS’ use of the passport photograph was preferred because the image provides better facial recognition matching (given that it was taken according to ICAO specifications) as compared to the membership photograph (taken by border services officers under varying conditions – light, background, distance, etc.). NEXUS participants are informed of the extraction of their passport photograph for facial matching purposes.
NEXUS’ voluntary nature, and the consistent purpose of using the passport photograph within NEXUS to facilitate identity verification and travel, renders this second use of the ePassport photograph reasonable in NSIRA’s view. The consistency of purpose between the programs also respects the norms and the requirements of sections 7 and 8 of the Privacy Act.
The use of the passport photograph for facial matching within NEXUS is nevertheless noteworthy as an example of when it has been beneficial to use an existing biometric in an additional program. The dual-use of biometrics in this case is relatively benign, but the dynamic which produced it – that is, the convenience, availability, and possible value-added (accuracy in identification) of existing biometric information – is likely to be common to scenarios which may be of more concern, as discussed below (see paragraphs 191-201, below).
We expect the landscape detailed in the preceding sections of this report to change significantly in the short-, medium-, and long-term. In this section, we highlight select projects and initiatives to illustrate how biometrics in the border continuum are likely to evolve, and to mark key points of consideration for Canadians – and NSIRA – as we move into this unfolding technological future.
The GoC has publicly committed to continued research, development, and deployment of biometric technologies in the border continuum. For instance, Budget 2021 allocates $656.1 million over five years (beginning in 2021-22) and $123.8 ongoing to the CBSA for the “modernization” of Canadian borders. CBSA “proposes to utilize new technologies, such as facial recognition and fingerprint verification” as part of such efforts.
The agency has announced the creation of an Office of Biometrics and Identity Management (OBIM) under a newly formed Biometrics Transformation Directorate (BTD) within the Chief Transformation Officer Branch (CTOB). CBSA indicated to NSIRA that the purpose of the BTD is to coordinate biometric initiatives (including design, implementation, and operation) across the agency. In addition to its coordination role, OBIM will act as a Centre of Expertise and focal point within CBSA for guidance on the appropriate use of biometrics. This will include developing and managing CBSA’s biometrics governance, risk and compliance framework. A June 2021 Notice of Proposed Procurement (NPP) solicited proposals from contractors for aid in establishing the OBIM and “to work with the [CBSA] in researching, planning for and rapidly developing a strategy and roadmap related to the use of Digital [sic] solutions enabled by supporting technologies in biometrics, in response to the COVID 19 situation and other operational priorities.” The proposal further specified that the successful contractor would aid in “the development of a comprehensive approach and plan to manage, evolve and adapt in using biometrics” to fulfill CBSA’s mandate and objectives. As part of this coordinating function, the OBIM will review current steady-state biometric activities and make recommendations where necessary for aligning them with overarching CBSA standards and objectives.
With respect to immigration, CBSA’s Departmental Plan 2021-22 commits to “explor[ing] measures to standardize the collection of biometric information on potentially inadmissible travellers to strengthen compliance verification at the border.” In July 2021, IRCC released a tender notice soliciting industry information regarding the procurement of a next generation Canadian Immigration Biometric Identification System (CIBIDS). The new system will “take advantage of the latest technologies […] to modernize [IRCC’s] biometric technology solution” and may include the “design and development of a new IRCC custom Biometric Collection Solution.”
“Next generation” development is occurring in the Passport Program as well, with “a new passport booklet, incorporating advancements in technology to enhance the document’s durability and security features” aimed, in part, at “alignment with documents issued by our Five Nations Passport Group partners.” Phased rollout of the new ePassport will occur between 2023 and 2024.
Passport issuance, similarly, is undergoing “modernization”, as part of an ongoing process initiated in 2013 to facilitate the transition of the Passport Program from the Department of Foreign Affairs, Trade and Development to CIC (now IRCC). The Passport Program Modernization Initiative (PPMI) is a multi-year project that is scheduled to be completed in 2023. PPMI intends to streamline “all aspects of Passport Program operations” and “keep pace with evolving international passport issuance and identity management best practices.” The initiative also aims to systematize passport services across intake locations, and lay “the foundation for online passport services and automation to improve the service experience.”
In June 2020, IRCC issued an NPP for a “Passport Digital Services Project” that “will allow Canadians to apply online for passports, using a computer, tablet or mobile device, as a convenient alternative to mail-in or in-person service options.” The procured platform will transmit passport applications – including digital photographs – from individuals to IRCC. Media reporting in early 2021 indicated that IBM was selected as the successful bidder. The proposed system has generated privacy concerns, particularly with respect to transmitting biometric information (digital photographs) over a private platform. We can expect the tension illustrated here, between convenience and privacy, to be a key theme in public conversations surrounding new biometric activities in the coming years.
In this vein, CBSA’s Department Plan 2021-22 highlights several experimentation and innovation initiatives involving mobile technology (e.g. smartphones), including “explor[ing] digital identity concepts and opportunities to pilot digital identity in the travel continuum from a border management perspective.” Digital Identity refers to paper-less identification, whereby trusted and secure digital proof of one’s identity replaces traditional, physical documentation (e.g. passports, driver’s licenses, etc.).
A Digital Identity is typically linked to an individual through biometrics. ICAO’s first iteration (Type 1) Digital Travel Credential (DTC), for example, “binds” a traveller to their Digital Identity by way of the biometric embedded in the ePassport, limiting the need to produce the physical document during travel. The DTC is an international project that, while coordinated by ICAO, includes input from jurisdictions around the world and encompasses several future iterations (Types 2 and 3). IRCC and CBSA are currently members of ICAO’s New Technology Working Group (NTWG) and the NTWG’s Digital Travel Credentials (DTC) sub-group. Ultimately, the long-term vision of the DTC project is to replace physical passports with Digital Identity “tokens” (which would include the facial photograph from the ePassport) stored on mobile devices.
As discussed in Section 4, IRCC and CBSA’s FASTER-PrivBIO Project (2015-2017) also explored the use of identity “tokens,” stored in a mobile application, in the context of Electronic Travel Authorizations (ETAs). FASTER-PrivBIO closed in 2017, and “Phase II” of the project became the Chain-of-Trust (CoT) initiative, led by CBSA in collaboration with IRCC, Defence Research and Development Canada (DRDC), the University of Ottawa, and industry partners.
CoT further explored the adoption of mobile technology in the eTA process, while also expanding to include other steps in the travel continuum. As described in CBSA’s Blueprint 2020 Report (published in December 2018):
[t]he Chain of Trust process would require travellers to download an app to their smartphone and create an account including a unique identifier built from their biometrics. At every stage of the trip – from flight reservation, to obtaining a boarding pass, to disembarking the plane – the traveller’s data would be collected and used to speed up the traveller’s passage. Just before landing, the traveller would create an e-declaration and digitally sign it using biometric facial verification. Upon arrival, cameras would match the biometric face to the traveller’s unique identifier.
The purpose of the process, ultimately, is to enhance risk assessment. Linking traveller information to traveller identity throughout the travel continuum (including by using facial recognition as an individual moves through the airport) facilitates the flow of low-risk travellers (including by minimizing touch-points with border control, a feature that will take on additional significance in the context of post-COVID 19 travel), while enhancing the detection of possible high-risk travellers.
In 2018, a simulated prototype demonstrated the basic features and process flow of the CoT to Canadian government officials. While the prototype project closed in 2019, the overarching CoT initiative continues, as per CBSA’s 2021-22 Departmental Plans, through the deployment of “small-scale minimum viable products to assess feasibility in a live environment and obtain user experience feedback.” The stated goal of CoT remains the streamlining of “traveller identification through the use of digital travel credentials and biometrics.” Notably, CoT is explicitly aligned with other international initiatives and projects, including ICAO’s DTC, reflecting the extent to which coordination exists in the broader ecosystem of biometric experimentation.
To be clear, the features of CoT described above do not reflect current practice at the border, nor do they represent commitments from CBSA (or any other GoC entity) regarding what the traveller experience will look like in the future. By the time the CoT, some version of it, or a new project operating in similar terrain, is implemented, the specifics of how biometrics verify identity or travellers move through the airport may have significantly changed. Nonetheless, the trend lines are apparent, as Digital Identity, mobile technology, and biometric verification converge on the traveller experience.
An additional example is the Known Traveller Digital Identity (KTDI) pilot project, led by Transport Canada (TC) in collaboration with the World Economic Forum (WEF), the government of the Netherlands, and commercial partners. In 2018, Canada announced its participation in the WEF’s broader KTDI vision and, in 2019, committed to a proof of concept pilot project which would operate between Canadian (Toronto-Pearson and Montreal-Trudeau) and Dutch (Amsterdam-Schiphol) airports on Air Canada and KLM Royal Dutch Airlines flights.237 This project may access required funding under Budget 2021, which proposes $105.3 million over five years to develop an approach to digital identity for air travellers.
KTDI will combine blockchain technology and facial recognition to “provide a seamless and secure air travel experience facilitated via a mobile application.” Travellers will have their facial photograph captured for one-to-one matching against their ePassport photograph at different touch points in the travel continuum (e.g. boarding and customs). They will be able to “push” their information (including their facial biometric) to relevant partners (e.g. airlines or Dutch or Canadian customs) at their own discretion, or revert to conventional identity verification (e.g. ePassport) at any time. While TC will interface with CBSA to conduct checks on ePassports at enrolment (to verify authenticity and ensure that the document is not lost or stolen) no passenger risk assessments will be conducted.
At the time of writing, the pilot is not yet live. The COVID-19 pandemic has impacted both the project’s timelines and its operational context. Originally, part of the rationale for KTDI was to accommodate increasing traveller volumes; although the pandemic has led to a decrease in travel volumes, it has also amplified the need for low-contact, ‘touchless’ travel. Indeed, the budget commitment noted in paragraph 156 was linked to the GoC’s investment in “safe air travel […] that limits transmission of COVID-19 and protects travellers.” For present purposes, the KTDI is important for what it suggests about the general trajectory of biometrics in the air travel and border continuum.
The Canadian KDTI pilot traces its origins to the broader KDTI vision articulated by the WEF. In the WEF’s KTDI concept, passports would effectively be replaced with digital credentials stored on mobile devices, while facial recognition-enabled gates (often referred to as smart gates or egates) would allow passengers to transit through airports from arrival to boarding to customs and exit with little to no interruptions. Other elements of the travel experience – for example hotel and car rentals, or shopping at duty free – would also be incorporated. Over time, travellers would compile a trail of interactions – or “attestations” – from various entities (border control, commercial entities) that cumulatively built trust in that individual. Risk profiles, supplemented by security screening, would help determine the level of scrutiny applied to a traveller by relevant authorities. Further, the Digital Identity “wallet” (encrypted mobile application) would include more than just passport information and biometrics, storing bank information, health records (including proof of vaccinations), educational degrees, credit scores, etc.
This broader vision is ambitious. The Canadian KTDI pilot – even as it evolves to reflect post-COVID priorities – is decidedly more circumspect in its aims. TC was clear in communications with NSIRA that the pilot (while including the WEF as a partner) is distinct from, and not beholden to, the broader WEF vision. Yet the sheer ambition of the latter indicates a probable trend in the future of international travel. As this report has demonstrated, the use of biometrics tends toward expansion over time. Concomitant advances in mobile technology – including the development of secure Digital Identity platforms, predicated on biometrics – find natural application in the border continuum, where identification is key and, increasingly, so is convenience.
However, enhanced convenience continues to rub up against privacy concerns, particularly with respect to facial recognition technology. A robust public debate is emerging regarding the legal authority for the use of facial recognition in public spaces. Jurisdictions around the world are grappling with how to manage the proliferation of facial recognition technology, in some cases issuing moratoriums or outright bans on new applications of the technique until its implications are properly considered and new legal and/or regulatory frameworks governing its use are established. The OPC’s recent investigations into the use of Clearview-AI by the RCMP reflect the Canadian salient of this broader conversation.
The basic contours of the debate are whether existing frameworks for the handling of personal information (in some cases drafted decades ago, before the advent of facial recognition and other biometric technology) are adequate or whether specific legislation is required, designed explicitly for facial recognition. Greater specificity in legislation would enable standards to be set as to when the use of facial recognition is appropriate and proportional. It would also enhance the transparency of the norms set by Parliament and provide public information about the circumstances in which Parliament considers facial recognition to be lawful and reasonable in promoting security and convenience in Canadian society.
The OPC is currently drafting new privacy guidance on biometrics, for both the public and private sector, intended to shape how the technology is applied moving forward. While the border context is distinct from other public settings when it comes to privacy, applications of biometric technology at the border cannot be exempt from emerging legal and societal norms. The development of new activities must be aware of such challenges, and account for shifts in the legal and regulatory landscape.
Public concern is likely to be most acute with respect to live capture facial recognition, in the vein of the FOTM pilot discussed in Section 4. Static, one-to-one verification of identity at mobile kiosks – for example as currently takes place at PIKs – is well-established, and allows travellers to know when facial recognition is being used. Roving, one-to-many identification – in which biometrics are captured at a distance – are the source of more anxiety. Consider, for example, the legal challenge to the use of this type of facial recognition in the UK and the multiple calls for moratoriums with respect to the use of facial recognition in public places.
Given the developments described above, NSIRA expects that biometric information will be systematically incorporated into the traveller experience across the border continuum moving forward. Security considerations and general identity management will remain important, but so too will traveller convenience and, in the wake of COVID-19, ‘touchless’ or decongested travel. The use of mobile technology and Digital Identities reflect broader societal trends that are particularly well-suited for application in the border continuum. Informed consent, and/or specific, transparent legal authorities are important considerations for ensuring that such applications occur lawfully and with sound public understanding surrounding when biometrics are collected, how they are used, and how they are protected when in the possession of the government.
This report has documented and described the GoC’s use of biometrics in the border continuum. The scope of these activities is large and growing. For government, biometric information offers a firm foundation for identity management. At the same time, civil society groups, academics, and other concerned Canadians worry about the privacy implications of the government collecting, using, retaining, and disclosing information about immutable physical characteristics. The fundamental purpose of the present study was to inform this ongoing conversation, to both demystify present government activities and evaluate them from NSIRA’s unique, crosscutting perspective. In this final section, we leverage that perspective to articulate our observations according to nine general themes.
Biometrics enhance identity management; identity management at the border in turn serves national security. As outlined in Section 4, the impetus for the expanded collection and use of biometrics, particularly post-9/11, was their purported national security benefits.
Nonetheless, the centrality of national security as a justification for biometric activities has waned over time relative to other objectives.
First, there were the broader benefits associated with identity management, including assessing admissibility and entitlement, preventing fraud, and introducing efficiencies into service delivery. Of note, the CBSA and IRCC do not currently characterize their steady-state biometric activities primarily in national security terms. The Passport Program’s purpose is to enable the travel of eligible Canadians, while the Immigration Program’s purpose is to manage the flow of foreign nationals into Canada, the vast majority of whom arrive for legitimate reasons. Biometrics are information about individuals that facilitate these functions. The benefits to national security, in each instance, are a consequence of the robust identity management to which biometrics contribute. More recently, traveller facilitation has risen to the fore, with programs and pilots incorporating biometrics and mobile technology in pursuit of “seamless” and “touchless” travel (the latter of particular interest given COVID-19).
Although biometrics extend beyond the national security domain, the national security outcomes they support are undeniable. Part of identity management is identifying mala fide actors, including possible terrorists, Canadian extremist travellers, and other national and international security threats. Biometric screening for both immigration and passport applications, for example, includes querying databases (domestic and foreign) that may return information pertinent to national security (e.g. presence on a watchlist, suspected terrorist activity, previous national security convictions, multiple identities, etc.).
The assessment of these programs’ proportionality must therefore be done in light of the full panoply of benefits that biometrics contribute to Canada’s activities at its border. This includes their benefits for identity management in admissibility and passport decisions, traveller screening, and also national security.
As pertains to areas for future NSIRA review, the present study’s overview of the border continuum highlighted several possibilities:
The collection of biometrics at Visa Application Centres (VACs). Here the national security concern stems from personal information – including biometrics – passing through VACs operating in high-risk jurisdictions and run by private contractors and sub-contractors. A review of VACs would include the risks associated with the collection and transmission of biometric information, but also cover the broader security arrangements and national security implications pertaining to the overall operation of such locations.
Instances where biometrics link information across databases for national security purposes. For example, when automated querying occurs with M5 partners in the immigration context, what are the statistics and other metrics associated with national security outcomes (e.g. information that leads to a decision of inadmissibility on IRPA s. 34 grounds)? What about case-by-case exchanges with M5 and other partners that occur because of national security concerns? Finally, what role, if any, has biometric information played in cases where the Minister of Public Safety has denied, revoked, or cancelled a Canadian passport for reasons of national security? These examples illustrate the potential for review of national security activities made possible by biometrics. In such instances, the balance between privacy and security – between protecting sensitive personal information and the security objectives of the state – suggests a clear role for NSIRA in terms of reviewing lawfulness, reasonableness, and necessity.
Other situations where biometrics collected for one purpose are subsequently used for any other program or purpose (see the discussion of dual-use in paragraphs 191-201, below).
Overall, the GoC’s steady-state biometric activities in the border continuum are well-supported by current legal authorities and are consistent with international practice.
The IRCC and CBSA’s use of biometrics in their steady-state programs is well-established and supported by detailed, statutory authority. Canada’s collection and verification of fingerprints and facial photographs in the immigration context is also consistent with that of other M5 members. By design, the use of fingerprints facilitates information sharing with the M5, who similarly collect fingerprints in support of their own immigration programs and to enforce domestic immigration law.
The Canadian ePassport, similarly, adheres to standards established by the International Civil Aviation Authority (ICAO), which mandates the use of facial photographs as a biometric measurement. Globally, more than 140 countries currently use ePassports based on ICAO specifications, making the system interoperable and facilitating international travel for Canadian passport holders. The use of facial recognition in the passport application process is consistent with ICAO guidelines and best practices on the issuance of travel documents.
The legislative framework for the steady-state activities provides a solid basis for the collection, use, retention and disclosure of biometrics as part of the GoC’s immigration and passport programs. Nonetheless, there may be more targeted areas of concern, as articulated below.
The use of biometrics in the border continuum has significantly expanded over the last three decades, and is likely to continue expanding in the future. The trend is driven, in part, by advancing technological capabilities and evolving challenges in identity management.
Beginning with asylum claimants and deportees in 1993, the collection of biometrics now covers all non-exempt foreign nationals entering Canada and, through the passport program, all Canadian citizens who apply for a passport as well as permanent residents who apply for a Certificate of Identity and refugees who apply for a Refugee Travel Document. The Biometric Expansion Project was initiated with the expressed aim of widening the scope – collection, sharing, and use – of biometrics. The M5 partners meet regularly in working groups to refine and enhance (frequently, to extend) the immigration information that is shared between them. Pilot and research projects conducted within the last several years have examined the use of facial recognition technology in airports, while others have explored the integration of mobile technology into biometric identity management in the travel continuum.
Undoubtedly, developments in technology drive some of this momentum. We can do more, so we do. Leveraging new capabilities to enhance program delivery is a legitimate objective. At the same time, however, such technological determinism cannot justify the collection of sensitive information in its own right. New biometric activities must be justified according to the necessity and proportionality of collecting and using biometrics for intended objectives.
Also at play is the impetus to keep pace with other jurisdictions. As countries around the world expand their biometric activities, it is natural for Canada to do the same; doing so facilitates global travel for Canadians, makes it easier for non-Canadians to travel to and through Canada, and helps Canadian officials identify possible security risks (as in M5 information-sharing). Yet keeping up with others, even Canada’s close international partners, is not on its own a valid justification for the expanded collection and use of sensitive personal information. Again, each new activity must be assessed, and justified, independently.
Exploiting the possibilities created by technological developments and keeping pace with other jurisdictions cannot justify the expanded use of biometrics in their own right. New biometric activities must be justified according to the necessity and proportionality of collecting and using biometrics for particular, intended objectives.
Pilot projects and initiatives raise more concerns than do steady-state activities, as they risk being implemented on an experimental basis, without sufficient legal analysis or policy development. These projects represent an area of continued interest for NSIRA.
Pilots are vehicles of expansion: a forum for new techniques and technologies that may strain the proportional balance between the government’s goals and intrusions on personal privacy. Furthermore, there tends to be less public information available to Canadians about pilot activities. In this report, we describe several such projects, though it was beyond the scope of our emphasis on current activities to determine whether any single pilot was proportionate in terms of its collection and use of biometrics.
Nonetheless, an illustration of the challenges and possible concerns associated with pilots is provided by the Faces-on-the-Move (FOTM) project. The pilot relied on legislative authority under sections 15-18 of the IRPA; yet, these provisions were drafted before facial recognition technology was contemplated. NSIRA is not satisfied that sections 15-18 of the IRPA provide clear authority for the collection of travellers’ facial biometrics, particularly prior to – and away from – the point of formal examination. In the future, legal advice should be sought to ensure that any similar activities are well-founded in the CBSA’s legislative authorities and consistent with the requirements of s.8 of the Charter. Attention must also be paid to the policy framework governing pilot activities to ensure the proper characterization of the affected personal information. Privacy notice statements and public signage should also ensure an appropriate degree of public transparency about the deployment of new technologies and the purposes for which they will be used.
Pilot projects that entail the collection of private or personal information must receive commensurate legal and policy attention. Despite the temporary or experimental nature of a project, NSIRA expects that departments will conduct the analysis necessary to ensure that legal authority is in place to conduct the activity, and that the attendant collection, use, retention and disclosure of personal information is well-governed by policy.
The public debate surrounding legal authorities questions whether existing standards and protections are sufficient for regulating biometric activities or whether new standards and protections are required.
This debate is growing, especially as relates to facial recognition technology. Biometrics are personal information, but they have particular features that may set them apart: they capture immutable personal characteristics, they allow for reliable identification at a distance, and they act as unique identifiers that can be used to discover and connect information about individuals across multiple datasets. The question is whether it is appropriate to treat biometrics as being commensurate with other personal information collected by the government in the course of its programs and activities. Are specific legal regimes necessary to create standards that appropriately reflect the potential intrusiveness and sensitivity of certain biometric data, and ought there be specific use limitations beyond those currently applicable by virtue of the Privacy Act?
The Office of the Privacy Commissioner (OPC) commented on this issue in the context of its recent investigation into the RCMP’s use of facial recognition via the private firm Clearview AI. “Canada’s privacy laws were designed to be technology neutral”, wrote the OPC, “which is positive, given the pace of technological change compared to that of legislative modernization. However, the risks of [facial recognition] technology are such that […] specific rules may be warranted.” The report further noted that many jurisdictions around the world have developed privacy laws which specifically regulate biometric activities. Quebec is presently the only Canadian jurisdiction to have enacted a law that specifically addressed biometrics. Other jurisdictions are calling for, or implementing, outright bans on facial recognition technologies. The European Data Protection Supervisor, for example, has called for a ban on facial recognition in public spaces, arguing that such applications constitute a “deep and non-democratic intrusion into individuals’ private lives.”
Civil liberty organizations have been vocal in raising concerns about biometric activities, as have academia and the media. Governments, meanwhile, can benefit from new capabilities and innovation in pursuit of program objectives, but must do so in a way that respects fundamental human rights. The tension at the core of this debate – how to achieve government objectives efficiently and effectively, while safeguarding individuals’ privacy – is familiar. It is the tension manifest in national security activities more generally, as society balances individual rights against collective protection. In the present context, this evergreen dilemma is catalyzed by advancements in technology, which widen the government’s toolkit while also widening the scope of possible intrusion on individual privacy, specifically the collection and use of sensitive personal data. Moving forward, the question of how biometric activities are designed, implemented, and regulated will be determined, in part, by shifting societal norms, established legal principles (including Charter considerations), and long-standing Canadian values associated with democracy and individual rights.
While the border is, comparatively, a space in which greater intrusiveness is considered reasonable, the boundaries of those justifications are not limitless, and will require careful calibration. For NSIRA, as for other review bodies, evolving legal and societal norms will shape how considerations such as compliance and reasonableness ought to be applied.
Dual-use refers to when biometrics collected for one purpose are subsequently used for any other program or purpose. The logic is appreciable. Biometrics constitute robust identifying information about individuals; if they are useful in one context, they are likely to be useful in another. However, this dynamic constitutes one of the main privacy concerns associated with biometrics.
NSIRA observed several instances of possible dual-use of biometric information in the activities examined in this report.
First, photographs collected under the Passport Program are also used for facial matching purposes in NEXUS.
Second, fingerprints collected from foreign nationals as part of immigration applications become searchable by law enforcement in the course of criminal investigations. While the RCMP maintains separate repositories for immigration fingerprints and criminal fingerprints, both are searched when law enforcement submit fingerprints for identification purposes.
Third, CSIS, RCMP and CBSA can submit photographs to IRCC to have them checked against passport and travel document application photographs using facial recognition. This can occur in the context of national security or law enforcement investigations in an attempt to identify an unknown individual, to determine if a known individual has multiple identities, and/or to assist in the execution of a warrant.
Dual-use does not always present a compliance issue. Indeed, many such uses are well-supported in law given the “consistent use” standard in s. 8(2)(a) of the Privacy Act, the ability for certain institutions to request personal information under s. 8(2)(e) of the Privacy Act, and other sector-specific legislative provisions (see, for example, paragraphs 85, 109, and 112, which outline the authorities that govern the law enforcement uses discussed above). With respect to NEXUS, in particular, the use of passport photographs is a clear consistent use (see paragraph 140). Privacy concerns are further muted given the program’s voluntary nature and individuals’ prior consent.
However, even where they pose demonstrable benefits, new uses of previously collected biometrics must be carefully considered to ensure their reasonableness and proportionality. In addition, all new uses must be justified and well-authorized in law.
Though authorized by law, the situations in which biometrics collected in the border continuum are leveraged for purposes outside of that continuum (such as when investigative agencies use biometric information initially compiled for immigration or passport purposes) may be worthy of particular scrutiny. NSIRA may return to these cases as it contemplates future review of biometric activities.
Additionally, the principle of “purpose limitation” may be a way of guarding against unjustified dual-use in the context of biometric activities.
Purpose limitation involves explicitly stipulating the specific purpose for which the collected biometrics will be used, with a commitment to not use them for any additional purposes in the future. It is well established in UK and European jurisprudence and is more restrictive than “consistent use.” While the “consistent use” principle reflects the GoC’s standing commitment to limit the repurposing of personal information, the standard ought to be read as narrowly as possible for biometric information. Again, biometrics are unique compared to other personal identifiers because they are essentially permanent and immutable. This means that once they are collected, if they are not subject to clear retention/deletion policies and purpose limitations, the government has a ready repository of information for identifying individuals in the future – perhaps in activities that are less benign than the activities under which the biometrics were originally collected.
It is premature for NSIRA to make a finding on whether the possible instances of dual-use identified above are reasonable or proportionate. Future review, whether by NSIRA or another review body, may consider the question in greater depth.
NSIRA reviewed high-level technical information about the activities documented in this study. This included information pertaining to the various systems and databases used in the course of the GoC’s biometric activities.
There is significant overlap between the technical systems and databases used across the steady-state biometric activities.
Both the Passport Program and Immigration Program use the Global Case Management System (GCMS), and IRCC, CBSA and RCMP have access to GCMS. In the immigration context, facial photographs are stored in GCMS, while fingerprints are sent to the RCMP and stored in one (immigration) of several repositories of the Automated Fingerprint Identification System (AFIS). The immigration repository is then searchable by domestic law enforcement and can be queried by Canada’s M5 partners for immigration purposes.
The passport and travel document applications in the Passport Program, meanwhile, are stored in both GCMS and in IRCC’s Central Index (see Annex A), though IRCC has communicated that a full transition to GCMS is planned moving forward. The digitized photograph from the application is sent to IRCC’s FRS, converted into a biometric template, sent for evaluation in the FRS database, and stored in the CI. In both the Immigration Program and Passport Program, the intake of applications – and biometrics – employ a range of systems at different intake locations around the world, all of which connect back to IRCC servers in Canada.
The overall architecture of this system – biometric collection, transmission, and storage in the course of the GoC’s activities in the border continuum – is complex, though not necessarily problematic.
In keeping with the foundational nature of the study, NSIRA makes these observations as a first step in mapping the relevant systems architecture. This mapping, summarized in Annex A, will support NSIRA should it choose to review in detail the various technical systems used for biometrics in the course of border activities, including how they overlap and what privacy or security issues, if any, might arise from the present structure.
In addition to the public concern about governmental surveillance noted above, there is related apprehension about automated decision-making and about decision-making aided by automation, particularly when it occurs in conjunction with biometric identification. The general concern with respect to algorithms and automation is that the decision-making process is opaque, even to the human operators who rely on the algorithms or systems to do their work.
In the Immigration Program, Passport Program, and at PIK kiosks, IRCC, CBSA, and the RCMP have limited visibility into how the algorithms used operate.
The algorithms are procured from private vendors, and the details of how they work are proprietary. They are, in this sense, essentially a ‘black box’. NSIRA supports greater transparency in how algorithms work when analyzing personal information. Such transparency is necessary for third-party verification of the algorithms’ accuracy and reliability and would enhance public confidence in both the algorithms’ ability to function fairly and without discrimination and in the departments’ ability to mitigate any shortcomings in that respect.
Each department and agency did, however, demonstrate that performance metrics (e.g. error rates) are known and tested, and that customizations (such as adjusting match thresholds) are applied when appropriate.
Moreover, for IRCC’s FRS, and for the RCMP’s AFIS, human intervention occurs to either verify system results or complete matches if necessary. Facial matching at PIKs, by contrast, occurs without human adjudication, though any obvious errors may subsequently be corrected by BSOs through visual verification.
Related to the opacity of algorithms is the possibility that automated biometric analysis – e.g. facial recognition and fingerprint matching – may be subject to bias. It is well documented in the academic literature, for example, that many facial recognition algorithms are less reliable in identifying women, the very young and very old, and individuals with darker skin tones. Similarly, fingerprint capture and matching may be more difficult and/or less accurate for females, particular ethnic groups, and individuals working in certain trades (which may reflect socio-economic status). Given that important decisions in the border continuum – including the issuance of official travel documents, the granting of visas, asylum, and/or residency status, and possible referral for additional questioning/inspection during the immigration and customs process – are informed by automated analysis, the possibility of systematic bias is of concern.
IRCC and CBSA have conducted preliminary analyses to explore how their biometric activities may impact diverse groups of people, though the implementation of possible mitigation strategies was not always apparent.
For example, CBSA’s GBA+ for the PIK, completed in May 2016, suggested that the agency apply gender-specific thresholds for facial matching; an October 2020 analysis on possible gender bias at PIKs made a similar recommendation. For facial recognition in both FRS (IRCC) and PIK (CBSA), recent performance testing explicitly addressed the possibility of demographic bias. This analysis noted minor imbalances in terms of gender accuracy, but emphasized that advancements over time (updated algorithms) have steadily reduced, though not eliminated, the gap.
In some contexts, technological advancements have helped to reduce, but not eliminate, differential impacts.
The work to comprehensively address these issues – beyond noting that small discrepancies do exist – remains to be done. CBSA noted, for example, that its “work in this area is nascent and is not yet conclusive with significant work still to be conducted.” This includes GBA+ on facial recognition technologies, work on the visibility of bias in data, and the development of possible policy mitigations. Similarly, IRCC stated that “further demographic bias assessments will […] be conducted” following the implementation of a new algorithm in the FRS.
This is not to suggest that efforts to mitigate possible bias have been insufficient to this point; rather, both IRCC and CBSA have demonstrated that they are aware of possible issues and committed to future work in this area. However, such efforts should not be confined to accuracy testing, and relying on improving algorithms. Solutions at the policy level should also be explored, including the implementation of previously identified mitigation strategies and the analysis of the possible consequences of biometric errors for the experience of affected individuals.
A commitment to continuing to minimize discrepancies in the algorithms’ function for diverse groups, and to ensure such differences are taken into account by the human decision-making that follows biometrics screening, will continue to be important in ensuring the reasonable use of these algorithms in the future.
More work remains in terms of mitigating differential impacts on segments of the population. At the same time, the departments and agencies examined in this study have demonstrated their awareness of possible systemic inequalities and their commitment to addressing them.
Biometrics play a fundamental role in the border continuum. The Government of Canada uses biometrics to verify and establish identity. The question of who is coming into the country – and whether they have a right to – is more confidently answered as a result. In the immigration context, this involves the screening, verification (at arrival), and ongoing assessment of admissibility of foreign nationals coming to Canada as temporary or permanent residents. Applicants for Canadian passports (and other official travel documents) are screened to confirm eligibility to passport services and entitlement to a passport, and subsequently use their biometric, embedded in the ePassport, during the course of international travel. These two streams converge at Canadian airports, where CBSA verifies the identity of travellers using facial recognition at automated kiosks.
The purpose of this study was to examine and contextualize these activities. We looked back, tracing the evolution of the GoC’s biometric activities in the border continuum, noting a shift from strict national security objectives to broader goals of identity management. We looked forward, to possible future biometric applications, including the adoption of Digital Identities, and even greater systematization of biometrics into the overall traveller experience.
Our observations are meant to inform both the Canadian public as it contemplates the government’s collection and use of biometric information, and NSIRA as it plans future review of the same. We noted that the steady-state activities are well-supported by current legal authorities, and are consistent with international practice. At the same time, certain areas raise potential concern. These include pilot projects, which are vehicles for experimentation and require careful legal consideration; the ongoing possibility of systemic inequalities across diverse groups of people resulting from algorithmic biometric analysis; and the possible dual-use of biometric information, including the availability of biometric information to investigative agencies.
Public debate about the government’s application of biometric technology will continue to evolve, driving change in the legal and regulatory frameworks associated with such activities. As such, continued scrutiny from NSIRA is warranted, particularly in those instances where the collection and use of biometric information is justified by explicit reference to national security outcomes.
The Government of Canada (GoC) uses biometrics to identify individuals with a level of confidence beyond what is possible absent such techniques.
Biometrics play a fundamental role in the border continuum, which includes the screening of foreign nationals seeking admission to Canada and the identification of passengers travelling internationally by air. In the course of this study, the National Security and Intelligence Review Agency (NSIRA) examined activities conducted by the Canadian Border Services Agency (CBSA), Immigration, Refugees, and Citizenship Canada (IRCC), and Transport Canada (TC). The study also extended to the Royal Canadian Mounted Police (RCMP), which plays a supporting role in one of the major IRCC-led programs in this area.
Biometrics are sensitive personal information. The identification of persons by virtue of their biological characteristics raises privacy and human rights concerns. There is public apprehension about the government’s use of biometric analysis, as reflected in discussions regarding the use of facial recognition technology and, relatedly, its possible disparate impact on marginalized groups. At the same time, identifying individuals entering the country – and consequently determining whether they have a right to enter, or what risks they might pose – serves a national security function. In this way, the use of biometrics requires an assessment of the balance between privacy and security.
This report informs, contextualizes, and contributes to this conversation by presenting NSIRA’s foundational study of the GoC’s biometric activities in the border continuum.
Last Updated:
Status:
Published
Review Number:
20-08
Date of Publishing:
This is a report about the manner in which the Canadian Security Intelligence Service (CSIS) seeks and receives legal services from the Department of Justice (Justice) and prepares and executes the warrants it needs to collect information. This review stemmed from a 2020 decision of the Federal Court (2020 FC 616). In that matter, the Federal Court recommended that a “comprehensive external review be initiated to fully identify systemic, governance and cultural shortcomings and failures that resulted in CSIS engaging in operational activity that it has conceded was illegal and the resultant breach of candour.”
This review found an intelligence service and its counsel who struggle to organize themselves in a manner that allows them to meet easily their legal obligations, including to the Federal Court.
NSIRA also found a failure at CSIS to professionalize fully and sustainably the warrant application process as a specialized trade that requires training, experience, and investment. This report also demonstrates the need to transform the relationship between CSIS and its legal counsel.
This review was led by NSIRA Members Marie Deschamps and Craig Forcese. One or both Members were directly involved in every aspect of the review including review process management, briefings, interviews and document review. To conduct this review, NSIRA conducted dozens of confidential interviews with Justice and CSIS employees whose perspectives were essential for “ground-truthing” the knowledge NSIRA had gained from documents and formal briefings. In organizing these interviews, NSIRA ensured robust representation covering the range of functions in the warrant and legal-advice giving processes. The interviews raised issues and concerns that would have otherwise been unavailable to NSIRA. This assisted NSIRA in making recommendations on governance, systemic, and cultural issues that contribute to inefficiencies threatening the ability of CSIS and Justice to fulfil their mandates.
NSIRA heard repeated concerns from interviewees that the problems stemming from governance, systemic, and cultural challenges put at risk the ability of the intelligence service to meet the mandate Parliament has assigned to it. Addressing these challenges is in the urgent public interest. Though CSIS and Justice have made improvements, difficulties are still evident.
NSIRA groups its findings and recommendations into three overarching areas:
In its conclusion, this report also makes comments and recommendations about the broader cultural and governance context.
Date of Publishing:
This is a report about the manner in which the Canadian Security Intelligence Service (CSIS) seeks and receives legal services from the Department of Justice (Justice) and prepares and executes the warrants it needs to collect information. This review stemmed from a 2020 decision of the Federal Court (2020 FC 616). In that matter, the Federal Court recommended that a “comprehensive external review be initiated to fully identify systemic, governance and cultural shortcomings and failures that resulted in CSIS engaging in operational activity that it has conceded was illegal and the resultant breach of candour.”
This review found an intelligence service and its counsel who struggle to organize themselves in a manner that allows them to meet easily their legal obligations, including to the Federal Court.
NSIRA also found a failure at CSIS to professionalize fully and sustainably the warrant application process as a specialized trade that requires training, experience, and investment. This report also demonstrates the need to transform the relationship between CSIS and its legal counsel.
This review was led by NSIRA Members Marie Deschamps and Craig Forcese. One or both Members were directly involved in every aspect of the review including review process management, briefings, interviews and document review. To conduct this review, NSIRA conducted dozens of confidential interviews with Justice and CSIS employees whose perspectives were essential for “ground-truthing” the knowledge NSIRA had gained from documents and formal briefings. In organizing these interviews, NSIRA ensured robust representation covering the range of functions in the warrant and legal-advice giving processes. The interviews raised issues and concerns that would have otherwise been unavailable to NSIRA. This assisted NSIRA in making recommendations on governance, systemic, and cultural issues that contribute to inefficiencies threatening the ability of CSIS and Justice to fulfil their mandates.
NSIRA heard repeated concerns from interviewees that the problems stemming from governance, systemic, and cultural challenges put at risk the ability of the intelligence service to meet the mandate Parliament has assigned to it. Addressing these challenges is in the urgent public interest. Though CSIS and Justice have made improvements, difficulties are still evident.
NSIRA groups its findings and recommendations into three overarching areas:
In its conclusion, this report also makes comments and recommendations about the broader cultural and governance context.
CSIS operates in often rapidly evolving and legally challenging environments. Timely, nimble and actionable legal advice is critical. This review highlighted factors that prevent the National Security Litigation and Advisory Group (NSLAG) of Justice from providing CSIS with the operational advice it needs.
Justice has employed a centralized “one voice” model for delivering its legal services. The “one voice” model reflects a desire for uniform and consistent legal advice delivered on behalf of the Attorney General of Canada. Although the premise for the “one voice” approach is sound, NSIRA found that NSLAG struggled to provide timely, responsive, and useful legal advice in the CSIS context. The way Justice provides advice has often not been responsive to CSIS operations. For example, NSLAG presents its advice as a legal risk assessment using the Justice-wide Legal Risk Management grid. This grid uses a colour-coded risk rating that can be compared to a “traffic light” system: a green risk rating represents a low legal risk to CSIS, a red risk rating represents a high legal risk, and, more ambiguously, a yellow risk rating represents an intermediate legal risk. Yellow light responses are reportedly the most common and the most frustrating for CSIS, especially when unaccompanied by discussions on how to mitigate the risk, the inclusion of which NSIRA heard is not currently common practice.
In consequence, some at CSIS perceive Justice as presenting a road-block because of its bureaucracy, its perceived operational illiteracy, and its unhelpful approach to communicating legal advice.
However, the problems with timely, responsive, and useful legal advice do not stem from Justice alone. NSIRA heard that CSIS has not always shared all relevant information with Justice, prompting a degree of mistrust. The internal process for requesting legal advice at CSIS also contributes to delays and lack of relevance. The advice that sometimes comes back to operational investigators at CSIS filtered through bureaucratic hierarchies may be of limited or little relevance.
NSIRA heard that the laborious advice-seeking and -receiving process has sometimes caused [discussion of the detrimental effects on and risks to operations] CSIS and Justice often operate in a situation of legal doubt, because of lack of clarity in the law. Clarifying legal standards often requires judicial case law. However, an unwieldy warrant process, discussed below, makes that prospect more difficult.
Finding no. 1: NSIRA finds that the legal advice-seeking and giving process, and resource constraints at NSLAG contribute to considerable delays, [description of timeline]
Finding no. 2: NSIRA finds that Justice legal opinions have sometimes been prepared without sufficient attention to the audience that needs to understand and act on them. Opinions have been focused on assessing legal risk, often late in the development of a CSIS activity, with limited effort made to propose alternative and legally sustainable means of arriving at the intended objective.
Finding no. 3: NSIRA finds that the Justice Legal Risk Management Framework is misunderstood at the working level at CSIS and further that it does not provide an appropriate framework for the unequivocal communication of unlawful conduct to CSIS.
Finding no. 4: NSIRA finds that difficulties in acquiring prompt and relevant legal advice have contributed to [discussion of the detrimental effects on and risks to operations] that may require legal advice. In consequence, the manner in which Justice has provided legal advice to CSIS does not always meet the needs of CSIS operations.
Finding no. 5: NSIRA finds that Justice does not generate the necessary business analytics to track its service delivery performance to CSIS.
Justice is aware of the need for change. Broad, recent initiatives include the Vision Project, which promises client-centric strategic partnerships. New procedures have been implemented at NSLAG to address internal silos between advisory and litigation counsel, and to improve training, access to legal advice and facilitate consistent legal opinions. NSLAG also appears to recognize the desire for a different approach to providing legal advice, including moving toward legal advice that promotes collaborative and iterative engagement with CSIS to achieve its operational goals, within the bounds of the law (a “road map”-style form of advice-giving). However, it does not appear that CSIS and Justice have thus far systematically put this model into effect.
To facilitate proper advice-giving, especially in a “road map”-style model, CSIS needs to provide NSLAG with all the facts, and to engage NSLAG early on, at the operational level. Earlier and ongoing involvement throughout the stages of an investigation or operation would enable counsel to provide informal legal nudges that allow CSIS to course-correct before too much time has been spent. A more iterative process of incorporating legal advice over the full course of an operation could address the reported challenge of operations halted due to untimely or ambiguous legal advice.
Finding no. 6: NSIRA finds that Justice has acknowledged that internal silos at NSLAG between the advisory and litigation wings have sometimes left warrant counsel unaware of emerging legal issues and that Justice has taken steps to resolve these issues.
Finding no. 7: NSIRA finds that Justice has committed to improve its advice-giving to CSIS, including moving toward “road map” style legal advice that involves working collaboratively and iteratively with CSIS to achieve operational goals within the bounds of the law.
Finding no. 8: NSIRA finds that CSIS has not always shared all relevant information with NSLAG, prompting a degree of mistrust and limiting Justice’s ability to provide responsive legal advice.
In view of these findings, NSIRA recommends that:
Recommendation no. 1: Justice pursue its commitment to reforming the manner of providing legal advice to CSIS, and its stated commitment to “road map”-style advice as a best practice. In support of this objective and the provision of timely, operationally relevant advice, NSIRA further recommends that Justice implement the following:
Recommendation no. 2: NSLAG (in coordination with CSIS) develop Key Performance Indicators to measure the delivery of legal services to CSIS.
Recommendation no. 3: CSIS and Justice include in their training programs interactive scenario-based training developing the operational intelligence activities expertise of NSLAG counsel and the legal knowledge of CSIS operational staff.
Recommendation no. 4: To ensure Justice is able to give meaningful and responsive legal advice as recommended in recommendation #1, CSIS invite Justice counsel to sit at the table at all stages of the lifecycle of key and novel operations, and that it fully and frankly brief counsel on operational objectives, intent, and details.
Recommendation no. 5: Justice’s advice-giving must clearly and unequivocally communicate advice on the unlawfulness of client conduct, whether criminal or otherwise.
Management of the Warrant Process
CSIS organizes the process of seeking a warrant around a system of internal preparation and approvals before proceeding to the statutory step of seeking ministerial approval of the warrant application. A number of legal concepts and expectations enter into the warrant process, including the “duty of candour” owed to the Court.
The Federal Court duty of candour concerns now fit into two categories: disclosure of information material to the credibility of the sources who supply information used in the application; and disclosure of information material to matters of potential concern about the broader context of the warrant and how it will be executed.
Despite past attempts at reforms the current warrant process adopted by CSIS and supported by Justice, the warrant process has repeatedly failed to meet these candour obligations. Many reforms appear to have contributed to the bureaucratic complexity of the warrant process, without addressing candour issues.
Finding no. 9: NSIRA finds that CSIS has a history of quick reforms, followed by neglect, high turnover of personnel leading to a loss of institutional knowledge, and resourcing that did not match stated priorities. CSIS does not track or measure the outcome of past reforms adequately and has no performance metrics for assessing success.
Finding no. 10: NSIRA finds that CSIS policies have not kept pace with operational reality, as they are often vague, dated, overlapping and contradictory. The absence of clear policy creates legal doubt or concerns, and gives rise to disparate interpretations of legal and operational standards.
Finding no. 11: NSIRA finds that there is little common understanding regarding the process or basis on which a warrant is prioritized. Frequent shifts in this process of prioritization have added to operational uncertainty. The prioritization process has made it very difficult to bring novel issues to the Court with the goal of addressing legal ambiguities through court decisions.
Finding no.12: NSIRA finds that the actors involved in the warrant process do not have a common understanding of the rationale for each of the [multiple] of steps in the overarching warrant application scheme and are not always sure what role each approval step plays.
Finding no. 13: NSIRA finds that the proliferation of process in seeking warrants has created a system of diluted accountability widely regarded as slow and unwieldy, with delays caused by multiple levels of approval.
Finding no. 14: NSIRA finds that there is no regular feedback process in which explanations for warrant-related decisions made at one level filter back to other levels. The absence of feedback is especially acute for the regional investigators.
Finding no. 15: NSIRA finds that often, the sole means to address legal uncertainty is to bring legal questions to the Federal Court through warrant applications. In consequence, an unwieldy warrant process makes resolution of legal doubt more difficult.
CSIS has struggled especially to ensure that all information material to the credibility of sources is properly included in warrant applications. NSIRA heard repeatedly that CSIS officers involved in the early stages of preparing warrant applications do not clearly understand the legal expectations surrounding the duty of candour. Deficient information management systems related to human sources at CSIS have also resulted in important omissions, violating duty of candour obligations. These challenges produce what NSIRA calls the “recurring omissions” problem.
Finding no. 16: NSIRA finds that CSIS has struggled to ensure that all information material to the credibility of sources is properly contained in warrant applications. This “recurring omissions” problem stems from a misunderstanding of the Federal Court’s role in assessing the credibility of sources and from the presence of multiple, siloed information management systems. NSIRA acknowledges that CSIS has undertaken reforms, but work remains to implement successfully long term sustainable solutions.
In view of these findings, NSIRA recommends that:
Recommendation no. 6: CSIS adopt, and share internally, clear criteria for the warrant prioritization process.
Recommendation no. 7: CSIS establish a new warrant process eliminating steps that do not make a significant contribution to a more accurate application. The process should assign clear lines of responsibility for the production of accurate applications. The reformed system should ensure that delays associated with managerial approvals are minimized, and that time is reallocated to those steps contributing to the preparation of the accurate applications.
Recommendation no. 8: CSIS integrate the regional stakeholders (including the implicated investigators) at every key milestone of the warrants process.
Recommendation no. 9: CSIS adopt policies and procedures governing the reformed warrant process that clearly outlines the roles and responsibilities of each participant and the objective of each step in the warrant process and that these policies be kept current as the process evolves.
Recommendation no. 10: To address the seeming inevitability of “recurring omissions”, NSIRA recommends that CSIS prioritize the development of [an improved] system for human source information management. CSIS should also continue initiatives meant to ensure that source handlers are assiduous in documenting and then reporting in source precis information going to credibility. Even with these reforms, the Affiant Unit should adopt procedures for verifying the information prepared by the regions.
In 2019, CSIS sought to professionalize affiant work by creating an Affiant Unit (AU). CSIS’s establishment of the AU is a critical development and, properly resourced and staffed, it would be well positioned to respond to long-standing problems with the duty of candour. However, when created, the AU was placed under the [Name of Branch]. [Name] has a broad mandate that does not align with the AU’s functions in preparing legally robust warrant applications. This governance anomaly may explain the AU’s present administrative and human resource challenges. The AU’s sustainability is in question, and indeed NSIRA heard that the unit could currently be described as in a state of crisis. CSIS has not supported the unit with resources commensurate with the importance of this unit in fulfilling CSIS’s mission.
Finding no. 17: NSIRA finds that the Affiant Unit (AU) constitutes a vital and laudable reform within CSIS. However, the AU is currently at risk of collapse. CSIS has not supported the unit with resources commensurate with the importance of this unit in fulfilling CSIS’s mission. The benefits of the AU are currently in jeopardy because of governance, human resource, and training deficiencies.
Finding no. 18: NSIRA finds that the AU’s placement in the [Name] branch is not commensurate with its functions and importance. This governance anomaly most likely contributes to administrative hurdles and resource challenges faced by the AU.
Finding no. 19: NSIRA finds that without a functional AU able to produce timely and accurate warrant applications, CSIS puts at risk access to warrants and the information collected under them.
In view of these findings, NSIRA recommends that:
Recommendation no. 11: CSIS recognize the importance of the Affiant Unit by assigning affiants and analysts an employment classification congruent with their responsibilities.
Recommendation no. 12: CSIS create an Affiant Branch reporting directly to the CSIS Director.
Recommendation no. 13: CSIS urgently resource the Affiant Unit to meet its responsibilities and ensure its sustainability. In deciding the size of the AU, CSIS should assess how many warrants an affiant team might reasonably complete every year.
Recommendation no. 14: CSIS, in consultation with Justice, develop a comprehensive training course for all affiants and analysts, codifying best practices and methods for members of the AU.
Warrants counsel at NSLAG have several key roles in the warrant application process, and are intimately implicated in ensuring adherence to the duty of candour. Fostering a strong, collaborative, and productive relationship with CSIS is key. Morale among NSLAG warrants counsel may have suffered in light of the recent Federal Court decision that prompted this review. With recent staffing increases, it appears that NSLAG currently has the requisite complement to manage the number of annual warrant applications expected from CSIS, but recruitment challenges remain an ongoing issue. NSLAG should be staffed to ensure that CSIS’s operations are not stalled due to the lack of availability of warrants counsel.
Recommendation no. 15: NSIRA recommends that NSLAG be staffed by a complement of counsel and support personnel sufficient to ensure that CSIS operations are not impeded by resource limitations at NSLAG.
The warrant application process is meant to be strengthened through a review of the near-final affidavit by an “independent counsel” (IC) – in practice, a lawyer drawn from the National Security Group (NSG) of the Department of Justice. The role was originally envisioned as performing a rigorous challenge of the warrant application. However, the primary role of the IC appears to be more clerical than substantive, designed to cite check rather than assertively perform a “devil’s advocate” function.
NSIRA believes that the presence of a rigorous challenge function performed by a knowledgeable, adequately-supported lawyer distant from the warrant application is valuable and necessary. However, NSIRA proposes that the current IC model be abandoned in favour of a challenge function performed at Public Safety Canada, whose precise role is that of oversight of the CSIS warrant application process.
Working with the Public Safety unit charged with warrant review, an experienced and specialized warrant counsel could perform a genuine challenge role to the warrant, analogous to the role a defence lawyer would play were warrants subject to an adversarial process. NSIRA believes that a testing review of this sort will help forestall duty of candour shortcomings stemming from a failure to disclose fully information material to matters of potential concern about the broader context of the warrant and how it will be executed.
Finding no. 20: NSIRA finds that the “Independent Counsel” (IC) role as performed by NSG counsel falls short of creating a rigorous challenge function.
In view of this finding, NSIRA recommends that:
Recommendation no. 16: the function of the Independent Counsel as performed by NSG counsel at the Department of Justice be eliminated, in favour of a new challenge function, analogous to the role a defence lawyer would play were warrants subject to an adversarial process, situated at Public Safety and supported by the Public Safety vetting team, and performed by a knowledgeable lawyer from the Public Prosecution Service of Canada, the private sector, or elsewhere, who is independent from Justice management and not otherwise involved in CSIS warrant applications.
Once a judge issues a warrant, CSIS may execute the warrant. That execution must comply with the scope and terms of the warrant. However, the CSIS regional warrants coordinators have not received sufficient training to enable the contents of warrants to be translated into advice on proper execution.
Finding no. 21: NSIRA finds that the CSIS regional warrants coordinators have not received sufficient training enabling them to translate the contents of the warrants into advice on proper warrant execution.
In view of this finding, NSIRA recommends that:
Recommendation no. 17: CSIS regional warrants coordinator positions receive adequate training, and that CSIS professionalize the position and enable warrant coordinators to more effectively translate the content of warrants into advice on warrant execution.
Investment in People
Concern about inadequate training at CSIS was a recurring theme in this review. This concern was noted in internal CSIS documents. CSIS acknowledges that it is currently not a learning organization and does not have a learning culture. There are too few training opportunities required to sustain a modern professional intelligence service operating in a complex environment.
Finding no. 22: NSIRA finds that CSIS lacks long-term training programs for Intelligence Officers.
Finding no. 23: NSIRA finds that CSIS has failed to provide systematic training programs for “non-Intelligence Officers”.
Finding no. 24: NSIRA finds that the CSIS’s Learning and Development Branch has not been sufficiently resourced to develop and administer comprehensive training programs, especially in specialized areas not covered by the training offered for Intelligence Officers early in their career.
In view of these findings, NSIRA recommends that:
Recommendation no. 18: CSIS adequately resource and regularly deliver evergreen scenario-based training programs for all CSIS employees, including;
Conclusions
This report concludes with observations on cross-cutting cultural and governance challenges that stem, at least in part, from challenges characterizing the provision of legal advice and the warrant process. NSIRA divides these broad, cross-cutting phenomena into two categories: morale and attitudes; and, performing the mission.
Low morale at CSIS was a common theme throughout this review. The systemic problems in the warrant application process are likely one cause of this problem: morale is affected when a warrant acquisition system repeatedly prevents CSIS officers from performing their mandated duties, and is the source of regular reputational crises stemming from failures to meet the duty of candour.
Meanwhile, a failure to correct problems with the warrant process impairs CSIS and Justice’s abilities to fulfill their mandates. Justice must go from being perceived as a roadblock, to a frank and forthright advisor fully attuned to operational objectives.
Within CSIS, the warrant application process was sometimes likened to winning a lottery – not because the Federal Court declines to issue warrants, but because of the resources required to prepare and complete the application. The current, laborious warrant application process is preventing some collection activities from moving forward.
In sum, this review was sparked by a compliance failure in a duty of candour matter. It concludes that repeated failures in this area are both caused by, and cause, deep-seated cultural and governance patterns. This vicious cycle has compounded the challenges of reform in the warrant acquisition process.
Cherry-picked or paper-based reforms that mask without addressing the overarching systemic, cultural, and governance challenges will suffer the fate of prior reforms: the problems will continue.
Finding no. 25: NSIRA finds that CSIS and Justice are at risk of not being able to fulfill their respective mandates. No one reform is likely to succeed unless each is pursued as part of a coherent package. No package will succeed unless backed by prioritization at senior levels, and the stable provision of resources, including people with the means and institutional knowledge to see reforms through, and no reform initiative will succeed unless accompanied by clear performance indicators, measured and analyzed regularly to track progress.
In view of NSIRA’s findings above, and of prior unsuccessful reforms, NSIRA recommends that:
Recommendation no. 19: The recommendations within this review be treated as a coherent package and that progress and outcomes in implementing these recommendations be tracked, allowing management, the Ministers of Public Safety and of Justice, and NSIRA, to assess the efficacy of reforms and course-correct if necessary.
NSIRA intends to launch a follow-up review within two years that will measure progress at CSIS, Justice and Public Safety in resolving the systemic problem with the warrants process addressed by this review. Moreover, in other regular reviews implicating warrants, NSIRA will document recurrences of systemic problems. In the meantime, since this review originated with a decision of the Federal Court, it is vital that the Minister and CSIS share it in its full form with the designated judges of that court.
In recognition of the fact that this report was initiated following a recommendation of the Federal Court, NSIRA in turn recommends that:
(U) Recommendation no. 20: The full classified version of this report be shared with the designated judges of the Federal Court.
(U) This review was conducted under the authority of paragraphs 8(1)(a), (b) and (c) of the NSIRA Act.
(U) This review deals with how the Canadian Security Intelligence Service (CSIS) seeks and receives legal services from the Department of Justice (Justice) and obtains and executes warrants it needs to collect intelligence. In their current forms, these processes suffer from severe flaws due to systemic, governance and cultural issues. In this review, NSIRA found an intelligence service and its counsel who struggle to organize themselves in a manner that allows them to easily meet their legal obligations – towards the Federal Court in particular. NSIRA also found a failure to professionalize fully and sustainably the warrant process as a specialized trade that requires training, experience, and investment.
(U) This is not the first report on issues related to the warrant process. Since CSIS’s creation in the 1980s, there have been several independent and internal reviews of various aspects of this topic, which are described in Annex A. Many of the findings made in this review echo those made in earlier assessments. In response to these reviews, CSIS has planned many reforms, initiated some, but persisted with only a subset. Though CSIS (and Justice) have made improvements, difficulties are still obvious. The failure to effect sustainable solutions following the multiplicity of reviews and duty of candour breaches is indicative of organizational struggles with deep rooted cultural issues that risk the execution of their With each incomplete reform, CSIS faces change fatigue that makes future course corrections more difficult. Yet the stakes are considerable.
(U) This report demonstrates the need to transform the relationship between CSIS and its legal counsel. It also points to the urgency of CSIS succeeding in fully professionalizing the warrant process, a prospect that appears to be in jeopardy. When implemented, the changes that are recommended will help to reestablish the Federal Court’s trust in the warrant process. At the same time, legal support is not – and should not – be limited to the warrant process. As such, the review could not be restricted to the warrant process. It recommends reforms in the manner in which Justice gives legal advice to CSIS.
(U) The Federal Court’s “judicial control” in overseeing the issuance of warrants is a key accountability safeguard in a country governed by the rule of law and attentive to rights and liberties. The warrants the Court issues, meanwhile, are the lifeblood of CSIS’s functions as an intelligence agency – especially in an era where face to face interaction increasingly tends to be replaced by electronic communication.
(U) NSIRA heard repeated concerns from interviewees that the systemic problems rooted in governance and cultural issues risk creating an intelligence service incapable of meeting its intelligence mandate. These problems could also afflict other CSIS mandates potentially subject to judicial control, such as certain threat reduction measures. Urgently addressing challenges is therefore in the public interest. This review aims to recognize and encourage recent progress, while in some areas recommending new, essential reforms.
(U) This report first sets out the background to this review; the methodology NSIRA adopted for it; and the institutional and legal environment in which CSIS and Justice operate. The report then describes issues arising from Justice’s provision of legal advice to CSIS and the manner in which CSIS and Justice construct a warrant application, ultimately presented to the Federal Court, and if granted, executed by CSIS. It also examines the question of training and skills- development, a recurring issue in this review. In each area, this report notes shortcomings, while recommending reforms. The report ends with an examination of cross-cutting cultural and governance issues that are reflected in the warrant process, and which make change difficult.
(U) As the recommendations address the systemic, governance and cultural issues that are interrelated, a selective approach to their implementation will likely lead to the same outcome previous reviews have: repetition of the same problems, change fatigue and morale issues. The time has come for CSIS and Justice to face the harsh reality of potential failure to fulfill their mandates if they do not succeed with concrete governance, cultural and process change.
(U) This review stemmed from a 2020 decision of the Federal Court (2020 FC 616). In that matter, the Federal Court recommended that a “comprehensive external review be initiated to fully identify systemic, governance and cultural shortcomings and failures that resulted in CSIS engaging in operational activity that it has conceded was illegal and the resultant breach of candour.” As a matter of law, before issuing such a warrant, the judge must believe on reasonable grounds that statutory pre-requisites are met and that the court should allow the invasive CSIS, assisted by Department of Justice lawyers, must fully apprise the judge of all information material to this decision. Thus, the state must disclose to the judge, not just information supporting its application, but also information that weakens its case. The duty reflects the fact that a warrant proceeding is by necessity conducted in the absence of the proposed subject of the warrant, known as the “target”, and closed to the public so the target is not alerted to the state’s activities. The “duty of candour” in such proceedings aims to compensate for the absence of a party opposed to the state, by obliging the state to be especially frank and forthcoming about the merits of its application.
(U) At issue in 2020 FC 616 was whether CSIS should have told the Court about issues regarding the legality of CSIS human source activities that yielded information used in support of warrant applications. Some of these human source activities may have constituted terrorism offences in Canadian This was not the first instance of duty of candour problems – indeed, such problems have been a recurring feature of CSIS’s warrant practice. Because CSIS has repeatedly struggled with the duty of candour in its warrant applications, the Federal Court in 2020 FC 616 recommended an external review of both Justice and CSIS.
(U) In response, on June 23, 2020, the Minister of Justice and the Minister of Public Safety and Emergency Preparedness jointly referred the matter to NSIRA under paragraph 8(1)(c) of the NSIRA Act. NSIRA also chose to exercise its own independent jurisdiction under paragraph 8(1)(a)(b) to initiate this review.
(U) While the Federal Court of Appeal subsequently allowed the government’s appeal of the decision in 2020 FC 616, its holdings did not disturb – and indeed, reaffirmed — the lower court’s core preoccupation with the duty of candour.
(U) NSIRA conducted this review during a pandemic that frequently impaired access to its facilities housing classified This reality presented challenges and inevitable delays for both NSIRA and the reviewed departments.
(U) NSIRA made this a “Member-led review”. Specifically, one or both of the two assigned NSIRA members (Marie Deschamps and Craig Forcese) managed the review process, reviewed the documents, participated in most of the CSIS and Justice briefings (and reviewed the transcripts of others), conducted most of the confidential interviews, and led the writing of this report. A specialized team at NSIRA participated in every aspect of the work.
(U) NSIRA drafted broad Terms of Reference to govern this review, with a heavy focus on the CSIS warrant application process and the manner by which Justice conveys legal advice to CSIS. As the review evolved, it became clear that the problems with the CSIS warrant process are more properly a symptom of broader systemic, governance and cultural issues at both CSIS and Justice, including Justice’s specialized legal services unit supporting CSIS, the National Security Litigation and Advisory Group (NSLAG). NSIRA therefore examined not only the operational provision of legal advice and the warrant process, but also information management, the use of technology, and related training programs. While the Terms of Reference indicate that the review covers the period of January 1, 2015 to September 30, 2020, NSIRA took into consideration information outside this period in order to fully understand the issues at play.
(U) This report does not revisit the specific circumstances of 2020 FC 616, nor does it conduct a forensic accounting of the events leading to it. From time to time, the report makes observations related to that case in order to contextualize findings. However, this review was intentionally forward-looking, reflecting the fact that CSIS and Justice have introduced (or proposed) reforms since the 2020 decision.
U) In conducting this review, NSIRA relied on both its regular process and confidential interviews. Under its regular protocols, it issued a number of requests for information, reviewed the documents provided, and received briefings from CSIS and Justice. In the case of CSIS, NSIRA also used its direct access to CSIS systems to retrieve information independently. Among other things, NSIRA examined the complete record of a recently filed complex warrant application. Most briefings involved CSIS and Justice managers describing their policies, governance structures, and practices. NSIRA heard about a number of initiatives – some that are planned, others underway or partially implemented, and still others abandoned.
(U) To supplement these briefings, NSIRA adopted an innovative approach to this review by also conducting dozens of confidential interviews with former and current management and staff at all levels from CSIS and Justice. These interviews were conducted in the absence of CSIS or Justice supervisors and without their knowledge. NSIRA conducted these interviews under a strict guarantee that it would protect the identities of those who participated. At the outset, the NSIRA Members leading the review met with both the Director of CSIS and the Deputy Minister of Justice. Following the meeting, both officials encouraged members of their management and staff to participate in confidential, in-person interviews with NSIRA. NSIRA thanks both leaders for their explicit support, including through their internal communications with their employees. NSIRA especially thanks all the individual employees who then participated in these confidential interviews and trusted NSIRA’s promise of anonymity.
(U) In some instances, NSIRA selected individuals to ensure it had full coverage of the warrant process and invited them to participate in a confidential Other interviewees contacted NSIRA and offered to participate. Some interviewees occupied operational positions at CSIS, while others worked on legal and policy matters. Some interviewees had daily exposure to the warrant process, while others had had more episodic exposure to the process. Since NSIRA conducted these interviews with the understanding it would protect the identities of interviewees, NSIRA has drafted this report carefully to honour this undertaking and has not identified interviewees by name or by position revealing their identity.
(U) The individuals who participated in confidential interviews with NSIRA were frank, professional, insightful about their experiences, and open. Interviewees did not come to voice personal grievances, nor were they inclined to defend past practices as ideal. Rather, the interviewees displayed a genuine commitment to their organizations’ mandates and a sincere desire to see positive, lasting change. Where they expressed dissatisfaction, it stemmed from earnestly (and often deeply held) concerns that their organization was falling short of meeting its mandate, and that the warrant process reflected certain organizational shortcomings. These interviews were essential for “ground-truthing” the knowledge NSIRA had gained from documents and formal They also raised issues and perspectives that would otherwise have been unavailable to NSIRA.
(U) NSIRA also consulted external experts on national security, organizational development, and human resources. These conversations contributed to NSIRA’s understanding of the systemic, governance, and cultural issues that often develop in organizations. NSIRA conducted a small number of discussions with foreign counterparts who have dealt with similar issues in the past. In addition, NSIRA consulted with experts who had been, in the past, involved in reviewing similar issues relating to NSIRA is grateful to these experts for their generosity in contributing to this review. All of NSIRA’s discussions with stakeholders external to the Canadian government took place at the unclassified level.
(U) Finally, as part of its standard protocol, NSIRA presented the draft report to both CSIS and Justice for factual accuracy verification. This part of the process provides reviewees with the opportunity to signal factual omissions or errors, if any. At the end of the factual accuracy verification period, the members met with the Deputy Minister of Public Safety and again with the Director of CSIS and the Deputy Minister of Justice. NSIRA thanks them for their time and
When examining the insights of its interviewees and throughout the finalization of this report, NSIRA was alive to the particular challenge of disaggregating legacy issues from contemporary concerns. During briefings and in comments received on the draft report, the departments noted projects, initiatives and reforms either being planned, scheduled for execution, or underway. NSIRA acknowledges the initiatives upon which it was briefed. However, this report focused on ascertaining the existing challenges with the provision of legal advice and the warrants process. NSIRA did not discount existing issues and challenges simply on account of promised (but not yet fully achieved) administrative reforms. NSIRA is confident that the issues described in this report persist as of the second half of 2021. As described at the end of this report, NSIRA intends to undertake a further review in two years’ time to assess progress in implementing the report’s recommendations. At that time, NSIRA will have an opportunity to assess whether any reform initiatives have been successful.
(U) Confidence Caveat: Some of the documents provided by the reviewed institutions have not been independently verified by NSIRA. However, to a large extent, NSIRA was able to verify much of the information relied upon in this review through NSIRA’s own confidential interviews. In addition to this direct access to staff, NSIRA was able to use its direct access to CSIS information repositories to confirm information that it needed to verify and to pursue necessary additional For that reason, NSIRA has a high level of confidence in the information on which it relied to complete this review.
(U) In this review, NSIRA makes recommendations on systemic, governance, and cultural issues that contribute to inefficiencies and may threaten the ability of CSIS and Justice to fulfil their mandates.
(U) NSIRA defines “systemic” issues as ones affecting an organization as a whole, in the sense that they are not the consequence of a specific individual or isolated factor. “Governance” refers to the rules, practices and processes by which managers direct and control an organization. Governance addresses three key questions: how are decisions made; who makes the decisions; and who is accountable. Organizational “culture” is the way in which, over time, the members of an organization learn to work in a particular setting by developing a set of shared understandings. These understandings may be based not only on formal policies but also on assumptions and practices that members develop in response to the implicit rules and influences governing their organization.
(U) These three concepts operate together and are interconnected. For example, inadequate governance may be the source of deficiencies in training programs that may prompt increased requests for legal support, which in turn create resource management issues, delays in providing advice, and operational hurdles. These operational challenges may give rise to systemic issues, while imperfect workarounds to these problems may eventually become embedded as cultural practices.
(U) Systemic issues tied to governance and cultural issues may impede CSIS and Justice from fulfilling their mandates, while also meeting their obligation to adhere to the rule of law. In this last respect, Canada is a “rule of law” country. Among other things, the “rule of law” means that the state is subject to, and not above, the law. It only has the powers conferred upon it by law, and any exercise of state power must be traced to a law. Indeed, as discussed next, both CSIS and Justice operate in a highly legalized environment.
(U) The next section will briefly describe the basic legislative and operational framework of both CSIS and Justice.
(U) The CSIS Act is the statute of Parliament that created CSIS, and confers upon CSIS certain powers to discharge its mandates. The key mandates implicated in this review are security intelligence (or “section 12 investigations”) and foreign intelligence (or “section 16 investigations”). Both of these types of investigations have their own distinct pre-requisites – not least, the conditions that CSIS must meet before it undertakes an investigation and then applies for a warrant under section 21.
(U) CSIS is one of several security organizations found within the portfolio of the Minister of Public Safety and Emergency Preparedness (Minister of Public Safety). CSIS is accountable to this minister, and this minister is in turn responsible to Parliament for CSIS.
(U) The manner in which CSIS discharges its mandates is governed by the CSIS Act and Ministerial Directions issued by the Minister of Public Safety. For instance, in 2015 and 2019, the Minister issued Ministerial Directions addressing issues of accountability. The 2015 Ministerial Direction (2015 MD) for Operations and Accountability states the fundamental principles that guide all of CSIS’s The 2015 MD is premised on the expectation that “the service will perform its duties and functions with due regard for the rule of law…”
(U) Other laws are pertinent to CSIS. Especially relevant for this review are Part VI of the Criminal Code of Canada, which governs the interception of private communications, and section 8 of the Canadian Charter of Rights and Freedoms, which protects the reasonable expectation of privacy against state searches and seizures. CSIS must acquire judicial warrants from the Federal Court before it embarks on investigative techniques that would otherwise violate these laws.
(U) Under the CSIS Act, CSIS is led by a Director who holds the status of deputy head of the organization. The Director performs the leadership function assisted by a team of executives responsible for specific business lines within CSIS, including the Deputy Director Operations (DDO). The DDO is responsible for CSIS’s operations across all active investigations. The CSIS management structure also includes an Assistant Director Legal (ADL), a position occupied by the NSLAG’ Executive Director (discussed below).
(U) CSIS converts legal requirements into administrative processes through Critically, it has struggled to do so. The CSIS operational policy suite has been incomplete and out-of- date for a number of years, a finding noted repeatedly by both NSIRA’s predecessor, SIRC, and by NSIRA. This issue was again pervasive in the course of this review, making it difficult to precisely describe the formal operational policy environment applicable to the warrant acquisition process throughout the period covered by this review. The consequences of this shortcoming are considerable. Policies are the building blocks of any organization. They guidethe conduct of its members from the bottom up to the senior leadership. Without clear policies, employees are likely to devise their own interpretations of how to act and of the limits of their powers, causing confusion and making legal compliance difficult.
(U) The Department of Justice provides legal services to departments and agencies on a broad range of issues across the federal Its mandate is to support the dual roles of the Minister of Justice and the Attorney General of Canada (AG).
(U) The Minister of Justice, as the official legal advisor to Cabinet, is responsible for the general management and direction of the department, and for ensuring that the administration of public affairs is in accordance with the The Minister is responsible for matters related to the federal administration of justice. The Minister exercises political judgment, except when providing legal advice, which must be independent and non-partisan.
(U) The Minister is also ex officio the AG, also referred to as the Chief Law Officer of Canada. The role of the AG is to provide legal advice and legislative services to government departments and agencies, and to conduct litigation on behalf of the government. Importantly, the AG represents the Crown and not individual departments or agencies, and therefore seeks to protect whole-of-government interests. Although departments generally act as the instructing clients, it is the Attorney General’s responsibility to facilitate, with these departments, adherence to the rule of law.
(U) The Deputy Minister (DM) of Justice, who is also the Deputy Attorney General of Canada, manages the work and operations of the department as its most senior public servant. The DM is supported by an Associate Deputy Minister who is entrusted to lead some of Justice’s specialized portfolios. This includes the Public Safety, Defence and Immigration (PSDI) Portfolio which is led by an Assistant Deputy Minister reporting directly to the Associate Deputy Minister.
(U) Justice delivers legal services to federal departments and agencies through a mix of three models, all of which apply to CSIS: (1) specialized centers of expertise, within the department; (2) a network of regional offices located across the country; and (3) dedicated legal service units (LSUs) that are physically located with the departments they advise.
(U) LSU counsel provide day-to-day advice on all issues. LSU counsel may consult or collaborate with counsel from the specialized branches, or at other LSUs as needed. Although co-located with client departments, LSU counsel are Justice employees, and in keeping with the status of the Attorney General, must remain independent from the client.
(U) The National Security Litigation and Advisory Group (NSLAG) is the LSU that supports and advises CSIS. It is located at CSIS headquarters and is part of the PSDI Portfolio. With approximately 50 counsel positions, NSLAG is led by an Executive Director and Senior General Counsel who reports directly to the Assistant DM of PSDI. The two meet every two weeks to discuss NSLAG’s work. The ADM, in turn, must report any matters of concern to the Associate DM.
(U) As mentioned previously, NSLAG’s Executive Director also occupies the position of ADL within the CSIS executive structure, reporting to the Director. Justice described this reporting relationship as functional only. In the ADL role, the head of NSLAG has confidential, bilateral meetings with the CSIS Director, to provide briefings on legal files and discuss issues that arise. This functional reporting relationship to the client co-exists with the formal reporting relationship within While at first glance this functional reporting role might seem to pose a challenge in terms of maintaining full independence from the client, Justice asserts that this structure is not unique to CSIS and does not create concerns regarding client capture.
(U) NSLAG provides both advisory and litigation services to CSIS on its security and intelligence Its advisory work involves matters related to the duties and functions of CSIS, including questions of legal authority, and advice related to the Charter, threat reduction measures, and the application of other legislation to CSIS operations. NSLAG’s litigation work consists mainly of representing CSIS in applications for warrants before the Federal Court and related matters, and representing both CSIS and other government departments and agencies in complaints investigations before NSIRA.
(U) CSIS also receives legal services from the National Security Group (NSG), a specialized legal branch located at Justice’s headquarters. As part of the AG’s National Litigation Sector, NSG leads the litigation of claims related to national security privilege under section 38 of the Canada Evidence Act. Its counsel are security cleared at the Top Secret level. NSG counsel also play a role in the CSIS warrant application process – namely, to conduct an “independent challenge” exercise as part of the internal approval process for warrant NSG’s role as Independent Counsel (IC) in the CSIS warrant application process is discussed in section 4e below.
(U) While the basic legislative and operational framework may seem simple, a closer analysis sheds light on many ongoing issues.
(U) This review revealed governance and cultural challenges in both CSIS and Justice that contribute to systemic issues in the warrant process, including with respect to the duty of candour. NSIRA’s findings fall within three overarching areas:
The report concludes with comments on systemic, governance and cultural issues.
(U) In order to meet its obligations with regard to the rule of law, CSIS must know what the law is. An unwieldy, tardy or indefinite means of ascertaining the lawfulness of activities jeopardizes CSIS’s ability to fulfill its mandate while adhering to the rule of law. This review considered, therefore, the fashion in which Justice (and specifically, NSLAG) provides legal advice to CSIS in performing its mandated activities, and how it has organized itself to do so. NSIRA noted three specific issues: the bureaucratic manner of obtaining advice; its timeliness; and the usefulness of this advice to CSIS in meeting its mandate.
(U) CSIS operates in often rapidly evolving and legally challenging environments. Timely, nimble and actionable legal advice is critical. To meet these objectives, Justice has adopted “operating principles”, including a centralized “one-voice” model for delivering legal In this model, Justice counsel are described as speaking “with one voice”, reflecting a desire for uniform and consistent legal advice delivered on behalf of the AG. To this end, Justice seeks consistency in the legal advice provided and the legal positions taken across Justice, to ensure a “whole-of-government” approach. Its advice does not simply reflect the opinion of the assigned legal counsel. Rather, the advice provided has “all of Justice behind [it]”.
(U) The one voice approach responds to a prior era in which many federal government departments hired their own lawyers to provide them with legal These lawyers were not part of Justice. When difficult, cross-governmental legal issues arose, counsel representing the various ministries did not always agree, which would then place the AG in a difficult position in Cabinet. A decision was made to bring all such departmental lawyers together in a common legal service operating under the Justice umbrella.
(U) In support of its one voice approach, Justice now employs a number of tools, including:
(U) While the premise for the one voice approach is sound, this review has noted some disadvantages in the current implementation of the model in the CSIS context. Importantly, because of the bureaucratic process required to complete a legal opinion, obtaining legal advice can be burdensome, inefficient, and a source of undue delay. Hierarchies in both CSIS and Justice have impeded fluid collaboration between Justice counsel and their CSIS client by limiting counsel’s ability to deliver advice rapidly. The pace of legal advice-receiving from Justice is slower than a CSIS intelligence operation, which leads to the advice not being delivered in a timely manner and in CSIS being [discussion of how collection activities are affected]
(U) In addition to the challenges of timeliness associated with bureaucratic hierarchies, there are also communication challenges associated with the different knowledge base involved in legal analysis versus operational expertise. NSIRA noted several critiques. Interviewees urged that Justice counsel would benefit from a greater understanding of CSIS’s operations. It was suggested that new or junior lawyers could participate in key operational training sessions to gain a better understanding of the CSIS Some discussed current initiatives to cultivate greater understanding between Justice and CSIS, voicing skepticism about their success. For instance, Justice was said to pitch its “lunch and learn” sessions with CSIS at the wrong level, and is too esoteric and theoretical when discussing, for example, section 8 of the Charter. Legal training of CSIS employees conducted by inexperienced counsel was also identified as a problem.
(S/C) These complaints are consistent with a 2018 client feedback survey on CSIS legal advisory That survey measured four dimensions of its service in comparison to those of the overall PSDI Portfolio. The survey found the overall quality of legal advisory services fell slightly below the departmental target, landing in the “moderate” category, with similar ratings from CSIS on the overall accessibility and responsiveness, as well as usefulness of its legal services. The survey results demonstrated satisfaction with legal risk management, which met the target standard. On the issue of timeliness, however, Justice scored poorly. Justice concluded that the survey indicated that CSIS users were, by and large, somewhat unsatisfied with the services provided and that there was room for improvement. Some comments from CSIS consistent with those frequently echoed in the interviews conducted by NSIRA included:
(U) The following sections describe more detailed and pointed CSIS preoccupations with the manner by which its officials seek advice from Justice and about the nature of the resulting advice.
(U) Barriers to accessing legal advice were a common theme of interviews. CSIS must formally frame its questions as clearly as possible, to avoid “half-baked” inquiries. However, rather than a collaborative process between counsel and CSIS, the conventional advice- seeking system is a formalized, bureaucratic process. Formal advice requests generally appear to be funneled from CSIS investigators and related personnel in the regional offices through their hierarchies, sometimes (but not usually) up to headquarters, and then from there to Justice counsel.
(U) This process, and resource constraints at Justice, contribute to considerable delays, [description on timeline]. Apart from prioritized, urgent requests for legal advice, it can take [timeline] to receive legal advice. In situations involving novel or complex issues, advice may take [timeline].
(U) Once prepared, advice then filters back through the same hierarchy, sometimes never reaching the investigators in its full form. Some interviewees reported concerns about “broken telephones” in which advice requests morphed in their travels through the hierarchy without an iterative process between counsel and the investigators seeking the advice, resulting in legal advice of limited relevance.
(U) Since this conventional process implicates both CSIS and Justice, it can be difficult to ascertain how much of this reported delay stems from Justice’s advice-giving mechanics and how much from CSIS’s own internal bureaucracy. Moreover, statements by interviewees estimating delay in receiving advice are hard to corroborate since NSLAG does not track the time it takes to provide its advice. The absence of such data at Justice raises a separate issue of whether it is in a position to measure progress and improvements stemming from any reform initiative.
(U) Regardless of precise cause, the lack of clear timely advice has reportedly had considerable impact on CSIS operations. With an increase in electronic communication and information, the need for timely, clear advice on investigative methods has become pivotal. The operational impact is notable: interviewees repeatedly described an [discussion of detrimental effects on operations] that may require legal advice. Managers have reportedly sometimes advised staff to seek alternative solutions where a matter may require legal advice [discussion of detrimental effects on operations]
(U) Clearly, the conventional legal advice process does not adequately support CSIS operations, both in terms of timeliness and relevance.
(U) In addition to timeliness and relevance, NSIRA heard regular and often related concerns about the nature of the legal advice supplied by NSLAG to CSIS. NSIRA interviewees repeatedly described legal opinions pitched at an esoteric and legalistic level, without sufficient attention to the audience that needs to understand and act on them.
(U) NSLAG has typically presented its advice as a legal risk assessment, in which NSLAG opines on the risk associated with a specific activity, in accordance with the Justice Legal Risk Management (LRM) Framework, described further below. The style of the resulting advice can be compared to a “traffic light” system, where an activity represents a low legal risk to CSIS (green light); a high legal risk (red light); or, more ambiguously, an intermediate legal risk (yellow light). Yellow light-style responses were reportedly the most common and the most frustrating to consumers of the advice, especially when unaccompanied with discussions of how risk could be mitigated.
(U) In this last respect, CSIS interviewees often described NSLAG opinions as not making efforts to propose alternative and legally sustainable means of arriving at the intended objective. That is, NSLAG reportedly does not always understand CSIS’s objectives, and then provide advice designed to guide CSIS on how it might lawfully meet that objective (if possible). Several CSIS interviewees emphasized the potential value of having Justice assist them by providing advice in the form of a “road map” to how an operation might reach its objective lawfully. They stressed, however, that this road map-style form of advice was not a regular part of the NSLAG advice-giving approach or practice culture. That said, NSIRA also heard that there may now be the beginnings of a shift from the conventional advice-giving approach, as discussed below. Because of the importance NSIRA places on it, this report returns repeatedly to the concept of road map-style advice.
(S) NSIRA heard that in instances where CSIS managers received advice indicating a medium level of risk (yellow light), they often [description within CSIS of an unwillingness to accept risk]. In other instances, managers expressed discomfort with assuming the risk and reportedly forwarded the decision up the hierarchy to diffuse responsibility. Operationally, such delays in decision-making often have detrimental effects on investigations.
(U) As a result, some at CSIS perceive Justice as presenting a road-block. This is not because Justice provides principled and clear positions reflecting the primacy of the rule of law over ill-advised operations, but rather as a result of the bureaucracy at Justice, its perceived operational illiteracy, and its unhelpful approach to communicating legal advice.
(U) There is, however, another dimension to these issues. Justice, and NSLAG especially, face challenges in giving advice to CSIS. Justice is not directly analogous to a private sector law It must perform a public law function tied to the roles of the Minister of Justice and the AG. In giving its legal advice, Justice must be especially attentive to the rule of law and the AG’s role in defending it.
(U) When interacting with its clients, Justice acts merely as an advisor and sees it as its client’s responsibility to make the ultimate decision, informed by the advice given. A factor that may explain Justice’s resistance to go beyond pure legal analysis is that Justice is necessarily wary of a reported tendency by CSIS to recast legal questions in an effort to get different answers. CSIS, it was said, sometimes resists the law as it is, hoping that the law will be what it wants it to be.
(U) Additionally, NSIRA heard that CSIS has not always shared all relevant information with Justice, prompting a degree of mistrust. NSIRA heard of instances in which CSIS provided Justice with partial information, but did not convey the full NSLAG has informed CSIS that to provide the most meaningful legal advice and to better support its operations, counsel need to have “all the facts”, and to be engaged “sooner and deeper”. NSLAG conveyed that earlier and ongoing involvement throughout the stages of an investigation or operation, with participation in CSIS meetings and discussions along the way, would enable counsel to gather facts more naturally, and permit a more nuanced understanding. If there is uncertainty as to the client’s true goals and current situation, it is understandable that Justice lawyers are sometimes reluctant to provide a road map.
(U) The provision of advice on highly classified matters also presents logistical challenges. NSLAG lawyers operate in an environment that may impede easy interaction with other components of Justice, including in the specialized practice groups, where top secret security clearance holders are few and information management systems are not approved for classified information storage. Further, Justice is not well structured to address the range of matters arising in national security, and other units may produce advice that is too late, or unhelpful. Specialized units struggle where they are excluded from relevant classified information, and have sometimes been consulted by NSLAG too late in the advice process. The process by which differences of opinion between these specialized groups and NSLAG are reconciled would appear not to be fully formalized. There are some joint committees, and strong disagreement on a high profile matter could be advanced to the deputy minister. It is unclear how much these processes are leveraged to overcome the identified challenges.
(U) Internal silos at NSLAG between the advisory and litigation wings also play a role. These internal silos were reportedly a contributing factor in the confusion and uncertainty surrounding the omission of information in the warrants in 2020 FC 616. Many of the unlawful activities at issue in that case involved sources and operations for which legal advice had been previously discussed within NSLAG in the advisory branch, where relevant opinions on matters such as crown immunity had been produced. However, warrants counsel reportedly were not always aware of this The breakdown of internal silos is thus essential for the avoidance of such sequences of events in the future.
(U) Moreover, CSIS’s activities are sufficiently unique and unusual to impose a steep learning curve on counsel. This learning curve manifests itself in several ways. First, NSLAG lawyers must become familiar with the unique and classified CSIS operational environment, something that some interviewees on the CSIS side suggested counsel needed to better understand. Second, novel questions may require careful and collective consideration, ensuring that Justice “speaks with one voice” but also slowing the process of delivering advice.
(U) Finally, Justice cannot easily overcome the inherent uncertainty of some legal issues, and Justice lawyers may often be obliged to voice legal doubt; that is, the unhelpful “yellow light” concept. Legal doubt is anathema in a rule of law system – it is difficult to ask an organization to comply with a law when that law is unknown. The law in national security can be especially unsettled. The sometimes imprecise statutory law applicable to CSIS is rarely subject to judicial interpretation, creating considerable uncertainties. Meanwhile, case law on section 8 of the Charter mostly arises in the criminal law context, and Justice counsel are left to extrapolate from these decisions to the related, but still distinct world of CSIS operations. Often, the sole means to address legal uncertainty is to bring legal questions to the Federal Court through warrant applications.
(U) In sum, national security law is a highly specialized and constantly developing area. Nonetheless, CSIS needs efficient advice, a need that goes to the heart of both CSIS and Justice’s mandates.
This section addresses recent reform initiatives in the delivery of legal services at Justice.
(U) Justice told NSIRA that it is aware of the need for change in the organizational culture at NSLAG.A new NSLAG Executive Director took office in January 2020 and, since then, has reportedly participated in senior-level discussions with CSIS on cultural change management. NSLAG noted some resistance to change management within its organization, but reported a generally healthy appetite for change, including with an aim of addressing concerns about information silos.
(U) NSLAG has implemented several new internal procedures addressing internal silos by facilitating awareness among litigation counsel on emerging legal issues on the advisory side (and presumably vice versa). NSLAG has developed its own classified version of Justipedia to assist with knowledge management, with the aim of ensuring consistent legal opinions. NSLAG holds weekly practice group meetings in which participants provide “roundtable” updates on their work. If a practice group is unable to sort out a legal issue, the matter may escalate through several levels of management within NSLAG, to the Executive Director. While these reforms may assist in bridging internal silos, they may not be sufficient. NSLAG must develop a process whereby there is a method to communicate with, or brief warrant counsel where advice has been provided for an operation that subsequently becomes prioritized for a warrant.
(U) Justice sometimes issues practice directions to provide guidance to counsel on certain aspects of their practice. In 2019, Justice issued two practice directions related to the duty of candour in warrant applications. The first specified that warrant applications will not rely on information derived from unlawful activity, and where unlawful activity occurs, it must be brought to the Court’s attention. The second provided guidance on information that must be disclosed to the Court, including whether the human source has engaged in illegal activities, as well as issues that inform the credibility and reliability of a source.
(S/C) On September 22, 2020, Justice issued a practice note to NSLAG counsel [Description of contents of note]
(S) Not all interviewees thought these changes would suffice to address NSLAG’s internal silos, and worried that dots would not be connected between legal advisory opinions and operational legal One suggestion was to ensure that relevant advisory opinions are [IM solution suggested]
(U) Moreover, NSLAG’s range of expertise may not suffice to identify every latent legal issue. In addition, those components of Justice with that capacity may not appreciate the nature of CSIS’s mandate and operations. Some interviewees urged NSLAG’s litigation role needs to be supplemented by working more closely with Justice’s general litigation lawyers in their counsel role,80 requiring that information silos be overcome. NSIRA notes Justice recently implemented tools specific to its national security role. These include a number of DM-level committees that address broad policy and operational matters in national security and which involve other LSUs.
(U) NSIRA observes that Justice’s capacity to anticipate new issues depends on an alert client. Interviewees described an effort to be more proactive, and to raise to the CSIS Director legal issues requiring proactive resolution. At a minimum, it will be important for the Director to work with Justice and Public Safety Canada to anticipate emerging legal issues, and organize effective means of resolving them.
(U) NSLAG acknowledged the need “to do a better job ensuring that the client understands the legal landscape”. It recognized client frustration with the law in some circumstances, since court cases may provide direction that is sometimes confusing in real world situations, including with respect to Charter issues and a person’s reasonable expectation of privacy. Although it does conduct some training for CSIS, NSLAG says it could be doing more outreach and engagement. As part of CSIS’s Project [Name], discussed further below, NSLAG has indicated the need for more outreach training in both directions, including CSIS providing training for NSLAG.
(U) NSLAG also appears to recognize the desire for a different approach to giving advice, including moving toward road map-style legal advice that works collaboratively and iteratively with CSIS to achieve operational goals within the bounds of the law. NSIRA heard that NSLAG regards this approach as a best practice and is committed to it, although it was not clear at the time of the review how far Justice had moved toward a generalized, road map-style form of advice-giving.
(U) It was clear, however, that Justice generally does not support a solution of “embedded” legal counsel at CSIS regional offices. Justice interviewees regarded embedding as raising risks of client capture and posing challenges for internal staffing and consistency of advice. Instead, Justice and CSIS have recently launched a pilot project in which specific counsel were designated to support CSIS throughout a specific operational ‘mission’.
(U) Moreover, NSLAG has piloted an “office hours” practice, relying on headquarters-based counsel serving as liaison counsel for the regions. Those regional liaison counsel who currently provide support make themselves available to the regions to receive informal queries. The office hours initiative was conceived as a means of permitting CSIS personnel to put forth “trial balloons” regarding operational possibilities before possibly formulating a request for formal legal advice, which would then be put through the conventional advice request process.
(U) NSIRA also heard that a revamped approach to the giving of advice would require cultural adjustments at both CSIS and Justice. The Justice practice of vetting advice through a hierarchy may be difficult to reconcile with more timely legal involvement. Novel questions may require careful and collective consideration, ensuring that Justice “speaks with one voice” but they will need to be mindful that delay may jeopardize operation or reach a point of uselessness. As noted, short of converting CSIS officers into legal experts, regular and timely access to legal advice is essential to meeting the standards of the rule of law without stymying operations. NSIRA would also note that even formal legal advice will need be geared to the consumer, and thus should avoid legalistic discussions largely meaningless to non-lawyers.
(U) In moving toward such a system, NSLAG will need to avoid client capture in order to meet the Attorney General’s obligation to honour and advance adherence to the rule of law, while also facilitating CSIS’s operational imperatives. A dominant theme of the interviews was the challenge of reconciling the Attorney General’s obligation to maintain the rule of law with client-centered service delivery models giving clear and consistent legal advice to CSIS in the execution of its lawful mandate. Lawyers do not easily reconcile these objectives, and interviewees were of the view that clearer instruction on the role of the AG and codified standards for giving advice were advisable. Thus, NSIRA heard support for the idea that NSLAG should have advisory service standards. Such standards are especially important if, as NSIRA heard, at the more senior levels in Justice, the border between legal advice and policy advice may begin to blur. Some interviewees indicated that at this level, there can be a strong cultural desire to give the client room to maneuver.
(U) For its part, CSIS will need to become more comfortable working closely with legal advisors, and in disclosing the full range of sensitive details needed for Justice counsel to provide useful advice. Generally, CSIS interviewees seemed to welcome the office hours approach, though some noted its usefulness will be dependent on the personality and experience of the counsel, and in any case, it is not a panacea. This reaction highlighted the reservations of some CSIS officers based on past unsatisfactory interactions involving inexperienced counsel.
(U) Justice faces, therefore, the ongoing challenge of giving fearless, timely, consistent and clear legal advice while at the same time developing client-centered service models, in an area (national security) that is a niche, often highly-specialized concern for the department and fraught with legal uncertainties.
(U) In assessing current initiatives in future reviews, NSIRA will be especially concerned with how Justice embraces a road map-style of advice-giving. Based on the information collected for this review, NSIRA believes that useful advice must be offered during operational planning and execution, a prospect that NSIRA expects the pilot project involving an operational mission will explore. Advice should continue as the operation is evolving in response to unforeseen legal matters requiring immediate guidance. Based on its interviews, NSIRA believes the success of this system will depend on a number of features. First, the optimal delivery of legal services must rely on Justice counsel who are sufficiently experienced and attuned to the unique CSIS operating environment. While not embedded in the regions, it seems these counsel will need to be entrusted with the ability to interact directly with CSIS operational clients at all levels, including during live operations, and give advice on routine matters without delay. These counsel will also need to be familiar with Justice’s position on recurring issues so as not to jeopardize the one voice model. To this end, NSLAG would likely benefit from developing a concise reference tool with its position on recurring issues and most common legal authorities invoked and make the tool accessible to counsel to support their real-time advice.
(U) Not every legal issue will be routine. Yet, counsel participating in operational planning should be well positioned to anticipate and articulate more difficult legal issues, and then be responsible for resolving these legal questions in keeping with Justice’s one voice approach. Counsel involved in operational planning should serve as the entry to Justice for matters requiring additional internal consultation at Justice with either their NSLAG colleagues or those in centres of expertise. A counsel fully apprised of operational realities who is able to “case- manage” the provision of advice in this manner may avoid the problems of “broken telephone” and non-responsive legal advice associated with the conventional advice-giving model.
(U) Legal involvement in CSIS activities, as they are being planned and organized, should also allow Justice to provide informal legal nudges that allow CSIS to course-correct before too much time has been spent. Closer legal involvement during the early phases will minimize the need for legal opinions on operations that are late in the development cycle or that are already underway. Put another way, a more iterative process of incorporating legal advice over the full course of an operation could address the reported challenge of operations halted due to untimely or ambiguous legal advice.
(U) Critically, meeting these objectives requires CSIS to invite Justice counsel to sit at the table at all stages of the lifecycle of an operation, and for Justice counsel to be fully and frankly briefed on operational objectives, intent, and details.
(U) Justice has embarked on a “transformational change” initiative, in consultation with clients, to improve how it conducts its work and supports its clients. Launched in 2018, the VISION comprises four pillars: meaningful risk assessments; client-centric strategic partnerships; recognizing and building expertise; and, simplifying the funding model. One of the key priorities includes an overhaul of the existing Legal Risk Management Framework, which Justice has recognized for some time does not effectively communicate risk.
(U) Interviewees made clear that Justice’s manner of characterizing legal risk in the Legal Risk Management (LRM) Framework is not understood in the same way by its lawyers and its clients and is not always regarded as useful even by the lawyers applying it. For instance, something that is “high legal risk” is very likely unlawful under the LRM Framework, but this was not always understood by clients. Justice did not provide NSIRA with the full draft revised LRM Framework as modified in the context of VISION, as it is still under development. Justice did however provide and brief NSIRA on some working LRM documents. On the basis of these materials and briefings, NSIRA believes that two [aspects relating to the LRM Framework] need to be addressed.
(U) First, there will be instances in giving advice where Justice should describe activity not as “high risk”, but simply as unlawful. Certain legal questions can be answered unequivocally, even accounting for the cautious nature of lawyerly advice. In a system based on the rule of law, and given the role of the Attorney General, such questions should be answered in as definitive a manner as possible. That there may be some hypothetical possibility that the activity might not be unlawful does not mean that Justice should fall back only on the language of “high risk”, since this phrase may give a client the impression such activities, while “risky”, are still a viable option for risk-embracing officials. Justice should avoid such situations. Where an activity is very likely unlawful, Justice should tell the client exactly that and describe the consequences of proceeding, rather than simply couch its conclusions in a probabilistic formula.
(S/C) Some interviewees underscored this view in discussions with NSIRA. Further, NSIRA notes that Justice has proposed [discussion of Justice initative]
(S/C) [Discussion of operational aspects and purpose of Justice initative]
(U) In contrast [discussion of an NSIRA perceived gap in Justice initative]. In NSIRA’s view, this approach is [Discussion of NSIRA’s recommended approach to address the identified gap]
(U) Second, NSIRA notes that many of the [description of certain aspects of Justice’s tools] NSIRA regards these considerations as inappropriate,
(U) Justice believes that the draft [discussion of aspects of Justice initative]
(U) Still, without careful mitigation, NSIRA believes that there remains a risk [discussion of a concern relating to Justice initative]
(U) In sum, based on the role of the AG in advancing the rule of law, [discussion of a standard to address the identified concern in the Justice initative] In future reviews implicating Justice’s legal advice, NSIRA will be attentive to whether advice meets this standard.
Finding no. 1: NSIRA finds that the legal advice-seeking and giving process, and resource constraints at NSLAG, contribute to considerable delays, [description of timeline]
Finding no. 2: NSIRA finds that Justice legal opinions have sometimes been prepared without sufficient attention to the audience that needs to understand and act on them. Opinions have been focused on assessing legal risk, often late in the development of a CSIS activity, with limited effort made to propose alternative and legally sustainable means of arriving at the intended objective.
Finding no. 3: NSIRA finds that the Justice Legal Risk Management Framework is misunderstood at the working level at CSIS and that it does not provide an appropriate framework for the unequivocal communication of unlawful conduct to CSIS.
Finding no. 4: NSIRA finds that difficulties in acquiring prompt and relevant legal advice have contributed to the [discussion of the detrimental effects on and risks to operations] that may require legal advice. In consequence, the manner in which Justice has provided legal advice to CSIS does not always meet the needs of CSIS operations.
Finding 5: NSIRA finds that Justice does not generate the necessary business analytics to track its service delivery performance to CSIS.
Finding no. 6: NSIRA finds that Justice has acknowledged that internal silos at NSLAG between the advisory and litigation wings have sometimes left warrant counsel unaware of emerging legal issues and that Justice has taken steps to resolve these issues.
Finding no. 7: NSIRA finds that Justice has committed to improve its advice giving to CSIS, including moving toward “road map” style legal advice that involves working collaboratively and iteratively with CSIS to achieve operational goals within the bounds of the law.
Finding no. 8: NSIRA finds that CSIS has not always shared all relevant information with NSLAG, prompting a degree of mistrust and limiting Justice’s ability to provide responsive legal advice.
In view of these findings, NSIRA recommends that:
(U) Recommendation no. 1: Justice pursue its commitment to reforming the manner of providing legal advice to CSIS, and its stated commitment to “road- map” style advice as a best practice. In support of this objective and the provision of timely, operationally relevant advice, NSIRA further recommends that Justice implement the following:
(U) Recommendation no. 2: NSLAG (in coordination with CSIS) develop Key Performance Indicators to measure the delivery of legal services to CSIS.
(U) Recommendation no. 3: CSIS and Justice include in their training programs interactive scenario-based training developing the operational intelligence activities expertise of NSLAG counsel and the legal knowledge of CSIS operational staff.
(U) Recommendation no. 4: To ensure Justice is able to give meaningful and responsive legal advice as recommended in recommendation #1, that CSIS invite Justice counsel to sit at the table at all stages of the lifecycle of key and novel operations, and that it fully and frankly brief counsel on operational objectives, intent, and details.
(U) Recommendation no. 5: Justice’s advice giving must clearly and unequivocally communicate advice on the unlawfulness of client conduct, whether criminal or otherwise.
(U) While the preceding section dealt with issues related to the provision of legal advice in the course of all of CSIS operations, the current warrant process is fraught with its own problems, as illustrated by numerous Federal Court decisions.
(U) Warrants are critical to CSIS’s success as an intelligence service. [Discussion of prior internal review]“The information obtained through their execution is the Service’s lifeblood”. At the same time, another, more recent review concluded that for many within CSIS, the warrant process is regarded as a “necessary evil” on account of its onerousness. This section examines the “warrants life cycle”, from prioritization to execution, in order to identify and assess the underlying factors that have made CSIS’s warrant process cumbersome.
(U) Section 21 of the CSIS Act provides the basic rules for warrant applications. If CSIS believes on reasonable grounds that a warrant is required to enable it to investigate a threat to the security of Canada (or collect foreign intelligence for section.16 purposes), it may, with the approval of the Minister, make an application to the Federal Court for a warrant. The affidavit supporting the application must provide the supporting facts demonstrating the reasonable grounds to believe that a warrant is needed to investigate the threat.
(U) In practice, CSIS organizes the process of seeking a warrant around a system of internal preparation and approvals before proceeding to the statutory step of seeking ministerial approval of the warrant application. In order to understand fully the warrant process, NSIRA has broken it down into several stages of a larger “warrant lifecycle”, each of which are discussed below.
(U) A number of legal concepts and expectations enter into the warrant process, including, in particular, the “duty of candour” owed to the Court. As noted, warrant proceedings are conducted in the absence of the target and are closed to the public in order to protect the covert nature of a search. To compensate, however, for the one-sided nature of such proceedings, courts (and the law societies that regulate the legal profession) impose elevated obligations of candour on the lawyers and party appearing before the court, also known as a duty of utmost good faith. The evidence presented by the party “must be complete and thorough and no relevant information adverse to the interest of the party must be withheld.” In consequence, the party must “conduct a thorough review of the information in its possession and make representations based on all of the information including that which is unfavourable to their case.”
(U) The concept of “materiality” guides which facts must be disclosed to the court. Thus, in CSIS warrant applications, CSIS “must present all material facts, favourable or otherwise”. “Materiality” simply means a fact relevant to an issue in the case. For CSIS warrants, “information is material if it is relevant to the determination a judge must make in deciding whether or not to issue a warrant, and if so, on what terms.” For instance, a material fact is one that is relevant to “the belief, on reasonable grounds, that a warrant… is required to enable” CSIS to investigate a threat to the security of Canada.
(U) The Federal Court has held, however, that materiality extends beyond facts relevant to the factors expressly listed in section 21 of the CSIS Act. For instance, materiality reaches “information about the broader framework in which applications for the issuance of CSIS Act warrants are brought”. This means the duty of candour includes information that is “material to the judicial exercise of discretion” to issue a warrant. It includes the flagging of “legal issues that could be of concern to the Court”. Legal issues do not, however, exhaust this broader category of materiality, as it also reaches disclosure of CSIS’s precise conduct under a warrant that may influence the Court’s exercise of discretion.
(U) This broader category of “material to the exercise of discretion” relates to the especially important role of the Federal Court as the primary source of independent control over CSIS activities conducted under warrant. Unlike a police warrant, which may be retrospectively scrutinized by a second judge in adversarial proceedings if a police investigation culminates in a prosecution, the Federal Court judge is often the only judge who ever examines a CSIS warrant. The target of the warrant or the broader public will usually never know the CSIS activities conducted under the authority of that warrant. In this context, the Federal Court has signaled a redoubled urgency to meeting a broad duty of candour.
(U) It is clear, however, from our interviews, that the broad conception of materiality has led to doubt and confusion within NSLAG and thus within CSIS. Those interviewees who addressed the issue appeared to agree that Federal Court candour concerns now fit into (at minimum) two categories, which we define as “material to credibility”, and “material to matters of potential concern”. NSIRA defines these categories as follows:
(U) The first category of materiality should be well understood by CSIS and its lawyers. The contours of the second category are not as easily determined and require careful consideration by Justice counsel, assisted by a professional cadre of affiants who reach out to regions to determine how warrants will be executed.
(U) As outlined in Annex A, incidents concerning CSIS’s observance of its duty of candour are almost as old as CSIS. Following each failure, CSIS Directors promised reforms. CSIS introduced new policies, but problems recurred. In other words, repeatedly, progress has been made on paper, but without genuinely correcting the underlying problems. CSIS appears to have a long history of quick reforms, followed by neglect, high turnover of personnel leading to a loss of institutional knowledge, and resourcing that did not match stated priorities. Some interviewees described reforms as typically focused on the minutiae of process rather than on achieving measurable outcomes. CSIS does not track or measure the success of past reforms. In the eyes of some, CSIS reforms often represented “band-aid” solutions rather than attempts to get to the core of issues, and often resulted in the creation of new bureaucracy. In NSIRA’s view, CSIS’s chief challenge is to break this cycle.
Finding no. 9: NSIRA finds that CSIS has a history of quick reforms, followed by neglect, high turnover of personnel leading to a loss of institutional knowledge, and resourcing that did not match stated priorities. CSIS does not track or measure the outcome of past reforms adequately and has no performance metrics for assessing success.
(U) NSIRA notes that even determining how the warrants process works presents Internally, warrant requirements are not adequately codified in applicable policy. CSIS policies have not kept pace with operational reality, as they are often vague, dated, overlapping and contradictory. The gap in policy was evident when examining the warrants policies, which were last updated in 2018 prior to the warrant process undergoing substantial changes, including the implementation of the Affiant Unit (AU) in 2019. Given these issues, a basic question that arises is whether those CSIS officers conducting investigations are sufficiently attuned to when the law requires a warrant.
(U) NSIRA heard that there is a clear threshold for when a warrant process must typically be initiated for well-established collection techniques. However, absent clear policy, there was more legal doubt when at issue was the use of novel technologies with uncertain legal ramifications and requirements.
(U) Once a region or desk has identified the need for a warrant, the first step in the process is the internal prioritization at CSIS of a target case file or investigation for a warrant application. In practice, this prioritization amounts to a system of triage, assigning limited warrant application resources to specific files. However, it was evident to NSIRA that CSIS employees involved in the warrants process had little to no common understanding regarding the process or basis on which a warrant is prioritized. Even senior officials in the CSIS hierarchy regarded the prioritization process as a mystery.
(U) NSIRA heard that headquarters prioritization standards remain a work in progress, and sometimes a struggle among competing interests. The DDO meets weekly with a number of CSIS executives to discuss the investigations requesting a warrant and the possible operational, legal or process developments that could affect priorities for decision-making on warrants prioritization. While NSIRA was informed that there is a record of decision produced after each prioritization meeting, it remains unclear what criteria are used to prioritize a warrant. Some information suggested prioritization has focused on security-related issues. Others speculated that prioritization also considered the perceived amount of work, availability of lawyers and affiants, and how long it would be until current warrant powers expired and needed renewal. Frequent shifts in this process of prioritization have reportedly produced situations where a warrant process starts and stops several times, wasting precious time and adding to operational uncertainty.
(U) Given the complexity and lack of clarity of the prioritization process, it has been very difficult to bring novel issues to the Court with the goal of addressing legal ambiguities through court decisions. NSIRA heard about activities that [discussion of detrimental effects on operations] over unresolved questions of law that could have been addressed by the Court. There appeared to be agreement among our interviewees that more matters should be taken to court – and whenever in doubt, seek a warrant.
(U) Given the current situation, however, NSIRA’s impression is that for CSIS to take a legal issue to Court likely requires the combination of a high priority investigation and the existence of just the right real-world scenario to illustrate the legal issue. Of course, any attempt to resolve legal uncertainty runs the risk of obtaining a legal ruling that constrains rather than empowers investigations. NSIRA heard from some interviewees that there may be a reluctance to take issues to court as there is always a risk of obtaining the “wrong answer”.
Finding no. 10: NSIRA finds that CSIS policies have not kept pace with operational reality, as they are often vague, dated, overlapping and contradictory. The absence of clear policy creates legal doubt or concerns, and gives rise to disparate interpretations of legal and operational standards.
Finding no. 11: NSIRA finds that there is little common understanding regarding the process or basis on which a warrant is prioritized. Frequent shifts in this process of prioritization have added to operational uncertainty. The prioritization process has made it very difficult to bring novel issues to the Court with the goal of addressing legal ambiguities through court decisions.
Recommendation no. 6: NSIRA recommends that CSIS adopt, and share internally, clear criteria for the warrant prioritization process.
(S/C) Once CSIS decides to prioritize a warrant application for an investigation/case, CSIS begins the warrant acquisition process. This process has always been lengthy and bureaucratic. In 1992, the Honourable George Addy reviewed the CSIS warrant process and reported [number] steps spanning a total of [number] and involving from [number] people. Approximately [number] people knew the identity of the target before the warrant was issued, seemingly undercutting the “need to know” principle. George Addy commented adversely on the length of the warrant process. He wrote: “[w]hatever procedures might finally be decided upon, it is of paramount importance that, from the moment the decision to initiate the process is taken, the time required to obtain a warrant should never exceed [timeline], as an absolute maximum.”
(S/C) Yet, [discussion of prior internal review]
(S) At present, according to the documents provided to NSIRA, the process involves [Number] administrative steps in a security intelligence warrant request, [Number] which are internal to CSIS and Justice prior to the application’s filing at the Federal Court. For a foreign intelligence warrant, there [Number] steps. The timetable for the renewal of a security intelligence warrant anticipates a process of [Number] working days, or [timeline] (Annex B). The process involves committees or units within CSIS (and possibly more if the warrant implicates more than one region), NSLAG, and Public Safety Canada. At least [Number] CSIS managers are named in the process, as are [Number] Justice employees and the Minister and Deputy Minister of Public Safety.
(U) NSIRA was unable to find any one person who could describe precisely the rationale of each of these [multiple] of steps in the overarching scheme; even those close to the process were not always sure what role each approval step played. Few of the steps are mandated by law, but rather they appear to have accrued over time despite repeated efforts at streamlining. Some steps appear to reflect older reform efforts triggered by concerns over compliance, not least with the duty of candour. And yet, as noted at the outset of this review, the candour issues at CSIS persist.
(U) In sum, the warrant process appears to be caught in a vicious cycle whereby duty of candour failures (or the fear of prospective failures) cause CSIS to add more bureaucratic fixes, which complicate an already lengthy and inefficient process without actually resolving the underlying issues that led to the duty of candour failures in the first place. Indeed, as discussed below, the complexity of the warrant process appears itself to contribute to CSIS’s candour issues. CSIS and Justice must break this cycle. A description of how best to do this will first require further discussion of the warrant process itself.
(U) CSIS maintains five categories of warrant applications, the most common of which are new warrants, replacement of existing warrants159, and supplemental warrants. Each category has its initiating procedures.160 In all applications, the relevant desk at headquarters and the implicated CSIS operational region conducting the investigation prepare a [content of document]. Together, the [number] documents detail the threat, the targets, and set out the investigative powers CSIS proposes to use. Once approved, CSIS sends the [document] to NSLAG for a “threshold” determination; i.e., an assessment of whether there are reasonable grounds to believe that a warrant is required to investigate the threat. If NSLAG concludes that the proposed targets meet the threshold, then development of the rest of the warrant application begins. The key contributors to this process are the Affiant Unit, NSLAG and the Warrant Administration Unit.
(U) The Affiant Unit (with the advice and legal support of NSLAG) is responsible for preparing the affidavit used in support of the warrant application. The affidavit is the affiant’s sworn written testimony and includes a range of information required pursuant to section 21 of the CSIS Act. The affidavit is often laid out as follows.
(S) The affidavit will also include a number of exhibits, the most important of which are the human source précis and the foreign agency précis. The human source précis is a summary of information from CSIS’s files that allows the court to assess the reliability and credibility of the human source without revealing the source’s identity. It comprises information pertaining to the source’s relationship with CSIS, [description of information] and motivation. The précis will also include a corroboration table used to support the source information contained in the affidavit. Where the application relies on information supplied by a foreign agency, the foreign agency précis includes background information regarding the mandate of that agency, the agency’s history with CSIS, and whether the information relied upon in the application may have been obtained as a result of mistreatment.
(U) Once approved and reviewed in keeping with several additional steps, including the Independent Counsel vetting discussed below, the application goes before the Warrant Review Committee (WRC) for approval. The committee comprises senior members of CSIS and the department of Public Safety Canada as well as observers from other government agencies such as CSE and the RCMP. At the WRC, the affiant provides a brief overview of the investigation, the application is discussed, and a decision is made regarding whether to proceed with the application, and if so, what changes are required. The application is then submitted to Public Safety Canada, where it is reviewed and passed to the Minister accompanied by a summary and advice as to whether the Minister should approve the application. Once approved, Justice files the warrant application package in court on behalf of CSIS.
(U) The complexity of the CSIS warrant acquisition process is quite unlike the manner in which the police obtain their search warrants. The length of the process itself can pose operational risks, [it may affect the warrant].
(U) There are reasons why CSIS warrants are more administratively burdensome. Unlike police investigations, CSIS investigations rarely produce evidence culminating in criminal proceedings in court. They thus lack the prospect of retrospective challenge by a party with a vested interest in testing the propriety of the warrant. The safeguards in the CSIS warrant context are therefore prospective, and properly include a careful bureaucratic vetting, as well as executive control exercised by the Minister of Public Safety and judicial control by the Federal Certain steps, such as the Warrant Review Committee, discussed further below, are therefore desirable. However, beyond a certain point, more steps does not correlate with better quality. Indeed, NSIRA observed that many of the steps in the warrant process amount to a series of minor tweaks and clerical changes of limited importance to an application that often becomes an exercise in ‘drafting by committee’. What the proliferation of steps has done, however, is to create a process widely regarded as slow and unwieldy, with no clear lines of accountability.
(U) For many of our interviewees, the process had the following features:
(U) NSIRA is therefore of the view that there are significant changes that CSIS could make that would materially improve the quality of warrant applications. NSIRA does not think that the bureaucratization of the CSIS warrant process as described above has improved matters; on the contrary, the lack of clear accountability, lack of internal communication, and excessive complexity have all contributed to the problems facing the process. NSIRA agrees fully with the view that time should be reallocated to those stages that make for a better warrant, including regular engagement with the regions.
(U) The warrant process should not be mired in steps that amount to the shuffling of paper between desks. These should either be eliminated, or conducted concurrently with more substantively meaningful steps, avoiding the reality or perception of pro forma involvement by officials who lack a clear and manifest need for involvement in the warrants process. Put another way, where there are steps that do not make a significant contribution to a more accurate application, CSIS should eliminate them.
Finding no.12: NSIRA finds that the actors involved in the warrant process do not have a common understanding of the rationale for each of the [multiple] steps in the overarching warrant application scheme and are not always sure what role each approval step plays.
Finding no. 13: NSIRA finds that the proliferation of process in seeking warrants has created a system of diluted accountability widely regarded as slow and unwieldy, with delays caused by multiple levels of approval.
Finding 14: NSIRA finds there is no regular feedback process in which explanations for warrant-related decisions made at one level filter back to other levels. The absence of feedback is especially acute for the regional investigators.
Finding 15: NSIRA finds that often, the sole means to address legal uncertainty is to bring legal questions to the Federal Court through warrant applications. In consequence, an unwieldy warrant process makes resolution of legal doubt more difficult.
In view of these findings, with respect to the warrant process, NSIRA recommends that:
Recommendation no. 7: CSIS establish a new warrant process eliminating steps that do not make a significant contribution to a more accurate application. The process should assign clear lines of responsibility for the production of accurate applications. The reformed system should ensure that delays associated with managerial approvals are minimized, and that time is reallocated to those steps contributing to the preparation of the accurate applications.
Recommendation no. 8: CSIS integrate the regional stakeholders (including the implicated investigators) at every key milestone of the warrants process.
Recommendation no. 9: CSIS adopt policies and procedures governing the reformed warrant process that clearly outlines the roles and responsibilities of each participant and the objective of each step in the warrant process and that these policies be kept current as the process evolves.
(U) When discussing the warrant process, NSIRA often asked who should be responsible for the accuracy and completeness of the warrant application. There are two clear points of responsibility. First, staff in the regional offices conducting investigations are responsible for feeding complete, correct and appropriately contextualized information into the warrant production process. Second, the individual most responsible for the final product is the affiant, whose sworn affidavit supports the warrant application and supplies the factual basis permitting the Court to conclude that the legal requirements for the issuance of a warrant have been met. After all, if there is to be a duty of candour failure, it will be because of an inadequate affidavit. Meeting these obligations is, however, unnecessarily difficult for both the regions and the affiant, for the reasons below.
(U) CSIS warrant applications often depend on information collected from confidential human sources. As discussed above, the reliability of this information – and the credibility of the source – constitute key material facts in warrant applications. A failure to apprise the court of information relating to credibility is a clear violation of the duty of candour.
(U) As noted, source information appears in the warrant application through the source précis and affidavit. The source précis and affidavit, in turn, stem from information that was originally collected by the regions, which handle human sources. In practice, therefore, the affidavit is no better than the quality of the information provided by the regions. If that information is incomplete, none of the [multiple] steps in the CSIS warrant acquisition process can compensate. Notably, omissions regarding human sources have occurred repeatedly in the past. This report calls this the “recurring omissions” problem.
(U) NSIRA detected several factors that heighten the risk that regions will omit information material to the warrant application. Indeed, some duty of candour breaches seem to be explained by these factors.
(U) NSIRA was told that police learn how to piece together a narrative that “shows their work”, and police informant handlers also are generally familiar with credibility and candour issues. CSIS is not culturally attuned to this same standard, despite the importance of the legal expectations it must meet. Indeed, CSIS officers, when writing intelligence reports, are trained to dissociate the substance of the intelligence from its provenance, in order to allow the resulting reporting to be disseminated to clients in government without permitting readers to infer the identity of sources.
(U) Indeed, there seems to be a disconnect between CSIS’s traditional understanding of reliability for intelligence purposes, and the broader concept of credibility for legal purposes. Intelligence reliability is based on the source’s track record as corroborated by other sources of information. Credibility, however, may depend on more information about the sources themselves, including their personal conduct and disposition. CSIS source handlers may, however, be inclined culturally to invest [ description of relationship between source handler and source ]. Moreover, NSIRA heard repeatedly that CSIS officers involved in the early stages of warrant preparation do not clearly understand the legal expectations associated with the duty of candour.
(U) For these reasons, it has sometimes not occurred to these officers that conduct exhibited by the source – [example of source conduct] – may constitute material information important to a court in assessing the credibility of that source. CSIS may have long ago noted these issues, but nonetheless concluded that the source’s reporting was generally accurate. Thereafter, officers may not realize that it is vital to put all such context before the Court. Officers may also misunderstand the implications of source shortcomings for the Court, fearing that their sources’ information will be discounted because of personal shortcomings. In fact, the Court has understood that a source’s moral shortcomings alone do not mean that the source cannot be believed; judges do not assume that sources in national security investigations will always be upstanding citizens, any more than they do in police organized crime investigations. This was recently reiterated by the Court, noting that “the fact that human sources live what some would consider unsavoury lives is something to be expected when assessing human source information provided in the context of a CSIS Act warrant application”.
(S) Under the current CSIS procedure on Human Source [name of procedure] every CSIS human source is assigned a a brief and standardized description of [Discussion of human source issues, including reliability and credibility]
(U) The role of a judge in issuing a warrant is different. The judge must independently conclude that the information before them is reliable. In conducting this independent assessment, the judge must have all of the information they need to be satisfied that the source of the information is reliable and credible, even if CSIS believes that the information is accurate. The Federal Court recently noted that:
“Judges of this Court expect a Human Source Précis to bring to their attention all information known to the Service that might be relevant to the Court’s assessment of the credibility or reliability of a human source. The Service must provide the Federal Court with a relevant and full picture concerning the credibility and reliability of a human source. This Human Source Précis must be relevant, full and complete if the Service is to comply with the duty of candour. The Service employee must not pull punches, conceal information, or convey half-truths, nor may he or she bring false or misleading information to the Court.”
(U) To this end, CSIS’s own assessment of a source’s reliability may be relevant but it is not for the Court to take it on faith. The best analogy presented to NSIRA was this: the affidavit must “show CSIS’s work” just as a math student shows the full calculation in computing an answer through long division. That is, the affidavit must contain the full range of considerations relevant to a source’s credibility, and then explain why CSIS considers the source’s information reliable. The judge can then make their own assessment, and not simply depend on CSIS’s pre-existing conclusion. Asserting that conclusion without “showing the work” and articulating the range of considerations tied to credibility amounts to a failure to be candid, particularly when CSIS has concluded that a source is reliable despite certain factors that, on their own, could give rise to doubts about the source’s credibility. NSIRA believes this analogy to be a helpful one so long as “showing CSIS’s work” includes the full range of information material to the issuance of the warrant, a point to which we return below.
(U) In summary, to avoid “recurring omissions” before the Court, CSIS must internalize a clearer understanding of the Court’s This is particularly crucial amongst those involved in the preparation of warrants, including source handlers compiling the initial information.
(S) Even if CSIS officers were fully conscious of the scope of the concept of candour to the Court, the way in which CSIS manages its information would likely still give rise to recurring omissions. In its interviews, NSIRA heard that CSIS’s management of information related to human sources creates problems. [Discussion of IM issues]
(S) Information is often situated in the (changing and variable) institutional memory of source handlers. [Discussion of IM issues] Any institutional knowledge not archived properly is lost, as Intelligence Officers (IOs) are rotated regularly under CSIS’s human resources model.
(S) Since source-related information [discussion of IM issues] the review process can be laborious. When connected to the first factor noted above – a limited understanding by CSIS officers of legal materiality – mistakes are inevitable. Moreover, as operational reports written by handlers are sent through a hierarchal chain of approval, there is no method of tracking any changes made by supervisors to the handler’s report, making it difficult to identify the origin of a problem should it arise.
(U) CSIS and NSLAG are alive to these problems. They have conducted more training on the need for adequate documentation in order to fulfill the duty of candour obligations to the Court. Justice counsel have more access now than in the past to source materials. Indeed, in the short term, in some cases, they have responded to the recurring omissions problem by involving warrant counsel directly in the review of source files. Counsel auditing of source files is, however, resource intensive and arguably displaces a responsibility for source information preparation that properly lies with CSIS itself. It is the affiant, working with the regions, who should guarantee and be answerable for the accuracy of the source information, not counsel.
(S) More generally, CSIS should ensure that source handlers are assiduous in documenting information going to credibility, no matter how seemingly unimportant. The lack of adequate documentation was a key finding in the Rosenberg report, an independent review commissioned following a breach of the duty of candour to the court. In response to it, CSIS set up Project [Name]. Its main objective was to encourage better documentation of the full picture of intelligence and operational activity with the goal of improving operational effectiveness. One identified quick win now associated with [Name] was the regional roll out of [discussion of an information gathering tool] NSIRA was advised that this approach is being prioritized for sources whose information supports active warrants.
(S) NSIRA heard, however, that completing [information gathering tool] is a considerable task, requiring a comprehensive and thorough review [requirements of the information gathering tool]. Furthermore, NSIRA heard there is a certain level of frustration by source handlers at the implementation of this stand-alone requirement rather than building on preexisting [category of] documents, [examples of preexisting documents]
(S) Indeed, CSIS acknowledges that it designed [information gathering tool] to be a temporary tool to address and mitigate the larger recurring omissions problem. One of the long-term goals of Project [Name] is to develop a system [objectives of the system] It is unclear if this system will be stand-alone, integrated into preexisting systems, or developed as part of a planned [Name] , designed to consolidate all the administrative processes and workflows required to manage a case and document its progression. The [Name] is due to be partially implemented [timeline] while the proposed [Name] human source information system appeared to be aspirational and only at the early stages of identifying a possible solution. This is unfortunate, as the [info.tool] represents a “band-aid” solution to issues that, in the long run, would be better addressed by deeper improvements to the management of human source information.
(S) Even setting aside longer-term considerations, a [info. gathering tool] process is not a panacea. For one thing, the [info. gathering tool] is only as good as the person completing it. Until recently, there was no formal [info. tool] training for source handlers. More than a year after it was implemented, CSIS’s Learning and Development Branch was unaware of the [info gathering] tool. Furthermore, it should be possible to audit the responses provided in the [info. gathering tool] In the past, prior to the creation of the Affiant Unit (AU), the facting was formally reviewed by the [name of branch and positions conducting review]. Only [postion] had access to the full range of human source information, however, as verification was considered a “side of desk” task. Now, the AU has access to the human source files and NSIRA was told it reviews the original documents referenced in the [info. gathering tool] as well as running queries through human source and operational databases and consulting with the source handler. To do this properly, however, the AU itself will need to be resourced and encouraged to audit the information prepared by the regions. This report discusses the question of the AU’s sustainability below.
(U) Finally, several of the interviewees noted that the reformed process is revealing a number of “legacy problems” with CSIS human sources; that is to say, additional duty of candour issues are coming to light as a result of CSIS’s more stringent review of human source files when preparing for warrants. This is indeed a regrettable consequence of CSIS’s former lax practices. For the next few years, therefore, the Federal Court can expect to receive further duty of candour submissions. For its part, NSIRA will need to distinguish between those duty of candour issues rooted in past practices and those that have emerged despite the recent changes.
Finding no. 16: NSIRA finds that CSIS has struggled to ensure that all information material to the credibility of sources is properly contained in warrant applications. This “recurring omissions” problem stems from a misunderstanding of the Federal Court’s role in assessing the credibility of sources and from the presence of multiple, siloed information management systems. CSIS has undertaken reforms, but work remains to implement long-term sustainable solutions.
Recommendation no. 10: To address the seeming inevitability of “recurring omissions”, NSIRA recommends that CSIS prioritize the development of [ an improved ] system for human source information management. CSIS should also continue initiatives meant to ensure that source handlers are assiduous in documenting and then reporting in source précis information going to credibility. Even with these reforms, the Affiant Unit should adopt procedures for verifying the information prepared by the regions.
(U) As noted above, the individual most responsible for the final product is the affiant, whose sworn affidavit supports the warrant application and supplies the factual basis for concluding the legal requirements for the issuance of a warrant have been met. Yet while NSIRA’s interlocutors agreed that affiants are ultimately responsible for the affidavit, NSIRA notes that they have not been given a status and authority commensurate with this obligation.
(U) Pre-2019, CSIS recruited affiants in security intelligence investigations on an ad hoc basis in support of a particular warrant application. There was no such thing as a professional affiant. The result was considerable unevenness in the caliber and skill-set of affiants. The employees assigned as affiants were, NSIRA was told, sometimes not the best possible candidate, but rather a person with down-time, surplus to immediate operational needs, and not necessarily experienced in the affidavit process. The seeming casualness of affiant selection surprised NSIRA; the affiant is effectively CSIS’s spokesperson to the Federal Court, which alone can authorize invasive investigative techniques. Ensuring a roster of excellent affiants should have been regarded as “mission critical” to CSIS.
(U) In 2017, in response to the Segal report recommendations (see Annex A), the Affidavit Working Group (AWG) at CSIS recommended the creation of an Affiant Unit of “experienced Intelligence Officers who would be dedicated full-time to the role of representing the Service in court”. The objective of this new unit was the creation of an actual centre of affiant expertise. The AWG recommended that affiants be employed at Level 10 (typically a senior manager) in the CSIS employment hierarchy “indicating the seniority and importance vested in the role”, with ongoing training and professional development being key components to the unit’s success. The AWG also proposed a process and structure for the development of the unit.
.(U) CSIS ultimately created the Affiant Unit (AU) in 2019, after an order from the Director and during the Federal Court 2020 FC 616 matter.230 NSIRA was repeatedly told that the resources allocated to the unit were based on estimates by the project management team in 2019. The CSIS “End of Project Summary – Establishment of the Affiant Unit” identified the need for an AU structure that included [number] “ Affiants” in order to accommodate past averages of [number] section 12 warrant applications annually. For reasons that are not clear, the final approved structure cut the number of affiants in half, to [number] The final structure therefore comprised [description of internal structure]. The mandate of the AU was later expanded to include warrant applications for section 16 investigations by adding [number] although this affiant is managed out of the [Name] Unit and the Affiant Unit. This report discuss the implications of how the AU has been staffed below.
(U) Professionalizing affiant work involves trade-offs. For instance, dedicated affiants are better placed to develop and implement consistent processes and standards regarding warrant preparation, but will often have less mastery of the operational details than an affiant chosen from an operational desk, thereby obliging the affiant to spend considerable time familiarizing themselves with the details of each application. Still, our interviewees were consistently of the view that despite the trade-offs, the dedicated affiants and the AU itself represented a significant improvement over the prior ad hoc approach, and noted that the new dedicated affiants have been well received by the Court. Indeed, NSIRA is of the view that a well-staffed AU should constitute a body of expertise on warrant preparation within Robust vetting by the AU could also replace many of the seemingly pro forma steps in the current warrant process that contribute little of substance.
(U) Justice counsel reported having effective working relationships with the affiants, whom they considered to be knowledgeable and professional. For reasons discussed below, however, some counsel were concerned that the affiants were at risk of burn out, and raised concerns regarding the sustainability of the AU.
(U) With regard to the regions, we heard that some affiants, on their own initiative, regularly communicate with regional partners, potentially creating links that could forestall future duty of candour problems. Indeed, NSIRA heard that investigators and their managers welcomed the AU as the path to obtaining warrants. NSIRA was told that AU/regions communication should be a standard practice given the current communication silos existing between headquarters and the regional units responsible for executing warrants. NSIRA agrees that affiants should consistently consult with the regions to understand how the proposed warrants will be executed and to understand generally what is working and what is not. NSIRA notes that experienced affiants could serve as critical sources of institutional knowledge while field officers in the region cycle in and out. Moreover, this interaction between affiant and regions should help counsel anticipate any possible candour matters that could arise were the Court not apprised of potentially controversial means of executing warrant powers.
(U) As explored above, CSIS’s establishment of the AU is a critical development. It is thus all the more concerning that the AU’s sustainability is in question, and indeed NSIRA heard that the unit could currently be described as in a state of crisis. CSIS has not supported the unit with resources commensurate with the importance of this unit in fulfilling CSIS’s mission. Indeed, there may now be less support to affiants operating from the AU than existed under the prior regime of ad hoc affiants supported by other units in CSIS.
(S) The AU faces several overlapping challenges. Over the course of NSIRA’s review, AU staffing was in considerable flux, with personnel cycling through affiant, analyst and management posts. Indeed, by summer 2021, the key role of analysts – usually charged with compiling material from the region and the initial drafting of the affidavit and human source précis – was filled by [number] temporary analyst. Of the [number] new affiants hired by the AU during our review, [number] had left by the end of it. Meanwhile, the remaining affiants were cycling through a vacancy as [position] (of the AU). In the result, it would appear there were only [number] people able to act as affiants for and [type of warrant] summer 2021.
(U) NSIRA heard that joining the AU is an unattractive career choice, because CSIS’s human resources policies do not support the stated objective of professionalizing the warrant process. Affiants, much like many at CSIS who are not Intelligence Officers, do not gain the operational experience that is traditionally tied to status and advancement.
(U) At the time of writing, the AU was relying on “surge capacity” by drafting analysts available temporarily from other units of NSIRA heard that these temporary analysts lack warrant experience. They thus need to be trained by the affiants, only to depart and be replaced. This has added to the burden on affiants, some of whom now complete the drafting process once led by analysts. This also contributes to the workload of NSLAG counsel, who must help fix draft products.
(U) Moreover, the benefits of the AU are currently in jeopardy because of governance and training deficiencies. The AU did not inherit an existing infrastructure or suite of policies and professional standards. The affiants at the time of our review were experienced CSIS officers who often had some prior affiant experience. Those affiants who have been in the AU for a length of time have deepened their expertise through learning on the job. However, none of the affiants or supporting analysts received formal training on their roles. CSIS has not yet put in place a training system to ensure continuity of a standard base of knowledge and skills in the AU. Even if it did, the AU is already under-resourced, fueling turnover, and NSIRA doubts whether the AU has the time and capacity to step back from the day-to-day work in order to build expertise and human capital. For instance, weekly meetings with NSLAG counsel have often been impossible due to time constraints, making it harder for the AU to stay apprised of legal issues.
(S) It is clear that the AU cannot continue to operate in its present manner, and that the risk of burnout for the remaining staff is real. As this review progressed, NSIRA became increasingly concerned that the AU [is in a state of crisis] . The apparent neglect of the AU’s human resources needs is alarming: the AU is not only a key element of CSIS’s response to its recurring candour problems, but it is also operationally vital. Without a functional AU able to produce accurate and compelling warrant applications in a timely manner, [discussion of how CSIS collection activities are affected]
(U) It is clear that the AU needs to be stabilized and expanded by an immediate infusion of new personnel. NSIRA asked how an expanded AU could function, and in response received remarkably consistent responses:
(U) Building bigger, skilled and stable affiant teams will require new people willing to join the AU and stay for a reasonable length of time. NSIRA believes achieving this objective requires two sets of reforms: first, changes to career development within the AU; and second, greater institutional commitment.
(U) Without human resources reform and firm prioritization of the AU, NSIRA doubts CSIS will be able to recruit and retain a talented cadre prepared to specialize as affiants and analysts. The ideal affiant, NSIRA was told, was a great analyst and writer, with advanced research skills and robust institutional knowledge about how CSIS operates and how, especially, source information is retained. They must, in addition, be comfortable in court and have an understanding of applicable law. Some affiants have handled sources, while others have not. Source handling experience was not regarded as essential by at least some interviewees, but it was felt that the affiant needed people skills and an ability to manage the affidavit process and relationships with the regions. A successful affiant should have gravitas and an ability to persuade other partners in the warrant process. Moreover, once these people are recruited, like any expert, affiants and analysts need to acquire institutional knowledge – and the AU will need to resist the level of turnover we were told is endemic in CSIS.
(U) NSIRA heard that retaining talent will require attention to several problems. Unlike with at least some police forces, CSIS assigns little prestige to this career path. Indeed, CSIS human resource policies risk orphaning affiants in career limbo, with no natural career progression and advancement path given that time in the Affiant Unit is not time spent gaining front-line operational experience. Specifically, affiants are classified as a “level 9” in the CSIS human resources hierarchy, but only temporarily (if not already level 9). If advanced from level 8 to be an affiant, they return to level 8 if they leave – or must compete for a permanent level 9 elsewhere in CSIS. Despite the considerable pressures on affiants to manage a complicated warrant process and represent CSIS credibly before the Federal Court, affiant work is reportedly not countenanced as meeting prerequisites for promotion into management. Being an affiant is, in other words, not a clear career progression so much as a career diversion.
(U) CSIS has also struggled to resource permanent analysts for the AU. Analysts, much like other non-intelligence officer (non-IO) employees at CSIS, are left with so few career progression options that they often feel like second-class citizens within the the organization. In order to attract talented analysts, there must be incentives allowing for progression within the non-IO stream, including the AU.
(S) As this discussion underscores, the AU needs more resources, especially in the form of analysts and affiants. However, the AU is left to compete for resources as just another unit under the broad umbrella of the [Name] Branch [Name]. NSIRA heard that the AU’s functions in preparing legally robust warrant applications are not a natural subset of [Name and function of Branch] and that the AU is not well situated in the present structure. This governance anomaly may explain a number of administrative hurdles and human resource and sustainability issues. A new governance structure, with reporting mechanisms consistent with the importance of the function needs to be instituted.
(U) A new Affiant Branch needs to be created and situated in CSIS’s organizational hierarchy reporting directly to the CSIS Director. This would be consistent with the Director’s direct accountability as provided by CSIS Act and signal the AU’s importance to CSIS’s ongoing success and presumably ease the risk of neglect. This change would coincide with the elimination of the often-unnecessary hierarchy of approvals that exist as a result of the AU’s current status as part of [Name] branch. This change may also respond to another observation: that priorities not directly visible to the Director sometimes stall lower in the CSIS hierarchy, and that reform also stalls among managers who do not have a clear incentive to change.
(U) In sum, NSIRA believes that CSIS’s success in overcoming its long-standing difficulties with the warrant process will depend on a robust Affiant Unit. In our future reviews of the warrant process, NSIRA will be attentive to CSIS’s progress in sustaining a robust AU.
Finding no. 17: NSIRA finds that the Affiant Unit (AU) constitutes a vital and laudable reform within CSIS. However, the AU is currently at risk of collapse. CSIS has not supported the unit with resources commensurate with the importance of this unit in fulfilling CSIS’s mission. The benefits of the AU are currently in jeopardy because of governance, human resource, and training deficiencies.
Finding no. 18: NSIRA finds that the Affiant Unit’s placement in the [Name] branch is not commensurate with its functions and importance. This governance anomaly most likely contributes to administrative hurdles and resource challenges faced by the AU.
Finding no. 19: NSIRA finds that without a functional AU able to produce timely and accurate warrant applications, CSIS puts at risk access to warrants and the information collected under them.
In view of the above findings with respect to the AU, NSIRA recommends that:
Recommendation no. 11: CSIS recognize the importance of the Affiant Unit by assigning affiants and analysts an employment classification congruent with their responsibilities.
Recommendation no. 12: CSIS create an Affiant Branch reporting directly to the CSIS Director.
Recommendation no. 13: CSIS urgently resource the Affiant Unit to meet its responsibilities and ensure its sustainability. In deciding the size of the AU, CSIS should assess how many warrants an affiant team might reasonably complete every year.
Recommendation no. 14: CSIS, in consultation with Justice, develop a comprehensive training course for all affiants and analysts, codifying best practices and methods for members of the AU.
(U) Warrant counsel have several key roles anticipated in the CSIS warrant application process, and are intimately implicated in securing adherence to the duty of candour in warrant applications. As noted, the duty of utmost candour in warrant proceedings is a professional obligation that rules of professional conduct impose on lawyers. Crown counsel in police warrant cases have a redoubled incentive to test warrant applications – no Crown wishes to be the lawyer on a warrant that subsequently fails on ex post facto challenge in a criminal proceeding, jeopardizing a prosecution. While NSLAG counsel face different pressures, duty of candour failures still risk professional reputations, especially given the vigorous displeasure expressed by Federal Court judges in their judgments.
(U) It seems clear that, as a result of 2020 FC 616, NSLAG has weathered a difficult period. Counsel reasonably see themselves as both personally in the cross-hairs of the court’s discontent and dependent on CSIS managing its responsibilities in the warrant process in a way attentive to its legal obligations. From the counsel’s perspective, the process feels like a high risk enterprise, over which hangs a “sword of Damocles”. For its part, as noted, CSIS operational employees may regard Justice as inaccessible and unhelpful. Lawyers vary in their style and manner of operating, with no consistency.
(U) Some lawyers have responded to duty of candour failures by becoming more meticulously involved, in a way described by some CSIS observers as intrusive, micro-managing matters that CSIS feels it should handle. It is apparent that tensions have increased in the last several years between Justice and CSIS, shaped by these perceptions each has of the other. This tension was especially acute, NSIRA was told, at the more senior levels, with some noting that little had improved by the time of our interviews. NSIRA also heard about the need to correct this situation by building mutual trust. This section focuses on the structural sources of those tensions and the prospects of restoring confidence.
(S) First, CSIS interviewees urged that CSIS needed access to more lawyers, sometimes seeing lawyers as the bottleneck in the warrants process. Other interviewees contested this view. These different views may reflect change over time. It is clear that during a recent period, NSLAG had too few available warrant counsel. That situation appears now to be evolving, as new lawyers are recruited by NSLAG. NSIRA agrees, however, with the principle that NSLAG should be staffed to ensure that CSIS’s operations are not stalled due to the non- availability of warrants counsel.
(U) At present, a General Counsel is the strategic lead for warrants and Federal Court matters. In addition, the Senior Counsel warrant coordinator oversees the warrant applications led by NSLAG warrant counsel. The senior counsel warrant coordinator would ideally not manage their own files, and instead would maintain comprehensive visibility on the warrant practice, while assisting and mentoring new warrant counsel. These positions must also bridge the warrant and advisory side of NSLAG, ensuring that emerging legal issues are shared.
(U) The number of actual warrant counsel will affect how many warrants CSIS might seek at the Federal Court. NSIRA asked for views on a metric for determining the ideal number of counsel. Whereas an experienced warrant counsel might once have transacted [number] warrants annually, the scope and scale of applications is now such that the maximum number is [range]. Given this number, and with a roster of [number] experienced warrant counsel (and several more junior) available by the second half of 2021, the maximum number of warrants NSLAG might support annually may be in the 30-60 range. Notably, this number is several multiples above the number of affidavits the AU is presently equipped to manage, assuming the calculations provided above. These calculations seem to affirm the views that resourcing issues at the AU now constitute the critical bottleneck, whatever may have been the case in the past.
(U) NSIRA also heard views about the importance of mentoring of new warrant counsel by experienced warrant counsel, and how NSLAG must make this a priority. This includes the need for junior lawyers to be trained on matters pertaining to CSIS tradecraft and technology.
(U) NSLAG recruitment also emerged as an issue in NSIRA’s discussions. NSLAG is regarded by other components of Justice as too close to its client and concerned with maintaining an ongoing relationship with the client, a characterization regarded as unfair by the interviewees who addressed it. Morale in NSLAG was badly affected by the 2020 FC 616 saga. NSLAG’s practice area is also, from the perspective of many lawyers, obscure and narrow, and not necessarily perceived as part of a Justice lawyer’s ideal career path. Employment at NSLAG requires enhanced security clearance, including a polygraph. The clearance process may be lengthy, and prospective employees may lose interest in the interim. These factors together contribute to NSLAG recruitment challenges.
(U) NSIRA notes that the range of professional backgrounds among counsel seems to be increasing, and more NSLAG warrant counsel have prior experience with NSIRA was told NSLAG has been encouraged to hone its public law expertise, as well as recruit lawyers with criminal law experience. NSIRA welcomes these developments and will consider NSLAG’s evolution in future reviews.
Recommendation no. 15: NSIRA recommends that NSLAG be staffed by a complement of counsel and support personnel sufficient to ensure that CSIS operations are not impeded by resource limitations at NSLAG.
(U) The warrant application process is buttressed by a review of the near-final affidavit by an “independent counsel” (IC) – in practice, a lawyer drawn from the National Security Group (NSG) of the Department of Justice. “Independent” in this context means, therefore, at arm’s length from CSIS and NSLAG and otherwise not implicated in the warrant process.
(U) The IC position was created in 1988 following the 1987 “Atwal” matter in which extensive errors were made in a CSIS warrant application (Annex A). In its 1986-1987 Annual Report, SIRC noted that the Solicitor General in consultation with CSIS should consider whether there ought to be a devil’s advocate position at some stage of the warrant process to argue the case against the warrant. The position of the devil’s advocate was described as an official appointed to ensure that all aspects of a matter are fully considered. The following year, the “devil’s advocate” position had been established, yet, SIRC noted that, “at present the devil’s advocate does no more than ensure that the information CSIS intends to cite in a warrant application is accurate. We had in mind, rather, someone who would challenge the need for a warrant at all – someone to make the case that the proposed target (who does not of course even know a warrant is being sought) might make.
(U) Ultimately, very little has NSIRA was informed that the primary goal of the IC is to “ensure that, as much as possible, factual mistakes don’t make their way into the material that is submitted to the Court”. Scrutiny of the warrant is done through reviewing documents to ensure that factual assertions in the affidavit are accurately sourced.
(U) The IC is charged with playing a fact-checking function, described as largely a form of checking the characterization of facts in the affidavit and source précis against the source material. NSIRA was informed that NSLAG and CSIS were once more resistant to questioning by the IC. This situation has reportedly improved in the last several years, with counsel and CSIS described as now accepting of this querying. In reality, however, changes proposed by the IC are usually very minor. Every once in a while, IC reported finding contradictions in the source material relevant to credibility issues, or treatment in the affidavit that were not justified.
(U) There will always remain inherent limits to the role of an IC coming at the end of the process. It cannot protect against all duty of candour shortcomings. Additionally, NSIRA noted a number of factors that have contributed to the inability of the IC to perform a robust challenge function:
(U) The result has been an IC role that is often regarded as more clerical than substantive, designed to cite check rather than assertively peer review. Indeed, the majority of interviewees involved in the warrants process regarded the IC as unhelpful as a form of quality control. Recent changes in the CSIS warrant process indicate that the IC “challenge” is to be completed one day prior to the WRC and once the affidavit has already been circulated to WRC participants. This change is further reflective of the general view that the IC serves only to fact check or that nothing substantial will arise from the challenge that necessitates changes prior to the WRC. Some interviewees doubted that the IC’s role was necessary – a good, well-supported affiant should suffice to guarantee the facing. NSIRA has commented above on how professionalized affiants are able to contribute to quality control.
(U) Still, NSIRA believes that the presence of an independent challenge in the system is necessary. NSIRA fears, however, that the current IC is largely a pro forma feature of the CSIS warrant process, giving the impression of a robust check and balance without accomplishing this objective. NSIRA remains unpersuaded that a robust devil’s advocate is best situated at Justice, drawing on lawyers from NSG. As noted above, while some individuals have a background involving warrants of various sorts, NSG lawyers are not, in their role, experts in warrants or necessarily knowledgeable about CSIS. Nor does NSG have any formal role in the warrant approval process. NSG would appear simply to be a convenient place to situate the IC, among lawyers who are security-cleared for very different functions. Put another way, a robust devil’s advocate function has yet to be created, and there is no reason to prefer it be situated in another branch of Justice. As discussed next, NSIRA would propose the creation of this function in the third agency of government whose precise role is oversight of the CSIS warrant process: Public Safety.
(U) Public Safety Canada is the vessel through which the Minister exercises their oversight role, one intended by Parliament to be robust. The Minister’s role in the warrants regime is enshrined in legislation. Section 21 of the CSIS Act mandates that an application for a warrant may only be filed “having obtained the Minister’s approval”. The Minister’s role on section 12 warrants therefore requires that the Minister is aware of the full implications of the application, including determining if the intrusive methods to be used are justified by the gravity of the threat to the security of Canada.
(U) Yet, Public Safety has not had full visibility on the various aspects of the warrants application. There has traditionally been an information asymmetry favouring CSIS with whom the information resides. This challenge was further exacerbated by capacity issues at Public Safety, including limited ability to access information and knowledge necessary to assess risk for the Minister. The 2019 Ministerial Direction for Accountability (2019 MD) and the Framework for Cooperation between Public Safety and CSIS, sought to decrease the information asymmetry problems and increase ministerial oversight of CSIS. Pursuant to section 8 (i) of the Framework, CSIS must update Public Safety on reviews conducted by NSIRA. NSIRA interprets this obligation to mean an ongoing commitment by CSIS to provide periodic updates on the progress of reforms to the warrant process including the implementation of the recommendations in this review which will inevitably affect warrant applications.
(S) Functionally, Public Safety officials review all warrant applications with the support of legal counsel assigned to the Once the warrant application is received by Public Safety, officials will typically review the warrant for: clarity and logic; legal issues; candour issues; policy considerations; and additional considerations such as issues related to the impact on Canadians. The Public Safety delegate will attend the WRC. Following the WRC, and once the warrant has been reviewed, Public Safety officials draft a briefing note summarizing the nature of the threat posed by the target of the warrant, along with a recommendation memorandum for the Minister’s consideration. If approved, Public Safety sends the application back to CSIS to be filed in Court.
(U) Some Public Safety practices are of relatively recent vintage, prompted to some large degree by 2020 FC NSIRA cautions, however, that Public Safety is not well positioned to perform a thorough challenge of the warrant application. First, asymmetrical access to information means that Public Safety does not review the ingredients comprising the warrant application, including the source file materials or even the source précis. It would not be realistic, in our view, to expect Public Safety to audit the full information trail leading to the warrant application – it will never be able to cure a “recurring omissions” problem. Again, NSIRA believes skilled affiants in the AU validating information received from the regions and performing peer reviews of each other’s work product constitute the best means of verifying inclusion of the correct information.
(S) On the other hand, Public Safety should be positioned to solve systemic and governance issues giving rise to the second category of duty of candour issues noted in this review – those stemming from issues underlying the warrant and material to a judge’s exercise of discretion. As noted by Justice Brown in reference to the failure of CSIS to flag high-risk human source operations, which were subsequently the subject of a warrant application before the Court: “the responsibility for fully informed decision-making lies on every person participating in the decision”. Situated at some distance from CSIS and warrant counsel, an adequately staffed and expert Public Safety vetting team should contemplate the blind spots from which those closer to the process may suffer. Indeed, NSIRA learned that Public Safety, even as presently constituted, at times raises such issues. In this manner, Public Safety is in a much better position to anticipate lurking candour issues than is a lawyer at NSG, tasked with conducting an IC as a secondary function of their For this reason, NSIRA favours a new reform that would bolster Public Safety’s vetting process, and would replace the NSG IC, all in service to the Minister’s legislated oversight role.
(U) To this end, NSIRA favours a devil’s advocate model that helps meet the Minister’s own obligation to oversee the warrant process. That is, NSIRA recommends the creation of a role meeting the original vision proposed by SIRC in the report noted above: “someone who would challenge the need for a warrant at all – someone to make the case that the proposed target (who does not of course even know a warrant is being sought) might make”. The counsel should be as assiduous as a defence lawyer would be, defending a client in a fully adversarial process. They should know, and know how, to ask questions about the information supporting the warrant, its planned execution, and any relevant surrounding context that might escape the attention of a lawyer less familiar with warrants or CSIS procedures and functions, or might be lost to tunnel vision among those closer to the In this manner, NSIRA suggests that this person, working with Public Safety’s warrant vetting team, should be well-situated to anticipate the second category of candour issues discussed in the report.
.(U) Right now, Public Safety is supported by its own Justice departmental service unit. NSIRA suggests that unit should be supplemented by a seconded counsel with practical warrant experience employed at the Public Prosecution Service of Canada, the private sector or elsewhere, independent from Justice management, and not otherwise involved in CSIS warrant applications. This counsel would be deployed for the specific purpose of supporting a Public Safety warrant vetting team in its challenge function. This challenge and review of the warrant conducted by the seconded counsel must be documented in a manner that is visible to the Minister when considering whether to approve the proposed warrant application. NSIRA cautions that the purpose is not to increase the number of steps or the length of time the application takes. Rather, abolishing the current IC model entirely in favour of a true devil’s advocate conducted as part of ministerial oversight would thin the process in addition to reinforcing it with a built-in, thorough challenge function.
Finding no. 20: NSIRA finds that the “independent counsel” (IC) role falls short of creating a thorough challenge function.
Recommendation no. 16: NSIRA recommends that the function of the Independent Counsel as performed by NSG counsel at the Department of Justice be eliminated, in favour of a new challenge function, analogous to the role a defence lawyer would play were warrants subject to an adversarial process, situated at Public Safety and supported by the Public Safety vetting team, and performed by a knowledgeable lawyer from the Public Prosecution Service of Canada, the private sector, or elsewhere, who is independent from Justice management and not otherwise involved in CSIS warrant applications.
(U) The final stage in the warrant process is the proceeding before the Federal Court. No warrant exists until authorized by the Federal However, trust between the Federal Court, NSLAG and CSIS has clearly been strained by the long history of duty of candour failures.
(U) The Court is perceived by interviewees as more assertive now than in the past. Some interviewees described doubts about the degree of control exercised by the Court, sometimes seeing it as more akin to a review function and less like the classic judicial control exercised by a court in issuing (or not) warrants. Others rejected any notion that Justice questioned the legitimacy of the Court’s approach. Still, the institutions implicated in the warrant process seem to have entered a cycle in which duty of candour failures have contributed to a climate of mistrust involving closer scrutiny and more searching judicial control, which inevitably heightens anxiety at the CSIS level about operational implications and reputational risk. It has also been the source of some uneasiness at Justice.
(U) Of particular note, interviewees told NSIRA that anticipating in advance the full range of considerations relevant to a judge in exercising their discretion is not easy, especially since judges reportedly focus on different concerns depending on the case before them. This creates a residual category of information that may have to be provided with the application. CSIS and Justice reportedly now err on the side of being over inclusive.
(U) Because of all of these factors, the warrant application process currently operates like a ratchet, as ever more detail is layered into the affidavit and supporting documents in an effort to anticipate and avoid a new duty of candour failure. There is some “cut and paste” possible for recurring issues, but this material must be tailored to each warrant, and then re-vetted through the bureaucratic warrant approval process. The resulting warrant applications become more lengthy, complex, and time-consuming to prepare.
(U) Breaking this cycle, however, requires restored credibility through change at CSIS and Justice, not resistance. NSIRA believes that doing so requires an embrace of the recommendations made in this review. It also notes other ways in which CSIS and Justice could show a commitment to candour, possibly alleviating the workload involved in warrant applications. NSIRA noted one approach suggested by our interviewees: warrant applications would describe information that is excluded (because it is believed not to be material) in sufficient detail that a judge might ask for its disclosure should they wish. Justice could also seek direction from the Court in the form of a practice direction or annotated standard warrant templates, or the bench and bar system recommended by the Segal report.
(S) Once a judge issues a warrant, CSIS may execute the warrant. That execution must comply with the scope and terms of the After the warrant’s issuance, CSIS and Justice conduct a debrief with the affiant, lawyer, the relevant headquarters desk and the responsible officials at the regions. This process includes a “reading of the warrant”, designed as NSIRA understands it, to help inform execution. NSIRA was told that this debrief is sometimes regarded as vague and unhelpful, and that those charged with overseeing warrant execution had no resources to translate “warrant language” into techniques and powers they could use.
(S) The warrant coordinators in the regions lack formal training, and learn their task on the job – existing training is too broad and abstract, unconnected to the practical scenarios arising in the execution of warrants343. In consequence, expectations accrue as myths rather than clearly understood legal standards. NSIRA was told there were perceived disparities between what seemed to be on the face of the warrant and what lawyers described as the judge’s intent. This sort of ambiguity reportedly gives rise to “invisible rules”. The regions are extremely uncomfortable with implied permissions, preferring tangible authorizations in warrants. [discussion of the detrimental effects on and risks to operations]
(U) Finding no. 21: NSIRA finds that the CSIS regional warrants coordinators have not received sufficient training enabling them to translate the contents of the warrants into advice on proper warrant execution.
Recommendation no. 17: NSIRA recommends that CSIS regional warrants coordinator positions receive adequate training, and that CSIS professionalize the position and enable warrant coordinators to more effectively translate the content of warrants into advice on warrant execution.
(S) As the discussion in this report demonstrates, training and institutional knowledge are recurring themes in this Most interviewees noted that they had not received specialized training prior to assuming their specific role in the warrant process, instead learning through word of mouth from others doing the same function. Some interviewees clearly felt unprepared for their role, and regretted the absence of systematic training. Several others tied the lack of training and the paucity of modernized processes and policies to compliance failures. CSIS is to a certain extent alive to the shortcomings in its training programs and has itself noted that:
“CSIS is currently not a learning organization and does not have a learning culture. There are insufficient training opportunities to build and sustain a modern professional intelligence service that operates in a continuously evolving and complex environment, it is evident that the exponential needs across operational and corporate requirements has not kept pace with the current L&D staffing and funding allocation”.
(U) The inadequacies of training featured in a recent internal review of the warrant process. NSIRA embraces its recommendations on the need for reform in this area. NSIRA emphasizes especially, however, the need for education through scenario-based learning, and not simply training through the passive consumption of learning materials.
(S) CSIS’s Learning and Development (L&D) branch has considerably revamped both the intensive program taken when employees join CSIS as Intelligence Officers (IOs), and the intensive course IOs take after several years at headquarters, before deployment to the regions. For instance, the IO Entry Training (IOET) which is largely content and theory heavy, is being overhauled to include scenario-based learning. L&D has embraced learner-centered approaches, with high instructor to trainee ratios. In its most recent iteration, the [training program name] now trains IOs in scenarios relevant to the duty of candour, including [training program content] capturing details related to legal credibility and conditioning passing grades on responsiveness to these matters.
(U) Trainers – IOs themselves participate in train-the-trainers programs. These trainers may themselves cycle to operational roles, where they are well-positioned to transmit expertise and mentor others. Meanwhile, NSLAG will work with CSIS’s policy centres and provide feedback on learning modules raising legal issues. The [Name] will raise issues that may involve legal dilemmas. However, [Name] training does not address legal issues per se – rather the purpose is to train IOs in recognizing legal doubt, necessitating consultation with NSLAG. IOs are not trained, in other words, on answers to legal questions, so much as trained to recognize the existence of legal issues. Precise legal answers, it is feared, change with time, and a decision has been made to train a reflex to seek legal answers from NSLAG. NSIRA notes, however, that the IOET and the [Name] come relatively early in an IO’s career and that CSIS has no ongoing, formal professional development requirements. NSIRA further notes that warrants- related training including duty of candour is of sufficient importance to necessitate annual mandatory warrant training for all operational personnel. This would allow operational personnel to remain apprised of changes in the warrants process as well as changes in the operational environment including technological advancements which may influence their assessment of when a warrant is required.
(S) Aside from IO training early in an IO’s career, specialized training in CSIS’s various specialized trades is uneven. Most of the interviewees indicated they had received no formal training beyond that at the beginning of their careers, with a few exceptions (such as [Branch Name]). Where there is in-house training, NSIRA’s view is that it is often relatively informal and lacks some of the experiential features that the modern has developed. L&D is not responsible for training in specialized sub-trades or units of CSIS, although they may be consulted on design such that unit wish to establish a training system. This creates a gap in training for individuals who are not within the IO career stream.
(S) Following 2020 FC 616, CSIS implemented organization-wide mandatory training for all operational employees on the duty of candour. The thirty-minute training was contained in an online module that employees complete. The module contains 22 slides discussing the duty of candour, including prior breaches and the role of every individual in ensuring that duty of candour is met. The module contains only two theory-based questions, no scenario-based training and may be completed in half the time by employees. This type of training reflects concerns voiced during the review that CSIS cannot build a compliance culture by PowerPoint training, and complaints that training included too much pro forma box checking.
(U) In sum, the training culture at CSIS has been largely a “once and done” approach to formal skills acquisition. Moreover, NSIRA was led to believe that prior generations of the entry level and pre-regional deployment training courses were less robust than the present generation, and depended on more passive forms of education (such as PowerPoints). Bringing modernized training to more advanced IOs and standardized training of any sort to non-IOs appears to remain a challenge. L&D is not adequately resourced at present to expand a formal CSIS training footprint, despite considerable demand for specialized training. Noteworthy, L&D has recently received CSIS management approval for their business plain to establish three regional training hubs to incorporate modern training at the regional level and enhance the skill set of IOs whose training may predate the existing training curriculum.
(U) While both IOs and non-IOs noted the lack of training as a major issue, it was more pronounced with non-IOs. NSIRA heard from non-IOs including managers, analysts and technical experts that they did not receive the benefit of any form of formal training upon joining the organization. Many had to ask for specific mentorship, while others have found that they are regarded as the most senior subject matter experts, leaving them with no mentorship options.
(U) NSIRA observes that a commitment to training is only as real as the importance and resources devoted to Accordingly, training will succeed only to the extent that employee time is freed up to allow the acquisition of new skills and knowledge. In this respect, some interviewees expressed doubt that units already confronting personnel shortages will succeed in building human capital.
Finding 22: NSIRA finds that CSIS lacks long-term training programs for Intelligence Officers.
Finding 23: NSIRA finds that CSIS has failed to provide systematic training programs for “non-Intelligence Officers”.
Finding 24: NSIRA finds that the CSIS’s Learning and Development Branch has not been sufficiently resourced to develop and administer comprehensive training programs, especially in specialized areas not covered by the training offered for Intelligence Officers early in their career.
In view of these findings, NSIRA recommends that:
Recommendation no. 18: CSIS adequately resource and regularly deliver evergreen scenario-based training programs for all CSIS employees, including;
(U) This report ends with an examination of, and associated observations on, cross-cutting governance and cultural issues that stem, at least in part, from challenges characterizing the provision of legal advice and the warrant process. NSIRA divides these broad, cross-cutting phenomena into two categories: morale and attitudes; and, performing the mission.
(U) NSIRA heard and read much about very low morale at CSIS — a central concern not only to individuals whom NSIRA interviewed but also in employees’ resignation and retirement exit. There are likely many reasons for this morale problem. The systemic and governance interviews issues in the warrant process are part of them. Morale is injured by a warrant acquisition system that seems to impede performance of the mandate while at the same time being the source of regular reputational crises stemming from duty of candour failures.
(U) At the same time, employees see themselves as participating in a rigorous process. Indeed, so rigorous is this process that employees are frustrated that too few warrants are being sought. They feel caught in a no-win environment compounded by the bureaucratic burden associated with having a warrant application reach the Court.
(U) NSIRA notes that those disillusioned by seemingly unending compliance issues reportedly fall into three categories, reflecting sometimes quite different perspectives: those viewing compliance measures as an inconvenience; those who do not understand the purpose of compliance measures; and, those who viewed them as a manifestation of diffused or insufficient governance responsibility.
(U) First, some interviewees stated that, while duty of candour failures at the Federal Court have resulted in further disclosure obligations and demanded additional undertakings, these failures are perceived as a risk to be managed rather than a problem to be solved. For this group, the implication is that the rule of law is not a grounding consideration. Indeed, some interviewees did doubt the existence of a compliance culture, or that compliance with duty of candour standards was embraced seriously as part of confidential source management.
(U) Others had very different views, and regarded compliance failures as tied to the lack of training and the paucity of modernized processes and policies. CSIS has historically under- resourced policy, compliance and training. Even where policies are changed, NSIRA was told that simply announcing new protocols cannot effect change – and indeed, they may go unread. Some interviewees reported, for example, that Project [Name] communications are ignored. CSIS is developing policy centres, but employees may have a foggy understanding of the role of these units, and may not be sufficiently attuned to issues to know when to seek expert input.
(U) With regards to the third category, NSIRA heard concerns about flawed governance in warrant and compliance matters. Some interviewees expressed concern about governance vacuums. In the eyes of some, managers have done too little to redress employee uncertainty about rules, and indeed even managers at the executive level reportedly sometimes lack understanding of applicable rules. NSIRA heard concerns that employees are reportedly not rewarded for compliance initiatives, and indeed some personnel implicated in poor compliance conduct have been promoted. CSIS was described by some as possessing a culture in which bad news does not travel upwards, and one in which managers resist lessons-learned analysis and reporting, and prefer positive spins on errors.
(U) For other interviewees, CSIS allegedly has a zero-fail approach to some compliance issues, producing a brittle, risk averse working For instance, within CSIS there is reportedly no attitude that in litigation, one wins some and loses some. A troubled warrant application is widely regarded as disastrous, and career impairing. Indeed, interviewees described an internal fear of making mistakes, and a punitive, “call out” culture when mistakes are made. The aim is “not to fail” in order to be promoted, leading to a cautious culture in which some people prefer not to act or ask questions. This culture likely undergirds the multiplicity of warrant steps, and the diffusion of responsibility. It may also be a partial explanation for why some legal doubts are not brought before the court for resolution through the warrant process.
(U) In crafting its recommendations, NSIRA aligned the core warrant responsibilities to the legislative accountability framework while ensuring that those controlling the process can set a careful watch over one of the drivers of morale within their organization.
(U) In this report, NSIRA has identified several governance and cultural The lack of alignment in the way Justice provides legal services with the needs of CSIS, the delay inherent to the quest for legal advice, and the disconnect between the content of legal advice and the operational imperatives of CSIS may not completely explain the current climate. However, this situation can only have compounded other possible causes, if any, beyond the parameters of this review. The problems have resulted in a culture of distrust towards Justice counsel and a systemic reaction whereby CSIS sometimes avoids seeking legal advice.
(U) While NSIRA does not question the need for Justice to speak with “one voice”, the governance structure put in place to safeguard consistency cannot override another fundamental goal, which is to allow its client to comply with and to respect the rule of law.
(U) To become “client-centric” as promised in Justice’s VISION Project, Justice must go from being perceived as a roadblock, to a frank and forthright advisor fully attuned to operational objectives. To achieve that goal, several interconnected recommendations of this report need to be implemented. They reach into Justice’s governance and culture. On the governance aspect, they relate to training, to prompt and clear advice-giving, and to early and extended availability of counsel. On the culture aspect, they relate to the culture of support that goes beyond the mere provision of legal opinions constituting traffic signals – they call for counsel working as advisors opining in an iterative manner on how an intelligence operation might proceed in a manner that respects the rule of law. Providing road map-style advice does not mean Justice abandons its fearless defence of the rule of law, or its independence. It does mean that it situates this advice in a manner that best serves the shared goal of operations compliant with the rule of Changing the culture of distrust and avoidance can take time, but early, continued and consistent engagement in operations should contribute to rebuilding the relationship.
(U) The current governance of advice-giving is unnecessarily detrimental to If the course is not corrected, both organizations put at risk the fulfillment of their mandates.
(U) For CSIS, the risks to its fulfillment of its mandate arise on multiple fronts. NSIRA endorsed above the view that warrants are the “lifeblood” of CSIS. CSIS members may, however, vary in the degree to which they appreciate the significance of warrants. Many interviewees adhered to what may be called a national security culture, in which success is about leveraging CSIS’s mandate to contribute to Canada’s national security. The objective is to provide useable, lawfully-collected information of value to the government of Canada. In this view, the entire CSIS apparatus needs to understand the objectives behind the collecting of information, and see itself as engaged in a collective enterprise, rather than discrete, atomized endeavours. Disillusionment, NSIRA concluded, often reflected recognition of how warrants (and law) are increasingly important in intelligence operations, but at the same time hard to obtain. With the increasing dominance of electronic communications, what was once standard pre- or non-warranted tradecraft is now increasingly crossing the line into activities requiring warrants. Warrants, in other words, reach far into CSIS’s traditional tradecraft.
(U) It was, however, the considered opinion of a number of our interviewees that too many CSIS investigations are now stranded by the warrant process. That process was sometimes compared to winning a lottery, not because of lack of success at the Federal Court but because of the resource intensity of getting the application to the Court.
(S) NSIRA was also advised of investigators [discussion of how collection activities are affected] doing their best to advance investigations [discussion of effects on collection activity]. Leaving to individual interpretation which [collection activity] may be used could result in boundaries being pushed, compounding grey zone legal issues and reputational risk if these practices then culminate in review or court proceedings. Further, while warranted collection might clarify whether CSIS’s reasonable belief that the individual is engaged in threat activities is well-founded, other techniques may leave the target in limbo. [discussion of how collection activities are affected]. At the same time, it risks focusing the state’s attention on people for greater periods of time because [discussion of how collection activities are affected]
(U) There was widespread support for the view that the warrant process should not be the bottleneck on warranted activities – that any bottlenecks should be driven by operational imperatives. NSIRA was told the metric of success for a reformed warrant process amounts to: more warrants, more closely tailored to the threat, with shorter and more detailed threat assessments that simultaneously meet the court’s expectations.
(U) As the calculations in the preceding sections show, the question of how many warrants CSIS should transact annually was not easily The near-consensus was, more than the number that have been sought in the recent past. The expectation is that operational imperatives in an era of complex threats and burgeoning electronic communication will require more warranted activities. The number of novel issues can only increase, compounding the need for legal advice, which highlights the need for cooperation with Justice.
(U) Given the challenges identified in this report, NSIRA could detect no clear path to achieving such an objective under the status quo. In these circumstances, the warrant process risks remaining the worst of all worlds: a system that makes it too hard for CSIS to perform the mandate given to it, while at the same time doing too little to safeguard against legal error.
(U) This report has identified many governance issues at both Justice and CSIS. The deficiencies in information management; the lack of training; the multiple steps in the warrant process; the absence of an efficient challenge function; the lack of understanding of the decision-making process; and the absence of clear accountability lines all go to the heart of the very questions that characterize the notion of governance: How are decisions made? Who makes them? Who is accountable for them?
(U) Reforms should allow for clear answers to these questions. Among other things, NSIRA has recommended that the CSIS Director assume more immediate responsibility for the Affiant Unit and that the Minister and Public Safety host a more immediate role in challenging warrants. These structural reforms, however, will only produce positive changes if accompanied by the implementation of the other recommendations, especially those sustaining the Affiant Unit.
(U) In sum, this review was sparked by a compliance failure in a duty of candour matter. It concludes that repeated failures in this area are both caused by, and cause, deep-seated governance and cultural patterns. This vicious cycle has compounded the challenges of reform in the warrant acquisition process. NSIRA agrees with the 2020 Rosenberg Independent Review that “a precondition to successfully implement the recommendations is to address the cultural issues around warrants”.
(U) The challenges communicated by many interviewees will not disappear unless widespread governance reforms facilitate an improved warrant process. Cherry-picked changes or paper reforms that mask governance and cultural issues, without addressing them, will suffer the ignominious fate of prior rounds of changes: they will not fix systemic issues. This will require a major effort. In this review, NSIRA has proposed a series of reforms. No single recommendation made here will alone resolve the source of systemic issues in the warrant process. CSIS and Justice shall need to pursue recommendations as a package.
(U) Finding no. 25: NSIRA finds that CSIS and Justice are at risk of not being able to fulfill their respective mandates. No one reform is likely to succeed unless each is pursued as part of a coherent package. No package will succeed unless backed by prioritization at senior levels, and the stable provision of resources, including people with the means and institutional knowledge to see reforms through. And no reform initiative will succeed unless accompanied by clear performance indicators, measured and analyzed regularly to track progress.
In view of NSIRA’s findings above, and of prior unsuccessful reforms, NSIRA recommends that:
(U) Recommendation no. 19: The recommendations within this review be treated as a coherent package and that progress and outcomes in implementing these recommendations be tracked, allowing management, the Ministers of Public Safety and of Justice, and NSIRA, to assess the efficacy of reforms and course correct if necessary.
(U) NSIRA intends to launch a follow-up review, within two years, which will measure progress at CSIS, Justice and Public Safety in resolving the systemic issues with the warrants process addressed by this review. Moreover, in other regular reviews implicating warrants, NSIRA will document recurrences of systemic problems. In the meantime, since this review originated with a decision of the Federal Court, it is vital that the Minister and CSIS share it in its full form with the designated judges of that court.
In recognition of the fact that this report followed a recommendation of the Federal Court, NSIRA in turn recommends that:
(U) Recommendation no. 20: The full, classified version of this report be shared with the designated judges of the Federal Court.
Last Updated:
Status:
Published
Review Number:
21-18
Date of Publishing: