1.1 This policy takes effect on August 20, 2014.
1.2 It replaces the Policy on Access to Information dated April 1, 2008.
2.1 This policy applies to government institutions as defined in section 3 of the Access to Information Act (the Act), including parent Crown corporations and any wholly owned subsidiary of these corporations. It does not apply to the Bank of Canada.
2.2 This policy does not apply to information that is excluded under the Act.
3.1 The Government of Canada recognizes the right of access by the public to information in records under the control of government institutions as an essential element of our system of democracy. The government is committed to openness and transparency by respecting both the spirit and requirements of the Access to Information Act, its Regulations and its related policy instruments.
3.2 The Courts have recognized the quasi-constitutional status of the Access to Information Act. This is because of the role it plays in:
The Government of Canada further acknowledges the importance of facilitating access to records by requiring government institutions to make every reasonable effort to assist applicants. The government must ensure a high standard of care for records under its control. Sound information management plays a key role in facilitating the ability to exercise the right of access under the Act.
3.3 With the enactment of the Federal Accountability Act, the scope of the Access to Information Act was broadened and now includes well over 200 government institutions. Under the Access to Information Act, the Treasury Board President is the designated minister responsible for preparing policy instruments concerning the operation of the Act and its Regulations. The Act establishes that policy and guidelines are the appropriate vehicles for supporting the administration of the Act.
3.4 Heads of government institutions are responsible for the effective, well-coordinated and proactive management of the Access to Information Act and the Access to Information Regulations within their institutions.
3.5 This policy is issued pursuant to paragraph 70(1)(c) of the Access to Information Act. This policy also contains elements that relate to paragraphs 70(1)(b), (c.1) and (d) of the Act.
3.7 The President of the Treasury Board will issue specific directives and standards to support this policy regarding the administration of the Access to Information Act, duty to assist, the annual report to Parliament, the creation of classes of records for Info Source and statistical reporting.
4.1 Definitions to be used in the interpretation of this policy are in Appendix A. Certain terms included are defined in the Access to Information Act and are provided in Appendix A for ease of reference. Some of these definitions contain additional information not included in the Act.
The objectives of this policy are:
5.1.1 To facilitate statutory and regulatory compliance, and to enhance effective application of the Access to Information Act and its Regulations by government institutions.
5.1.2 To ensure consistency in practices and procedures in administering the Act and Regulations so that applicants receive assistance throughout the request process.
The expected results of this policy are:
5.2.1 Sound management and decisions in responding to requests from applicants who are exercising their right to access records under the control of a government institution, regardless of their identity;
5.2.2 Complete, accurate and timely responses to requests made under the Act;
5.2.3 Clear responsibilities in government institutions for decision-making and effective administration of the Access to Information Act and the Access to Information Regulations; and
5.2.4 Consistent public reporting on the administration of the Act through the government institution's annual reports to Parliament, statistical reports and the annual publication of Info Source, produced by the Treasury Board Secretariat (TBS).
6.1.1 Deciding whether to delegate, pursuant to section 73 of the Access to Information Act, any of their powers, duties or functions under the Act. Careful consideration should be given as to whether a delegation should be made. The provisions of the Act containing the powers, duties or functions that may be delegated are represented in Appendix B.
6.1.2 Signing an order, if a decision is made to delegate, authorizing one or more officers or employees of the institution, who are at the appropriate level, to exercise or perform the powers, duties or functions of the head, specified in the order. Once an order is signed, the powers, duties or functions that have been delegated may only be exercised or performed by the head of the institution or by the named officer(s) or employee(s). Delegates are accountable for any decisions they make. Ultimate responsibility, however, still rests with the head of the government institution.
6.2.1 Exercising discretion under the Access to Information Act in a fair, reasonable and impartial manner with respect to decisions made in the processing of requests and the resolution of complaints pursuant to the Act, subject to the conditions set out in the Regulations.
6.2.2 Making employees of the government institution aware of the policies, procedures and legal responsibilities under the Act.
6.2.3 Ensuring that requestors' identities are protected and only disclosed when there is a clear need to know in order to perform duties and functions related to a lawful program or activity.
6.2.4 Ensuring that every reasonable effort is made to help applicants receive complete, accurate and timely responses in the format requested, in accordance with the Regulations and without regard to the applicant's identity. This includes developing and implementing written procedures and practices that will effectively assist applicants.
6.2.5 Establishing effective processes and systems to respond to access requests as well as documenting deliberations and decisions made concerning each request received under the Act.
6.2.6 Establishing procedures to ensure that:
6.2.7 Consulting departmental legal counsel, in compliance with established procedures, prior to excluding confidences of the Queen's Privy Council for Canada.
6.2.8 Acquiring, in compliance with established procedures and upon the request of the Information Commissioner, assurances that excluded information is a Confidence of the Queen's Privy Council for Canada.
6.2.9 Establishing measures to ensure that the government institution meets the requirements of the Access to Information Act when contracting with private sector organizations, or when establishing agreements or arrangements with public sector institutions.
6.2.10 Ensuring that appropriate procedures are in place in cases of an alleged obstruction of the right of access under the Access to Information Act. These procedures must align with the Public Servants Disclosure Protection Act. Obstructing the right of access is a criminal offence.
6.3.1 Heads or their delegates are responsible for monitoring compliance with this policy as it relates to the administration of the Access to Information Act.
6.3.2 Under the Act, the head or the head's delegates are responsible for:
6.3.3 Treasury Board Secretariat will monitor compliance with all aspects of this policy by analyzing and reviewing public reporting documents required by the Access to Information Act and other information, such as Treasury Board submissions, Departmental Performance Reports, results of audits, evaluations and studies, to assess the government institution's administration of the Act. For those government institutions subject to the Management Accountability Framework (MAF), information obtained from monitoring of compliance with this policy will be used in MAF assessments.
6.3.4 The Treasury Board Secretariat will review the policy, its related directives, standards and guidelines, and their effectiveness, five years following the implementation of the policy. When substantiated by risk-analysis, TBS will also ensure an evaluation is conducted.
7.1 For those government institutions that do not comply with this policy, its directives and standards, there will be a requirement to provide additional information relating to the development and implementation of compliance strategies in their annual report to Parliament. This reporting will be in addition to other reporting requirements and will relate specifically to the compliance issues in question.
7.2 For those government institutions subject to the MAF, non-compliance, compliance and exemplary performance with respect to this policy, and related directives and standards will be reported in the assessment prepared as part of the MAF process.
7.3 On the basis of analysis of monitoring and information received, the designated minister may make appropriate recommendations to the head of the government institution. This could include prescribing any additional reporting requirements, as outlined in subsection 7.1 above.
8.1 Treasury Board Secretariat is responsible for issuing direction and guidance to government institutions with respect to the administration of the Access to Information Act and interpretation of this policy. As such, TBS:
8.2 The Clerk of the Privy Council is responsible for policies on the administration of Confidences of the Queen's Privy Council for Canada and determines what information constitutes a Confidence of the Queen's Privy Council for Canada.
8.3 The Information Commissioner is an Officer of Parliament who is assigned the duty of ensuring that rights and obligations set out in the Access to Information Act are respected. The Commissioner receives and independently investigates complaints from applicants or self-initiates complaints on any matter related to obtaining or requesting access under the Act to records held by government institutions. The Commissioner reports findings and may make recommendations. The Commissioner can also initiate or intervene in Court proceedings. In addition, the Commissioner reports to Parliament on activities annually and can report at any time on any important matter within the scope of the Commissioner's powers, duties and functions.
8.4 The Department of Justice supports the Minister of Justice in the role of designated minister for specific provisions of the Access to Information Act. The Minister is responsible for:
Please direct enquiries about this policy to your institution's ATIP Coordinator. For interpretation of this policy, the ATIP Coordinator is to contact:
Chief Information Officer Branch
Treasury Board Secretariat
219 Laurier Avenue West, 14th Floor
Ottawa ON K1A 0R5
Telephone: 613- 946-4945
Note: Certain terms contain excerpts (in quotation marks, with the reference cited) from the Access to Information Act (the Act).
Pursuant to section 73 of the Access to Information Act, the head of a government institution may, by order, designate one or more officers or employees of that institution, who are at the appropriate level, to exercise or perform any of the powers, duties or functions that are to be exercised or performed by the institutional head under the following provisions of the Act and the Access to Information Regulations.
|4(2.1)||Responsibility of government institutions|
|7(a)||Notice when access requested|
|7(b)||Giving access to record|
|8(1)||Transfer of request to another government institution|
|9||Extension of time limits|
|11(2), (3), (4), (5), (6)||Additional fees|
|12(2)(b)||Language of access|
|12(3)(b)||Access in an alternative format|
|13||Exemption - Information obtained in confidence|
|14||Exemption - Federal-provincial affairs|
|15||Exemption - International affairs and defence|
|16||Exemption - Law enforcement and investigations|
|16.5||Exemption - Public Servants Disclosure Protection Act|
|17||Exemption - Safety of individuals|
|18||Exemption - Economic interests of Canada|
|18.1||Exemption - Economic interest of the Canada Post Corporation, Export Development Canada, the Public Sector Pension Investment Board and VIA Rail Canada Inc.|
|19||Exemption - Personal information|
|20||Exemption - Third-party information|
|21||Exemption - Operations of Government|
|22||Exemption - Testing procedures, tests and audits|
|22.1||Exemption - Audit working papers and draft audit reports|
|23||Exemption - Solicitor-client privilege|
|24||Exemption - Statutory prohibitions|
|26||Exception - Information to be published|
|27(1), (4)||Third-party notification|
|28(1)(b), (2), (4)||Third-party notification|
|29(1)||Where the Information Commissioner recommends disclosure|
|33||Advising Information Commissioner of third-party involvement|
|35(2)(b)||Right to make representations|
|37(4)||Access to be given to complainant|
|43(1)||Notice to third party (application to Federal Court for review)|
|44(2)||Notice to applicant (application to Federal Court by third party)|
|52(2)(b), (3)||Special rules for hearings|
|71(1)||Facilities for inspection of manuals|
|72||Annual report to Parliament|
|6(1)||Transfer of request|
|7(2)||Search and preparation fees|
|7(3)||Production and programming fees|
|8||Providing access to record(s)|
|8.1||Limitations in respect of format|