Thank you, Madam Chair.
I want to thank the committee for the invitation to participate as a witness in your five-year statutory review of the Lobbying Act, as is mandated by section 14.1 of the legislation.
By way of introduction, I am a former member of Parliament. I served as parliamentary secretary to the Prime Minister. I served as parliamentary secretary to the President of the Treasury Board. I was the director of parliamentary affairs in a minister's office. I am currently a member of the Queen's Privy Council and am currently a senior consultant with The Capital Hill Group, a government relations firm here in Ottawa. I also teach government relations in the MBA program at the Rotman School of Management, University of Toronto. In other words, to use the vernacular of the bill, in recent history I have been a designated public office holder and I am now a registered lobbyist. Apart from the fact that I apparently have trouble holding down steady employment, I hope I can draw on some of my experiences while we discuss this legislation.
At the outset, I want to put on the record that I did appear before the Senate committee when Bill C-2 went through the legislative process. At the time I expressed some concerns about the bureaucracy's ability to enforce this bill logistically, because what it involved was a shift from a system that was essentially lobby registration to lobby regulation, and I had in my mind all the complexities that would involve. I must say that I think they have performed admirably. On a logistical side, the office is functioning at a very high level. Any contact I've had with it has been extremely positive; I think the registration system itself, the computer system, is working well, so I have to eat a bit of crow, because I predicted doom on that front and it certainly hasn't materialized.
On a personal note, I also want to state very clearly that I fully support the objectives of this bill. Anything that we can do or anything that you can do as parliamentarians and legislators to increase transparency on the political decision-making will help reduce some of the cynicism that I think is driving down voter participation rates and infecting people's views of government and government's role in their lives.
To that end, I'd like to review a couple of areas of the legislation that I think the committee should consider examining during your review.
The first item is essentially structural. The application of the regulatory framework in this act, which is extensive and far-reaching, is entirely based on a person realizing that they are engaged in activities that require a registration. Although subsections 5(1) and 7(1) list a number of activities that would be considered registerable activities, I think it may make sense to actually put a definition of lobbying into section 2 of the legislation. For a suggestion, I think a solid definition would be "communication with decision-makers to affect outcomes". I think that a clear and concise definition of the activity that is being regulated provides a stronger foundation to then define the related activities.
The committee testimony to date has reflected a concern about individuals who are "flying under the radar", as I think was the term used, meaning people who are engaged in lobbying activities but who, for one reason or another, are not registering and reporting those actions. Setting aside people who are knowingly and deliberately choosing to ignore the law, I think there are a couple of factors that contribute to this situation. The inclusion of an arbitrary time trigger, the so-called “20% rule”, involves an individual or organization performing some calculation of aggregate resources expended in lobbying activities. At best, it's confusing; I think that at worst, it's unconstitutional.
I'll give you an example. The August 11, 2009, interpretation bulletin on how to calculate the 20% rule states:
One way is to estimate the time spent preparing for communicating (researching, drafting, planning, compiling, travelling, etc.) and actually communicating with public office holders. For instance, a one-hour meeting may require seven hours of preparation and two hours of travel time. In this case, the time related to lobbying with a public office holder would be a total of 10 hours.
That would be the time used to calculate whether you trigger the 20%.
Therefore, what you have is a case in which identical organizations engaged in identical activities could have separate reporting requirements if one is based in Ottawa and one is based in Vancouver. I'm not a lawyer, and that's not an apology, but I'd take this one to the Supreme Court. I don't think we can have legislation that is going to discriminate against Canadians based on where they live. Quite clearly, in my reading this interpretation bulletin does exactly that.
I think that may be one thing you want to look at and, at the very least, take travel out of the calculation, because I think there's an inherent bias in that to people who live closer to Ottawa. Again, that's something we are probably trying to have less of in our legislation.
It might also be useful to revisit the original rationale for the 20% rule. It was not the intention of legislation—this is what the rationale was at the time—to catch individuals or organizations that are engaged in occasional lobbying. I think you need to take a look at that and reconcile it with the objectives of the legislation.
It might be simply that you are catching people who are bad at lobbying, because the good lobbyists can get it done under 20%. This isn't necessarily a criticism aimed at any person, but as this bill evolves, as it reacts to situations, both policy and political, and as its reach is extended, I think you have to make sure that at the end of the day when you put the pieces back together, Humpty Dumpty makes an egg. I think in some cases we have gone a little sideways on what we're trying to do.
The second element is the requirement that a lobbyist be paid in order to be covered by these regulations. The Americans have a regime of lobby regulation and don't make that distinction.
In looking at the participating sectors of the argument industry, at the inputs that go into public policy making and the public policy making algorithm, I think the goal should be the highest level of transparency possible. So certainly the actions of paid consultant lobbyists should be transparent, but so should the actions of non-governmental organizations, think tanks, religious advocacy groups, professional organizations, and even academics.
The notion that only those who are directly paid to lobby have questionable motives and all the other participants in the debate are pursuing the public interest in its purest form strikes me as a little naive. I think that either eliminating the word “paid” or at least expanding the definition to include “indirect benefit” might be worth considering.
Again, to give you an example, I teach at the University of Toronto. The fact that I'm appearing before you here today is something that I will bring up the next time my salary is negotiated, so to somehow suggest that this particular undertaking may not have indirect benefit to me is again I think not realistic.
I think the legislation is also coming into conflict with legitimate objectives of certain organizations. In terms of governance in organizations, we live in a post-Sarbanes-Oxley world, and organizational and corporate boards are struggling with these new realities.
For example, if an association is trying to attract top talent for its board of directors and decides to compensate them any amount over expenses, they are then considered paid, and the 20% rule doesn't apply, triggering the potential requirement for the entire board to individually register as consultant lobbyists if they have contact with public office holders. If you check the registry, I think you'll see that the Canadian Medical Association is one organization that has had each of its board members register as consultant lobbyists.
I think we should be supporting these groups in their goal of better governance. I'm not sure that this additional hurdle is helpful in their recruiting.
Another element of the legislation that was predicted as problematic was the inclusion of designated public office holders identified as “senior”. Therefore, any registerable communication that was oral and pre-arranged with these individuals required separate filing of a monthly communication report. That was then posted to the public registry and available online. There was a hue and cry--all kinds of it--about how this was going to provide sensitive information to competitors. I don't think that has materialized, but there are some issues around it.
The original proposal in Bill C-2 before it was amended called for a higher level of detail regarding the actual communication information, and a dual filing process, whereby both sides at the meeting, the designated public office holder and the registered lobbyist, both reported their meetings individually and separately, and the lobbying registry office simply reconciled. If there was one half of a meeting reported, that was something they could then investigate. The problem we have now is that the lobbying commissioner's office has to respond to anonymous tips or whatever to figure out where to look for problems because they aren't going to surface naturally on their own.
We ended up with a system in which the responsibility rests solely with the lobbyist and the meeting details simply need to reflect the identified subject matter listed in the original registration. Again, the committee may want to examine the impact this element has had over the last five years and see if it's getting us where we want to be.
In addition, I think, on the inclusion of DPOH status, you could put this on the government electronic registry. One of the challenges we face is who is designated and who is not. It's a moving target in terms of the designations not being consistent across ministries as people move in and out of positions and are temporarily acting and these sorts of things.
The government has a very good electronic directory of employees. There may be some way of identifying on that directory if the person is or is not in fact a designated public office holder. I think it might simplify the process and reduce the number of false filings, wherein people file and don't need to because the person isn't designated, or where they don't file because they don't think the person is and that then triggers a separate course of action.
Staying with the DPOH theme, the original legislation gave the government the Governor in Council authorities to designate any class of DPOH, and they exercised this authority to extend designation to members of Parliament. I realize the political risks of anybody saying they want to do anything that would be seen to be reducing transparency and accountability, but I think designating individual MPs who aren't parliamentary secretaries or ministers as DPOHs is a bit of a knee-jerk reaction. It could have profound long-term effects on the rights and privileges of MPs and, in a sense, the relationship between the executive and legislative branch.
I'm not Chicken Little and I'm not saying the sky is falling, but I think we should all be concerned if as an MP there are certain regulations and restrictions around who you see and then actions you take subsequent to those meetings. Your responsibilities as to providing oversight as members of Parliament may take precedence over whatever objectives might be met under that exercise, although I do say again that it would be very difficult for somebody to walk outside this room and scrum on that issue, because it certainly would look like you're trying to make the system less transparent. I can say it; maybe you can't.