Thank you very much, Madam Chair and honourable members of the standing committee. It is certainly a pleasure to be here with you this morning.
By way of introduction, I should tell you that under the Alberta Lobbyists Act, I, as Ethics Commissioner, am named as the Lobbyists Act registrar, and the registry is administered in my office. But the act allows me to delegate most of my functions and responsibilities and authority to another person. I have done that, and he is sitting on my left. His name is Brad Odsen, and he is not only our registrar but our general counsel as well.
As de facto registrar, Brad is responsible--and I think this is good for you to know when it comes to question time--for the day-to-day administration of the act and the operation of the registry. He will be able to respond to any questions you may have on our experience with the Alberta legislation and on the lobbying community there.
There are five responsibilities I cannot delegate. One of the most important ones is the granting of exemptions from the contracting prohibition, with our without conditions. What that means is prohibiting lobbyists from being paid to advise and lobby government on the same subject at the same time.
With your permission, I'll start this morning by briefly touching on the public policy imperative of lobbying legislation, because that will help us set the context for our comments.
We start with the question: What public purpose is served by the enactment of lobbying legislation? One answer to that question, as you know, can be found in a paper presented to the OECD symposium on lobbying in 2007 by Professor Paul Pross, of Dalhousie University. He said:
Experience to date suggests that the decision to regulate lobbyists and to introduce regulations that are effective is contingent upon the following underlying factors: Lobby regulation is perceived to address broadly accepted public policy objectives such as enhancing government transparency, openness and integrity. Regulation is compatible with the constitutional framework and political culture of the adopting jurisdiction. It is directed at achieving three principal objectives: promoting transparency in governmental decision making; supporting integrity in the policy process; enhancing the efficacy of policy processes. Regulation of lobbyists is conceived of as part of a body of regulation--a regime--that governs the ethical behaviour of public officials and those they deal with. The viability of the regulations depends on instituting rules of disclosure that can be realistically applied and on ensuring that officials have the powers and administrative autonomy sufficient to enable them to carry out their duties.
There are really two kinds of legislative approaches that could be taken to achieve these objectives. First is a lobbyist monitoring regime that is directed at making publicly available information on who is lobbying what element of government with respect to what broad subject matter on behalf of what interest, and in what ways is lobbying being undertaken?
The second is the lobbyists regulating regime, which includes all the foregoing but additionally is much more focused on the particulars of lobbying activity and on controlling such activities, to a certain extent. It can include timely reporting of who specifically spoke to whom when about what, what type of compensation arrangements for lobbying activities are permissible or not, and what types of lobbying activities are prohibited and in what circumstances.
The Alberta Lobbyists Act is very much within the spirit of a lobby monitoring regime, whereas the federal Lobbying Act is more within the spirit of a lobby regulating regime. This is not to say, members, that we feel that one regime, in any sense, is better than another, but there certainly are implications with respect to the level of activity required by those charged with the administration and enforcement of the legislation, and obviously, therefore, the level of resourcing required by you to achieve your legislative objectives.
Both approaches can be very effective in achieving the public policy outcomes of increasing transparency and promoting ethical behaviour. There are elements of regulation and enforcement in a monitoring regime, just as, of course, there are elements of monitoring in the regulation regime. Indeed, there are more similarities, as a matter of fact, among the various lobbying statutes in Canada. But there are some key differences between the Alberta and the Canadian acts we thought you might be interested in.
Number one, in Alberta lobbying is defined as “communicating with a public office holder in an attempt to influence”, while federally it is defined as “communicating with a public office holder”, in both cases for payment and in both cases with respect to prescribed activities of government.
Alberta does not have a lobbyists code. Alberta does have a contracting prohibition that we talked about earlier. Alberta does not require monthly reporting of meetings of any kind. In Alberta the post-employment cooling-off period for ministers is 12 months, and for elected members and senior government officials it is six months.
There are other differences, but with your permission and in the interest of your time, we will focus the balance of our remarks primarily on three differences that Commissioner Shepherd has highlighted in her presentation to this committee: the time-spent-lobbying threshold; the ability of the registrar to investigate breaches of the act and to impose administrative penalties; the lack of statutory immunity granted to the commissioner and her staff.
As to the first, in Alberta, if the cumulative time spent lobbying by those in an organization is less than 100 hours per year, that organization is not required to register. Now, as it presently stands, the act speaks of time spent communicating and does not include preparation time. One hundred hours is less than 2.5 hours per week, so it's already a very low threshold.
As you may know, the Alberta legislature just conducted a review of the act. In this case, the issue of whether there should be such a threshold--or if there is one, where it should be set--was probably the most debated issue in that review. The end result of that debate was that the committee has recommended that time spent communicating should include preparation time, which would have the effect, of course, of lowering the threshold even further.
Brad can speak more to this issue if you have any questions about that.
We would note that in our experience, once the practical effect of this section of the act has been explained to most organizations the response has simply been that they register, whether they feel they may have attained the threshold or not.
As to the second, while it is true that there has not been an instance when we have imposed an administrative penalty, anecdotal evidence suggests that the very fact that the registrar has this power leads lobbyists to take considerably more care to comply with the technical requirements, such as noting changes within the specified period of time or renewing a registration when the renewal is due. In a broad sense, there could be what might be termed breaches of the spirit and intent of the act, an example of which would be deliberately failing to register in order to conceal the lobbying efforts, and what might be called technical breaches, such as failing to amend a regulation within the required time period.
In our view, having the ability to impose administrative penalties, particularly for technical breaches, does lead to a greater effort on the part of lobbyists to comply.
The federal Lobbying Act--or its predecessor legislation--has been in effect since 1985, as you know. It's not something new to the lobbyist community. The Alberta act, on the other hand, was only proclaimed in September 2009. The approach of our office in these two years has been one of education and of encouragement, rather than enforcing compliance. There has now been sufficient time for the lobbying community to become familiar with the act and its requirements. After giving due notice to the lobbying community, we will start implementing stricter enforcement of these technical requirements, and in all likelihood using a model similar to what Commissioner Denham and her team in B.C. have devised as a template.
With respect to the third, as Commissioner Shepherd has noted in her recommendation number 9, Alberta and all other jurisdictions in Canada do have an immunity provision in their acts. We can assure you that this provision provides us considerable comfort in our administration and enforcement of the Alberta Lobbyists Act. Frankly, we cannot conceive, with respect, any valid reason to deny immunity to an officer of Parliament. That very lack could well, in our view, have the effect of constraining the ability of the commissioner to properly fulfill the statutory requirements of the act.
In conclusion, we are pleased to have been here to make a brief presentation. We hope we can help further. This is really a very important piece of legislation, as you know. Professor Pross noted as well that it's part of a regime that governs the ethical behaviour of public officials and those who deal with them.