BC MENTAL HEALTH REVIEW BOARD CODE OF CONDUCT

Similar documents
Constitutions and Bylaws

Members' Code of Conduct

PA TURNPIKE COMMISSION POLICY

CODE OF PROFESSIONAL CONDUCT FOR THE JUDGES OF THE MECHANISM

standards for appropriate ethical, responsible and professional behaviours

GAMING SECURITY PROFESSIONALS OF CANADA PROFESSIONNELS EN SÉCURITÉ DU JEU DU CANADA

British Columbia. Health Professions Review Board. Rules of Practice and Procedure for Reviews under the Health Professions Act, R.S.B.C. 1996, c.

Corporate Governance Statement

CODE FOR INDEPENDENT DIRECTORS

IBRD/IDA/IFC/MIGA Policy

B I L L. (Assented to ) HER MAJESTY, by and with the advice and consent of the Legislative Assembly of Saskatchewan, enacts as follows:

SPECIFIC LEADERSHIP AND INTEGRITY CODE FOR STATE OFFICERS IN THE KENYA NATIONAL COMMISSION ON HUMAN RIGHTS

DOVER CORPORATION CORPORATE GOVERNANCE GUIDELINES

FOR THE OFFICE OF THE POLICE OMBUDSMAN FOR NORTHERN IRELAND

STATUTE OF THE COMMONWEALTH SECRETARIAT ARBITRAL TRIBUNAL

Code of Professional Responsibility for Interpreters

CAYMAN ISLANDS. Supplement No. 31 published with Extraordinary Gazette No. 45 of 31st May, PUBLIC SERVICE MANAGEMENT LAW.

CONATUS PHARMACEUTICALS INC. NOMINATING AND CORPORATE GOVERNANCE COMMITTEE CHARTER

POLICIES AND PROCEDURES

CAYMAN ISLANDS. Supplement No. 3 published with Extraordinary Gazette No. 25 of 27th March, PUBLIC SERVICE MANAGEMENT LAW.

PARENT TEACHER ASSOCIATION OF P.S. 261

The Board of Commissioners Work Guidelines PT. INTERMEDIA CAPITAL, Tbk. ( Company )

Complaints of Sexual Misconduct Against Students

RESPECTFUL WORKPLACE AND HARASSMENT PREVENTION

Roche. Working with Government Officials: Good Practice Guidelines

INTERNATIONAL POWERLIFTING FEDERATION CODE OF ETHICS

THE BOARD OF DIRECTORS WORK GUIDELINES PT. INTERMEDIA CAPITAL, TBK. ( Company )

LOUISIANA DEVELOPMENTAL DISABILITIES COUNCIL. Policies and Procedures Manual and Bylaws

LAWS OF KENYA THE NATIONAL POLICE SERVICE COMMISSION ACT. No. 30 of 2011

Conference of California Bar Associations Rules of Operation & Procedure

Charter of the Audit Committee. I. Introduction. II. Purpose. III. Mandate

Office of the Commissioner of Lobbying Ottawa, Ontario September 24, The Lobbyists Code of Conduct A Consultation Paper

PROFESSIONAL ETHICS COMMITTEE PROCEDURES MANUAL

Industrial Design Rights Law. (Pyidaungsu Hluttaw Law No ) ( ), ( ), Chapter I. Title, Effective Date and Definition

Business Day: means a working day as defined by the Provider in its Supplemental Rules.

BROOKLYN LAW SCHOOL STUDENT DISCIPLINARY PROCEDURES

IAAF INTEGRITY CODE OF CONDUCT

Florida Atlantic University Student Government Student Body Statutes

Code of Administrative Law Judge Ethics

CODE OF CONDUCT FOR MEMBERS OF SASKATOON CITY COUNCIL

Code of conduct for members of the Parliamentary Assembly

Audit Committee Charter

CONDUCTING LAWFUL AND EFFECTIVE INVESTIGATIONS REGARDING ALLEGATIONS OF DISCRIMINATION AND HARASSMENT

EXTRA ORDIANARY PUBLISHED BY AUTHORITY REGISTERED NO. PT.-40 LAW DEPARTMENT

CODE OF ETHICS FOR MEMBERS OF THE JUDICIARY

2ND SESSION, 41ST LEGISLATURE, ONTARIO 66 ELIZABETH II, Bill 87. (Chapter 11 of the Statutes of Ontario, 2017)

CODE OF ETHICS AND CONDUCT FOR THE PUBLIC SERVICE

Referring to Article 110 of the Constitution of the Republic of Kosovo and the Law on Kosovo Prosecutorial Council (Nr.03/L-244)

Atlantica Yield plc. Terms of Reference Audit Committee. (May 2016) Members of the Committee shall be appointed by the Board.

General Regulations Updated October 2016

Governing Rules of the Disability Rights Florida PAIMI Advisory Council

Senate Statutes - Title V ( Judicial Branch) - Updated

TORONTO DISTRICT SCHOOL BOARD PARENT INVOLVEMENT ADVISORY COMMITTEE ( PIAC or the Committee )

(c) any other person who enters into a contract with that international or intergovernmental Commonwealth body or organisation;

safe-guard the necessary standards of conduct and to avoid misconduct.

Midatech Pharma PLC (the "Company") AUDIT COMMITTEE - TERMS OF REFERENCE

AMENDED AND RESTATED CONSTITUTION AND BYLAWS OF THE UNITED STATES NAVAL INSTITUTE

1/ The Ministerial Code A Proposal DRAFT. (Revised December 15, 2007) THE MINISTERIAL CODE A PROPOSAL BACKGROUND

Civic Betterment Party. Village of Glen Ellyn. Statement of Principles and Procedures For Nominating Candidates for Elective Office ("Bylaws")

RULES OF PROCEDURE. The Scientific Committees on. Consumer Safety (SCCS) Health and Environmental Risks (SCHER)

Board Conflict of Interest Policy

STELCO HOLDINGS INC. CHARTER OF THE COMPENSATION, GOVERNANCE AND NOMINATING COMMITTEE OF THE BOARD OF DIRECTORS

By-Laws. copyright 2017 general electric company

The Companies Act Community Interest Company Limited by Guarantee. Articles of Association. Pasture-Fed Livestock Association C.I.C.

TEXT OBTAINED BY WEB PAGE STATE.AZ.US; 25th APRIL 2003.

POLICIES AND PROCEDURES

The Municipality of Chatham-Kent Code of Conduct for Members of Council

TEACHERS ACT [SBC 2011] Chapter 19. Contents PART 1 - DEFINITIONS

EDUCATION ACT NO. 10 of Arrangement of Sections. Part I - Preliminary

Hong Kong Internet Registration Corporation Limited Domain Name Dispute Resolution Policy for.hk and. 香港 domain names Rules of Procedure

IN THE MATTER OF THE SECURITIES ACT, R.S.O. 1990, c. S.5, AS AMENDED. - and - IN THE MATTER OF ALKA SINGH AND MINE2CAPITAL INC. SETTLEMENT AGREEMENT

RULES OF BRITISH ROWING LIMITED (An excerpt from the Rules of British Rowing 2015) SECTION H THE DISCIPLINARY AND GRIEVANCE PANEL

RECOMMENDED FRAMEWORK FOR BEST PRACTICES IN INTERNATIONAL COMPETITION LAW ENFORCEMENT PROCEEDINGS

CODE OF ETHICS FOR PARLIAMENTARIANS INCLUDING MINISTERS

Governance. Financial Reporting Council. October Governance Bible

COLLEGE OF OPTOMETRISTS OF BRITISH COLUMBIA. Bylaws


PMI-North Alabama Chapter By-Laws

DISCIPLINARY CODE. 4. A Disciplinary Committee shall be constituted as follows:

ORGANIZATIONAL REGULATIONS

Judicial Services and Courts Act [Cap 270]

CONSTITUTION FOR THE HORNSMILL COMMUNITY CENTRE

Rule 1. These Rules in Part II shall be called the Civil Procedure Mediation Rules, 2006.

Pennsylvania Rules of Professional Conduct for Judiciary Interpreters

BETWEEN: The Complainant COMPLAINANT. AND: The College of Psychologists of British Columbia COLLEGE. AND: A Psychologists REGISTRANT

What differentiates CHRPs and CIRCs from non-ordre members who practice the profession is the fact that they adhere to a Code of Ethics.

NCPMI Bylaws. Table of Contents

BOARD GOVERNANCE POLICY MANUAL. September 30, Page

Code of Ethics & Committee

BYLAWS I. NAME PRINCIPAL OFFICE

Discrimination and Harassment Policy

LEADERSHIP AND INTEGRITY ACT

BY-LAWS SEELEY LAKE COMMUNITY COUNCIL ARTICLE I AUTHORIZATION

SAMOA BROADCASTING ACT 2010

The Ombudsman Act, 2012

AVON PRODUCTS, INC. CORPORATE GOVERNANCE GUIDELINES. As amended by the Board of Directors as of October 6, 2016

LAMOILLE COUNTY PLANNING COMMISSION BYLAWS. Article I. Name

City of Toronto Public Appointments Policy

HUMAN RIGHTS #2-08 Discrimination Harassment

CITY OF DULUTH CODE OF ETHICS ORDINANCE FOR CITY OFFICIALS PREAMBLE

Transcription:

BC MENTAL HEALTH REVIEW BOARD CODE OF CONDUCT I. PURPOSE OF THE CODE OF CONDUCT 1. The purpose of the Code of Conduct is to promote the highest standards of conduct by members of the BC Mental Health Review Board [Board], in order to maintain and enhance public confidence in the integrity, independence, impartiality, and effectiveness of the Board. II. APPLICATION OF THE CODE OF CONDUCT 2. Board members are required to comply with the Code of Conduct. 3. The Code of Conduct governs members conduct from the commencement to the completion of their term of appointment, and outlines their continuing responsibilities after the completion of their term. III. INTERPRETATION 4. The Code of Conduct is to be read together with the Board s Rules of Practice and Procedure, policies, practice directions, and codes of conduct for participants and representatives. 5. In the Code of Conduct, a Board proceeding includes all aspects of a review panel hearing under the Mental Health Act [RSBC 1996] Ch. 28. IV. INTEGRITY 6. Members must act with honesty, integrity and high ethical standards. 7. Members must conduct themselves personally and professionally in a manner consistent with the nature of their responsibilities and the maintenance of public confidence in the administration of justice. 8. Members must not engage in conduct that exploits their position as a member of the Board.

9. Members must not use information which is not generally available to the public, and which the member has obtained through their Board duties, to obtain a personal benefit or a benefit for a person with whom the member has a relationship or association. This would not, in most cases, include a member s contributions to professional educational activities such as public conferences. V. INDEPENDENCE 10. Members must conduct Board proceedings independently and free of extraneous influence. 11. Members must firmly reject any attempt to influence their decisions in any matter before the Board outside of the proper process of the Board. 12. Members must make each decision according to the true merits of the case, on the basis of evidence presented and the applicable law. Members must apply the law to the evidence in good faith and to the best of their ability. Members must approach decisionmaking with a mind that is genuinely open with respect to every issue, and open to persuasion by convincing evidence and argument. Members must avoid doing or saying anything that would cause a reasonable, well-informed individual to think otherwise. 13. Members must not be influenced by partisan interest, public opinion, fear of criticism, or the prospect of disapproval from any person, institution, or community. VI. OBJECTIVITY AND IMPARTIALITY A. Conduct generally 14. Members must act, personally and professionally, so as to avoid the appearance of bias. 15. Members may engage in remunerative employment with another employer, carry on a business, receive remuneration from public funds for activities outside their position, or engage in volunteer activities [outside work] provided that: a. the member consults with the chair if there is any issue about whether the outside work complies with this provision; b. arranges their outside work so as to minimize the likelihood of conflicts arising that may affect their neutrality or give rise to an allegation of bias; c. the outside work does not:

i. interfere with the performance of their duties as a member of the Board; ii. bring the Board into disrepute; iii. appear to be on behalf of the Board or to represent Board opinion or policy; iv. involve the use of work time or government premises, services, equipment, or supplies; v. result in an advantage or the appearance of an advantage to another person as a result of the member s appointment as a member of the Board; or vi. result in payment while the member is in receipt of short-term and/or long-term disability plan payments. 16. Members must not offer assistance or provide legal, consulting or other services in relation to a matter before the Board or that could come before the Board, other than the assistance given in the ordinary course of their duties, whether the assistance or services are provided for remuneration or otherwise. 17. A member must not accept money, awards, or gifts from persons who may be or who have been affected by a Board decision. A member shall normally be allowed to accept a gift offered as an honorarium for a speaking engagement. If there is any doubt regarding the propriety of accepting a gift, the member should consult with the chair. 18. Subject to paragraphs 25 and 26, Members are not prohibited from infrequent attendance at lunches, dinners, or public also attended by an individual or representative of an organization which regularly appears before the Board. If there is any doubt regarding the propriety of attending an event, the member should consult with the chair. 19. Members are free to engage in political activities so long as they are able to maintain their impartiality and the perception of impartiality in relation to their duties and responsibilities. Members political activities must be clearly separated from activities related to their role as members. 20. Members using social media must ensure that they do so in a manner that minimizes concerns about their neutrality and should avoid having persons who are representatives before the Board as a friend, unless that person is identified as a

conflict (see paragraph 28). B. Conduct of Board proceedings 21. Members must maintain their objectivity and impartiality in the conduct of all Board proceedings, and must refrain from conducting themselves in a manner that might suggest a lack of objectivity or impartiality. 22. A member must not participate in any Board proceeding or discussion in which the facts may give rise to a reasonable apprehension of bias or conflict of interest on the part of the member. 23. A member must not participate in any Board proceeding where the member has (or has had within the last 12 months) a significant or close personal, professional, or business relationship with a party, party s representative, or witness. 24. A member must not participate in any Board proceeding in which the member or close relation or associate of the member has had any prior involvement. 25. A member must not communicate directly or indirectly with any party, representative, or witness at any stage of a Board proceeding except in the presence of all parties and/or their representatives, or unless the correspondence is copied to all the parties and/or their representatives. 26. Where a member cannot reasonably avoid brief contact with a party, representative or witness during the course of a proceeding absent all parties and their representatives, the member will restrict their communication to uncontroversial matters unrelated to the proceeding. C. Bias and conflict of interest 27. A reasonable apprehension of bias exists when a reasonable, well-informed person, viewing the matter realistically and practically, and having thought the matter through, would conclude that it is more likely than not that the member, whether consciously or unconsciously, would not decide fairly. 28. A member must identify and disclose to the Board chair, at the earliest possible opportunity, circumstances which may give rise to a reasonable apprehension of bias or conflict of interest in respect of any of the member s responsibilities. If a member has any question as to whether a reasonable apprehension of bias or conflict of interest exists, the member must consult with the chair at the earliest opportunity in order to

make that determination. 29. Where it has been determined that a reasonable apprehension of bias or conflict of interest may exist, the member must not participate in that review panel hearing and a notation will be made on the front of the paper file and on the electronic file that the member shall have no access to that file. 30. Where the chair determines that the chair has a potential bias or conflict of interest in respect of a matter before the Board, the chair must instruct Board staff that all communications regarding the matter are to be directed to a designated member of the Board. The file will be marked No Access to Board Chair and the chair must not participate in decisions regarding the application, including the choice of member designated to make a decision in respect of the application, the scheduling of the hearing, or the release of the decision. 31. Where a member becomes aware, after being designated to make a decision in respect of an application, of a possible conflict of interest or of facts which may give rise to a reasonable apprehension of bias, and the circumstances are unknown to the parties or their representatives, the member must: a. resign from the proceeding if the member determines that there is a reasonable apprehension of bias; or b. inform the parties of the circumstances, hear submissions from the parties, and then make a determination on whether they should resign from the matter. 32. Where an allegation of conflict of interest or bias is raised by a party, the member may hear submissions from the parties, and must determine whether they should resign from the matter. VII. EQUALITY AND RESPECT 33. Members must treat all persons in the course of a Board proceeding with courtesy and respect and in a manner that builds trust and confidence in the Board and the administration of justice. 34. Members should make every effort to ensure that all participants and their representatives treat each other with courtesy and respect. 35. Members must carry out their duties with appropriate consideration for all persons without discrimination.

36. Members should strive to be aware of and understand differences arising from, for example, gender, race, religious conviction, culture, ethnic background, sexual orientation, or disability. In the course of their duties, members must act in a manner that demonstrates an understanding of diversity. 37. Members must avoid membership in any organization that they know currently practices any form of discrimination that contravenes the law. 38. Members, in the conduct of a Board proceeding, should disassociate themselves from and disapprove of clearly irrelevant comments or conduct by a party, representative or other person subject to the member s direction which are sexist, racist, or otherwise demonstrate discrimination. VIII. ACCESSIBILITY AND SELF-REPRESENTED PERSONS 39. Members should strive to be aware of barriers which may restrict access to the Board. 40. Members must give effect to the Board s obligation to ensure access to the Board through reasonable accommodation. 41. While maintaining the required objectivity and impartiality, members must promote access to the Board and it may be appropriate for a member to: a. explain to a self-represented party the procedure to be followed; b. outline the relevant evidentiary and procedural rules; c. outline the uncontroverted legal principles which apply to the application; d. modify the process including the usual order of taking evidence; or e. question witnesses. 42. Members should ensure that procedural and evidentiary rules are not used to unjustly hinder the legal interests of self-represented persons. IX. EXPERTISE AND COMPETENCE 43. Members should be expert and current with the relevant legislation, rules, and policies. 44. Members should take reasonable steps to maintain and enhance their knowledge and skills necessary to fulfil their duties as a member, including participating in members'

meetings and Board training and professional development. 45. Members must take reasonable steps to ensure that hearings are concluded in a timely manner, avoiding unnecessary delays. 46. Members should release decisions as soon as possible after the completion of a hearing, and are expected to meet applicable timelines, policies and standards. 47. Members should be fully prepared for a proceeding and ensure that proceedings are conducted in an orderly manner, in accordance with applicable rules. 48. Members must maintain the integrity of Board proceedings. 49. Members must ensure that decisions are prepared in accordance with Board policies and guidelines, including style and writing guidelines. 50. Members must give due consideration to the law and the value of consistency in exercising their independent decision-making authority. X. COLLEGIALITY 51. Members must foster a collegial working environment and conduct themselves in a manner that reinforces the integrity and professionalism of the Board. 52. Members must conduct themselves in a manner that demonstrates respect for the views and opinions of colleagues. XI. CONFIDENTIALITY AND PUBLIC COMMENT 53. Members must respect the confidentiality of the Board s decision-making processes. Except as required by law, a member must not divulge confidential information obtained in the course of their duties, other than information which is generally available to the public. 54. Members must not comment publicly on any aspect of a matter that is before the Board or is likely to come before the Board, or on another member s conduct. 55. Members must not comment publicly on a decision of the Board and will refer all inquiries from the media to the chair or registrar. 56. Members may only represent the Board in their activities outside the Board when specifically authorized by the chair to do so.

XII. OBLIGATIONS AFTER CEASING TO BE A MEMBER 57. A member must not appear before the Board as a representative, until six months after the member s term of appointment to the Board has terminated. 58. After the conclusion of their term of appointment, a member has a continuing obligation to maintain the confidentiality of confidential information which had been obtained in the course of their duties as a member. XIII. CONSEQUENCES 59. The chair will make whatever inquiries or investigations that the chair determines necessary to determine if a member has breached the Code of Conduct. The chair may report the results and any steps consequently taken to the person who brought the issue to the chair s attention, if the chair determines it is appropriate to do so. 60. If the chair considers that a member may have breached the Code of Conduct, the chair will notify the member whose conduct is in issue and give the member an opportunity to respond, both to the allegation and to any steps proposed to address a breach. 61. If the chair determines that a member has breached the Code of Conduct, the chair will determine what steps are to be taken, taking into account all relevant factors, including whether the breach occurred in good faith or through inadvertence. Steps may range from advising the member of the chair s decision or providing the member with a letter of expectation, to recommending to the appointing authority that the member not be reappointed for another term, or, in the most egregious circumstance, that their appointment be rescinded.