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United Kingdom Employment Appeal Tribunal |
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You are here: BAILII >> Databases >> United Kingdom Employment Appeal Tribunal >> Vetco Gray UK Ltd v Garden (Unfair Dismissal : Reasonableness of dismissal) [2012] UKEAT 0025_11_1101 (11 January 2012) URL: http://www.bailii.org/uk/cases/UKEAT/2012/0025_11_1101.html Cite as: [2012] UKEAT 0025_11_1101, [2012] UKEAT 25_11_1101 |
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EMPLOYMENT APPEAL TRIBUNAL
52 MELVILLE STREET, EDINBURGH, EH3 7HF
At the Tribunal
Before
MISS S AYRE FIPM FBIM
MR P HUNTER
Transcript of Proceedings
JUDGMENT
APPEARANCES
(Solicitor) McGrigors LLP Johnstone House 52-54 Rose Street Aberdeen AB10 1UD
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(Advocate) Instructed by: Quantum Claims Compensation Specialists Ltd 70 Carden Place Queen’s Cross Aberdeen AB10 1UL
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SUMMARY
UNFAIR DISMISSAL – Reasonableness of dismissal
Unfair dismissal. Employee admitted (i) having continued to undertake driving instructor’s training course whilst off sick, without employer’s permission, (ii) having lied about having done so in the past and (iii) having been warned that it would be viewed as gross misconduct if he did so. Employee handbook provided that employees must not, without permission, engage in any activity (paid or unpaid) during working hours. On appeal, held that Employment Tribunal had erred in interpreting handbook as not prohibiting Claimant’s conduct and in finding that, in Burchell terms, they did not have reasonable grounds on which to sustain a belief in the Claimant’s misconduct. Finding of fair dismissal substituted.
THE HONOURABLE LADY SMITH
Introduction
2. We will continue, for the sake of clarity, to refer to parties as Claimant and Respondent.
Background
The Claimant’s conduct
5. In September 2009, during that period of sickness absence, the Claimant began taking lessons to train him to become a driving instructor. He also took “a couple of lessons” in October 2009[1]. He took about six lessons in total in those two months. He did not ask the Respondent for permission to do so.
“8….she had received reports that he had been taking lessons with a view to becoming a driving instructor. The claimant denied this.”
and that, at that meeting:
“16….Ms Ings had made it clear that if he was driving whilst off sick and receiving sick pay, this would be deemed misconduct.”
7. The Tribunal refer to the Claimant’s explanation for his lie as being “a knee jerk reaction”[2], the relevance of which we do not understand. A lie is a lie, amounts to dishonesty and is a serious matter in the context of the employer/employee relationship. We also note that the Tribunal find that the Claimant took “a couple” of driving lessons in October[3] which sounds as though they seek to downplay the seriousness of the Claimant’s conduct and fails to put that finding in the context of their later finding that he taken “possibly” six lessons in mid September or October. Again, that appears, unfortunately, to be an indication of the Tribunal seeking to downplay the Claimant’s conduct rather than facing up to the reality of the Claimant having on at least some six separate occasions been undertaking a distinct non work activity during working hours whilst off sick, without telling his employers about it and then, when challenged, denying what had evidently been a significant and substantial course of activity on his part.
Employee Handbook
9. The Respondent’s employee handbook includes the following terms:
“19.6 Private Business and Other Paid Employment Policy
Except with the express permission of Management, no employee of Vetco Gray UK Limited will engage in any other form of paid or unpaid activity, other than that of the Company, during working hours. Nor will he/she use any Company facilities, equipment, systems or materials in connection with any outside activity.”
Disciplinary procedure
10. The Claimant was called to an investigatory meeting which took place on 27 January 2010. He admitted that he had been training as a driving instructor. A disciplinary meeting then took place on 3 February 2010. During that hearing, the Claimant acknowledged and confirmed that he was aware that undertaking activities other than those of the Respondent during working hours whilst off sick and receipt of sick pay, without the Respondent’s permission, could be considered to be gross misconduct[4]. The Tribunal found:
“16. The disciplinary hearing concluded that the claimant had been dishonest with Ms Ings; that Ms Ings had made it clear that if he was driving whilst off sick and receiving sick pay, this would be deemed to be misconduct. The disciplinary meeting considered that the claimant had undertaken driving instruction whilst off work sick and receiving sick pay. Accordingly it concluded that he was guilty of gross misconduct.”
The Claimant’s employment was terminated with immediate effect.
“…acted in an unacceptable manner by actively engaging in training for alternative employment whilst in receipt of company sick pay and misleading the company as to his actions.”
Relevant law
12. It was not disputed that the Claimant was dismissed for a reason which “related to the conduct of the employee.”[5] Nor was it disputed that the conduct complained of had occurred. This was not a case where the employee had denied responsibility for the conduct alleged. Nor had he denied being aware that to undertake activities other than those of the company, without permission, whilst off sick and in receipt of sick pay, could be considered to be gross misconduct. The employer was not faced with a competing account of events. There was very little to investigate. The issue was whether or not, “in the circumstances (including the size and administrative resources of the employer’s undertaking) the employer acted reasonably or unreasonably in treating it as a sufficient reason for dismissing the employee.”[6]
13. In the conjoined cases of Foley v Post Office & HSBC Bank Plc v Madden[7], Mummery LJ stressed that Employment Tribunals required, in an unfair dismissal case, to apply the law as enacted in section 98(1), (2) and (4) of the 1996 Act. He added that that meant
“for all practical purposes”[8]
two particular approaches were relevant, namely (1) the “band or range of reasonable responses” approach to the issue of the reasonableness or unreasonableness of a dismissal[9]; and (2) the
“tripartite approach to (a) the reason for, and (b) the reasonableness or unreasonableness of, a dismissal relating to the conduct of the employee, as expounded by Arnold J in British Home Stores Ltd v Burchell (Note) [1980] ICR 303, 304 and 308 G-H[10] and as approved and applied by this court in W. Weddel & Co. Ltd v Tepper [1980] ICR 286, remains binding on this court, as well as on employment tribunals and the Employment Appeal Tribunal. Any departure from that approach indicated in Madden (for example, by suggesting that reasonable grounds for belief in the employee’s misconduct and the carrying out of a reasonable investigation into the matter relate to the establishing of the reason for dismissal rather than to the reasonableness of the dismissal) is inconsistent with binding authority.” [11]
14. Both Foley and HSBC were cases which involved disputed allegations of misconduct. In both of them the employers had had to determine, in the face of denials by the employee, whether or not the alleged conduct had taken place or not. The Burchell approach is plainly appropriate and helpful in such circumstances where the reasonableness of an employer’s efforts to confirm suspicions or clear up doubts about what actually happened, may be in issue. Whilst it does not provide a complete answer – even if the answer to all three questions identified by Arnold J is in the affirmative, the tribunal still requires to consider whether or not dismissal was within the range of reasonable responses – it sets out a straightforward approach to some of the issues that arise when applying section 98(2) and (4) in such a case. However, as a matter of practicality, it is of little real assistance in a case, such as the present one, where the employee does not dispute the conduct alleged, it is not disputed that it was the reason for the dismissal and where the circumstances called for little, if any investigation. Hence the observation by HHJ Peter Clark, with which I would agree, in Boys and Girls Welfare Society v McDonald[12] that:
“……it is apparent that the threefold Burchell [1978] IRLR 379 test is appropriate where the employer has to decide a factual contest. The position may be otherwise where there is no real conflict on the facts.”[13]
15. I do not read anything said by Mummery LJ in the passage quoted above as suggesting that Burchell is other than guidance to which regard must be had or that its authority is greater than or even equal to the words of the statute themselves. Indeed, he had a concern about the misuse of Burchell in any manner involving departure from the statute, as explained in the example which he cites in parenthesis. This reflects the directions of Wood P many years earlier, in Post Office Counters Limited v Heavey[14], drawing on his understanding of the approach of the Court of Appeal:
“14. As the Court of Appeal has indicated on many occasions, the correct direction for a tribunal to give itself is to use the actual wording of the statute…..”
It would not, accordingly, be wrong for a tribunal, in a case such as the present to refrain from referring to Burchell at all. If, however, it does do so, it is important to appreciate that the tripartite approach covers the issue that arises under section 98(2) (was the reason for the dismissal related to the employee’s conduct? i.e. did the employer genuinely believe that the claimant had conducted himself in the manner alleged and did it cause the dismissal?) and that which arises under section 98(4) regarding the reasonableness of the dismissal. That is, it straddles the area where the onus lies on the employer (section 98(2)) and the area where there is no onus on the employer (section 98(4)).
The Tribunal’s Judgment
16. For reasons which are not entirely apparent, the Tribunal referred to the authorities relating to the establishment by the employer of the reason for the dismissal and the irrelevance of after discovered conduct; parties were not at issue on these matters. There is also reference to authority for the proposition that where an employer fails to allow an employee to exercise a right of appeal, the dismissal will be unfair but, again, that was not an issue in this case. [15]
17. The Tribunal turns then to Burchell[16], noting that the onus is on the employer regarding its first limb but there is a neutral burden regarding the second and third limb. However, subsequently, when referring to the issue of reasonable grounds for a belief in the employee’s misconduct - the second limb of Burchell - the Tribunal appear to regard the onus as having been on the Respondent. They refer to what would have been the position “had the respondents established” that there were reasonable grounds on which to form that belief[17]. The Tribunal then compounds that evident error by a reference in the next paragraph[18] to what would have been their conclusion “even if the respondents had satisfied the first 3 tests” thereby indicating again that they considered that the onus was on the Respondent in respect of all three limbs. At best, it appears that they were confused regarding the relevant law. At worst, they appear to have proceeded, wrongly, on the basis that the onus was on the Respondent not only in respect of section 98(2) but in respect of the ‘Burchell’ parts of section 98(4) as well.
18. The Employment Tribunal decided that the dismissal of the Claimant was unfair because the Respondent did not have in mind “reasonable grounds upon which to sustain the belief of misconduct.”[19] That was because of the wording of the relevant part of the Employee Handbook:
“Any plain literal interpretation of these policies did not prevent the claimant undertaking unpaid training to become a driving instructor whilst off on paid sick leave…….The Tribunal were of the view that the policies and procedures did not prevent the claimant undertaking such training whilst off sick and certified as unfit to work.”
The appeal
Submissions for the Respondent
· They had misconstrued the Respondent’s policy
· They had failed to take account of relevant facts
· They had erred in law in their application of the reasonableness test.
Construction of the policy
(i) The employee was employed by the Respondent;
(ii) the employee was engaged in an activity that was other than that of the Respondent;
(iii) the employee was so engaged during working hours; and
(iv) the employee did not have the Respondent’s permission to do so.
Other aspects of the dismissal
Application of relevant law
Submissions for the Claimant
Discussion and Decision
The Employee Handbook paragraph 19.6
Disposal
[1] Tribunal judgment paragraphs 4 and 7.
[2] Tribunal judgment paragraph 8.
[3] Tribunal judgment paragraph 7.
[4] See dismissal letter from respondent to Claimant dated 17 February 2010.
[5] Employment Rights Act 1996 section 98(2).
[6] Employment Rights Act 1996 section 98(4).
[8] p. 1287.
[9] See Iceland Frozen Foods Ltd v Jones [1983] ICR 17 at 24 – 25.
[10] Namely whether or not (1) the employer genuinely believed that the employee was guilty of the conduct complained of, (2) whether or not that was a belief that was based on reasonable grounds, and (3) whether or not, when reaching their conclusion, the employer had carried out as much investigation into the matter as was reasonable in all the circumstances.
[11] Pages 1287 -8.
[13] At paragraph 29
[14] [1989] IRLR 513
[15] See Tribunal Judgment at paragraphs 32 -34, and 37.
[16] See Tribunal Judgment paragraphs 38 -9.
[17] See Tribunal Judgment paragraph 43.
[18] See Tribunal Judgment paragraph 44.
[19] See Tribunal Judgment paragraph 42.