HomeMy WebLinkAboutP-2012-3326.Bourgeault.13-11-14 DecisionPublic Service
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Commission des
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P-2012-3326, P-2012-3327
IN THE MATTER OF AN ARBITRATION
Under
THE PUBLIC SERVICE ACT
Before
THE PUBLIC SERVICE GRIEVANCE BOARD
BETWEEN
Mary-Andrea Bourgeault and Frank Schmohl Complainants
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The Crown in Right of Ontario
(Ministry of Community Safety and Correctional Services) Employer
BEFORE Kathleen G. O’Neil Vice-Chair
FOR THE
COMPLAINANTS
Hugh MacDonald
FOR THE EMPLOYER Caroline Cohen
Ministry of Government Services
Legal Services Branch
Counsel
HEARING May 9, 2013
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Decision
[1] This decision deals with a preliminary objection raised by the employer in regards
to the complaints of Mary-Andrea Bourgeault and Frank Schmohl, both Operational
Managers at Central East Correctional Centre (CECC). In their grievances, they complain of
the lack of a 2% pay increase at the time they were confirmed as Operational Managers in
2012, in addition to the 3% they had received when they started acting as Operational
Managers in 2010. The employer does not agree that the complainants were entitled to any
further increase at the time of their confirmation, but says that the Board should not hear the
case on its merits in any event, as the complaint was not forwarded to the Board in the time
period allowed by regulation. Thus, the employer takes the position that the matter should be
dismissed at the outset, and not be allowed to proceed further. The complainants ask that
their complaints be allowed to proceed.
Factual Context
[2] These complaints began in May 2012 when Ms. Bourgeault and Mr. Schmohl,
along with three other Operational Managers – Hugh MacDonald, Wayne Routh and Chad
Chambo – took formal steps to complain of the fact that they had not received a 2% pay
increase upon becoming permanent Operational Managers. They did this by submitting
notices of proposals to file a complaint to the Deputy Minister, in the form of five individual
letters that were identically worded. The Notices to the Deputy Minister from both Ms.
Bourgeault and Mr. Schmohl were dated May 11, 2012.
[3] Around the same time, in May 2012, all five complainants also filled out
complaint forms to this Board, known as Form 1’s. Those of Messrs. MacDonald, Routh and
Chambo arrived at the Board shortly thereafter, but those of Ms. Bourgeault and Mr.
Schmohl did not. Mr. MacDonald indicated that the complainants all sent their Form 1’s in
May because sometimes the employer does not answer grievances. As well, he said he
understood that Mr. Schmohl also mailed his Form 1 because he had been having trouble
with the workplace fax machine in May.
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[4] Ms. Bourgeault testified that she had received a Form 1 from Mr. MacDonald
with wording he had drafted and instructions as to what to do. She said that she filled out the
data that made it an individual complaint and faxed it to the Board to the fax number on the
bottom of the Form 1, using a fax machine at work. She could not remember the date, but
recalled it was in the spring of 2012. She said she was busy that day, so waited for the
number to dial, and once she heard the tones indicating it was going through, she left to
continue her duties. Later in the evening she was once again in the room with the fax
machine, this time to make photocopies, but did not think to look for a confirmation of
transmission. The date on Ms. Bourgeault’s Form 1, received by fax by the Board on
November 28, 2012, is May 9, 2012.
[5] Ms. Bourgeault did not call the Board to verify receipt, and acknowledged on
cross-examination that there were many possibilities such as having dialled a wrong number
so that the fax went through to somewhere else. In any event, there is no documentary
confirmation of either sending or receipt of the Form 1 prior to November 28, 2012 in
evidence.
[6] Mr. Schmohl did not attend the hearing or give evidence, and thus there is no
first-hand evidence about what he did in terms of sending a Form 1 to the Board. A Form 1
which bears his name and the date May 11, 2012 was received by fax at the Board on
November 28, 2012. However, in a statement to the Board bearing both Mr. Schmohl and
Ms. Bourgeault’s names, that came in with Mr. Schmohl’s complaint on November 28, 2012,
it is said that their Form 1’s had been earlier sent to the Board on May 15, 2012.
[7] In terms of the process with the employer, rather than with this Board, Ms.
Pauline Jones, Labour Management Liaison was named as the Deputy Minister’s delegate to
deal with the complaints, all five of which had reached the employer. On June 4, 2012, Ms.
Jones sent an e-mail to the five complainants asking for one complainant to represent all five
individuals, given the similarity of their complaints. On June 18, 2012 Ms. Bourgeault
replied to Ms. Jones by e-mail, indicating that Mr. MacDonald had been authorized to speak
for all five Operational Managers. This document was not received by the Board at the time,
but was part of the package faxed to the Board on November 28, 2012.
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[8] A meeting between the employer and the complainants to discuss these
complaints was held by teleconference on July 19, 2012 with Mr. McDonald representing the
five Operational Managers and Ms. Pauline Jones, Labour Management Liaison, as the
Deputy Minister’s delegate. Following this meeting, on August 17, 2012, identical letters
were sent to each of the five Operational Managers denying their complaints. These letters
were addressed to each complainant personally at the workplace.
[9] Returning to the subject of communications with this Board, Ms. Bourgeault
heard that Mr. MacDonald received a letter from the Board in July, while others got theirs in
September, which accords with the dates of the notices of proceeding from the PSGB to
Messrs. MacDonald, Chambo and Routh. Ms. Bourgeault said she had faith in the system and
was still waiting to get her letter. During cross-examination, she resisted the suggestion that
she did nothing in response to the news that Mr. Macdonald had received a letter from the
Board. She said she was still waiting, and did not know whether they were going to the
Board separately or together, as she had not heard the three others were all being scheduled
together. Nonetheless, she learned a few days before the November mediation date that
Messrs. MacDonald, Chambo and Routh were going to the Board on the same day. Not being
familiar with the process, she said she just waited to see what was happening with her own
case.
[10] The complaints from Messrs. MacDonald, Chambo and Routh had been
scheduled for mediation before the Board for November 27, 2012 and proceeded on that date.
At mediation, those three complainants and the employer reached confidential Minutes of
Settlement concerning their complaints, on the basis that they were without prejudice or
precedent.
[11] At the hearing of the preliminary objection to Mr. Schmohl’s and Ms.
Bourgeault’s complaints, Mr. Macdonald explained that when he came to the Board on
November 27 for his own complaint, he was under the impression that Ms. Bourgeault and
Mr. Schmohl were included in “our grievance” because he had heard nothing different from
the Board. It was at the mediation that he learned that the complaints of Ms. Bourgeault and
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Mr. Schmohl had not been scheduled, as no Form 1 had been received from them. Mr.
MacDonald said he thought everyone had received an individual letter like the Notice of
Proceeding he received in July, scheduling the mediation for November 27, 2012.
Excerpts from Regulations and the Board’s Rules
[12] Relevant statutory provisions and excerpts from the Board’s Rules are attached as
Appendix A for ease of reference.
Considerations and Conclusions
[13] The issue to be decided is whether the complaints of Ms. Bourgeault and Mr.
Schmohl are ones that the Board is permitted to hear under Regulation 378/07. The most
relevant provisions of that regulation are set out in Appendix A. The complainants feel
unfairly excluded from the process which resulted in settlements with their three colleagues,
and argue that their complaints should now go forward.
[14] To start, it is important to recall that the Board only has the powers and discretion
granted by The Public Service of Ontario Act, and regulations made under that legislation.
Regulation 378/07, one of those regulations, sets out a very specific scheme, with a set of
time lines designed to allow time for the parties, i.e., the employer and the complainants, to
resolve their disputes without coming to the Board, if possible, but to move the matter along
regardless of whether the parties have been able to meet or resolve the matter internally.
There are rules about “windows” of time in which things must be done, and if those rules are
not complied with, the Board does not have the power to deal with the complaint.
[15] The complaint here in dispute concerns a working condition, specifically pay on
confirmation as an Operational Manager. Regulation 378/07, s. 4(1) provides that a
complainant may file a complaint about a working condition with the Board if the
preconditions set out in the regulation are fulfilled. There are detailed conditions about
eligibility, giving notice to the employer of a proposal to file a complaint and the filing
requirements with the Board, which is separate from the employer.
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[16] No issue has been raised in this matter about eligibility, or the timing of the notice
to the employer of proposal to file a complaint. The issue is about the timing of filing with
the Board. In respect of giving notice to the employer of a proposal to file complaints in
respect of working conditions in a Ministry, such as these complaints, Regulation 378/07,
section 8 (4), para. 3, requires that a complainant give notice to the employer, represented by
the Deputy Minister, within 14 days of becoming aware of the working condition that gives
rise to the complaint. Then, of more significance for this case, section 9(1) of the
Regulations provides that a complainant is not entitled to file a complaint with this Board
until expiry of the period provided for dispute resolution. This means that a complainant
must wait to file with the Board until the employer has had a chance to consider the
complaint.
[17] However, the complainant must not wait too long, i.e. not longer than the period
allowed in the regulation. The regulation goes on to give rules as to when the period for
dispute resolution ends, which varies according to whether and/or when a meeting is held or
the employer’s decision is given. Once the period for dispute resolution has ended, the
regulation gives a complainant 14 more days to file the complaint with this Board. In this
case, section 9(5) sets out the rules for when the period for dispute resolution ends. There
was no meeting with the Deputy Minister’s representative within thirty days of when the
notice was given to the deputy minister - May 11 for both Ms. Bourgeault and Mr. Schmohl -
so the dispute resolution period ended 30 days after May 11, the date of the notice. By my
count, that puts the earliest date the complainants were eligible to file with this Board at June
10, and the latest date 14 days later, or June 24, 2012.
[18] As noted above, the evidence of Ms. Bourgeault is that she sent a fax to the Board
with her Form 1 some time in the spring of 2012, when she received wording from Mr.
MacDonald. She then re-sent the Form 1 after she heard about the mediation of her
colleagues’ complaints, and realized she had not been included. As noted above, the
assertion in accompanying written material is that both Ms. Bourgeault and Mr. Schmohl
first sent their Form 1’s to the Board on May 15, 2012.
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[19] Even if one were to accept that the Form 1’s were filed with the Board in May
(which is ultimately not the case, as they were not received, as will be explained below), they
would have been too early, as they would have been filed before the close of the dispute
resolution period, which ended on June 10. As for the Form 1’s sent in November, 2012, they
were too late, as they were well beyond the fourteen day period ending June 24, 2012 which
followed the close of the dispute resolution period on June 10, 2012. There is no evidence
before me that provides the basis for a finding that the complaints were filed within the
period after the end of the dispute resolution period, but before the end of the next 14 days.
Ms. Bourgeault’s evidence was unclear as to the exact date she recalls putting her documents
into the fax machine the first time. Nonetheless, there is sufficient basis in the evidence to
indicate that the time period she was describing was in May 2012. Ms. Bourgeault tied the
timing of sending the Form 1 to the time when she received the wording from Mr.
MacDonald, which he said was in May, prior to when he and Messrs. Chambo and Routh
sent their Form 1’s to the Board. Further, Ms. Bourgeault’s Form 1, eventually received by
the Board in November, is dated May 9. As well, the statement bearing her name, and sent to
the Board at the same time, asserts that the date she had sent it to the Board was May 15,
2012. However, this latter document is of lesser weight because Ms. Bourgeault did not
testify about the materials sent in with the Form 1. Nonetheless, it is consistent with the
other evidence, and I find it more likely than not that the attempt to fax the Form 1 she
described was in May, rather than some time between June 10 and 24, 2012.
[20] However, even if Ms. Bourgeault had tried to fax the complaint in the right time
period in June, it was not received by the Board. It will be noted that what is required by s.
10 (1) of the Regulation is that a complaint be filed with the Board within 14 days after the
expiry of the dispute resolution period. “Filing” is a word defined by the Rules of the Board
as “effective delivery of documents to the Secretary of the Board”. Effective delivery means
that the material gets to the Board. Putting the forms into a fax machine, with no
confirmation of successful sending or receipt, does not amount to effective delivery. The
Board cannot act on something it does not have. The Board did not give notice to Ms.
Bourgeault or Mr. Schmohl of the mediation of their colleagues’ complaints in November, as
it had no basis on which to do so, since it had received no indication that they had
complained about the same thing as Messrs. MacDonald, Chambo and Routh. If the Board
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had received the complaints from Ms. Bourgeault and Mr. Schmohl at any time prior to
November 27, they could have been scheduled for mediation on the same day as those of
their three colleagues.
[21] Mr. MacDonald testified that, although he had received nothing from the Board
indicating that Ms. Bourgeault and Mr. Schmohl would be included in the mediation on
November 27, he had formed the impression that they were all together from the fact that the
employer had communicated with him under the heading “Chambo et al.” When Mr.
MacDonald indicated at the outset of the mediation that there were two other complaints, it
was not enough to put the complaints of Ms. Bourgeault and Mr. Schmohl before the Board
that day, as the Board had heard nothing from Ms. Bourgeault or Mr. Schmohl at that point.
In those circumstances, with no Form 1 from either of them, there was no sufficient basis on
which the Board could have concluded that they wished their complaints to be considered at
the Board.
[22] Ms. Bourgeault testified that confusion was created by the fact that the employer
wanted to deal with the internal grievance meeting through one representative for the five
identical complaints sent to the Deputy Minister. However, the evidence is not supportive of
a finding that the reason Ms. Bourgeault did not get her material to the Board in time was the
approach of the employer to the grievance meeting held in July. Ms. Bourgeault made it very
clear that when she filled in her own information on the Form 1 in the spring, it was for the
purpose of making it an individual grievance, and that she intended to send it in individually.
[23] Further, as found above, it is likely Ms. Bourgeault’s attempt to fax was in May,
prior to the employer’s request for consent from the complainants to select one complainant
to represent them all at the grievance meeting. That request was made in an e-mail from Ms.
Jones, the Deputy Minister’s delegate, on June 4, and responded to by Ms. Bourgeault on
June 18, 2012. I accept that there may have been some confusion after that as to whether the
five complaints were going to be dealt with together automatically. Nonetheless, I do not
have a sufficient basis to find that the employer’s request for one complainant to represent
the other four at the meeting to discuss the grievance can explain the complainant’s earlier
failure to effectively file a Form 1 with the Board. It was not suggested that Ms. Bourgeault
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thought that responding to Ms. Jones was the same as filing with the Board, although
presumably coincidentally, Ms. Bourgeault responded to Ms. Jones on a date within the
appropriate period to file her Form 1 with the Board. In any event, it is clear that Ms.
Bourgeault expected her “own letter”, meaning a date for mediation or hearing, from the
Board, consistent with an intention on her part to file an individual complaint, which is what
she described in her evidence.
[24] As noted above, Mr. Schmohl did not give evidence, so I do not have any
evidence of his sending his complaint to the Board during the appropriate time period in
June. Mr. MacDonald asserted that Mr. Schmohl had mailed it in as well as faxing it to the
Board, but that he did not know on what date. There was no suggestion that Mr. MacDonald
had been present when Mr. Schmohl mailed and/or faxed his complaint, or that he did so
between June 10 and 24, 2012. In the circumstances, which include that the Board received
nothing from Mr. Schmohl until November 28, this is not evidence on which the Board can
rely to find that Mr. Schmohl filed in a timely manner.
[25] Mr. MacDonald appeared as an advisor or representative, for both Ms. Bourgeault
and Mr. Schmohl. In such a role, it is perfectly appropriate to make submissions or legal
arguments on behalf of a complainant who does not give evidence, but it does not render him
capable of giving evidence as if he were Mr. Schmohl. If a person does not give evidence,
and make himself available for cross-examination, facts asserted on that person’s behalf by a
representative or advisor are generally only accepted as evidence if the other party agrees to
the facts asserted, or a witness with personal knowledge of the facts testifies to them under
oath. As there was no suggestion that the employer agreed with the factual assertions of
mailing and faxing by Mr. Schmohl, and no witness testified to having witnessed those
actions, I have not given them weight as evidence, although Mr. MacDonald asserted them in
argument. However, Mr. MacDonald did give evidence of other things which were within
his own knowledge, such as having received correspondence from the employer citing the
five grievances as “Chambo et.al.” from which he formed the impression that the five matters
would be mediated together. Nonetheless, Mr. MacDonald’s impression does not change the
fact that neither Ms. Bourgeault nor Mr. Schmohl sent in their Form 1’s during the period
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permitted by the regulation, and that prior to the mediation on November 27, the Board had
received nothing from them about these complaints.
[26] Ms. Bourgeault’s and Mr. Schmohl’s Form 1’s were, as noted, eventually
received by the Board by fax on November 28, 2012, the day after the mediation. However,
by that time, the dispute resolution period had been over for several months, and they were
well past the time lines provided for in Regulation 378/07, given a Notice to the Deputy
Minister in May.
[27] The above means that the complaints of Ms. Bourgeault and Mr. Schmohl were
not filed in accordance with the time lines set out in the Regulation, either in May or
November. On their behalf, Mr. MacDonald asks the Board to extend the time limits.
Unfortunately for the success of that request, the Board no longer has the power to extend
time limits for filing with the Board. Prior to the current regulation, during the period when
Regulation 977 was in effect, the Board had the discretionary power under s. 54 of that
Regulation, set out in the Appendix to this decision, to extend such time limits, and exercised
that discretion in appropriate cases. What was considered appropriate depended on the facts,
including whether the delay was not too extensive, there were reasonable grounds for the
delay and/or no prejudice to the other party. The situation changed when the current
regulation was put in place without the equivalent power.
[28] The Board has accepted in St. Amant v. Ontario (Ministry of Community Safety
and Correctional Services), a decision dated January 31, 2013, now reported at 2013 CanLII
4673 (ON PSGB), citing other decisions to similar effect, that the current wording of the
regulation means that compliance with the procedural steps and time limits set out in the
regulation is a precondition to the Board’s assuming jurisdiction over a case. Further, the
Board found that it has no power to relieve against or extend those time limits, given the
removal of that power from the wording of the current regulation. This is consistent with the
case of Service Employees International Union, Local 204 v. Leisureworld Nursing Homes
Ltd., [1997] O.J. No. 1469, 99 O.A.C. (Divisional Court), affirmed by the Court of Appeal
with brief reasons reported at [1997] O.J. No. 4815, 75 A.C.W.S. (3d) 854 (Ont. C. A.). In
that case, the Court found it to be unambiguous that when words relating to the power to
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extend time limits in provisions of collective agreements related to arbitration procedures
were dropped from a statute, in that case, the Labour Relations Act, arbitrators lost the right
to extend those time limits. In a similar fashion, this Board no longer has the power to
extend time limits in either the grievance/complaint or arbitration part of the process, given
that the wording granting that power has been removed from the governing regulation.
[29] Mr. MacDonald also submitted that the matter was still ongoing, and therefore
should be considered a continuing grievance, and that the Board should resolve the matter.
The concept of a continuing grievance refers to a theme in arbitration case law to the effect
that a grievance may be considered timely each time there is a repeated breach. However,
what we are dealing with here is not whether the grievances or complaints were timely on
May 11, 2012 when filed with the employer, by giving notice to the Deputy Minister. The
employer has not objected on that basis. The question is whether they were filed with this
Board in a manner and at a time which gives the Board the power to deal with them. For the
reasons set out above, I find that they were not, so that the Board is without the power to
entertain them.
[30] Another concept that can be found in arbitration decisions, especially those under
collective agreements, which sometimes results in a grievance going forward, despite missed
time lines, is waiver of time lines or other procedural rules. Although it is possible for parties
to waive procedural requirements in certain circumstances, there is no indication that the
employer waived any of its rights to object to the timeliness of these complaints. In
accepting the employer’s request to have one representative complainant speak at the
meeting with the Deputy Minister’s delegate, it may be that the complainants waived any
right to be separately represented at that meeting. However, there is no basis to find that the
employer’s actions amounted to a waiver of any kind. Under the Statutory Power
Procedures Act, s. 4 (1), procedural requirements may be waived with the consent of the
parties and a tribunal such as this Board, but there is no evidence that the parties discussed or
agreed that the time lines set out in the regulation be waived. It is clear that the Board was
not approached to agree to any such waiver by the parties.
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[31] The above is sufficient to deal with the preliminary objection, but it is appropriate
to briefly address two other arguments made by the employer, and one made by the
complainants.
[32] First, the employer argued that the Ms. Bourgeault and Mr. Schmohl should be
considered to have abandoned their complaints. It is not necessary to decide that issue, as the
Board has found that it simply does not have the power to hear the complaints as they were
not filed in the time frame required by the regulation. Nonetheless, I note that there is no
evidence that the complainants intended to abandon their complaints. Rather, it appears they
were not clear on the procedural requirements set out in Regulation 378/07.
[33] As well, the employer’s argument included the assertion that the complainants
had 14 days to file with the Board after the decision of the employer was given in August,
2012. If the parties had agreed to such a result, and asked for the Board’s consent, pursuant
to s. 4 (1) of the Statutory Powers Procedure Act, they might have obtained that result.
However, s. 9(5) of Regulation 378/07 provides that, if there is no meeting within the thirty
days after notice is given to the Deputy Minister, the period for dispute resolution closes at
the end of those thirty days. The fourteen day window within which to file a complaint with
the Board commences to run at that time and closes fourteen days later, even if the employer
later holds a meeting and responds with a decision on the complaint. The regulation does not
provide another fourteen day window, commencing after a meeting held outside of the thirty
day period following the complainant’s notice of proposal to make the complaint.
[34] Lastly, the complainants assert in their written material that it was the employer’s
duty to identify any affected parties with regards to a competition complaint as set out in
Section 11 (a) and (b) of the Board’s Rules and Practice Notes, which was not done. I accept
the submission of counsel for the employer set out in its Form 2 response to the complaints,
to the effect that this section of the rules is not called into play for these complaints as the
rule only concerns “complaints where third party rights are affected”. A common example of
such a case would be a complaint which relates to a job competition, where there is a person
in the job who might be displaced if the complainants were successful in their complaints.
Such a person would be entitled to notice of the complaint. There was no indication, on the
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Form 1’s, or during the hearing, that any third party would have been affected if the
complainants were successful in these complaints, and therefore no duty arose to notify third
parties. The complainants themselves, Ms. Bourgeault and Mr. Schmohl, are not what is
meant by third parties or affected parties. They are considered part of the original two parties
to each of their individual complaints, i.e. the complainant and the employer.
***
[35] To summarize, the Board does not have the power to hear these complaints as
they were not filed within 14 days of the close of the dispute resolution period referred to in
section 9(5) of Regulation 378/07. The complaints would have been timely beginning thirty
days after the May 11 notice to the Deputy Minister was given, and during the 14 days
thereafter, i.e. between June 10 and 24, 2012. As they were not received until the following
November 28, the complaints were several months late. As the Board no longer has its
former power to extend time limits, the complainants’ request to do so is denied.
[36] For the reasons set out above, the complaints are hereby dismissed.
Dated at Toronto, Ontario this 14th day of November 2013.
Kathleen G. O’Neil, Vice-Chair
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APPENDIX A
Excerpts from Regulation 378/07 under The Public Service of Ontario Act:
4. (1) Subject to subsection (2), a public servant who is aggrieved about a
working condition or about a term of his or her employment may file a
complaint about the working condition or the term of employment with the
Public Service Grievance Board,
(a) if the public servant is eligible under sections 5 and 7 to file such a
complaint;
(b) if the public servant gives notice in accordance with section 8 of his or her
proposal to file the complaint; and
(c) if the public servant complies with the filing requirements set out in
section 10.
…
Filing a Complaint
Notice of proposal to file a complaint
8. (1) A person who proposes to file a complaint shall give notice of the
proposal to the following person or entity:
1. A complainant who, at the material time, worked in a ministry shall give
the notice to his or her deputy minister.
…
(3) The notice must set out the reasons for the complaint. O. Reg. 378/07, s.
8 (3).
(4) The notice must be given within the following period:
…
3. For a complaint about a working condition or a term of employment,
within 14 days after the complainant becomes aware of the working condition
or term of employment giving rise to the complaint. O. Reg. 378/07, s. 8 (4).
Period for dispute resolution
9. (1) A complainant is not entitled to file a complaint with the Public
Service Grievance Board until expiry of the period provided under this
section for dispute resolution. O. Reg. 378/07, s. 9 (1).
…
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(3) If the complainant was required to give a deputy minister notice of the
proposal to make the complaint, and if the deputy minister or his or her
delegate meets with the complainant within 30 days after the deputy minister
receives the notice, the period provided for dispute resolution expires on the
earlier of,
(a) the day that is 30 days after the meeting; or
(b) the day on which the deputy minister gives written notice to the
complainant of his or her decision about the proposed complaint. O. Reg.
378/07, s. 9 (3).
…
(5) If the deputy minister or chair of the Public Service Commission, as the
case may be, or his or her delegate does not meet with the complainant within
30 days after receiving the notice, the period provided for dispute resolution
expires 30 days after the notice was given to the deputy minister or chair.
O. Reg. 378/07, s. 9 (5).
Filing a complaint
10. (1) Within 14 days after the expiry of the period, if any, provided for
dispute resolution under section 9, the complainant may file the complaint
with the Public Service Grievance Board by delivering it to the chair of the
Board. O. Reg. 378/07, s. 10 (1).
(2) The complaint must set out the reasons for the complaint and must
include the notice of the proposal, if any, to make the complaint and such
other information and documents as the Board may specify. O. Reg. 378/07,
s. 10 (2).
Excerpt from expired Regulation 977, under the Public Service Act, no longer in force
54. The Board or a Classification Rating committee may, of its own
motion,
(a) abridge the procedure set out in this Part and hear the grievance at
any time under section 48: or
(b) extend the time limits specified in this Part, RO 1980, Reg, 881, s.
61.
From the Rules of the Public Service Grievance Board
Definitions
1. In these Rules, …
(f) “Filing” means the effective delivery of documents to the Secretary of the
Board:
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(g) “ Complaint” means a complaint filed by a complainant;
(h) “Complainant” means a person entitled to file a complaint with the Board
under the Public Service of Ontario Act, 2006.
…
11. In those complaints where third party rights are affected, such as in
competition complaints, the onus shall be on the employer to identify the
affected parties and provide:
(a) the third party with notice that the complaint has been filed at the
Board and the date, place and time of the first day of hearing;
(b) the Board with the name and address of any third party affected by a
complaint for the purpose of the Board providing the third party with notice of
any proceedings subsequent to the initial hearing.
From the Statutory Powers Procedures Act
Waiver of procedural requirement
4. (1) Any procedural requirement of this Act, or of another Act or a regulation that
applies to a proceeding, may be waived with the consent of the parties and the tribunal.
1997, c. 23, s. 13 (1).