HomeMy WebLinkAbout2009-2699.Hyland.14-01-15 DecisionCrown Employees
Grievance Settlement
Board
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Toronto, Ontario M5G 1Z8
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Commission de
règlement des griefs
des employés de la
Couronne
Bureau 600
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Toronto (Ontario) M5G 1Z8
Tél. : (416) 326-1388
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GSB#2009-2699, 2009-2700, 2009-2701, 2010-0572, 2010-0589, 2010-0590, 2010-0591,
2010-0592, 2010-0593
UNION#2009-0368-0161, 2009-0368-0162, 2009-0368-0163, 2009-0368-0202,
2010-0368-0018, 2010-0368-0019, 2010-0368-0020, 2010-0368-0021, 2010-0368-0022
IN THE MATTER OF AN ARBITRATION
Under
THE CROWN EMPLOYEES COLLECTIVE BARGAINING ACT
Before
THE GRIEVANCE SETTLEMENT BOARD
BETWEEN
Ontario Public Service Employees Union
(Hyland) Union
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The Crown in Right of Ontario
(Ministry of Community Safety and Correctional Services) Employer
BEFORE Ken Petryshen Vice-Chair
FOR THE UNION David Wright
Ryder Wright Blair & Holmes LLP
Counsel
FOR THE EMPLOYER Suneel Bahal
Ministry of Government Services
Legal Services Branch
Counsel
HEARING March 31, June 30, July 15, September 8 & 9,
October 24, December 9, 14 & 16, 2011,
January 16 & 17, March 15, 19, April 27,
June 8, 20, July 31, September 7, 11, October
25, November 8, 15, December 13, 2012,
January 22, 29, March 12, 15, June 20, 21,
2013.
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Decision
[1] Mr. B. Hyland has been employed as a Correctional Officer (“CO”) for over twenty-
five years, starting at the Toronto Jail in 1986. Following a secondment at the Toronto East
Detention Centre (“TEDC”) for about a year, he succeeded in a job competition that brought his
home position to the TEDC in February 1995. Following decisions of the GSB, Mr. Hyland
moved to the Brookside Youth Centre (“Brookside”) in August 2004 and then to the Central East
Correctional Centre (“CECC”) in September 2009, where he is currently employed. During his
tenure at each of these institutions Mr. Hyland filed numerous grievances claiming, among other
things, that the Employer had discriminated against him because of its failure to reasonably
accommodate him. Mr. Hyland has asthma and a particular sensitivity to cigarette smoke.
Exposure to cigarette smoke causes symptoms that often result in absences from work for
varying periods of time. In separate decisions, with the first released on May 13, 2002, I found
that the Employer had failed to properly accommodate Mr. Hyland while he was employed at the
TEDC, at the Toronto Jail and at Brookside. This decision deals with whether the Employer
reasonably accommodated Mr. Hyland at the CECC for the period from September 2009 until
July 14, 2011. Hearing dates have been scheduled to deal with grievances filed by Mr. Hyland
after mid-July 2011.
[2] Even with the efforts of counsel to expedite this proceeding, the hearing of this
matter required twenty-nine hearing days. There were 151 exhibits. The Union called Mr.
Hyland and CO Ms. C. Yule to testify. The Employer called the following seven managers as
witnesses: Mr. C. Hillen; Mr. R. Camman; Mr. L. Mansley; Ms. L. Jopling; Ms. G. Thornbury;
Mr. D. Goden; and Mr. Z. Polya, Superintendent. In determining the relevant facts, I reviewed
and considered all of the oral and documentary evidence and the submissions of counsel relating
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thereto. I utilized the usual criteria to resolve any conflicts in the evidence, including a
consideration of what is most probable in the circumstances.
[3] In its claim that the Employer failed to reasonably accommodate Mr. Hyland, the
Union focused on a few specific matters. These are the decision of the Employer to deny Mr.
Hyland access to the secure part of the institution during his first three months at the CECC, the
assignment of Mr. Hyland to the Upper Hallway post and then to the Unit 12 Sub-Control post,
the Employer’s handling of what can be described as the A&D incident, which the Union asserts
caused Mr. Hyland’s absence from the workplace from September 13, 2010 until March 28,
2011, and the Employer’s failure to adequately police and enforce the smoking policy. Although
Mr. Hyland referenced other issues during his testimony, it was only the specific matters that I
have just identified which shaped the Union’s claim for relief. In addition to requesting certain
declarations, the Union seeks an order directing the parties to find a proper placement for Mr.
Hyland within the Ontario Public Service and that Mr. Hyland remain on full pay without the
requirement to report to work at the CECC until a proper placement is found. Alternatively, it
requests that I direct the Employer to assign Mr. Hyland to A&D at the CECC, with the
appropriate modifications made to the A&D schedule to accommodate his restrictions. In the
further alternative, the Union requests that I direct the parties to find a reasonable post for Mr.
Hyland at the CECC. The Union also seeks a direction that the Employer fully compensate Mr.
Hyland for losses he incurred from September 13, 2010 to March 28, 2011, arising from the
Employer’s failure to properly accommodate him. I was asked to remit any other compensation
issues to the parties. The Union also requests that I award Mr. Hyland $50,000.00 in general
damages and $25,000.00 in damages for mental anguish, both claims arising from the
Employer’s failure to reasonably accommodate Mr. Hyland.
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[4] In support of his submissions, counsel for the Union referred me to the following
decisions: OPSEU (Hyland) and Ministry of Correctional Services (May 13, 2002), GSB No.
1470 et al. (Petryshen); OPSEU (Hyland) and Ministry of Public Safety and Security (January 2,
2004), GSB No. 1991-1470 et al. (Petryshen); OPSEU (Hyland) and Ministry of Children and
Youth Services (September 5, 2007), GSB No. 2005-2549 et al. (Petryshen); Hydro-Quebec v.
Syndicat des employe-e-s de techniques professionnelles et de bureau d’Hydro-Quebec, [2008] 2
S.C.R. 561; OPSEU (Kerna) v. Ontario (Human Rights Commission), [2005] O.G.S.B.A. No. 30
(Briggs); Bowater Canadian Forest Products Inc. v. Industrial Wood and Allied Workers of
Canada, Local 2693, [2003] O.L.A.A. No. 597 (Surdykowski); National Automobile, Aerospace,
Transportation and General Workers Union of Canada v. Siemens VDO Automotive Inc., [2006]
O.L.A.A. No. 492 (Watters); OPSEU (Hyland) and Ministry of Correctional Services
(November 13, 2002), GSB No. 1470/91 (Petryshen); Sanford v. Koop, 2005 HRTO 53; and, Re
Charlton and Ontario (Ministry of Community Safety and Correctional Services) (2007), 162
L.A.C. (4th) 71 (Carter).
[5] The Employer denies that it has failed in its duty to accommodate Mr. Hyland.
Employer counsel provided the Employer’s perspective on those matters that the Union claimed
constitutes discriminatory treatment. Counsel requested that I dismiss Mr. Hyland’s grievances
and made a number of alternative submissions in the event that I was not inclined to do so.
Counsel relied on the following decisions: OPSEU (Hart-Day) v. Ontario (Ministry of
Community Safety and Correctional Services), [2011] O.G.S.B.A. No. 107 (Dissanayake);
Central Okanagan School District No. 23 v. Renaud, [1992] 2 S.C.R. 970; Hutchinson v. Canada
(Minister of the Environment), [2003] F.C.J. No. 439; Koroll v. Automodular, 2011 HRTO 774;
Greater Toronto Airports Authority v. Public Service Alliance Canada, Local 0004, [2010]
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C.L.A.D. No. 127 (Shime); Lane v. ADGA Group Consultants Inc., 2007 HRTO 34; Re City of
Ottawa and Civic Institute of Professional Personnel, an unreported decision dated September
10, 2010 (P. Picher); and, Toronto District School Board v. Ontario Secondary School Teachers’
Federation, District 12, [2011] O.L.A.A. No. 461 (Knopf).
[6] The context for the examination of Mr. Hyland’s experiences at the CECC and an
understanding of the positions of the parties can be extracted from elements of the previous
accommodation decisions involving Mr. Hyland. Even after the Ministry adopted a no smoking
policy in 2000, Mr. Hyland continued to encounter cigarette smoke and to observe evidence of
smoking at his place of work. He complained about exposures to cigarette smoke to
management. He complained when he observed management or staff smoking at the workplace
in contravention of the smoking policy. He also complained when he observed evidence of
smoking, usually consisting of cigarette butts, in areas where smoking is prohibited, both within
the institution and on the property. He consistently complained that management did not take
appropriate steps to monitor and enforce the smoking policy. A recurring dispute between the
parties in the earlier proceedings is whether management took reasonable steps to enforce the
smoking policy. Mr. Hyland complained verbally, in emails, with grievances and in Occurrence
Reports about contraventions of the smoking policy. He filed WSIB claims and on occasion
made WDHP complaints. In an effort over many years to obtain what he believes is a reasonable
accommodation, Mr. Hyland has become quite frustrated with the Employer. He claims that his
continuing efforts to secure a proper accommodation, the Employer’s failure to enforce the
smoking policy and its failure to properly accommodate him have caused him and his family
considerable stress. Mr. Hyland often perceives Employer conduct as a reprisal for his efforts to
enforce his right to obtain a proper accommodation.
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[7] In one of the proceedings involving Mr. Hyland’s experiences at the TEDC, the
Union requested that I direct the Employer to consider only positions outside of the TEDC in
future efforts to accommodate him. I declined that request for the reasons set out in the decision
dated May 13, 2002, supra. I indicated then that management’s failure to properly accommodate
Mr. Hyland at the TDEC might lead to his transfer to another institution. In a subsequent
proceeding, I determined that the time had come for the Employer to place Mr. Hyland at a
different institution and following a further subsequent proceeding, based on the alternatives and
the evidence before me, I determined that Brookside was the appropriate placement for Mr.
Hyland. The reasons for this determination are set out in the decision dated January 2, 2004,
supra. In addition to concluding that Brookside met the objective of an institution “where the
level of risk of exposure to cigarette smoke is acceptable and the lowest possible”, I noted the
following factors at pages 4 and 5 also favoured an assignment to Brookside:
In addition to providing an environment where the risk of exposure is lower, Brookside
offers other elements which are not insignificant when considering an assignment for
accommodation reasons. Rather than being limited to a particular post at an institution, which
would be the situation with the Employer’s offer of a position at the Toronto West, Mr. Hyland
will more likely be able to perform a full range of duties at Brookside. He will also likely have
access to overtime and promotional opportunities at Brookside, which certainly have been limited
to a degree at his previous institutions. As a result, it will be less likely that Mr. Hyland will be
viewed differently at Brookside because of his need for accommodation.
[8] As it turned out, Mr. Hyland had issues with the way the Employer accommodated
his disability at Brookside. Once the youth offender facilities were transferred to the Ministry of
Children and Youth Services, an opportunity arose for Mr. Hyland to transfer back to the
Ministry of Community Safety and Correctional Services. Mr. Hyland requested a lateral
transfer to the CECC. The Employer denied his request and he challenged that decision by filing
a grievance. In a decision dated September 8, 2009, I allowed Mr. Hyland’s grievance and
directed the Employer to transfer him to the CECC, for the following reasons:
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…what is at issue here is whether Mr. Hyland’s right to transfer to the CECC should be negated
simply because it was decided nearly six years ago that Brookside was a better option than the
CECC. In my view, the placement decision is not a bar to Mr. Hyland’s right to transfer to
CECC, particularly when the Employer has not claimed that it cannot accommodate him at the
CECC. By denying him the right to transfer to the CECC, a right that other employees enjoyed,
the Employer has effectively denied him a right because of his disability, thereby breaching his
Article 3 rights. It is my conclusion therefore that the Employer did not have a valid reason in the
circumstances for denying Mr. Hyland’s request to transfer to the CECC.
In a letter dated September 16, 2009, Superintendent Polya advised Mr. Hyland that his lateral
transfer had been approved and that he was to report to the CECC on September 21, 2009.
[9] The CECC opened in February 2003. It is a large maximum-security facility located
at Lindsay, Ontario. The thirteen self-sufficient units are under one roof, connected by hallways.
Offenders are housed in pods. The CECC can house approximately 1200 inmates and has 600
employees. Central control is located at the centre of the facility and operates on a 24 hour, 7
days a week basis. A control module is located in each unit and operates on the same basis.
Employees can have lunch and take breaks in the Staff Servery. Separated by a glass wall and a
doorway, an outdoor courtyard is adjacent to and visible from the Staff Servery. The main
entrance into the CECC is at the front of the administration building facing the parking lot. At
the request of the parties, I took a view of the CECC on June 30, 2011.
[10] The CECC’s smoking policy, which essentially mirrors the Ministry’s smoking
policy, is contained in section 2.8 of the Standing Orders. The introduction in section 2.8 notes
that the Ontario Government Policy on Smoke Free Workplaces is “based on well-documented
evidence relating to the health hazards of tobacco smoke and an awareness of the employer’s
responsibility to provide safe and healthy workplaces…” Section 2.8 provides that smoking is
prohibited in buildings, yards, courtyards, out buildings and Ministry vehicles. Employees are
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not permitted to smoke or possess tobacco products in the facility or while supervising inmates.
Managers and Supervisors are responsible for ensuring compliance with the policy. The policy
provides that “At present the only designated smoking area is located to either side of the front
parking lot, adjacent to the benches situated on the north and south side of the administration
building.” The administration building has an extended section where the front entrance doors
are located. The distance on either side of the front entrance to the edge of the administrative
building is 57 feet. The front entrance to the designated smoking areas is 197 feet to the south
picnic tables and 184 feet to the north picnic tables. The distance to the smoking shelter located
on the south side is 163 feet from the entrance. The smoking shelter was installed a few months
after Mr. Hyland arrived at the CECC. The smoking policy provides that appropriate signage
will be posted in various areas including the entrance to the administration building, the lobby
and the Staff Servery.
[11] Although Mr. Hyland attended at the CECC on September 21, 2009, further to the
Superintendent’s instruction, he did not start to work until September 28 because of a request to
provide a medical note confirming his health status. In a medical note dated September 23,
2009, Mr. Hyland’s family physician, Dr. Bolger, advised that Mr. Hyland could return to work
on September 28, 2009 and that “He should be restricted to a smoke free environment and
restricted hours to straight day shifts ending no later than 5:00 pm Monday through Friday.”
After a period of orientation and job shadowing, Mr. Hyland was assigned the Upper Hallway
post and he was directed not to enter the secure part of the CECC. It is at this point that I will
begin to concisely address the matters upon which the Union focused its claims of discriminatory
treatment against Mr. Hyland.
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Denial of access to the secure part of the CECC
[12] As one would expect, COs are assigned posts and perform their duties primarily
within the secure part of the institution, the part where inmates have access. The non-secure part
essentially consists of the administration section of the facility. On occasion, a CO under
investigation for misconduct may be permitted to work in the non-secure area. Superintendent
Polya and Mr. Goden, Deputy Superintendent of Administration, decided that denying Mr.
Hyland access to the secure part of the CECC would best meet his need for a smoke free
environment. I have no doubt from their testimony that this decision was made in good faith.
[13] The denial of access to the secure area of the CECC meant a number of things for
Mr. Hyland. He signed in each day at a location different from other COs. He could not access
many of the services provided to COs since they were located in the secure part of the institution.
He could not go to the Staff Servery for lunch or to enjoy the other amenities provided at that
location, such as a television and couches. He was provided with access to the lunchroom in the
administration building. A computer, health care and the Union office are other examples of
services Mr. Hyland could not access or had difficulty in accessing. Exclusion from the secure
part of the institution also meant that Mr. Hyland had limited contact with other COs.
[14] It did not take long for Mr. Hyland to begin complaining about the Employer’s
decision to deny him access to the secure area of the CECC. One of his last expressions of
concern to management on this issue is contained in an email to the Superintendent dated
January 18, 2010, wherein Mr. Hyland wrote in part as follows:
I have and continue to experience a poisoned work environment at Central East Correctional
Centre. I have differential treatment from my peers in not being able to access certain areas of
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the institution because I have asked for an accommodation. As a reprisal I am now not allowed to
go and eat with my peers, I must eat with office staff. I have no access to the union office, health
care, vending machines, nor do I have access to certain computers or the TV VCR DVD’s in the
staff lounge…
[15] After speaking to Mr. Hyland about his concerns and after reconsidering the matter,
Superintendent Polya decided on his own to give Mr. Hyland access to the secure part of the
facility, effective January 22, 2009. This access did not include the inmate living units.
Superintendent Polya agreed with Union counsel that there was no change from the perspective
of the provision of a smoke free environment when Mr. Hyland was given access to the secure
part of the CECC.
[16] I agree with the Union’s position that the Employer’s decision to deny Mr. Hyland
access to the secure part of the CECC, by itself, amounts to discriminatory treatment on the basis
of disability. Excluding Mr. Hyland from the secure section of the institution was too restrictive
and was not necessary to achieve the objective of a smoke free environment. There was no
justification to treat Mr. Hyland differently from other COs in these circumstances. The effect of
this treatment was to single out Mr. Hyland and to isolate him from other COs. It is unfortunate
that Mr. Hyland experienced this discriminatory treatment at the start of his tenure at the CECC.
The Employer’s decision to deny his request for a lateral transfer caused Mr. Hyland to believe
that he was not wanted at the CECC. Denying him access to the secure part of the CECC served
to confirm this belief.
The assignments of a post
[17] It is quite clear from Mr. Goden’s testimony that the decision of where to place Mr.
Hyland was preceded by the decision to exclude him from the secure part of the CECC. He
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indicated that other posts, such as in Central Control and the A&D Sub-Control, would provide
Mr. Hyland with a smoke free environment, but that these posts were not considered because
they were located in the secure part of the CECC. This approach left the Employer with three
placement options: the Upper Hallway post, the X-ray post and A&D Sally Port post. These
three posts were utilized often for accommodating COs. The X-ray post was rejected because
there were no vacancies at the time. Mr. Hyland thought the A&D Sally Port post would be
problematic because drivers making deliveries were often smokers. The Employer recognized
this as a valid concern and therefore rejected this post as a possible placement. This then left the
Upper Hallway post. This post consists of a desk in the hallway on the second level from which
the CO essentially monitors visitors. Visiting hours are in the morning and in the afternoon.
There has apparently been an ongoing issue about whether a post was needed at that location.
Whether or not Mr. Goden told Mr. Hyland that this was a boring post, as Mr. Hyland asserts and
Mr. Goden denies, it is clear that there is not all that much for a CO to do at this post. It is a
fairly limiting and isolated post when compared other posts within the institution. COs assigned
to that post often asked Mr. Goden for additional duties to keep busy. Mr. Hyland remained at
the Upper Hallway post even after he was allowed access to the secure part of the CECC. He
often expressed displeasure to management about this post and requested that he be assigned to
another one. In April 2010, Mr. Hyland got his wish when he was assigned to the Unit 12 Sub-
Control post, located at the far south area of the secure part of the CECC. This change was made
because another CO required the Upper Hallway post for an accommodation. It was not long
before Mr. Hyland again began requesting that he be assigned a different post. He felt that the
Unit 12 Sub-Control post was somewhat isolated and not the most active post. As Employer
counsel noted, the risk of exposure to cigarette smoke at the Upper Hallway and Unit 12 Sub-
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Control posts is very low. Mr. Hyland did not have one exposure to cigarette smoke while
working at those posts.
[18] The submissions of counsel on whether the placement of Mr. Hyland at the
Upper Hallway and Unit 12 Sub-Control posts satisfied the Employer’s obligation to provide Mr.
Hyland with a reasonable accommodation disclosed a dispute about what constitutes a
reasonable accommodation. The parties agree that it is for the Employer to ultimately decide
what job to assign to an accommodated employee, after taking into account the employee’s
medical restrictions and after consulting the employee and the Union. They differ however on
what factors the Employer should take into account when selecting a post as part of its duty to
find a reasonable accommodation. Employer counsel argued that the Employer satisfies its duty
to accommodate by simply assigning a disabled employee a post that meets the employee’s
restrictions. Counsel submitted that both the Upper Hallway post and the Unit 12 Sub-Control
post met Mr. Hyland’s restrictions and that they therefore provided him with a reasonable
accommodation. The Union took the position that it is not that simple and that the Employer’s
obligations go further, within the limits of undue hardship. Union counsel argued that the duty to
accommodate requires the Employer to place a disabled employee in an available post that meets
the employee’s restrictions and that would permit the employee to more fully utilize CO skills
and to perform a broader range of duties. Counsel submitted that the Employer failed in this
regard when it assigned Mr. Hyland to the Upper Hallway and Unit 12 Sub-Control posts.
[19] In considering this particular issue, I have reviewed the decisions relied on by
counsel, including the two GSB decisions, OPSEU (Kerna) v. Ontario (Human Rights
Commission), supra, and OPSEU (Hart-Day) v. Ontario (Ministry of Community Safety and
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Correctional Services), supra, which appear contradictory. Given the importance of work to an
employee and the basis in human rights legislation for the obligation to accommodate a disabled
employee to the point of undue hardship, I agree with the Union that the obligation on an
employer to accommodate is not satisfied by simply placing an employee in a job that meets his
or her restrictions if there are alternative jobs available that would permit the disabled employee
to utilize his or her skills to a greater degree and perform a broader range of duties.
[20] The CECC is a large institution with a variety of posts. There is a process in place
that provides a CO with the opportunity to change posts. When a disabled employee has the
opportunity to change his or her post, it would be improper to deny the employee a change if the
post sought meets the employee’s restrictions and is otherwise available. It would be
discriminatory to deny the disabled employee a right that is available to other COs, even when
the disabled employee’s existing post meets his or her restrictions. If there were more than one
post that meets an employee’s restrictions, it would be improper to assign the employee to the
least desirable post when another would permit the employee to utilize more skills and to
perform a broader range of CO duties, thereby providing the employee with a more satisfactory
work experience. Again, it would be discriminatory to deprive a disabled employee a right that
other employees enjoy when it comes to selecting a post, everything else being equal. The
assignment of an employee to the less desirable alternative risks a finding that the assignment
was not a reasonable accommodation in the circumstances. This does not mean that the disabled
employee is entitled to a preferred post or a particular post even if that post can be assigned
without undue hardship. What it does mean is that assigning a post to disabled employee after
only taking into account the employee’s restrictions may not satisfy an employer’s obligation to
reasonably accommodate an employee if there are alternative posts that are less restrictive.
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[21] The Employer is faced with balancing a number of factors when deciding where to
place Mr. Hyland. A post may have a low risk of exposure to smoke, but may be very restrictive
while another post may provide for a broader range of duties, but may have an increased risk of
exposure to smoke. If the risk of exposure to smoke is minimal in assessing alternative posts, it
may be difficult in most instances at the CECC to differentiate one post from another when
considering which one offers a broader range of duties. On an issue of this sort the Employer is
entitled to a fair degree of deference. Apart from the argument advanced by the Employer on the
placement issue, I note that Superintendent Polya testified that management at the CECC does
attempt to place a disabled employee in a post that is less restrictive in order to permit the
employee to work throughout the CECC. This is essentially the approach I have indicated is
necessary to satisfy the Employer’s obligation to reasonably accommodate a disabled employee.
The question here is whether the Employer utilized this approach in its placement of Mr. Hyland.
[22] In my view, the assignment of Mr. Hyland to the Upper Hallway post is tainted
because it was made in concert with the decision to deny him access to the secure part of the
CECC. It was a discriminatory assignment because that relatively undesirable post was selected
without considering whether there were other available posts that would have been a better
match on the basis of the considerations outlined above. The Employer limited its search to only
the X-ray, A&D Sally Port and Upper Hallway posts, even though there were posts within the
secure area that were similar in providing a smoke free environment.
[23] Mr. Hyland’s assignment to the Unit 12 Sub-Control post in April 2010 is a
different matter. This post was in the secure part of the CECC, met his restrictions well and is a
more typical CO post when compared to the Upper Hallway post. Although, as Mr. Polya
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acknowledged, there are a number of posts at the CECC that could meet Mr. Hyland’s restriction
of a smoke free environment, the evidence is not clear as to whether there were other options
available, let alone less restrictive options, when the assignment to the Unit 12 Sub-Control post
was made. Mr. Hyland was at that post for only a few months before he was given the
opportunity to express an interest in certain vacancies and was then notified that his request to
move to a post at A&D had been accepted. For these reasons, I am not prepared to conclude that
the assignment to the Unit 12 Sub-Control post amounts to a failure by the Employer to
reasonably accommodate Mr. Hyland.
The A&D incident
[24] In response to a notice outlining a number of vacancies, Mr. Hyland expressed an
interest in a few of them. By email dated July 15, 2010, Deputy Superintendent Thornbury
informed him that his expression of interest had been accepted, that effective September 13,
2010, his home position will be A&D Male, line7, and that the change had been recorded in
HPRO. The process that resulted in his selection for this post did not take into account his
accommodation needs. Sometime later, Superintendent Polya noticed this change in assignment
and with the view that the new post may not meet Mr. Hyland’s restriction on hours, he
requested that this issue be examined. Following a request from Ms. Thornbury, Ms. Jopling
scheduled a meeting for August 10, 2010, to meet with Mr. Hyland to discuss his assignment in
A&D. Mr. Hyland did not receive the email from Ms. Jopling dated August 4, 2010, advising
him of the meeting because his email address was not included on the email, with the result that
Mr. Hyland was unaware of the meeting and obviously did not attend. It is unclear why Mr.
Hyland’s failure to attend the meeting did not result in immediate steps to contact him. No other
efforts were made to contact Mr. Hyland before he was scheduled to start in A&D, until Friday,
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September 10, 2010. On that day, Ms. Thornbury left Mr. Hyland a voice mail message to call
her and at 5:14 p.m. she sent him an email setting out what she had wanted to discuss with him.
In essence, this email was intended to advise him that the A&D schedule did not meet his
accommodation agreement which had expired July 31, 2010, that he will not be moving to A&D
as previously planned and that he will remain at the Unit 12 Sub-Control post until his
accommodation was reviewed. Mr. Hyland did not see this email before September 13, 2010.
The end result of this failure to communicate with him in a timely way is that Mr. Hyland had no
idea when he returned to work on the Monday after a week of vacation that his assignment to
A&D had been revoked.
[25] After about three hours in A&D on September 13, 2010, Mr. Hyland became aware
that he was not scheduled to be at that post. When he arrived at Staff Services shortly thereafter,
he was quite upset. Ms. Jopling advised him that it was necessary to have a new Employee
Health Information Form completed in order to change his Monday to Friday and his hours
restrictions to permit him to work in A&D and until then he was to continue working at the Unit
12 Sub-Control post. Mr. Hyland left the CECC shortly after meeting with Ms. Jopling. Before
doing so he told the A&D Manager and another OM that he was going home sick. It is clear that
he told someone that he was leaving due to illness because he was marked off sick. There is a
dispute however about what precisely Mr. Hyland told Ms. Jopling before he left Staff Services.
Mr. Hyland testified that he told her that he was going home sick. Although Ms. Jopling agrees
that Mr. Hyland had been marked off sick for the Monday, she testified that he only told her that
he was not going to work in the Unit 12 Sub-Control and did not mention being sick to her.
After considering the testimony on this issue, I am satisfied that Mr. Hyland had communicated
to the Employer that he was not well and that this was his sole reason for leaving the workplace
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early on September 13, 2010. If he did mention that he was not returning to the Unit 12 Sub-
Control post, it was because he was going home sick.
[26] After leaving the CECC on September 13, 2010, the next contact Mr. Hyland had
with the Employer occurred about two weeks later. He was showing up on the Employer’s roster
and Ms. Jopling was asked to contact him to find out why he was not attending work. Why it
took the Employer about two weeks to pursue this concern is a mystery. Mr. Hyland was
surprised by her call and told her that he had already informed her that he was off due to
sickness. Ms. Jopling advised him that she had sent had him a medical form for his doctor to
complete. On the following day, Superintendent Polya wrote to Mr. Hyland advising him that he
was on an unauthorized absence from the workplace and referred to the consequences that could
flow from such conduct, including the possibility of discipline up to dismissal. Mr. Hyland then
presented a series of medical documents from Dr. Bolger confirming that he was not in a
position to return to work. The Employer found the initial medical note unsatisfactory. In an
Employee Health Information Form dated October 19, 2010, Dr. Bolger indicated that Mr.
Hyland’s “mood requires treatment prior to returning to work.” He later noted that he
recommended that Mr. Hyland remain “off work completely until mood improves to point that
he is no longer a threat to himself or others.” The Employer eventually approved sick credits for
all but the period from September 13 to October 3, 2010. In a medical note dated November 29,
2010, Dr. Bolger indicated that Mr. Hyland was able to return to work on December 27, 2010.
Mr. Hyland reported for work at the CECC on that day only to be told that the Employer had
decided to have him undergo an Independent Medical Examination (“IME”) to ensure that he
was healthy and ready to return. He complied with the Employer’s request to undergo an IME.
The IME assessment was provided to the Employer by Fax on March 18, 2011. In response to
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the first referral question, Dr. Siu advised that Mr. Hyland “had met criteria for a DSM-IV
psychiatric disorder (adjustment disorder with depressed mood), however this disorder is
presently in remission. I believe he could return to work completing his duties as a correctional
officer.” Dr. Siu indicated that Mr. Hyland is not a risk to himself or others. In a response to a
question about workplace stressors, Dr. Siu indicated that the issue of second hand cigarette
smoke has been a stressor for a number of years and that the stress over the A&D incident
precipitated his going off work. Following the Employer’s consideration of the IME assessment,
the Employer recognized that Mr. Hyland was fit to return to work and he was advised that he
could return to the CECC on March 28, 2011. Mr. Hyland’s absence related to the A&D
incident totaled about 6½ months, 3½ months due to illness and 3 months for the IME.
[27] The circumstances of the A&D incident indicate that the responsibility for Mr.
Hyland’s absence for 6½ months from the CECC rests with the Employer. After lobbying for
many months for what he considered to be an appropriate assignment, Mr. Hyland was told that
he would be moving to A&D. As what can only be described as unfortunate mistakes, Mr.
Hyland reported for work at A&D and only on that day became aware that the Employer had
revoked his assignment. It is not surprising that Mr. Hyland would be upset and frustrated with
this turn of events. He perceived this as simply another example of the Employer failing to
reasonably accommodate him. In my view, his perception has some basis in reality. The only
reason the Employer raised an issue about the A&D assignment and revoked it had to do with
Mr. Hyland’s restrictions on hours and no weekend work. It wanted him to see if those
restrictions could be altered to permit him to work the A&D schedule. The Employer did not
give any consideration as to whether the A&D schedule could be modified to permit Mr. Hyland
to work in A&D within these restrictions. There was no indication in this proceeding that the
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A&D schedule could not be modified to accommodate Mr. Hyland or that such modification
would cause the Employer undue hardship. The failure of the Employer to consider modifying
the A&D schedule constitutes a failure to reasonably accommodate Mr. Hyland.
[28] For many months Mr. Hyland had advised management at the CECC that its failure
to properly accommodate him was causing him a considerable amount of stress. As noted
previously, I am satisfied that Mr. Hyland left work on September 13, 2010, before the
completion of his shift because of illness. As the medical evidence confirms, Mr. Hyland was
absent from September 13, 2010, until December 27, 2010, as a result of mental health issues.
These mental health issues were caused in part by the Employer’s conduct, particularly its failure
to address the A&D issue in a timely fashion and its failure to consider modifying the A&D
schedule to accommodate Mr. Hyland’s restrictions. Mr. Hyland’s continuing absence from
December 27, 2010 until March 28, 2011, is linked to his absence for mental health issues and
the Employer’s decision to have Mr. Hyland undergo an IME.
Enforcement of the smoking policy
[29] The final matter to address is the Union’s contention that the Employer failed to
police and enforce the smoking policy. The evidence establishes that the CECC is far from
being a smoke free institution. As is the case with other correctional institutions, the best efforts
of management at the CECC have not prevented inmates from bringing in contraband, including
cigarettes. Some of the Managers and Ms. Yule testified that the presence of cigarette smoke is
almost a daily occurrence in the inmate living units. The extensive searches of inmates as they
enter the facility and the penalties they can receive for possessing contraband do not deter
inmates from contravening the no smoking rule. Without detailing all of management’s
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strategies to deal with this problem, I have no hesitation in finding that the Employer has made
reasonable efforts to prevent inmates from violating the smoking policy. The significant
problem of cigarette smoke in the inmate living units cannot be attributed to a failure on the part
of the Employer to make extensive efforts to tackle this problem. The placement of Mr. Hyland
in or perhaps even near inmate living units would not meet his restriction of a smoke free
environment. Any effort by the Employer to place Mr. Hyland at a post in an inmate living unit
would violate its duty to provide him with a safe and healthy workplace.
[30] The presence of smoking at the CECC is not confined to inmate living units. Staff
smoking at the workplace in contravention of the smoking policy also appears to be a regular
occurrence. Mr. Goden recognized the seriousness of staff smoking in contravention of the
Smoke-Free Ontario Act and the smoking policy and he made it one of his priorities to end this
practice. The Employer addressed the problem with extensive signage around the facility,
memos to staff and managers to remind them of the policy, making the subject a regular agenda
item for the Health and Safety Committee, by constructing a smoking shelter near the south
bench and with temporary provision of an additional smoking location outside between pods 3
and 4 to address a particular smoking issue in pod 3. Memos to staff from Mr. Goden dated July
23, 2009, and December 22, 2009, convey the extent of the problem and identify a number of
areas at the facility where violations of the smoking policy regularly occurred, such as the yards,
the Servery courtyard, the A&D Sally Port, the duty desk, staff washrooms and the G Wing
areas. Mr. Goden acknowledged in the first memo that “management has collectively failed to
do all it can to ensure that CECC is in compliance with the Smoke-Free Ontario Act.” He
indicated that managers must be more accountable than other staff and that an aggressive
campaign must be initiated. Mr. Goden indicated in the December 22, 2009 memo to staff that
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members of the Health and Safety Committee advised him “of their concern that management
continues to ignore the policing of smoking in the institution.” The memos and other efforts by
management appear to have had very little impact on staff smoking in violation of the smoking
policy.
[31] Mr. Hyland witnessed staff smoking and evidence of smoking in areas prohibited by
the smoking policy. On occasion, he witnessed staff members smoking in the presence of a
manager. He would bring these violations of the smoking policy to the attention of management.
There were also occasions when Mr. Hyland was exposed to cigarette smoke that resulted in him
missing time from work. On September 28, 2009, his first day of work at the CECC, he was
exposed to cigarette smoke as he entered at the front entrance and as he left, exiting at the front
entrance. He missed some days as a result of these exposures. Most of his exposures occurred
near the front entrance and a few occurred in the Staff Servery. One of his exposures at the Staff
Servery occurred when there was a manager at that location. Apparently, the manager did not
notice anyone smoking in the Servery courtyard. Mr. Hyland found it stressful when his
absences caused by exposures were used to move him up to higher levels in the Attendance
Management Program, given that attaining the highest level could lead to discharge. Mr. Hyland
also became increasingly frustrated with what appeared to him to be a failure by management to
enforce the smoking policy. He believed that the Employer condoned violations of the smoking
policy when he observed managers taking no action when they were with an employee smoking
in contravention of the smoking policy.
[32] Mr. Goden realized that the Servery courtyard was a problem area for smoking. He
encouraged Mr. Hyland to avoid this area, and for the most part Mr. Hyland took his advice.
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Because the Staff Servery presented a continuing smoking problem, Mr. Goden walked through
it once a day and asked the General Duty Officer to check it out twice a day. During the view I
took of the CECC on June 30, 2011, there was some evidence of smoking in certain areas of the
facility where smoking is prohibited. When we arrived at the Staff Servery, Mr. Hyland entered
first, but then quickly exited, saying that he could not stay because someone was smoking in the
courtyard. It was later determined that the person smoking in the courtyard is an employee of the
Canada Border Services. One other interesting event related to the tour was an email dated the
previous day from the Maintenance Manager to his staff requesting that they ensure the House
Keeping Staff clean the Staff Servery and the courtyard to remove signs of smoking before the
start of the tour. The Union characterized this email as part of the Employer’s effort to cover up
the problem and suggested that it bordered on contempt of the GSB. The only significance of the
email for me is that it further confirmed that there continued to be a significant and well-known
smoking problem in the area of the Staff Servery.
[33] I recognize that management at the CECC faces challenges in enforcing the
smoking policy. COs in the control modules control access to every area of the facility,
including the access of managers. COs contravening the smoking policy can be easily warned
when a manager is approaching. Catching staff actually smoking inside the CECC is likely a
rare occurrence and simply observing evidence of smoking is not considered sufficient to initiate
discipline. COs are reluctant to report staff who are contravening the smoking policy out of a
fear that they will be labeled a “rat”. Staff adhering to the code of silence helps to ensure that the
smoking problem will be a challenge for a long time, even for a management team committed to
addressing the problem.
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[34] There have been instances where management have observed staff smoking or have
been given a name of a staff member who contravened the smoking policy. As noted previously,
Mr. Hyland reported three managers who at various times were near the front entrance with a
staff member who was smoking. Investigations of these incidents resulted in the managers being
counseled, nothing more. In August 2009, Mr. Goden provided a letter of counsel to two
managers who were smoking in the Servery courtyard. It appears that the CO smoking with the
managers was not confronted about his contravention of the smoking policy. This incident
occurred not long after Mr. Goden’s memo dated July 23, 2009, in which he indicated that
managers had to be more accountable and that a more aggressive campaign to deal with the
smoking problem would be initiated. Also in August of 2009, Mr. Goden caught two COs
smoking in the Vehicle Sally Port. They each received a letter of counsel. In May 2010, Mr.
Goden caught a Records Clerk and a CO smoking in the Servery courtyard. The CO, who was
remorseful and embarrassed, did not receive a letter. The Records Clerk, who was not
remorseful and deflected responsibility, received a letter of counsel. In defense of the Record
Clerk, the Union representative pointed out at the allegation meeting that smoking in that area
was an accepted practice.
[35] In my view, management’s efforts to address the staff smoking problem were
deficient in two respects. The first is in its failure to adequately monitor smoking activity in the
two areas where Mr. Hyland had exposures. Unlike other areas of the CECC, management has
unrestricted access to the Staff Servery and the front entrance. Mr. Goden’s efforts to provide
extra monitoring by management in these areas were inadequate given the extent to which staff
used these locations for smoking. More frequent monitoring by managers would have likely had
a greater impact in deterring staff from contravening the smoking policy at these locations.
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Assuming funding is available, the Employer’s plan to install cameras to cover these areas would
likely contribute to the elimination of smoking in these areas. Besides extra monitoring at the
Staff Servery and its courtyard, the Employer did not consider closing the courtyard for some
time or denying access to persons who were caught smoking there. Such efforts by the
Employer would have been reasonable attempts to control smoking at those locations and an
indication to staff that management was serious about addressing contraventions of the smoking
policy.
[36] The other area where the Employer was deficient was in its enforcement of the
smoking policy. As I have noted in other decisions involving Mr. Hyland, a smoking policy will
be of little value unless it is enforced. A failure to reasonably enforce the policy will constitute a
failure to reasonably accommodate an employee in Mr. Hyland’s position. Management
recognizes that the problem of staff smoking in prohibited areas of the facility is significant and
it advised staff in memos that it will be aggressive in dealing with the problem. One way of
sending a message to employees and managers and to deter staff from smoking in contravention
of the smoking policy is with meaningful discipline. The evidence in this proceeding did not
disclose one instance where management issued discipline to a staff member found contravening
the smoking policy. In another context, the approach Mr. Goden took with those he found
contravening the smoking policy may be acceptable and even enlightened. But in the context of
the smoking problem at the CECC, his approach amounts to a failure to reasonably enforce the
smoking policy. To simply counsel managers who contravene the smoking policy or who fail to
enforce the policy represents anything but an aggressive approach. Counseling employees who
ignore repeated warnings not to smoke in areas like the Servery courtyard and the front entrance
does not send the appropriate message to the staff at the CECC. This does not mean that serious
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discipline is required for first offenders. However, some discipline in warranted in the context of
a progressive disciplinary approach. It may not be a coincidence that Mr. Hyland has had
exposures at locations where staff have been observed by management violating the smoking
policy, but were not disciplined. The Employer’s failure in these circumstances to discipline
staff for violating the smoking policy and in particular its failure to discipline managers who
ignore their responsibility to set an example and enforce the policy amount to a failure to
reasonably accommodate Mr. Hyland.
[37] To summarize my conclusions on those matters which were highlighted by the
Union, I find and so declare that the Employer failed to reasonably accommodate Mr. Hyland,
thereby breaching articles 3 and 9 of the Collective Agreement and the Ontario Human Rights
Code, between September 2009 and July 14, 2011 when it engaged in the following conduct:
1. When it denied Mr. Hyland access to the secure part of the CECC for about three
months once it assigned him to his first post.
2. When it restricted its search for an initial post for Mr. Hyland to three posts without
considering placing him at a post within the secure part of the CECC that would have
allowed him to perform a broader range of CO duties.
3. When it failed to consider modifying the A&D schedule in order to permit Mr.
Hyland to work in that area.
4. When it failed to make reasonable efforts to police and enforce the smoking policy.
[38] Having made the above findings on the merits of the grievances before me, I
turn to the Union’s remedial requests. I note at the outset that the Union had requested a
declaration that the Employer had engaged in reprisals against Mr. Hyland because he raised
concerns about its failure to properly accommodate him. As I indicated earlier, Mr. Hyland often
perceives Employer conduct as a reprisal. This is not surprising given the many years Mr.
Hyland has been pursing what he believes is an appropriate accommodation. He testified that he
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believes that some of the conduct by management at the CECC was designed to get him to
resign. In my view, the evidence does not support the conclusion that the Employer has engaged
in reprisals against Mr. Hyland. Although the Employer has fallen short in some respects in its
duty to reasonably accommodate Mr. Hyland at the CECC, there is no basis for concluding that
its actions towards Mr. Hyland were a response to him exercising his rights to secure a proper
accommodation.
[39] As noted previously, the Union took some alternative positions concerning
directions that I should make with respect to the placement of Mr. Hyland. It first requests that I
direct the parties to find a proper placement for Mr. Hyland in the OPS and that I direct that Mr.
Hyland not report for work at the CECC without financial losses until a proper position is found
for him. Union counsel concedes that this request is drastic, but argued that it is appropriate in
the circumstances. To make such a direction I would have be satisfied that Mr. Hyland could not
be properly accommodated at the CECC. The evidence does not suggest a basis for reaching
such a conclusion. By mid-July 2011, Mr. Hyland had been actually at work at the CECC for a
little over 15 months. He has worked at two posts that have at least satisfied his need for a
smoke free environment. He has had fewer exposures at the CECC when compared to his
experiences at other adult institutions. Taking into account these factors along with the nature of
the Employer’s failure to accommodate him, I am not convinced that the CECC should be
written off as a work location for Mr. Hyland or that it is necessary or appropriate to direct that
he be excused from work and paid while the parties search for an appropriate placement for him.
[40] I am also not prepared to direct that the Employer place Mr. Hyland at A&D.
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Although I found that the Employer breached its duty to reasonably accommodate Mr. Hyland
when it failed to consider modifying the A&D schedule to accommodate him, the Employer
takes the position as a defense to this request that the A&D area does not meet Mr. Hyland’s
smoke free restriction. Although there was evidence before me that is relevant to this question, I
am not satisfied that that evidence is sufficient to conclude that A&D is an appropriate placement
for Mr. Hyland. Even though the Employer appeared not to be concerned about this issue when
it revoked Mr. Hyland’s assignment to A&D and even if the Union is right when it claims that
Mr. Hyland is entitled to assume some limited risk, it is not appropriate for me to make the
requested direction unless I was satisfied that this placement was consistent with all of Mr.
Hyland’s restrictions. At this point in time, the issue of whether Mr. Hyland can be placed in
A&D is best left to the parties.
[41] Given that the Employer did fail to reasonably accommodate Mr. Hyland when it
revoked his assignment to A&D, the final placement direction sought by the Union is warranted.
Accordingly, I direct the Employer to renew efforts, in consultation with the Union and Mr.
Hyland, to find an appropriate placement for Mr. Hyland in accordance with its duty to
accommodate him to the point of undue hardship.
[42] As requested, I remit to the parties the general issue of compensation owing to Mr.
Hyland flowing from the Employer’s failure to reasonably accommodate him. The parties agree
that I do have the power to determine whether any compensation should be awarded to Mr.
Hyland for losses he sustained during his absence from work from September 13, 2010 until
March 28, 2011. The parties agree that any losses incurred during this absence cannot be
recovered from the WSIB. As noted previously, Mr. Hyland’s absence due to mental health
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issues from September 13, 2010 to December 27, 2010, was caused in part by the Employer’s
failure to attempt to accommodate him in the A&D position and by its mishandling of its
revocation of that assignment. It would have been reasonable for the Employer to foresee that its
conduct could have caused additional anxiety given Mr. Hyland’s complainants to the Employer
about stress. Although the Employer’s insistence of an IME was reasonable in the
circumstances, the absence beyond December 27, 2010, was caused by the Employer’s decision
to reject Dr. Bolger’s opinion that Mr. Hyland was ready to return on December 27, 2010, and to
keep him out of the workplace until a further medical opinion was obtained. The IME confirmed
that Mr. Hyland was ready to return to the CECC and that his absence was triggered in part by
the A&D incident. Considering these circumstances, I direct the Employer to fully compensate
Mr. Hyland, with interest, for any losses he incurred due to his absence from the workplace from
September 13, 2010 until March 28, 2011.
[43] I turn finally to the Union’s request for human rights type of damages. There is no
dispute that I have the power to award general damages to compensate Mr. Hyland for the loss of
his right to be free from discrimination and for the injury to his dignity, feelings and self-respect.
I also have the authority to award damages for mental anguish. Having regard to the Employer’s
discriminatory treatment of Mr. Hyland by its failure to reasonably accommodate him, I find that
an award of general damages and an award of damages for mental anguish are warranted.
[44] In seeking $50,000.00 in general damages and $25,000.00 in damages for
mental anguish, Union counsel relied on the particular nature of the discrimination in this
case, the long history of discriminatory treatment Mr. Hyland has experienced from the
Employer and the impact this discriminatory treatment has had on Mr. Hyland. Counsel
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submitted that a significant quantum of damages was required to send the appropriate message to
the Employer. I agree with Employer counsel’s submission that sending a message is not an
appropriate factor to consider when determining the quantum of damages. I agree with the
following comment by the HRTO in Koroll v. Automodular, supra, at paragraph 122:
…The purpose of monetary compensation is to compensate the person whose rights have been
infringed, not to punish the respondent. In my view, ordering the employer to pay the applicant
monetary compensation in an amount aimed at deterring it from future breaches of the Code
would not be in keeping with the remedial focus of the Code.
[45] Employer counsel submitted that no damages should be awarded in the
circumstances of this case, but that if I concluded that damages were appropriate, the quantum in
this case should be at the lower end of the scale. Counsel referred at some length to Re City of
Ottawa and Civic Institute of Professional Personnel, supra, and the analysis of the issue of
quantum contained therein. He argued that this analysis illustrated that the quantum of damages
sought by the Union is extremely excessive
[46] In Sanford v. Koop, supra, the HRTO set out the factors to consider when
determining the quantum of general damages, as well as the relevant considerations for assessing
damages for mental anguish. The factors identified for assessing the appropriate quantum of
general damages are as follows:
. Humiliation experienced by the complainant.
. Hurt feelings experienced by the complainant.
. A complainant’s loss of self-respect.
. A complainant’s loss of dignity.
. A complainant’s loss of self-esteem.
. A complainant’s loss of confidence.
. The experience of victimization
. Vulnerability of the complainant.
. The seriousness, frequency and duration of the offensive treatment.
The considerations for assessing mental anguish damages are listed as follows:
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. The immediate impact of the discrimination and/or harassment on the complainant’s
emotional and/or physical health – e.g. distress during employment, episodes of crying,
sleeplessness, fearfulness, inability to pursue or resume regular activities.
. The ongoing impact of the discrimination and/or harassment on the complainant’s
emotional and/or physical health, i.e. impact on personal and professional life, lack of
trust in employment relationships.
. Vulnerability of the complainant e.g. age.
. Objections to the offensive conduct.
. Knowledge on the part of the respondent that the conduct was not only unwelcome but
viewed as harassment or discrimination.
. Anxiety caused by the conduct.
. Frequency and intensity of the conduct
[47] In assessing the appropriate quantum of damages, I have considered the above
factors in relation to the Employer’s discriminatory conduct during the period under review in
this proceeding and its impact on Mr. Hyland. I did not consider the discriminatory treatment
Mr. Hyland experienced prior to his moving to the CECC because then I would be awarding an
amount of damages in part for the Employer’s conduct in earlier proceedings for which this type
of remedy was not requested. The earlier discriminatory treatment however does provide a
context for considering the events that occurred at the CECC and is relevant to understanding the
impact of these events on Mr. Hyland.
[48] The Employer’s decision to deny Mr. Hyland access to the secure part of the
CECC, its decision to revoke his assignment to A&D without considering any modification to
the A&D schedule to accommodate him and its failure to reasonably police and enforce the
smoking policy, and the impact of these matters on Mr. Hyland, bring many of the factors and
considerations referenced in Sanford v. Koop, supra, into play. Mr. Hyland experienced
humiliation, hurt feelings, a loss of dignity and victimization. The A&D incident had a direct
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and significant impact on his emotional health. The Employer’s failure to enforce the smoking
policy and the impact of this on his accommodation has caused Mr. Hyland a significant amount
of stress and anxiety during his time at the CECC. Even so, I agree with counsel for the
Employer’s submission that the amount of damages sought by the Union is excessive in the
circumstances. Having regard to the relevant factors, I award $18,000.00 in general damages
and $12,000.00 in damages for mental anguish for the Employer’s failure to reasonably
accommodate Mr. Hyland.
[49] For the foregoing reasons, the relevant grievances filed by Mr. Hyland are allowed.
I will remain seized of this matter to deal with any issues concerning the implementation of this
decision.
Dated at Toronto, Ontario this 15th day of January 2014.
Ken Petryshen, Vice-Chair