HomeMy WebLinkAbout1991-2411.Parkinson.93-01-08_~ . ~""~v~ ONTARIO EMPLOYES D'E LA COURONNE
'~ ' CROWN EMPL 0 YEES DE L'ON TA RIO
' GRIEVANCE C,OMMISSION DE
SETTLEMENT REGLEMENT
BOARD DES GRIEFS
DUNDAS STREET WEST, SUITE 2100, TORONTO, ONTAR[O, MSG ZZ8 . TELEPHONE/TEL~-PHONE: (4 16I 326-~388
2411/91
IN THE MATTER OF AN ARBITRATION
Under
THE CROWN EMPLOYEES COLLECTIVE BARGAINING ACT
Before
THE GRIEVANCE SETTLEMENT BOARD
BETWEEN
OPSEU (Parkinson)
Grlevor
- and -
The Crown in Right of Ontario (Ministry of Transportation)
Employer
BEFORE: J. Robert's Vice-Chairperson
E. Seymour Member
D. Clark Member
FOR THE I. Roland
GRIEVOR Counsel
Gowling, Strathy & Henderson
Barristers & Solicitors
FOR THE E. Reddie
EMPLOYER Staff Relations Advisor
Ministry of Transportation
BOARD ORDER
Attached is the Memorandum of Settlement which the parties
agreed would be made an Order of the Board.
DATED at Toronto, this 20th day of August, 1992.
J. Ro~9~ts, vice-chairperson
./
E. Seymour, Member
.. D. Clark', Member
MEMORANDUM OF SETTLEMENT
IN'THE MATTER OF A GRIEVANCE
BEFORE THE
GRIEVANCE SETTLEMENT BOARD
BETWEEN:
ONTARIO PUBLIC SERVICE EMPLOYEES UNION
(THE UNION)
AND
THE CROWN IN RIGHT OF ONTARIO'
MINISTRY OF TRANSPORTATION
(THE MINISTRY)
RE:EDWARD PARKINSON
GSB FILE # 2241/91
OPSEU # 92B072
In full and final settlement of the above captioned grievance,
dated April 22, 1991, the parties agree without prejudice or
precedent to resolve the matter on the following terms:
1. The Ministry agrees'to pay the griever (Edward'Parkinson)
$1,000.00; less all statutory and other deductions.
2. The Ministry shall'implement these Minutes of Settlement
within 60 days of the date of receipt of the signed
agreement.
3. Either party may make these Minutes 'of Settlement an order
of the Grievance Settlement Board.
4. The grievance is withdrawn.
Dated~s //~ day of /~7~, 1992 at Toronto.
FOR THE UNION ~/7~-~--~ EDWARD PARKINSON
FOR THE~INISTRY
Dated this 7th day of May, 1992 at Toronto.
ONTARIO EMPLOY'~S DE LA COURONNE
CROWN EMPLOYEES DE L'ONTARIO
GRIEVANCE CQMMISSION DE
SETTLEMENT REGLEMENT
BOARD DES GRIEFS
180 DUNDAS STREET WEST, SUITE £[00, TORONTO, ONTARIO, M5G 1Z8 TELEPHONE/TELEPHO&'E. f4 15~ 325- 1338
150, RUE DUNDAS OUEST, BUREAU 2100, TORONTO (ONTARIO), MSG IZ8 FAC$1Mi£EIT~L~COPIE , [4 iSI 328-r396
2451/91, 2469/91, 2511/91, 2657/91,
2658/91, 389/92, 390/92
IN THE MATTER OF AN ARBITP~TION
Under
THE CROWN EMFLOYEES COLLECTIVE BARGAINING ACT
Before
THE GRIEVANCE 'SETTLEMENT BOARD
BETWENN
OPSEU (cowie et al)
Grlevor
- and -
The Crown in Right of Ontario
(Ministry of the Environment)
~mployer
BEFOR~ M. Gor~ky .~ice-Chairperson
J.C. Laniel Member
M. O'Toole Member
FOR THE G. Leeb
GRIEVOR' Grievance Officer
Ontario Public Service Employees Union
FOR THE C. Zabek
EMPLOYER Counsel
Fraser & Beatty
Barristers & Solicitors
HEARING June 23, 1992
1
ISSUE
There were seven grievances filed in this matter, all of them
raising the same issue. By agreement, we heard evidence with
respect to the grievance of Ed Sennema (390/92) which was to be the
representative grievance binding on all of the other cases.
Mr. Sennema's grievance, dated October 23, 1991, is as
follows:
As of Oct. 1, 1991 I was dismissed from active duty in
the Emergency Response Program. I have participated in
this Program since 1987 and I continued to offer my
services at the time of my dismissal. Service in this
program represents a separate job and wages Qutside of my
.regular working hours and wages.~ I am therefore of the
opinion that I have been wrongfully dismissed coHtrary to
article 27.8.2 of the collective agreement. In addition
I have served in this Program for a longer period of time
than some members presently on the Duty Roster contrary
to article 24.6.1 regarding seniority. Finally I was not
given sufficient warning with respect to my dismissal
also contrary to article 24 regarding job security.
The settlement desired states:
Reinstatement to the Emergency Response Program and
including lost wages and accrued benefits.
BACKGROUND
In a document dated April 1991, prepared by the Emergency
Response Program Working Group for the Assistant Directors
Committee of the Ministry of the Environment, entitled Emergency
Response Program - Review of Options fo~ Cost-effective Delivery -
(Exhibit 4), there is contained in the Introduction, at p.3,
2
certain background information about the Emergency Response Program
{the "Program"):
The Ministry of the Environment initiated a. comprehensive
Emergency Response Program throughout Ontario in June of
1986. An integrated field response program was estab-
lished to compliment the Spills Action Centre (S.A.C).
S.A.C. operates a province-wide toll-free telephone
number for receiving reports of spills and other urgent
environmental matters on a twenty-four hour per day
basis.
Field response was provided by Environmental Officers, on
a rotating duty roster, which provided one Environmental
Officer available to respond to emergencies in each of
twenty-four Emergency Response areas, generally correlat-
ing to District Offices. An April 1989 report entitled
"Cost ~nequities of the Emergency Response Program"
reviewed a number of options for more cost-effective
delivery of the Emergency Response Program, which
included:
a) consolidation of emergency response areas, where
spill activity was low;
b) various shift~work arrangements.
Based on this report, some Districts were combined for
emergency response coverage and the number of Environ-
mental Officers on duty at one time was reduced to
twenty~two persons.
A further review of the implementation of shift work was
conducted by the Operations Division Assistant Directors
Committee.
· A December 1990 report, addressing human resource,
budgetary and administrative matters related to a
week-day evening shift, was accepted by the Direc-
tors Committee.
· The proposal was tabled with the Employee Relations
Committee in December 1990, and affected staff were
subsequently requested to comment and provide
suggestions.
- As a result of staff input, the Directors Committee
temporarily set aside the April 1, 1991 proposed
implementation date and requested that a Working
Group be established to review the options sug-
gested by staff.
3
The mandate of this Working Group was
"To review and analyze emergency response options
and to make a recommendationls) to the Assistant
Director's Committee".
The Grievors were Environmental Officers staffing the Progra~
after it was initiated in June of 1986 and they continued to do so
until it was terminated in October of 1991. Some of the Grievors
had staffed the program on a continuous basis from 1986 and others
from 1987.
From the date of implementation of the Program in 1986,
Environmental Officers were permitted to volunteer to serve on the
duty roster, and this system remained in place until October of
1991 when the system was changed..
Approximately eight people were on a duty roster, with one of
them being scheduled as on-call to respond to field emergencies at
any one time.
Those Environmental Officers comprising a duty roster were
expected to ensure that another member would be available to fill
in for them if they were unavailable for any reason, and this was
said to be a fairly frequent occurrence. When an Environmental
Officer was scheduled to be on-call, as pa~t of the rotating duty
roster, he was entitled to receive standby and on-call premium
payments under the collective agreement, and in the case of a
response to a field emergency, was entitled to receive payment for
overtime. The Grievor testified that his average payment for being
the available Environmental Officer on the rotating duty roster
would average $1300 for each period when he served in that
capacity, and that in 1990 his payments for serving in the Program
was equal to approximately 20 per cent~of hi~ regular salary of
$55,000 per annum.
EVIDENCE ON BEHALF OF THE GRIEVORS
Evidence of Ed Sennema
Mr. Sennema testified that:
1. He was employed in the Abatement Section of the Toronto West
District in 1973. In May of 1989 he assumed a position with
the Investigation and Enforcement Branch.
2. He volunteered for and was placed on the duty roster of the
Program in .the summer of 1986, and continued in that capacity
when he transferred to the Investigation and Enforcement
Branch. He was officially removed from the Program in October
of 1991.
3. On October 2,. 1991, he sent a memorandum (Exhibit 2A) to Jim
Richardson, District Officer, Toronto West, as follows:
It has come to my attention that my name is no longer on
.- the EmergenCy Response Duty Roster.
It would appear that I have been dismissed from the
Emergency Response Unit. I would like to know if this is
true and if so, I would like to know-the reason behind my
dismissal.
I am requesting a written response to this inquiry on or
before October 11, 1991.
4. ~e had no official notice of the change effected prio~ to
October 1991, although he was aware that changes were being
discussed.
In August of 1991 he became aware of the intention of the
Ministry to alter the Program, but he had no accurate knowl-
edge of what. those changes would .be, although it was his
understanding that they were expected to result in lesser
payments if the Program remained voluntary.
6. He would pe.riodically hear of proposed changes through
discussions with other persons participating in the Program,
and he was aware of ongoing discussions relating to changes as
ea-rly as April 1991. He had also heard that certain recommen-
dations that had been made to change the Program (the nature
of which changes he was unfamiliar with), had not been
implemented.
7. As a result of his hearing from participants in the Program
about changes that were being planned, he sent a memorandum
(Exhibit 1)~ dated August 19, 1991 to Ken Waldie, the Area
Superintendent, Toronto West Abatement Office, as follows:
This memo is to advise you that I am volunteering my~
services for the Revised E.R. Program of August 8, 1991.
6
8. At the time he sent the. memorandum {Exhibit 1), he was unaware
that he would be removed from the roster, and he reiterated
that prior to October 1, 1991 no management person had
informed him that he would be removed from the list of
participants. It was his impression that the Program would
continue to function on a voluntary basis and that he would
remain on it as he had since its inception.
9. The response of Mr. Waldie to Mr. Sennema's memorandum of
August 19, 1991, is as' follows:
As you are aware the new E.R.P. Program places I & EB
staff in.the third priority of eligible staff.
If you still wi.sh to volunteer please provide a letter
from your Director giving his concurrence.
10. Mr. Sennema said that "in a way" he was surprised when he
discovered that his name had been taken off the list of
participants in the Program, and he did not understand why
this had happened. He also "found it strange" that he was
required to obtain the concurrence of his Director in the
investigation and Enforcement Branch in order to be considered
for selection to participate in the revised Program.
11. When he was first appointed to the .Program in 1986, any
Environmental Officer could volunteer to serve in it, and it
did not matter whether he was with the Abatement, Technical
Support or Investigation and.Enforcement Branches, When he
was in Abatement, there were a number of Investigation and
7
Enforcement Branch Environmental Officers who applied for and
were appointed to the Program. In his view, as the Program
was constituted in 1986, it was only necessary that an
applicant be a member of the bargaining unit, and it did not
matter which branch he was with.
12. He denied having seen Exhibit 4 as he claimed that it had
never been sent to the members of the Program in the Investi-
gation and Enforcement Branch.
13. He also denied ever having seen Exhibit 5A, being a memorandum
dated August 7, 1991, to District Officers from Ron Clark,
Director, Human Resources Branch, 'Re: "Emergency Response
Program":
The Emergency Response Program Working Group met August
6 and 7 and the attached 'proposal was developed. The
Regional Directors have agreed that the Bargaining Unit
representative for your Region will visit each district
office during the week of August 12 to discuss this
proposal. Your regional representative will be contact-
ing you within the next few days to arrange a meeting
date. Your participation, and as many of your staff as
possible, is requested.
Please distribute the attached memo to all Emergency
Response staff, and those who may be eligible for this
Program.
14. He also denied having seen the memorandum, dated August 7,
~9~1, from Ron Clark, Brian Howden, Co-Chairs, Employee
Relations Committee RE: "Emergency Response Program" (Exhibit
5B):
We are please to advise you that a proposal has been
developed as an alternative to shiftwork being imple-
mented for Emergency Response coverage~
Attached is an outline of this proposal and background of
its development. During the week of August 12, a
Bargaining Unit member of the Emergency Response Working
Group will attend your district office to address any
questions you may have and refer them to the working
Group if-~ecessary.
It.is intended that the new Emergency Response roster be
finalized by September 3 and implementation commence
October 1, 1991.
We would like to thank the Working Group for their co-
operative effort during the review of the Emergency
Response Program.
15. The outline of the proposal is contained in the "Report on a
Revised Emergency Response Program" prepared by the Emergency
Response Program Working Group.datEd August 8, 1991, for the
Ministry of the Environment (Exhibit 5C):
REVISED.EMERGENCY RESPONSE PROGRAM
PARTICIPATION AND COMPENSATION
Effective October 1, 1991 the Emergency Response Program
will be revised to meet financial constraints.
a) The program is intended to operate on a voluntary
basis if the number of participants ensure program
viability. Not withstanding the above, participa-
tion will be mandatory.
b) ELIGIBILITY TO PARTICIPATE
Recognizing that emergency response is an abatement
program, the Duty Roster will be constituted in the
following order:
i) Qualified Abatement Environmental officers 3
and Environmental Officers 4 who normally
respond to spills as part of their duties..
ii) Other qualified Abatement Environmental
Officers 3 and Environmental Officers 4.
iii) Other qualified staff as necessary to make the
prog r~m viable.
Compensation for the Standby/On-call periods will be as
per the conditions of the Collective Agreement.
The new program will be comprised of six Standby periods
of 7.5 hours in duration with the balance of the remain-
ing hours to be On-call. The fol. lowing will make up the
~evised schedule-for the ERP areas.
Monday - Friday 00:00 - 08:15 On-call
16:30 - 24:00 Standby
Saturday 00:00 - 08:30 On-call
08:30 - 16:00 S~andby
16:00 - 24:00 On-call
Sunday 00:00 - 24:00 On-call
Statutory Holiday 00:00 - 08:30 On-call
08:30 - 24:00 Standby
16. He did not feel that.he .needed to get the approval of his
$
Director as he had already obtained that approval when he
initially joined the Program in 1986.
17. In cross-examination, Exhibit 2, being a memorandum dated
November 17, 1991, to himself from Jim Richardson "Re:
Participation in Toronto West's ERP Program" was shown to him,
which memorandum is as follows:
Thank you for your memo dated 91 10 02. As you are
aware, your name does not appear on the ERP roster
commencing October 1st, 1991. During previous dis-
cussions with Ken Waldie and myself, we advised you that
the ministry was changing the ERP program significantly
on Oct. 1, and that this was going to be the likely
outcome.
In accordance with~ the program, if the 'district is
pursuing a voluntary program as Toronto West wishes to,
the ERP roster is to be filled by district staff at the
EO 3 or 4 level. If, in the mind of the District Officer,
a viable roster cannot be struck with district staff, he
can, with the Abatement Manager's permission draw on
other non-district abatement staff. Only if the roster
cannot be struck with abatement staff can other MOE staff
be considered. This is the standard for the entiPe
province. I have attached a copy of Mrs. Reid's announc-
ement to staff for your information.
With respect to IEB staff participation, I feel that you
fit into Category III - Other Ministry staff. Further,
I feel that since the program is intended for EO 3's and
4's that you would only be eligible after considering any
Category III EO 3 or 4 applicants. You were also advised
by Ken Waldie on August 19, 1991 that you would not be
eligible to participate without the written permission or
your Director. Neither Ken nor I have received copies of
any permission.
In light of the above, you are not at this time, eligible
for the Toronto West ERP roster.
I would like to point to you that your absence from the
roster does not in any way ~reflect upon your conduct as
an ERP; it is merely the result of program changes.
Thank you for your participation and support these last
few years~
18. He denied that he had ever had any discussions With Mr. Waldie
and Mr. Richardson as set out in the second sentence of the
first paragraph of Exhibit 2.
19. In re-examination, he acknowledged that he was aware, prior
to August 23, 1991, that there were three different categories
of participants contemplated under the revised Program and
that he fell into the third category.
20. He stated that no special qualifications were required of
volunteers when the Program was implemented in 1986, although,
over time, it became necessary to have completed a St. John's
Ambulance course and an environmental law course. These
requirements were already in effect when he transferred to the
Investigation and Enforcement Branch, although he could not
remember exactly when they came into effect.
EVIDENCE ON BEHALF OF THE EMPLOYER
Evidence of Kenneth Waldie
Mr. Waldie testified that:
1. As Area Supervisor in ~he Toronto West Abatement Office, he
reports to the District officer, and as part of his' duties
supervised Environmental Officers who ensure compliance with
the Environmental Protection Act throughout the District. He
is also responsible for supervising the Program in the Toronto
West District, and had this responsibility during the period
~h~n Mr. Sennema was in the Program.
2. The Program was under review in 1990 and 1991 because it was
deemed not to be cost-effective.
3. He referred to Exhibit 3, being Review o$ ERP Weekday Evenin9
Shift Option - Impacts and Implementation, prepared by the
Operations Division - Assistant Directors Committee, dated
November 1990 .and December 1990. This document was circulated
12
throughout the Toronto West'District Office and was posted on
the bulletin board and'in the lobby of the office on Overlea
Boulevard.
4. He took steps to ensure that all persons being part of the
Program were aware that it was being reviewed in anticipation
of its being revised.
5. The response to EXhibit 3 was negative because the staff did
not like the shift work option contained in it.
6. Management then established the working group ~esponsible for
the preparation of Exhibit 4, Those participating in the
Program were requested ~o comment oa the report.
Mr. Waldie referred to page 4 of the Exhibit 4 which sets out
the members of the Working Group which was made up of 13
members, seven of whom were bargaining unit members and one of
whom, Barry King, was a member of the Union staff.
7. The Working Group continued to meet after Exhibit 4 was
released, and the Report on a Revised Emergency Response
Program, prepared by the Emergency Response Program Working
Group, dated August 8, 1991, (Exhibit 5C) was issued.
13
8. Exhibit 5C was circulated throughout the Toronto West Office
and posted on 'the bulletin board which was said to be easily
accessible.
9. Among the changes effected by the revised Program were
reductions based on changing Sunday from standby to on-call
and by reducing the payment to one dollar per hour for on-call
time.
10. In addition, the eligibility for participation in .the Program
was changed as set out in the above-quoted portions of Exhibit
5Co
i1. In Toronto West~ the duty roster was intended to be-made up °of
between five and six people, with the possibilty that this
might be raised to eight. The rationale for the change was
that fewer than five people on the duty roster would result in
too much stress for those taking part, and that more than six
people would be too many to keep up the general level of
competence. Subsequently, five persons were chosen to serve
in the Program from the Toronto West District Office, all of
them being from category 1.
12. The final decision with respect to the changes in the Program
was not made'until December of 1991,:~ and ongoing discussions
took place until that time. The final changes to the Program
14
were developed with the participation of the Union members of
the Working Group during the ongoing series of negotiations.
13. Reference was made to Exhibit 6, being a statement of minimum
requirements for participation on the Emergency Response
Program (ERP) duty roster, which Was said to have come into
existence after the initiation of the ~program in 1986:
*Minimum Requirements for Participation on the
Emergency Response Program (ERP) Duty Roster
1. Have successfully completed the Ministry's Environ-
mental Responders Course or equivalent.
2. Be designated as a Provincial Officer.
3. Hold a valid'St. John Ambulance Emergency First Aid
Certificate or equivalent.
4. Have attended a minimum of three simulated or
actual spill incidents,
5. ~Have successfully completed the Environmental Law
Course,
6, Be recommended by his Section Manager.
7. Be recommended by the appropriate District Officer
and approved by the Abatement Manager taking into
account the Factors to be Considered in Evaluating
Emergency Response Duty Roster Candidates.
14. Reference was made to the Environmental Officers in the
Investigation Enforcement Branch and the Abatement Branch.
These officers were said to have different functions: the
Abatement Branch responds to spills and c~mplaints and
performs administrative inspections under the .Environmental
Protection Ac~. The Investigation and Enforcement Branch is
15
responsible for conducting investigations that may lead to
prosecutions under that Act.
15. Management in the District Office was concerned about the
continued use of Investigation and Enforcement Branch Environ-
mental officers in the Program because there was a concern
that their regular work might be compromised if charges had to
be laid arising out of situations.where they had served in
carrying out the Program, This was said to be one of the
reasons for placing Environmental Officers in the Investiga-
tion and Enforcement Branch in category 3.
ARGUMENT OF THE DNION ·
Counsel for the Union argued:
1. That the Employer had behaved unreasonably and unfairly in
failing to give adequate notice of the intention to revise the
.Program.
2. As a result, the change implemented on October 1, 1991 came as
a "complete surprise" to Mr. Sennema. It was submitted that
nothing had been conveyed rd' him prior to that date that would
indicate, with any clarity, that there was an October 1, 1991
deadline for implementing the projected changes or what those
changes were going to be. In particular, there was no
16
indication to him that he would require permission from anyone
in supervision in order to be able to participate in the
Program.
3. The Grievor had served on the duty roster of,the Program since
1986, and as a result of his service had come to rely on the
additional income received by him. In these circumstances,
the Employer was said to have behaved unreasonably and
unfairly.
4. The Employer was said to have been unreasonable in failing tQ
consider the impact of the changes in the' Program on Mr.
Sennema, whic~ visited upon him a disproportion'ate share of
the financial burden re~ulting from the implementation of the
changes.
5. Relying on the "unique circumstances" involved in this case,
counsel argued that the Board had jurisdiction to intervene to
furnish a remedy for the allegedly unfair and unreasonable
conduct of the Employer and to direct that the parties meet to
negotiate a settlement that was fair and reasonabler consider-
ing the length of time that Mr. Sennema had been a'participant
in the Program and the financial loss suffered by him as a
result of his abrupt removal.
6. In the alternative, the Union argued that the Employer, by its
conduct, was estopped from unilaterally altering the way in
which the Program had been administered.
7. Referrence was made to the Canadian Union of Public Employees,
Metropolitan Toronto civic Employees' Union, Local 43 and the
Municipality of Metropolitan Toronto, being a decision of the
Ontario Court of Appeal released April 10, i990, where
Tarnopolsky J.A., stated at pp.37~39:
There is~ therefore, a place for some creativity, some
recourse to arbitral principles, and some overall notion
or reasonableness. See, for example, David Beatty, ~The
Role of the Arbitrator: A Liberal Version" (1984), 34
U.ToL.J. ~36. The presence o~ an implied principle or
~erm of reasonable contract administration was also
acknowledged by Craig J. in Ward~ir, ~uu~r_~, at pp. 476-
77.
Since I have concluded that the Board did not interpret
the collective agreement in a patently unreasonabl~
manner, there is no need to examine the Board's findings
on the merits. Suffice it to say that, as set out above,
the Board heard a number of witnesses on both sides of
the question and concluded that the June 10, 1982
directive was unreasonable. The major grounds for this
finding were:
1. the absence of any Consultation with those
whose health and safety were likely to be
affected by the directive;
.2. the absence of any employer interest suffi-
cient to justify the change in policy; and
3. the testimony of several drivers/attendants to
the effect that they felt the policy would be
both counterproductive and dangerous.
There is nothing in the Board's findings of fact which
could be depicted as patently unreasonable; they were
scarcely challenged by the dissenting Board member.
Moreover, in imposing a duty on the Employer to exercise
its discretion to make rules with disciplinary conse-
quences in a reasonable fashion, the Board gave the
collective agreement an interpretation that it reasonably
and logically could bear.
8. Counsel for the Union also referred to Oaklands Regional
Centre and OPSEU Local 249 (Haefling), dated March 24, 1992
(unreported), where the b~ard stated,at p.12:
There is a strong judicial and arbitral support for
the Union's position that an employer, in exercising its
discretion, or in the exercise of its ~anagement's
rights, .must act fairly and reasonably, having regard to
the interests of employees under the terms of a collec-
tive agreement. In at least two recent decisions, the
courts in Ontario have accepted and endorsed the view
that a "standard or reasonableness," or what is also
referred to as a principle of "reasonable contract
administration," ought to apply in the labour-relations
context specifically when an issue arises relating to the
exercise of management discretion: see, for instance, The
Municipality of Metropolitan Toronto and Canadian Union
of Public EmployeesL Metropolitan Toronto Civi~
Employees' Union, Local 4~ (1991), 74 O.R. (2d) 239
(CoAo), and Re WardAir Inc. and Canadian Air LiDe Fli~
Attendants Ass'n et al. (1988), 63 O.R. (2d) 471. In
other words, the principles relied upon and the basis
upon which the decision was reached by the arbitrator in
the Government of Nova Scotia case, to which the Union
referred in argument, are legally binding principles
which an arbitrator is compelled to consider and apply in
the grievance-arbitration process in this province.
9. Referrence was made to Anderson 3005/90 (Watters), at p.7,
where, in following the Metropolitan Toronto Civic Employees'
~ case, cited above, the Board stated:
The central issue before us is whether 'the right to
assign and schedule work is furthe~ fettered by an
-- implied duty on the employer to administer the collective
agreement in a reasonable manner. In our judgement, our
question must be answered in the affirmative
10. At p.8 of the Anderson case, the Board stated further:
Indeed, an analogous approach was taken in Baylis
[1762/89 (Samuels)]. The Board there determined that
"even in the absence of any specific language in th~
agreement, it is implicit in the collective agreement
that management will administer the collective agreement
in good faith" {page 3). While the Employer's good faith
was not challenged in these proceedings, we think that
the same inference should be made in respect of the
hotion of reasonableness.
The Board has been persuaded that the Union has demon-
strated a prima facie case of unreasonableness on the
part of the Employer. We find that the facts relied on
by the Union support this conclusion. In this case, as
noted above, the Employer elected a~ainst the calling of
evidence. We were, as a consequence, not given any
reason for the change in the long standing practice which
has adversely affected this grievor. In the absence Of
an explanation as to why there was a change in the status
quo, we are prepared to hold that the Employer acted
unreasonably. The Board orders, therefore, that the
grievor be returned to the day-time hours as worked prior
to January, 1991.
11. Reference was made to Baytis, also referred to in Anderson,
where the Board stated at p.3:
In our view, even in the absence of any specific language
in the agreement, it is implicit in the collective
agreement that management will administer the collective
agreement in good faith. For example, management cannot
engage in fraudulent misrepresentation with impunity.
If, in order to lure a prospective employee away from
some other job, management promised an employee a certaiD
salary level on the grid, and then, after the employee
left the previous position and came to work for the
Ministry, the employee was paid at a lower level, in our
view the employee would have recourse before this Board.
This would be an example of bad faith in the administra-
tion of the salary provisions of %he collective agree-
ment, and this Board has the:authority to provide a
remedy.
12. Counsel for the Union also referred to OPSEU (Cri~ps) and the
Crown in Right of Ontario (Ministry of Correctional Services3
and the Grievance Settlement Board, a decision of the Supreme
2O
Court of Ontario, Divisional Court, dated November 29, 1988,
where Southey, J., stated:
We do not consider this is a case in which we should deal
with the question of whether there is a requirement that
matters within the exclusive right of management must be
dealt with by management reasonably.
In this case, the Board relied on a decision of Reid, J.,
giving the Judgment. of this Court in Lavigne on March 22,
1983, in which he dismissed an application to' set aside
a decision of the Board. The short passage quoted in the
award in this case included the following:
"We interpret the Board's decision to mean
that the employer's right reasonably to limit
the area of search rested on s.18 of the Act
(Management Rights) and not on Art. 4.3 of the
Collec.tive Agreement".
The right recognized by Reid J. was an employer's right,
reasonably, to limit the area of search, and he found
that right to be derived from the management'rights
provision in s.18.
we are not persuade~ in this case that the Board, after
quoting from the Levigne decision, then abandoned
consideration of whether the"restrictiom in this case was'
reasonable. The Board said later in the award:
"In our opinion, the employer has an obliga-
tion to operate in a reasonably efficient
manner. Restricting the a~ea of search accom-
modates that objective.
"Similarly, the Board cannot agree that the
employer's policy and practice in placing
geographical limitations on the area of search
is unreasonable...".
The Board then referred to the particular competition in
thfs case and said in these particular circumstances, the
employer was justified in declining to process the
grievor's application.
On the strength of these statements in the award, it
appears to uS that the Board did consider the reasonable-
ness of the policy in question. As to whether management
rights must be exercised reasonably, we say only that, if
there is such a limitation on management's rights, it
cannot be implied by anything contained in article 4 of
the Collective Agreement.
~or these reasons the application is dismissed with
costs.
13. Counsel for the Union also relied on the doctrine of estoppel.
It was submitted that the Program represented a well-estab-
lished method of the Employer's distributing overtime which
the Grievors had come to rely upon, The practice was an
outgrowth of a policy in writing which was set out in Exhibit
3, and in that sense was in the nature of a public document.
This document was well known to Environmental Officers
.throughout the province and amounted to an undertaking from
senior management to employees and to the 'Union that the
practice would remain in effect. 'In the circumstances, %t was
argued that all non-abatement staff, including the Enforcement
and Investigation staff who were part of the Program, should
be allowed to continue to remain on the duty roster estab-
lished by the Program.until the~ chose to leave it.
In support of the estoppel argument, counsel for the Union
relied on Re Eurocan Pulp & Paper Co. and Canadian Paper
Workers Union. Local 298 (1990),. 14 LoA.C, (4d) 103 (Hicklin-
g), where the arbitrator stated, at pp.121-2:
2. Detrimental reliance
The employer further submitted that there was no detri-
mental reliance. There was no debate as to whether
detriment was required or as to the date at which that
detriment is measured. In the 1983 article on promissory
estoppel, and again in the paper entitled "Estoppel
Revisited", the opinion was expressed that the proper
time to determine whether or not it would be unconscion-
able for a person to gO back upon its word is the time
the promisor resiled from the promise: see 17 U.B.C.L.
Rev. at pp.209-10, and Labour Arbitration 1987 C.L.E. at
5.1.12, citing the opinion of Dixon J. in Grundt v. Great
Boulder Proprietary Ltd. (1938), 59 C.L.R. 641. It might
be noted that Dixon J.'s opinion has now been cited with
approval by the B.C. Court of Appeal and must now be
deemed to be part of the law of this province: see Litwin
Construction (1973) Ltd. v. Pan (19881, 1988, 52 D.L.R.
(4th) 459 at p.470, 29 B.C.L.R. (2d) 88.
Detrimental reliance in the collective bargaining context
may consist of loss of the opportunity to bargain a
position into the collective agreement: see, for example,
the Canadian National Railway case, su_~p~r_~, and Re Cassair
Mining CQrp. and U.S.W., Locals 6536 & 8449, ~upra, at
p.281.
Had the employer wished to change the policy to which it
had committed itself by the settlement of the grievance
in 1985, it~ could have raised the matter in negotiations
in 1986. It would have been the party seeking the change
· and in my view the onus was.upon the company to raise the
matter. By not doing.so, the company led the union to
believe that the policy would continue, as indeed it did.
Had the company raised the matter the union would have
had the opportunity of seeking to persuade the employer
to make the issuance of meal tickets a term of the bull
session agreement, if not of the B.C.S.L.A. The compan-
y's inaction led the union to believe that the entitle-
ment would continue. In fact it did so. In these
circumstances, I find the company estopped from denying
the entitlement of the tour workers to meal tickets on
designated days off for the duration of the 1986-88
agreement. As indicated earlier, the agreement expired
on June 30, 1988. Thus until then the employees were,
prima facie, entitled to the benefit that the employer
had agreed to provide.
Hence, even if one assumes that there was no contractual
basis for the union's claim, the company was estopped
from denying the workers' entitlement.
ARGUMENT FOR THE EMPLOYER
RESPONSE TO THE ARGUMENT-THAT THE EMPLOYER HAD BEHAVED IN AN
~NFAIR AND UNREASONABLE MANNER:
1. In the Canadian Union of Public Employees case, Tarnopolsky,
J.A., referred (at p.36) to: "The final union argument ...
based on a notion of reasonable contract administration," and
went on to note the union's reliance of the decision on the
Court of Appeal in Greenberg v. Meffer~ (1985), 18 DoL.R. (4d)
548. It was argued that the Greenbe~g and Meffert case
concerned the imposition of an implied principle or term of
reas6nable contract administration to a clause in an agreement
that gave an employer "sole discretion" to disburse commis-
sions to the agent in the event that her employment was
terminated. It was further submitted that we were not dealing
with a case where a provision in the collective agreement was
made subject to some form of discretion. Rather, it was the
position of counsel for the Employer that the Program was
outside of the boundaries of the collective agreement and the
Employer's right to amend or discontinue the Program was
unfettered.
2. Referring to the Oaklands Regional Centre case, it was noted
that there the question of discretion arose in the context of
the application of an article in the collective agreement, and
that, at p.12, it was suggested that the employer was in
violation of the collective agreement by failing to consult
"The Employer-Employee Relations Committee" over the decision
to continue the 6:00 a.m. to 2:00 p.m. shift arrangement. The
clause in question stated:
Changes in scheduling policy will be discussed prior to
implementation at the Employer-Employee Relations
Committee meeting and may be discussed subsequent to
implementation by either party at such meetings.
3. Reference was made to the Anderson case, at p.7, where the
Board noted that the employer's rights under 18 of the Crown
Employees Collective ~argaining Act dealing with the right to
assign and schedule employees' hours of work had been fettered
by articles 7, 8, and 10 of the collective agreement. It was
submitted that there was no such limitation in the case before
us. We were also asked to note that, in following the
Metropolitan Toronto Civic Employees' Union case, the Board
stated that the Court of Appeal had considered Greenberg v.
Meffert, and counsel for the Employer repeated the argument
made in paragraph one above.
4. Referrence was made to the document attached to Exhibit
being the review of ERP - Weekday Eveninq Shift Option -
Impacts and Implementation, prepared by the Operations
Division, Assistant Director's Committee, November, 1990,
December, 1990,which attachement is entitled Staff Participa-
tion on the Emergency Response Program (ERP) Duty Roster,
date~ June 22, 1987, revised September 22, 1987, October 26,
1987, October 30, 1987 and January 11, 1988. At p.2 of the
attachment, in paragraph 5, there is a statement:
That all non-Abatement staff currently involved in the
program by virtue of inclusion on the Duty Roster be
allowed to continue involvement until such time as they
leave the Duty Roster.
At p07 of the attachment, there is the following statement:
Although the committee feels that the Emergency Response
Program is an Abatement function, it is the committee's
recommendation that all non-Abatement staff currently
involved in the program be allowed to continue participa-
tion until such time as they leave or are withdrawn from
the Duty Roster.
Counsel for the Employer submitted that the Grievor must be
held to have know that he could be withdrawn from the Duty
Roster at any time.
RESPONSE TO THE ESTOPPEL ARGUMENT RAISED BY THE UNION
1. Reference was made to the case of Re Metropolitan TorontQ
C-.~vic Employees' Union, Local 43, Canadian Union of Publi~
Employees and Municipality of Metropolitan Toronto et al~
(1985) 18 D.L.R~ (4d) 409 (Div.Ct.) where Reid at pp.416-7
stated:
There is much to be said in favour of the application of
the doctrine in arbitration proceedings of this type. It
preserves arbitration as a forum for dealing with issues
that could otherwise only be dealt with in the law
courts. Enough has been said on the subject of furnish-
ing a more convenient, expedient and less expensive forum
than the courts for the resolution of labour problems to
justify my not repeating it here. There are, however,
some problems. It is paradoxical for statutory arbitra-
tors to be applying equitable .doctrines and there are
serious problems with the proper application of the
doctrine. Promissory estoppel ihad proven to be one of
the more elusive and difficult recent creations of the
common law, notwithstanding its repeated redefinition by
the courts, principally by its modern proponent, Lord
Denning. If bar and bench find it difficult to under-
stand and apply, laymen who sit in arbitration proceed-
ings of the type before us can hardly be expected to find
it easy. My experience in the Divisional Court has
revealed that difficulty is commonly experienced by
arbitrators in wrestling with the true meaning of the
doctrine and in applying it.
The question before us is whether it was properly applied
here. I think not. To the extent that arbitrator's use
of the doctrine has come before this court its applica-
tion has been confined to one type of case only. That is
where a course of conduct has been followed by an
employer which is at odds with the agreement but has led
the union not to seek to have the agreement amended to
accord with the conduct.
Thus, in Canadian National R. Co. et al. v. Beatty et al.
the predecessor employer had habitually paid sickness
benefits from the first day of absence rather than from
the fourth day as provided by the agreement. The
successor employer gave notice, that it intended to rely
on the agreement and pay only from the fourth day. In
grievance proceedings the arbitrator held that the
employer was estopped from relying on the agreement.
Osler J. said (at p.390 O.R., p. 241D.L~R.):
The a~bitrator found as a fact,vas he was bound to
do in view of the agreed statement, that the
employer adhered to a course' of conduct ~hich
reasonably induced the union' to believe that the
entitlement of the employees in question to sick-
nes~ benefits would not be go3erned by the strict
legal rights set out in art. 30 but rather would
conform to the long-standing practice of paying
wages during a waiting period. He found also that
it would be inequitable to allow the employer to
insist on the terms of art. 30 as the limit of its
obligation to the employees. As submitted to the
arbitrator by the union, if there had been any
indication given by the employer that it had
intended to commence applying the terms of art. 30
strictl~ despite the opposite practice of so many
years, the union would have had the opportunity of
seeking to negotiate a clause in the agreement to
preclude the employer from so doing. At the foot
of p.10 of his award (Record, po14) the arbitrator
finds:
"The detrimental reliance then of assuming the
practice would continue, lies in the union's
inability to require the employer to negotiate
its change in its practice during the l~fe of
this agreement. After a practice of this
duration, if the employer anticipated changing
it, it has an 'affirmative duty' to alert the
union of its intention in order to give it an
opportunity to negotiate a note of the kind
the parties fashioned for their vacation
package."
These words reflected the view he expressed in the
extract from the judgment that I have set out earlier,
which, for convenience, I shall repeat here (it is from
p.392 O.R., p.242 D.L.R):
By its conduct in persistently paying many classi-
fications of employees from the first day of ill-
ness in the face of a clause providing for a wait-
ing period, the company gave the union an assurance
which was intended to affect the legal relations
between them. The union took the company at its
word and refrained from requesting a ~ormal chan~e
in the agreement. The company should not now be
allowed to revert to the previous relations as if
no such assurance had been given,
(Emphasis added by Reid J.)
At p.419 of the Me~mopolitan Toronto Civic Employees'_
#
Union case, Reid J. stated further:
'The effect of the application of.the doctrine was not to
amend the agreement: see Os]er J.'s words (beginning at
. p. 391 O.R., p. 242 D.L,R. of the report in Canadian
National R. Co. et ~1. v. Beatty):
At this point I stress first that there is a funda-
mental difference between the role of a court
granting rectification and that of a tribunal
applying the doctrine of estoppel by conduct. In
the case of rectification the court is asked to
find that the document purporting to contain the
agreement between the parties does not in fact do
so, and was executed by both parties under a common
mistake. The court must determine what in fact was
the actual agreement between the parties, and
rectify the documents acco!rdingly. Such a process
goes far beyond the interpretation, application or
administration df the agreement, which is the usual
jurisdiction of an arbitrator in a labour case, and
was the jurisdiction of the arbitrator in the case
at bar.
In estoppel by conduct, on the other hand, there is
no question before the court or tribunal as to what
in fact was the agreement between the parties. The
qQest%on is whet'her the agreement, or part thereof~
should be applied, havfng regard to the conduct of
the parties. Questions of the amplication of
collective agreements are squarely within the
Jurisdiction of arbitrators in labour dispute_~s
(Emphasis added by Reid J.)
And at p. 392 O.R., p. 243 D.L.R., he concluded:
What the arbitrator did here, however, was not to
interpret the agreement but to make a finding as to
its proper application and to give consequential
relief.
In Ben Ginter, ~upra, Macdonald J. said, at p. 493:
With respect, I think the arbitrators have miscon-
ceived the nature of equitable estoppel. Applica-
tion of the doctrine does not involve modification
of the agreement.
Also referring to the Metropolitan Toronto Civic Employees'
Union ~ase, counsel ~or the Employer referred to the state-
ments of Reid J. at pp. 419-420:
The situation before the arbitrators in this case is
diffePent from the foregoing cases in a way I think
significant. Here the representations are not shown to
have induced the union to act to its detriment. There is
no suggestion that, because of repPesentations made to
these employees, the negotiators for the union were led
to assume that benefits would be paid to those employees
on a one for one basis, notwithstanding this agreement,
and there is no evidence of a course of conduct on
Metro's part that led the union to believe that. So far
as I am aware, the doctrine of promissory estoppel has
been applied only on the basis of the conduct of one
party to a contract to another party. Employees repre-
sented by a union are bound by but are not themselves
paPties to a collective agreement. If representations to
employees leads a union to forgo an opportunity to
attempt to negotiate the substance of the negotiations
into the agreement the doctrine could apply. But that is
not this case. There is no evidence of that.
I therefore agree with the board that the doctrine does
not apply in this case. I do not agree with the chairma-
n's view that the application of the doctrine of estoppel
29
is at odds with the statutory requirement that a collec-
tive agreement be 'in writing, i accept Osler J.'s
analysis to the effect that to consider whether the
doctrine applies or to apply it, in a proper case, is to
consider or decide a dispute relating to "the application
of the agreement", something well within the jurisdiction
of most arbitrators. It is certainly within the juris-
diction of this board which is constituted to decide
differences arising between the parties "relating to the
interpretation, application or administration" of the
agreement: art. 21.01(a) of the collective agreement.
3. Counsel for the Employer also referred to Carter et al.,
2291/86, 2292/86 ~Knopf), where the Board, after referring to
Metropolitan Toronto Civic Employees' Union case, above cited,
stated at p.9:
Thus, for the doctrine of estoppel to apply, detrimental
reliance by the Union as a party to the contract, not
just an individual employee must be es%ablished. In the
grievanges at hand we do not see any evidence that
convinces us that there has been an element of detrimen-
tal reliance by the grievors or the union which would
make it inequitable to allow management the unfettered
right to allocate overtime as it chooses. Detrimental
reliance connotes lost opportunity and lost potential.
The classic example of this is a union relying upon a
practice or promise and thus being induced into a
position of losing or passing over the opportunity to
negotiate its desires into the collective agreement
formally.
4. It was also submitted that choosing the Grievor for the
Program could not be construed as demonstrating an intention
on the part of the Employer to forego its management rights.
Reference was made to K~ren Brown, 0513/86 (Barrett) at p.7:
The promise must be one 'which was intended, or was
reasonably construed as being intended, to affect the
legal relations between'the parties. A person may well
grant an indulgence.without ever intending to forego his
strict legal rights ....
5. Reference was also made to the statement of the Board in
Dymond 377/82 (Roberts) at p.12:
Such an equitable es[oppel, however,, does not last
forever. It can be ended upon a showing that (1)
reasonable notice was given by one party that it was
resiling.from the acquiescence raising the estoppel; and
(2) that the party relying upon the estoppel was given a
reasonable opportunity to adjust ta this change in
position. As was stated by Lord Hodson in Ajayi v.
Briscoe, 1964 3 All E.R. 556 (P.C.):
The principle which has been described as quasi
estoppel and perhaps more aptly as promissory
estoppel, is that when one party to a contract in
the absence of fresh consideration agrees' not to
enforce 'his rights an equity will be raised in
favour of the other party. This equity, is how-
ever, subject to the qualification (a) that the
other parity has altered his position,-(b) that. the
promisor can resile from his promise on giving
reasonable notice, which need not be formal notice,
giving the promisee a reasonable opportunity of
resuming his position, (c) the promise only become
final and irrevocable if the promisee cannot resume
his position ....
In the light of these considerations, the question here
becomes one of determining when the grievor and the Union
Local gave the requisite notice and how long a period of
time the Employer reasonably required to adjust to this
change in the Union Local's position regarding its strict
'contractual rights under Article 23 of the collective
agreement.
(Emphasis added in DymQnd.)
It was submitted that the Grievor was aware in August of
1991 that he was in category 3 and of the number of employees
who were in the Abatement Section. Being aware of the
situation~ and of-the fact that he was in category 3, the
Grievor had ample notice of the fact that he was not likely to
31
be on the roster in October. Reference was made to Mr.
Waldie's evidence to the effect that he kept the Grievor
advised as to the development of the new program and of the
categories within that program. It was also submit%ed that
the~Union was aware of the impending revisions and it is a
reasonable conclusion that its representatives would have kept
bargaining unit members informed.
In addition it was submitted that the Grievor was not'
eligible for the revised Program as he had not obtained the
approval of his Director to participate in it, although he had
been informed in writing on two occasions of this requirement.
'DISCUSSION
CONCERNING THE ALLEGATION THAT THE EMPLOYER HAD BEHAVED UNFAIRLY
AND UNREASONABLY
1. On the assumption that a duty of fairness and reasonableness
was imposed on the Employer on the facts of this case, as was
argued by counsel for the Union, the evidence disclosed that,
.unlike the finding of the Court of Appeal, at p. 38 of the
Canadian Union of Public Employees, Metropolitan Toronto Civic
Employees' Union Local 43 case, cited above: There was no
"absence of any consultation with those whose" interests would
likely be affected by the change in the program. The evidence
demonstrated that representatives of the bargaining unit and
a representative of the Union were involved in the examination
32
of the Program, along with representatives of the Employer,
and there could be no doubt that an examination was being
conducted with a view to effecting changes.- The evidence
further disclosed that considerations affecting the Employer
and the employees were examined at considerable legthe over a
considerable period of time, and that reasonable steps were
taken by the Employer to ensure ~hat those affected would be
aware of the contemplated changes so that they could make
their concerns known to the Union members of the reviewing
body.
2. Unlike the case in Anderson, there' was evidence, to be derived
from Exhibits 3 and 4 which amply demonstrated the business
reason for the changes in the Program.
The introduction to Exhibit 4 states:
'The Ministry of the Environment initiated a comprehensive
Emergency Response Program throughout Ontario in June of
1986. An integrated field response program was estab-
lished to compliment the Spills Action Centre (S.A.C).
S.A.C. operates a Province-wide toll-free telephone
number for receiving reports of spills and other urgent
environmental .matters on a twenty-four hour per day
basis.
Field response was provided by Environmental Officers, on
a rotating duty roster, which provided one Environmental
Officer available to respond to emergencies in each of
twenty-four Emergency Response areas, generally correlat-
ing to District Offices. An April 1989 report entitled
"Cost Inequities of the Emergency Response Program"
'reviewed a number of options for more cost-effective
delivery of the Emergency Response Program, which
included:
33
a) consolidation of emergency response areas, where
spill activity was iow;
b~ various shift work arrangements.
Based on this report, some Districts were combined for
emergency response coverage and the number'of Environ-
mental Officers on duty at one time was reduced to
twenty-two persons.
A further review of the implementation of shift work was
conducted by the Operations Division Assistant Directors
Committee.
A December 1990 report, addressing human resource,
budgetary and administrative matters related to a
week-day evening shift, was accepted by the Direc-
tors Committee.
The proposal was tabled with the Employee Relations
Committee in December 1990, and affected staff were
subsequently requested to comment and provide
suggestions.
As a result of staff input, the Directors Committee
temporarily set aside the April 1, 1991 proposed
implementation date and requested that a working
Group be established to review the options sug-
gested by staff.
The mandate of this Working Group was
"TQ review and ~naly~e emergency response optio~
and to make a recommendation(s) to the Assistant
Director's Com~ittee".
(Emphasis in original.)
3. The working group thereupon held meetings on March 18 and 19,
1991, which continued on March 25 and 26, 1991, where "a list
of options .o. developed, primarily ~rom the bargaining unit
and management staff input received in response to a request
for suggestions sent out from the Employee Relations Commit-
tee" resulted in 18 options being reviewed.
34
4. As in the Oaklands Regional Centre case, at p.14, we are
unable to find that the Employer's' decision to amend the
Program was an unreasonable one or that its decision was made
"arbitrarily" or "capriciously." The evidence indicated that
the changes were effected in response to efficiency related
concerns and, while the result may have disappointed the
Grievor, this does not make the decision unfair or unreason-
able. Considerable effort was made to ensure that employee
concerns would be received and reviewed, and we cannot regard
the Employer as having acted either unfairly or unreasonably,
as alleged by the Union.
5. In none of the cases relied upon by the Union was an employer
required to forego ~aking changes which it, for business
reasons, and acting in good faith considered necessary in
order to make a program more efficient merely because some
employees might be adversely affected financially. What the
Employer was required to do was, while acting in good faith:
(1) consider relevant evidence reasonably available to it, (2)
discount irrelevant evidence, (3) arrive at a resolution that
a reasonable.employer,~ acting on such information, might have
arrived at. There was no evidence' to indicate that the
Employer had failed to carry out any of these obligations.
THE ESTOPPEL ARGUMENT
35
1. We have concluded that the estoppel argument must also fail.
If the implementation of the program in 1986 can be regarded
as a representation, it amounted to one made to employees and
not to ~he Union. Employees were given an opportunity to
apply to be placed on the duty roster as part of the Program.
~here was no indication that a volunteer, admitted to the
Program and placed on the Duty RoSter would, thereby, remain
on it subject to an amended program being negotiated by the
Union and the Employer. 'The excerpt quoted from p.7 of the
Staff Participation on the Emergency Response PrQ~ram (ERP)
Duty Roster, above quoted, indicates that non-Abatement staff
may be withdrawn from the Duty Roster.
2. In any event, in the circumstances, we conclude that, if the
request for applicants for the Program in 1986, was a promise,
it could not reasonably be construed as "one which was
intended, or was reasonably construed as being intended, to
affect the legal relations between the parties. A person may
well 9rant an indulgence without ever intending to forego his
strict legal rights." See Karen Brown, above, at p.7.
3. Also, given the number of revisions to the original 1986
Program, apparently without a requirement that such changes be
agree~ to by the Union, we cannot find that the Union ever
regarded the Program as imposing an obligation on the Employer
to maintain it until such time as there was an opportunity to
36
negotiate a change in the collective agreement. This is not
a situation.as was envisaged in the case- relied upon by the
Union: Re Eurocan Pulp & Paper Company, cited above, where the
arbitrator stated at p.123:
Similarly, estoppel may be terminated by .reasonable
notice. What constitutes reasonable notice depends upon
the circumstances of the case. Where the reliance took
the form of loss of opportunity to negotiate a change in
the collective agreement, the estoppel will ordinarily
endure for so long as the ability to bargain is in
abeyance. Thus notice terminating on expiry of the
existing collective agreement will often be required,
thus giving the other party the opportunity to negotiate
and thus recapture its position ....
DECISION
For all of the above reasons the grievance is dismissed.
Because of our decision on the merits, it was unnecessary to
render a decision on the preliminary objection to arbitrability
raised by counsel for the Employer, who argued that the Board
lacked jurisdiction because:
1. We were only vested with jurisdiction to hear and determine
disputes about the interpretation, application, administration
or alleged contravention of the collective agreement, arising
under s.19 of the Crown Employees Collective Bargaining Act.
2. That we had no jurisdiction to interfere with the Employer's
discretion to determine matters of "organization" and "assign-
37
ment". The position of the Employer was that our jurisdiction
was. o~ly broadened to the extent that the parties may have
provided for certain matters in a collective agreement, which
was said not to be the case in the matter before us.
In addition, our decision was based on there being an
obligation on the Employer to act reasonably on the facts before
us. It was unnecessary to comment on the cases relied upon by the'
Union establishing such an obligation as imposing such an obliga-
tion in the light of the facts before us.
Dated at Toronto this 8th day of 'January, 1993.
M. Gor~ky~- Vice Chairperson
J ~ani~i = Member
'
'Toole - Member