HomeMy WebLinkAbout2014-3708 Union.17-07-18 Decision
Crown Employees Grievance Settlement Board Suite 600 180 Dundas St. West Toronto, Ontario M5G 1Z8 Tel. (416) 326-1388 Fax (416) 326-1396
Commission de règlement des griefs
des employés de la Couronne Bureau 600 180, rue Dundas Ouest Toronto (Ontario) M5G 1Z8 Tél. : (416) 326-1388 Téléc. : (416) 326-1396
GSB#2014-3708 UNION#2014-0999-0140
IN THE MATTER OF AN ARBITRATION
Under
THE CROWN EMPLOYEES COLLECTIVE BARGAINING ACT
Before
THE GRIEVANCE SETTLEMENT BOARD
BETWEEN Ontario Public Service Employees Union (Union) Union - and - The Crown in Right of Ontario (Treasury Board Secretariat) Employer BEFORE Nimal Dissanayake Arbitrator
FOR THE UNION Tim Hannigan Ryder Wright Blair & Holmes LLP Counsel
FOR THE EMPLOYER Caroline Cohen Treasury Board Secretariat Legal Services Branch Counsel
HEARING April 21, June 5, 2017
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Decision
[1] The union has filed a policy grievance dated November 19, 2014. It reads:
The Union grieves the Employer has violated the OPS Collective Agreement including but not limited to Article 2, 3, 22.9, 31A.8.2, 32,
16.2, 42, 43, 44, 70, 71, Appendix 4, Appendix 5, and Appendix
COR14. The Union further grieves that these policy and program documents violate the provisions of the Ontario Human Rights Code, the Freedom of Information and Protection of Privacy Act and the Personal Health Information Protection Act, and specifically, without
limiting the generality of the foregoing, their privacy protection
provisions; and any other legislation as the Union may advise.
These violations are alleged in that the Employer has implemented policy and program changes contained in the following series of documents: 1. The Revised Health Information Program Guide, dated September
19, 2014 (MGS); 2. The draft revised Request for Information Form, undated (MGS); 3. The Health Reassignment Program Guide (June 2014) (MGS); 4. A June 2014 version of the Disability Accommodation Policy (Public Service Commission Directive MGS)
In addition, the employer has posted a Request for Proposals, as set out in a document entitled “Acquiring Comprehensive Vocational Assessment Services – Key elements to be included in RFS/RFP”.
[2] By agreement, the parties put to the Board different aspects of the grievance in
stages. The first issue relating to the extent of the union’s right to participate in the
accommodation and return to work process was dealt with in a Board decision dated
April 20, 2017. This decision relates to the second issue put to the Board, which is
about the appropriateness of the employee consent for disclosure of health
information required under the employer’s policies.
[3] The employer advised that while it does not agree that it is bound by The Personal
Health Information Protection Act, (“PHIPA”) or The Freedom of Information and
Protection of Privacy Act (“FIPPA”), it has committed to follow the principles set out in
those statutes.
[4] The focus of the grievance is on the Health Information Program (“the Program”) and
the Health Information Program Guide, February 2015 (“the Guide”). The union
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raises a number of concerns about the program and the manner in which the
employer implements it. The union made submissions about its concerns by posing
a number of questions to the Board.
Union Submissions
[5] The program and the manner of its implementation is described in the Guide. The
union made reference to various provisions in the Guide and made submissions as to
the basis of its objection. The Guide at 2.1 provides that “where health information is
requested by the employer, … the manager or HR Specialist is available to explain
and discuss the consent with the employee”. The union submits that PHIPA, FIPPA
and the collective agreement require that the scope of the consent sought must be
discussed with the employee. In order to make the consent meaningful, that
discussion is mandatory. It was also submitted that managers are not experts on the
subject. Therefore, the HR Specialist must be required to meet with the employee
and explain the consent. The onus should not be on the employee to seek an
explanation. Someone being available is not enough.
[6] The Guide in section 3 sets out the “Information Gathering Process”. Referring to
sections 3.2 and 3.3, counsel argued that the Guide permits managers and HR
Specialists to meet with employees and provide requests for health information forms
and referral packages etc. to be taken to their treating medical practitioners, but there
is no requirement that the exact content of the information requested or its specific
purpose be discussed. That may result in the employee consenting to the release of
intrusive and unnecessary health information, and giving the employer authority to
use that information for any purpose as it wishes.
[7] Counsel submitted that it is very important to keep in mind that the program applies
not only to OPSEU members. It applies to all OPS employees, unionized and non-
union, including those appointed under the Public Service of Ontario Act. Also, as
indicated in section 1.4 of the Guide, Health information is collected for different
purposes, all of which may not be relevant in any given case. For example, an
employee may be sick, but may not need any accommodation. Even within a single
purpose, for example accommodation, the employer must proceed on a case by case
basis depending on the facts and the needs of the particular employee. The
program, however, proceeds on the basis of a “one size fits all” approach, which
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results in requiring employees to consent to requests for health information not
relevant to their individual circumstances. At p. 8 the Guide states that “The
employer will seek to gather information necessary to meet the need (outlined in
section 1.4). Health information sought by the employer will be initiated through the
least intrusive manner necessary to meet the requirement”. Despite this statement,
by using a single form regardless of the particular purpose for which information is
sought in a given case, the employee is expected to consent to release of a broad
range of health information, some of which may have no relevance to his needs.
[8] Union counsel drew the Board’s attention to the preamble in the Request for
Employee Health Information which states that the information provided is
confidential, and “will only be used with the consent of the employee” for multiple
purposes, namely to administer the short-term sick leave entitlements, to confirm the
anticipated duration of sick leave absence to allow the employer to make employment
relate operational decisions, and to develop and implement timely and appropriate
employment accommodation “and/or” return to work. The form is divided into parts 1
and 2. In Part 1, the employee’s treating medical professional completing the form is
required to indicate the employee’s period of absence due to illness or injury, the
dates of most recent assessments, the estimated return to work date if the employee
is unable to return to work presently and whether the employee is able to return
without accommodation. If the employee can return only with accommodation,
information is sought as to the maximum hours per day and per week, and the
estimated duration of the restriction, and the medical professional is required to
complete Part 2 of the form.
[9] Section C of Part 1 is to be completed and signed by the employee. It is set out in
the following language:
I understand that as part of the process of identifying my functional abilities, limitations, and/or restrictions for the purposes of employment accommodation, return-to-work planning, and/or short-term sick leave entitlements; my employer may require my health information.
Accordingly, I ---------------------------- authorize and consent to, the release by (Last Name, First Name)
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medical practitioner/ nurse practitioner, of my health information to my employer as represented by the human resources specialist. I further understand and consent to my employer: A. Sharing job related information with my medical practitioner or nurse
practitioner; B. Seeking clarification (in writing) of the information provided on this form; C. Sharing information provided on this form and supplemental information with my manager and human resources on a need-to-know basis for the purposes as described above;
D. Sharing information provided on this form and further clarifications with staff in labor relations or legal services where necessary to obtain advice on facilitating the purposes set out above. Health information provided on this form is collected for the purposes set out
above. The information provided will only be used by authorized individuals for the specified purposes. Questions about the collection of health information on his form can be directed to the human resources specialist whose contact information is set out in the letter accompanying the form.
Employee signature Date (yyyy/mm/dd)
[10] Part 2 of the Form includes a preamble which is identical to the preamble in Part 1.
Section B of part 2 seeks information about the employee’s functional abilities and
limitations, restrictions. The language of the consent to be signed by the employee is
the same as in Part 1 of the Form.
[11] Based on the language used in the form, union counsel submitted that the employee
would not know specifically what information he is consenting to disclose. He pointed
out the language to the effect that the employee understands that the employer may
require the health information for a number of different purposes. Counsel argued
that an employee signing the form allows the employer to seek information for any or
all of the purposes mentioned. He submitted that the employee is entitled to know
specifically what information the employer is seeking. The use of “and/or” means that
the employer is given blanket consent to seek any information at its discretion.
Counsel argued that “and/or” does not belong anywhere in the consent form,
because for consent to be knowledgeable, the employee must know what specific
information he is consenting to release, and for what specific purpose.
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[12] Counsel pointed out that under the program the employer may request health
information, if required to assist with accommodation, return to work, reasonable
suspicion that employee performance or attendance issues may be a result of a
disability, or to support or verify frequent absences due to illness, injury or disability.
Counsel argued that using the same form to seek information in all of these different
circumstances is inappropriate. It can result in information not relevant to an
employee’s particular circumstances being disclosed. For example, an employee’s
functional abilities, or mental or physical limitations may be disclosed, when the
employee is merely requesting sick leave.
[13] Union counsel referred to the following provisions of PHIPA:
S. 18(1): If this Act or any other Act requires the consent of an individual for the collection, use or disclosure of personal health information by a health
information custodian, the consent … (b) must be knowledgeable. S. 18 (5): A consent to the collection, use, or disclosure of personal health information about an individual is knowledgeable if it is reasonable in the circumstances to believe that the individual knows, (a) the purpose of the collection use or disclosure as the case maybe, and
(b) that the individual may give or withhold consent.
Union counsel also relied on the following provision of the FIPPA:
S. 41(1): An institution shall not use personal information in its custody or
under its control except,
(a) where the person to whom the information relates has identified that information in particular and consented to its use; (b) for the purpose for which it was obtained or complied or for a consistent purpose.
Counsel submitted that these general principles in PHIPA and FIPPA indicate the
importance of the individual knowing the specific information and the specific purpose
for which that information is sought.
[14] In light of the foregoing, counsel made submissions as to how the Board should
answer the questions posed to it.
Question 1. What information must be communicated to employees in order to have
informed consent?
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It was submitted that consent, to be “knowledgeable” as required by law, cannot be
general. Before giving consent, the employee must know precisely what he is
consenting to and what the specific purpose is. Is it for the purpose of
accommodation, is it for return to work, or for sick leave entitlement. Therefore, in the
consent form there is no room for “and/or”. An employee cannot be expected to
consent to “one or the other, or possibly both”.
[15] Question 2: Can the employer rely upon consent provided by employees for any
purpose other than those specifically reviewed and discussed with the employee?
Union counsel submitted that while the employer provides the employee with a cover
letter at the time the request for health information package is given, and that cover
letter may mention the purpose for which health information is sought, that is not
satisfactory. The HR Specialist must review and discuss the specific information
sought and the purpose with the employee. Counsel submitted that in any event,
regardless of what the cover letter states, by signing the consent form as presently
worded, the employee consents to the employer using the information for a number
of possible purposes to be determined at its discretion. He/she would not know what
specific purpose, from among those listed with “and/or”, may be at play. The
employer would be able to seek information which is not relevant in his/her particular
circumstances. Therefore, to address these concerns the consent form itself needs
to be amended to be consistent with the law.
[16] Counsel submitted that although the employer states that the consent form is a “one
time use” form, it is not. It allows the employer to “seek clarification (in writing) of the
information” from the medical professional, as it deems necessary. There is no
consent sought from the employee, and no discussion about what the clarification
needed is or why. It means that once an employee signs the form, it is a prospective
consent which allows the employer at its discretion seek additional information on an
on-going basis without the employee’s consent or even knowledge. Counsel
submitted that the answer to question 2 should be “no”.
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[17] Union counsel relied on the following authorities: Re St. Joseph’s Health Centre,
(2005) 256 D.L.R. (4th) 552 (Ont. Div. Ct.); Re West Coast Energy Inc. (2004)
Carswell Nat 7565 (Hall); Re Hamilton Health Sciences Corp., (2007) 167 L.A.C. (4th)
122 (Surdykowski); Re West Vancouver (District) (2012), Carswell BC 4240 (Hall);
Re Ontario Power Generation, (2009) 98 C.L.A.S. 246 (Etherington); Re City of
Sudbury 2010 197 L.A.C. (4th) 133 (Kaplan); Re Greyhound Canada Transportation
Corp, 2011 213 L.A.C. (4th) 433 (Levinson); Re Canadian Bank Note Company
Limited, (2012) 222 L.A.C. (4th) 293 (Surdykowski); Re Sunnybrook Health Sciences
Centre (2016) 127 C.L.A.S. 304 (Knopf).
[18] Question 3: Is the scope of consent in the Request for Information Form too broadly
worded?
Union counsel submitted that the answer is “yes”. The present wording
inappropriately uses “and/or” language. It seeks prospective consent and allows the
employer, without consent or even the knowledge of the employee to directly
communicate with the medical professional to seek clarification of the information
provided pursuant to the employee’s consent.
[19] Question 4: Is it appropriate for the employer to ask the employee’s doctor to: (a)
indicate if the employee is unable to return to work (b) provide an estimated return to
work date (c) identify if the employee is able to return to work with/without
accommodation?
Counsel submitted that the answer to these would depend on what stage in the
accommodation process the employee is at the time. The answers may also depend
on the status of the employee, whether he/she is on short-term sick leave, long-term
sick leave, or has sought accommodation.
[20] Question 5: Are separate consent forms required for different purposes?
Counsel submitted that when different purposes are lumped together in a common
form, consent is sought for multiple purposes, some of which may or may not be
applicable. The employee would be consenting with no knowledge of the specific
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purpose for the employer’s request. Therefore, the Board should find that separate
forms should be created for each of the different purposes.
[21] Question 6: Should the employer obtain a new consent each time it requires further
clarification of medical information?
Union counsel submitted that the employer has stated that the form is intended to be
for “one time use”. To be consistent with that, the answer has to be in the affirmative
because the employer is not entitled to communicate with the doctor without the
employee’s consent. To be able to give consent the employee must have knowledge
of what the clarification required is, and for what purpose.
[22] Question 7: Should consent forms be specific to an individual health care provider?
Union counsel advised that the union is satisfied that the current form is specific to a
single health care provider and is used in that way. Therefore, it has no dispute in
that respect.
[23] Question 8: Should consent forms be time limited?
Union counsel submitted that in order to meet the standard of “knowledgeable”
consent, the form has to be time limited. When the Board asked counsel to
elaborate, he explained that what he means by “time limited” is that once information
is obtained for an identified purpose, the consent in the form is spent, and should not
be used again for any purpose.
[24] By way of remedy, the union requested that the Board strike down those aspects of
the Health Information Guide and the consent form, which it finds to be inconsistent
with the applicable legal principles.
[25] From interjections and comments by employer counsel during the union’s
submissions, it was apparent that many of the concerns expressed by the union were
based on possible interpretations of the wording in the Guide and the consent form. I
had the impression that in implementing the program, and particularly in using the
consent form, the employer may not be following some of the interpretations the
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union is objecting to. I met with counsel and urged that the parties put their minds to
that possibility.
Employer submissions
[26] Employer counsel took the position that the program is implemented in a manner
consistent with the leading case of Re Hamilton Health Sciences Corp. (supra). She
pointed out that Part 1 of the form is for absences due to sickness, and Part 2 is for
accommodation. The health information sought in Part 1 is much more limited than in
Part 2. Counsel pointed out that the Guide at 3.2 states that the form “must be
accompanied by an employer covering letter that outlines the purpose of the health
information request”. The manager gives the consent form to the employee, together
with a cover letter which explains the purpose of the request for health information.
Once that form is completed and returned, it is not used again for any purpose. If
additional information is required, the employer provides the employee with a new
form accompanied by a new cover letter. She pointed out that the health information
is received by a HR Specialist, who works at the Health & Welfare Centre. The
manager does not see the completed form itself. Only information necessary for
making decisions relating to the particular purpose or purposes, (sick leave,
accommodation etc.), is disclosed to the manager.
[27] Employer counsel acknowledged that the consent form is “not as clear as it could be”
in several aspects. First, it is not clear that the form is a “one time use form”.
Second, the form is not clear that it is directed to a single medical professional, and
cannot be used to obtain health information from anyone else. Third, the employer
does not communicate directly with any medical professional under any
circumstances. Communication is always through the employee, so the employee is
kept in the information loop. This also may not be clear from the wording in the form.
[28] Employer counsel presented a draft consent form (“draft form”) which she stated
makes the foregoing points clear, and should address the union’s concerns. The
employee consent for Part 1 of the draft form is as follows:
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Section C – Employee Consent to the Collection and Disclosure of Health Information I understand that, as set out in the attached cover letter, for the purposes of (to be completed by the human resources specialist of Manager) - return to-work planning and/or
- reduced hours of work and/or - short-term sick leave entitlements; Accordingly, I (Last Name, First Name) Authorize and consent to the release of the health information contained on this Form to my employer as represented by the human resources
specialist. I understand that I am entitled to refuse to consent to the disclosure of my relevant health information to my employer, but that doing so may result in the denial of any of the above purposes. I hereby consent to the human resources specialist*:
*sharing information provided on this form with my manager (and those with the delegated authority to authorize the request) and human resources on a need-to-know basis for the purposes as described above *sharing information provided on this form with staff in labour relations or legal services where necessary to obtain advice on facilitating the
purposes set out above Health information provided on this form is collected for the purposes set out above. The information provided will only be used by authorized individuals for the specified purposes. Questions about the collection of health information on this form can be directed to the human resources
specialist whose contact information is set out in the letter accompanying the form. Employee Signature (YYYY/MM/DD) *the human resources specialist may be employed by the Ministry of Government and Consumer Services, Centre for Employee Health, Safety
and Wellness (e.g. Disability Accommodation Specialist); or the Commission Public Body, HR office, as defined in the Health Information Program Guide.
The consent language in Part 2 of the draft form is in the identical format and
wording, except that the purposes are described as follows: “I understand that, as set
out in the attached letter, as part of the process of identifying my functional abilities,
limitations, and/or restrictions for the purposes of (to be completed by the HR
Specialist or Manager)
- Employment accommodation or
- Return-to-work planning my employer may require my health information”.
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[29] Employer counsel pointed out that in the draft form there is no choice in Part 1 to
check off functional abilities or restrictions. This is in recognition that Part 1 is only
about absences due to sickness. The HR specialist or Manager completing the form
will check off the specific purpose or purposes for which the request is made. There
is also reference in the form to the cover letter, which will also set out those specific
purposes. Counsel pointed out that reference to purposes described as “sharing job
related information with my medical practitioner or nurse practitioner”, and “seeking
clarification (in writing) of the information provided on this form”, which appear in the
current form, have also been deleted in both parts of the draft form.
[30] Counsel pointed out that the draft form explicitly states that any questions the
employee may have can be directed to the HR specialist, whose contact information
is set out in the cover letter. She submitted that this meets the legal requirement.
There is no requirement in any statute or arbitral jurisprudence that there has to be a
face to face meeting with every employee receiving a request for health information
form. Such a requirement would not only be unnecessary, it would not be viable for
the employer, with only 28 HR specialists available to deal with all employees OPS
wide.
[31] Counsel further pointed out that the draft form explicitly advises the employee that
he/she has the right to refuse consent, but puts the employee on notice that refusal
may have consequences. This is consistent with arbitral jurisprudence and PHIPA.
[32] Based on the foregoing, counsel submitted that in relation to question 1 (supra para.
14), the form provides the employee all the required information. The employee is
informed what information is required, and why. It is also clear which medical
practitioner the request is directed to and who the information will be shared with.
[33] On question 2 (supra, para. 15), counsel agreed that the employer can use an
employee’s consent only for the specific purpose or purposes for which consent was
granted. However, she disagreed that consent can be requested in a form for only
one purpose, as the union suggests. In some cases the employer may need health
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information for more than one purpose. As long as the purpose(s) are clearly
specified, a consent form may set out more than one purpose, if the employer needs
to use the information for more than one purpose.
[34] Counsel submitted that there is no basis for the union’s objection to the HR Specialist
who receives health information sharing the information with managers or HR or legal
advisors on a “need to know” basis. In order to use the information for the purpose
for which it was obtained with the employee’s consent, a manager may have to
approve sick leave entitlement. In another case, HR or legal advice may be
necessary before making a determination whether the employer has a legal duty to
accommodate in light of the health information received. It would be extremely
cumbersome to seek a new consent each time advice becomes necessary.
Moreover, it will significantly delay the decision-making, for example where the
decision relates to accommodating an employee seeking to return to work. Counsel
referred to S. 49(1) of PHIPA, which prohibits disclosure of health information for any
purpose “other than … (b) the purpose of carrying out a statutory or legal duty”, and
argued that in seeking HR or legal advice the employer is carrying out a statutory and
legal duty to accommodate.
[35] Counsel submitted that the consent form signed by an employee is limited to
requests for health information directed to one particular medical practitioner. It
cannot be used to obtain information from anyone else. Moreover, if additional
information or clarification is needed from the identified medical practitioner, a new
consent form and cover letter is provided to the employee. The previously used form
is spent, and may not be reused. Therefore, the union has no valid reason for
concern.
[36] Turning to Question 3 (supra para. 18) employer counsel suggested, and the union
agreed, that the issue of what information may be requested is a matter that should
properly be addressed in a later phase of this proceeding. The relevance in the
present phase is limited to the issue of the employee’s right to know specifically what
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he/she is consenting to, which is dealt with in question 1. Therefore, the Board does
not need to answer the broad issue in question 3.
[37] Counsel agreed in relation to question 4 (supra para. 19) that the employer is entitled
to request only health information that is relevant for the purposes specified. The
draft form in Part 1 allows the manager or HR Specialist to check off certain
purposes, and would be entitled to request only health information required for those
purposes. The same applies under Part 2 of the draft form. The instructions
explicitly state that Part 2 is not required to be completed where the employee seeks
sick leave.
[38] Counsel submitted that any language in the present consent form that may be
interpreted as a prospective consent has been deleted in the draft form. The draft
form clearly reflects what has been the employer’s actual practice, that is, a consent
form is used only once. If additional information or clarification is needed, a new
consent is required.
[39] Employer counsel submitted that the issues (a) (b) and (c) raised in question 4 are
about what information the employer is entitled to request. That is a matter that
properly belongs in a later phase of this proceeding is not related to the issue here
which is about the employee’s consent.
[40] Addressing question 5 (supra para. 20) employer counsel pointed out that the form
has separate consents for Part 1, which applies in cases of sick leave and sick pay
entitlement, and for Part 2 which is completed only for purposes of accommodation
and return to work. The draft form makes the purposes under each part even clearer
by a system of checking off the specific purposes for which the request is made.
Given that system, there is no need to have separate forms for each of the many
purposes for which health information may be required. It would be clear to the
employee what the purpose(s) are.
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[41] Counsel conceded that a new consent is required each time the employer requires
further clarification of medical information. Therefore the answer to question 6 (supra
para. 21) is “yes”. She submitted that the Guide recognizes that obligation and the
employer follows that.
[42] Referring to question 7 (supra para. 22) employer counsel also accepted that the
consent form may only be directed to one identified health care provider. Thus, in
section B of the form, the name, address and other contact information is required to
be filled in.
[43] Question 8 asks whether a consent form should be time limited (supra para. 23).
Employer counsel submitted that in practice, and as per the Guide, a consent form is
time limited because it can only be used once. It cannot be re-used again.
[44] Counsel reviewed the authorities relied upon by the union, and submitted that it is in
compliance with all of the legal requirements set out therein. She submitted that
none of the authorities go so far as to state that in setting out the purposes for a
request, “and/or” language is never acceptable, as the union submits. In some cases
the employer is not aware of the employee’s situation. The employer may therefore,
anticipate that medical information may be required for more than one purpose. For
example, an employee may be able to return to full duties, but may only be able to do
reduced hours. In such situations the employer should be able to describe purposes
using “and/or”, because it may turn out that the employee needs accommodation.
Union reply
[45] Together with its reply, the union was allowed to make any submissions it had on the
draft form. Union counsel noted that employer counsel had agreed with the union on
a number of points. While the union appreciates that, employer counsel’s agreement
at the hearing by itself is not helpful. Counsel requested that the Board set out the
concessions and agreements expressed by counsel in its decision. That would
enable the union to direct the employer’s policy to local managers’ attention if they
attempt to depart from it.
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[46] Counsel argued that even if the draft form specifically identifies the purposes of the
request, that would not resolve the concern because the form refers to the cover
letter, and there is no guidelines or policy as to what a covering letter should or
should not include. He pointed out that there are hundreds of managers writing cover
letters, and in the absence of strict guidelines, they can easily expand the scope of
information sought which has no relevance to the purposes set out in the consent
form itself. He referred to one of the sample cover letters put into evidence by the
employer as an illustration of the problem. The covering letter, marked as exhibit 5A,
is clear that the purpose of the request is to “substantiate the employee’s entitlement
to medical leave”. Yet in the covering letter, the manager states that various types of
information is required, including “details on your current restrictions/limitations”.
[47] Union counsel pointed out that the preamble in the two parts of the draft form is the
same preamble that appears in the current form. That preamble is not consistent
with the consent itself, and can be interpreted more broadly. The preamble,
therefore, has to be amended.
[48] Union counsel questioned the appropriateness of allowing the hundreds of local
managers around the province to identify and specify the purpose of a request for
health information, because it leads to inconsistency. Managers are not experts like
HR Specialists, on privacy rights or on the subject of gathering confidential health
information. The responsibility of identifying and setting out the purposes of a
request for health information should be carried out only by HR Specialists, who have
the necessary knowledge and expertise.
[49] Union counsel also argued that, before giving consent, the employee is entitled to
know exactly who the health information will be shared with. It is not sufficient to
state, as the form does, that it will be shared with “your manager’ or “a HR Specialist”.
The employee’s manager or the HR Specialist responsible for the area may be
replaced by others acting in a temporary capacity if the manager or HR Specialist is
off sick or is on some form of leave. The employee has a right to know who exactly
gets to see his/her health information. Therefore, every person who gets the
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information, including senior managers with delegated authority, must be identified by
name. Only then will the employee be able to give “knowledgeable consent”.
[50] Union counsel pointed out that in the form the employee is asked to consent, to the
employer sharing health information with Labour Relations or Legal Services. Once
an employee signs the form, the employer would be entitled to share the information
with those persons in every case, whether or not Labour Relations advice or Legal
advice is necessary in the particular case, for example, where the issue is simply
about sick leave.
Employer’s Sur-reply
[51] Counsel pointed out that in Part 2 of the draft form the words “and further
clarifications” had been mistakenly included with regard to sharing of health
information with “staff in labour relations or legal staff”. That provision should mirror
the language in Part 1 of the draft form.
[52] Counsel disagreed that the sample cover letter in exhibit 5A over reaches by seeking
information on restrictions/limitations. The employee had been off for two months
and had provided no medical information. Therefore, the employer has the right to
ask whether he/she cannot return to work at all, or whether he/she can return with
some accommodation. Citing Re West Vancouver (District) (supra), she argued that
an employer is entitled to inquire whether an employee needs accommodation, even
though the employee had not requested accommodation. If the employee has no
information about the employee’s situation, it is not contrary to PHIPA to request
health information for more than one purpose.
[53] Counsel submitted that in any event, the cover letter is only an explanatory
communication. It cannot broaden the consent form the employee signs. She
reiterated that there is no legal authority offered by the union to support its claim that
the employer must identify the particular HR Specialist or the manager, who gets
health information by name. Moreover, it is too cumbersome and impractical. It is
often very difficult to communicate and obtain information from employees off sick. If
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a new consent form has to be signed by the employee every time a HR Specialist or
manager goes off sick, on vacation or on some type of leave, and is temporarily
replaced, it would result in significant delay. That would not benefit anyone.
[54] Similarly, counsel argued that requesting the employee’s consent to share the
information with “those with the delegated authority to authorize the request”, is
appropriate and necessary. For example, if a doctor orders an employee off work for
six months, his/her manager may not have authority to approve that, and may have to
escalate it to higher management.
[55] Counsel agreed that it may not be necessary to consult Labour Relations or Legal
Staff in every case. Therefore, the consent sought is expressly stated to be to
consult them “Where necessary”. If information is shared with HR or legal staff when
there is no need, the employer would be in breach.
Conclusion
[56] Having completed the hearing, I continue to be of the view that many of the concerns
the union has raised stem from the language used in the employer’s written policy (as
set out in the Guide), the consent form, rather than from its actual practice. Some of
the provisions in the documents are not consistent with how the employer acts. It is
apparent to me that the actual administration of the program, as described by
employer counsel, does not suffer from many of the flaws the union is concerned
about. The union’s concerns it seems, arise mainly because of the language used in
the Guide and the consent form. The union pointed out, and I agree, that some of
that language is open to interpretation by managers in a manner that may not protect
the privacy of employee health information in compliance with the principles in PHIPA
and FIPPA, which the employer has committed to follow. For example, based on the
wording, by signing the form, the employee consents prospectively that the employer
may contact medical professionals to seek clarification of information they had
provided. Employer counsel assured that in practice, if such clarification is needed, a
new consent is requested from the employee, and that the first form is not to be used
again for any purpose.
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[57] Employer counsel assured that in practice, the employer does not interpret the words
in a manner broader than what is consistent with the law. While that assurance no
doubt is genuine and sincere, the problem is that the implementation of the process
set out in the Guide and the consent form is in the hands of numerous local
managers who are not necessarily well versed with the corporate employer’s
expectations or the legal limitations on what consent may be requested from
employees. Therefore, in my view, to a large extent, resolution of the disagreements
relating to employee consent would be possible by changing the written words to be
consistent with the employer’s expectation in actually implementing the consent
process.
[58] When I realized this during the first day of submissions, I expressed my view to
counsel. In response, on the second day of hearing, employer counsel presented a
draft consent form, amending the language. While union counsel acknowledged that
the new draft addresses some of the concerns, he submitted that it did not “go far
enough”, and does not address all of the union’s concerns.
[59] The questions posed to the Board are very general. Answering those general
questions by applying legal principles in statutes and arbitral jurisprudence will not
necessarily dispose of the specific disagreements between the union and the
employer about particular policy documents and consent forms and employer
practices. Therefore, the Board will attempt as best as it can, to apply the legal
principles to the specific issues argued by the parties. To lay a foundation for that, I
have deliberately set out in great detail, the particular issues in dispute and the
submissions of the parties on those issues. While it is my hope that this decision
would result in the resolution of the issues in dispute, it is likely that there will still
remain disagreement with regard to details and interpretation of the language in
documentation, including the Guide and the consent form. As a general matter, there
is no legal obligation on the employer to consult with the union in formulation of policy
or in preparing documents to implement policy. However, it is in the interest of all
concerned that disagreements and grievances be avoided to the extent possible.
That would be best achieved if consultation occurs which would hopefully facilitate a
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common understanding of what the written words mean, and what the employer’s
expectations are. To be clear, the suggestion is not to have a binding or enforceable
agreement. The objective is to facilitate a cooperative relationship where both parties
accept that privacy of health information is important, and work together to the extent
possible to protect that important right recognized by arbitrators, courts and
legislation.
[60] It must be recognized that while an employee’s right to privacy and confidentiality of
health information is important, there is also a legitimate business interest in an
employer in properly administering sick leave and benefit provisions in the collective
agreement, and its duty to accommodate. Often there is tension between these two
important and legitimate rights of the respective parties. The law has evolved over
the years establishing certain principles that attempt to draw a reasonable balance
between these competing rights.
[61] The leading arbitral authority on the subject is Re Hamilton Health Sciences Corp.
(supra). Arbitrator Surdykowski observed at para. 20, that “The confidentiality of the
doctor/patient relationship and personal medical information is universally and
legislatively recognized as one of the most significant privacy rights in modern
Canadian society”. He then reviewed the legal basis for an employer’s right to
request confidential health information, and stated that what the employer is
legitimately entitled to is “sufficient information” for the particular purpose, and that
the extent of the entitlement would depend on the stage of the process the employer
is engaged in, as well as circumstances of the particular case. Thus at para 25 and
27 he wrote:
25 As a matter of general principle in that latter respect, what is required is sufficient reliable information to satisfy a reasonable objective employer that the employee was
in fact absent from work due to illness or injury, and to any benefits claimed (see, Arbitrator Swan’s comments in St Jean de Brebeuf Hospital v. C.U.P.E. Local 1101 (1977) 16 L.A.C. (2d) 199 (Ont. Arb,) at pp. 204-206). As a general matter, the least intrusive non-punitive interpretive approach that balances the legitimate business interests of the employer and the privacy interests of the employee is appropriate
. . . 27 The several layers of legitimate employer interests suggest that there is more than one stage to the process that is engaged when an employee seeks the benefit
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of the sick leave provisions in a collective agreement. It also suggests that the employer will generally be entitled to less information at the initial stage than at a subsequent stage. The employer’s desire for more information, or its genuine concern for an employee’s well-being or desire to assist the employee, do not trump the employee’s privacy rights. Nor do questions of expediency or efficiency. In the
absence of a collective agreement provision or legislation that provides otherwise the employer is entitled to know only that the employee is unable to work because she is ill or injured, the expected return to work date, and what work the employee can or cannot do. A document in which a qualified medical doctor certifies that an employee is away from and unable to work for a specified period due to illness or injury is prima
facie proof sufficient to justify the absence. Unless the collective agreement (or less likely, legislation) stipulates otherwise, it will also be sufficient to qualify the employee for any applicable sick benefits for that period. To require more invites an unnecessary invasion of the employee’s privacy. In order to obtain additional confidential medical information, the employer must demonstrate a legitimate need
for specific information on an individual case-by-case basis. That is, for sick benefits purposes an employer has no prima facie right to an employee’s general medical history, a diagnosis, a treatment plan or a prognosis other than the expected date that the employee will be able to return to work with or without restrictions.
At par. 34-35, he sets out additional general principles as follows:
34. Further, the intensely personal nature of confidential medical information, the individual, societal and institutional interests in preserving the confidentiality of such information, and the protections that have been legislated to protect its privacy and
use, suggest a conservative approach. Accordingly, collective agreement provisions that speak to the information that an employee must provide to the employer in order to satisfy the employee’s obligation to justify an absence or to obtain STD benefits in that respect should be strictly construed.
35 In the first instance for STD benefits purposes, therefore, in the absence of statutory or collective agreement authorization an employer cannot require an employee to consent to the release of more than certification that she is absent and unable to work because she is ill or injured, the general nature of the illness or injury, that the employee has and is following a treatment plan (but not the plan itself), the
expected return to work date, and what work the employee can or cannot do. The consent must be both focused on the particular purpose and limited to the particular medical professional. A consent that must be provided for the purpose of STD benefits should not include return to work accommodation considerations other than whether there are likely to be any restrictions on the anticipated return to work date.
A “basket” consent that purports to authorize anyone who the employer may ask to release confidential medical information is not appropriate. Nor is it appropriate to require an employee to sign a forward-looking consent that may exclude her from the confidential medical information loop. The overwhelming weight of the arbitral jurisprudence takes a dim view of consents that purport to give an employer
prospective permission, particularly where the consent purports to permit the employer to unilaterally (with or without notice to the employee) initiate direct contact
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with a doctor or other custodian of confidential medical information. Every contact should be through or at the very least with the knowledge and consent of the employee, a separate consent should be required for every contact, and every consent should be limited to the completion of the appropriate from or the specific information required, as appropriate.
[62] Relevant in this proceeding also are the following principles set out at para. 63:
Fourth, an undertaking to hold all medical information obtained confidential is appropriate, but the employee should not at the same time
be required to consent to the disclosure of more information that the Hospital is entitled to. Disclosure should be limited to that expressly authorized by the employee or as required or permitted by law. Fifth, the employee should never be cut out of the communication loop. Direct contact between the employer (or its third party agent) and the employee’s
medical caregivers without the employee’s knowledge or consent is prohibited. In order to give the employee an opportunity to object, the employee should be advised in advance of any such communication in any event.
[63] It is also accepted that an employer is not entitled to seek a prospective consent. In
Re Greyhound Canada Transportation Corp, (supra) at para. 25-26, arbitrator
Levinson wrote:
25 The PAF also includes an Authorization. This qualitatively differs from the notion of an employee providing information on a form to prove a sick leave benefit claim. The mere fact that the Authorization is on the PAF does not fundamentally change its character. I find the present Authorization to be problematic in a number of respects, and invalid. By requiring an employee to
sign a prospective Authorization in advance of a reasonable basis for further specific information, the Company is effectively bypassing the necessity of having reasonable grounds to legitimately seek further confidential medical information about a sick leave claim. More particularly, the Company is effectively bypassing the necessity to first request from the employee, and then
clearly explain what additional specific information it requires to address any reasonable concern(s) it may have, about a particular claim, where appropriate. This materially differs from what I understand is currently occurring. When information provided by the employee’s physician is considered to be insufficient to justify the payment of sick benefits, the Company’s physician requests that the
employee’s physician provide a copy of the chart note, pursuant to the Authorization to “verify” the medial illness. The collective agreement does not authorize or reasonably support this intrusive action. 26 Also, the possibility that additional information may be reasonably required
at some later point, the theoretical potential for expediency, and any confidentiality safeguards and protections in place do not demonstrate that the
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prospective release of confidential medical information the Company is seeking through the Authorization is reasonably required, at first instance, and does not outweigh an employee’s privacy rights in that regard.
[64] With the foregoing general principles in mind, the Board turns to the questions put
before it.
Question 1:
In order to be able to provide informed and knowledgeable consent, the employee
must be informed of what I will call the three “w’s”, as precisely as possible. That is
the who, what, and why. First, the particular medical professional from whom health
information would be requested, and anyone with whom the information would be
shared must be identified. Second, the employee must be informed clearly, what
health information would be requested. And finally, there must be an explanation of
the purpose or purposes for which the information is required. If, and only if,
applicable at the time, more than one purpose may be set out in the same form,
provided the purposes are clearly identified.
[65] Question 2:
There is no legal requirement that a manager or HR Specialist have a face to face
meeting with every employee who is provided with a consent form. As long as the
information as set out in the answer to question 1 is provided to the employee, it is
sufficient to provide the contact information for the HR Specialist, and advise that any
questions or concerns may be directed to him/her.
The employer may use a consent only for the purpose or purposes specifically
identified in the consent form. If it becomes necessary to use health information for
any other purpose, a new consent would be required. It is inappropriate to use
“and/or” in describing the purposes. The employer is not entitled to seek prospective
consent because of the possibility that information may become necessary for an
additional purpose in the future. At the time of consenting the employee must know
the present purpose or purposes.
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[66] Question 3
The consent form currently in use is too broadly worded. It should be amended to be
consistent with the requirements set out in the answers to question 1 and 2 above. It
must be ensured that any references in the cover letter to the three “w’s”, are
consistent with the information in the corresponding consent form. Since the form
makes reference to the cover letter, it would be confusing to the employee, if the
manager uses language in the cover letter that may be interpreted as broader than
what is set out in the form itself.
I agree with the employer that it is not practical to obtain a new consent every time a
manager or HR Specialist who is absent is temporarily replaced. However, the
employer must advise the employee of the employer’s need and intention to share
health information with a replacement and identify that individual by name and title.
This would enable the employee to revoke the consent if he/she does not wish the
health information to be shared with the individual replacing the manager or HR
Specialist. If and when it becomes necessary to share health information with HR or
legal services in order to seek advice, or to obtain approval from senior management
with delegated authority, the employee should be informed of the title or office only of
the person with whom information will be shared. The employee’s consent would not
be required for the employer to be able to do so.
[67] Question 4:
I will not address the broad issue in items (a) (b) and (c) since they relate to what
health information the employer is entitled to. Under (c), however, there was an issue
raised about consent. While the employer may ask the doctor generally, whether the
employee is able to return to work with or without accommodation, it cannot request
consent to seek specific information such as physical or mental capabilities,
limitations and restrictions unless and until a doctor indicates that the employee may
return only with accommodation.
[68] Question 5
No. Separate consent forms are not required for different purposes, as long as the
form is designed in a manner that clearly identifies the purpose or purposes of the
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particular request for health information. The “check off” system in the draft consent
form could be fashioned to meet this requirement.
[69] Question 6
As I understood employer counsel, the employer’s practice is to obtain a new consent
every time further clarification of health information is required. While this practice is
not reflected in the current form, the practice would in fact exceed the standard
required in current arbitral jurisprudence. Thus in Re Canadian Bank Note Co.
(supra) at para.39, arbitrator Surdykowski wrote:
39 An employee cannot be required to sign a forward-looking consent
that may exclude him from the confidential medical information loop. A
consent which purports to do so or which gives the employer prospective permission to access an employee’s confidential medical information is prima facie inappropriate, particularly where the consent purports to
permit the employer to initiate direct contact with a doctor or other
custodian of confidential medical information without notice to the employee. Although I wrote in Hamilton Health Sciences Corp (and in
Providence Care mental Care Corp., at paragraph 38) that a separate consent should be required for every contact, I am now persuaded (by Central Care Corp., at paragraph 38) that a separate consent is not
required for every communication with the specifically identified medical health professional identified in the consent. However, every contact with the medical health professional should at least be with prior notice to the employee of the intended contact and its purpose, and be limited to what is reasonably necessary in the circumstances.
In Re Sunnybrook Health Sciences Centre, (supra), at para. 42 arbitrator Knopf wrote:
Secondly, the form promises that the OHS Department will advise the employee if the supplemental information is required from the doctor after the
completed form is submitted. The Occupational Health and Safety
Department has been advising employees when additional information and/or clarification has been sought from doctors. This is appropriate. However, for the consent to be meaningful, the employee should be advised that additional information is being requested and why it is being requested before the doctor
is contacted directly. That will allow the employees to revoke their consent “in writing” if they so choose. To advise employees after the fact makes the ability to revoke the consent academic.
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[70] Question 7
Yes. The consent form should be directed to a specific and identified health care
provider. The consent is not to be used to contact anyone other than that individual.
The union indicated that it has no concern about the consent form or the employer’s
practice in this regard.
[71] Question 8
A consent, even in the absence of a specific expiry date, would not be legally binding
indefinitely, since the employee in any event has the right to revoke his consent at
any time. The consent form in use, while not identifying a temporal time limit, is time
limited in effect since it is of no force after one use. The employer has accepted that
a consent form may not be used more than once.
[72] By way of remedy, the employer is directed to change its practices and processes to
be in compliance with this decision as necessary. In addition, the relevant
documents used including the Guide, the consent form, the cover letter etc. should be
amended to be consistent with the actual practices, so that the employee would
clearly be aware of what exactly he/she is consenting to and how the employer would
be sharing the information. This would also assist to achieve consistency in the
implementation of policy and practice by managers and HR Specialists throughout
the province.
[73] The Board remains seized of the grievance. The hearing will continue as scheduled
to deal with any further issues the parties may wish to put before the Board.
Dated at Toronto, Ontario this 18th day of July 2017.
Nimal Dissanayake, Arbitrator