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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> Jesudason v Alder Hey Children's NHS Foundation Trust [2020] EWCA Civ 73 (31 January 2020) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2020/73.html Cite as: [2020] IRLR 374, [2020] ICR 1226, [2020] EWCA Civ 73, [2020] WLR(D) 67, [2020] Med LR 105 |
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ON APPEAL FROM THE EMPLOYMENT APPEAL TRIBUNAL
SOOLE J, MRS C. BAELZ AND MR B BEYNON
UKEAT/0248/16/LA
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE BAKER
and
SIR PATRICK ELIAS
____________________
MR EDWIN JESUDASON |
Appellant |
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- and - |
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ALDER HEY CHILDREN'S NHS FOUNDATION TRUST |
Respondent |
____________________
Mr Simon Gorton QC (instructed by Weightmans LLP) for the Respondent
Hearing dates: 19 and 20 November 2019
____________________
Crown Copyright ©
Sir Patrick Elias:
Introduction.
"An Act to protect individuals who make certain disclosures of information in the public interest: to allow such individuals to bring action in respect of victimisation; and for connected purposes."
The law which gives effect to the simple principle enunciated in the long title is far from straightforward. The basic principle, set out in section 47B of the Employment Rights Act, is that a worker has the right not to be subject to a detriment by any act of his employer on the grounds that he has made what is termed a "protected disclosure". The main focus of this appeal is the appellant's claim that he was unlawfully victimised for whistle-blowing and that the courts below were wrong to find otherwise. He also makes a separate claim for race discrimination, also rejected in the courts below, which I consider at the end of this judgment.
The facts
The Law
"A worker has the right not to be subjected to any detriment by any act, or any deliberate failure to act, by his employer done on the ground that the worker has made a protected disclosure."
In this case the claimant was not actually employed by the respondent when the disclosures were made. He had already resigned. However, section 43K has an extended definition of worker which includes former workers. In Woodward v Abbey National plc [2006] EWCA Civ 822; [2006] IRLR 677, the Court of Appeal held that this does not only allow a worker to take proceedings after having ceased employment with respect to acts taken whilst he was still employed; it also enables former workers to have the right not to be victimised by detriments suffered after their employment has ended. In Oyango v Berkeley Solicitors [2013] 1 WLUK 497; [2013] IRLR 338, the EAT held that a whistle-blowing claim could also be lodged for alleged victimisation for post-employment disclosures. The ET held that the Oyango principle was applicable here (para.96). In so doing it rejected an argument that the appellant had been acting as a campaigner rather than in his capacity as a worker and was therefore disentitled to claim protection. There is a cross appeal against that finding, essentially on the basis that the ET's decision on this point was unreasoned. For the purposes of this appeal, I will assume that the ET ruling on the point was correct.
Protected disclosure
"In this Act a "protected disclosure" means a qualifying disclosure (as defined by section 43B) which is made by a worker in accordance with any of sections 43C to 43H."
"In this Part a qualifying disclosure " means any disclosure of information which, in the reasonable belief of the worker making the disclosure, is made in the public interest and tends to show one or more of the following—
(a) that a criminal offence has been committed, is being committed or is likely to be committed,
(b) that a person has failed, is failing or is likely to fail to comply with any legal obligation to which he is subject,
(c) that a miscarriage of justice has occurred, is occurring or is likely to occur,
(d) that the health or safety of any individual has been, is being or is likely to be endangered,
(e) that the environment has been, is being or is likely to be damaged, or
(f) that information tending to show any matter falling within any one of the preceding paragraphs has been, is being or is likely to be deliberately concealed."
"(1) A qualifying disclosure is made in accordance with this section if—
(a) ...
(b) [the worker] reasonably believes that the information disclosed, and any allegation contained in it, are substantially true,
(c) he does not make the disclosure for purposes of personal gain,
(d) any of the conditions in subsection (2) is met, and
(e) in all the circumstances of the case, it is reasonable for him to make the disclosure.
(2) The conditions referred to in subsection (1)(d) are—
(a) that, at the time he makes the disclosure, the worker reasonably believes that he will be subjected to a detriment by his employer if he makes a disclosure to his employer or in accordance with section 43F,
(b) that, in a case where no person is prescribed for the purposes of section 43F in relation to the relevant failure, the worker reasonably believes that it is likely that evidence relating to the relevant failure will be concealed or destroyed if he makes a disclosure to his employer,
(c) that the worker has previously made a disclosure of substantially the same information—
(i) to his employer, or(ii) in accordance with section 43F.
(3) In determining for the purposes of subsection (1)(e) whether it is reasonable for the worker to make the disclosure, regard shall be had, in particular, to—
(a) the identity of the person to whom the disclosure is made,
(b) the seriousness of the relevant failure,
(c) whether the relevant failure is continuing or is likely to occur in the future,
(d) whether the disclosure is made in breach of a duty of confidentiality owed by the employer to any other person,
(e) in a case falling within subsection (2)(c)(i) or (ii), any action which the employer or the person to whom the previous disclosure in accordance with section 43F was made has taken or might reasonably be expected to have taken as a result of the previous disclosure, and
(f) in a case falling within subsection (2)(c)(i), whether in making the disclosure to the employer the worker complied with any procedure whose use by him was authorised by the employer."
(1) the worker must have a reasonable belief that the disclosure, and any allegations implicit in it, are substantially true;
(2) the disclosure must not be made for personal gain;
(3) there must be a justifiable reason falling within subsection (2) for not raising the matter with the employer or a prescribed body rather than some other body; and
(4) in all the circumstances of the case, it must be reasonable to make the disclosure.
"….in my view, section 43G provides a collection of partially overlapping requirements, any one of which, if not fulfilled, will defeat a worker's right to maintain that his disclosure is "protected" within the meaning of the Act. Whether, in the circumstances of any particular case, the claim is defeated on that account is essentially a matter for the employment tribunal to assess on a broad and common-sense basis as a matter of fact, in the light of each of the requirements in paragraphs (a) to (e) of subsection (1). Whether it approaches the question through one or more than one of those requirements and whether or not they overlap is essentially a matter for its evaluation on the evidence before it."
Detriment
"67…. In that connection, Brightman LJ said in Ministry of Defence v Jeremiah [1980] ICR 13 at 31A that "a detriment exists if a reasonable worker would or might take the view that the [treatment] was in all the circumstances to his detriment".
68. That observation was cited with apparent approval by Lord Hoffmann in Khan [2001] ICR 1065, para 53. More recently it has been cited with approved in your Lordships' House in Shamoon v Chief Constable of the Royal Ulster Constabulary [2003] ICR 337. At para 35, my noble and learned friend, Lord Hope of Craighead, after referring to the observation and describing the test as being one of "materiality", also said that an "unjustified sense of grievance cannot amount to 'detriment'". In the same case, at para 105, Lord Scott of Foscote, after quoting Brightman LJ's observation, added: "If the victim's opinion that the treatment was to his or her detriment is a reasonable one to hold, that ought, in my opinion, to suffice"."
"On the ground that"
"In my judgment, the better view is that section 47B will be infringed if the protected disclosure materially influences (in the sense of being more than a trivial influence) the employer's treatment of the whistle-blower."
"Contrary to views sometimes stated, the third ingredient ('by reason that') does not raise a question of causation as that expression is usually understood. Causation is a slippery word, but normally it is used to describe a legal exercise. From the many events leading up to the crucial happening, the court selects one or more of them which the law regards as causative of the happening. Sometimes the court may look for the 'operative' cause, or the 'effective' cause. Sometimes it may apply a 'but for' approach. For the reasons I sought to explain in Nagarajan v London Regional Transport [2001] 1 AC 502, 510-512, a causation exercise of this type is not required either by section 1(1)(a) or section 2. The phrases 'on racial grounds' and 'by reason that' denote a different exercise: why did the alleged discriminator act as he did? What, consciously or unconsciously, was his reason? Unlike causation, this is a subjective test. Causation is a legal conclusion. The reason why a person acted as he did is a question of fact."
Analysing the claims.
The alleged disclosures relied upon.
1. 5 September 2013; disclosures in the form of a letter sent to the Right Hon. Margaret Hodge MP, chair of the Public Accounts Committee of the House of Commons with copies sent to various recipients including the Health Secretary and the chair of the CQC.
2. 10 September 2013; disclosures to Channel 4.
3. 21 October 2013; further disclosures to Channel 4.
4. 29 April 2014; disclosures to the BBC.
5. 23 June 2014; disclosures in a speech to the British Medical Association.
6. 16-19 October 2014; disclosures in an academic presentation to the European Association of Paediatric Societies ("EAPS").
Were there any detriments?
(1) There were letters from Sir David Henshaw, the Chairman of Alder Hey, to four parties. Item 5.3 was a letter dated 22 October 2013 which Sir David wrote to the Right Honourable Margaret Hodge MP, chair of the Public Accounts Committee which was in terms said to be a response to the letter which the appellant had sent to the PAC. It included an Annex, Annex A, which set out the Trust's position more fully. Item 5.5 was a letter dated 24 October sent to the chair of the CQC which was a response to an interview which the appellant had given on Channel 4 News in which he had said he was due to have a meeting with the CQC. Sir David said that the letter was designed to help the CQC "to understand the background to Mr Jesudason's issues with the Trust". The PAC letter was included to provide fuller briefing. The third letter, item 5.6, was sent to David Davis MP on 29 November 2013 and again included the PAC letter. This was in response to comments which Mr Davis had made in Parliament relating to the appellant's allegations and which the Trust believed to be false. Item 5.8 was a fourth letter sent to the Chair of the BMA in response to what Sir David felt were inaccurate and untruthful allegations about the Trust made by the appellant in his speech to the BMA Annual Representative Meeting. This letter also included the Annex A of the PAC letter.
(2) Item 5.4 was an internal email dated 23 October sent by Louise Shepherd, the Chief Executive of the Trust, to all the consultants at Alder Hey. This was intended to inform them of the media involvement in these matters and to reassure them that the Trust would support the department and protect the reputation of the Trust.
(3) Item 5.9 was a letter to representatives of EAPS from Rick Turnock, then Medical Director, responding to an e-poster in which the appellant had misrepresented certain matters and in particular had repeated his false account of having been dismissed by the Trust for his whistle-blowing activities, and having been promised payments to keep quiet. Mr Turnock sought to present the Trust's position and requested the immediate removal of the poster.
(4) Item 5.10 was an exhibit to a statement from Matthew Jones to the GMC provided in part at its request as part of the GMC's investigation into the appellant following receipt of the letters from Professor Lewis. This was a very detailed document which, inter alia, contained an account of how it became obvious that the claimant had wrongly and unlawfully disclosed confidential documents to Private Eye. It also gave a very detailed and considered rebuttal of the serious and, as Professor Jones understandably described them, distressing and wounding criticisms of both his colleagues and him personally.
"'Each of Mr Jesudason's allegations have been thoroughly and independently investigated by different professional bodies on a number of occasions and found to be completely without foundation". "
In all but items 5.5 and 5.9 the letters go on to say that the appellant's persistent campaign was "weakening genuine whistle-blowing", adding that "we have reported his conduct to the GMC".
"The Trust was anxious to do a number of things by issuing the media statements and the letters to the various MPs etc, which was to protect its own staff, to confirm to its patients within the catchment area that the Trust is a safe place for them to bring their children and to try to quell the media interest that was in danger of overwhelming the Trust."
"Nothing in the correspondence caused a detriment to Mr Jesudason. The letters sought to give the opposing view to Mr Jesudason's allegations."
"However, we find that no reasonable worker/employee would consider the comments referred to in paragraph 5 of the list of issues as detriments. Those comments were made either without the knowledge of the author (Professor Lewis) of the whistle-blowing, or in an attempt to protect the Trust against potential criticism from the press or other bodies, or wanting to put the record straight."
Causation: the" reason why" question.
"The Trust was anxious to do a number of things by issuing the media statements to the letters to the various MPs etc., which was to protect its own staff, to confirm to its patients within the catchment area that the Trust is a safe place for them to bring their children and to try to quell the media interest that was in danger of overwhelming the Trust."
Race Discrimination.
"(1) A person (A) discriminates against another (B) if, because of a protected characteristic, A treats B less favourably than A treats or would treat others."
It requires a comparison between the claimant and either an actual or a hypothetical comparator.
"(2) If there are facts from which the court could decide, in the absence of any other explanation, that a person (A) contravened the provision concerned, the court must hold that the contravention occurred.
(3) But subsection (2) does not apply if A shows that A did not contravene the provision."
"The authorities demonstrate that there is a two-stage process. First, the burden is on the employee to establish facts from which a tribunal could conclude on the balance of probabilities, absent any explanation, that the alleged discrimination had occurred. At that stage the tribunal must leave out of account the employer's explanation for the treatment. If that burden is discharged, the onus shifts to the employer to give an explanation for the alleged discriminatory treatment and to satisfy the tribunal that it was not tainted by a relevant proscribed characteristic. If he does not discharge that burden, the tribunal must find the case proved."
(1) Was C subjected to any of the alleged detriments because of his race?
(2) Is it appropriate to infer that C's race was a significant influence in the treatment by reference to:
[Then sixteen matters were identified which allegedly justified such an inference.]
(3) Was the reason the R treated the C the way it did in relation to the alleged detriments that it wanted to defend its reputation against the unjustified claims by the C?
"With regard to those claims post December 2012 any employee or ex-employee of the Trust, whatever their race, who made the sort of accusations that Mr Jesudason made against his colleagues which had either been dealt with and/or were allegations to which a response was needed (either to the press or some external body) would have been dealt with in the same way by the Trust whatever their race."
"52. In a perfect world, any ground for doubting the evidence of a witness ought to be put to him, and a judge should only rely on a ground for disbelieving a witness which that witness has had an opportunity of explaining. However, the world is not perfect, and, while both points remain ideals which should always be in the minds of cross-examiners and trial judges, they cannot be absolute requirements in every case. Even in a very full trial, it may often be disproportionate and unrealistic to expect a cross-examiner to put every possible reason for disbelieving a witness to that witness, especially in a complex case, and it may be particularly difficult to do so in a case such as this, where the Judge sensibly rationed the time for cross-examination and the witness concerned needed an interpreter. Once it is accepted that not every point may be put, it is inevitable that there will be cases where a point which strikes the judge as a significant reason for disbelieving some evidence when he comes to give judgment, has not been put to the witness who gave it.
53. Mr Parker relies on a general rule, namely that "it will not do to impeach the credibility of a witness upon a matter on which he has not had any opportunity of giving an explanation by reason of there having been no suggestion whatever in the course of the case that his story is not accepted", as Lord Herschell LC put it in Browne v Dunn (1893) 6 R 67, 71. In other words, where it is not made clear during (or before) a trial that the evidence, or a significant aspect of the evidence, of a witness (especially if he is a party in the proceedings) is challenged as inaccurate, it is not appropriate, at least in the absence of further relevant facts, for the evidence then to be challenged in closing speeches or in the subsequent judgment. A relatively recent example of the application of this rule by the English Court of Appeal can be found in Markem Corpn v Zipher Ltd [2005] RPC 31.
54. The Judge's rejection of Mr Ng's evidence, and his reasons for rejecting that evidence, do not infringe this general rule, because it was clear from the inception of the instant proceedings, and throughout the trial that Mr Ng's evidence as to the basis on which the Shares were transferred in October 2011 was rejected by Madam Chen. Indeed, Mr Ng was cross-examined on the basis that he was not telling the truth about this issue. The challenge is therefore more nuanced than if it was based on the general rule: it is based on an objection to the grounds for rejecting Mr Ng's evidence, rather than an objection to the rejection itself. It appears to the Board that an appellate court's decision whether to uphold a trial judge's decision to reject a witness's evidence on grounds which were not put to the witness must depend on the facts of the particular case. Ultimately, it must turn on the question whether the trial, viewed overall, was fair bearing in mind that the relevant issue was decided on the basis that a witness was disbelieved on grounds which were not put to him."
Disposal.
Lord Justice Baker.
Lord Justice Henderson.