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You are here: BAILII >> Databases >> Scottish Court of Session Decisions >> Diosynth Ltd v. Thomson [2006] ScotCS CSIH_5 (01 February 2006)
URL: http://www.bailii.org/scot/cases/ScotCS/2006/CSIH_5.html
Cite as: 2006 GWD 4-81, [2006] CSIH 5, [2006] ScotCS CSIH_5, [2006] IRLR 284, 2006 SLT 323, 2006 SC 389

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EXTRA DIVISION, INNER HOUSE, COURT OF SESSION

 

Lord Osborne

Lord Philip

Lord MacLean

 

 

 

 

 

 

[2006] CSIH 5

XA25/05

 

OPINION OF THE COURT

 

delivered by LORD PHILIP

 

in

 

APPEAL

 

against

 

an Order and Judgment of the Employment Appeal Tribunal dated 13 December 2004 and issued on 31 January 2005

 

in the cause

 

DIOSYNTH LIMITED

Appellants;

 

against

 

MORRIS THOMSON

Respondent:

 

_______

 

 

Act: Truscott, Q.C.; Simpson & Marwick, WS

Alt: Napier, Q.C.; Allan McDougall & Co., SSC

 

1 February 2006

 

[1] This is an appeal by Diosynth Limited, the appellants, from a decision of the Employment Appeal Tribunal issued on 31 January 2005. The respondent is Morris Thomson who was employed by the appellants from January 1996 until he was dismissed on 21 December 2001. He subsequently complained that his dismissal was unfair and applied to the Employment Tribunal for a determination to that effect. After a lengthy hearing, in which the respondent's case was heard along with those of two other employees who were dismissed on the same day, the Employment Tribunal, by a majority decision, dismissed his complaint. He then appealed to the Employment Appeal Tribunal who sustained his appeal and granted the appellants leave to appeal to this court.

[2] The appellants are part of the Pharmaceutical Division of the Akzo Nobel group of companies which is based in the Netherlands and employs about 66,000 people worldwide. At their factory at Buckhaven in Fife they employ about 170 people producing chemicals for use by major companies in the pharmaceutical industry. At the factory around 70 raw chemicals, in liquid, solvent or powder form, are processed to produce chemical compounds which in turn are made into drugs by the appellants' customers. The processes are in fact chemical reactions carried out on an industrial scale.

[3] The production of any chemical product is highly regulated and controlled. Standards are imposed by various national and international agencies which must be complied with by the appellants. They also follow a worldwide protocol aimed at ensuring high standards in the manufacture of drugs and medical products known as Good Manufacturing Practice (GMP). The appellants' policies and practices, including those relating to health and safety, are audited, and their production processes closely monitored by their customers in order to ensure that they, the customers, receive chemicals of the highest quality. Since the processes take the form of chemical reactions there is a constant risk of accidents, in the form of explosions or leakage of chemicals, which could affect the health and safety of employees. The appellants have established a system of safety, health and environmental rules of procedure, known as SHERPs rules, which all employees are required to follow.

[4] In the light of all these factors the appellants have a highly developed training programme for their employees aimed at developing knowledge and skills with a view to ensuring that each employee understands his role in the process, its relationship to the roles of others, and its impact on quality. The programme, in which the respondent's customers maintain a keen interest, includes training on health and safety awareness, including the SHERPs rules. All employees also complete three GMP training modules which emphasise the importance of completing production records fully and accurately.

[5] The training programme undergone by the respondent who was employed as an operator, began with induction which included instruction on a process known as "inerting" and its safety implications. This process is explained in greater detail below. After induction, employees were trained in every step of the processes in which they were to be involved. There was no dispute that the respondent was trained in, and understood, the importance of the process which he was subsequently accused of failing to follow.

[6] A document known as a Standard Batch Process Record Sheet (SBPRS) was prepared for each chemical process and included detailed information about each step of the process and the equipment necessary to perform it. Throughout the training programme it was made clear to all operators that there required to be 100% compliance with the instructions on the SBPRS. Some of the steps involved the operator who carried them out in signing the SBPRS to confirm that the step had been performed. In some instances specific information had to be inserted in connection with the particular step. Sheets were not to be completed in advance nor were they, generally, to be completed retrospectively. Only where there was certainty that the step in question had been carried out had a supervisor or production manager the authority to agree to an operator signing the form retrospectively. Once a production process was complete the SBPRS was scrutinised by a number of individuals at management level who checked that the sheet was properly completed and that the measurements recorded (for example, the temperature of the product at different times or the pressure level achieved at certain stages) were within the limits allowable for the production of a chemical of the required quality.

[7] The appellants' disciplinary policy document provided that "serious breach of safety rules, potentially involving loss of life or limb" and "flagrant failure to follow company documentary procedures and regulations" would be treated as acts of gross misconduct.

[8] Many of the processes carried out at the factory involved putting chemicals into containers known as vessels or dryers. This process was known as charging. Some of the processes involved charging dryers with chemicals through hatches. The process of charging vessels or dryers frequently involved the step known as inerting. Inerting was effected by the operator pumping air out of the container, thus creating a vacuum inside the vessel or dryer and replacing it with nitrogen, an inert gas, in order to prevent accidental combustion. The gas pressure in the vessel or dryer was reduced below atmospheric pressure. Operators were trained and instructed by SBPRS to evacuate the vessels or dryers to minus 0.7 bar before introducing nitrogen. At minus 0.7 bar the amount of oxygen left in the container was less than that required to support combustion. The process of inerting also provided a check that all the valves on the container were closed so that the risk of chemical spillage from the container was minimised. It was not disputed by the respondent that failure to inert was a breach of a safety rule which could lead to explosion and result in loss of life or injury. The need to inert was strongly emphasised by the appellants in their training programme and the respondent accepted that he was well aware of the requirement to inert and that the process was related to safety.

[9] Each time an employee carried out the inerting process he was required to enter in the SBPRS the start and finish times of the procedure and the level of vacuum achieved, and to sign the entry. This level of detail was required in order to maximise compliance on the view that a requirement to record accurate measurements was more likely to ensure that the operator performed the step properly. The system of ensuring that all steps in the production of a particular chemical were properly performed and accurately recorded operated largely on the basis of trust in respect that the appellants trained their staff thoroughly and impressed upon them the importance of carrying out their part in the process to the required standard.

[10] In November 1998 an incident occurred in the factory which led to a chemical spillage. The spillage was caused by the failure of an employee to inert a vessel prior to loading chemicals into it. The process of inerting would have revealed that one of the valves on the vessel was open and the incident would not have occurred. The employee tried to cover up the spillage rather than report it to his supervisor and falsified the process documentation. As a result he was dismissed. During the course of the investigation of the incident other failures were discovered and the appellants' managing director and site operations manager held joint briefings with all employees, including the respondent, in December 1998. At each briefing it was emphasised that the employee in question had failed to follow the steps on the SBPRS, including those relating to inerting, that he had thus endangered himself and others, and that he had also falsified entries on the SBPRS. It was made clear that all steps in the SBPRS and in the GMP protocols had to be followed, that authorisation was required before a step could be missed out, and that no false entries or entries made in anticipation of the relevant step being taken would be tolerated. It was made clear that the employee in question had been dismissed and the respondent, along with all those who attended the briefings, gave an absolute commitment that in future he would comply with the SBPRS steps and all other requirements.

[11] In July 2000 the respondent was disciplined for failing to inert a vessel. He received a written warning and was suspended without pay for 3 days. As a result of failing to inert, he failed to close a valve in the vessel and a leakage of methanol occurred. After that failure had been discovered, the respondent assured the site operations manager that it was an isolated incident and that he would always inert in future. He was told that any further failure to inert would result in disciplinary action. The written warning was in the following terms:

"This letter confirms our discussion and the outcome of your disciplinary interview with myself in the presence of Kevin Duncan and Damien Slorach on 14 July 2000.

During the Incident Investigation, 13 July 2000, following a high methanol concentration found in the Sentencing Tanks on 12 July 2000, it came to the attention of the Management Team that there was a serious breach of a safety procedure that had the potential to lead to loss of life.

This letter is a written warning under our Disciplinary and Grievance Procedure. You failed to inert vessel VO86 in the early morning of Tuesday 11 July 2000. The failure to inert the vessel was identified when an investigation was initiated to identify the root cause of a high methanol reading in the Sentencing Tank. Inerting of vessels prior to charging a flammable liquid is a precaution to eliminate the likelihood of static induced explosions. The requirement to inert is clearly stated and well understood by yourself.

In addition to this written warning, you are suspended without pay for 3 days starting on Tuesday 18 July 2000.

In future it is expected that you will adhere in detail to all Safety, Health and Environmental procedures. Your performance in respect to this will be reviewed by your line manager on a regular basis.

This letter will stay on your record for a period of 12 months."

Despite the terms of the last sentence the letter remained in the respondent's personnel file until the events of November and December 2001.

[12] On 11 November 2001 an explosion occurred while an operator was carrying out a routine operation of charging a dryer with a chemical through a hatch. As a result of the explosion the operator later died. Immediately after the accident all production work at the factory ceased and a joint investigation was launched by the appellants and the Health and Safety Executive. The investigation showed that failure to inert vessels and dryers was more widespread than the management had thought, and it emerged that the respondent was one of 18 operators who had failed to inert a vessel or dryer on one or more of the last three occasions for which information was available. The 18 operators were told that the matter was to be treated as disciplinary and that the allegations against them had been classified as potential gross misconduct. They were advised of their rights and disciplinary hearings were held. The respondent accepted that he had failed to inert a vessel on three separate occasions, on 26 and 27 October and 3 November 2001 and that he had made false entries on the SBPRS in relation to those failures. Specific start and finish times and levels of vacuum achieved had been entered on each occasion, although no inerting had taken place.

[13] Following a disciplinary hearing in December 2001 the appellants' Managing Director and Human Resources Director, in the light of the warning issued to the respondent in July 2000, concluded that he was incapable of following clear safety instructions even when they had been specifically brought to his attention in a disciplinary context. They had lost confidence in his ability to protect his own safety and that of others and considered that it was unlikely that he would respond positively to a further warning, having failed to learn a lesson from the previous warning. They concluded further that additional training would not provide a suitable remedy since the respondent had already been trained in the relevant procedures and was not lacking in knowledge or skill. His difficulty in understanding the need to follow safety procedures could lead to injury to himself and to others. In these circumstances it was concluded that the respondent should be summarily dismissed. The appellants' position was that the fact the respondent had been warned previously was a crucial factor in the decision to dismiss him. They made it clear that had he not received the previous warning he would not have been dismissed. The respondent's letter of dismissal stated:

"This decision has been reached due to the seriousness of this matter and due to you receiving a previous warning for the same issue. It is clear that you are well aware of the serious nature of the failure to inert vessels, but that you are not able or not willing to respond to a written warning on the failure to inert".

[14] An internal appeal hearing took place on 9 January 2002 before the Health and Safety/Environmental Manager of the appellants' parent company Akzo Nobel, but the respondent's appeal was unsuccessful.

[15] When he gave evidence to the Tribunal the site operations manager said that with hindsight he found it difficult to justify not having issued a warning to the respondent which was to remain on his record forever. In evidence the respondent accepted that the phase "In future" where it appeared in the penultimate paragraph of the warning letter referred to all time coming rather than a period of 12 months. At the disciplinary hearing in December 2001 the respondent said that he had learnt his lesson from his failure to inert in July 2000 and always inerted. It appeared, however, that, despite the earlier warning, he had continued to fail to inert.

[16] The majority of the Employment Tribunal took the view that the warning was part of the overall context in which management had come to a conclusion about how to deal with the respondent. The appellants' business was one in which safety risks were high. The respondent was a well-trained and experienced employee. He had previously failed to inert and had falsified the SBPRS and had given an assurance that he would always inert in future. The warning had told him that he was expected to adhere to all the safety, health and environmental procedures for the remainder of his employment. He had subsequently failed to inert a vessel and falsified the SBPRS on three occasions. In these circumstances the majority were of the view that it was reasonable to take account of the fact that a warning had been issued in the past, even though it had expired, as part of the relevant history of events, and concluded that the dismissal of the respondent was within the band of reasonable responses.

[17] The minority of the Tribunal held that the appellants had not been entitled to take account of the previous warning because it had expired. It was not stated to be a final written warning. In these circumstances the appellants had failed to communicate the seriousness with which they viewed failure to inert. The minority therefore took the view that a reasonable employer would not have dismissed the respondent but would have given him the opportunity to show that he could learn the message about the need to inert by giving him a final written warning, if need by supplemented by enhanced supervision. The appellants had not behaved in the way that a reasonable employer would and the dismissal was therefore unfair.

[18] The respondent appealed to the Employment Appeal Tribunal who agreed with the minority to the effect that the decision to dismiss the respondent, which took into account the warning which had elapsed, was unfair and that to hold otherwise would be perverse.

[19] Section 98(1) of the Employment Rights Act 1996 provides:

"(1) In determining for the purposes of this Part whether the dismissal of an employee is fair or unfair, it is for the employer to show -

(a) the reason (or, if more than one, the principal reason) for the

dismissal, and

(b) that it is either a reason falling within subsection (2) or some other substantial reason of a kind such as to justify the dismissal of an employee holding the position which the employee held.

(2) A reason falls within this subsection if it-

(a) relates to the capability or qualifications of the employee for

performing work of the kind which he was employed by the employer to do,

(b) relates to the conduct of the employee,

(c) is that the employee was redundant, or

(d) is that the employee could not continue to work in the position

which he held without contravention (either on his part or on that of his employer) of a duty or restriction imposed by or under an enactment.

...

(4) Where the employer has fulfilled the requirements of subsection (1), the determination of the question whether the dismissal is fair or unfair (having regard to the reason shown by the employer)-

(a) depends on whether in the circumstances (including the size

and administrative resources of the employer's undertaking) the employer acted reasonably or unreasonably in treating it as a sufficient reason for dismissing the employee, and

(b) shall be determined in accordance with equity and the

substantial merits of the case."

Mr. Truscott, Q.C. for the appellants argued that the fairness or unfairness of the respondent's dismissal depended upon whether the appellants had acted reasonably in all the circumstances of the case. The Employment Appeal Tribunal had treated the issue of the expired warning as one of absolute principle. In doing so they erred, since the determination of the reasonableness of the appellants' action depended on all the circumstances, including the whole terms of the warning letter and the previous undertaking given by the respondent in relation to the same issue. When all these matters were taken into account it could not be said that the appellants acted unreasonably and it was not for the Employment Appeal Tribunal to substitute its own decision for that of the Employment Tribunal. There was no legal principle involved and the Employment Appeal Tribunal ought to have confined itself to asking whether the Employment Tribunal's decision was one to which no reasonable Tribunal could have come. He submitted that the Employment Tribunal's response was within the band of reasonable responses and could not be said to be perverse. Reference was made to Bailey v B.P. Oil (Kent Refinery) Limited [1980] I.C.R. 642; Anglian Home Improvements Limited v Kelly [2004] EWCA Civ 90 242; Aitken v Weatherford U.K. Limited 2005 CSIH 25; Kraft Foods Limited v Fox [1978] I.C.R. 311; Charles v Science Research Council [1977] 12 I.T.R. 208; U.K. Coal Mining Limited v Raby E.A.T. 30 January 2003; William Grant & Sons Limited v Devlin E.A.T. 25 March 2004; Retarded Children's Aid Society Limited v Day [1978] I.C.R. 437; Dobie v Burns International Security Services (U.K.) Limited [1984] ICR 812; McLaren v N.C.B. [1988] I.C.R. 370.

[20] Mr. Truscott argued that the case of William Grant & Sons Ltd. was wrongly decided. The Employment Appeal Tribunal in that case was wrong to find that the dismissal had been unfair on the ground that the employer had taken into account an expired written warning. The Employment Appeal Tribunal had said, at paragraph 10,

"In our view, a final written warning, which is given a time limit, becomes null and void at the expiry of that time limit and should not be used for any purpose."

That statement was too wide. It elevated one factor which fell to be taken into account in considering the reasonableness of the employers decision to dismiss into a legal principle. In the present case the circumstances which required to be considered included the whole terms of the warning letter and the undertakings as given by the respondent, before and after the letter had been issued, to adhere to the safety procedures in future. It was not right to look at the last sentence of the warning letter in isolation. It had to be looked at in the context of all the other factors.

[21] On behalf of the respondent Mr. Napier, Q.C. argued that as a matter of principle an employer was not entitled to rely on a time-expired warning as a determining factor in reaching a decision to dismiss for misconduct. The Employment Appeal Tribunal was right to reverse the determination of the Employment Tribunal on the ground of perversity, and to substitute a finding of unfair dismissal without remitting the matter back to the Employment Tribunal for reconsideration. Reference was made to Salamis (Marine & Industrial) Limited v Forbes 2005 CSIH 57 at paragraph 7, following Melon v Hector Powe Limited 1980 S.C. 188.

[22] The appellants had made it clear that the respondent would not have been dismissed if he had not been the subject of a previous warning. The Employment Tribunal took the view that the warning had not been used in the "traditional" sense of forming the basis for taking disciplinary action of a more severe kind than might have been taken had there been no warning. That was not right. By tipping the balance in favour of dismissal the warning was used as a basis for taking more severe disciplinary action than otherwise might have been taken. The minority member of the Tribunal was right. The appellants should have issued a warning without a time limit if they intended to rely on it.

[23] It was well established that written warnings would be strictly construed contra proferentem. Bevan Ashford v Malin [1995] I.R.L.R. 360. Accordingly, if an employer chose to put a time limit on a warning he could not complain if he was unable to rely on it after expiry. The ACAS Code of Practice 1: Disciplinary and Grievance Procedures 2000 made it clear that the principle that a warning should lapse after time was fundamental to good industrial relations practice. Paragraph 15 of the Code provided that a final written warning should normally be disregarded for disciplinary purposes after a specified period.

[24] In any event, it was a contravention of the principle of fairness for an employer to put a time limit on a warning and then take it into account as a determining factor in a dismissal of an employee for a misdemeanour after the expiry date. An employee had a reasonable expectation that the employer meant what he said. See McLaren v N.C.B.

[25] Section 123(6) of the Employment Rights Act provided for the reduction of any compensation award on the ground of contributory fault on the part of the employee. When the case went back to the Employment Tribunal for the assessment of compensation it would be open to the appellants to argue for the reduction of any award on the basis of the existence of the previous warning.

[26] We consider that the submissions for the respondent should be given effect to. Section 207 of the Trade Union and Labour Relations (Consolidation) Act 1992 provides that if any of the provisions of the ACAS Code of Practice are relevant to a question arising in proceedings before an Employment Tribunal, those provisions should be taken into account by the Tribunal in determining that question. In Lock v Cardiff Railway Company Limited, [1998] IRLR 358, Morison J., giving the judgment of the Employment Appeal Tribunal, said that the Code formed the basis on which employers' conduct should be judged, and should be used by employment tribunals as a guide to "good sound industrial relations". Paragraph 15 of the Code provides that all warnings, including final written warnings, should normally be disregarded for disciplinary purposes after a specified period. Twelve months was given as an example of an appropriate period for a final written warning to remain in force. The clear inference from this provision is that a warning which remains hanging over an employee's head for an indefinite period would not normally be consistent with good industrial relations practice. It would be contrary to the spirit of paragraph 15.

[27] In this case the relevant warning was not stated to remain in force for an indefinite period but, according to the letter of 20 July 2000, was to stay on the respondent's record for 12 months, a period which had expired before the acts of misconduct took place. Nevertheless, in regarding the warning as tipping the balance in favour of dismissal, the appellants acted as if it remained in force beyond the expiry of the 12 month period. Their position was that the other factors, taken together, would not have justified that course of action. In these circumstances, the majority of the Employment Tribunal were, in our view, wrong to say that the warning was not used in the "traditional" sense of forming the basis of more severe disciplinary action than might otherwise have been taken. It clearly was.

[28] The respondent was entitled to assume that the warning letter meant what it said, and that it would cease to have effect after one year. In seeking to extend the effect of the warning beyond that period the appellants, in our view, acted unreasonably. We therefore agree with the conclusion of the Employment Appeal Tribunal that the respondent was unfairly dismissed.

[29] We do not consider that the Employment Appeal Tribunal erred in failing to remit the matter back to the Employment Tribunal for reconsideration. The existence of the warning, although it had expired, was crucial to the Employment Tribunal's decision. Without it the respondent would not have been dismissed. It follows that, if the warning is removed from consideration, the appellants would, on their own admission, have acted unreasonably in dismissing the respondent. In these circumstances no purpose would have been served by remitting the question of the fairness of the dismissal back to the Employment Tribunal.

[30] We therefore refuse the appeal and remit the matter to the Employment Tribunal to consider the question of remedy.

 


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