[2010] FWA 9440 |
|
DECISION |
Fair Work Act 2009
s.394 - Application for unfair dismissal remedy
Mr Wayne Stuart Walker
v
Mittagong Sands Pty Limited T/A Cowra Quartz
(U2010/1241)
COMMISSIONER THATCHER |
SYDNEY, 8 DECEMBER 2010 |
Unfair dismissal - arbitration - concurrent evidence of expert witnesses - exclusion of unlawfully obtained evidence - unauthorised search of employee’s property
[1] On 6 August 2010 Wayne Stuart Walker made application to Fair Work Australia (FWA) under s.394 of the Fair Work Act 2009 (the Act) for an unfair dismissal remedy on the basis that his dismissal as Leading Hand, Cowra Quartz Quarry by Mittagong Sands Pty Limited trading as Cowra Quartz (Cowra Quartz) on 26 July 2010 for misconduct was harsh, unjust or unreasonable. Mr Walker seeks compensation in lieu of reinstatement.
[2] After taking into account the wishes of the parties I considered it appropriate to proceed by way of hearing. 1 Before proceeding to hear and determine the application, I was satisfied of the requirements of s.396 (Initial matters to be considered before merits) of the Act.
[3] Mr Walker’s summary dismissal (without notice) was for misconduct on 2 July 2010. As stated in the letter of termination dated 26 July 2010 to his solicitors:
“Our findings have indicated that Mr Walker did remove company oil without permission and having given us no explanation as to why Mr Walker had the oil in his possession, we have no alternative but to terminate his employment on the basis of theft.” 2
[4] More specifically, Cowra Quartz found that with a 5 litre container, which Mr Walker had on the back of his utility, he had removed diesel engine oil from a 205 litre drum in its workshop shed. Cowra Quartz’ finding followed its obtaining an opinion from its oil supplier (based on the results of an analysis by an analytical laboratory) that a sample of oil that purportedly came from that container ‘without doubt’ came from the batch of oil contained in the drum. Cowra Quartz did not report what it considered to be theft to the police.
[5] Mr Walker has maintained he did not take engine oil from his employer. The contents of his 5 litre container were a mixture of privately purchased oils, including gear oil, which he used to lubricate his chainsaws. After Cowra Quartz made its supplier’s opinion available to Mr Walker, he sought an analysis of oil samples from an alternative analytical laboratory. Whilst he was stood-down Mr Walker was directed to attend formal disciplinary meetings with his manager to discuss the findings of Cowra Quartz’ investigation. Acting on legal advice, Mr Walker attended three disciplinary meetings but refused to respond to the results of the analysis Cowra Quartz had obtained until the further analysis was received. The results of the further analysis, which were received on 29 July 2010 (3 days after he was dismissed), were different to those provided by the supplier.
[6] This case turns on:
(a) Whether Mr Walker stole the oil in his container; and
(b) Whether, in circumstances where Mr Walker maintained that he did not take his employer’s oil, it was reasonable for Cowra Quartz not to allow Mr Walker to refrain from discussing the supplier’s opinion until the results of the analysis from the alternative analytical laboratory became available.
RELEVANT LEGISLATION
[7] Section 385 of the Act relevantly provides:
“Á person has been unfairly dismissed if:
...
(b) the dismissal was harsh, unjust or unreasonable; …”
[8] In Byrne v Australian Airlines Limited the High Court explained these grounds as follows:
“It may be that the termination is harsh but not unjust or unreasonable, unjust but not harsh or unreasonable, or unreasonable but not harsh or unjust. In many cases the concepts will overlap. Thus, the one termination of employment may be unjust because the employee was not guilty of the misconduct on which the employer acted, may be unreasonable because it was decided upon inferences which could not reasonably have been drawn from the material before the employer, and may be harsh in its consequences for the personal and economic situation of the employee or because it is disproportionate to the gravity of the misconduct in respect of which the employer acted.” 3
[9] The criteria for considering whether a dismissal is harsh, unjust or unreasonable is contained in s.387 of the Act which states:
“387 Criteria For Considering Harshness, Etc.
In considering whether it is satisfied that a dismissal was harsh, unjust or unreasonable, FWA must take into account:
(a) whether there was a valid reason for the dismissal related to the person’s capacity or conduct (including its effect on the safety and welfare of other employees); and
(b) whether the person was notified of that reason; and
(c) whether the person was given an opportunity to respond to any reason related to the capacity or conduct of the person; and
(d) any unreasonable refusal by the employer to allow the person to have a support person present to assist at any discussions relating to dismissal; and
(e) if the dismissal related to unsatisfactory performance by the person—whether the person had been warned about that unsatisfactory performance before the dismissal; and
(f) the degree to which the size of the employer’s enterprise would be likely to impact on the procedures followed in effecting the dismissal; and
(g) the degree to which the absence of dedicated human resource management specialists or expertise in the enterprise would be likely to impact on the procedures followed in effecting the dismissal; and
(h) any other matters that FWA considers relevant.”
[10] Section 381(2) of the Act provides that an objective of Part 3-2 (Unfair Dismissal) of the Act is that the procedures and remedies referred to in paragraphs 381(1)(b) and (c), and the manner of deciding on and working out such remedies, are intended to ensure that a ‘fair go all round’ is accorded to both the employer and employee concerned. 4
[11] It is well established that each of the paragraphs in s387 must be considered in determining an application in so far as it has application or is relevant to the circumstances of the case and that a valid reason for the dismissal is only one of the specified matters.
[12] Further, it is accepted that the decision of the Full Bench in King v Freshmore (Vic) Pty Ltd 5 (when considering s.170CG of the Industrial Relations Act 1998) is also applicable to s.387. In that case the Commission indicated its task was not to review the employer’s decision as to what conduct occurred but to determine itself, on the evidence, whether the conduct occurred. It stated:
“[23] When a reason for a termination is based on the conduct of the employee, the Commission must, if it is an issue in the proceedings challenging the termination, determine whether the conduct occurred. The obligation to make such a determination flows from s.170CG(3)(a). The Commission must determine whether the alleged conduct took place and what it involved.
[24] The question of whether the alleged conduct took place and what it involved is to be determined by the Commission on the basis of the evidence in the proceedings before it. The test is not whether the employer believed, on reasonable grounds after sufficient enquiry, that the employee was guilty of the conduct which resulted in termination.”
[13] An allegation of theft by an employee from his or her employer is a serious matter that attracts the operation of the principle in Briginshaw v Briginshaw. 6 The standard of proof remains the balance of probabilities but ‘the nature of the issue necessarily affects the process by which reasonable satisfaction is attained’7 and such satisfaction ‘should not be produced by inexact proofs, indefinite testimony, or indirect inferences’8 or ‘by slender and exiguous proofs or circumstances pointing with a wavering finger to an affirmative conclusion.’9
[14] In Re: R Budd 10 a Full Bench, in considering an unfair dismissal application (under the Workplace Relations Act 1996 in which s.652(3) was the counterpart of s.387 of the Act) indicated that the Briginshaw principle applies to the finding of fact and not to the discretion as to whether a dismissal is harsh, unjust or unreasonable. The Full Bench stated:
“[15] In Neat Holdings Pty Ltd v Karajan Holdings Pty Ltd the High Court pointed out that care needs to be taken in applying what was said in Briginshaw. Furthermore, it would be wrong, for example, to apply a standard of proof higher than the balance of probabilities. ...
[16] In relation to fact finding, the Commissioner analyzed the evidence with care. In making findings he indicated how the findings were reached, in particular why he rejected some evidence and accepted other evidence. There was no error in the fact-finding process. To the extent that this ground involves a contention that the Commissioner did not exercise the statutory discretion properly it should also be rejected. Briginshaw was a case concerned with the nature of findings about conduct. It is potentially misleading and unnecessarily complicated to attempt to apply Briginshaw to the exercise of judgement required once the findings about conduct have been made. Section 652(3) specifies the way in which the discretion is to be exercised and the matters to be taken into account. ...” (footnotes omitted)
FACTS
[15] Evidence was given by:
On behalf of Mr Walker
• Mr Walker
• Mrs Michelle Walker, wife of Mr Walker
• Mr Darren Garnon, expert witness, who agreed to be bound by an Expert Witness Code of Conduct
On behalf of the Cowra Quartz
• Mr Wayne Kelly, Quarry Manager who has been employed by Cowra Quartz since January 2010
• Mr Adrian Arber, a front end loader operator at the quarry
• Ms Deborah Martins, Payroll Clerk, Benedict Group, which includes Mittagong Sands Pty Limited. Ms Martins directly reports to the Financial Controller. In the absence of dedicated human resources personnel she assists with HR issues when they arise. Ms Martins is based in Sydney.
• Dr Richard Michell, expert witness, who prepared his evidence based on an Expert Witness Code of Conduct
[16] Mr Brett Jarvis, Group Operations Manager, who was responsible for the investigation of the allegation against Mr Walker, did not give evidence. Mr Jarvis was identified as a person in the hearing room representing the respondent. 11
[17] Cowra Quartz operates a sand and pebble quarry at which 6 persons are employed. Mr Walker worked hours of 6.30am to 4.30pm, Mondays to Fridays and 6.00am to 12 noon on Saturdays, although he did not work on Saturday 3 July 2010.
[18] There is a gravel covered car park outside the workshop shed where employees park their vehicles. Quarry vehicles use the area between the car park and the front of the shed. The workshop in the shed is used as the main area for the maintenance of vehicles used and maintained by Cowra Quartz. 12 There is also an office on site.
[19] On Friday, 2 July 2010 Mr Walker’s utility was in the car park adjacent to at least two vehicles of other employees, approximately 18 metres 13 from the front of the shed. On the open tray of his utility was personal property, namely two old 5 litre red plastic oil bottles (one on its side), a car battery, rope, a rabbit trap and some sand. The oil bottles were towards the driver’s side of the tray.
[20] Mr Walker’s evidence is that one bottle was 7/8ths full and the other empty. 14 Mr Kelly’s evidence is that both were full15 and that when he opened a bottle ‘it just started oozing out it was that full.’16 I will return to this evidence later.
[21] That morning, Mr Walker and Mr Arber were to work at the wash plant. After loading a work vehicle with tools, Mr Arber drove to the wash plant and Mr Walker was to travel independently (in a loader). After driving to the wash plant Mr Arber drove back to the workshop to obtain more equipment. As he returned, he saw Mr Walker standing beside the passenger side door of his utility, which he describes as ‘hanging around his ute’.
[22] Mr Walker’s evidence is that on arriving at work that day he went to the office to sign in, have a cup of coffee and talk about the work of the day. In the course of preparing the job safety analysis documentation he went to his vehicle to retrieve his safety ear muffs. As he was walking back to the office with the ear muffs he saw Mr Arber driving the work vehicle.
[23] Under cross-examination Mr Arber had difficulty explaining why he had thought it strange that Mr Walker was ‘hanging around’. He agreed that ear plugs or muffs were required at the wash plant. 17 He could not recall whether or not Mr Walker had earmuffs on his arm,18 and he conceded that Mr Walker may have well forgotten his ear muffs and that: ‘I can’t say I’ve taken much notice of what sort of protection he wears.’19
[24] At some stage Mr Arber saw a trail of oil from a drum of oil in the workshop. In his prepared statement he said that this was when he had returned and seen Mr Walker beside his utility. Under cross-examination he was not sure when he first saw the trail, although it was before smoko at 9.00am. 20
[25] Photographs that were subsequently taken on Mr Kelly’s mobile phone and tendered as evidence 21 show several 205 litre drums next to each other in a closed corner of a shed. The photographs show an oil trail on the concrete floor commencing from underneath the hand pump on one of the drums and in a continuous crooked line for a period of approximately 1½ metres. This is followed by a series of periodic drips roughly in a straight line and then intermittent drips across the floor in a direction that is said to be towards the entrance of the shed. There are no photographs showing any drips continuing outside the workshop across the thoroughfare or to the gravel car park. In view of the progressively diminishing size of the drips and lengthening distance between drips across the concrete floor (refer to photograph 1), for reason that the descriptions are general and imprecise, I have not accepted Mr Kelly’s written evidence that the trail ran ‘out the door and in the direction of the car park’22 or Mr Arber’s written evidence that the trail was ‘heading in the direction of the car park.’23 The close-up of the commencement of the oil trail (photograph 3) does not indicate an initial puddle of oil beneath the hand pump.
[26] Late morning, Mr Kelly noticed the oil trail. When he asked Mr Arber about it, Mr Arber said that whilst he had nothing to do with it, he saw Mr Walker ‘hanging around his ute earlier this morning for no reason.’ 24
[27] At some stage Mr Kelly went to Mr Walker’s utility and noticed the 2 oil containers. At some stage Mr Kelly obtained clean empty plastic lunch boxes from the lunch room. At some stage with Mr Arber as his witness and without speaking to Mr Walker, Mr Kelly took an oil sample from one of the containers on the back of Mr Walker’s utility. Mr Arber took a photograph of the sample being poured into a lunch box using Mr Kelly’s mobile phone.
[28] The evidence of precisely what then happened to the oil samples is not precise. However, samples of oil were put into secure containers. I will return to this later.
[29] At 4.30pm that afternoon, during a brief conversation in the yard and not in the presence of a witness, Mr Kelly asked Mr Walker if he had put oil from drums in the shed into his container. Whilst what was said between them is in dispute, both agree that Mr Walker said that he had not taken oil and that the substance in his container was chain saw oil. Mr Kelly did not disclose that he had taken a sample of oil from Mr Walker’s container.
[30] On 6 July 2010 Mr Kelly orally advised Mr Walker that he had taken oil samples and would be getting them tested. In the meantime Mr Walker was stood down on full pay. 25 This was confirmed in a letter dated 7 July 2010 from Mr Kelly to Mr Walker headed ‘Investigation into the allegation of misappropriation’ which included:
“In accordance with our policy and procedure for dealing with these claims, the details of the complaint against you have been forwarded to Brett Jarvis who will be responsible for the investigation of the complaint.” 26
[31] Mr Walker contacted his solicitor and, acting on the solicitor’s advice he secured the top of the bottle in the back of his utility with tape. Mr Walker’s evidence is that nothing had happened to the container since 2 July 2010 and the oil was exactly the same as what was in the container on 2 July 2010. 27
[32] On 7 July 2010 Mr Kelly had a conversation with a director of Cowra Quartz’ oil supplier (the supplier) who advised him to ‘send the samples and we’ll get them tested.’ 28 Two oil samples in secure containers were sent to the director for testing. One was identified as the sample taken from Mr Walker’s container and the other was identified as oil from the workshop drum.
[33] An unsigned letter faxed from the director dated 15 July 2010 on Gulf Western Oil Racing letterhead to Cowra Quartz and Benedict Industries 29 included:
“Dear Wayne,
Further to discussions and your request for our technical team to test and compare two oil samples (Workshop Drum & Ute), I note:
• The analytical results received from Australian Laboratory Services are attached (Sample 7217538 & 7217539)
• Physical tests & Additive levels (contaminents) indicate both samples are in fact 15w40 Heavy Duty Diesel Engine Oil.
• Additive levels (measured in parts per million) indicate without doubt these two samples came from the same batch of Gulf Western TOP DOG XDO 15w40.
• The sample IS NOT chain bar oil. It has no tackafier or EP additives present.” 30
[34] It has not been made clear to FWA whether the director’s notation was meant to be an opinion which he had formed or whether he was relaying another’s opinion. I have not been made aware of the director’s qualifications or expertise.
[35] During the period up to Mr Walker’s dismissal various correspondence was exchanged between Mr Walker’s solicitor and Mr Kelly. During the hearing it became clear that although some of the letters had Mr Kelly’s signature they were, in fact, prepared by Ms Martins. Others had Mr Kelly’s signature block but were actually signed by Ms Martins. Cowra Quartz acknowledges that ‘with the benefit of hindsight, the language used in some of the correspondence from the respondent may appear infelicitous’. 31
[36] Mr Kelly’s letter dated Friday 16 July 2010 to Mr Walker included the following:
“We wish to advise you that our investigations into the allegation of misappropriation has been concluded.
Given the seriousness of the misconduct, I am writing to inform you that you will be required to attend a formal disciplinary hearing on Monday 19 July at 9.30 am at Cowra Quarry.
You may bring a support person with you if you wish.
The meeting will take place with myself, with Michelle Rowe also in attendance.
We wish to advise that scientific testing has been carried out on the oil in question. The testing establishes that this oil is the same as the oil kept on the employer premises. The evidence will be put to you in more detail in the formal disciplinary meeting.
Further, you will have an opportunity during the meeting to respond to the findings of our investigation and we will consider your responses when making our decision on our course of disciplinary action, which may include the termination of your employment with Mittagong Sands Pty Ltd.
Please would you confirm your attendance to this meeting by 9am on Monday 17 July 2010.
Please be advised that a failure to attend the meeting, without valid reason, will constitute a failure to follow a lawful and reasonable direction and may result in disciplinary action up to and including termination of your employment.” 32
[37] After Mr Walker received the letter of Friday 16 July 2010 late in the afternoon, that afternoon he spoke to his solicitor and instructed the solicitor to reply to Cowra Quartz on his behalf. At 8.55am on Monday 19th July 2010 Mr Walker’s solicitor faxed/emailed a letter to Cowra Quartz which included:
“We act for Wayne Walker who has handed to us your letters to him dated 7 July 2010 and 16 July 2010.
We note in your letter of 7 July 2010 you claim that your policy and procedure in detailing with complaints ensure complaints are dealt with promptly and in a manner that is impartial and confidential. Your failure to afford procedural fairness to our client is a matter of real concern to our client.
We note in your letter of 16 July 2010 you claim to have received results from scientific testing on the oil in question.
We require a copy of the scientific testing report before any meeting as proposed by you is held.” 33
[38] On 19 July 2010 Cowra Quartz sent Mr Walker’s solicitors the unsigned letter on Gulf Western Oil Racing letterhead dated 15 July 2010.
[39] Acting on legal advice, Mr Walker did not attended the 10.30am meeting. Later that day Mr Kelly sent a further letter to Mr Walker which included the following:
“FAILURE TO ATTEND DISCIPLINARY MEETING.
As per our letter of 16 July 2010, you were required to attend at meeting regarding the findings of our investigation on Monday 19 July at 10.30 am at Cowra Quarry.
As you did not attend the required meeting, Mittagong Sands Pty regards this action as a failure to follow a lawful and reasonable instruction. Please provide a reason for your failure to attend immediately with reasonable evidence.
This meeting will reconvene at 9.30am on Wednesday 21st July 2010. Please be assured that procedural fairness will be assured. Any further non-attendance may be followed by disciplinary action for failure to follow a lawful and reasonable instruction, which could include termination of your employment.
If you have any exceptional reasons why you are unable to attend this meeting, please let us know as soon as possible so that we may make an alternative time.
Your period of paid stand-down covered the duration of our investigation only, which has been concluded. Therefore we now consider that you are now on unauthorised leave, as of Monday 19th July, which is unpaid.” 34
[40] On 20 July 2010 Mr and Mrs Walker took a 205 litre drum of oil from their shed and the taped up 5 litre container to Orange where, after discussion with Western Battery, they purchased 2 Wear Analysis test kits. After pouring samples of oil into the secure sample pots and labelling them they posted the samples to Valvoline’s Wear Analysis program.
[41] At around 9.30 am on 21 July 2010 Mr Walker, accompanied by Mrs Walker, went to Cowra Quartz and met with Mr Jarvis and Mr Kelly. Mr Walker explained that he had taken steps to obtain a report from experts of his choosing and, acting on legal advice, he would discuss the findings of the Cowra Quartz investigation as soon as that report was available. He handed his employer a letter dated 21 July 2010 from his solicitor that replied to Cowra Quartz correspondence and included:
“You have ignored the fact that when you wrote to our client on 16 July 2010 you asked him to confirm his attendance at the proposed 9.30 meeting that day by 9.00 am on Monday 17 July 2010.
By email to you at 8.55 am on Monday 17 July 2010 we advised you that our client required a copy of the scientific testing report before any meeting as proposed by you is held.
The report was not received in this office until 12:39 pm on 17 July 2010.
The ‘failure to attend’ the proposed meeting on 17 July 2010 at 9.30 am must be patently obvious - our client needed to examine the “scientific test report” and seek advice on it.
He did so on 17 July 2010 and has now taken steps to have a scientific test undertaken by experts of his choosing.
We note your threat that should our client not attend at 9.30 am on Wednesday 21 July 2010, he may be disciplined and may have his employment terminated!
....
Our client will attend a meeting with your company immediately following receipt by him of his test results.
Our client is entitled to have advice from experts of his choosing. When that advice is to hand, we will contact you.” 35
[42] On 21 July 2010, Cowra Quartz replied to Mr Walker’s solicitors. Its letter included the following:
“As per our letter of 16 July 2010, Wayne Walker was required to attend work to discuss the findings of our Investigation on Monday 19 July at 9.30 am at Cowra Quarry.
We required our employee to be on paid stand-down until the conclusion of our investigation. The letter dated 16 July clearly stated that our investigation had been concluded and that he was required at work for the meeting on 19th July 2010. This was a lawful and reasonable instruction.
...
The next stage in our investigation is to ascertain Mr Walker’s responses to the findings of our investigation. We are trying to be as procedurally fair as possible, but cannot do so without speaking to our employee.
We note that Mr Walker is now taking steps to have scientific testing done, however we kindly advise that we require Mr Walker to attend work to discuss our findings forthwith.
Therefore we require Mr Walker to attend another meeting on Friday 23 July at 9.30am. Failure to attend will be classed as a failure to follow a lawful and reasonable Instruction. Mr Walker may bring a support person to the meeting should he wish.
Should Mr Walker have any exceptional circumstances as to why he cannot attend this meeting, Mr Walker should contact us as soon as possible.” 36
[43] On 22 July 2010 Mr Walker’s solicitors sent a lengthy letter to Cowra Quartz which included:
“(p) If, in the light of the above you still require our client to attend at 9.30 am on Friday 23 July 2010, he will attend. However, in the absence of advice from experts of his choosing, he is not in a position to discuss your ‘findings’.” 37
[44] In a letter dated 22 July 2010 Cowra Quartz replied, stating that it still required Mr Walker to attend the meeting on 23 July 2010. 38
[45] Mr Kelly attended the meeting on 23 July 2010, in the company of Mrs Walker, and continued his position that, acting on legal advice, he would not discuss the findings of the Cowra Quartz investigation until the results of the tests he was obtaining were received. Later that day, Cowra Quartz wrote to Mr Walker’s solicitors in terms that included:
“This is to confirm that Mr Walker attended this morning’s meeting at Cowra Quarry and chose to not respond to the findings of our investigation.
Following this mornings meeting, we wish to have a further meeting with Mr Walker at 8.00am on Monday 26 July 2010 at Cowra Quarry.
At the meeting we will give Mr Walker a final opportunity to respond to the findings of our investigation before making our decision on disciplinary action. ...” 39
[46] Mr and Mrs Walker attended the meeting on 26 July 2010. After the meeting Cowra Quartz sent Mr Walker’s solicitors a letter of termination (refer to paragraph 3) which included the following:
“This is to confirm that Mr Walker attended this morning’s meeting at Cowra Quarry and once again chose not to respond to the findings of our investigation.
As a result, we have had no option but to base our decision on disciplinary action on the findings of our investigation alone. ...” 40
[47] Both Mr Garnon and Dr Michell gave evidence of their opinion on the findings of the analysis obtained by the supplier and the analysis obtained directly by Mr Walker. In their evidence the respective samples were identified as follows:
Sample A1 - Mr Kelly’s sample from Mr Walker’s container
Sample A2 - Mr Kelly’s sample from the workshop drum
Sample B1 - Mr Walker’s sample from his container
Sample B2 - Mr Walker’s sample from the diesel drum in his shed
[48] At my request arrangements were made for the expert witnesses to give concurrent evidence (commonly referred to as a ‘hot tub’). Hot tubing does not mean that each witness is cross-examined along traditional lines and after Cowra Quartz’ representative proceeded to cross-examine Mr Garnon, I lead the questioning and within a short period any differences in opinion were mostly resolved.
[49] The net result of their evidence is that:
(a) Samples A1 and A2 are generally consistent with an SAE 15W/40 heavy duty diesel engine oil. They are most probably of the same oil and also probably from the same batch of that oil. The opinion that ‘without doubt’ samples A1 and A2 came from the same batch had been an overstatement.
(b) Sample B1 is probably from an oil of the same formulation as A1 and A2, but not necessarily from the same batch. .
(c) Sample B2 is not consistent with samples A1, A2 or B1.
(d) Dr Michell’s opinion on B2 is that its properties:
(i) are broadly consistent with an SAE 20W/50 gasoline engine oil; or
(ii) they could also be consistent with a mixture of an oil with the properties of samples A1, A2 and B1 and a boral-containing gear oil, but he considered this less likely He could not be unequivocal without information of the oil that was added to B1, but he remained ‘open-minded’; 41.
(e) Mr Garnon’s opinion on B2 is that the level of boron (which is used as a coolant additive, grease additive and extreme pressure additive) is consistent with a mixture of diesel engine oil and gear oil;
(f) Both Dr Michael and Mr Garnon agreed that the results of the analysis of B 2 would be consistent with a mixture of diesel engine oil and gear oil if the addition of gear oil was in the order of 25%. 42
(g) Wear Check had not used the industry standard method in measuring one of the properties of A1 and A2 and the results thereof were about 25% lower than expected.
[50] It is clear from the above that A1 (the sample of oil that Mr Kelly purportedly look from the 5 litre container on the back of Mr Walker’s truck) was not the same oil as B2 (the sample of oil that Mr Walker purportedly took from the same container).
[51] There is no dispute between the parties that A2 and B1 are not the same oils.
s.387(a) - WAS THERE A VALID REASON FOR THE DISMISSAL?
[52] There is a general acceptance that the often quoted words of Northrop J in Selvachandran v Peteron Plastics Pty Ltd (Selvachandran) also apply to the existing provision:
“In its context in s.170DE(1), the adjective ‘valid’ should be given the meaning of sound, defensible or well founded. A reason which is capricious, fanciful, spiteful or prejudiced could never be a valid reason for the purposes of s.170DE(1). At the same time the reason must be valid in the context of the employee’s capacity or conduct …. Further, in considering whether a reason is valid, it must be remembered that the requirement applies in the practical sphere of the relationship between an employer and an employee where each has rights and privileges and duties and obligations conferred and imposed on them. The provisions must ‘be applied in a practical, commonsense way to ensure that’ the employer and employee are each treated fairly, see what was said by Wilcox CJ in Gibson v Bosmac Pty Ltd (1995) 60 IR 1, when considering the construction and application of s.170DC.” 43
[53] I found Mr Walker to be a reliable witness. His evidence was not significantly disturbed under cross examination and reflected a logical process of reasoning. His actions were those of someone who knew he had not taken oil from his employer and was confident that an analysis would prove him innocent. After being accused of stealing and stood down, he consulted a solicitor, following which, out of caution, he taped up his 5 litre container. When the supplier’s opinion did not prove his innocence he suspected that the samples had been tampered with and sought his own analysis. He followed his solicitor’s advice by not discussing the results of what he suspected was a bogus sample with the manager who had made the allegation and taken the sample.
[54] There is an issue that goes to Mr Walker’s credibility in respect of his oral evidence that the mixture of B2 included a ‘splash’ of gear oil. 44 That did not fit well with the experts’ opinion that to achieve the level of dilution necessary to achieve the test results, the splash would have had to be in the order of 25%. Under cross-examination it was put to Mr Walker that 500 mls of gear oil could not be regarded as a splash, that his prepared statement did not say that he added to the mixture from time to time, and that he was recreating events in the light of the expert evidence.
[55] In relation to that issue, I accept Mr Walker’s oral evidence that he was not able to identify the gear oil that he added to his container because as well as having two chainsaws 45 he ‘had various oils for kids’ motorbikes, an old tractor, three trucks and my own work ute’46 and he could have last added to the container in early April 2010.47 I accept the following evidence of Mr Walker:
“MR CASEY: Have you ever changed the mixture?---Yes, it just depends what I throw in the bottle.
What are the factors which you cause you to change the mixture from time to time?---If I mix it up and it’s too tacky and doesn’t want to come out the chainsaw, I add a bit more engine oil. If it’s not tacky enough I throw a bit more gear oil in it.” 48
[56] I accept Mr Walker’s evidence that the amount left in the container determined ‘whether I just add a bit or whatever’ 49 and I find that his method of periodically topping-up the container to be probable. Applying the Briginshaw principle I am not prepared to find that on the balance of probabilities that such method could result in a mixture of diesel engine oil and gear oil that is inconsistent with the evidence of the experts in relation to sample B2.50
[57] I found Mrs Walker to be a truthful witness.
[58] A lot of the evidence of Mr Kelly was vague, inconsistent or improbable. His demeanour did not appear to be that of a truthful witness with a reasonable recollection of events for which he, as the manager of the quarry, was responsible. I consider him to have been an unreliable witness and to the extent that Mr Kelly’s evidence may be inconsistent with my conclusions I prefer the evidence of Mr Walker. Some examples of my concerns with Mr Kelly’s evidence are:
(a) Although Mr Kelly’s evidence was that both containers on the back of Mr Walker’s truck were full (he came to this conclusion by the weight of the other container), he did not explain why he took a sample from only one container particularly when he had ‘no idea’ what was in the second container because he never opened it. 51
(b) Mr Kelly consistently used the plural when referring to samples from Mr Walker’s vehicle, beyond what one would reasonably expect from a slip of the tongue. He stated: ‘I removed a couple of oil samples from the back of the ute into the containers.’ 52 He referred to ‘samples’ which did not include the sample from the 205 litre drum.53 Mr Kelly’s file note of his conversation with Mr Walker on 6 July 2010 refers to samples of the oil which was located on the back of Mr Walker’s vehicle.54 In response to a question: ‘So what did you put the oil from the five-litre container into’, Mr Kelly replied: ‘Two little plastic containers.’55 In response to a question: ‘So what did you do next’, Mr Kelly initially replied: ‘I removed a couple of oil samples from the back of the ute into the containers’.
Mr Arber’s evidence was that he used Mr Kelly’s phone ‘Just to witness him taking samples of the oil’ 56 and there was no photograph of Mr Kelly taking a sample of oil from the drum.
I was left wondering if Mr Kelly did also take a sample from the remnants in the second container and, if so, what happened to it - or if, alternatively, he was somehow using the plural in an attempt to exaggerate the case against Mr Walker - or if indeed he made 2 different samples of oil that he attributed to Mr Walker’s container.
(c) Mr Kelly vacillated between stating that:
(i) the container in the back of Mr Walker’s truck had ‘oil oozing out where it overflowed’; 57 and
(ii) when he opened the bottle the oil ‘just started oozing out it was that full.’ 58
As (ii) was in response to my question I will prefer it as his evidence. It beggars belief that a 5 litre container of oil, after leaving such a significant trail of oil, could be as full as Mr Kelly states.
(d) Mr Kelly’s evidence that he took the photos as he was ‘pouring them out under the guidance of Adrian’, 59 is inconsistent with Mr Arber’s evidence, which I prefer, that Mr Arber took the photos of Mr Kelly taking samples of the oil.60
(e) Mr Kelly’s responses to cross-examination about the advice he received before speaking to Mr Walker without a witness 61 was problematic. At first Mr Kelly’s evidence was that he spoke to no one other than Mr Jarvis that day and acted after he had received his advice.62 Subsequently, his evidence was that most of his advice that day had come from Mr Jarvis, although he thought he may have had a brief discussion with Ms Martins, but he could not recall. He was advised to have a witness present when he took samples and photographs but not advised to have a witness present for discussions.63 This was inconsistent with the evidence of Ms Martins that on 2 July 2010 she had a substantial discussion with Mr Kelly which included: ‘You will need to speak to Wayne, with a witness available, to discuss your suspicions and allow him the opportunity to answer those questions.’64
(f) Under cross-examination, Mr Kelly stated that although sent in his name, the various correspondence to Mr Walker or his solicitor was prepared by Ms Martins:
“Did you prepare this letter?---No, I didn’t, sir. It was prepared from head office.
What happens? You have a conversation with someone and they - - -?---They just tell me, and fax or shoot an email, I sign it and pass it on.
Who’s the person who prepared the letter?---Deborah Martins.
Thank you.
MR CASEY: If Deborah Martins gives evidence that on each occasion when she’s done a draft letter she’s said to you, ‘Look at the draft, suggest any changes. If no changes, sign it,’ that would be correct, wouldn’t it?---That’s correct.
Because she’s done that on all occasions, hasn’t she?---Yes.” 65
However, when subsequently asked whose signature appeared above his signature block of the letter dated 21 July 2010 Mr Kelly sought to distance himself from the letter as follows:
“MR CASEY: Would you look at this document, please. Is that your signature at the bottom of that page?---No, it’s not.
Whose signature is it?---I’ve got no idea, but that’s not my signature.
Not your signature?---No, sir.
Got your name there?---Yes.
Do you authorise people to sign correspondence on your behalf?---I’ve got no idea about this one. No, sir. 66
Further, although Mr Kelly was of the opinion that Ms Martins made the decision to terminate Mr Walker’s employment ‘and I was advised by Deborah Martins,’ 67 when subsequently asked whose signature appeared above his signature block on the letter of termination dated 26 July 2010 Mr Kelly stated:
“MR CASEY: Annexure Q to Mr Walker’s statement, that’s not your signature?
---No, sir.
Do you know whose it is?---No, I don’t.
No idea?---No idea, honest.” 68
(g) Mr Kelly’s evidence that:
‘On 19 July 2010, I waited for Mr Walker to attend the disciplinary hearing, however he did not show up. Later that day, I received a copy of a letter which Head Office had received by facsmile from Mr Walker’s lawyers,’ 69
is misleading. Under cross-examination Mr Kelly did not disagree that the letter was sent to his email address at 8.55am and that he also received a facsimile of the letter at about that time. 70 When asked to explain the discrepancy he stated: ‘I can’t answer that’ and ‘I’ve got no answer for you. I just can’t recall’.71
[59] After considering the evidence in the context of the Briginshaw principles, I am far from satisfied that, based on the balance of probabilities, sample A1 was oil that was taken from Mr Walker’s container on the back of his utility. Some of the issues that relate to the integrity of the process followed before sample A1 was sent to the supplier for testing are:
(a) Mr Kelly did not take a sample from the container in the presence of Mr Walker.
(b) Mr Kelly’s repeated references to taking more than one sample from the container in the back of Mr Walker’s utility (refer subparagraph 58(b) above) has not been explained.
(c) Even though secure containers for oil samples are held, according to Mr Kelly, in ‘our cupboard’, 72 A1 was initially put in a plastic sandwich box from the lunch room.
(d) There was no continuity in the witnesses who watched Mr Kelly pour the oil sample into the lunch box and subsequently into the container in which it was sent to the supplier. Indeed there was no evidence to corroborate Mr Kelly’s evidence that an employee had witnessed him transfer the sample from the box to the container. A tendered photograph of containers and an envelope 73 is no more than that.
(e) There was evidence of Mr Kelly asking a Volvo mechanic to examine oil samples in lunch boxes. Mr Kelly agreed with the following description by the mechanic of their conversation:
“Wayne Kelly gave me two samples to identify. Wayne asked me to smell the oil samples and tell me if they were engine oil or not. I said to him ‘oils are oils’. Wayne asked me where they could be sent to have them analysed and I said maybe to an hydraulic place.
When Wayne asked me to have a look at the samples I put my fingers in the samples and rubbed the contents between my fingers and that is when I said to him ‘oils are oils.” 74
(f) It was not made clear by Mr Kelly why, having ‘realised that I would need to put the samples into another container to send them away for testing’ and specifically transferring the samples from the lunch boxes to the containers on 2 July 2010, he waited until 7 July 2010 before making the arrangements.
(g) It was not made clear how the lids of the containers were made secure and why any such security was maintained during the period up until when the containers were sent for analysis.
(h) Other than Mr Kelly’s evidence that from the time he took samples and they were sent to the supplier the samples were in his care, 75 the evidence did not comprehensively cover the changing circumstances of each sample in a blow-by-blow fashion, i.e., there were many gaps such as, when Mr Kelly marked each of boxes and containers, when the containers were put in Mr Kelly’s glove compartment and who had access to the vehicle, when the containers were placed in a sealed envelope, who posted the samples, etc.
[60] In respect of sample A2, Mr Arber’s statement did not go so far as to state that he witnessed a sample being taken from the workshop drum 76 and he failed to mention anything about this in his oral evidence.77 In response to my question of Mr Kelly whether he had culled the photos that were taken, Mr Kelly stated that: ‘No, that was all I took and what I took I printed off’.78 There was no photograph of a sample of oil being taken from the drum.
[61] For the reasons outlined above, I prefer Mr Walker’s evidence that sample B2 was exactly the same oil as was in the only container with oil that was on the back of Mr Walker’s utility on 2 July 2010. 79
Whether certain evidence should be excluded
[62] In written submissions made after each party had finalised its evidence, it is put on behalf of Mr Walker that the sample of oil from the container was obtained improperly or illegally and that the evidence should be excluded, pursuant to the discretion contained in s.138 of the Evidence Act 1995. 80 Reference was made to the factors to be considered in exercising that discretion in Klein v Bryant,81 a decision of the Supreme Court of the ACT in a personal injury case where video evidence of the plaintiff undertaking farming duties, which was filmed by a person trespassing on the plaintiff’s rural property, was excluded.
[63] Section 591 of the Act provides that FWA is not bound by the rules of evidence in relation to a matter before it. However that does not mean that the rules of evidence are irrelevant. In its decision in Re: Michael King 82the Full Bench agreed with the following observation of the Industrial Commission of New South Wales in Court Session in PDS Rural Products Ltd v Corthorn, which relevantly included:
“... it is correct to say, as the commissioner did, that he was not bound to observe the rules of law governing the admissibility of evidence (s 83). It should be borne in mind that those rules are founded in experience, logic, and above all, common sense. Not to be bound by the rules of evidence does not mean that the acceptance of evidence is thereby unrestrained. What s 83 does do in appropriate cases is to relieve the Commission of the need to observe the technicalities of the law of evidence. ....” 83
[64] As they are relevant to my consideration of whether evidence that has been improperly or unlawfully obtained should be taken into account, what do the rules of evidence say about such evidence?
[65] Under both the common law and the Uniform Evidence legislation evidence that has been illegally or improperly obtained may, in effect, be excluded.
[66] The seminal common law authority in which the issue of unlawfully obtained evidence was discussed is Bunning v Cross. 84 The common law was framed in terms of a discretion to exclude85 and ultimately, the decisive factor in deciding whether to exclude otherwise relevant and admissible evidence is the public policy that the court is not seen to condone the illegality or impropriety.86
[67] In Robinson v Woolworths Ltd 87 it was held that the common law discretion to exclude such evidence has been replaced by s.138 of the Evidence Act 1995. That decision included:
“[24] ... the clear intention of s138 is to replace the general law discretion to exclude such evidence; the two cannot sensibly coexist together: compare, for example, Papakosmas v R (1999) 196 CLR 297; 164 ALR 548; [1999] HCA 37 [10] per Gleeson CJ and Hayne J. ...”
[68] Section 138 of the Evidence Act 1998 relevantly prescribes:
“138 Discretion to exclude improperly or illegally obtained evidence
(1) Evidence that was obtained:
(a) improperly or in contravention of an Australian law; or
(b) in consequence of an impropriety or of a contravention of an Australian law;
is not to be admitted unless the desirability of admitting the evidence outweighs the undesirability of admitting evidence that has been obtained in the way in which the evidence was obtained.
(2) ...
(3) Without limiting the matters that the court may take into account under subsection (1), it is to take into account:
(a) the probative value of the evidence; and
(b) the importance of the evidence in the proceeding; and
(c) the nature of the relevant offence, cause of action or defence and the nature of the subject-matter of the proceeding; and
(d) the gravity of the impropriety or contravention; and
(e) whether the impropriety or contravention was deliberate or reckless; and
(f) whether the impropriety or contravention was contrary to or inconsistent with a right of a person recognised by the International Covenant on Civil and Political Rights; and
(g) whether any other proceeding (whether or not in a court) has been or is likely to be taken in relation to the impropriety or contravention; and
(h) the difficulty (if any) of obtaining the evidence without impropriety or contravention of an Australian law.
Note: The International Covenant on Civil and Political Rights is set out in Schedule 2 to the Australian Human Rights Commission Act 1986.”
[69] Thus, unlike the common law, s.138 involves the exclusion of evidence unlawfully obtained, subject to a discretion to admit such evidence. As stated in Chapter 16 of the Australian Law Reform Commission’s 2006 report, Uniform Evidence Law: 88
“16.81 The exclusion contained in s138 derives from the Bunning v Cross discretion at common law, but differs from the latter in the following respects:
• the Bunning v Cross discretion places the onus on the accused to prove misconduct and justify the exclusion. In contrast, s138 requires the party seeking exclusion to establish that the evidence was improperly or illegally obtained. Once this is done, the onus is on the party seeking admission to satisfy the court that the desirability of admitting the evidence outweighs the undesirability of admitting it, given the manner in which it was obtained; ...”
[70] Whilst s.138 is of more practical import in criminal cases, it applies in civil cases. 89 As noted by the Full Bench in Hail Creek Coal Pty Ltd v Construction, Forestry, Mining and Energy Union,90 in Employment Advocate v Williamson, Branson J made it clear that s.138 is not limited to evidence obtained by the police or other enforcement organisations.91
[71] The factors set out in items (a) to (h) of s.138(3) that must be taken into account are not exhaustive. Each, if applicable, is to be weighed in favour of exercising the discretion or against it. 92 In R v Throung93 Miles CJ stated:
“Section 138(3) lays down a non exclusive list of matters which must be taken into account, leaving it for the court to decide how such matters are to be taken into account and what weight is to be given to each. The sub section does not state whether the relative weight of any such matters favours admission or non admission. It may be implied that the weight of some matters favours admission. For instance, if the probative value was high, that would tend to favour admitting the evidence. If the impropriety or contravention were deliberate that would tend to favour not admitting the evidence. On the other hand, it is far from clear whether the ‘importance’ of the evidence favours admission or non admission. Behaviour contrary to the International Covenant on Civil and Political Rights would appear to favour non admission.” 94
[72] Turning now to the case before me, I intend to be guided by the provisions of s.138. As a first step I will consider whether the evidence sought to be admitted was in fact unlawfully obtained or in consequence of evidence that was unlawfully obtained. If that is the case, as a second step, I will consider whether, in the circumstances of the case, including appropriate weight to the factors in s.138(3) that are applicable and any other relevant considerations, the desirability of admitting the evidence outweighs the undesirability of admitting such evidence.
[73] In respect of the first step, Cowra Quartz had given Mr Walker license to park his vehicle in its car park. The utility and container were clearly the personal property of Mr Walker. By reaching over to touch the container Mr Kelly technically committed an act of trespass. By opening the bottle and removing some oil he committed an act of larceny (stealing). Simply put, he did not have the authority to search Mr Walker’s property and take the oil and, for the purposes of paragraph 138(1)(a), his actions were unlawful. For the purposes of paragraph 138(1)(b), the evidence obtained in consequence of that unlawful act, includes the custody of the purported sample and the analysis thereof by the analytical laboratory.
[74] In the second step, I will start from a position that such evidence is not to be admitted and that the onus is on the party seeking admission to satisfy FWA that the desirability of admitting the evidence outweighs the undesirability of admitting it.
[75] Cowra Quartz makes no submissions in respect of s.138(3) or the matters included therein. Rather it submits that the applicant’s submission is made ‘at the heel of the hunt’ and after the evidence of Mr Kelly had been tendered without objection and he and Mr Arber had been cross-examined on the taking of the oil sample. There was a time for seeking to exclude the evidence and that time has passed as the case has proceeded on the basis that the evidence is before FWA. One can’t now retroactively or retrospectively exclude that evidence.
[76] The difficulty with Cowra Quartz’ submission is that FWA is not bound by the rules of evidence or procedure. For example, it has not infrequently been my practice to accept evidence in respect of which an objection has been made and subsequently, in my consideration of all of the case, to give such evidence no weight whatsoever, the effect of which is to ignore or exclude the evidence notwithstanding it was originally accepted.
[77] It is obviously undesirable for parties to seek to alter the evidence that has been admitted when making final submissions. Generally, I would refuse to allow this unless there were sound reasons why in the interests of justice it was absolutely necessary. If circumstances were such that I was persuaded to do so, it would be highly likely that, to ensure natural justice and procedural fairness, I would provide the other party with the opportunity to introduce further evidence in rebuttal of the altered evidence.
[78] In this case it is unfortunate that the submission was not foreshadowed in the applicant’s outline of submissions. However this is not a case where a party is seeking to introduce additional evidence late in the proceedings and the other party is placed at a disadvantage. Further, there is a serious issue to be considered, albeit raised late in the proceedings.
[79] It is difficult to see how the exclusion of the evidence could require Cowra Quartz to call fresh evidence as there is already evidence from Mr Kelly that he did not consider he had obtained evidence illegally 95 and that he took the sample of oil without Mr Walker’s permission or knowledge. Further Cowra Quartz is legally represented and, after becoming aware of the applicant’s submission, the representative did not seek to introduce additional evidence or obtain an adjournment.
[80] The factors that I will take into consideration in deciding whether or not the desirability of admitting the challenged evidence ‘outweighs the undesirability of admitting evidence that has been obtained in the way in which the evidence was obtained’ are:
(a) No one saw Mr Walker do anything remotely suggestive of him stealing the oil. The only evidence was a trail of oil across the floor that appeared, to me, to most likely involve too much oil to be consistent with the overflow of a container of only 5 litres, particularly if, as one would normally expect, a lid was applied after it was filled. The photographs did not show the trail of oil extending outside the workshop, let alone to the car park. Nowhere was it suggested that the trail led to Mr Walker’s vehicle, which one of several in the car park. Mr Walker’s presence beside his car when Mr Arber arrived, was adequately explained, particularly when it was conceded that he was on the opposite side of his car to the container. Without the sample of oil, to say that the case against Mr Walker is flimsy and circumstantial is an overstatement. In such circumstances, the evidence that Mr Kelly took a sample of oil from Mr Walker’s container would be of high probative value if the sample had been oil from Cowra Quartz’ drum. However I have found that sample B2 was from Mr Walker’s container. Sample B2 was not consistent with sample A2. Where ever sample A1 came from, it was not from Mr Walker’s container. Therefore the evidence of Mr Kelly taking sample A1 from Mr Walker’s container has no probative value in these proceedings.
(b) The evidence that Mr Kelly took a sample of oil from Mr Walker’s container would be important if it had been oil from Cowra Quartz’ drum. It was not and the evidence of Mr Kelly’s interference with Mr Walker’s property is not important to these proceedings.
(c) Central to these proceedings is whether Mr Walker stole oil which was the property of Cowra Quartz and whether such misconduct was a valid reason for his dismissal. Theft by an employee from his or her employer is serious misconduct. Mr Walker has maintained his innocence.
(d) The impropriety or contravention relates to the actions of a manger to search the personal property of a subordinate employee who had every right to expect that personal property he had left in the workplace would not be interfered with by his employer without his permission or knowledge. I prefer Mr Walker’s evidence that during the conversation at 4.30pm on 2 July 2010 he did invite Mr Kelly to examine the oil in the container in his presence. 96 However, by then, Mr Kelly had already taken the sample without Mr Walker’s knowledge or permission;
(e) I have concluded that Mr Kelly’s actions in taking the oil from Mr Walker’s container was deliberate action by Cowra Quartz. I accept Mr Walker’s uncontested evidence that Mr Kelly had said: ‘Don’t even go there. While your vehicle is on our site, we can do what we like.’ 97 It has never occurred to Mr Kelly that he may have been obtaining evidence illegally.98 Although the timing of Mr Kelly’s initial discussion with Ms Martins’ was not altogether clear,99 it was clear that before taking the sample he spoke on the telephone to Mr Jarvis and ‘we discussed taking samples of both the oil in the workshop and the oil on the back of Mr Walker’s ute.’100 Cowra Quartz’s submitted that Mr Kelly asked Mr Arber to witness his taking the sample, ‘after consulting with Mr Jarvis and Ms Martins.’101 Even in these proceedings in which Cowra Quartz was legally represented, there was no acknowledgement on behalf of the respondent that the taking of oil from Mr Walker’s container without his permission or knowledge was improper or unlawful.
(f) No reason has been given for Mr Kelly not seeking Mr Walker’s permission to take the oil sample. If Mr Walker had refused, Mr Kelly could have advised the police of his suspicions or taken other action.
(g) Mr Kelly was not trained in investigating misconduct, including theft.
(h) Mr Kelly’s actions were concealed from Mr Walker for several days.
[81] Privacy in the workplace is an important issue. In our contemporary society, at the very least, security checks of bags, parcels, lockers and the like (including containers in personal vehicles) should not take place unless the employee concerned is present, or alternatively, that the employee has given permission for such a search to take place in his or her absence. An employee should be able to have a union delegate or another nominated employee of the employee’s choice present during the search. 102
[82] As stated by Macken J of the NSW Industrial Commission in re Security Arrangements in Retail Stores: 103
“No man or woman upon entering into an employment contract thereby agrees to forego those basic civil liberties which distinguish our society from more barbarous regimes. Were an employment contract to expressly limit the civil liberties of an employee it would be void (Davies v Davies). [FOOTNOTE [1887] 36 Ch. Dv. 359 at p.393.] The law goes further and will imply in a contract of employment terms protective of those liberties.” 104
[83] Whilst the power to admit or exclude the challenged evidence is discretionary, that discretion must be exercised judicially in the interests of justice. The interests of justice are not confined to the interests of the parties but extend to include the broader public interest in the proper administration of justice.
[84] There is a significant public policy consideration. FWA should not be seen to condone the actions of employers who search the property of employees without their consent or knowledge.
[85] The gravity of Cowra Quartz’ actions in authorising or condoning Mr Kelly’s actions in a car park outside a shed of a quarry in an isolated regional location is of a high order. It sufficiently serious for me to feel compelled to exercise my discretion to exclude the evidence of Mr Kelly taking the sample of oil from Mr Walker’s container, Mr Arber’s evidence in respect of that action, and evidence as a consequence of that action. That is, after taking all of the circumstances into consideration, I consider that the undesirability of admitting the evidence outweighs the desirability of admitting the evidence.
Conclusion
[86] In my opinion, the prevailing circumstances were such that no misconduct in the form of theft occurred and there was no valid reason for the dismissal of Mr Walker (within the meaning of Selvachandran).
WHETHER THE PERSON WAS NOTIFIED OF THAT REASON (s.387(b))
[87] Similar to its legislative predecessor, the reference in s.387(b) to ‘that reason’ is a reference to the valid reason for the employee’s dismissal. 105 Also, the reason must be given prior to the decision to terminate.106
[88] Mr Walker attended a meeting with Mr Kelly on 26 July 2010 which was one of several meetings called to discuss the findings of Cowra Quartz’ investigation into the allegation of misappropriation. Later that day, as indicated in paragraph 3, Mr Walker received written advice that his employment was terminated on the basis of theft.
[89] I have found that theft did not occur.
WHETHER THE PERSON WAS GIVEN AN OPPORTUNITY TO RESPOND TO ANY REASON RELATED TO THE CAPACITY OR CONDUCT OF THE PERSON (s.387(c))
[90] Section 387(c) provides that the FWA must have regard to whether the employee was given an opportunity to respond to any reason related to the capacity or conduct of the employee. The opportunity to respond refers to an opportunity that is provided before a decision is taken to terminate the employee’s employment. 107 The ‘any reason’ refers to the valid reason for the employee’s dismissal.108
[91] In cases where an employee’s conduct is involved, this opportunity serves two purposes. Firstly, it gives the employee the opportunity to demonstrate that the allegations have no foundation. Secondly, it gives the employee the opportunity to persuade the employer that, while the allegations are of substance, there are factors that should persuade the employer not to terminate the employment. Those factors may be extenuating personal circumstances or they may involve undertakings about future conduct. 109 The following comments of Moore J (when considering s.170DC of the Industrial Relations Act 1998) are relevant to the second purpose:
“ ... the opportunity to defend, implies an opportunity that might result in the employer deciding not to terminate the employment if the defence is of substance. An employer may simply go through the motions of giving the employee an opportunity to deal with allegations concerning conduct when, in substance, a firm decision to terminate had already been made which would be adhered to irrespective of anything the employee might say in his or her defence. That, in my opinion, does not constitute an opportunity to defend.” 110
[92] In respect of the first purpose, Cowra Quartz’ letter to Mr Walker dated 16 July 2010 did not give him an opportunity to respond to the results of the scientific testing before its investigation was concluded. Rather the letter addressed only the second purpose. It stated that the investigation had been concluded and given the seriousness of the misconduct he was required to attend the formal disciplinary meeting on 19 July 2010. Cowra Quartz would consider Mr Walker’s response at the meeting ‘when making our decision on our course of disciplinary action, which may include the termination of your employment with Mittagong Sands Pty Ltd.”
[93] This shortcoming was not rectified in Cowra Quartz’ letter dated 19 July 2010. However it was remedied in its letter dated 21 July 2010 which stated that: ‘The next stage in our investigation is to ascertain Mr Walker’s responses to the findings of our investigation. We are trying to be as procedurally fair as possible ...’. That approach was continued in Cowra Quartz’ letter dated 22 July 2010.
[94] I am satisfied that Mr Walker was given an opportunity to respond to the conduct that lead to his dismissal. I will give consideration to the adequacy of that opportunity in relation to paragraph 387(h).
ANY UNREASONABLE REFUSAL BY THE EMPLOYER TO ALLOW THE PERSON TO HAVE A SUPPORT PERSON PRESENT TO ASSIST AT ANY DISCUSSIONS RELATING TO DISMISSAL (s.387(d))
[95] There was no such unreasonable refusal by Cowra Quartz.
IF THE DISMISSAL RELATED TO UNSATISFACTORY PERFORMANCE BY THE PERSON—WHETHER THE PERSON HAD BEEN WARNED ABOUT THAT UNSATISFACTORY PERFORMANCE BEFORE THE DISMISSAL (s.387(e))
[96] This consideration is not relevant to these proceedings given that Mr Walker’s employment was terminated on the grounds of misconduct, rather than his capacity. 111
THE DEGREE TO WHICH THE SIZE OF THE EMPLOYER’S ENTERPRISE WOULD BE LIKELY TO IMPACT ON THE PROCEDURES FOLLOWED IN EFFECTING THE DISMISSAL (s.387(f))
[97] Cowra Quartz is a relatively small employer, with approximately 18 full time equivalent employees at the time of Mr Walker’s dismissal.
[98] Although Cowra Quartz does not seek to rely upon its size as a justification for any defects in the procedures followed in effecting Mr Walker’s dismissal, I have formed the opinion that this was a relevant factor.
THE DEGREE TO WHICH THE ABSENCE OF DEDICATED HUMAN RESOURCE MANAGEMENT SPECIALISTS OR EXPERTISE IN THE ENTERPRISE WOULD BE LIKELY TO IMPACT ON THE PROCEDURES FOLLOWED IN EFFECTING THE DISMISSAL (s.387(g))
[99] Cowra Quartz does not have a dedicated human resource management specialist. The payroll officer, Ms Martin, assists with human resource issues when they arise.
[100] Ms Martins presented as a conscientious and efficient employee who was not experienced in handling more complex human resource issues. 112 During the course of her coordination of Cowra Quartz’ management of the suspected theft she received instruction and advice from Mr Jarvis and the financial controller. Also, she sought advice from an employer association’s telephone helpline in the mistaken belief it was staffed by lawyers.113 She signed letters on behalf of Mr Kelly because he was out in the field and in order to expedite matters.114
[101] Although Cowra Quartz does not seek to rely upon its lack of a dedicated human resource management specialist as a justification for any defects in the procedures followed in effecting Mr Walker’s dismissal, I have formed the opinion that this was a relevant factor.
ANY OTHER MATTERS THAT FWA CONSIDERS RELEVANT (s.387(h))
[102] I am required to have regard to any other matters I consider relevant.
Termination before results of alternative analysis were received
[103] Unlike criminal investigations, employees who are questioned by their employers about alleged misconduct have no right to silence, although they may consider it prudent not to answer certain questions.
[104] However, the current matter is by no means a case where an employee had been charged with an offence and was refusing to answer questions about alleged criminal conduct in order to avoid giving incriminating evidence that could be used against the employee in pending criminal proceedings.
[105] Cowra Quartz knew that Mr Walker disputed taking company oil. He consistently maintained that position since he was first asked on 2 July 2010.
[106] Mr Walker was in no position to give a reason why the opinion of Cowra Quartz’ supplier (based on the results of a technical analysis of oil samples) had concluded that the oil in his container was ‘without doubt’ the same oil as oil in the drum in the workshop. This was because he disputed that he had taken company oil and was not qualified to question the results from the analytical laboratory or the expressed opinion.
[107] It is difficult to understand what Cowra Quartz expected could be achieved by Mr Walker discussing the results of the technical analysis when he was not suitably qualified and he believed he did not steal the oil.
[108] Without his own analysis Mr Walker would not have been able to demonstrate to Cowra Quartz that sample A1 was not from his container.
[109] After Cowra Quartz provided Mr Walker with the opinion of its supplier and the results from the analytical laboratory, Mr Walker acted promptly to obtain an alternative analysis.
[110] There is no suggestion that there would be an undue delay in obtaining the results from the alternative analytical laboratory. Mr Walker could not predict when the results would become available. In the absence of anything to the contrary it would have been reasonable for Cowra Quartz to assume, based on the timing of the other analysis, that it would take in the order of 8 calendar days for Mr Walker to obtain the results. That would have been around 28 July 2010. (As things turned out the alternative analysis was received on 29 July 2010)
[111] In the circumstances, it was unreasonable for Cowra Quartz, upon being advised on 21 July 2010 that Mr Walker had taken steps to obtain an alternative analysis, to insist that he respond to the opinion and technical analysis it had received at the disciplinary meetings on 21 July 2010, 23 July 2010 and 26 July 2010 and to terminate his employment on 26 July 2010 before his alternative analysis was received. In the circumstances, the timeframe followed by Cowra Quartz was unreasonable because it did not give Mr Walker adequate opportunity to respond to the purportedly incriminating material. This is a factor that goes in favour of a finding that Mr Walker’s dismissal was harsh, unjust or unreasonable.
Other Matters
[112] Mr Walker commenced employment with Mittagong Sands Pty Ltd as a casual in April 2006. In March 2008 he was made a permanent employee. At the time of his dismissal he was performing the role of leading hand.
[113] Mr Walker is aged 43 years. He is married with a family.
[114] Mr Walker commenced alternative employment in a casual capacity on 27 July 2010 on a lesser level of remuneration.
[115] Mr Walker did not commit misconduct, let alone misconduct warranting dismissal without notice.
CONCLUSION
[116] After having regard to each of the matters in paragraphs 387(a) to (h) of the Act in so far as they have application or are relevant to the circumstances of this case, I am satisfied that Mr Walker’s dismissal by Cowra Quartz was harsh, unjust or unreasonable.
[117] In arriving at that decision I have been conscious of the objective of Part 3-2 (Unfair Dismissal), including ensuring that both Cowra Quartz and Mr Walker are accorded a ‘fair go all round’.
REMEDY
[118] Section 390 of the Act provides:
“390 When FWA may order remedy for unfair dismissal
(1) Subject to subsection (3), FWA may order a person’s reinstatement, or the payment of compensation to a person, if:
(a) FWA is satisfied that the person was protected from unfair dismissal (see Division 2) at the time of being dismissed; and
(b) the person has been unfairly dismissed (see Division 3).
(2) FWA may make the order only if the person has made an application under section 394.
(3) FWA must not order the payment of compensation to the person unless:
(a) FWA is satisfied that reinstatement of the person is inappropriate; and
(b) FWA considers an order for payment of compensation is appropriate in all the circumstances of the case.
Note: Division 5 deals with procedural matters such as applications for remedies.”
[119] I am satisfied that Mr Walker was protected from unfair dismissal and was unfairly dismissed. Mr Walker, understandably enough, does not seek reinstatement and, based on the material before FWA, I am satisfied that reinstatement is not appropriate. I am satisfied that a remedy in the form of compensation is appropriate in all the circumstances of the case.
[120] In determining the amount of compensation I am required to take into account all of the circumstances of the case including, in particular, the matters specified in s.392(2). I turn to consider those matters:
s.392(2)(a): the effect of the order on the viability of the employer’s enterprise
[121] There is no evidence on which I could find that the order I propose will have an adverse effect on the viability of the employer’s enterprise. No such contention was made by Cowra Quartz.
s.392(2)(b): the length of the person’s service with the employer
[122] Mr Walker was employed by Cowra Quartz on a casual basis from April 2006 until 2008. Thereafter he was employed on a permanent basis until 26 July 2010.
s.392(2)(c): the remuneration that the person would have received, or would have been likely to receive, if the person had not been dismissed
[123] I am satisfied that if Mr Walker had not been wrongfully accused of thieving oil and unfairly dismissed on the basis of theft he did not commit, he would have continued working at the quarry indefinitely. In making such finding I have taken account of the first written warning that Mr Walker received on 15 June 2010 for exceeding the speed limit of 25kph. 115
s.392(2)(d): the efforts of the person (if any) to mitigate the loss suffered by the person because of the dismissal
[124] I am satisfied that Mr Walker made efforts to mitigate his loss by seeking alternative employment.
[125] He commenced casual employment with Consolidated Plant and Quarries from 27 July 2010 and worked off and on until about 13 August. He has worked as a casual for Nelligans Sand and Gravel since 19 August 2010.
s.392(2)(e): the amount of any remuneration earned by the person from employment or other work during the period between the dismissal and the making of the order for compensation
[126] The parties agreed that Mr Walker had received remuneration from employment during the period between his dismissal and 18 November of $13, 826.94.
[127] Also, the parties agreed that during that period, the wages that Mr Walker could reasonably have expected to receive from Cowra Quartz if he had not been dismissed was $23,445.60.
[128] Thus the shortfall during that period is $9,618.66.
s.392(2)(f): the amount of any income reasonably likely to be so earned by the person during the period between the making of the order for compensation and the actual compensation
[129] The rate of remuneration that Mr Walker receives with Nelligans Sand and Gravel is less than the rate of remuneration he was receiving with Cowra Quartz. Since September he has been receiving $865.20 per week, which compares with the average weekly pay with Cowra Quartz of $1,414.83 - a difference of $549.63 per week.
[130] Mr Walker gave evidence that unless there is a strong harvest this year, the likelihood of him being able to obtain regular work in 2011 as a labourer/loader driver would be in doubt. I will not rely on speculation about future weather.
s.392(2)(g): any other matter that FWA considers relevant
[131] In the written submissions of behalf of Mr Walker it was submitted that he is entitled to compensation in the sum of $9,618.66 and a small additional sum to reflect the uncertainty of obtaining regular work in the future. Further, it was foreshadowed that Mr Walker would seek that Cowra Quartz pay his costs.
[132] During the proceedings I sought clarification from Mr Walker’s legal representative on what was being sought. As a result of that discussion I concluded that what was being sought was that I determine the amount in accordance with the provisions of the Act. 116
[133] Mr Walker did not receive payment in lieu of notice of the termination of his employment, as was his entitlement.
[134] I have considered all the circumstances of the case and there are no other matters of particular relevance that I consider warrant mentioning under this heading.
Appropriate compensation
[135] As the Full Bench stated in Re: Industrial Automation Group Pty Ltd T/A Industrial Automation:
“[47] Reasonable minds may differ in relation to the weight to be accorded any one factor in relation to determining an appropriate amount of compensation under s.392 of the Act.” 117
[136] Taking all of the circumstances of the case into account, I consider that the appropriate level of compensation is the amount of $9,618.66 plus a weekly amount of $549.63 for the balance of a period of approximately 26 weeks ($5,496.30), rounded off to a total amount of $15,000.00.
[137] I order that an amount of $15,000.00 be paid by Cowra Quartz to Mr Walker in lieu of reinstatement.
COMMISSIONER
Appearances:
Mr G Casey, Solicitor for the Applicant
Mr P Ginters, Barrister for the Respondent
Hearing details:
2010
Grenfell
November 18
Cowra
November 19
Sydney
November 26
1 In accordance with s.399 (Hearings).
2 Exhibit G4, Attachment L.
3 McHugh and Gummow JJ, (1995) 185 CLR 410 at 465.
4 A Note to the provision states that: “The expression ‘fair go all round’ was used by Sheldon J in Re Loty and Holloway v Australian Workers Union [1971] AR (NSW) 95.’
5 Print S4213, 17 March 2000, per Ross VP, Williams SDP and Hingley C.
6 (1938) 60 CLR 336.
7 Ibid, per Dixon J at p 363.
8 Ibid, per Dixon J at p 362.
9 Ibid, per Rich J at p 350.
10 [2007] AIRCFB 797, 5 October 2007, per Giudice P, Lacy SDP, Cargill C.
11 PN249 and Written Submissions of the Applicant, para 58.
12 PN901.
13 PN898 & PN1516.
14 PN1001.
15 Exhibit G3, para 28.
16 PN2247.
17 PN1531.
18 PN1554.
19 PN1530.
20 PN1572-PN1573.
21 Exhibit G2, Attachment A.
22 Exhibit G3, para 4.
23 Exhibit G2, para 4.
24 Exhibit G2, para 5.
25 Exhibit G3, Attachment B.
26 Exhibit G3, Attachment C.
27 PN1006 - PN1008.
28 Exhibit G3, para 16.
29 Which describes itself on its website as ‘one of the largest producers and resellers of quarried, recycled and landscape products in NSW.’
30 Exhibit G3, Attachment D.
31 Respondent’s Outline of Submissions, para 21.
32 Exhibit G3, Attachment E.
33 Exhibit C2, Attachment G.
34 Exhibit G3, Attachment G.
35 Exhibit C2, Attachment K.
36 Exhibit G4, Attachment G.
37 Exhibit C2, Attachment M.
38 Exhibit G4, Attachment I.
39 Exhibit G4, Attachment K.
40 Exhibit G4, Attachment L.
41 PN729.
42 PN798 & PN802.
43 (1995) 62 IR 371, 373.
44 PN1004.
45 PN837.
46 PN838 and photograph in Exhibit C5, Attachment A (page 5 of exhibit).
47 PN844 - PN845 & PN1123.
48 PN846 - PN847.
49 PN1026 and PN1072.
50 It was never put directly to Mr Walker that his method of adding gear oil could not have resulted in gear oil of approximately 1.25 litres in his 5 litre container on 2 July 2010, i.e. 25%.
51 PN1657 & PN1661 - PN1663.
52 PN1665.
53 PN1675.
54 Exhibit G3, Attachment B.
55 PN1654.
56 PN1623.
57 Exhibit G3, para 28.
58 PN2247.
59 PN1674 & PN1675. Also PN1703.
60 PN1622 - PN1623.
61 Clearly Mr Arber was not a witness to the discussion as although he was close by he wouldn’t have heard anything.
62 PN1649 - PN1653.
63 PN1838 - PN1877.
64 Exhibit G4, para 4.
65 PN2000 - PN2004.
66 PN2042 - PN2046.
67 PN2130.
68 PN2106 - PN2108.
69 Exhibit G3, para 19.
70 PNPN1786 - PN1793.
71 PN1800 & PN1814.
72 PN1740.
73 Exhibit G3, Attachment A.
74 Exhibit C2, para 16 & PN1707.
75 PN2171
76 Exhibit G2, para 6.
77 PN1587.
78 PN1684.
79 Mr Walker was unwavering under cross-examination - PN1109 - PN1115.
80 Written Submissions of Applicant, paras 134-140.
81 [1998] ACTSC 89 (4 September 1998).
82 Print S4213, 17 March 2000, per Ross VP, Williams SDP, Hingley C.
83 (1987) 19 IR 153 at 155, per Fisher P, Bauer & Glynn JJ.
84 (1978) 141 CLR 54.
85 Robinson v Woolworths Ltd, (2005) 227 ALR 353; (2005) NSWLR 612.
86 R v Swaffield; Pavic v R, 192 CLR 159, paras 69-70, per Toohey, Gaudron and Gummow JJ.
87 Op cit.
88 ALRC Report 102, 13 February 2006.
89 Klein v Brand, op cit, at para 44.
90 PR948938, 12 July 2004, Ross VP, Duncan SDP, Bacon C, at para 56.
91 (2001) 111 FCR 20.
92 Australian Securities & Investment Commission v McDonald (No5), [2008] NSWSC 1169, at para 27.
93 (1996) 86 A Crim R 188.
94 At 196.
95 PN1986-1989.
96 Exhibit C2, para 10 and PN1133.
97 Exhibit C2, para 17 - which was not denied in Exhibit G3, para 30.
98 PN1986 - PN1988.
99 Compare Exhibit G3, para 7 with PN1651.
100 Exhibit G3, para 7.
101 Respondent’s Outline of Submissions, para 15.
102 Based on the model guidelines recommended by Macken J of the NSW Industrial Commission for major employers in the retail industry in NSW in re Security Arrangements in Retail Stores, [1979] AR 72, at 89.
103 Ibid.
104 At 79.
105 Decision of the Full Bench in P Crozier v Palazzo Corporation Pty Limited t/as Noble Park Storage and Transport, Print S5897, 11 May 2000, per Ross VP, Acton SDP and Cribb C, at para 64. Endorsed by the Full Bench decision in Ben Clifton Sabeto v Waterloo Car Centre Pty Limited trading as Red Spot Rentals, PR930816, 20 May 2003, per Acton SDP, O'Callaghan SDP and Foggo C, at para 8.
106 P Crozier v Palazzo Corporation Pty Limited t/as Noble Park Storage and Transport, op cit, at para 73. Also endorsed in Ben Clifton Sabeto v Waterloo Car Centre Pty Limited trading as Red Spot Rentals, op cit, at para 8.
107 Crozier v Palazzo Corporation Pty Limited t/as Noble Park Storage and Transport, op cit, at para 75.
108 Tenix Defence Systems Pty Ltd v Fearnley, Print S6238, 22 May 2000, per Ross VP, Polites SDP, Smith C, at para 83.
109 Ross VP, in Shorten and Others v Australian Meat Holdings Pty Ltd, (1996) 70 IR 360, 361.
110 Wadey v YMCA Canberra [1996] IRCA 568 (12 November 1996).
111 Re: P. Annetta, op cit, at para 16.
112 Ms Marten’s evidence included: ‘I’m a payroll officer. I don’t deal with HR issues very often.’ (PN2468)
113 PN2403.
114 PN2289 & PN2899.
115 Exhibit C2, Attachment D.
116 PN2905 - PN2923.
117 [2010] FWAFB 8868, 2 December 2010, per Kaufman SDP, Richards SDP, Hampton C.
Printed by authority of the Commonwealth Government Printer
<Price code G, PR504777>