NWCDN Members regularly post articles and summary judgements in workers’ compensations law in your state.
Select a state from the dropdown menu below to scroll through the state specific archives for updates and opinions on various workers’ compensation laws in your state.
Contact information for NWCDN members is also located on the state specific links in the event you have additional questions or your company is seeking a workers’ compensation lawyer in your state.
2023 Budget
The two-year operating budget for the Ohio Bureau of Workers’ Compensation (“BWC”) was signed prior to the June 30th deadline (House Bill 31). It included a slight increase in appropriations for the agency, but no new policy initiatives included in the final version. The BWC had proposed to rename the BWC as the “Department of Workforce Insurance and Safety,” but this was removed by the legislature prior to passage and the BWC’s name remains the same.
Amendments related to requirements for the BWC to provide PTSD benefits without accompanying injury and a loss of use proposal that would have exposed self-insured employers to major liability were defeated during the BWC budget process.
Marijuana
An attempt to add a proposal to modify the state’s medical marijuana program was unsuccessful in 2023. However, in the November elections, Ohio citizens Issue 2 ballot initiative to legalize recreational marijuana.
Regulatory Actions (New Rules)
Ohio Administrative Code (“OAC”) sections 4123:1-5-01 through 4123:1-5-16: Specific Safety Requirements Applicable to “Workshops” and “Factories.” Replaces “shall” with “will”; “requirement” with “specification,”; “required” with “needed”; and “requiring” with “involving.” Change was effective June 30, 2023. Similar changes made to OAC 4123:1-5-17 through 4123:1-5-29 and 4123:1-5-99 with regard to other sections applicable to “Workshops” and “Factories.” Change effective September 1, 2023.
OAC 4121-3-09: Hearings before the Commission and its Staff and District Hearing Officers: Adds language that parties and representatives may attend a hearing in person by telephone or through Industrial Commission authorized web-based technology. This eliminates the requirement for the filing of a notice of waiver to appears in person when attending a hearing virtually. Change effective July 20, 2023.
OAC 4123-17-02: Successorship: Changes the criteria the BWC uses to determine the rate of successor entity that wholly succeeds one or more legal entities when at least one of the entities involved has a merit rating experience. The proposed change will permit the BWC to combine the experience of all of the involved entities to establish the rate of the successor entity without regard to whether one of the entities involves has a merit rating experience. States that the BWC will consider, but is not bound by, language in a purchase agreement between the parties regarding non-assumed liabilities when determining experience transfers. Change effective July 1, 2023.
Ohio Judicial Decisions
Temporary Total Compensation - State ex rel. Quest Diagnostics, Inc. v. Indus. Comm., 2023-Ohio-2213. (July 5, 2023)
In early 2018, Quintina Stone, a phlebotomist with Quest Diagnostics, Inc., notified her supervisor that she would be relocating to California due to her husband’s employment. Ms. Stone expressed her desire to transfer her employment within the company and was told that she would be permitted to do so. On October 3rd, Ms. Stone learned that her husband would start his new position on October 29th and submitted multiple transfer requests with Quest in California which were signed and dated by her supervisor. On October 6th, Ms. Stone was injured at work when she fell from a stepladder. Her workers’ compensation claim was allowed for various shoulder injuries. Her doctor ordered work restrictions that were to expire on October 31st. Ms. Stone was off work for four days due to her injury and then took a previously scheduled five-day vacation. Ms. Stone’s physician released her to work with temporary restrictions and she returned to work with light-duty restrictions on October 22nd.
On October 24th, Ms. Stone further discussed with Quest about transferring to one of Quest’s California locations. Upon contacting the California recruiter, Ms. Stone learned that a certification was required in California which she did not have. On October 28th, Ms. Stone resigned from Quest indicating her move to California as the reason. In March 2019, Ms. Stone received her California phlebotomist certification. In June 2019, Ms. Stone filed for temporary total disability (“TTD”) compensation dating back to October 27, 2018, to continue until she was medically able to return to work.
The District Hearing Officer (“DHO”) found that Ms. Stone did not qualify for TTD compensation because (1) She voluntarily removed herself from her position; (2) her transfer was not approved by Quest and she relocated to be with her spouse; (3) Ms. Stone knew she lacked the certification to do the job she sought before moving; (4) Ms. Stone chose to resign and relocate; (5) Ms. Stone may not have known about the certification until right before her move, but she should have known she had not been approved to formally relocate; (6) Ms. Stone chose to resign and relocate, even given that it “seemed fairly” certain that she would not be able to keep working for Quest; and (7) Ms. Stone’s decision to resign was hers alone.
On appeal, the Staff Hearing Officer (“SHO”) also denied her request for TTD, compensation ordering that (1) Ms. Stone voluntarily resigned; (2) There was no job offer or guarantee with Quest; (3) Ms. Stone’s options at the time of her resignation included either to stay behind and work towards her California certification or resign from her position; (4) Ms. Stone resigned for personal reasons; and (5) Ms. Stone’s resignation was a personal choice.
On appeal, the Industrial Commission found that the SHO had misapplied State ex rel. Klein v. Precision Excavating & Grading. The Commission vacated the SHO’s order and granted Ms. Stone’s request for TTD compensation. The Commission reasoned that Klein was different from Ms. Stone’s claim because Ms. Stone “had expressed her desire to transfer within the company and received reassurances from her supervisor that a transfer was possible prior to sustaining her injury.” And Ms. Stone had submitted her forms for transfer prior to her injury, to only later find out that a separate certification was necessary for transfer. This created justifiable reliance that Ms. Stone would be able to transfer, and she “reasonably expected” she would be able to transfer, but for her injury.
The Commission further explained that voluntarily abandonment hinges on intent which is “inferred from words spoken, acts alone, other objective facts, and all relevant circumstances existing at the time of the alleged abandonment.” Because Ms. Stone’s intent was to remain employed with Quest, and her words and actions showed that she did not plan to abandon her position, she did not voluntarily remove herself from her position with Quest and was entitled to TTD compensation.
Quest appealed to the Tenth District Court of Appeals asking to vacate the Commission’s award of TTD compensation and to reinstate the SHO’s order. The Tenth District concluded that the Commission had misinterpreted and misapplied the law of voluntary abandonment. The Court pointed to Klein’s reassertion of ineligibility for TTD compensation if a claimant’s workplace injury did not cause the loss of earnings. Essentially, if a claimant resigns “for reasons unrelated to her workplace injury she is no longer eligible for TTD.” Because Ms. Stone resigned for reasons not related to her October 2018 injury, she was not eligible for TTD compensation. Contrary to Ms. Stone’s objection, Ms. Stone’s intent/reason(s) for resigning were not related to her injuries. Because there was no relationship between Ms. Stone resigning to move to California with her spouse and her sustained injuries, there was an absence of a “causal connection.” The Court ordered the Commission to vacate its order and to enter an order denying Ms. Stone’s request for TTD compensation. Both Ms. Stone and the Commission appealed.
In July 2023, the Ohio Supreme Court affirmed the decision of the Tenth District Court of Appeals stating that in Klein, we held that “when a workers’ compensation claimant voluntarily removes himself from his former position of employment for reasons unrelated to a workplace injury, he is no longer eligible for TTD compensation, even if the claimant remains disabled at the time of his separation from employment. Klein overruled precedent, returning to the fundamental tenet of TTD compensation: that the industrial injury must cause the worker’s loss of earnings. The key question is whether an injured worker who is no longer in the former position has abandoned the workforce, either temporarily or permanently, not merely abandoned the former position. In other words, it must appear that, but for the industrial injury, the claimant would be gainfully employed. The Supreme Court concluded that, had Ms. Stone not been injured, she would have experienced the same wage loss upon relocating to California without the proper certification. And had Ms. Stone remained employed by Quest in Ohio, she would not have experienced any wage loss. Accordingly, the undisputed facts demonstrate that Ms. Stone’s industrial injury was not the “but for” cause of her lost earnings. Ms. Stone’s reasons for abandoning the workforce and experiencing lost wages lack the necessary causal relationship to her industrial injury.
Voluntary Abandonment Defense – State ex rel. AutoZone Stories, Inc. v. Indus. Comm., 2023-Ohio-633 (March 2, 2023).
In State ex rel. AutoZone Stores, Inc. v. Industrial Commission, the Tenth District Court of Appeals issued Ohio’s first appellate review of R.C. 4123.56(F), which deals with temporary total benefits (“TTD”) and went into effect in 2020. R.C. 4123.56(F) states, in part:
If an employee is unable to work or suffers a wage loss as the direct result of an impairment arising from an injury or occupational disease, the employee is entitled to receive compensation under this section, provided the employee is otherwise qualified. If an employee is not working or has suffered a wage loss as the direct result of reasons unrelated to the allowed injury or occupational disease, the employee is not eligible to receive compensation under this section.
R.C. 4123.56(F) supersedes any previous Ohio court cases establishing the doctrine of “voluntary abandonment,” which blocked disability benefits for claimants who voluntarily removed themselves from the workforce or were terminated for violation of work rules. In AutoZone, the claimant was injured on June 15, 2020 but worked light duty until his termination for cause in September 2020, following an argument with a coworker. The claimant requested TTD benefits in October 2020 and underwent an approved shoulder surgery in November 2020.
The Industrial Commission granted the claimant’s request for TTD beginning the date of his surgery. His employer brought a mandamus action before the Tenth District, arguing he was not entitled to TTD pursuant to R.C. 4123.56(F). The Tenth District affirmed the Commission’s decision and rejected the employer’s arguments. The employer argued that under the last sentence of 4123.56(F) outlined above, the claimant was not entitled to TTD because the surgery was not the reason he was off work—rather it was his prior termination for cause. Therefore, the claimant was off work “as the direct result of reasons unrelated to his injury.” The employer further argued that the claimant had no “wage loss” because he had already been terminated before he underwent the surgery. The Tenth District disagreed, stating:
Overall, we find the text of R.C. 4123.56(F) to be unambiguous. If a claimant is unable to work, R.C. 4123.56(F) sets forth two operative questions to be eligible for TTD compensation: (1) whether he or she is unable to work as the direct result of an impairment arising from an injury or occupational disease; and (2) whether he or she is otherwise qualified to receive TTD compensation. R.C. 4123.56(F) does not impose an additional requirement on a claimant to prove he or she is unable to work solely due to an impairment arising from an injury or occupational disease. Only when an otherwise qualified claimant is not working as a direct result of reasons unrelated to the allowed injury or occupational disease is the claimant ineligible to receive TTD compensation.
The court also directly addressed the prior voluntary abandonment doctrine from Ohio case law used before the enactment of R.C. 4123.56(F):
Although the employer implies we should analyze the effect of the termination and whether evidence exists that claimant had abandoned the workforce prior to his approved surgery, this is exactly the analysis the legislature expressly superseded by enacting R.C. 4123.56(F). Contrary to the employer's position, R.C. 4123.56(F) requires us to review only whether the claimant in this case was unable to work as the direct result of an impairment arising from an injury or occupational disease to support the grant of TTD for the period specified.
The development of Ohio case law on the interpretation of R.C. 4123.56(F) will provide further clarity for Ohio employers on this issue. As for now, arguments on limiting AutoZone to its specific facts may be an avenue for employers in defeating these requests for TTD – such as that despite an internal investigation prior to the claimant’s termination, he received unemployment compensation because his termination was found to be “without just cause” by the Ohio Department of Jobs and Family Services; and that the claimant was on light duty at the time of his termination and waited only two months to undergo surgery, showing intention to “abandon” the workforce may have been more evident if he had been working full duty at the time of termination but subsequently waited six months or more to undergo surgery.
State ex rel. Butler Vill. v. Indus. Comm., 2023-Ohio-3774 (10th District, October 17, 2023)
The Tenth District Court of Appeals held that an employee who voluntarily resigned their employment is entitled to temporary total disability compensation. In March 2021, a Butler Village employee was injured at work and thereafter worked in a light duty capacity. In April 2021, the employer reorganized and the injured worker’s job duties changed. In May 2021, the injured worker voluntarily resigned her position. In her resignation letter, she wrote, “I do not feel I can accomplish this newly reorganized position effectively. Therefore, please accept my resignation effective immediately.” Notably, she did not cite her injury as a reason for her resignation.
The injured worker first applied for temporary total disability compensation in September 2021, four months after she resigned. During the Staff Hearing Officer (SHO) hearing, the injured worker testified that her injuries prevented her from performing her job “effectively.” She testified that she needed assistance from a co-worker to perform some of her job duties, and she did not want to perform below standards. Therefore, she resigned her employment. During the hearing, the employer testified that the injured worker was successfully working at the time of her resignation. Additionally, the injured worker did not cite her industrial injury as a contributing factor in her resignation letter. The Staff Hearing Officer found, however, that the injured worker’s testimony outweighed this contrary evidence. The Staff Hearing Officer concluded that the industrial injury caused the injured worker to resign and granted temporary total disability.
The employer appealed the Industrial Commission decision to the Tenth District Court of Appeals, arguing that it abused its discretion and made a mistake of law under R.C. 4123.56(F). The employer argued the injured worker’s unemployment was solely the result of her voluntary resignation rather than reasons related to her allowed injury. The court rejected the employer’s argument. In reaching its decision, the court noted that the injured worker was working light duty at the time of her resignation. The injured worker could initially perform most job duties with one arm. When the employer reorganized and eliminated two of her roles, the injured worker alleged her job duties became more physically demanding than she could accomplish working light duty. Only after her job duties changed did the injured worker resign her position.
In granting temporary total disability compensation, the court reasoned: “while [the employee] may have had other reasons or motivations, there is some evidence in the record supporting the finding that she was unable to work as the direct result of an impairment arising from her allowed injury.”
Permanent Total Disability - State ex rel. Kidd v. Indus. Comm. 2023-Ohio-2975. (August 29, 2023)
Donna Kidd injured her back in 2013 while working as a warehouse and production employee at Tronair, Inc. Ms. Kidd’s workers’ compensation claim was allowed for various lumbar-spine conditions. Ms. Kidd returned to work for approximately 6 months and then left work due to increasing pain. In 2015, Ms. Kidd underwent a spinal surgery which did not relieve her pain symptoms. Ms. Kidd completed 27 weeks of vocational rehabilitation, and the BWC determined that she demonstrated the ability to independently continue her job search. In 2017, Ms. Kidd obtained part-time employment as a school-cafeteria server but ended her employment approximately eight months later due to increasing pain in her lower back and legs and increased difficulty with standing, bending, and lifting.
In 2018, Ms. Kidd filed for Permanent Total Disability (“PTD”) compensation. In support of her application for PTD, Ms. Kidd submitted a report from her chiropractor who reported that Ms. Kidd required the ability to change her position on a frequent basis, that she was unable to sit or stand for periods between 10 to 20 minutes without having to change positions due to increasing left leg pain. The chiropractor further noted that Ms. Kidd was unable to return to gainful employment “due to worsening of her lumbar disc condition and radicular leg complaints” and that Ms. Kidd “would be considered permanently and totally disabled due to her allowed conditions.”
The Industrial Commission’s examining doctor, Dr. Shah, concluded that Ms. Kidd could work at a sedentary level with the additional restrictions of no bending, twisting, or squatting, avoiding overhead activities, and avoiding activities that require increased balance, including using ladders. Ms. Kidd was limited to standing for approximately 20 minutes, sitting for 20 to 30 minutes with changes in position, and walking up to 1/2 mile. She required rest periods every 15-20 minutes for 1-2 minutes as needed during standing, sitting, or walking, and had difficulty lifting due to her low back pain Ms. Kidd was also evaluated by a vocational consultant who disagreed with Dr. Shah’s opinion that Ms. Kidd could work at a sedentary level. She stated that Ms. Kidd was 100% totally unemployable and does not retain the capacity to engage in sustained, remunerative employment. She stated that Dr. Shah’s list of restrictions was less than a sedentary level; that no employer will accommodate a break every 15 minutes due to being non-productive and inefficient for most job tasks; and the restrictions are so limiting that Ms. Kidd would find it very difficult to find an employer willing to accommodate such requirements. While sitting in this position for 15 minutes, Ms. Kidd is in pain and this affects her concentration. At home, she is able to change positions frequently. At a job, she would not have this opportunity because alternating between sitting, standing, and walking around would impact her ability to complete job tasks in a timely manner. Additionally, she participated in vocational rehabilitation that included job seeking skills training, job development, job coaching and working with an employment specialist but finding an employer who would accommodate her restrictions could not be identified.
The Commission denied Ms. Kidd’s application for PTD compensation based on her testimony and Dr. Shah’s opinion that she was capable of sustained remunerative employment at a sedentary level. The Commission found that Dr. Shah’s restrictions were consistent with the definition of sedentary work in Ohio Administrative Code Section 4121-3-34(B)(2)(a), and that “modern innovations in office equipment, such as sit/stand desks and wireless telephone technology, as well as work-from-home options, offer workers the ability to change positions at their convenience.” Ms. Kidd appealed to the Tenth District Court of Appeals.
On appeal, Ms. Kidd argued that the Commission had abused its discretion by relying on Dr. Shah’s report because his restrictions were less than sedentary work and therefore inconsistent with the definition of sedentary work in Ohio Administrative Code Section 4121-3-34(B)(2)(a). Ms. Kidd also argued that the Commission’s analysis of the nonmedical factors relating to her alleged disability status was flawed and that the Commission failed to consider how Ms. Kidd’s need to telework or utilize modern office innovations would hinder her ability to find employment.
The Tenth District Court of Appeals agreed with Ms. Kidd and held that the Commission’s reliance on Dr. Shah’s opinion constituted an abuse of discretion because his restrictions were “seemingly inconsistent” with the definition of “sedentary work” in Ohio Administrative Code Section 4121-3-34(B)(2)(a). The Court further determined that advancements in workplace technology and Ms. Kidd’s potential proficiency in that regard do not address Ms. Kidd’s apparent impediment to sedentary work as that term is defined in the Ohio Administrative Code.” The Commission appealed to the Supreme Court of Ohio.
On appeal, the Commission argued that its decision was not an abuse of discretion because Dr. Shah’s work restrictions were consistent the definition of sedentary work and that the Commission’s acknowledgment of advances in workplace accommodations further supported its decision. Ms. Kidd reiterated her argument that Dr, Shah’s medical restrictions were inconsistent with the definition of sedentary work and maintained that her need to take rest periods every 15 to 20 minutes limited her ability to function such that she was incapable of engaging in sustained remunerative employment.
The Supreme Court found the restrictions in Dr. Shah’s report consistent with the definitions of PTD and sedentary work. The Court specifically noted that the definition of sedentary work does not address “rest periods” so Dr. Shah’s imposition of rest periods with his restrictions is not inconsistent with the definition of sedentary work. Regarding the Commission’s reliance on advances in workplace technology, the Supreme Court reasoned that in making a PTD determination, the Commission must consider the doctors’ reports and opinions; a claimant’s age, education, and work record; factors of a psychological, psychiatric, and sociological nature; and “any other factors” that might be important to its determination of whether this specific claimant may return to the job market by utilizing past employment skills, or those skills which may be reasonably developed.” Because the Commission can consider any other factors it is not precluded from considering advances in workplace technology in determining whether jobs exist that are reasonably likely to accommodate a claimant’s medical restrictions.
The Court also noted that the evaluation of the weight and credibility of the evidence is left to the discretion of the Commission within the context of each case. And because workers’ compensation cases are largely fact-specific, no one test or analysis can be said to apply to each and every factual possibility. Therefore, we prefer a flexible and analytically sound approach that eschews hard-and-fast rules. Prohibiting consideration of prevalent workplace accommodations and technology would be antithetical to this flexible approach and to the Commission’s exercise of discretion within its field of expertise. The Court concluded that Dr. Shah’s report constituted some evidence, the Commission did not abuse its discretion in denying Kidd’s application for PTD compensation, and reversed the Tenth District Court of Appeals’ decision.
Loss of Use - State ex rel. Ottinger v. B&B Wrecking & Excavating, Inc., 2023-Ohio-1758 (May 25, 2023)
In 2018, claimant was injured when he fell from a roof and sustained multiple injuries and his claim was allowed for various conditions including “paraplegia, incomplete.” In 2019, he filed a motion for compensation for functional loss of use of both of his legs. His motion stated: “In support of this motion, please consider that the medical on file and the fact that his claim is allowed fo[r] ‘paraplegia.’” A BWC nurse reviewed the motion and stated that the medical evidence and the allowed condition of “paraplegia” support the request for compensation of the functional loss of use of both of his legs. However, the claim was allowed for the condition of “paraplegia, incomplete” not “paraplegia” and claimant’s medical records indicated that he could walk for 200 feet, used a walker and wheelchair for mobilization, and is continuing physical therapy on his legs with a goal of returning to work.
The BWC initially granted his request for loss of use compensation. Approximately six weeks later, the BWC filed a motion requesting the Industrial Commission to exercise its continuing jurisdiction arguing there were clear mistakes of law and fact in the BWC’s order granting claimant’s loss of use award. The Industrial Commission granted the BWC’s motion finding continuing jurisdiction was warranted based on the mistake of fact that his claim was allowed for “paraplegia, incomplete” not “paraplegia” and that the medical evidence in the file demonstrated that he had not lost the use of his legs. The Industrial Commission also found that the BWC had made a mistake of law by issuing the loss of use award based on the incorrect allowed condition and the medical evidence that he retained some use of his legs.
Upon appeal before the 10th District, the magistrate found that the commission did not abuse its discretion and the commission’s order was supported by some evidence. The commission identified the following two mistakes of fact by the BWC: (1) the incorrect diagnoses of paraplegia instead of paraplegia, incomplete; and (2) there was evidence on file prior to and subsequent to the issuance of the order of claimant’s ability to stand and ambulate independently with a wheeled walker, which was inconsistent with a loss of use award.
The Court concluded that the commission found at least one clear mistake of fact that was supported by some evidence and therefore did not abuse its discretion in its exercise of continuing jurisdiction. The Court noted that a single mistake of fact or mistake of law was all that was needed to justify the commission’s exercise of continuing jurisdiction. As long as some medical evidence supports the commission’s findings, those findings will not be disturbed. In this case, the commission had ample. evidence in the record which supported the commission’s finding that the BWC granted claimant’s motion based on the factual mistake that his claim had been allowed for “paraplegia,” not “paraplegia, incomplete,” in order to properly exercise continuing jurisdiction.
Classification of Workers - State ex rel. Friendship Supported Living, Inc. v. Ohio Bur. of Workers’ Comp., 2023-Ohio-957. (March 28, 2023).
Friendship Supported Living, Inc., (“Friendship”), provided in-home direct-care services to developmentally disabled persons. In addition to its regular W-2 employees, Friendship classified individuals who provided home health care services as independent contractors. In 2008, the BWC conducted an audit of Friendship and determined the workers were independent contractors. In 2017, the BWC conducted a second audit of Friendship and determined the workers were employees, not independent contractors. The BWC supported its decision by finding that Friendship also had W-2 employees who visited the same consumers as the workers to perform related services. The workers were interviewed, hired, and paid set wages. Friendship assigned schedules and work hours to the workers. Friendship made decisions about care, medication, exercise, etc., and the worker followed a plan developed by a healthcare provider and overseen by a case manager or RN. The contract stated that after 24 months the workers could apply to be employees of Friendship. Friendship performed all scheduling of days and times when the worker was to work. Friendship monitored the workers’ activities for compliance and quality. A worker could not hire someone to cover the worker’s services – the services must be performed by the individual worker. The workers submitted timesheets, were paid by the hour, and did not invoice for services. Friendship carried liability insurance.
Friendship appealed the BWC’s decision to the Tenth District Appellate Court. The Court determined that the BWC had abused its discretion and ordered the BWC to vacate its order. The BWC appealed to the Supreme Court of Ohio arguing that the court committed error by reweighing the evidence and that the BWC’s decision was based on reasoning that was fully supported by evidence in the record.
The Ohio Supreme Court noted the key determination for determining whether an individual is an employee or an independent contractor is who has the right to control the manner or means of doing the work. The Court stated that the right-to-control test is not marked by a bright-line rule but rather a set of non-exhaustive factors such as: the existence of a contract for the performance by an individual of a certain piece or kind of work at a fixed price; the independent nature of the individual’s business or the individual’s distinct calling; the individual’s employment of assistants with the right to supervise their activities; the individual’s obligation to furnish necessary tools, supplies, and materials; the individual’s right to control the progress of the work except as to final results; the time for which the individual is employed; whether the method of payment is by time or by job; whether the work is part of the regular business of the employer; who controls the details and quality of the work; who controls the hours worked; who selects the routes travelled; what is the length of employment; the type of business; and any pertinent agreements or contracts.
The Court reviewed the factors and found that the Ohio Department of Developmental Disability’s regulation of Friendship was not evidence that supported the BWC’s classification of Friendship’s workers as employees. The Court also concluded that Friendship did not exert control over a facet of the work relationship with the workers by requiring that the workers carry their own automobile insurance, because even if the direct-care workers were not involved with Friendship, they would still be required by law to maintain insurance coverage per state-law requirements. The Court noted that Friendship paid the workers hourly but also issued 1099’s to the workers. Because the bureau’s analysis regarding these two aspects of how Friendship paid the workers was supported by some evidence in the record, the Court concluded that these findings effectively canceled each other out.
Instead of determining whether the BWC’s weighing of the factors in the right-to-control test was supported by some evidence, the Supreme Court determined that the BWC failed to consider the totality of the circumstances and remanded the issue back to the BWC for the BWC to provide specific evidence whether Friendship’s monitoring for quality and compliance demonstrated Friendship’s control over the workers or whether it was merely confirming compliance with the terms of the independent contractor agreement. The Court also ordered the BWC to address whether the workers were free to work for other companies including Friendship’s competitors, and to address the previously omitted factors regarding the workers’ routes.
Death Benefits - State ex rel. McDonald v. Indus. Comm., 2023-Ohio-1620. (May 17, 2023).
Mr. McDonald died in a ditch collapse while working for the employer. Amanda Carpenter was Mr. McDonald’s fiancée and the mother of Mr. McDonald’s two minor children. She filed a claim with the BWC for death benefits for her and their two minor children. The Industrial Commission granted death benefits to their two minor children but denied death benefits to Ms. Carpenter. The commission found that she was not dependent on Mr. McDonald as a surviving spouse because they were never married, common-law marriage was abolished in Ohio since 1991, case law did not extend R.C. 4123.59(D)(2) to an unmarried person in a relationship with a decedent worker, and for over 80 years the commission had required that a legal marriage exist.
Ms. Carpenter appealed to the Tenth District Court of Appeals. The Tenth District concluded that because the last paragraph of R.C. 4123.59(D) says that a dependent can be “a member of the family of the deceased employee” or a person that “bears to the deceased employee the relation of surviving spouse, lineal descendant, ancestor, or brother or sister,” Ms. Carpenter could potentially qualify for death benefits as a member of McDonald’s family, even though she was not his surviving spouse.
On appeal before the Ohio Supreme Court reviewed R.C. 4123.59(D) and noted that the statute is divided into two sections. The Court noted that the first section stated that “no person shall be considered a prospective dependent unless such person is a member of the family of the deceased employee and bears to the deceased employee the relation of surviving spouse, lineal descendant, ancestor, or brother or sister.” While the second section stated “in all other cases, the question of dependency, in whole or in part, shall be determined in accordance with the facts in each particular case existing at the time of the injury resulting in the death of such employee, but no person shall be considered as dependent unless such person is a member of the family of the deceased employee, or bears to the deceased employee the relation of surviving spouse, lineal descendant, ancestor, or brother or sister.”
The Court reasoned that because the second section used the word “or” instead of the word “and” as used in first section, the second section in R.C. 4123.59(D) created two categories of potential dependents: (1) “a member of the family of the deceased employee” or (2) a person who “bears to the deceased employee the relation of surviving spouse, lineal descendent, ancestor, or brother or sister.” Therefore, the Court concluded that marital status was not determinative of whether a person is eligible to receive death benefits under the last paragraph of R.C. 4123.59(D). In other words, any person may be eligible for death benefits if it is determined that the person is “a member of the family of the deceased employee” under the facts of the particular case.
The Court concluded that the Industrial Commission failed to further consider or determine whether Ms. Carpenter was a member of Mr. McDonald’s family, even though she was not married to Mr. McDonald, pursuant to the second section of 4123.59(D). And, the commission could determine that an unmarried person who was in a relationship with a deceased employee was “a member of the family of the deceased employee,” depending on the facts of that particular case. The Court remanded the matter back to the commission to determine whether Ms. Carpenter was a member of Mr. McDonald’s family at the time of the injury that resulted in his death.
State ex rel. Heilman v. Indus. Comm., 2023-Ohio-3073. (August 31, 2023).
Arthur Heilman was injured on April 4, 2019, while working for Riverside Maine Industries, Inc., (“Riverside”) when he was struck in the head by a piece of metal from a machine that failed. Mr. Heiman died on April 6, 2019, as a result of his work-related injuries. Patricia Heilman filed a death claim and a loss of use application for the total loss of use of both arms and legs, total loss of vision in both eyes, and total loss of hearing in both ears on behalf of her deceased husband. Riverside certified Ms. Heilman’s claim, and her request for death benefits was paid on October 15, 2019. The Commission denied her application for payment of loss-of-use-compensation, pursuant to R.C. 4123.57(B). Ms. Heilman appealed to the Tenth District Court of Appeals.
The Court concluded that certain medical reports cannot constitute “some evidence” to support the Commission’s order denying Ms. Heilman’s motion for loss-of-use compensation because it did not comply with the holding in State ex rel. Wallace v. Indus. Comm., 57 Ohio St. 2d 55, 386 N.E.2d 1109 (1979) inasmuch as the reviewing physician, when rendering his opinion, did not accept the objective findings of the coroner who was an examining physician.
Accordingly, the Court directed the Commission to vacate its order denying Ms. Heilman’s application, determine, without reliance on the reviewing physician’s reports, whether Ms. Heilman had established Mr. Heilman’s loss of use of both arms and legs, loss of vision in both eyes, and loss of hearing in both ears, and enter an order granting or denying compensation accordingly. On October 5, 2023, the Industrial Commission filed an appeal to the Ohio Supreme Court. On October 16, 2023, Ms. Heilman filed a cross-appeal to the Ohio Supreme Court.
State ex rel. Kenneth Cogan v. Indus. Comm., 2022-Ohio-3748 (October 5, 2023)
Mr. Cogan did not have a lens in his right eye as a result of a childhood injury involving a BB pellet. With the use of a hard contact lens, his vision was restored to 20/40. Without a hard contact lens, his vision was “count fingers at two feet.” However, Mr. Cogan never underwent corrective surgery prior to his work injury. Several decades later, Mr. Cogan was injured at work when a ratchet struck his right eye. Mr. Cogan underwent three corrective surgeries. Following the second surgery, Mr. Cogan’s corrected vision in his right eye was measured at “count fingers at two feet.” After the third surgery, Mr. Cogan’s vision was 20/400 and his doctor opined he did not have usable vision in his right eye due to refractive error. Mr. Cogan filed an application for total vision loss in his right eye. Relying on the report of Dr. Raffoul, the Industrial Commission denied his application determining that Mr. Cogan could not show that he suffered any loss of vision due to the industrial injury when comparing his pre-injury uncorrected vision without the hard contact lens of “count fingers at two feet” to his post-injury uncorrected vision of “count fingers at two feet.” Mr. Cogan appealed to the Tenth District Court of Appeals.
The Tenth District Court of Appeals found that the Commission applied the incorrect standard to determine Mr. Cogan’s preinjury visual baseline. The Court stated that the Commission should not have strictly adhered to the standard of comparing Mr. Cogan’s uncorrected pre-injury vision without a hard contact lens to Mr. Cogan’s uncorrected post-injury vision. In doing so, the Commission predetermined that Mr. Cogan did not suffer vision loss because Mr. Cogan’s uncorrected vision remained at “count fingers at two feet.” Instead, the Commission should have construed the statute liberally in favor of Mr. Cogan, exercised its discretion, and taken into account the unique circumstances of Mr. Cogan’s medical history regarding his right eye. The Commission should have compared Mr. Cogan’s pre-injury, corrected, usable vision of 20/40 to his post-injury, uncorrected, unusable vision of 20/400. Note that, instead of finding Mr. Cogan had lost 100% of his vision in his right eye, the Court remanded the matter back to the Commission to apply the correct standard to determine Mr. Cogan’s pre-injury visual baseline and determine whether the medical evidence supports an award for loss of vision. The Commission appealed to the Supreme Court of Ohio.
The issue before the Ohio Supreme Court was whether the Commission had discretion to use Mr. Cogan’s vision as corrected by a hard contact lens as Mr. Cogan’s preinjury visual baseline. The Commission argued that Mr. Cogan’s use of a hard contact lens to correct his vision was distinguishable from someone who had surgery to correct their vision prior to their work injury. As a result, the Commission argued it was required to use Mr. Cogan’s pre-injury, uncorrected vision as a baseline. The Court noted that R.C. 4123.57(B) states that the standard for post-injury vision is the claimant’s uncorrected vision without consideration of surgical procedures, contact lenses, or glasses. However, R.C. 4123.57(B) does not address the standard for measuring pre-injury vision.
On October 5, 2023, the Supreme Court rejected the Commission’s argument finding no distinction between surgical procedures and optical prostheses as both are considered a correction to vision, not a restoration of vision. The Court found that whether a claimant has had a preinjury surgical correction is not determinative under R.C. 4123.57 or case law, therefore, the Commission abused its discretion by using Mr. Cogan’s pre-injury, uncorrected vision as a baseline. The Court affirmed the decision of the Tenth District Court of Appeals and remanded the matter to the Commission for further proceedings.
State ex rel. Levitin v. Indus. Comm., 2022-Ohio-2750 (October 4, 2023)
Rimmia Levitin was injured when her right hand was caught in the rollers of a flatbed die-cutter machine. Approximately ten months prior to her injury, the Employer renovated the machine and modified a guard by increasing its weight to prevent it from bowing and accidentally shutting down the machine. In addition to her BWC claim, Ms. Levitin filed an application for a VSSR award alleging the Employer violated two sections of the Administrative Code. The Industrial Commission denied Ms. Levitin’s VSSR application stating that the first code section was not violated because it applied to a single function machine and the machine in this case was a multifunction machine. And, the second code section was not violated because a safety device need not be foolproof. The purpose of a specific safety requirement is to provide reasonable but not absolute safety for employees. The increased weight of the guard may have made the guard less effective, but not useless. Lastly, there was no evidence that the Employer had been forewarned of the malfunction by a prior malfunction of the guard under the “one-time malfunction” rule. Ms. Levitin appealed to the Tenth District Court of Appeals.
The Tenth District Court of Appeals found that the Industrial Commission decision was based on “some evidence” and was not an abuse of discretion. The Court also noted that safety regulations do not impose strict liability on employers whenever a safety device fails. The Court referenced the “one-time malfunction” exception which provides that the fact that a safety device that otherwise complies with the safety regulations failed on a single occasion is not alone sufficient to find that the safety regulation was violated. Under this exception, the question becomes whether the Employer had ever been forewarned of the malfunction on the date of injury by a prior malfunction of the safety device. In this case, the modified safety guard had not malfunctioned prior to Ms. Levitin’s injury. Ms. Levitin appealed to the Supreme Court of Ohio.
On appeal Ms. Levitin argued that because the employer intentionally modified the guard, the guard did not provide reasonable safety from accidental injury and the employer cannot claim a lack of forewarning under the one-time malfunction rule. On October 4, 2023, the Supreme Court affirmed the Tenth District Court of Appeals’ decision finding that the Commission’s decision was supported by “some evidence.” The Court noted that the employer did not modify the guard to disable it. Instead, the employer modified the guard because it was malfunctioning and accidentally actuating a shutdown. The employer may have provided a less-effective means of protection, but that is not the same as an employer providing no guard at all. As to the one-time malfunction rule, the Court noted that the Commission’s decision was supported by witness testimony and maintenance logs that the type of failure had never occurred before. The Court refused to reweigh the evidence, even if contrary witness statements existed. Ms. Levitin also tried to argue that where a corporate party denies knowledge of a fact, a court should determine whether any evidence demonstrates knowledge of that fact by any employee. The Court rejected Ms. Levitin’s argument as an inversion of the “some evidence” rule and an attempt to get the Court to reweigh the evidence.
State ex rel. Spotleson v. Medlab Ohio Inc., 2023-Ohio-2464. (July 18, 2023).
On October 13, 2010, Susan Spotleson sustained an injury while employed at Medlab Ohio, Inc., when a vehicle she was driving was struck by another vehicle. Her workers’ compensation claim was allowed for “left shoulder sprain”; “neck sprain”; “head injury with no loss of consciousness”; ”disc protrusion C6-C7 level”; “substantial aggravation of pre-existing disc protrusion C5-C6”; “reflex sympathetic dystrophy bilateral upper arms”; “left neoplasm uncertain behavior lower neck from previous cervical surgery”; “complex regional pain syndrome of left lower limb”; “chronic regional pain syndrome of the face”; “myelomalacia C3-C4 and C7”; and “cervical disorder with myelopathy C3-C4 and C7.”
In March 2012, the BWC issued an order granting temporary total disability (“TTD”) compensation beginning on February 22, 2012, and to continue based on the submission of medical evidence. The BWC paid TTD compensation through February 27, 2017. Ms. Spotleson submitted C-84 forms dated February 25, March 25, April 25, and May 25, 2017. In addition to the C-84 forms, Ms. Spotleson submitted a January 31, 2017, physician report of work ability MEDCO-14 estimating a potential return to work date of February 28, 2017. The BWC issued a letter informing Ms. Spotleson that she had not submitted a physician report of work ability MEDCO-14 or any other medical evidence to support the most recent period of TTD compensation. The letter also indicated that if the requested documentation was not submitted, TTD compensation would end on February 27, 2017. Ms. Spotleson submitted C-84 forms dated June 25 and July 25, 2017. TTD compensation was granted, and the BWC appealed. In July 2021, the order was vacated, and TTD compensation was denied on the basis that TTD was not payable from two years prior to the date that the motion was filed pursuant to R.C. 4123.52. Ms. Spotleson appealed to the Tenth District Court of Appeals.
The Court upheld the BWC’s denial of TTD compensation finding that there was “some evidence” in the record to support the order denying TTD compensation for the period of February 28, 2017, through February 26, 2018. Because the only application for compensation before the SHO was the February 27, 2020, C-86 motion, the two-year limitation in R.C. 4123.52 prohibited the SHO from granting TTD compensation from February 17, 2017, through February 26, 2018. The Court noted that the language in R.C. 4123.52 barring the Commission from awarding compensation beyond two years prior to the date of the filing of the application is explicit and mandatory. On August 29, 2023, Ms. Spotleson filed an appeal to the Ohio Supreme Court which is pending.
State ex rel. Jeld-Wen, Inc. v. Indus. Comm., 2023-Ohio-2593. (July 27, 2023).
On May 13, 2019, Steven Totten’s right hand was caught between a conveyor and outfeed table on a patio door cleaner while working for Jeld-Wen, Inc., a self-insured employer. Jeld-Wen recognized Mr. Totten’s claim for his injuries.
After an absence, Mr. Totten returned to work on August 11, 2019, and was assigned light-duty work. After working less than one week, Mr. Totten was experiencing pain in his right fourth finger and was examined by a doctor who initially removed him from work entirely but then allowed him to return on August 15, 2019, “with a complete restriction from using his right hand.” This restriction was continued until October 2019, at which time Mr. Totten stopped working because “the offered employment required him to use his right hand which was contrary to the doctor’s restrictions.” Mr. Totten was subsequently examined by a new physician, who completely removed Mr. Totten from work from October 4, 2019, through January 15, 2020, based on Mr. Totten’s inability to perform the light-duty work that had been offered. In January 2020, Mr. Totten was examined by a third doctor, who concluded that Mr. Totten could have performed the light-duty work as of October 4, 2019, in part because Mr. Totten had been performing that work between August 15th and October 4th. Subsequently, Mr. Totten sought TTD compensation benefits from October 4, 2019, onward. The Commission granted Mr. Totten’s temporary total benefits. Jeld-Wen appealed to the Tenth District Court of Appeals. Jeld-Winn argued that it had offered a light-duty job to Mr. Totten and therefore the Commission should have denied his request for TTD compensation. The Court determined that Jeld-Wen did not provide any evidence—such as testimony from an occupational specialist—that its light-duty work could be performed with a single hand, and it was undisputed that Mr. Totten testified that the light-duty work required him to use his right hand. Although two of the doctor’s disagreed over the “no use of right hand” restriction, the record was clear that both doctors believed that the restriction was appropriate. In light of this other evidence, the Commission was free to give the opinion that Mr. Totten could perform light-duty work appropriate weight in view of Mr. Totten’s testimony and the other evidence in the record.
The Court upheld the Commission’s decision because there was “some evidence” in the record to support the Commission’s orders. No appeal was filed to the Ohio Supreme Court.
State ex rel. Moore v. Indus. Comm., 2023-Ohio-3075. (August 31, 2023).
On November 26, 1991, Tamara Moore sustained an injury to her right shoulder while picking up a small motor during her employment for Gemi Holdings, Inc. Her workers' compensation claim was allowed for “right shoulder sprain,” “myoneural disorder of long thoracic nerve,” “joint derangement right shoulder,” and “depressive disorder.” She received temporary total disability compensation. She never underwent any surgeries for her injury.
Moore attempted to participate in rehabilitation, but in June 1992, was informed that she was not medically stable for participation in rehabilitation, and her rehabilitation file was closed in January 1993. Without rehabilitation, she returned to restricted-duty work with Gemi in February 1993, and continued working there for approximately 28 years. However, she continued to have pain in her right shoulder and continued to receive medical treatment periodically.
In August 2019, Ms. Moore was laid off due to the Gemi’s relocation of the workforce to Mexico. In February 2021, Ms. Moore filed for Permanent Total Disability (“PTD”). Ms. Moore was examined by four doctors in 2021. Ms. Moore’s doctor, Dr. Hurst, opined Ms. Moore had no capacity for sustained remunerative employment due to the allowed physical conditions in the claim. Ms. Moore’s psychologist, Dr. Lyall, opined Ms. Moore was PTD for the allowed psychological conditions in the claim. The BWC doctor, Dr. Scheatzle, opined Ms. Moore could perform light-duty work with restrictions. The BWC psychologist, Dr. Pawlarczyck, opined that Ms. Moore’s psychological condition resulted in a 24% whole-person impairment and caused her to experience significant social withdrawal, and be irritable and pessimistic which would affect her ability to work with others. She would be unable to tolerate stress encountered at work, and there was the potential to engage in some suicidal behavior.
A Staff Hearing Officer (“SHO”) denied Ms. Moore’s application for PTD based on Dr. Scheatzle’s and report, finding that among other things: Ms. Moore was able to perform light-duty work for the employer for 28 years; Ms. Moore was laid off only due to the employer’s moving its workforce to Mexico; following her layoff, Ms. Moore did not seek vocational rehabilitation; Ms. Moore’s lack of sleep has been a chronic problem for a number of years, but she was still capable of working; Ms. Moore was capable of performing light work, and can sit, stand, walk, and lift with her right arm to shoulder height; Ms. Moore did not take any pain medications; Ms. Moore did not pursue any vocational rehabilitation; Ms. Moore performed activities of daily living inconsistent with being unable to perform all sustained remunerative employment; and Ms. Moore
refused psychotherapy treatment despite feeling stressed. The SHO rejected Dr. Pawlarczyk’s report as internally inconsistent and Dr. Lyall’s report because he stated Ms. Moore had only worked for Gemi for 11/2 years.
Ms. Moore appealed to the Tenth District Court of Appeals arguing the SHO failed to provide a reason why it rejected Ms. Moore’s reports, and improperly considered her percentage of partial impairment in violation of Ohio Administrative Code 4121-3-34(D)(3)(f).
The Court noted that the Commission was the exclusive evaluator of weight and credibility of the evidence and it would be improper for the Court to evaluate the propriety of the Commission’s finding that a doctor’s report was persuasive. The Court further noted that the Commission was not required to identify the evidence it finds unpersuasive or the reason for rejecting it, because “[l]ogic dictates that if the identity of rejected evidence is irrelevant, so is the reason for the rejection.” Accordingly, the Commission did not need to state why it found one doctor’s report more persuasive than that of another doctor. The Commission may not state an arbitrarily reason for rejecting a report but the Commission must have “some reasonable basis for the rejection of a physician’s finding.” The Court noted that, contrary to Ms. Moore’s argument, the SHO provided two reasons for rejecting the reports as some evidence: (1) the doctor failed to explain how Ms. Moore was unable to return to sustained remunerative employment yet worked for 28 years after her injury in a light-duty capacity; and (2) the doctor indicated in his report that Ms. Moore had been diagnosed with an unspecified anxiety disorder, a condition not allowed in Ms. Moore’s claim.
The Court stated that OAC section 4121-3-34(D)(3)(f) provides that an “adjudicator shall not consider the injured worker's percentage of permanent partial impairment as the sole basis for adjudicating an application for compensation for permanent total disability. However, contrary to Ms. Moore’s argument, the SHO did not consider Ms. Moore’s percentage of impairment as the sole basis for denying her PTD application as the SHO denied Ms. Moore’s application for the numerous other reasons as indicated in its order. Therefore, because the SHO did not consider Moore’s percentage of impairment as the sole basis for denying Ms. Moore PTD compensation, the SHO’s decision did not violate OAC 4121-3-34(D)(3)(f).
The Court held that because the SHO’s order was based on “some evidence” and did not violate OAC 4121-3-34(D)(3)(f) the Commission did not abuse discretion when it denied Ms. Moore’s PTD compensation. No appeal has been filed with the Ohio Supreme Court as of October 16, 2023.
State ex rel. Cincinnati v. Indus. Comm., 2023-Ohio-3638 (October 5, 2023)
Joseph Conley was diagnosed with thyroid cancer while working as a firefighter for the City of Cincinnati. Mr. Conley’s claim was initially denied by the Industrial Commission. Upon Mr. Conley’s request for reconsideration, the Commission invoked its continuing jurisdiction based on “a clear mistake of law” and found that the expert reports relied on by the hearing officers to deny Mr. Conley’s claim were insufficient as a matter of law to rebut the presumption under R.C. 4123.68(X)(1). Specifically, the Commission found that the reports did not show, by a preponderance of competent scientific evidence, that exposure to the type of carcinogen alleged did not or could not have caused Mr. Conley’s cancer. After reconsideration, the Commission allowed Mr. Conley’s claim. The City of Cincinnati appealed to the Tenth District Court of Appeals arguing that a clear mistake of law did not exist, instead the Commission was improperly reweighing the evidence.
The Court noted that R.C. 4123.68(X) sets forth a rebuttable presumption that cancer contracted by firefighter who has been assigned to at least six year of hazardous duty as a firefighter constitutes a presumption that the cancer was contracted in the course of and arising out of that firefighter’s employment if the firefighter was exposed to certain carcinogens. An employer can rebut the presumption through evidence that shows, by a preponderance of competent scientific evidence, that exposure to the type of carcinogen alleged did not or could not have caused the cancer being alleged.
The Court reviewed Cincinnati’s expert reports and determined that the medical literature the city’s expert relied on did not establish that the exposure to the pertinent carcinogens did not or could not have caused Mr. Conley’s cancer. Therefore, the City’s expert report did not show by a preponderance of competent scientific evidence that Mr. Conley’s exposure to the carcinogens did not or could not have caused Mr. Conley’s cancer. The Court stated that the misapplication of the rebuttable presumption was a clear mistake of law, and concluded that the Commission properly identified the mistake of law in that the medical evidence cited the hearing officers was not legally sufficient to rebut the statutory presumption in R.C. 4123.68(X). No appeal has been filed with the Ohio Supreme Court as of October 16, 2023
© Copyright 2024 by Christopher M. Ward, Calfee, Halter & Griswold, LLP. All rights reserved. Reprinted with permission.
Dr. Gant was an integral member of the very small group of qualified doctors who were willing to provide objective and fair psychological evaluations and opinions for injured workers. We were saddened to hear that he died on December 4th. He was buried among three generations of Texas family at Cana Cemetery near Willis Point, Texas. He was a friend to many in the comp system and gained our respect over the many years we worked with him on cases, and in reading the many reports he wrote on behalf of his patients. His obituary describing his remarkable path through life is at https://www.hlfhs.com/obituary/Bobby-GantPhD
Copyright 2024, Stone Loughlin & Swanson, LLP
There has been a flurry of activity within the Division of late as DWC staff
flutter off. Ana Thornton, the South-Eastern Regional Director overseeing
hearings in Houston, San Antonio, and the Valley, has departed for a position
with Traveler’s Insurance Company. Of course, we wish her nothing but the
best.
Jeff Carothers, formerly the Team Lead for the Southern Region and a San
Antonio Administrative Law Judge, accepted the Regional Director position left
vacant by Ms. Thornton and will therefore no longer preside over hearings.
Administrative Law Judge Hector Martinez of San Antonio will replace Mr.
Carothers as the Team Lead of the Southern Region. We heartily congratulate
them both!
Meanwhile, ALJ Franca Okonkwo transferred from the Houston West Field Office to
Houston East, and the Division has hired Victoria Mendoza as its newest
Administrative Law Judge in the West office. Judge Mendoza received her
J.D. from Texas Southern University and became licensed to practice in 2016.
Prior to joining the Division, we understand her area of expertise was
immigration law. We look forward to working with her.
Finally, Amparo Ilustre, a Benefit Review Officer in the Fort Worth area,
retired in January. No word yet on her replacement, but our best wishes to Ms.
Ilustre for a happy retirement!
Copyright 2024, Stone Loughlin & Swanson, LLP
Ruth Castilleja of Baytown got caught for fraud after reporting an injury while
working as a phlebotomist. Texas Mutual accepted her workers’
compensation claim and started her benefits for income replacement. That
is until they learned that she was working, again as a phlebotomist but at
another company. In the parlance of workers’ comp, this is called “double
dipping.” She said she was too hurt to work in order to get workers’
compensation income replacement benefits, but in reality she was not so hurt
that she couldn’t work. Her punishment? Three days in Travis County
Jail where she attended some classes on theft, and $7,100 to be paid in
restitution to Texas Mutual (presumably to be paid from her ill-gotten
gains).
Copyright 2024, Stone Loughlin & Swanson, LLP
Anecdotally, we are
seeing plaintiffs trying novel means of getting around the Labor Code’s
exclusive remedy provision which protects insured employers from suits claiming
negligence. A recent example is a negligence suit filed by an injured
worker where a claim of fraud was tacked on. Fraud is an intentional tort
that may not be covered by the employer’s liability part of the workers’
compensation policy. The lesson? Read the allegations in suits against
employers carefully in case there is a coverage issue lurking behind the
negligence claim.
Retaliatory discharge cases are still a favorite of plaintiff attorneys, and
are often a way to relief for a worker who can’t overcome the exclusive remedy.
A new case provides a good opportunity for a refresher in the law.
Mr. Frausto was an injured worker who was on light duty who failed to
show up for work or inform his employer that he wasn’t coming in. After
he was fired under a consistently applied company policy, he claimed (among
other things) that he was fired because he had filed a workers’ compensation
claim. The Corpus Christi Court of Appeals explained that a plaintiff
filing a retaliatory discharge claim relying on Texas Labor Code Sec. 451.001
must make a prima facie showing that his workers’ compensation claim was filed
in good faith and that there is a causal link between the filing of his claim
and his discharge. He can do this if he proves that he would not have
been fired but for his filing a workers’ compensation claim. The burden
of proof then shifts to the employer to show that it had a legitimate,
non-discriminatory reason for the discharge. If the employer succeeds in
proving this, then the burden shifts back to the worker to produce evidence of
a retaliatory motive. In this case, the employer had a uniformly enforced
absence control policy that overcame the claim that its motives were
pretextual. Frausto v.
RC Industries, LLC, (Tex. App. - Corpus Christi), January 11, 2024,
WL 117601.
Copyright 2024, Stone Loughlin & Swanson, LLP
The Texas Supreme Court has asked for full briefing from the parties on
Accident Fund’s Petition for Review of Accident Fund’s challenge to the
agency’s SIBs qualification rule, which we are hopeful signals that the Court
will hear the case on the merits of the rule challenge.
While we wait for the Court to decide the case, the saga continues at the
agency level. The moral of this story (if you choose to read it, below) is that
at least for now, in the real world it’s the Claimant’s claim of “believe me
when I say so” rather than objective proof of an actual job search that
satisfies the SIBs work search requirement.
Once upon a time we told you that the Division provided guidance through an FAQ
from its General Counsel that claimants who were applying for SIBs (without the
help of the Workforce Commission) were to show they were actively looking for a
job by attaching job applications or other documents showing they were looking
for a job. Later, we told you the tale of the Attorney General’s briefing
to the Highest Court in the Land (well, Texas anyway) that the Division, in
fact, does require those claimants to document their searches by job
applications and to submit copies of those applications (whether they apply
online or by hard-copy) with their SIBs application.
Unfortunately, real life has not lived up to the story we told. Our firm
recently defended a SIBs quarter in which the claimant’s DWC-52 spun a tale of
job searches for each week of the qualifying period, but she did not submit a
copy of one single job application with her DWC-52 nor did she bother
identifying information for any single employer she claimed to have contacted.
Instead, she simply wrote down the names of employers she allegedly contacted
on the DWC-52.
As recently as October of this year, the version of the story the Division told
the Supreme Court of Texas was that the Division requires every claimant (not
assisted by the Workforce Commission) who is seeking entitlement to SIBS to
provide copies of job applications with the DWC-52. Our firm made this argument
to the ALJ mere weeks ago, providing the very words from the AG for her
consideration, but the ALJ appears to have missed the Division’s memo on the
subject. The ALJ found the claimant was entitled to SIBs.
Copyright 2024, Stone Loughlin & Swanson, LLP
We are grateful to all of you who have supported the Firm all these years. The practice of workers’ compensation law has changed a lot over the years– as have we. Workers’ compensation system participants comprise a relatively small group. Untangling and deciphering agency regulation has made the jobs of insurance adjusters, ombudsmen, doctors, lawyers and claimants more difficult by the day. We try to keep up for you with developments as they occur. This issue of the Compendium continues that tradition. We learn from and welcome your favorable comments and your criticisms and thank you for the time you take to read about what we think it is important to know.
Copyright 2024, Stone Loughlin & Swanson, LLP
The opinion piece
below describes events that should make us all pause. The point is that
although it is admirable that cooler heads prevailed at the Division and they
withdrew their case, in regard to the actual costs to the doctor the relief is
too little, and far too late. The greater cost is to the system that can ill
afford to lose qualified doctors willing to travel across the state to provide
quality examinations and reports that benefit all system participants at every
stage of the dispute resolution process. Excellence is rarely rewarded.
One Girl’s Opinion – Editorial by Erika Copeland
As we begin the new year, we all tend to do some reflection and I am no
exception. I certainly had not intended to make the editorial a permanent
fixture when my number was up for newsletter contribution, but I felt compelled
to take at least one more stab at it when we at SLS received a bit of a
surprise “gift” in the form of the Division’s Motion to Dismiss a disciplinary
action before the State Office of Administrative Hearings against Dr. Steven
Doores.
First a little context. For those of you who know me only as lawyer at
SLS, my first exposure to Texas workers’ compensation was working for the
Division back when they called Administrative Law Judges “Hearing Officers.”
I did that job for almost 15 years in Abilene and San Angelo. As an
ALJ in hundreds of cases I regularly read peer review, RME and DD reports from
Dr. Doores. By 2011, I had moved to Austin and headed a team of people
charged with making sweeping changes to the designated doctor program as part
of a legislative mandate. As part of that process, we enlisted the help
of several subject matter experts– which is just a fancy way of saying
“doctors” – one of whom was Dr. Doores.
At that time, Dr. Doores was no stranger to the eagle eye of the Division,
having been called on the carpet (via letter of education) – along with
numerous other doctors performing MMI/IR certification examinations – following
a performance-based audit. Following that audit, rather than getting his
proverbial knickers in a twist, Dr. Doores went to great lengths to meet
personally with staff at the Office of the Medical Advisor (OMA) to find out
what exactly the Division wanted and expected with regard to MMI/IR
examinations at a time when the Division had farmed out all training and
testing to an outside vendor, not bothering to oversee the curriculum or
testing administered by the vendor. Determined to make sure he knew
exactly what the Division wanted, Dr. Doores had numerous discussions and
meetings with OMA staff to ensure he knew how to evaluate MMI and impairment
ratings in accordance with the Division’s expectations.
With that backdrop, it should come as no surprise that when the Division took
over development, implementation and oversight of designated doctor training
and testing, Dr. Doores was on the top of the list of providers tapped to
provide his expertise. To be clear, those experts were “compensated” by
the Division much like the Hearing Officers and lawyers were compensated – at a
much lower rate than anyone doing the same kind of work in the private sector.
As the Director of that program at the Division, I personally witnessed his
participation meetings in Austin to develop a completely new three-day training
program for designated doctors that had never been undertaken by the Division
before. I was also there when he attended meetings in Austin with a
private test development company that put us through the rigorous process of
writing, vetting and approving hundreds of test questions for those doctors
seeking to be certified by the Division. (Dr. Doores was responsible for
personally writing the lion’s share of the upper extremity and MMI questions
and there were hundreds needed for the question bank). I was there in the early
stages when we took our show on the road and provided the Division training to
doctors in Houston and Dallas for three days at a time. I was there when
Division executives decided we needed to include some supplemental training
that involved the Hearing Officers in other locations around the state to teach
extent of injury to a larger number of doctors who had never heard of that concept,
much less been tested on it or written a meaningful report addressing
it. I was also there for phone conferences and in-person meetings too
numerous to count with other Division staff, subject matter experts and
attorneys in which Dr. Doores spent hours for which he received no compensation
from the Division. I was NOT there for what could only have been hundreds
of hours Dr. Doores spent developing training materials and test questions,
traveling and meeting with various Division employees and system participants
and doctors for which he received no compensation at all.
What I can speak to personally is the fact that Dr. Doores was a dedicated
colleague and true believer in the necessity to make designated doctor training
and testing better for the doctors, the Division and the system as a whole. It
is with that context that you could have knocked me over with a feather when I
became aware that the Division launched a campaign to remove Dr. Doores from
participating in the system that he worked so hard to improve.
It started slowly – after I left the Division. Dr. Doores was not asked
to speak at as many training sessions and stopped being asked to provide test
questions for the new versions of the certification examination.
Eventually he was politely uninvited to participate in any of his prior
Division duties, including his role as an MQRP arbiter – but that was only the
beginning.
Soon, Dr. Doores found himself on the receiving end of numerous complaints and
investigations – with no notice or knowledge of the source of the complaints.
Each time, Dr. Doores was able to show he complied with applicable
rules.
The latest disciplinary action began as an incomprehensible laundry list of
wrongs Dr. Doores received through the Division’s Medical Quality Review
“process.” What started with a seemingly shotgun approach was eventually
whittled down to five
allegations stemming from one
examination that took place almost eight years ago.
At its core the Division’s position involved its disapproval of Dr. Doores’
opinion and conclusions in an addendum post-DD RME report (which had been
mislabeled a peer review due to a typographical error). For example,
although the document was clearly NOT a peer review the Division fashioned a
series of allegations against Dr. Doores for doing things he could not – under
the Act or Rules – do as a peer reviewer – even though a plain reading of his
report made it clear that it was not, in fact a peer review. At the
Contested Case Hearing, the Administrative Law Judge admitted Dr. Doores’
post-DD RME addendum, with an explanation by the attorney offering it that it
was mislabeled. Every participant in the workers’ compensation system – with
the exception, apparently, of the people involved in the Division’s MQRP process
– understood the nature and intent of that report. The right hand, in this
particular case, definitely had no idea what the left hand was doing.
This action was just the final step in a concerted effort to get Dr.
Doores out of the system by any means available and – unfortunately it has for
all intents and purposes been successful.
If you have been doing this work for a while you know there are very few
qualified doctors who provide quality examinations and reports as either a
designated doctor or post-DD or treatment RME provider in the Texas workers’
compensation system. Even fewer are willing to travel to under-served or
hard to get to counties. Dr. Doores was a provider who would travel to
almost any location and provide quality examinations, reports and testimony if
necessary. Due, in no small part, to the relentless harassment by those in
charge of the system he worked so hard to help improve, Dr. Doores has taken
the target off his back by declining to provide certifying examinations for MMI/IR.
For anyone who may take the position that Dr. Doores is a Carrier-paid
mouthpiece and the system is better off without him, I say: 1) you have an
agenda that needs further scrutiny; or 2) you are not aware that the number of
cases that actually end up disputed, much less in a contested case hearing, in
the Texas workers’ compensation system is actually quite small. The
reports penned by Dr. Doores you may have seen from our office likely support
the Carrier’s position. There are, I assure you, any number of reports
from Dr. Doores in which he found injuries compensable, conditions caused by a
work incident and impairment ratings well in excess of 0% - in fact, well in
excess of 15%. Those reports, do not end up in dispute – so you won’t see them in
hearings, AP Decisions or PLN-11s.
This latest barrage by the Division has taken an unforgiveable toll in this
girl’s opinion. Full disclosure, I consider Steven Doores a friend and am
deeply troubled by the financial and personal cost to the man who gave so much
of himself and his time to a project that also meant so much to me. Most
frustrating is that we may never know the real reason agency personnel were
willing to spend so much time and money on a case that from the start clearly
had no legal merit.
Copyright 2024, Stone Loughlin & Swanson, LLP
On January 23, 2023, The Supreme Court of North Carolina adopted the Rules for Mediated Settlement Conferences and Other Settlement Procedures in Superior Court Civil Actions, superseding the existing set of rules in its entirety, that went into effect on May 1, 2023. Rule 4, which governs attendance at Superior Court mediations, was amended.
Rule 4 was amended to state that if all parties and the mediator agree that the mediation will occur remotely, in-person, or a mixture of the two, then the mediation will be held using the agreed-upon attendance method. If the parties cannot reach an agreement regarding the attendance method of the mediation, the mediation will automatically occur in person. However, the mediation will not automatically occur in person if the mediator has stated in the Dispute Resolution Commission’s Mediator Information Directory that they will only conduct remote mediations.
If a party that is required to attend the mediation would like an attendance method that was not agreed upon by the parties and the mediator, then that party may file a motion with the Industrial Commission Dispute Resolution Coordinator asking that a different method of attendance be ordered.
Rule 104 of the Industrial Commission’s mediation rules (11 NCAC 23G .0104) concerns mediation attendance and paragraph (b) specifies that the attendance method for Industrial Commission mediations shall be the same as the attendance method set forth in Rule 4 of the Rules for Mediated Settlement Conferences and Other Settlement Procedures in Superior Court Civil Actions. Accordingly, the Rule 4 amendments directly affect the way the Industrial Commission determines mediation attendance methods. To help understand this concept, the Industrial Commission created a flowchart, which can be viewed on our website at: https://teaguecampbell.com/mediation-update-2024/.
Although some mediations are quite successful when held remotely, others seem to be more successful if the parties are physically present. Sometimes, when the mediation is held remotely, the participation of the parties can be less predictable. Further, in workers’ compensation cases, mediation is normally the only time defense counsel is able to see the injured worker, and it can be more difficult to judge credibility or to get an accurate impression of injury or level of disability if the parties are appearing remotely. This is especially true in denied cases where credibility and the extent of the injury may be in dispute. If you have any questions or would like to discuss the best method of attendance at your mediations, please reach out to a member of our Teague Campbell Workers’ Compensation team.
Our Legislative Session for 2024-2025 has kicked off and I am pleased to report that, at this time, there are no proposed changes that currently impact our WC system. In Georgia, our Advisory Council is generally the body that presents any proposed uniform changes to the Legislature but this year there are no changes being presented. Of course, each session presents the possibility for surprises, and we will keep you informed of those. For now, however, it appears that smooth sailing lies ahead from Georgia’s employers regarding Statutory changes.