694 A.2d 1185 | R.I. | 1997
OPINION
These petitions for certiorari require us to ponder the legal standards to be applied in determining whether various types of municipal employees should be included within a proposed collective-bargaining unit. Petitions have been filed with this court by both the plaintiff, the Board of Trustees of the Robert H. Champlin Memorial Library (trustees), and the defendants, Rhode Island State Labor Relations Board (board) and the Teamsters Union Local No. 64 (union). Specifically the petitions question whether various supervisors, part-time employees, and a secretary were properly included in or excluded from a proposed collective-bargaining unit for the employees of the Robert H. Champlin Memorial Library (library).
Facts and Travel
In September 1993 the union filed a petition with the board, seeking to represent a collective-bargaining unit comprising the library’s nonsupervisory employees. Thirteen employee signature cards accompanied the petition, and when verified, they were enough to warrant an election.
For several days the board held hearings to determine whether these library employees were eligible to join the proposed collective-bargaining unit. In May 1994 the board issued a detailed written decision ordering an election by secret ballot to be held within ninety days and permitting all the challenged employees to vote to adopt a collective-bargaining representative. The employees conducted a timely election and voted in the union, which was later certified as the employees’ collective-bargaining agent.
After this ruling, both sides filed petitions for certiorari. The trustees argue that both
We shall address separately whether these three categories of employees should be included in the proposed collective-bargaining unit, supplementing our discussion when necessary with additional facts gleaned from the decisions of the board and the Superior Court.
I
Standard of Review
In reviewing certiorari petitions filed under the Administrative Procedures Act, we do not weigh the evidence in the record but ascertain only whether errors of law have been committed and whether any legally competent evidence exists to support the ae-tions of the reviewing court. See G.L.1956 § 42-35-16; Barrington School Committee v. Rhode Island State Labor Relations Board, 608 A.2d 1126, 1138 (R.I.1992).
II
Analysis
A. The “Supervisory” Employees
General Laws 1956 § 28-9.4-1 declares “the public policy of this state to accord to municipal employees the right to organize, to be represented, to negotiate, and to bargain on a collective basis with municipal employers.” A municipal employee is defined in § 28-9.4r-2(b) as
“[a]ny employee of a municipal employer * * * except:
(4) Confidential and supervisory employees;
(7) Employees of authorities * * * not under direct management by a municipality who work less than twenty (20) hours per week. The state labor relations board shall, whenever requested to do so, in each instance, determine who are supervisory, administrative, confidential, casual, and seasonal employees.”
In determining that the four full-time employees of the library were not “supervisory” employees, the board relied on a 1973 policy statement it had issued that excluded only certain “top-level” supervisory personnel from any state employee bargaining unit. This policy, in relevant part, reads:
“[W]e are constrained to conclude that with the exception of those supervisory personnel that we categorize as being ‘top level supervisory personnel’ supervisors do have the right to organize and bargain collectively. We do not define who would be included in such a unit because this would be the function of the Board only*1188 when specific factual cases have been presented to the Board for such a decision. However, we do feel that a top level supervisor would be one whose duties and tasks and functions are purely supervisory in nature and who of necessity partakes more of the nature of management and policymakers than of rank and file.”
The board also cited a 1979 policy it adopted in an effort to distinguish a supervisor from a rank-and-file employee. The board believed that this policy was in conformity with its statutory power to define who is a “supervisory5’ employee under § 28-9.4-2(b)(7). In pertinent part this policy provides:
“8. In determining whether a supervisory position should be excluded from a rank and file unit, the board shall consider, among other criteria, whether the principal functions of the position are characterized by not fewer than two of the following:
(a) Performing such management control duties as scheduling, assigning, overseeing and reviewing the work of subordinate employees;
(b) performing such duties as are distinct and dissimilar from those performed by the employees supervised;
(c) exercising judgment in adjusting grievances, applying other established personnel policies and procedures and in enforcing the provisions of a collective bargaining agreement; and
(d) establishing or participating in the establishment of performance standards for subordinate employees and taking corrective measures to implement those standards.” Amended Policies of the Rhode Island State Labor Relations Board ¶8 (received Dec. 17, 1979), 8 C.R.I.R. 16 020 008, 003-004 (1995).
The board ultimately concluded that none of the four full-time employees “routinely or on a day-to-day basis perform[ed] such duties as can be classified as supervisory or related to top level supervisory employees.” In particular the board noted the lack of authority in each employee to implement various supervisory functions, such as imposing a final disciplinary action, participating in collective-bargaining negotiations, enforcing the provisions of a collective-bargaining agreement (if one were to be executed), settling grievances of employees, hiring or firing employees, and establishing or participating in the establishment of performance standards for subordinate employees or taking corrective measures to implement such standards. Finally the board determined that none of the four full-time employees qualified as “such a top level supervisor” that they should be excluded from the proposed bargaining unit.
The Superior Court reached the same conclusion but for different reasons. The hearing justice began by rejecting the board’s 1973 and 1979 policy statements in accordance with a previous Superior Court decision. There, the court proposed as an alternative that the board “focus on the potential for conflict of interest in deciding whether an employee should or should not be permitted to bargain collectively with other employees.” Finally, the hearing justice observed that notwithstanding this previous Superior Court ruling, the board continued to apply its “top-level supervisory” test. The hearing justice then engaged in a conflict-of-interest analysis. After determining that the four full-time employees “exercise some supervision over some [part-time] employees,” the hearing justice examined the relationship among the four full-time employees, the secretary, the custodian, and the part-time employees and concluded:
“There is absolutely nothing in the record to show that any of these four ‘Department Heads’ supervises each other or the Secretary or Custodian. While their loyalty visa-vis the labor of part-time aides and volunteers working in their respective departments of the Library must be exclusively to management, and not to their supervi-sees, no reason exists why they cannot collectively bargain with management for their common interests together with the Secretary and the Custodian. All of them are supervised by ‘top-level supervisors’, on the behalf of the Board of Trustees. So long as the part-time employees, and any other ‘rank-and-file’ workers supervised by members of this collective bargaining unit are not included in the unit, no conflict will arise, which the exclusion of ‘supervisory5 employees is designed to avoid.”
We believe that the legal standards used by both the board and the Superior Court in determining who qualifies as a supervisor and thus is ineligible to be part of this bargaining unit are inconsistent with the mandate of § 28-9.4r-2(b)(4) that all supervisory employees must be excluded from collective bargaining. Rather, in determining whether these employees were supervisory personnel and therefore subject to exclusion from the proposed collective-bargaining unit, the board and the Superior Court should have applied the definition of the term supervisor that is set forth in the NLRA, 29 U.S.C. § 152(11).
We have previously expressed our willingness to look to federal labor law for guidance in resolving labor questions such as the one that is now before us. See Fraternal Order of Police, Westerly Lodge No. 10 v. Town of Westerly, 659 A.2d 1104, 1108 (R.I.1995); State v. Local No. 2883, AFSCME, 463 A.2d 186, 189 (R.I.1983). Under the provisions of 29 U.S.C. § 152(11), “supervisor” is defined as
“any individual having authority, in the interest of the employer, to hire, transfer, suspend, lay off, recall, promote, discharge, assign, reward, or discipline other employees, or responsibly to direct them, or to adjust their grievances, or effectively to recommend such action, if in connection with the foregoing the exercise of such authority is not of a merely routine or clerical nature, but requires the use of independent judgment.” (Emphasis added.)
We have cited this definition with approval in several of our previous labor-law decisions. Westerly Lodge No. 10, 659 A.2d at 1108; Local No. 2883, 463 A.2d at 189-90 n. 4. Nonetheless, the union and the board argue that in both Local No. 2883, and its later reaffirmance in Westerly Lodge No. 10, we adopted the board’s 1973 policy statement as the means to define the term “supervisor.” We disagree. In Local No. 2883 we determined that a superintendent of a state school for the mentally handicapped was excluded irom a collective-bargaining unit because his duties rendered him “unquestionably a supervisory and/or managerial employee.” Local No. 2883, 463 A.2d at 191. In reaching this decision, we examined the policies underlying the NLRA’s exclusion of managers and supervisors, as articulated by the United States Supreme Court in NLRB v. Bell Aerospace Co., Division of Textron, Inc., 416 U.S. 267, 94 S.Ct. 1757, 40 L.Ed.2d 134 (1974), and later in NLRB v. Yeshiva University, 444 U.S. 672, 100 S.Ct. 856, 63 L.Ed.2d 115 (1980). We noted that the inclusion of managerial and supervisory employees in a collective-bargaining unit would create a conflict of interest that would upset the delicate balance of power between management and labor. Local No. 2883, 463 A.2d at 190 (discussing Bell Aerospace and Yeshiva University). We then acknowledged that the board’s 1973 policy statement was “clearly * * * similar to and as persuasive” as this federal policy because the board’s rationale for excluding top-level supervisory personnel was to avoid “ ‘disrupting] the functions of state government and * * * putting] the state * * * on an unequal footing as far as equality of bargaining power is concerned.’” Id. at 191. However, in determining that the school superintendent in Local No. 2883 should be excluded from the collective-bargaining unit because he was a “supervisory and/or managerial employee,” we never expressly endorsed the board’s distinction between top-level supervisory personnel and other supervisors as the proper definitional standard under § 28-9.4r-2(b)(4). Indeed, after noting the federal definition of a supervisor set forth in 29 U.S.C. § 152(11), we stated that “[m]anagers and supervisors are those who carry out and often help formulate the employer’s policies.” Local No. 2883, 463 A.2d at 191.
Over a decade later in Westerly Lodge No. 10, we reaffirmed our ruling in Local No. 2883 that managerial and supervisory employees may not engage in collective bargaining. 659 A.2d at 1107. However, our reliance on the federal definition of the term “supervisor” in the Westerly Lodge No. 10 case was even more explicit than it was in Local No. 2883. In determining that police lieutenants and captains in the town of Westerly were prohibited from participating in collective bargaining because of their status as supervisory or managerial personnel, we cited the federal statutory definition of the term “supervisor” as well as the definition of the term “managerial employee” as referenced by the United States Supreme Court in the Yeshiva University case. We then concluded that
“[t]he duties and responsibilities of the Westerly police lieutenants and captains cause them to fit the definitions of supervisory or managerial personnel and thus were rightly excluded from the collective-bargaining process.” 659 A.2d at 1108. (Emphasis added.)
Given our decision in Westerly Lodge No. 10, it is our opinion that the board and the Superior Court in the present case should have evaluated the status of the four full-time employees in light of the definition of the term “supervisor” that is set forth in 29 U.S.C. § 152(11). Applying this standard to the factual record below leads us to believe that competent evidence exists to support the conclusion that any exercise of supervisory authority by these four full-time library employees was of a “merely routine or clerical nature” and that none of them exercised the type of supervisory control contemplated by 29 U.S.C. § 152(11). The board extensively detailed the job specifications of each employee and concluded that their overall supervisory duties were “clerical” or “ministerial.” It is unnecessary for us to reiterate each of the board’s findings. We note only that none of the library’s four full-time employees had the authority to hire or to fire subordinates, to discipline them, or to adjust employee grievances. Further, two of the four testified at the hearings that at that time there were no other employees even working in their departments. Thus there is record support for the conclusion reached by the board and the Superior Court that, notwithstanding their titles, these four department heads were not functioning as the type of supervisory personnel who would be ex-cludable from the proposed collective-bargaining unit. Therefore, even though both the board and the Superior Court failed to use the correct legal standard in evaluating whether these library employees qualified as “supervisors,” we affirm the Superior Court’s inclusion of these four employees in the proposed collective-bargaining unit for the library. See Jordan v. Jordan, 586 A.2d 1080, 1085 (R.I.1991) (“[i]t is well settled that this court will uphold a correct decision notwithstanding the reasoning upon which it rests”).
B. The Secretary
The trustees have also urged us to reverse that portion of the Superior Court’s decision that included the secretary to the executive director in the proposed collective-bargaining unit on the grounds that the evidence established that she was a “confidential employee” and thus subject to exclusion from the unit under § 28-9.4-2(b)(4).
In Barrington School Committee, we recognized that the rationale for excluding confi
“[i]t would be unfair for an employee who is entrusted with advance knowledge of his or her employer’s labor relations policies to be able to share this information with a union that serves as that employee’s collective bargaining representative. If a union were able to obtain such one-sided access to management’s sensitive labor relations data, it would have a substantial and unwarranted advantage in its dealings with management.” 608 A.2d at 1136.
In determining whether an employee’s position is confidential, we adopted the “labor-nexus” test developed by the National Labor Relations Board. Under this test two different categories of municipal employees can qualify for the confidential status that will exclude them from a collective-bargaining unit. The first comprises “‘those confidential employees “who assist and act in a confidential capacity to persons who formulate, determine, and effectuate management policies in the field of labor relations.” ’ ” Id. The second category consists of employees who in the exercise of their regular duties “‘“have access to confidential information concerning anticipated changes which may result from collective bargaining negotiations.” ’ Id.
After hearing the testimony of the secretary and the executive director, the board determined that (1) the trustees (as opposed to the executive director) were the ones responsible for formulating, determining, and effectuating management policies and (2) because the secretary did not work for the trustees, she did not “assist or act in a confidential capacity” to them. Therefore, she was not a first-category confidential employee. The board also found that the secretary could not be considered a confidential employee under the second category because she devoted more than half her working day to technical services, which have no elements of confidentiality attached to them. Specifically the board noted that she did not type confidential letters (most letters were typed by the director herself) and that any records she kept in her office were open to public inspection.
Upon this perusal of the record, we believe that legally competent evidence exists to support the decision of the Superior Court that the secretary was not a confidential employee under the labor-nexus test. The board’s findings clearly establish that the secretary’s duties do not involve matters of such a confidential nature as to fall within the scope of the labor-nexus test. Therefore, we uphold the hearing justice’s inclusion of the secretary in the proposed collective-bargaining unit.
C. The Part-time Employees
The trustees argue that the part-time employees, all of whom worked fewer than twenty hours per week, should be excluded from the collective-bargaining unit under § 29-9.4-2(b)(7). This section excludes from the definition of municipal employees those “[ejmployees of authorities * * * not under direct management by a municipality who work less than twenty (20) hours per week.” Because the town of West Warwick does not directly manage the library and its employees, the trustees contend that the library’s part-time workers were not municipal employees entitled to bargain collectively.
The board concluded that the library’s part-time employees could participate in the proposed collective-bargaining unit because the library was not “such an independent
The Superior Court disagreed with this reasoning. The court determined that, pursuant to G.L.1956 chapter 4 of title 29, entitled “Free Public Libraries,” the library “must, as a matter of law, not be under the direct management of the municipality” in which it is located. The court reached this determination on the basis of the language in several of these statutory provisions. First, pursuant to § 29-4-6, the town is required to elect a board of trustees. These trustees have exclusive possession of and control over the library and its funds, whether they are obtained from private donors or from municipal appropriations. See §§ 29-4-6 and 29-4--7. In addition, pursuant to § 29-4-7, the town is obliged to pay any and all library bills, including its payroll obligations, that are presented to the town by the trustees (as long as there are funds available to pay them). Finally the court found that the town’s actions in cutting checks and in extending employee-benefit services to library employees are performed on behalf of the library and not because the town has any management authority over library employees.
We can discern no error in the Superior Court’s decision on this issue. We agree with the trial justice’s determination that as a free public library the library was under the trustees’ direct management. Although the town’s financial support of the library is mandated by law, its provision of employee benefits and its signing of the employees’ paychecks do not constitute the type of direct management by the town that the statute requires for such employees to escape part-time status. The trial justice concluded that there was “[n]o evidence whatsoever * * * to show that the * * * Town had ever even tried to exercise any management, let alone direct management of the operation of the library.” Based upon our review of the record and the applicable statutory provisions, our conclusion is that this ruling cannot be faulted. Therefore, the Superior Court properly excluded the part-time employees from the library’s proposed collective-bargaining unit under § 28-9.4-2(b)(7).
Ill
Conclusion
We agree with the trial justice that there is no reason to hold another union election. Because the results from the 1994 election indicate unanimous support for the union, the exclusion of the part-time employees from the eligible voting pool would not affect the results of that election. Therefore, the library shall continue to bargain in good faith with the union in its capacity as the representative for the library’s four full-time employees, the secretary, and the custodian.
For all of the above reasons the petitions for certiorari are denied and the writs heretofore issued are quashed. The judgment of the Superior Court is affirmed, and the papers of the case shall be returned to the Superior Court with our decision endorsed thereon.
. The thirteen employees who submitted signature cards included four full-time professional employees, seven part-time employees, the custodian, and the secretary to the executive director.
. Twelve employees were eligible to vote under the board's election directive: the four full-time employees, the secretary to the executive director, the custodian, and six of the seven part-time employees. Of this number, eleven voted in favor of the union and one employee did not vote.
. The trustees do not claim that the Superior Court erred in excluding the library’s part-time employees from the collective-bargaining unit. Rather they have asked us to reverse the Superi- or Court’s inclusion of the four full-time employees and the secretary in the unit. The trustees then argue that since "a bargaining unit may not contain only one employee,” we should reverse the board's order certifying the union as the collective-bargaining representative for the library’s employees.
. We do not agree that in State v. Local No. 2883, AFSCME, 463 A.2d 186 (R.I.1983), this court
. The secretary testified that she was responsible for " ‘spread sheets, reports, trustee’s meetings, [and] regular secretarial work’ ” such as making copies and typing letters. With respect to the trustees’ meetings, she stated that her only duty was to photocopy the minutes of the meeting and not to 1ype them.