CORNELIUS, ACTING DIRECTOR, OFFICE OF PERSONNEL MANAGEMENT v. NUTT ET AL.
No. 83-1673
Supreme Court of the United States
Argued January 7, 1985—Decided June 24, 1985
472 U.S. 648
Charles A. Rothfeld argued the cause pro hac vice for petitioner. With him on the briefs were Solicitor General Lee, Acting Assistant Attorney General Willard, Deputy Solicitor General Geller, David M. Cohen, and George M. Beasley III.
JUSTICE BLACKMUN delivered the opinion of the Court.
Under the Civil Service Reform Act of 1978,
I
The 1978 Act is “a comprehensive revision of the laws governing the rights and obligations of civil servants, [and] contains the first statutory scheme governing labor relations between federal agencies and their employees.” Bureau of Alcohol, Tobacco and Firearms v. FLRA, 464 U. S. 89, 91 (1983). Among the major purposes of the Act were the “preser[vation of] the ability of federal managers to maintain ‘an effective and efficient Government,‘” ibid., quoting
To promote the first of these purposes, the Act provides that a federal employee may be removed or otherwise disciplined for unacceptable performance or for misconduct. Specifically,
To promote the second of these purposes of the Act—“to strengthen the position of federal unions and to make the
The Act also requires any collective-bargaining agreement between a federal agency and a union to provide for a grievance procedure and binding arbitration for the resolution of disputes arising under the agreement.
II
Thomas Rogers and Robert Wilson, Jr. (grievants), were employed by General Services Administration (GSA) as Federal Protective Service (FPS) officers at the Federal Center in Denver, Colo. Rogers patrolled property owned or leased by the Federal Government at various locations in the Denver metropolitan area while maintaining contact either by radio or by telephone with the Command Center. Wilson worked as a dispatcher at the Center. Everything spoken over the radio and telephone lines of the Command Center is recorded on tape. This tape constitutes the record of activity at the Center.
On January 7, 1982, Rogers was on patrol in an official Government car. At the request of his shift supervisor, he drove to his home in a nearby suburb, picked up several cans of beer, and delivered the beer to the supervisor at the Center. The supervisor later drank the beer and left the empty cans at the Center when he went off duty. The following day, the supervisor, while off duty, became concerned that the unexplained presence of empty beer cans might lead to the discovery of his drinking beer while on duty. He therefore telephoned Wilson, at the Command Center, and instructed him to alter the tape for the previous day to include a false explanation for the presence of the beer cans. Wilson complied with this request.
Subsequently, an FPS official monitoring the tapes for an unrelated reason noted irregularities in them and concluded that they had been edited. GSA‘s Inspector General initiated an investigation. Two special agents went to Rogers’ home and asked him to accompany them to the local police station for a “noncustodial” interrogation. The agents made
About a month later, the agents again interviewed the two men separately and asked them to sign affidavits prepared from the agents’ notes of the earlier interviews. The grievants made corrections in the proposed affidavits and then, under oath, signed them. In the affidavits, the grievants admitted their participation in the above-described incidents of wrongdoing. As before, the grievants were not advised that they were entitled to have a union representative present, and they did not request representation.
On April 2, 1982, almost three months after the incidents, GSA formally advised the grievants that it proposed to remove them from federal service. Upon receiving written responses to the charges, GSA informed Wilson that he would be removed on grounds of falsification of records and of attempting to conceal activities of record. Similarly, GSA informed Rogers that he would be removed on grounds of falsification of records, failure to report irregularities, and use of a Government vehicle for a nonofficial purpose.4
Both grievants elected to challenge their removal under the grievance and arbitration procedures established by the collective-bargaining agreement between GSA and their union, respondent American Federation of Government Employees. The union then invoked binding arbitration pursuant to
Because of the importance of the issue, we granted certiorari. 469 U. S. 814 (1984).
III
A
The harmful-error rule of
The Act does not define the term “harmful error,”9 and the legislative history of
“Error by the agency in the application of its procedures which, in the absence or cure of the error, might have caused the agency to reach a conclusion different than the one reached. The burden is upon the appellant to show that based upon the record as a whole the error was harmful, i. e., caused substantial harm or prejudice to his/her rights.”
5 CFR § 1201.56(c)(3) (1985).11
The agency‘s “procedures” considered by the Board in applying
Respondents do not dispute the correctness of the Board‘s definition of harmful error insofar as it applies to proceedings before the Board. Respondents argue, however, that an arbitral proceeding differs significantly from a Board proceeding, and that a different definition of harmful error should apply in the arbitral context. Respondents point out that an appeal to the Board is taken solely by the employee or
We are not persuaded by respondents’ arguments. Congress clearly intended that an arbitrator would apply the same substantive rules as the Board does in reviewing an agency disciplinary decision. Section 7121(e)(2) provides that in matters involving agency discipline “which have been raised under the negotiated grievance procedure . . . , an arbitrator shall be governed by section 7701(c)(1) of this title, as applicable.” Section 7701(c)(1) incorporates by reference the harmful-error rule of
Adoption of respondents’ interpretation of the harmful-error rule in the context of an arbitral proceeding would directly contravene this clear congressional intent. An employee who elects to appeal an agency disciplinary decision to the Board must prove that any procedural errors substantially prejudiced his rights by possibly affecting the agency‘s decision. Under respondents’ interpretation, however, an employee who elects to use the grievance and arbitration procedures may obtain reversal merely by showing that significant violations of the collective-bargaining agreement, harmful to the union, occurred. In the present case, if the disciplined employees had elected to appeal to the Board, their discharges would have been sustained by the Board under its interpretation of the harmful-error rule. Because,
B
We, however, do not rest our decision solely on deference to the Board‘s interpretation of the harmful-error rule and on the clear congressional intent that an arbitrator apply the same substantive standards as does the Board. Rather, we rest our decision ultimately on the conclusion that we must interpret the harmful-error rule as does the Board if we are “to remain faithful to the central congressional purposes underlying the enactment of the CSRA.” Lindahl v. Office of Personnel Management, 470 U. S. 768, 794 (1985), quoting Devine v. White, 225 U. S. App. D. C., at 183, 697 F. 2d, at 425. As noted above, one of the major purposes of the Act was to “preserv[e] the ability of federal managers to maintain ‘an effective and efficient Government.‘” Bureau of Alcohol, Tobacco and Firearms v. FLRA, 464 U. S., at 92, quoting
Respondents argue, however, that penalizing the Government in this manner is necessary in order to enforce the procedures arrived at through collective bargaining, and thus to promote a second major purpose of the Civil Service Reform Act—“to strengthen the position of federal unions and to make the collective-bargaining process a more effective instrument of the public interest.” Bureau of Alcohol, Tobacco and Firearms v. FLRA, 464 U. S., at 107. Respondents contend that if harmful error must be shown in the sense that an employee‘s own case is prejudiced, then the procedures arrived at through collective bargaining really become meaningless. We find this concern overstated. Under any interpretation of the harmful-error rule, unions are free to bargain for procedures to govern agency action, see
Even if the violation is not prejudicial to the individual employee, the union is not without remedy. The Act per-
The judgment of the Court of Appeals is reversed.
It is so ordered.
JUSTICE POWELL took no part in the decision of this case.
Today the Court holds that the Civil Service Reform Act of 1978 requires that an arbitrator, when reviewing an agency disciplinary action taken in violation of collectively bargained procedures, must ignore the possibility that sustaining the adverse action would be injurious to the legitimate interests of the union and to the integrity of the collective-bargaining process. Following Congress’ finding that healthy collective bargaining serves the effective conduct of Government business, I agree with the Court of Appeals that an arbitrator may properly take into account in reviewing an adverse action a procedural error that substantially injures the union‘s collective-bargaining role. Accordingly, I dissent.
I
In passing the Civil Service Reform Act of 1978,
This case involves the arbitration of agency decisions to remove from Government service two Federal Protective Service officers. Both officers were accused of serious acts of misconduct. The arbitrator determined that they “committed the acts enumerated” and that “under normal circumstances [those acts would] justify their removal from government service.” App. to Pet. for Cert. 32a. But the arbitrator also found that the agency‘s behavior in reaching its decision to remove the grievants was plagued by a “pervasive failure to comply with the due process requirements of the [collective-bargaining] agreement.” Id., at 38a. Among other violations of the contractual procedures, the agency had repeatedly failed to inform either grievant of his right to have a union representative present during all investigatory interviews. The officers’ collective-bargaining agreement and a prior arbitration decision unambiguously established both the right to union representation and the right to be informed by the employer of the availability of union representation. Although the arbitrator concluded that it would be “unrealistic to pretend that the Grievants . . . were entirely unaware of their right to representation,” id., at 34a-35a, he also concluded that some modification of the agency action was necessary to avoid denigration of the collectively bargained procedural requirements.
In the Court‘s view, this decision violated the Act‘s requirement that an employee complaining of procedural errors associated with an adverse action decision must “sho[w] harmful error in the application of the agency‘s procedures in arriving at such decision.”
II
The Court analyzes the concept of “harmful error” in an adverse action case as it would in the context of a criminal trial.1 Similarly, it narrowly defines the issue before the arbitrator as whether the grievants had in fact committed the acts of misconduct of which they were accused. But by statutory mandate the issue before an arbitrator in an adverse action case is not simply whether the grievants have committed the alleged acts of misconduct; it is rather whether the grievants’ removal from the service was for “such cause as will promote the efficiency of the service.”
The statutory phrase “such cause as will promote the efficiency of the service” predates the Civil Service Reform Act‘s recognition of federal sector collective bargaining. See Arnett v. Kennedy, 416 U. S. 134, 158-164 (1974) (plurality opinion) (discussing history of phrase). Nonetheless it has always been understood as an “admittedly general standard,” id., at 159, adaptable to the situations faced by “myriad different federal employees performing widely disparate tasks.” Ibid. It was certainly meant to leave room for Congress’ evolving conceptions of what constitutes efficient public management. A plurality of this Court has previously explained that “longstanding principles of employer-employee relationships, like those developed in the private sector, should be followed in interpreting the [standard],” id., at 160, and this point takes on special importance in light of Congress’ decision that success of collective bargaining in the private sector should to some extent serve as an example for the federal workplace. But whether one looks to the concept of “just cause” that has developed in the unionized private sector or confines the inquiry to the findings made by Congress upon
III
The Court‘s discussion of harmful error leaves unanalyzed the public interest in collective bargaining and thus fails to consider whether that interest should be taken into account in the analysis of what constitutes “such cause as will promote the efficiency of the service.”
The Court reasons that because the grievants in this case had “concededly committed improper acts that justified their removal from the federal service,” ibid., it would defeat a major purpose of the Act to force their reinstatement because of procedural errors that “do not cast doubt upon the reliability of the agency‘s factfinding or decision.”
It is true that facilitating collective bargaining was not the only goal of the Act, and that Congress also intended to “preserv[e] the ability of federal managers to maintain ‘an effective and efficient Government,‘” Bureau of Alcohol, Tobacco and Firearms v. FLRA, 464 U. S. 89, 92 (1983) (quoting
While the Court underemphasizes the importance of collective bargaining, it overemphasizes the harm to the service of allowing the arbitrator‘s decision to stand. The issue is not whether common and trivial procedural errors will be a reason for putting clearly unfit people back in positions where they will do harm; this case involves neither a common nor a trivial procedural error, and the arbitrator established no requirement that an employee be returned to a position where he will do harm.
The arbitrator found the violations of the agreement “pervasive,” App. to Pet. for Cert. 38a, and it was only on that basis that the Court of Appeals affirmed. The concept of
Moreover, Government agencies will, it is hoped, not frequently commit flagrant violations of their collective-bargaining agreements. Thus, the burden of decisions like that of arbitrator Nutt will not be great. To the extent that a Government agency perceives a need for greater flexibility, it can seek that freedom through the congressionally sanctioned means—the collective-bargaining process. See Devine v. White, 225 U. S. App. D. C. 179, 201, 697 F. 2d 421, 443 (1983) (“Within the areas in which bargaining is permissible, we believe, as did Congress, that government managers are competent to look out for the government‘s interests“).
Lastly, the arbitrator here did not simply ignore the agency‘s interest by ordering the return of an unqualified grievant to his old position. Instead, because the arbitrator agreed that one of the grieving employees could not be trusted to perform adequately at his old position, he gave the agency substantial flexibility in determining the capacity to which the employee would be reinstated. App. to Pet. for Cert. 38a-39a (allowing agency to reinstate grievant Wilson to any nonclerical position in which “he can reasonably be expected to perform satisfactorily” even if that position would be at the entrance level).
The Court is wrong to fear that it will undermine Government‘s efficiency to follow the unionized private sector and
IV
By determining that collective bargaining in the federal work force was in the public interest, Congress may have made the concept of “cause as will promote the efficiency of the service” slightly more complex. But it understood that this complexity has long been a part of the successful operation of collective bargaining.
Accordingly, I dissent.
Notes
“Subject to paragraph (2) of this subsection, the decision of the agency shall be sustained under subsection (b) only if the agency‘s decision—
“(A) in the case of an action based on unacceptable performance described in section 4303 of this title, is supported by substantial evidence, or
“(B) in any other case, is supported by a preponderance of the evidence.”
See ante, at 657, n. 9 (“assum[ing] that Congress intended the term ‘harmful error’ . . . to have the same meaning that it has in the judicial context” and citing two criminal cases, United States v. Hasting, 461 U. S. 499, 507-509 (1983) and Kotteakos v. United States, 328 U. S. 750, 760-762 (1946), for the proper standard). But see n. 2, infra.“Notwithstanding paragraph (1), the agency‘s decision may not be sustained under subsection (b) of this section if the employee or applicant for employment—
“(A) shows harmful error in the application of the agency‘s procedures in arriving at such decision;
“(B) shows that the decision was based on any prohibited personnel practice described in section 2302(b) of this title; or
“(C) shows that the decision was not in accordance with law.”
Cf. Kotteakos v. United States, supra, at 760-762 (in evaluating what is harmful error, “[w]hat may be technical for one is substantial for another; what minor and unimportant in one setting crucial in another“).Although arbitrators have sustained disciplinary actions in spite of management‘s failure to follow bargained-for procedures, these cases usually rested not only on the absence of prejudice to the grievant, but also on the principle that “compliance with the spirit of . . . procedural requirements [may be] held to suffice.” Id., at 634. The instant case, however, involves an agency that made little effort to comply with either the letter or the spirit of the agreement.
“The Employer agrees that during formal discussion where interrogation or written or sworn statements are taken from an employee, in connection with a charge that may result in disciplinary action against him, he will have the opportunity to have a representative present. It should be understood that counseling sessions are not formal discussions.” App. to Pet. for Cert. 22a.
The arbitrator interpreted this provision to require that the employee be advised of the right to representation before being investigated.
Given the fact that an agency‘s decision is supposed to reflect a determination that an adverse action serves the “efficiency of the service,” I do not believe that the definition of “harmful error” actually offered by the Court or at various times by the Merit Systems Protection Board, see ante, at 659, necessarily demands that an arbitrator ignore injuries to the collective-bargaining process. The issue is whether those injuries can be taken into account in determining “cause.”Moreover, it is not surprising that the MSPB‘s definition does not explicitly mention concerns regarding collective bargaining, because unlike arbitration cases, MSPB cases are brought by individual employees rather than by unions. The MSPB‘s definition reflects a failure to have considered issues of collective bargaining more than it reflects a considered determination of the issues presented here. It is thus not surprising that the Court chooses not to rest its decision primarily on grounds other than deference to the MSPB. Ante, at 662-665.
“PROPOSED NOTICE: In the event an employee is issued a notice of proposed disciplinary or adverse action, that employee must be afforded and made aware of all his/her rights. These proposed notices shall be served on the employee(s) within a reasonable period of time (normally 40 calendar days) after the occurrence of the alleged offense or when the alleged offense becomes known to management.” App. to Pet. for Cert. 23a.
The legislative language and history makes clear that Congress took quite seriously the rights of unions to negotiate procedures binding on agencies regarding those agencies’ exercise of management authority. One of the floor managers of the bill, explaining this provision as it emerged from the Conference Committee, stressed that under “the clear language of the bill itself, any exercise of the enumerated management rights [such as the right to discipline employees] is conditioned upon the full negotiation of arrangements regarding adverse effects and procedures.” 124 Cong. Rec. 38715 (1978) (comments of Rep. Ford). He stressed that contract proposals were fully valid even if they had “[a]n indirect or secondary impact on a management right,” ibid., and that “procedures and arrangements are to be negotiated with regard to both the decisionmaking and implementation phases of any exercise of management authority.” Ibid. The Conference Report went so far as to acknowledge that the right to negotiate on procedures regarding the exercise of management rights gives the parties the ability to “indirectly do what the [management rights] section prohibits them from doing directly.” H. R. Conf. Rep. No. 95-1717, p. 158 (1978).The Conference Committee did not adopt the Senate version. Petitioner points out that the Joint Explanatory Statement of the Committee on Conference, which explained “the effect of the major actions agreed upon by the managers” of the two bodies, H. R. Conf. Rep. No. 95-1717, p. 127 (1978), did not note that any substantive change in meaning was intended by the change in language. We decline, however, to infer congressional intent to adopt the substance of the Senate version solely on the basis of this legislative silence.
“Unless it is likely that an alleged error affected the result, its occurrence cannot have been prejudicial . . . . Stated another way, the question is
See also, e. g., Davies v. Department of the Navy, 4 M. S. P. B. 83, 85 (1980); Fuiava v. Department of Justice, 3 M. S. P. B. 217, 218 (1980).
“Issues which can properly be raised under an appeals procedure may not be raised as unfair labor practices prohibited under this section. Except for matters wherein, under section 7121(e) and (f) of this title, an employee has an option of using the negotiated grievance procedure or an appeals procedure, issues which can be raised under a grievance procedure may, in the discretion of the aggrieved party, be raised under the grievance procedure or as an unfair labor practice under this section, but not under both procedures.”
This section provides only that the same aggrieved party cannot raise identical issues under an appeal or grievance procedure and also as an unfair labor practice. It does not preclude a union in its institutional capacity as an aggrieved party from filing an unfair labor practice charge to enforce its own independent rights merely because an employee has initiated an appeal or grievance procedure, based on the same factual situation, to enforce his individual rights. See Internal Revenue Service, Western Region, 9 F. L. R. A. 480, 480-481, n. 2 (1982); United States Air Force, 4 F. L. R. A. 512, 527 (1980).
