OPINION
for the Court.
The plaintiff, Reynalda Weeks, appeals from an order of the Providence County Superior Court entered on January 30, 2012, staying her civil action in that court and ordering that the “matter * * * be resolved through binding arbitration as required by the governing Collective Bargaining Agreement between the parties.” This case came before the Supreme Court pursuant to an order directing the parties to appear and show cause why the issues raised in this appeal should not be summarily decided. After a close review of the record and careful consideration of the parties’ arguments (both written and oral), 1 we are satisfied that cause has not been shown and that this appeal may be decided at this time. For the reasons set forth in this opinion, we vacate the order of the Superior Court.
I
Facts and Travel
On September 30, 2011, plaintiff filed a complaint in Superior Court seeking damages as well as equitable and declaratory relief for alleged violations of the Rhode Island Civil Rights Act (RICRA) (codified in G.L.1956 §§ 42-112-1 to -2) and the Rhode Island Fair Employment Practices Act (FEPA) (codified in G.L.1956 §§ 28-5-1 to -42). 2 The defendant, 735 Putnam Pike Operations, LLC d/b/a Greenville Skilled Nursing and Rehabilitation, is plaintiffs former employer. In her complaint, plaintiff describes herself as being a “black” female and she alleges that during her employment by defendant she was subjected to a “hostile work environment” on account of her “race and color” stemming from what she characterized as “derogatory and disparate treatment” by her supervisor. She farther alleges that she was “constructively terminated” on July 18, 2010. 3
The defendant responded to plaintiffs complaint by filing a “Motion to Stay Proceedings” arguing that the “proper forum for resolution of the [pjlaintiffs employment discrimination and wrongful termination claim [was] binding arbitration.”
II
Issue on Appeal
On appeal, plaintiff contends that the hearing justice erred when she granted defendant’s motion to stay and ordered the parties to resolve their dispute through binding arbitration. According to plaintiff, the hearing justice’s decision was in error because the CBA’s arbitration provision does not preclude plaintiff from asserting her statutorily created rights (under the RICRA and the FEPA) in a judicial forum.
III
Analysis
A
Appeal of the Superior Court Order
The defendant initially argues that, because the hearing justice’s order granting its motion to stay was not a final order, plaintiff does not have what it terms “an Appeal as of Right” to this Court. As defendant correctly points out, a party may petition this Court for a writ of certio-rari in order to seek appellate review of a decision which is not final
(i.e.,
an interlocutory decision).
See, e.g., In re Joseph J.,
The defendant cites
McAuslan v. McAuslan,
The first exception is statutory: pursuant to G.L.1956 § 9-24-7, a party may appeal certain interlocutory orders. However, as defendant accurately points out, an appeal from a motion to stay, as is presented in the instant ease, is not one of the specifically enumerated interlocutory orders from which § 9-24-7 permits an appeal. 7
The second exception is “judicial in origin.”
Boranian,
In
Boranian,
“We consider that an order [compelling] arbitration [of contract disputes] has sufficient elements of finality * * * so that appellate review is called for before the case is finally terminated. In these days of significant trial delay, an order that requires a party to go forward with arbitration should be tested in this court upon the application of the objecting party before requiring the case to be fully litigated in a tribunal whose jurisdiction has been challenged.”
We perceive no material difference between what is at issue in the instant case and the principles relied upon in Boranian and Forte Brothers. Accordingly, plaintiffs appeal from the trial justice’s order granting defendant’s motion to stay is proper. Consequently, we shall now address the substantive issues raised by plaintiff.
B
The Standard of Review
We have consistently held that “whether a dispute is arbitrable is a question of law that this Court reviews
de
novo.”
8
State Department of Corrections
When evaluating competing contentions about arbitrability, “we bear in mind that [arbitration is a matter of contract and a party cannot be required to submit to arbitration any dispute which it has not agreed so to submit.”
AVCORR Management, LLC v. Central Falls Detention Facility Corp.,
C
Arbitration
The plaintiff contends that the hearing justice erred in determining that she must submit her claim to binding arbitration under the CBA; she argues that she cannot be said to have waived her right to a judicial forum to enforce her statutorily created employment rights conferred by the RICRA and the FEPA. Specifically, she argues that the provisions in the CBA at issue in this case are materially different from those deemed to have constituted such a waiver of a judicial forum in the leading United States Supreme Court case relied on by defendant,
14 Penn Plaza LLC v. Pyett,
The defendant counters that the hearing justice properly applied
II Penn Plaza,
and it points out that the instant case is distinguishable from the several cases cited by plaintiff because plaintiffs claims arise under state rather than federal law— even though, ironically, defendant itself relies on federal case law. The defendant adds that the hearing justice properly found that the CBA informed plaintiff of her agreement to arbitrate and was controlling. It further posits that Rhode Is
The hearing justice, when granting defendant’s motion to stay, stated that she was “mindful” of H Penn Plaza; she proceeded to reason that the provisions of the CBA were “clear and unambiguous” and “explicitly informed the plaintiff of the agreement to arbitrate;” therefore, according to the hearing justice, the arbitration provision of the CBA was “controlling.”
Before addressing the federal case law referenced by the parties and the hearing justice, we turn first to our own case law for instruction. We have held that “[n]o one is under a duty to arbitrate unless with clear language he [or she] has agreed to do so,”
Providence School Board,
At the outset we are confronted with the reality that the CBA at issue in the instant case does contain an anti-discrimination clause in Article 4 which is entitled “NO DISCRIMINATION” and provides as follows:
“Neither the Employer nor the Union shall discriminate against or in favor of any Employee on account of race, color, creed, national origin, sex, sexual preference, age, mental disability, physical disability, or activity with respect to the Union.”
Alleged violations of the just-quoted provision may be grieved as provided in Article 23 of the CBA, which provides in pertinent part as follows:
“The purpose of this Article is to establish a procedure for the settlement of grievances which involve the interpretation and application of a specific provision of this Agreement. A grievance shall mean a complaint by an Employee that as to him/her the Employer has interpreted and applied this Agreement in violation of a specific provision hereof. All such grievances will be handled as provided in this Article.”
Section 4 of Article 24, which addresses arbitration, reads in relevant part as follows:
“The arbitrator shall have jurisdiction only over disputes arising out of grievances as defined in [Article 23 of the CBA] and he/she shall have no power to add to, subtract from, or modify in any way any of the terms of this Agreement.”
The language in the CBA does not contain any express reference to the rights of an employee under the RICRA and the FEPA, which certainly provides a predi
In answering the above question, our application of the doctrine of election of remedies in circumstances similar to the instant case provides some helpful contextual guidance. The doctrine of election of remedies “is one that is grounded in equity and is designed to mitigate unfairness to both parties by preventing double redress for a single wrong.”
State Department of Environmental Management v. State Labor Relations Board,
Our decision in
Cipolla v. Rhode Island College, Board of Governors for Higher Education,
Unlike the situation at issue in
Cipolla,
it is clear in the instant case that, if plaintiff availed herself at all of the grievance procedure available under the CBA, she did so only with respect to the very preliminary steps in the grievance procedure.
9
Consequently, the doctrine of.
“Even if we consider Wright and Gardner-Denver for their persuasive value, we do not believe that the rule of these cases should be applied to the case at bar. As we have noted, Wright and Gardner-Denver dealt with important federal antidiscrimination statutes. The Supreme Court noted that there were overwhelming public policy reasons for preserving access to the judicial forum for consideration of civil rights claims. Gardner-Denver,415 U.S. at 47-49 ,94 S.Ct. at 1019-20 ,39 L.Ed.2d at 157-58 . * * *. The same concerns are simply not present in this case. The statutory right that the plaintiff attempted to redeem dealt only with a term or condition of employment that also apparently was regulated by the CBA. There is no evidence that the Legislature regarded that right as being so important that individuals should have access to two different forums to enforce it. Once the plaintiff entered the grievance procedure, he had selected the remedy to adjudicate his claim, and he should have pursued that remedy to its conclusion.” Cipolla,742 A.2d at 282 .
After a detailed review of the facts and travel of the instant case and after careful consideration of the state statutes under which plaintiff seeks to litigate her claim, it is clear that we are now confronted with precisely the type of situation which we said in
Cipolla
was not involved there — namely, a case premised on anti-discrimination statutes (the RICRA and the FEPA) concerning which there are important reasons of public policy that militate in favor of preserving the right of access to a judicial forum absent a very specific waiver of that right.
10
Conse
In
Alexander v. Gardner-Denver Co.,
Finding that “in enacting Title VII, Congress had granted individual employees a nonwaivable, public law right to equal employment opportunities that was separate and distinct from rights created through * * * collective bargaining,”
Barrentine,
Over twenty years later, the Supreme Court was again confronted with a similar issue in
Wright v. Universal Maritime Service Corp.,
In
Wright,
“NO DISCRIMINATION. There shall be no discrimination against any present or future employee by reason of race, creed, color, age, disability, national origin, sex, union membership, or any characteristic protected by law, including, but not limited to, claims made pursuant to Title VII of the Civil Rights Act, the Americans with Disabilities Act, theAge Discrimination in Employment Act, the New York State Human Rights Law, the New York City Human Rights Code, ... or any other similar laws, rules, or regulations. All such claims shall be subject to the grievance and arbitration procedures (Articles Y and VI) as the sole and exclusive remedy for violations. Arbitrators shall apply appropriate law in rendering decisions based upon claims of discrimination.” U Penn Plaza, 556 U.S. at 252 [129 S.Ct. 1456 ] (emphasis added).
The Supreme Court held that the above-quoted language was sufficient to meet the test set out in
Wright;
it stated that the collective bargaining agreement at issue “clearly and unmistakably require[d] [the parties] to arbitrate the age-discrimination claims at issue in [the] appeal.”
16
Id.
at 260,
We read
Gardner-Denver, Wright,
and
II Penn Plaza
to stand for the proposition that, when a collective bargaining agreement clearly and unmistakably waives the right to pursue statutory claims in a judicial forum, the federal courts will honor that waiver and bar the plaintiffs from pursuing their claims in court.
See Manning v. Boston Medical Center Corp.,
The RICRA and the FEPA reflect the General Assembly’s very explicit determination that those statutes are necessary to militate against “grave injury to public safety, health, and welfare.” Section 28-5-2. The General Assembly has sounded neither an uncertain nor a muted trumpet in this domain; it has clearly manifested
The CBA at issue in this case does not contain sufficiently precise language indicative of the required clear and unmistakable assent to waive a specific statutory right to a judicial forum that is plaintiffs by virtue of the RICRA and the FEPA. It is true that the CBA in the instant case does contain a provision stating that “[n]either the Employer nor the Union shall discriminate against or in favor of any Employee on account of race [or] color * * *.” However, the CBA before us, unlike the one at issue in
H Penn Plaza,
does not contain any reference to the RICRA or the FEPA. Thus, it specifically states that only disagreements regarding the misapplication of the CBA will be grieved and arbitrated. Contrary to defendant’s arguments, such a general arbitration provision simply is not sufficient to clearly and unmistakably waive an employee’s rights under the RICRA or the FEPA.
See Manning,
In conclusion, in this case, we hold that a general arbitration provision in a CBA which contains no specific reference to the state anti-discrimination statutes at issue does not constitute a clear and unmistakable waiver of the plaintiffs right to a judicial forum in which to litigate claims arising under the RICRA and the FEPA.
IY
Conclusion
For the reasons set forth in this opinion, we vacate the Superior Court’s order granting the defendant’s motion to stay and ordering that the matter be resolved through binding arbitration. This case is remanded to the Superior Court for further proceedings.
Notes
. In addition to our perusal of the briefs of the parties, we have also given due consideration to the points made by the Rhode Island Commission for Human Rights in its amicus curiae brief.
. The FEPA and the RICRA prohibit employment discrimination based on, among other things, race and color. See G.L.1956 § 28-5-7; G.L.1956 § 42-112-1.
.The plaintiff alleges in her complaint that she timely filed a charge of discrimination with the Rhode Island Commission for Human Rights and thereafter was issued a "Notice of Right to Sue.”
. For the purpose of addressing the issue presently before us, we need delve no further into the events which gave rise to the substantive allegations in plaintiff's complaint.
. The plaintiff does not make any direct argument in her statement filed pursuant to Article I, Rule 12(A) of the Supreme Court Rules of Appellate Procedure regarding whether she was entitled to bring her appeal directly, rather than being required to petition for a writ of certiorari. She simply states that she filed a notice of appeal pursuant to
Polytop Corp. v. Chipsco, Inc.,
.The defendant further relies on
Bjartmarz v. Pinnacle Real Estate Tax Service,
. An appeal of an interlocutory order is permitted to be taken, under G.L.1956 § 9-24-7, "in like manner as from a final judgment” when "an injunction shall be granted or continued, or a receiver appointed, or a sale of real or personal property ordered * *
See also Boranian v. Richer,
. Notably, we apply a “more searching standard of judicial review [with respect to] the issue of arbitrability than our limited review of [a] substantive arbitration award.”
State Department of Corrections v. Rhode Island Brotherhood of Correctional Officers,
The defendant contends that this Court should employ an abuse of discretion standard of review in this case because we are reviewing an interlocutory order; plaintiff has chosen not to address which standard of review should apply. In support of its contention defendant cites New England Stone,
. There is a dispute between the parties regarding whether a grievance was filed by plaintiff and regarding whose responsibility it would have been to see to it that such a grievance was pursued. However, the parties do not contest that, if a grievance was indeed filed, it never progressed even to Step Two of the grievance procedure as prescribed in Arti
. In 1949, the General Assembly passed the FEPA in order to "assure equal employment opportunities for all persons by eliminating discriminatory practices.”
Folan v. State Department of Children, Youth, and Families,
"Such discrimination foments domestic strife and unrest, threatens the rights and privileges of the inhabitants of the state, and undermines the foundations of a free democratic state. The denial of equal employment opportunities because of such discrimination and the consequent failure to utilize the productive capacities of individuals to their fullest extent deprive large segments of the population of the state of earnings necessary to maintain decent standards of living, necessitates their resort to public relief, and intensifies group conflicts, thereby resulting in grave injury to the public safety, health, and welfare.”
Subsequently, in 1990, the General Assembly passed the RICRA in order to provide "broad protection against all forms of discrimination in all phases of employment.”
Horn v. Southern Union Co.,
. This Court has historically looked to federal precedent for some degree of enlightenment and guidance when we are engaged in the process of construing our state employment discrimination statutes.
See, e.g., Shoucair v. Brown University,
. We note that the plaintiff's grievance in
Alexander v. Gardner-Denver Co.,
. The Supreme Court noted that the collective bargaining agreement at issue in
Wright v. Universal Maritime Service Corp.,
.
See also O’Brien v. Town of Agawam,
. See David L. Gregory & Edward McNamara, Mandatory Labor Arbitration of Statutory Claims, and the Future of Fair Employment: 14 Penn Plaza v. Pyett, 19 Cornell J.L. & Pub. Pol’y 429 (2010) (a scholarly article analyzing and discussing the Supreme Court’s decision in 14 Penn Plaza).
. The Supreme Court in its decision in
14 Penn Plaza LLC v. Pyett,
. While the Supreme Court in
14 Penn Plaza
took issue with some aspects of the
Gardner-Denver
decision, nothing in the
14 Penn Plaza
decision "suggests any wavering in the Court’s commitment to the traditional separation between contractual CBA rights and statutory Title VII rights."
United States v. Brennan,
. The defendant relies on
Jensen v. Calumet Carton Co.,
No. 11-C-2785,
. The plaintiff also contends that the CBA at issue in the instant case does not give her the right to pursue a claim for arbitration but instead leaves that right in the hands of the union; plaintiff posits that, in situations like the one before us, when a union “fail[s] to act within the [CBA] [it] acts as a bar to forcing [an] individual to adhere to the terms of the CBA.” We need not, and therefore do not, address this argument given our holding that the language of the CBA was not sufficient to waive plaintiff's right to access to a judicial forum.
See United States v. Gertner,
