7 CCR 1103-11
DEPARTMENT OF LABOR AND EMPLOYMENT COLORADO WHISTLEBLOWER, ANTI-RETALIATION, NON-INTERFERENCE, AND NOTICE-GIVING RULES (COLORADO WARNING RULES)
7 CCR 1103-11 [Editor’s Notes follow the text of the rules at the end of this CCR Document.] ______________________________________________________________________ Adopted December 8, 2025; effective February 1, 2026.
Rule 1. Statement of Purpose, Authority, and Construction
1.1 The general purpose of these Colorado Whistleblower, Anti-Retaliation, Non-
Interference, and Notice-Giving Rules (WARNING Rules) is to exercise the authority of this Division to enforce and implement Colorado legislative enactments and accompanying rules protecting against retaliation for, or interference with, the exercise of protected rights, and requiring that employees and other workers receive various forms of notification of their rights, including but not limited to the Healthy Family and Workplaces Act of 2020 (HFWA, C.R.S. Title 8, Article 13.3, Part 4), the Public Health Emergency Whistleblower Act of 2020 and the Protected Health/Safety Expression and Whistleblowing Act (PHEW, C.R.S. Title 8, Article 14.4), the Equal Pay for Equal Work Act of 2019 (EPEWA, C.R.S. Title 8, Article 5), the Agricultural Labor Rights and Responsibilities Act of 2021, Colorado Senate Bill 21-87 (ALRRA) as amended by Colorado House Bill 22-1313, amendments to the Colorado Wage Act (C.R.S. Title 8, Article 4), and rules promulgated under the foregoing statutes. These Rules are adopted pursuant to Division authority in C.R.S. §§ 8-1-103(3), - 107(2), -111, -116, -117; §§ 8-2-130, -206(3)(c)(II); §§ 8-4-111, -113(4)(d), -120; § 8 5 203; §§ 8-6-105, -106, -108, -117; §§ 8-13.3-403(9), -407(6), -408(1)-(2), - 409, -410; § 8-13.5-204(1)(b); and §§ 8-14.4-103(2), -104, -105(4), -108. Every rule herein applies to all statutes and rules referenced in Rule 1.1, unless a specific rule states otherwise.
1.2 Authority and Application. The Colorado WARNING Rules are issued under the
authority and as enforcement of Articles 1-6, 13.3, 13.5, and 14.4 of C.R.S. Title 8 (2025) and are intended to be consistent with these statutory provisions as well as the State Administrative Procedure Act, C.R.S. § 24-4-101, et seq. Where these Rules reference another rule, the reference shall be deemed to include all subparts of the referenced rule. Where these Rules have provisions different from or contrary to any referenced material, the provisions of these Rules govern so long as they are consistent with Colorado statutory and constitutional provisions.
1.3 Incorporation by Reference. These Rules incorporate by reference only those
specific federal and Colorado rules identified as incorporated by reference below in these Rules. As referenced below, these WARNING Rules incorporate by reference the following federal rules stated in Part 578 within Title 29 of the Code of Federal Regulations: 29 C.F.R. § 578.3(c), except as identified in WARNING Rule 2.13. These rules are available to the public in electronic form at https://www.ecfr.gov/current/title-29/subtitle-B/chapter-V/subchapter-A/part- 578/section-578.3, as adopted by the United States Department of Labor’s Wage and Hour Division, located at 200 Constitution Ave NW, Washington, DC 20210. These WARNING Rules also incorporate by reference Colorado rules, as identified below, from the Wage Protection Rules, 7 CCR 1103-7, and the Direct Investigations Rules, 7 CCR 1103-8, as adopted by the Colorado Department of Labor and Employment, Division of Labor Standards & Statistics. These incorporated Division rules are available for public inspection at the Colorado Department of Labor and Employment, Division of Labor Standards & Statistics, located at 707 17th Street, Denver, CO 80202. Copies may be obtained from the Division of Labor Standards & Statistics at a reasonable charge. These incorporated Division rules can be accessed electronically from the website of the Colorado Secretary of State. Pursuant to C.R.S. § 24-4-103(12.5)(b), the agency shall provide certified copies of the rules incorporated by reference at cost upon request. All incorporated Division Rules are available to the public at www.coloradolaborlaw.gov. All such incorporated rules refer to the date and edition of those rules in effect as of the effective date of these WARNING Rules, February 1, 2026, and exclude later amendments to or editions of these rules incorporated by reference.
1.4 Separability. These Rules are intended to remain in effect to the maximum extent possible. If any part (including any section, sentence, clause, phrase, word, or number) is held invalid, (A) the remainder of the Rules remain valid, and (B) if the provision is held not wholly invalid, but merely in need of narrowing, the provision should be retained in narrowed form.
Rule 2. Definitions and Clarifications 2.1 “Administrative Procedure” means the process used by the Division to investigate Complaints arising under any rule or statute cited in Rule 1.1.
2.2 “Authorized representative” means a person designated by a party to a
Complaint to represent the party during the Division’s administrative procedure. To designate an authorized representative, the party must comply with the requirements for authorizing a representative in the Wage Protection Rules, 7 CCR 1103-7, Rule 4.3, which is incorporated by reference as stated in Rule 3.1 and available to the public for review as stated in 1.3.
2.3 “Complaint” or “Claim” interchangeably mean a Complaint or Claim alleging
violation of any retaliation, interference, or notice requirements of any statute or rule cited in Rule 1.1. “Complainant” means an employee, worker, whistleblower, key service provider, or other protected party with a Complaint or Claim.
2.4 Rule 2.4 incorporates by reference Wage Protection Rule 2.4, 7 CCR 1103-7,
adopted by the Division and available to the public for review as stated in Rule 1.3, except that as incorporated, “certified copy” also includes a copy of a Division decision issued under these Rules and/or laws they implement and enforce.
2.5 “Correct address” can include, but is not limited to, an email address reported to the Division or posted on a party’s website, an address on file with the Colorado Secretary of State, the address of a registered agent on file with the Colorado Secretary of State, or an address provided to the Division by the party. A notice is deemed sent to a party when placed in the U.S. mail; sent by electronic means; or personally delivered to a party or a party’s representative, or a party’s correct address.
2.6 “Determination” means a decision issued by a compliance investigator upon the conclusion of an investigation. “Determination” includes: Citation and Notice of Assessment, Determination of Compliance, and Notice of Dismissal, if that Notice of Dismissal is issued after the Division initiated the administrative procedure. A notice that the Division declines to investigate a Complaint is not a Determination.
2.7 “Division” means the Division of Labor Standards and Statistics in the Colorado Department of Labor and Employment.
2.8 “Employee” and “Employer” have the same meaning as in C.R.S. §§ 8-4-
101(5),(6), except as to rights or responsibilities under C.R.S. Title 8, (A) Article 13.3, “Employee” and “Employer” have the same meaning as in C.R.S. §§ 8- 13.3-402(4),(5); and (B) Article 5, “Employee” and “Employer” have the same meaning as in C.R.S. §§ 8-5-101(4),(5). As used in these rules, the term “Employee” includes an agricultural employee as defined in C.R.S. § 8-2- 206(1)(b) and an agricultural worker as defined in C.R.S. § 8-13.5-201(3), and the term “Employer” includes an agricultural employer as defined in C.R.S. § 8 2 206(1)(c), except as otherwise provided.
2.9 “Notice of Right to Sue” means a notice from the Division stating that the
Complainant has exhausted administrative remedies pursuant to C.R.S. § 8- 14.4-105, and/or that the Division has received and declined to investigate a Complaint for purposes of C.R.S. §§ 8 2-206(3)(c)(II), 8-13.3-411(4)(d), or 8- 13.5-204(1)(b).
2.10 “Respondent” means an employer or principal that is alleged in a Complaint or Claim to have, or that is the subject of an investigation into whether they have, committed an unlawful practice.
2.11 In “retaliation” or “interference” claims or investigations, the following definitions apply:
2.11.1 “Protected activity” means, as to any right under these Rules or any
statute or rule to which these Rules apply:
(A) asserting, seeking, or exercising any right or remedy;
(B) opposing a possible or perceived violation;
(C) participating in a formal or informal investigation, hearing, complaint, or other process or proceeding that relates to any possible or perceived violation, or that relates to any relevant claim, right, or rule; and/or (D) engaging in any other activity authorized or protected thereby. With respect to rights under PHEW, “protected activity” is further defined in Rule 5 herein.
2.11.2 “Retaliation” means, and is synonymous with, discrimination based on or
for protected activity, and it encompasses any act (whether an affirmative act, an omission, or a statement) that is intended to, and could, deter a reasonable person from engaging in, or impose consequences for, protected activity. Examples of retaliation include:
(A) using the assertion or exercise of any right protected by these Rules, or any statute or rule to which these Rules apply, as a negative factor in any employment action;
(B) acts that may not affect employment status but that may dissuade, deter, or interfere with engaging in protected activity, such as acts prohibited by Rule 4.8.2 of the Wage Protection Rules (7 CCR 1103-7), or acts that interfere or threaten to interfere with the receipt of public benefits.
2.11.3 “Interference” means any act (whether an affirmative act, an omission, or a statement) that, regardless of intent, interferes with any protected activity or any right under these Rules or any statute or rule to which these Rules apply, including any act that deters any protected activity. Examples of acts that may constitute interference include:
(A) failing to authorize the exercise of a right, imposing stricter conditions upon exercising a right (e.g., as to documentation or notice) than the applicable statute or rule permits, or altering employment conditions, rules, or procedures to limit coverage;
(B) failing to effectively provide a required notice or notification as to an employee’s rights;
(C) inducing or attempting to induce an employee, worker, whistleblower, key service provider, or other protected party to prospectively waive a right;
(D) imposing consequences (whether or not employment-related) for or discouraging the exercise of any such right, such as by counting paid sick leave taken by an employee pursuant to HFWA as an absence that may lead to negative consequences;
(E) “access interference” with an agricultural employee’s rights to reasonable access (as defined by C.R.S. § 8-13.5-202 and the Agricultural Labor Conditions Rules, 7 CCR 1103-15, Rule 4) to visitors at employer-provided housing, to employee residence access and egress, to remote access to key service providers, or to required transportation; except an agricultural employer may apply generally applicable hazard or safety protocols to work site visitors;
(F) any act (whether an affirmative act, an omission, or a statement) that interferes with a Division investigation or proceeding, at any stage (e.g., from anticipated investigations through appeals or post- decision enforcement). Investigation interference includes acts that:
2.12 “Wage Protection Rules” refer to the rules contained in 7 CCR 1103-7.
2.13 “Willful,” in Articles within C.R.S. Title 8 that this Division enforces or administers, has the same meaning as under 29 C.F.R. § 578.3(c), implementing the Fair Labor Standards Act, 29 U.S.C. § 255(a), which is incorporated by reference and available to the public for review as stated in Rule 1.3, except that as incorporated:
(A) all references to the Fair Labor Standards Act shall include Articles within C.R.S., Title 8, that this Division enforces or administers; and (B) the reference to “a responsible official of the Wage and Hour Division” shall include any official of the Division.
2.14 “Worker” and “principal,” as to rights or responsibilities under C.R.S. Title 8, Article 14.4, have the same meaning as in C.R.S. § 8-14.4-101(3), (5).
2.15 Any other terms defined in statutes enforced through these Rules and that
appear in these Rules will have the same meaning as defined by those statutes, except where terms are defined differently in these Rules.
2.16 Under the ALRRA and PHEW, a “whistleblower” is defined as follows, and need not have personally experienced the relevant violation:
(A) under the ALRRA, an agricultural employee “with knowledge of an alleged violation of Part 2 [of Article 13.5 of C.R.S. Title 8] or the agricultural worker’s representative” (as defined in C.R.S. § 8-13.5-201(4)); and (B) under PHEW, a worker with knowledge of an alleged violation of Article
14.4 of C.R.S. Title 8 or the “worker's representative” (as defined in C.R.S.
§ 8-14.4-107).
2.17 Under the ALRRA, the definitions of the following parties apply.
2.17.1 “Agricultural employee” and “agricultural worker,” as to rights and
responsibilities under C.R.S. § 8-2-206 of the ALRRA, identically mean a person employed by an agricultural employer. As to other rights and responsibilities under the ALRRA, “agricultural employee” and “agricultural worker” identically mean an employee engaged in any service or activity included in 29 U.S.C. § 203(f) or 26 U.S.C. § 3121(g).
2.17.2 “Agricultural employer,” as to rights and responsibilities under the ALRRA, means a person engaged in any service or activity included in 29 U.S.C. § 203(f) or 26 U.S.C. § 3121(g) who either (1) contracts with any person who recruits, solicits, hires, employs, furnishes, or transports agricultural employees, or (2) regularly engages the services of one or more agricultural employees. Under C.R.S. § 8 3 104(1)(b) of the ALRRA, “[t]he meaning of ‘agricultural employer’ must be liberally construed for the protection of persons providing services to an employer.” 2.17.3 “Other protected party,” as to rights and responsibilities under the ALRRA, means a person who has, or is perceived as having, any of the following relationships protected against retaliation by C.R.S. § 8-2-206 of the ALRRA:
(A) a “familial . . . relationship” with an agricultural employee (C.R.S. § 8 2 206(3)(c)), which encompasses (1) a spousal relationship (including a common-law marriage, civil union, or domestic partner), (2) any of the following relationships by blood, marriage, or adoption: parent, grandparent, child, grandchild, sibling, stepparent, stepsibling, stepchild, uncle, aunt, niece, nephew, or cousin, or (3) another person with whom the employee similarly has a significant personal bond regardless of biological or legal relationship.
(B) a “workplace relationship” with an agricultural employee (C.R.S. § 8 2 206(3)(c)), which encompasses any person with whom the employee has interacted repeatedly in the scope of their employment, regardless of the person’s employer or employment status.
(C) a “person with whom the agricultural employee exchanges care or support” (C.R.S. § 8-2-206(3)(c)), which encompasses any relationship in which the employee or the person, outside of their scope of employment, provides care or support to the other with (1) health, family care, transportation, or similarly important personal needs, or (2) any other needs that the individual lacks capacity to perform on their own, such as hygiene, financial or similar paperwork, or home tasks (basic cleaning, shopping, cooking, maintenance, etc.).
2.18 For the purposes of the C.R.S. § 8-4-120 provisions against retaliation as to rights under “any . . . law or rule related to wages or hours”:
2.18.1 “Filed a complaint” includes formal or informal complaints, written or oral, whether to a court; a governmental labor agency; an employer or principal; or another relevant entity or person, public or private.
2.18.2 “Proceeding” includes any procedure, process, or action by a court; a
governmental labor agency; an employer or principal; or another relevant entity or person, public or private.
2.18.3 All rules that apply or refer to an “employer” shall also apply to any other person that is regularly engaged in business or commercial activity that has contracted with an employer or worker, directly or indirectly, for labor from which such person is the beneficiary.
2.19 As referenced by C.R.S. § 8-14.4-102(3)(b), “public health agency” means
agencies or authorities of the United States, states or political subdivisions thereof with jurisdiction over the worker’s workplace; or an individual or entity performing public health functions under a grant of authority from such a public health agency.
2.20 Under C.R.S. § 8-5-102(2), “prospective employee” includes individuals applying for an employment position, being considered for an employment position, or who have been extended an offer for an employment position. Rule 3. Complaint, Investigation, and Appeal Procedures 3.1 Rule 3.1 incorporates by reference Wage Protection Rules, 7 CCR 1103-7, Rules 4.1 and 4.3 through 4.9, adopted by the Division and available to the public for review as stated in Rule 1.3, except that as incorporated:
(A) all references to “wage” or “wage and hour” Complaints, Claims, rights, responsibilities, or proceedings shall include other labor rights or responsibilities within these Rules;
(B) in Rule 4.4.3 “C.R.S. § 8-4-113(1)(b)” is replaced with “C.R.S. § 8-1- 140(2)”;
(C) for Claims under PHEW and the ALRRA, references to “employers” or “employees” shall include “principals” and “workers,” respectively, as defined by PHEW and these Rules, and “agricultural employers” and “agricultural employees,” respectively, as defined by the ALRRA and these Rules; and (D) for Claims under C.R.S. § 8-4-120, references to an “employer” shall include “any other person that is regularly engaged in business or commercial activity that has contracted with an employer or worker, directly or indirectly, for labor from which such person is the beneficiary.”
3.2 Complaint filings.
3.2.1 An employee, worker, whistleblower, key service provider, or other
protected party who wishes to file a Complaint shall use a Division- approved form(s) and shall include the Complainant’s signature, the Complainant’s contact information, the Respondent’s contact information, and basis for the Complaint. If the Division does not have an applicable form publicly posted when the Complainant intends to file, then a Complainant may file a Complaint in any form, by mail or electronic mail, with the Division, and the Division may later require the Complainant to complete the Division's Complaint form, but the filing date will remain the date of the Complainant’s original filing.
3.2.2 A Complainant shall respond in a timely manner to informational or
investigatory requests by the Division. Failure to comply with this Rule may result in dismissal of the Complaint. If a Complaint is dismissed before a Notice of Complaint is sent to the Respondent due to failure to respond to a Division request for information, the Complaint may be reopened if the Complainant provides the requested information or documentation to the Division within 35 days of the request. A Complainant may be required to file a new Complaint if the response is received more than 35 days after the request.
3.2.3 Anonymous complaints will be accepted, but will not be investigated using
the Division’s administrative procedure, and will be investigated only at the discretion of the Division.
3.3 Filing, service, and deadlines.
3.3.1 A Complaint or appeal is considered “filed” with the Division when it is
received by the Division via mail, fax, email, online submission, or personal delivery. Any Complaint, appeal, or termination received after 11:59pm Mountain Time is considered filed the next business day.
3.3.2 Deadlines in these Rules may be extended for good cause. In considering
whether good cause exists, under these Rules or applicable statutes allowing good-cause extensions of deadlines, the Division will determine whether the reason is substantial and reasonable, and must take into account all available information and circumstances pertaining to the specific Complaint.
3.3.3 Within 90 days of receipt of a Complaint (or within 90 days of the effective date of these Rules, whichever is later), the Division will (A) assess whether it will exercise its discretion to investigate the Complaint, and (B) inform the Complainant of the decision, including sending the Complainant a Notice of Right to Sue if the Complaint is subject to C.R.S. §§ 8-14.4- 105(2)(b), 8-2-206(3)(c)(II), 8 13.3 411(4)(d), 8-13.5-204(1)(b) and the Division declines to exercise its discretion to investigate the Complaint. Under this Rule 3.3.3, the Division’s decision whether to investigate the Complaint is not required until 90 days after the Complainant has provided all information and documents needed to complete, process, and evaluate the Complaint.
3.3.4 In a Complaint investigation, the Division will send the Respondent a
Notice of Complaint, along with any relevant supporting documentation submitted by the Complainant, via U.S. mail, electronic means, or personal delivery. A Respondent must respond within four weeks after a Complaint is sent to them, unless an extension is granted.
3.3.5 Where a retaliation or interference Complaint or investigation governed by these Rules is filed or commenced, the Respondent shall preserve all personnel records relevant to the Complaint or investigation until final disposition of the Complaint or investigation. For purposes of retaliation or interference Claims, relevant personnel records include but are not limited to:
(A) requests or statements by the individual that are claimed to be protected activity;
(B) responses to, or analyses of, such request(s) or statement(s);
(C) policies or decisions, formal or informal, that may apply to such request(s) or statements(s); and (D) to the extent relevant to the Complaint or investigation (e.g., if the possible violation includes disparate treatment based on protected activity), the contents of personnel files of the Complainant and others holding positions similar to that held or sought by the aggrieved person and application forms or test papers completed by an unsuccessful applicant and by all other candidates for the same position as that for which the aggrieved person applied and was rejected.
3.3.6 A Complainant may withdraw a Complaint at any time before issuance of
a determination by notifying the Division in writing. Additionally, for a Complaint under PHEW, HFWA, or the ALRRA:
(A) whether or not a Complainant requests Complaint withdrawal or a Notice of Right to Sue, the Division may exercise its discretion to terminate an investigation at any time, in which case it will promptly send a Notice of Right to Sue; and (B) if a Determination has not been sent by 180 days after the date the Division notifies the Claimant of its decision to investigate, the Complainant may request a Notice of Right to Sue, and the Division will respond within 30 days by sending either (1) the determination or (2) a Notice of Right to Sue indicating that the Division has terminated the investigation and that the Complainant has exhausted administrative remedies if required to do so.
3.4 Burdens of proof and production.
3.4.1 Complaints of retaliation are analyzed as follows, with the preponderance
of the evidence standard applying to all burdens of proof.
(A) The Complainant has the burden of proving all elements of a Claim, including that unlawful retaliation occurred. The Respondent must explain which, if any, allegations it disputes. Any evidence probative of a relevant issue may be submitted or considered.
(B) If the Complainant proves unlawful retaliation or discrimination was a motivating factor for the complained-of practice, then a violation is proven. However, if a violation is proven but the Respondent proves that the complained-of practice would have occurred for another lawful reason, then the Division shall not award reinstatement, back pay, or front pay as of the date the practice would have occurred.
3.4.2 Complaints of interference or failure to provide any required notice are
analyzed as follows, with the preponderance of the evidence standard applying to all burdens of proof.
(A) The Complainant has the burden of proving all elements of a Claim, including that unlawful interference or failure to provide required notice occurred. The Respondent must explain which, if any, allegations it disputes. Any evidence probative of a relevant issue may be submitted or considered.
(B) If the Complainant meets its burden of proof, then a violation is proven. However, if a violation is proven but the Respondent proves that the complained-of practice would have occurred for another lawful reason, then the Division shall not award reinstatement, back pay, or front pay as of the date the practice would have occurred.
3.5 Determinations.
3.5.1 Upon conclusion of the investigation of a Complaint, the Division will issue a determination. The Division shall notify the parties on the date the determination is issued by the Division’s compliance investigator by sending (a) a copy of the determination; and (b) notice of the parties’ termination and appeal rights.
3.5.2 The date of “issuance” of the Division’s determination is the date the
Division’s determination is “sent.” Both the termination and appeal deadlines are calculated from the date the Division’s determination is originally issued and sent to the parties.
3.5.3 Determinations by the Division may include the following remedies and
orders, depending on which, if any, the Division’s findings support:
(A) monetary or other relief authorized by the statute(s) under which the Complaint was filed, including but not limited to, where applicable —
(B) fines or penalties authorized by the statutes on Division investigative and enforcement authority in C.R.S. Title 8, Articles 1 and 4; and/or (C) order(s) to cease non-compliance, effectuate compliance, and/or otherwise redress direct or indirect consequences of violations, as authorized by the statute(s) under which the Complaint was filed and statutes on Division investigative and enforcement authority, including but not limited to C.R.S. Title 8, Article 1, § 8-2- 206(3)(c)(I), Articles 4-6, and § 8-13.5-204(1)(b), (2)(a)(I); and/or (D) for any award under C.R.S. § 8-13.5-204 of the ALRRA, the Division’s determination must order that any amounts recovered by a whistleblower or key service provider pursuant to the award must be distributed to agricultural workers affected by the violation who can be located, insofar as such disbursement is economically feasible.
3.6 The Division may exercise its discretion to have an investigation sequenced
and/or divided into two or more stages on discrete questions of liability or relief (e.g., bifurcation), yielding two or more determinations and/or phases of the investigation.
3.7 Appeals.
3.7.1 Any party to a Claim or determination may appeal the Division’s
determination.
3.7.2 Rule 3.7.2 incorporates by reference Wage Protection Rule 6, 7 CCR
1103-7, adopted by the Division and available to the public for review as stated in Rule 1.3, which shall govern and apply to Claims or determinations under these Rules, except for determinations for direct investigations.
3.7.3 Rule 3.7.3 incorporates by reference Direct Investigations Rule 6, 7 CCR
1103-8, adopted by the Division and available to the public for review as stated in Rule 1.3, which shall govern and apply to determinations for direct investigations made under these Rules.
3.7.4 Parties may not appeal the Division’s discretionary decisions as to
whether or not to investigate a Complaint.
3.7.5 An appeal may, in the discretion of the hearing officer, be sequenced
and/or divided into two or more stages on discrete questions of liability or relief (e.g., bifurcation), yielding two or more decisions and/or phases of the appeal.
3.7.6 From the time of the filing of an appeal throughout the appeal, a party or other participant in an appeal must send complete copies of all appeal submissions to the contact information and in the manner designated (a) in the determination and/or any accompanying notices from the Division, and (b) in any subsequent orders or notices from the Division.
3.8 A certified copy of any citation, notice of assessment, or order imposing relief or remedies may be filed with the clerk of any court having jurisdiction over the parties at any time after the entry of the order. Such a filing can be in a county or district court, and will thereby have the effect of a judgment from which execution may issue.
3.9 Rule 3.9 incorporates by reference Wage Protection Rule 7, 7 CCR 1103-7,
adopted by the Division and available to the public for review as stated in Rule 1.3.
3.10 Rule 3.10 incorporates by reference Wage Protection Rule 8, 7 CCR 1103-7,
adopted by the Division and available to the public for review as stated in Rule 1.3.
Rule 4. Notice and Posting Rights and Responsibilities 4.1 Poster requirements. A poster informing all employees and workers of their rights under HFWA and PHEW must be posted, displayed, or otherwise provided by employers and principals, as required by C.R.S. § 8-13.3-408 (HFWA), and C.R.S. § 8-14.4-103 (PHEW). All agricultural employers must post a notice of agricultural employees’ rights under Part 2 of Article 13.5 of Title 8, C.R.S., as required by C.R.S. § 8-13.5-202.
4.1.1 The poster(s) must specify:
(A) for those covered by HFWA, (1) the amount of paid sick leave to which employees are entitled, and (2) the terms of its use;
(B) for those covered by PHEW, (1) the right to raise reasonable concerns about workplace violations of government health or safety rules, or otherwise significant workplace health or safety threats, and (2) the right to wear one’s own personal protective equipment, such as a mask, faceguard, or gloves, if it provides a higher level of protection than already-provided equipment, is recommended by a governmental public health agency with jurisdiction over the workplace, and does not render the worker incapable of performing the job duties;
(C) for those covered by either HFWA or PHEW, (1) that it is unlawful to retaliate for or interfere with HFWA or PHEW rights, and (2) that a complaint may be filed if retaliation, interference, or another denial of HFWA or PHEW rights occurs; and (D) for those covered by the ALRRA, all rights under Part 2 of Article
implementation of those provisions, including: (1) § 202 of Part 2 (access to key service providers, visitors, and employee residences); (2) § 203 of Part 2 (protections from heat illness and injury; restrictions on short-handled hoe and other short-handled tool use; and for hand-weeding/thinning, additional rest as well as gloves and knee pads); and (3) § 204 of Part 2 (procedures and remedies for enforcement of Part 2 rights); and (4) the Agricultural Labor Conditions Rules, 7 CCR 1103-15.
4.1.2 Employers and principals may use the latest version of the “Colorado
Workplace Public Health Rights Poster” (provided by the Division at www.coloradolaborlaw.gov) to satisfy the poster requirements of both HFWA and PHEW. Agricultural employers may use an up-to-date “Agricultural Labor Rights and Responsibilities Poster” published by the Division or, at any time such a poster is unavailable, an up-to-date version of an Interpretive Notice and Formal Opinion on agricultural labor rights and responsibilities published by the Division, to satisfy the poster requirements of the ALRRA. Employers and principals may comply by using another poster that contains all substantive information in the “Colorado Workplace Public Health Rights Poster,” and if applicable, in an “Agricultural Labor Rights and Responsibilities Poster,” and otherwise satisfies all statutory and rule requirements.
4.1.3 The poster(s) shall be displayed in each establishment where employees
or workers work, in a conspicuous location frequented by employees or workers where it may be easily read during the workday, and in all places where notices concerning the rights and safety of employees or workers are customarily posted — such as in break rooms, on employee bulletin boards, and/or adjacent to time clocks, department entrances, and/or facility entrances. In addition:
(A) Agricultural employers must post an “Agricultural Labor Rights and Responsibilities Poster” or equivalent posting at any employer- provided housing, and must post it electronically, including by e- mail and on an intranet or internet site, if the agricultural employer customarily communicates with agricultural employees by these means.
(B) If the work site or other conditions make a physical posting of the “Colorado Workplace Public Health Rights Poster” impractical (including remote work, private residences employing only one worker, and certain entirely outdoor work sites lacking an indoor area), the employer or principal shall provide a copy of the poster to each employee or worker within their first month of work, including through (if information is customarily disseminated to the employees or workers through these means) either electronic communication or conspicuous posting in a web-based platform.
4.2 Notice and Guidance Requirements.
4.2.1 A written HFWA notice shall be provided to each employee, in addition to
the poster requirement.
(A) The written HFWA notice to each employee shall specify the same information specified in Rule 4.1.1 for those covered by HFWA.
(B) Employers may use the latest version of the “Colorado Workplace Public Health Rights Poster” (provided by the Division at www.coloradolaborlaw.gov) to satisfy the written notice requirements of HFWA. Employers may comply by using another written notice that contains all substantive information in the “Colorado Workplace Public Health Rights Poster” and otherwise satisfies all statutory and rule requirements.
(C) Including the written HFWA notice among other employment- related documents (such as a handbook, a manual, or other written or posted policies) complies with this written notice requirement, as long as the documents are provided either:
4.2.2 Under C.R.S. § 8-14.4-109 of the ALRRA, during a public health
emergency, as defined in C.R.S. § 8-14.4-109(2), a principal engaged in agricultural employment (as defined in C.R.S. § 8-13.5-201(2)) must also provide resources to agricultural employees as follows.
(A) Employers must “provide informational and educational materials through posters and pamphlets written in English and Spanish and any other relevant languages [...as defined in Rule 4.3, that (1)] lists the contact information for the migrant farm worker division of Colorado Legal Services, or its successor organization, where a worker may receive free and confidential legal services; and [...(2)] informs the workers regarding federal and state guidance concerning [...the] public health emergency.”
(B) These materials must be provided “in employer-provided housing, work sites, and other places where the principal usually posts information for the workers[.]” If materials are damaged or removed, they must be replaced within 48 hours of damage or removal.
(C) An employer may comply with the public health emergency guidance portion of these requirements by providing a copy (including an electronic copy, if the employer customarily communicates to the employees in this form) of up-to-date guidance by the Occupational Safety and Health Administration
(D) Employers must also “provide training to workers concerning safety precautions and protections during [...the] public health emergency.” An employer may comply with these requirements by training workers in accordance with federal OSHA or CDPHE recommendations.
4.3 Posters and notices required by these Rules shall be in English and any
language that is the first language spoken by at least five percent of the employer’s or principal’s workforce. The “Colorado Workplace Public Health Rights Poster” (provided by the Division at www.coloradolaborlaw.gov) is available in multiple languages. The “Agricultural Labor Rights and Responsibilities Poster” will also be made available in multiple languages. If an employer or principal needs the poster in a language not already provided, it has 30 days to procure a translation, and may ask the Division for a translation, which the Division will endeavor to provide if feasible.
4.4 Employers or principals shall be deemed noncompliant if they attempt to
minimize the effect of posters or notices required by statute or these Rules, such as by communicating positions contrary to, or discouraging the exercise of rights covered in, the required poster or notice.
4.5 The poster and written notice rights and responsibilities of PHEW, C.R.S. § 8- 14.4-103, HFWA, C.R.S. § 8-13.3-408, and ALRRA, C.R.S. § 8-13.5-202, have applied since each statute took effect on July 11, 2020, July 14, 2020, and June 25, 2021, respectively, and will be interpreted in conformity with these Rules. Employers and principals will be deemed compliant if they executed required posting(s) and/or notice(s) within 30 days of the applicable statutory effective date.
4.6 Violation of these poster or notice requirements may subject the violator to:
(A) fines pursuant to C.R.S. § 8-1-140;
(B) additional fines for willful violations pursuant to C.R.S. § 8-13.3-408(4); and/or (C) in the event that the violator also committed another violation of HFWA or PHEW, fines in the maximum amount available for that violation under HFWA (pursuant to C.R.S. §§ 8-4-111, 8-4-113, 8-13.3-407(5)) or PHEW (pursuant to C.R.S. § 8 14.4 105(3)).
Rule 5. Protected Activity under PHEW 5.1 For the PHEW provision that raising a “concern about workplace violations of government health or safety rules, or about an otherwise significant workplace threat to health or safety” is protected against retaliation if the worker’s belief as to a violation or threat is, whether or not correct, was “reasonable” and “in good faith” (C.R.S. § 8-14.4-102(1)):
5.1.1 relevant evidence includes a recommendation, research, guidance, or
other information from or provided by a public health agency (federal, state, or local), a major medical association, a major industry-specific trade association, a major public health organization, or another similarly reliable source; and 5.1.2 the worker, whether or not citing a specific rule or guideline, must state what action, condition, or situation they believe constitutes a qualifying violation of a rule regarding, or significant threat to, workplace health or safety.
5.2 For protected use of a worker’s own personal protective equipment (PPE) under PHEW, the requirements of C.R.S. §§ 8-14.4-102(a)-(c) are conjunctive: PHEW protection for PPE use applies only if the PPE provides a higher level of protection as required by 102(a), is recommended by an applicable public health agency as required by 102(b), and does not render the worker incapable of performing as required by 102(c).
5.2.1 For the C.R.S. § 8-14.4-102(3)(a) requirement that a worker’s PPE
“provides a higher level of protection than the equipment provided by the principal”:
(A) the provisions of Rule 5.1.1 as to relevant information apply;
(B) information may not be relied on if, before the worker either brought the PPE to work or communicated about the PPE with the principal, the information was repealed or otherwise repudiated by the person or entity who provided it, but information may still be relied on if, though no longer publicly published, it was not repealed or repudiated;
(C) if principal-provided PPE of the same type is either cleaned or replaced, the worker’s own PPE must also be either cleaned or replaced; and (D) the requirement is not met if the PPE is more protective of the worker yet less protective of others (e.g., a mask with a vent releasing air that, even if highly protective for the wearer, is less protective for others).
5.2.2 For the C.R.S. § 8-14.4-102(3)(b) requirement that PPE is “recommended
by a federal, state, or local public health agency with jurisdiction over the worker's workplace,” the provisions of Rule 5.2.1(B) as to relevant information apply.
5.2.3 Special cases as to the requirements of C.R.S. §§ 8-14.4-102(3)(a) (that
the PPE “provides a higher level of protection than the equipment provided by the principal”) and 8-14.4-102(3)(b) (that the PPE “is recommended by a federal, state, or local public health agency with jurisdiction over the worker's workplace”).
(A) If a principal provides a worker no face covering during (1) a public health emergency related to an airborne pathogen, or (2) a governmental public health recommendation of a face covering for those in the worker’s occupation, then (3) a worker using their own face covering presumptively meets the C.R.S. §§ 8-14.4-102(3)(a)-
(B) If a principal (1) provides a form of PPE (e.g., a mask) that is compliant with all applicable recommendations by federal, state, and local public health agencies with jurisdiction over the workplace, and (2) procures that PPE from a provider it knows to provide reliable PPE (from experience prior to obtaining the particular item it is providing to a worker wishing to use their own PPE), then (3) a worker may use their own PPE of the same type (e.g., a different mask) only if it was obtained from a reliable provider, whether or not the principal’s provider.
5.2.4 An unlawful decision to disallow a worker from wearing PPE that they are
permitted to use under C.R.S. §§ 8-14.4-102(3)(a)-(c) is an adverse action, and may qualify as a constructive discharge if all of the following apply:
(A) the principal fails to remedy the unlawful decision immediately;
(B) working without the PPE would increase a substantial threat to health or safety for any person; and (C) the worker terminates the work for the principal because of unwillingness to work without the PPE.
Rule 6. Retaliation and Interference Prohibited 6.1 Retaliation related to, or interference with, rights and protections under the Colorado laws enforced by the Division is prohibited, and violations may be subject to fines under C.R.S. § 8-1-140 or as otherwise provided by law. These rights and protections against retaliation, interference, and discrimination in Colorado labor law include but are not limited to those under C.R.S. §§ 8-1-116, 8-1-140, 8-4-120, 8-5-102, 8-6-115, 8-13.3-407, 8-14.4-102; 7 CCR 1103-11; and 7 CCR 1103-1. The provisions against investigation interference and retaliation or discrimination for protected activity apply to individuals who assist or otherwise participate in the Division’s investigations.
6.2 Except as otherwise provided by applicable rules or statutes, when the same
conduct violates multiple provisions in rules or statutes, or violates the same provision as to multiple individuals, the conduct constitutes multiple violations for purposes of remedies.
______________________________________________________________________ Editor’s Notes History New rule emer. rule eff. 09/21/2020.
Entire rule eff. 01/01/2021.
Rules 1.2, 2.11.1, 2.17.3(A), 3.3.3, 3.7.3, 4.2.2(C) eff. 03/02/2022. Entire rule eff. 01/01/2023.
Entire rule eff. 02/01/2026.