Occupational Health Law. Diana Kloss
Act 2010 states that employers are liable for anything done by their employees in the course of employment and their agents with the authority of the principal, whether or not done with their knowledge or approval, unless they took all reasonable steps to prevent the discriminatory act. Section 110 provides that, where an employer is liable for the action of an employee or agent, the employee or agent is also liable; the employee or agent can be held liable even if the employer is not because they have the reasonable steps defence. One example where both employer and employees were liable was Michalak v. Mid Yorkshire Hospitals NHS Trust (2008). Three senior managers, as well as the NHS Trust, were held jointly and severally liable to pay £4.5 million compensation to a consultant physician who had suffered sex and race discrimination at their hands. If an organisation’s OH health professional knowingly directly discriminates against disabled applicants for employment, for example by automatically excluding as unfit anyone with a history of mental illness, the OH professional will be liable. One problem here is that codes of ethics and the common law prevent the OH professional from disclosing clinical details without consent, so that if consent cannot be obtained the decision on whether or not to recommend the disabled person for employment may, in practice, have to be made by the OH professional, rather than the manager. This was the situation in London Borough of Hammersmith and Fulham v. Farnsworth (2000) where an applicant for a job as a residential social worker, who had a history of serious depression, was rejected by the employer on the advice of the occupational physician who reported that she was likely to have higher than average sickness absence, without considering possible adjustments. Both the local authority and the physician were sued. The physician was held liable, as participating in the decision‐making process, but the judgment against her was reversed on appeal on a technicality. There is a fuller discussion of this case in Chapter 8, which points out that the OH professional’s role is to advise employers, not to make decisions, and that doubt has been cast on the reasoning in the Farnsworth case in subsequent precedents.
Equality and Human Rights Commission Employment Code of Practice (2011)
10.42 An employer can avoid discriminating against applicants to whom they have offered jobs subject to satisfactory health checks by ensuring that any health enquiries are relevant to the job in question and that reasonable adjustments are made for disabled applicants. It is particularly important that occupational health practitioners who are employees or agents of the employer understand the duty to make reasonable adjustments. If a disabled person is refused a job because of a negative assessment from an occupational health practitioner during which reasonable adjustments were not adequately considered, this could amount to unlawful discrimination if the refusal was because of the disability.
10.43 It is good practice for employers and occupational health practitioners to focus on any reasonable adjustments needed even if there is doubt about whether the person falls within the Act’s definition of a disabled person.
Section 111 of the Act states that a person must not instruct, cause or induce another person to do in relation to a third person anything which contravenes the relevant provisions of the Act. For example, a senior partner who suggests to HR that the recruitment of a receptionist with an obvious physical disability would present a bad image of the firm to clients and reflect badly on the recruiter’s judgement. Section 112 of the Act provides that a person who knowingly helps another to break the law is liable, unless it is reasonable to rely on a statement by the other that his or her action does not contravene the Act. An example given in the Equality and Human Rights Commission Code, paragraph 10.56, is of a line manager who failed to make reasonable adjustments for a machine operator with multiple sclerosis because he asked the company director whether adjustments were needed and was told that they were unnecessary because the employee was not in a wheelchair. The employer would be liable, but not the line manager. OH professionals should not normally give unequivocal advice to a manager that someone is unsuitable for employment. Instead, they should give information sufficient to allow the manager to make a decision. Another example in the Code is of a manager who would like a job to go to a female candidate and asks a clerical worker to look at the confidential files to let him know the sex of the applicants. The clerical worker who complies would be liable for sex discrimination unless, for example, they reasonably believed the manager’s assurance that his motive was to achieve a balance of the sexes in the department and that this was not a breach of the Act. An OH professional who gave a manager access to confidential medical records about a disabled person without consent, leading to the rejection of that person because of a disability, might also be liable under this section. It is submitted that it would be difficult to argue that it was reasonable for an OH professional to believe the manager’s assurance that consent was unnecessary. A professional should know better.
2.7 Professional standards
In 2007, the Disability Rights Commission, in the last months of its existence before it was subsumed into the Equality and Human Rights Commission, undertook a formal investigation of professional regulation of teaching, nursing and social work and disabled people’s access to those professions. The panel of inquiry disclosed that there is still a considerable body of legislation and guidance for the professions which lays down generalised standards of good health or fitness for entry and frequently undermines disability equality (Maintaining standards: promoting equality). For example, the Nursing and Midwifery Order 2001 makes provision for the NMC to prescribe requirements to be met by nurses and midwives applying for registration as to evidence of good health and character and gives power to investigate whether fitness for practice is impaired. Guidance emphasises the need for disclosure and implies that failure to disclose a health condition may constitute professional misconduct. The recommendation of the panel was that these general legal requirements for professionals should be revoked. Failure to disclose a disability or long‐term health condition should not be regarded as professional misconduct leading to disciplinary procedures unless there are serious concerns about the effect of the disability on the performance of the job, as in the case of a cardio‐thoracic surgeon who knows or suspects that he is a carrier of a blood‐borne virus, but fails to seek or take OH advice. The recommendations of the inquiry were not implemented, other than in the updating of disability discrimination law in the Equality Act.
2.8 Consent to medical treatment
Every adult is entitled to decide what physical contact he will permit and it is both criminal and tortious to perform any form of medical examination or treatment on him without his consent. The layman describes such an invasion of the person as an assault, but technically an assault is only a threat of physical contact; the unpermitted contact itself is described as a battery. The fact that a patient may need treatment, even life‐saving treatment, is irrelevant: the patient must decide.
There are several exceptions. Where the patient is unconscious, emergency treatment of a life‐saving nature may be performed without consent. It is not legally necessary to obtain the consent of relatives in such a case, but the Mental Capacity Act 2005 provides that, where practicable, relatives or friends should be consulted. Consent may be implied by conduct: the employee who holds out his arm for blood to be taken need not, strictly speaking, be required to sign a consent form. Children of 16 or over have the right to give consent on their own behalf (Family Law Reform Act 1969) and the parents’ views are irrelevant unless the child is physically or mentally handicapped (this is despite the law that full legal independence is only acquired at 18). However, parents or guardians can give consent to treatment against the child’s wishes in the child’s best interests up to the age of 18 (Re R (a minor) (wardship: medical treatment) (1992)). Treatment of children too young to give valid consent can only be performed with the consent of at least one parent, or the local authority if they are in care; older children under 16 may give a valid consent if they can appreciate the nature and consequences of the treatment (Gillick v. West Norfolk and Wisbech AHA (1985)).
There is no battery if the patient knows the broad nature of the proposed treatment and agrees to it. Suppose that an OH physician undertakes a programme of vaccination at the place of work. He obtains the