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England and Wales Court of Appeal (Civil Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales Court of Appeal (Civil Division) Decisions >> CLFIS (UK) Ltd v Reynolds [2015] EWCA Civ 439 (30 April 2015) URL: http://www.bailii.org/ew/cases/EWCA/Civ/2015/439.html Cite as: [2015] IRLR 562, [2015] WLR(D) 197, [2015] ICR 1010, [2015] EWCA Civ 439 |
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ON APPEAL FROM Employment Appeal Tribunal
Mr Justice Singh
Strand, London, WC2A 2LL |
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B e f o r e :
LORD JUSTICE JACKSON
and
LORD JUSTICE UNDERHILL
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CLFIS (UK) LTD |
Appellant |
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- and - |
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DR MARY REYNOLDS OBE |
Respondent |
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(Transcript of the Handed Down Judgment of
WordWave International Limited
A Merrill Communications Company
165 Fleet Street, London EC4A 2DY
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Official Shorthand Writers to the Court)
Mr Timothy Pitt-Payne QC (instructed by Charles Russell Speechly LLP) for the Respondent
Hearing date: 17 March 2015
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Crown Copyright ©
Lord Justice Underhill :
INTRODUCTION
THE FACTS IN OUTLINE
THE BACKGROUND LAW
"(1) For the purposes of these Regulations, a person ("A") discriminates against another person ("B") if—
(a) on grounds of B's age, A treats B less favourably than he treats or would treat other persons, or
(b) A applies to B a provision, criterion or practice which he applies or would apply equally to persons not of the same age group as B, but—
(i) which puts or would put persons of the same age group as B at a particular disadvantage when compared with other persons, and
(ii) which puts B at that disadvantage,
and A cannot show the treatment or, as the case may be, provision, criterion or practice to be a proportionate means of achieving a legitimate aim."
Although I have set out the paragraph in its entirety, we are in this case only concerned with head (a) – that is, so-called direct discrimination. Nor, if conduct falling within that head is shown, does Canada Life seek to rely on the final part of the paragraph – that is, it does not claim that such conduct was justified.
"25 Liability of employers and principals
(1) Anything done by a person in the course of his employment shall be treated for the purposes of these Regulations as done by his employer as well as by him, whether or not it was done with the employer's knowledge or approval.
(2) Anything done by a person as agent for another person with the authority (whether express or implied, and whether precedent or subsequent) of that other person shall be treated for the purposes of these Regulations as done by that other person as well as by him.
(3) In proceedings brought under these Regulations against any person in respect of an act alleged to have been done by an employee of his it shall be a defence for that person to prove that he took such steps as were reasonably practicable to prevent the employee from doing that act, or from doing in the course of his employment acts of that description.
26 Aiding unlawful acts
(1) A person who knowingly aids another person to do an act made unlawful by these Regulations shall be treated for the purpose of these Regulations as himself doing an unlawful act of the like description.
(2) For the purposes of paragraph (1) an employee or agent for whose act the employer or principal is liable under regulation 25 (or would be so liable but for regulation 25(3)) shall be deemed to aid the doing of the act by the employer or principal.
(3)-(4) ..."
"(1) This regulation applies to any complaint presented under regulation 36 to an employment tribunal.
(2) Where, on the hearing of the complaint, the complainant proves facts from which the tribunal could, apart from this regulation, conclude in the absence of an adequate explanation that the respondent—
(a) has committed against the complainant an act to which regulation 36 being the provision conferring the relevant jurisdiction on the employment tribunal] applies; or
(b) is by virtue of regulation 25 (liability of employers and principals) or 26 (aiding unlawful acts) to be treated as having committed against the complainant such an act, the tribunal shall uphold the complaint unless the respondent proves that he did not commit, or as the case may be, is not to be treated as having committed, that act."
The effect of those provisions (or, strictly, the cognate provisions in the other discrimination legislation) has been authoritatively expounded in a line of decisions culminating in Igen Ltd v Wong [2005] EWCA Civ 142, [2005] ICR 931, and Madarassy v Nomura International plc [2007] EWCA Civ 33, [2007] ICR 867. In brief, a tribunal must first decide whether a claimant has established a prima facie case of unlawful discrimination (in the sense elucidated in Madarassy, at paras. 56-57); if she has, the burden shifts to the respondent to prove a non-discriminatory explanation.
THE REASONING OF THE ET AND THE EAT
THE ET
(1) The Tribunal found that the decision to terminate the Claimant's contract was taken solely by Mr Gilmour. This is clear from paras. 9.22-9.24 of the Reasons, which read (so far as material) as follows:"9.22 Mr Gilmour attended Mr McMullan's presentation and it was his evidence that whilst there was not a clear steer from the presentation that the claimant should be replaced it was clear to him that the current CMO provision was not meeting the respondent's needs and that the situation had to be addressed. The presentation made clear that the group business was not happy with the current model of service provision from the CMO. Mr Gilmour's evidence was that having listened to the presentation he made up his mind that the claimant was not delivering the service the group needed and could no longer be lead CMO. In his witness statement he said that he 'formed the view that she was not someone who would be able to help the respondent in the journey to becoming a more modern business with up to date and secure communications, training and coaching case managers on site, and increasing the market share within the group as the individual business work was diminishing'.9.23 Although the report did not go so far as to recommend dispensing with Dr Reynolds' services, we accepted that this was the understanding Mr Gilmour took from the presentation and it was confirmed by Ms Deeks in her evidence that she had discussions with Mr McMullan and Mr Newcombe following the presentation in which they confirmed that ideally rather than continuing work around the deficiencies of the current provision it would be preferable if a complete change could be effected by the termination of the claimant's contract.9.24. Mr Gilmour decided that he would bring the respondent's relationship with the claimant to an end. He said that in view of her long association with the company and her unique position within it he would give her a 'soft landing' by retaining her services on a reduced level gradually reducing her commitment down over the course of three years. …"(2) At para. 9.25 the Tribunal records Mr Gilmour's evidence as to his reasons for his decision as follows:"The decision was based on the fact that the claimant was not providing the service required by the respondent in the following respects: she did not attend the Bristol office which meant that she had limited input into staff training and development and that face to face discussions had to be conducted at her house in Wales; she did not use e-mail; she required that papers were received by fax or post but not recorded delivery (as she did not wish to have to leave the house to collect mail if she was out when it was delivered); she was not prompt in her turnaround times; did not provide her advice in writing, preferring to dictate it over the phone to the assessors; she was resistant to the engagement of a wider panel of medical experts. These were all factors which led him to conclude that she must be replaced."(3) At para. 9.29 the Tribunal says:
"Mr Gilmour did not consider whether the claimant should be given an opportunity to address the deficiencies in the service she provided and on being asked at the hearing why he did not, his evidence was that he believed that she would not have changed, that she would have filibustered and that in any event there was no need to raise concerns with her about her performance because she was a self employed consultant and that there was no obligation on the respondent to give her an opportunity to improve."
(1) Paras. 12-13 set out various uncontentious matters of law.(2) The Tribunal follows the structure of the burden of proof provisions as expounded in Igen. At paras. 19-20 it decides that the Claimant had shown a prima facie case that her age had been at least part of the reason why she was dismissed. It gives its reasons for that conclusion at para. 19 as follows:
"The reasons that we considered that the burden of proof had been discharged by the claimant were that the claimant's work was very highly regarded as was evidenced by most of the witnesses at the tribunal; the fact that Mr Gilmour, who was responsible for the decision to terminate the contract, carried out that decision in a covert and underhand way (which inevitably led us to scrutinise more closely his reasons for taking that decision). There were also references made by Mr Gilmour to the claimant's age, particularly in the phone call of the 4 March 2010 during which Mr Gilmour had made references to the need for succession planning. Finally we were concerned about the fact that the respondent made no attempt to ask the claimant to address the deficiencies in her performance or to adapt to the changes that were required in the service provision and considered that this may have been based on a stereotypical assumption that, as an older person, she would be unable to change or adapt to the new approach that they required."(I should say that the reference to the burden of proof being "discharged" is not quite right. What the Tribunal meant, as the context makes clear, is that the burden had shifted.)(3) Accordingly the burden of proof shifted to Canada Life to show a non-discriminatory explanation for its decision. In the remaining paragraphs the Tribunal considers the explanation advanced by Canada Life – i.e. essentially, that it was dissatisfied with the Claimant's performance and did not believe that she was capable of change – and decides that that was indeed the only reason for her dismissal and that it was unrelated to her age. I need not summarise the generality of the Tribunal's reasoning on this aspect, still less set it out in full, since it is not challenged on this appeal (subject to the issue considered under head (A) below). But I should set out how it dealt with the final point identified in para. 19 – that is, the possibility that Canada Life made a stereotypical assumption that, as an older person, the Claimant would be unable to change. At paras. 29-30 it said:
"29. We were concerned about the fact that the respondent had not sought to engage with the claimant by informing her of the changes that they wished to make to the service and allowing her an opportunity to adapt to meet those requirements. The claimant contended that this indicated a stereotypical assumption that an older person would not be able to respond to new ideas, be modern or to change. Mr Gilmour was of the view that the claimant would not change in the manner required. It was his evidence that the claimant would not be able to attend the Bristol office because she was sole carer for her sister who was disabled. It was clear that the claimant did not have IT skills and there was no indication that she intended or wished to acquire them. The claimant would not accept recorded delivery mail and lacked flexibility in her methods of communication. It was clear from her evidence to the tribunal that the claimant believed that the manner in which she provided the services was appropriate and adequate and she indicated that she would challenge requests to do things differently if she did not agree with the reasons given for the request. The claimant had not given any indication that she was willing to find a way of addressing the respondent's expressed preference for more face to face meetings and attendance at the Bristol office, a preference which we were satisfied that the claimant was aware of, it was telling that the claimant had not seen fit to make any visits to the Bristol office in at least five years to meet staff in person with whom she had regular telephone contact.30. Mr Gilmour had known the claimant for many years and had worked with her. He knew of her personal circumstances and her devotion to the personal care of her disabled sister. We were satisfied that he genuinely believed from his knowledge of the claimant that she was unlikely to change to adapt to the new requirements of the respondent. Whilst a reluctance to embrace change may be a characteristic that is attributed to older people, and an assumption in any particular case that that characteristic must be present because of the individual's age would be discriminatory, we concluded that there was no such assumption in this case. Mr Gilmour's view of her capacity to change was based on his knowledge of the claimant and was, we concluded, a genuine view held by him."(4) The Tribunal's conclusion, at para. 32, reads:
"For these reasons we concluded that the reason that the respondent terminated the 2006 agreement was not in any sense related to the claimant's age. It was because of the respondent's genuine belief that the claimant was not providing the CMO service in the manner it required. It was not under an obligation to give the claimant an opportunity to change as she was a self-employed consultant and in any event it held a genuine view that the claimant would not meet the new requirements, a belief which itself was based on its own knowledge of the claimant and was not anything to do with her age."
"In view of our finding that there was nothing inherently discriminatory in the decision taken to terminate the claimant's contract, it was therefore necessary to consider Mr Gilmour's mental processes to assess whether the termination of the contract was on the grounds of the claimant's age or not."
THE EAT
"(1) The Employment Tribunal misdirected itself that it was necessary to consider only Mr Gilmour's mental processes. It is contended that the Tribunal erred by focussing solely on Mr Gilmour and disregarding the involvement of other individuals in the process leading to the termination of the Claimant's contract.
(2) Having decided that the burden of proof had shifted, the Tribunal erred by failing to take into consideration (a) the fact that Mr McMullan had not given oral evidence; and (b) the fact that Mr Newcombe had not been called to give evidence.
(3) The Tribunal erred in failing adequately to address whether the Respondent's alleged belief that the Claimant was incapable of changing the way in which she worked was itself an age-related belief."
However, Mr Pitt-Payne acknowledged that the second ground stood or fell with the first.
"39. The second submission that Mr Pitt-Payne makes is that, even if the sole decision-maker was Mr Gilmour, his decision was shaped and informed by others within the Respondent organisation. As a matter of fact, Mr Tatton-Brown accepts that but disputes its significance as a matter of law. He submits that, in such circumstances, the Employment Tribunal is entitled (indeed required) to focus on the mental processes of the decision-maker and no one else. It is this dispute of law which lies at the heart of the present appeal.
40. It is not difficult to think of many situations in the employment context in which this issue may arise. For example, the actual decision to terminate an employee's contract may be taken by a senior manager, indeed it may be that, within the structure of the relevant employer, only that manager has the power of dismissal. However, that person may have no personal knowledge of the employee and may have to rely entirely on reports which have been prepared by others, for example about an employee's performance or conduct. Mr Pitt-Payne submits that, if the mental processes of those who prepared such reports are based on discriminatory grounds, then in principle the Tribunal must examine those mental processes and cannot confine itself to those of the eventual decision-maker alone. Otherwise a real injustice might be done, where for example the authors of the underlying reports are acting for reasons which are discriminatory and their reports have a significant influence on the decision to dismiss.
41. It would appear that the precise point of law that arises has not been the subject of direct authority in the past. However, it seems to me that some assistance as to the correct approach in principle can be found in dicta in earlier cases."
"Decisions are frequently reached for more than one reason. Discrimination may be on racial grounds even though it is not the sole ground for the decision. A variety of phrases, with different shades of meaning, have been used to explain how the legislation applies in such cases: discrimination requires that racial grounds were a cause, the activating cause, a substantial and effective cause, a substantial reason, an important factor. No one phrase is obviously preferable to all others, although in the application of this legislation legalistic phrases, as well as subtle distinctions, are better avoided so far as possible. If racial grounds or protected acts had a significant influence on the outcome, discrimination is made out."
He observed, at para. 42:
"In my view, Mr Pitt-Payne's submissions are consistent with that passage and derive some support from it. If a prohibited ground (whether race, sex, age or another prohibited ground) had a significant influence on the outcome, it may be said that discrimination has been made out, even if the person who makes the actual decision has not acted for that reason if one examines only the mental processes of that person."
"As [Mr Pitt-Payne] submits, the present complaint was not brought against Mr Gilmour or any other individual: it was brought against the Respondent organisation. The Employment Tribunal concluded on the evidence before it that the Claimant had done enough to shift the burden of proof to the Respondent. It was then for the Respondent as an organisation to prove that the decision to terminate the Claimant's contract was 'in no sense whatsoever' on the ground of age. For the Tribunal properly to be able to assess whether the Respondent had discharged that burden of proof, it had to consider the mental processes of others whose views had a significant influence (to use Lord Nicholls' phrase) on the eventual decision to terminate. In the present case the Employment Tribunal found as a matter of fact that the views of others did play that part, in particular the presentation by Mr McMullan and Mr Newcombe on 2 February 2010. Yet it failed to examine the mental processes of those persons to see if they were based on the prohibited ground of age."
At para. 44 he tied that reasoning into regulation 25 by accepting Mr Pitt-Payne's submission that
"... the effect of Regulation 25 is that, where a relevant employee's acts are attributable to the Respondent by virtue of Regulation 25, it cannot be said to have discharged the burden of proof placed upon it in circumstances where the Tribunal has failed to address the mental processes of all the relevant employees but has focussed exclusively on the mental processes of just one (here Mr Gilmour)."
"In my judgment, the Claimant is not trying to raise a new point of law which should have been raised below but seeks to criticise the way in which the Tribunal went about its task: in particular, Mr Pitt-Payne submits that, once the Tribunal had found that the burden of proof had shifted to the Respondent, it was required to analyse correctly the way in which the Respondent could discharge that burden. He submits that, in seeking to carry out that analysis, the Tribunal misdirected itself in law and that error of law should be corrected by this appeal tribunal. I agree."
"In my judgment this third ground amounts to no more than a disagreement with the Employment Tribunal's findings of fact as to the mental processes of Mr Gilmour. The passages I have already quoted from the Tribunal's judgment, in particular at paras 27 and 29-30 [those references being to paras. 19 and 26-27 of the ET's Reasons] make it clear that the Tribunal was alive to the question of possible stereotyped assumptions lying at the root of Mr Gilmour's mental processes but rejected that suggestion on the facts of this particular case."
"Both parties have reminded me of the decision of this appeal tribunal in Sinclair Roche & Temperley v Heard [2004] IRLR 763. I have taken careful account of the various factors that, in accordance with that judgment, are relevant in deciding whether a case should be remitted to the same tribunal or a differently constituted one and have also taken careful account of the parties' submissions. After weighing up those various factors, I am persuaded by Mr Pitt-Payne that the case should be remitted to a differently constituted tribunal. This is particularly so for the following reasons. First, in my view, the Tribunal fell into fundamental error, as it failed to ask itself the right legal question in this case. Secondly, there is a risk that the Tribunal (however subconsciously) would be tempted to reach the same decision as before. As Mr Pitt-Payne submits, there is a real risk of apparent bias (although he makes no suggestion of actual bias). Thirdly, the lapse of time since the last hearing means that the same Tribunal would not have a particular advantage over a differently constituted one by having a clear recollection of the evidence."
THE APPEAL
(1) Canada Life contends that the ET was right in law to focus exclusively on the mental processes of Mr Gilmour since he was the sole decision-taker; and that the EAT was accordingly wrong in law to reverse its decision on this ground.(2) Even if the mental processes of Mr McMullan and Mr Newcombe were in principle relevant, the Claimant had not in fact advanced any claim in the ET on that basis, and she was accordingly not entitled to complain in the EAT about the ET's failure to consider it.
(3) Even if the mental processes of Mr McMullan and Mr Newcombe were in principle relevant, and the point was open to the Claimant, no prima facie case under the burden of proof provisions had been established in their regard: the case found by the ET had related specifically and only to Mr Gilmour, and no such finding had been made in relation to the Bristol presentation.
(4) If the case was to be remitted it should have been to the same tribunal.
(A) THE ET'S FOCUS ON MR GILMOUR
(a) E would be liable for X's act of dismissing C because X did the act in the course of his employment and – assuming we are applying the composite approach – that act was influenced by Y's discriminatorily-motivated report.(b) X would be an employee for whose discriminatory act E was liable under regulation 25 and would accordingly be deemed by regulation 26 (2) to have aided the doing of that act and would be personally liable.
It would be quite unjust for X to be liable to C where he personally was innocent of any discriminatory motivation.
"When these provisions are put together, the effect is that on a complaint against an employer under section 4(1)(a) it matters not that different employees were involved at different stages, one employee acting in a racially discriminatory or victimising fashion and the other not. The acts of both are treated as done by the respondent employer. So if the employee who operated the employer's interviewing arrangements did so in a discriminatory manner, either racially or by way of victimisation, section 4(1)(a) is satisfied even though the employee who set up the arrangements acted in a wholly non-discriminatory fashion. The effect of treating the acts of the discriminatory employee as the acts of the employer is that the employer unlawfully discriminated in the arrangements he made for the purpose of determining who should be offered employment by him. Hence in the Brennan case [Brennan v J.H. Dewhurst Ltd. [1984] ICR 52] the employer unlawfully discriminated against women by reason of the discriminatory way the branch manager Mr. French conducted interviews as part of the arrangements made without any discriminatory intent by the district manager Mr. Billing."
That is not on all fours with the present case, because the language of the relevant provision is different. But it is nevertheless noteworthy that Lord Nicholls held the employer liable on the basis of its responsibility for the acts of the specific individuals who had a discriminatory motivation rather than by creating some notional composite responsibility.
(1) By making an adverse report about C, Y subjects her to a detriment within the meaning of regulation 7 (2) (d).(2) If in making the report Y was motivated by C's age his act constitutes discrimination within the meaning of regulation 3 (1) (a).
(3) If that discriminatory act was done in the course of Y's employment, as in practice it would be, then by virtue of regulation 25 (1) it would be treated as E's act; and accordingly E would be liable (unless he could rely on the "reasonable steps" defence).
(4) Y would also be liable for his own act by virtue of regulation 26 (1) and (2).
(5) The losses caused to C by her dismissal could be claimed for as part of the compensation for Y's discriminatory act, since they would have been caused or contributed to by that act and would not (at least normally) be too remote.
(1) Usually a claim of direct discrimination will stand or fall on the motivation of the person doing the act which immediately impacts on the claimant[4]. Tainted information cases, while they no doubt occur, are less typical.(2) Even in cases where the motivation of people involved in the earlier history is potentially relevant to the claim it will by no means always be the case that the claimant is unaware of that history. Where, for example, she has been dismissed following a disciplinary process, she will typically be well aware of the information or views on the basis of which the decision-maker acted. She will in such a case be in a position from the start to decide whether her case is that X or Y, or both, had a discriminatory motivation – or whether she is not sure and wishes to cover all alternatives – and to plead her case accordingly. It is not unknown to see cases pleaded along the lines of "my manager was misled into dismissing me by racist colleagues who gave false evidence against me".
(3) Even in cases where a claimant is genuinely not in a position to know the relevant history, it should only be rarely that she is (reasonably) in the dark about the involvement of the true discriminators until so late in the day as to cause real case management problems. In principle, if E's case is "X had no discriminatory motivation: he relied on Y's report, which he had no reason to believe had anything to do with C's age", that should be apparent from the response to the claim form; and C will then be able, if she chooses, to make it clear that she challenges Y's motivation as well as, or instead of, X's. Issues of this kind should emerge in any well-conducted preliminary hearing, if not before.
(4) I accept that, even so, there will occasionally be cases where C justifiably only appreciates at a late stage – perhaps as a result of disclosure or exchange of witness statements or even in the course of the hearing itself – that the true discriminator may have been not X but Y. In such a case the tribunal may indeed be faced with difficult case management decisions, including whether an adjournment is necessary. But this is not a consequence of adopting the separate acts approach: on the contrary, such a situation is equally liable to arise whichever approach is followed. The difference between the two approaches is ultimately formal rather than substantial, since even on the composite approach C has to prove Y's discriminatory motivation as part of her challenge to X's act; accordingly just the same problems of evidence and case management will arise if she only becomes aware of the need to do so at the last minute. The only potential significance of the formal difference is that on the separate acts approach a late challenge to Y's act would be out of time, whereas on the composite approach it would not be (since the "act complained of" would still be X's act). But the employment tribunal's powers to extend time are ample to enable it to do justice in a case where C has a good excuse for the belated late discovery of the proper target of her claim.[5]
"There was some discussion before us of whether that approach was applicable in all cases or whether there might not be circumstances where the actual decision-maker acts for an admissible reason but the decision is unfair because (to use Cairns LJ's language) the facts known to him or beliefs held by him have been manipulated by some other person involved in the disciplinary process who has an inadmissible motivation – for short, an Iago situation. [Counsel for the employer] accepted that in such a case the motivation of the manipulator could in principle be attributed to the employer, at least where he was a manager with some responsibility for the investigation; and for my part I think that must be correct."
However, it was agreed before us that the difference in the statutory provisions as between the discrimination legislation and the unfair dismissal legislation meant that it was unsafe to read across from one type of case to the other.
(1) The pleading in the claim form was short and in fairly general terms, though it identified the act complained of as the Claimant's dismissal and implicitly identified Mr Gilmour as the decision-maker. Nothing was said about the involvement of anyone else. That is not a criticism. No doubt it reflected the state of the Claimant's information at that stage: it should be recalled that she had initially been given a misleading explanation of why the agreement was being terminated.(2) Canada Life's response was not as explicit as it should have been in explaining the process by which the decision to terminate the agreement was reached. It said only (para. 7) that "in February/March 2010 the Respondent undertook the review of its Chief Medical Officer resource", which led to a decision no longer to have a single lead CMO. It did not say who conducted that review, though the implication is that the decision was Mr Gilmour's; nor did it refer to the Bristol presentation. I would have expected the Claimant's advisers to have sought further information and/or documents, but we were not told whether that occurred, and I will assume in her favour that it was reasonable that she remained in the dark about the Bristol presentation and thus the role of Mr McMullan and Mr Newcombe.
(3) We were not told about when disclosure took place, but apparently witness statements were exchanged about a fortnight before the hearing, and it is clear that by that stage the parties had the relevant documents, including the text of the Bristol presentation.
(4) The exchange of witness statements was surprisingly late, but we were not told the reasons. We have seen both Mr Gilmour's and Mr McMullan's witness statements, which between them make clear the role of the Bristol presentation in triggering the process that led to the termination of the Claimant's contract. At that stage, if not before, it will have been clear that Mr Gilmour had been influenced by Mr McMullan's input. It would have been open to the Claimant from that point onwards, if not sooner, to allege that that input was tainted by age discrimination.
(5) The parties submitted written closing submissions to the Tribunal. It is clear from the terms of the Claimant's submissions, as indeed it is from the Tribunal's Reasons, that her case was put squarely on the basis that Mr Gilmour had been motivated in his decision by the Claimant's age, and that he had been vigorously cross-examined on that basis. Several pages are devoted to identifying the basis on which the Tribunal was invited to draw that inference. No such allegation was made about Mr McMullan or Mr Newcombe: there was a one-sentence submission that the Tribunal should place no weight on "Mr McMullan's evidence", since no evidence had been given by Mr Newcombe (see para. 17 above), but that cannot amount to a case that his input into Mr Gilmour's decision was discriminatorily motivated.
(B) INABILITY TO CHANGE
(C) GROUNDS (3) AND (4)
DISPOSAL
Lord Justice Jackson:
Lord Justice Longmore:
Note 1 Mr Pitt-Payne’s skeleton argument contains a statement in emphatic terms that the Claimant “does not accept that she was her sister’s carer” or that there was any reason for anyone at Canada Life to believe that she was – “Dr. Reynolds was not responsible for her sister’s personal care, and nor was anyone else”. In submissions following the circulation of this judgment in draft he has conveyed the Claimant’s concern that what she says is an inaccurate statement should be put into the public domain. But the ET made a clear finding to the effect that I have stated (see para. 9.8 of the Reasons), and that finding is material to the issues before us. It is not possible on this appeal to go behind it unless it could be said that there was no evidence on the basis of which the Tribunal could made the finding that it did; and Mr Pitt-Payne did not seek in his oral submissions to demonstrate that that was the case. I am happy, however, to put the Claimant’s position about this on the record. [Back] Note 2 This is different from the position under the Employment Rights Act 1996, and more particularly under Part IVA, which contains the provisions relating to discrimination against whistleblowers. This was pointed out, and was indeed crucial to the decision on one of the issues, in Fecitt v NHS Manchester [2011] EWCA Civ 1190, [2012] ICR 372: see esp. per Elias LJ, at para. 33 (p. 381). Mr Tatton-Brown sought to place some reliance on Fecitt but for that reason it is of no assistance.
[Back] Note 3 I should record that the spectre of “near-endless regression” of this kind was in fact raised initially in Mr Tatton-Brown’s skeleton argument, in connection with what were said to be the implications of Singh J’s reasoning. But it was invoked by Mr Pitt-Payne in oral submissions for this rather different purpose.
[Back] Note 4 I am of course only referring here to cases of the second kind identified at para. 11 above. [Back] Note 5 Y’s act might also require to be formally pleaded –Chapman v Simon [1994] IRLR 124 – but, again, the Tribunal has ample powers to permit amendment where justice requires. [Back]