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England and Wales High Court (Queen's Bench Division) Decisions |
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You are here: BAILII >> Databases >> England and Wales High Court (Queen's Bench Division) Decisions >> London Underground Ltd v The Associated Society of Locomotive Engineers and Firemen [2011] EWHC 7 (QB) (10 January 2011) URL: http://www.bailii.org/ew/cases/EWHC/QB/2011/7.html Cite as: [2011] EWHC 7 (QB) |
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QUEEN'S BENCH DIVISION
Strand, London, WC2A 2LL |
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B e f o r e :
____________________
LONDON UNDERGROUND LIMITED |
Claimant |
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- and - |
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THE ASSOCIATED SOCIETY OF LOCOMOTIVE ENGINEERS AND FIREMEN |
Defendant |
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Mr Oliver Segal (instructed by Thompsons) for the Defendant
Hearing dates: 23RD DECEMBER 2010
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Crown Copyright ©
Mr Justice Holroyde :
"Where –
(a) an application for an interlocutory injunction is made to a court pending the trial of an action, and
(b) the party against whom it is sought claims that he acted in contemplation or furtherance of a trade dispute,
the court shall, in exercising its discretion whether or not to grant the injunction, have regard to the likelihood of that party's succeeding at the trial of the action in establishing any matter which would afford a defence to the action under section 219 …"
"(1) An act done by a person in contemplation or furtherance of a trade dispute is not actionable in tort on the ground only—
(a) that it induces another person to break a contract or interferes or induces another person to interfere with its performance, or
(b) …
(2) An agreement or combination by two or more persons to do or procure the doing of an act in contemplation or furtherance of a trade dispute is not actionable in tort if the act is one which if done without any such agreement or combination would not be actionable in tort.
…
(4) Subsections (1) and (2) have effect subject to sections 222 to 225 (action excluded from protection) and to sections 226 (requirement of ballot before action by trade union) and 234A (requirement of notice to employer of industrial action); and in those sections "not protected" means excluded from the protection afforded by this section or, where the expression is used with reference to a particular person, excluded from that protection as respects that person."
"(1) The trade union must take such steps as are reasonably necessary to ensure that—
(a) not later than the seventh day before the opening day of the ballot, the notice specified in subsection (2), and(b) not later than the third day before the opening day of the ballot, the sample voting paper specified in subsection (2F),is received by every person who it is reasonable for the union to believe (at the latest time when steps could be taken to comply with paragraph (a)) will be the employer of persons who will be entitled to vote in the ballot.
(2) The notice referred to in paragraph (a) of subsection (1) is a notice in writing—
(a) stating that the union intends to hold the ballot,(b) specifying the date which the union reasonably believes will be the opening day of the ballot, and(c) containing–(i) the lists mentioned in subsection (2A) and the figures mentioned in subsection (2B), together with an explanation of how those figures were arrived at, or(ii) where some or all of the employees concerned are employees from whose wages the employer makes deductions representing payments to the union, either those lists and figures and that explanation or the information mentioned in subsection (2C).
(2A) The lists are–
(a) a list of the categories of employee to which the employees concerned belong, and(b) a list of the workplaces at which the employees concerned work.
(2B) The figures are–
(a) the total number of employees concerned,(b) the number of the employees concerned in each of the categories in the list mentioned in subsection (2A)(a), and(c) the number of the employees concerned who work at each workplace in the list mentioned in subsection (2A)(b).
(2C) The information referred to in subsection (2)(c)(ii) is such information as will enable the employer readily to deduce–
(a) the total number of employees concerned,(b) the categories of employee to which the employees concerned belong and the number of the employees concerned in each of those categories, and(c) the workplaces at which the employees concerned work and the number of them who work at each of those workplaces.
(2D) The lists and figures supplied under this section, or the information mentioned in subsection (2C) that is so supplied, must be as accurate as is reasonably practicable in the light of the information in the possession of the union at the time when it complies with subsection (1)(a).
(2E) For the purposes of subsection (2D) information is in the possession of the union if it is held, for union purposes–
(a) in a document, whether in electronic form or any other form, and(b) in the possession or under the control of an officer or employee of the union.
(2F) The sample voting paper referred to in paragraph (b) of subsection (1) is–
(a) a sample of the form of voting paper which is to be sent to the employees concerned, or(b) where the employees concerned are not all to be sent the same form of voting paper, a sample of each form of voting paper which is to be sent to any of them.
(2G) Nothing in this section requires a union to supply an employer with the names of the employees concerned.
(2H) In this section references to the "employees concerned" are references to those employees of the employer in question who the union reasonably believes will be entitled to vote in the ballot.
(2I) For the purposes of this section, the workplace at which an employee works is–
(a) in relation to an employee who works at or from a single set of premises, those premises, and(b) in relation to any other employee, the premises with which his employment has the closest connection …"
"(1) An act done by a trade union to induce a person to take part, or continue to take part, in industrial action is not protected as respects his employer unless the union has taken or takes such steps as are reasonably necessary to ensure that the employer receives within the appropriate period a relevant notice covering the act.
(2) Subsection (1) imposes a requirement in the case of an employer only if it is reasonable for the union to believe, at the latest time when steps could be taken to ensure that he receives such a notice, that he is the employer of persons who will be or have been induced to take part, or continue to take part, in the industrial action.
(3) For the purposes of this section a relevant notice is a notice in writing which—
(a) contains–(i) the lists mentioned in subsection (3A) and the figures mentioned in subsection (3B), together with an explanation of how those figures were arrived at, or(ii) where some or all of the affected employees are employees from whose wages the employer makes deductions representing payments to the union, either those lists and figures and that explanation or the information mentioned in subsection (3C), and(b) states whether industrial action is intended to be continuous or discontinuous and specifies—(i) where it is to be continuous, the intended date for any of the affected employees to begin to take part in the action,(ii) where it is to be discontinuous, the intended dates for any of the affected employees to take part in the action.
(3A) The lists referred to in subsection (3)(a) are–
(a) a list of the categories of employee to which the affected employees belong, and(b) a list of the workplaces at which the affected employees work.
(3B) The figures referred to in subsection (3)(a) are–
(a) the total number of the affected employees,(b) the number of the affected employees in each of the categories in the list mentioned in subsection (3A)(a), and(c) the number of the affected employees who work at each workplace in the list mentioned in subsection (3A)(b).
(3C) The information referred to in subsection (3)(a)(ii) is such information as will enable the employer readily to deduce–
(a) the total number of the affected employees,(b) the categories of employee to which the affected employees belong and the number of the affected employees in each of those categories, and(c) the workplaces at which the affected employees work and the number of them who work at each of those workplaces.
(3D) The lists and figures supplied under this section, or the information mentioned in subsection (3C) that is so supplied, must be as accurate as is reasonably practicable in the light of the information in the possession of the union at the time when it complies with subsection (1).
(3E) For the purposes of subsection (3D) information is in the possession of the union if it is held, for union purposes–
(a) in a document, whether in electronic form or any other form, and(b) in the possession or under the control of an officer or employee of the union.
(3F) Nothing in this section requires a union to supply an employer with the names of the affected employees.
(4) For the purposes of subsection (1) the appropriate period is the period—
(a) beginning with the day when the union satisfies the requirement of section 231A in relation to the ballot in respect of the industrial action, and(b) ending with the seventh day before the day, or before the first of the days, specified in the relevant notice.
…
(5C) In this section references to the "affected employees" are references to those employees of the employer who the union reasonably believes will be induced by the union, or have been so induced, to take part or continue to take part in the industrial action.
(5D) For the purposes of this section, the workplace at which an employee works is–
(a) in relation to an employee who works at or from a single set of premises, those premises, and(b) in relation to any other employee, the premises with which his employment has the closest connection … "
"Members to be balloted:
(a) All train operators and instructor operator members of ASLEF employed by you and paying their membership subscription by check off at Acton …[there followed a list of the underground stations concerned]
(b) Members of ASLEF as detailed in the attached list which sets out
(i) The categories to which the employees concerned belong; and
(ii) The workplaces at which the employees concerned work.
The lists and figures accompanying this notice were arrived at by retrieving information from the union's membership database as to the categories and workplaces of members, and the numbers in and at each, the database having been audited and updated for the purpose of the statutory notification and balloting requirements to ensure accuracy. The lists and figures supplied are as accurate as is reasonably practicable in the light of the information in the possession of the union at the date this notice is given."
"The statement made by ASLEF tells London Underground nothing whatever about how the database has been compiled or maintained, how it was updated, or how the non-check off figures were derived from it."
"3. With regard to the Metrobus postal ballot, approximately a month before the ballot commenced it was necessary for me to check membership details, so that members to be balloted could be identified. During this period numerous telephone calls were made between branches so that any queries with regard to the membership list could be dealt with. The membership list confirmed that 776 members paid by check-off and 69 members paid by other means.
4. Once the administration referred to in paragraph 3 above had been finalised, the postal ballot was held and it was successful "
"One question which arises is what is the point of the explanation, and what is achieved for the employer by providing it. It could, no doubt, be provided in fairly anodyne terms, referring to having started with the membership records kept at whatever is the relevant level in the union, and having arranged for the data to be checked locally for any recent changes. [Counsel for Metrobus] made two points on this. First, in general terms, he said that the requirement to provide an explanation is a discipline for the union, so as to ensure that it has gone through the necessary processes. Secondly, as regards the particular facts of this case, he relied on the passages from Sandra Evans's evidence, to which I have referred at para 69 above, as indicating the steps in fact taken, which he submitted should have been described or summarised. More generally, the point of the information which has to be given to the employer is to enable it both to respond substantively to the proposed ballot and to an eventual strike call, if it wishes to do so, and to make preparations for the contingency of a number of its employees taking industrial action if there is a strike call. For the latter purpose, in particular, it needs to know as best it can what numbers of workers are likely to be affected, in what categories of employee and at which workplaces. For check-off employees it will have the necessary information but for others it will not, and it may be relevant for it to have some idea of how reliable the union's records are, so that it can allow for contingencies and variables in its preparations."
"…it seems to me that, in principle, it is not unreasonable for a trade union, when supplying information derived from its own sources, to be obliged to say something about how the information supplied has been arrived at. The contrast with check-off employees, for whom the employer can refer to its own payroll records, is clear and legitimate. Paragraph 16 of the 2005 Code of Practice , quoted at para 91 above, illustrates the fact that there may well be a need for some explanation in order that an employer should be able to understand something about the degree of reliability of the data supplied. It also gives advice as to what should be provided by way of an explanation.
111 It is relevant in this context that the Employment Relations Act 2004 amendments included provisions, at section 226A(2D) and (2E) , and correspondingly in section 234A , which limit the obligation imposed on a union in this respect, by a reasonable practicability criterion and by defining restrictively the information which is deemed for this purpose to be in the possession of the union. The latter, in particular, bears on the obligation to provide an explanation, because it limits the process which has to be undertaken, and therefore has to be explained, to the information so defined, and makes it what might be called a reasonable endeavours process.
112 Assessing the requirement imposed by sections 226A and 234A in this light, and with regard to the particular problem identified in this case, it does not seem to me that the obligation to provide an explanation of the figures, understood as I have explained it, can be said to be unreasonable, excessively onerous or disproportionate. It is not difficult to comply with. In the present case the process described by Sandra Evans in her witness statement is what should have been explained. There are legitimate reasons for requiring an explanation. On the one hand, the employer cannot rely on its own information for non-check-off employees, and can reasonably expect some description of the process undertaken by the trade union to get at the figures, especially given the sort of problems that may exist with union membership records that are alluded to in the 2005 Code of Practice . On the other hand, it is reasonable to require the trade union to explain itself, in order to reinforce the obligation to undertake the process properly in the first place."
"I do not consider, as Mr. Béar has suggested, that the word 'audit' necessarily connotes that a process has been undertaken independently of the RMT. But nonetheless there is no suggestion in the evidence before me that the information in the Ballot Notice, or the Strike Notice for that matter, was in fact subjected to a separate and systematic scrutiny or, indeed, that this occurred even in relation to a sample by way of a spot check. The words used matter, as Lloyd LJ explained in Metrobus , because a union's obligation to explain itself serves a purpose — that is, to reinforce the obligation to undertake the process properly in the first place.
60. In my judgment, the information that was provided by way of explanation is such that Network Rail has a clear case (in addition to the other matters to which I have referred) on this discrete ground that the RMT is unlikely to succeed at trial in bringing itself within this statutory defence. What is an appropriate explanation obviously depends on the context. But I do not regard the information that was provided in the case as a proper explanation for the process that has been undertaken; and it seems to me there is considerable substance in Mr. Béar's submission that the information provided by the RMT and the process it described was a conclusion rather than an explanation."
i) Although the explanation given in the notices identified that the figures came from a database, it did not say anything about how and when that database had been complied or updated or audited.ii) The reference to auditing was in any event incorrect, because that term connotes some sort of scrutiny or double-checking which had not in fact taken place.
iii) Further, if in reality the process was nothing more than the keeping of membership records, then is was misleading to speak of the figures being audited and updated "for the purpose of statutory notification and balloting requirements to ensure accuracy".
iv) For those reasons, the notices contained neither "an explanation" nor a true explanation. If the court were to accept such a bland formula as sufficient, it would defeat the important statutory purpose of providing a necessary discipline to ensure that unions comply with their obligations.
v) The very fact that an identical, or almost-identical, "explanation" had been given by RMT in the Network Rail case, and by ASLEF in the London Midland case and the present case, provided a clear indication that it was no more than a bland formula, and represented an impermissible "one size fits all" approach to the discharge of statutory obligations.
vi) In the present case, the "explanation" did not enable LUL to scrutinise the accuracy and reliability of the process by which ASLEF had arrived at the figures given in the notices. The basis of the process was nothing more than the membership records. It was not possible for LUL to ascertain what had been done, when it had been done, who had done it and what the results had been.
"22. We have a branch structure for meetings and democratic matters like elected delegates to our conference. The branch structure is location based. Due to the line based nature of LUL, members are also assigned to lines.
23. The vast majority of ASLEF members in District 8 work for LUL. Our Branches are nearly all one employer, ie LUL branches. This is very different from the situation in Mick Whelan's district, where there are multi-employer branches … This means that there are rare opportunities for members to be assigned on our membership database or records to the wrong employer.
24. Another important relevant difference between District 8 and other Districts in ASLEF is that historically there has been a two-union presence with RMT also having membership among train operators. Mr Collins says at para 7 of his statement that ASLEF has approximately 55-60% of drivers and I have no reason to challenge his figures.
25. At one time ASLEF's membership was less than this. What this competition means is that our representatives are acutely aware of maintaining regular checks on membership and are assiduous in checking the returns from head office and also undertaking spot checks to ensure that members are properly assigned to branch and line.
26. It is also important that we properly assign members to lines, as sometimes we have trade disputes which affect only one line. In the past we have had disputes on the Piccadilly and Northern lines, although these have not occurred this year. Obviously the possibility means that we need to spot check our records regularly."
"Jane Pimlott in our industrial relations department is the contact for LUL and she is the person (rather than Tim Finch who performed a similar role in the London Midland case) who is responsible for taking the steps to ensure that our database is reviewed and then updated, for the purposes of this ballot."
i) On the evidence, diligent efforts had been made to ensure that ASLEF's database was accurate and up to date.ii) The explanation given in the ballot and strike notices was in fact accurate: ASLEF had provided LUL with information from its database; that database had been regularly and recently updated and checked in a manner which could fairly be described as an audit; and the main purpose of that auditing and updating had been to ensure compliance with the statutory notification requirements.
iii) LUL had not identified any respect in which the lists and figures were in fact inaccurate or incomplete. This case, accordingly, could be contrasted with each of the three cases to which reference has been made above: in the Metrobus case the relevant notices had provided no explanation at all; and in each of the two more recent cases the judge had found that on the facts the explanation was inaccurate and/or incomplete. There was nothing in this case to suggest that the explanation was "not a proper explanation" of the process which had in fact been undertaken.
iv) Although LUL sought support from the two recent decisions, the court had not found in either of those cases that an explanation in these terms was insufficient per se: in each case the finding was that the explanation was inaccurate on the facts, and therefore did not satisfy the statutory requirement. This was the first case in which a judge was being invited to find that the wording of the explanation was insufficient even if it were factually correct.
i) The ballot notice and strike notice undoubtedly could have given more information than they did about how the figures had been arrived at. That, however, was not the question. The question was, whether ASLEF would be likely to succeed at trial in establishing that the explanation given was sufficient to satisfy the statutory requirement.ii) The only direct evidence as to the process in fact adopted by ASLEF (as opposed to the process which LUL wrongly assumed had been adopted) showed that the explanation given in the notices was accurate in the circumstances of this case, and that there had in fact been a ballot-specific process of auditing and updating. In those circumstances, the fact that the explanation showed the process to have started with ASLEF's membership database did not provide a reason for regarding the explanation as insufficient.
iii) The fact that the explanation had not been shown to be inaccurate was not in itself determinative: a very bald explanation ("we checked") might well be accurate as far as it went, but nonetheless plainly insufficient to satisfy the statutory requirement. It was, however, a significant factor in ASLEF's favour.
iv) The purpose of the statutory requirement, as explained by Lloyd LJ in paragraph 93 of his judgment in the Metrobus case, shows that it is in the interests of an employer for the statutory requirement to be satisfied. That being so, the fact that LUL had neither complained when the notices were received that the explanation was unsatisfactory, nor subsequently shown any inaccuracy in the explanation, supported ASLEF's submission that the explanation was indeed sufficient to satisfy the statutory requirement in this case.
v) The fact that identical or near-identical wording had been found to be insufficient on different facts in other cases was not of itself a reason for regarding the explanation as insufficient in the circumstances of this case. I did not accept Mr Stafford's submission (para 34(v) above) to the effect that the giving of the same explanation in different circumstances was an indication that the explanation was too bland to be regarded as sufficient in any case. In my judgment, it was no more than an indication that the union concerned had been wrong to put forward that explanation in the circumstances of those other cases.
vi) As I have indicated in para 24 above, Lloyd LJ in the Metrobus case said at para 112 of his judgment that "the process described by Sandra Evans in her witness statement is what should have been explained". On a comparison of the explanation given in this case with the totality of the information provided by the evidence of Sandra Evans in that case, it seemed to me that the only potentially significant difference was that Sandra Evans mentioned that "numerous phone calls were made" during the period of "approximately one month before the ballot commenced". Notwithstanding Mr Stafford's forceful submissions, I concluded that that difference was not in the end so significant as to render the explanation insufficient in this case. It was not suggested that LUL would have been materially assisted by knowing whether the relevant checks involved telephone calls, face to face conversations or written communications. Given that the explanation in this case accurately referred to auditing and updating for the purpose of the statutory notification and balloting requirements, it clearly conveyed that the auditing and updating were recent. Moreover, the changes in the figures between the date of the ballot notice, and the date of the strike notice, also indicated very recent auditing and updating.
vii) More generally, it did not seem to me that Mr Stafford's submissions had identified any respect in which LUL would have wanted to make their own investigations but had been unable to do so because of the insufficiency of the explanation given in the notices. Nor had he identified any other action which LUL would have wanted to take but were unable to take because they had not been provided with a sufficient explanation. In my view, that was a feature of the case which gravely undermined his complaint that LUL had not been given a sufficient explanation of how the figures had been arrived at. If LUL had wished to make any further investigations or take any further action, it seemed to me that in the circumstances of this case they could reasonably have been expected to ask ASLEF immediately for the necessary further explanation.
viii) Adding to that last point the fact that LUL had made no complaint about the explanation in either notice until after Ramsey J had given his judgment in the London Midland case, it seemed to me that the inference to be drawn was that LUL had initially accepted the explanation as sufficient (notwithstanding the grave consequences of the proposed strike), and would have continued to do so but for a reappraisal of their position in the light of Ramsey J's judgment. If that reappraisal had given rise to a compelling point, the lateness of its emergence would not have been a necessary bar to the point succeeding; but the point which was taken proved to have been based on a mistaken assumption as to the facts.
ix) It was unfortunate that Ms Pimlott had not provided a statement setting out precisely what she did. However, I accepted Mr Segal's submission to the effect that it would be wrong to decide the case against ASLEF for that reason, given that so little time had been available to them in which to prepare, and given that the evidence of Mr Grant was able to cover a substantial proportion of the matters about which Ms Pimlott might have been asked to give evidence.
x) Although the nature of the hearing did not permit detailed submissions on this point, I was not persuaded that "auditing" was an inaccurate or misleading word to use in the circumstances of this case. The Oxford English Dictionary defines the verb "audit" as meaning "to make an official systematic examination of (accounts) so as to ascertain their accuracy". I respectfully agree with Sharp J's view (see para 27 above) that a union which refers to an audit does not necessarily imply thereby that some cross-checking has been carried out by a person or body independent of the union. It was my judgment that the use of the phrase "auditing and updating" was a fair description (though not the best description) of the process described in Mr Grant's evidence.