This post is an abridged and
modified version of a paper, which I submitted for my masters program. In the
previous post I set out the four cardinal principals to be considered in
determining whether or not a worker has been unfairly dismissed. One of the necessary
qualifications is that the person must be an employee. This paper examines the
concept of an employee as well as the concept of a statutory worker in relation
to atypical work patterns in the United Kingdom. I must also apologise for some of the formatting but I could not seem to resolve this on the blog
Traditionally the employment relationship has
consisted of full time employment with a single employer of an indefinite
duration. However as identified in the literature, this pattern of work has
changed over the past few decades. There has been a move towards non-standard
patterns of work, which has been described as a move towards, ‘essentially
temporary, casual or part-time workers’.[1]
There has also been an increase in the use of agency workers[2] and in
‘quasi-entrepreneurial[3]’ modes of work. That is to
say the workforce has become more flexible[4].
There has been an attempt respond to these
shifting patterns by widening the scope of application of existing employment
legislation as well as introducing other statutory instruments.[5] This paper critically
examines the idea of whether or these legislative interventions provide
adequate protection to these atypical workers[6].
Access to rights conferred by protective
employment legislation is extended to two categories of workers, namely
employees and statutory workers. The statutory definitions of employees and
workers are uniform[7]. I will now examine these
definitions and therefore the scope of the protection as it applies to atypical
workers.
It is an important feature of protective
employment legislation that the definition of who constitutes an employee in
employment legislation is not self-contained in the legislative instrument. An
employee is defined as ‘someone who works under a contract of employment[8]’. A contract of employment
is not defined in the legislation and in this way is reliant on the common law
definition of or tests for an employment.
The common law test for employment has developed over time and
has included many different approaches.[9] The modern approach has been to apply a
multiple test in which a number of factors are considered in order to establish
whether someone is an employee or not. The leading case in this regard is Ready Mixed Concrete decision[10] (RMC).
Here the Court of Appeal held that there is a contract of employment contract where:
- The service provider is contractually bound to provide personal service in return for remuneration;
- The service provider agrees that he will be subject to the other parties control to a sufficient degree and;
- Other provisions of the contract are consistent with it being an employment contract.
Following on from the
formulation in RMC, the courts have added a number of other necessary if not
sufficient conditions of employment[11].
One of these requirements is the so-called ‘mutuality of obligations’. This
requirement is normally understood as meaning that there must be a minimum obligation on the part of the employer to provide
work and a minimum obligation on the employee to undertake that work.[12] The requirement of a
mutuality of obligations is a necessary condition of employment.[13]
The requirement of
mutuality of obligations has presented a major obstacle for intermittent
workers[14]in obtaining employment
protection. The courts have used this requirement on many occasions to deny
such workers employment status.[15] The problem that mutuality
of obligations requirement presents for intermittent workers is that there is
normally no on-going obligation to provide work to the work provider and or on-going
obligation to accept work. In such circumstances, the courts have held that
there is an insufficient mutuality of obligations[16].
The requirement of
mutuality of obligations has also proved to be an obstacle for agency workers
in obtaining employment status. The problem can be characterized as follows.
Typically the worker has a loose arrangement with the agency in that the agency
only undertakes to seek work for the worker. The agency is only the recruiting
agent. In such situations, it is often found that there is a lack of mutuality
or control between the agency and the worker because there is no obligation to
provide on-going work.[17] It has also been found that
because the end user or client does not have any contract with the worker and
has no obligation to provide work to and or pay the worker, there is a lack of
sufficient mutuality between these parties and as such, no employment
relationship[18]. As such, agency workers
often find themselves unable to claim rights granted to employees. This is
anomalous because a long term agency worker i.e. an worker that is supplied on
a long term basis to a client is but for the fact that they were supplied by an
agency, indistinguishable from an employee of the client as is just as dependent
and vulnerable as that employee.
The intermittent or flexible service provider
faces further difficulties as a result of the way the statutory interventions
are structured and which result in limited access to statutory protections.
Firstly there is the problem of continuity of
employment. Due to the very nature of intermittent, casual or temporary work,
there are breaks in service. This presents problems because in order to gain
access to certain rights, there are varying qualifying periods of continuous
work or employment that must be met [19].
It has been accepted that continuity generally applies in respect of a single
employer [20]. This means that the genuine
casual or agency temporary worker who moves from employer to employer may not
ever obtain protection from arbitrary dismissal or redundancy[21].
It has also been held that continuity applies
in respect of a single contract of employment,[22]
which exacerbates the problem for most intermittent and temporary agency
workers because as it is noted, continuity may be broken by regular but
separate contracts [23].
The provisions of the Employment Rights Act,
which attempt to deal with the issue of continuity, [24]are
of limited value to the intermittent worker[25].
S 212 deems certain weeks to count in respect
of the calculation of continuity of employment even though the worker may not
be working. The provision, which is of primary importance, is the temporary
cessation of work provision[26].
As pointed out by Davies[27],
this provision does not apply if an employer replaces a casual worker with
another where the work is on going. It has been held that this does not
constitute a cessation of work as contemplated by S 212(3) of the ERA[28].
The remaining provisions of S 212 do not cater for the nature of the
intermittent breaks in work that are part of the normal casual or intermittent
worker work pattern.
S 218 of the ERA deals with exceptions to the
general principle that the cessation of work with one employer brings
continuity to an end. However once again these exceptions do not in the main
assist intermittent worker because one would imagine that in most cases where
causal employees move from one employer to another, these employers are not
associated employers.
The continuity of work qualifications is also
contained in the Agency Workers Regulations.[29]
The regulations provide agency workers with some protection in that it they are
designed to ensure similarity of terms and conditions of employment between
agency workers and full time employees of the client. However in order to
qualify for protection under the regulations, the agency worker must have been
continuously employed for more than twelve weeks. It has been argued that this qualification as
well as other qualifications will mean that only a half to a third of temporary
agency workers will be able access these rights[30].
While the Working Time Regulations[31] do not have similar
qualifying periods in terms of continuity of employment, they do suffer from
another problem in respect of flexible or intermittent workers. As a result of
regulation 20, important rights do not apply ' in relation to a worker where,
on account of the specific characteristics of the activity in which he or she
is engaged, the duration of his working time is not measured or predetermined
or can be determined by the worker himself'. This is problematic because as
pointed out by Smith and Baker, many modern forms of flexible working have some
element of unmeasured time[32]. If for example the home
worker contract specifies that a piece of work must be complete by a certain
date and contains no specification as to the hours of work, it is possible that
various provisions of the regulations would not apply.
One major statutory
development in terms of extending protection to atypical work relationships has
been the development of the concept of a statutory worker. A number of
important rights[33] have been extended to
statutory workers notwithstanding the fact that they may not meet the
definition of employees. A worker is
defined as:
‘“worker” (except
in the phrases “shop worker” and “betting worker”) means an individual who has
entered into or works under (or, where the employment has ceased, worked under)—
(a) a contract of
employment, or(b)any other contract, whether express or implied and (if it is
express) whether oral or in writing, whereby the individual undertakes to do or
perform personally any work or services for another party to the contract whose
status is not by virtue of the contract that of a client or customer of any
profession or business undertaking carried on by the individual;’[34]
Given the problems we
have seen in terms of accommodating atypical working patterns within the
definition of employees, the success of labour legislation in extending rights
to these workers is largely dependent on the ability of worker definition to
accommodate atypical working patterns.
While the concept of
the worker is no doubt an improvement on the concept of an employee[35] in that it creates an
intermediate category between an employee and the self-employed[36], there are significant
problems with the definition, which limit its usefulness in this regard.
Firstly, take the
first requirement of the definition. This is namely that a worker must render
personal services under a contract. In the leading case on the definition of
workers, Bryne Brothers v Baird[37], the court specified that
the requirement of a ‘mutuality of obligations’ ala Carmichael also applied to worker[38].
A right of substitution refers to a contractual right for the service provider
to provide another person to work in his or her place on any particular day.
Where the contract contains an unfettered right to substitute service, the
courts have found that the person is neither an employee nor a statutory worker[39].
These principles
allow the ‘employer party’ to avoid rights afforded to employees or workers by
including contractual provisions such as the right of substitution and or
clauses negating the mutuality of obligations[40].
In Autoclenz[41], the Supreme Court
sought to address this problem by allowing a tribunal to depart from the
written terms of an agreement in determining the nature of the relationship.
However this is limited to exceptional situations and is still dependent on a
contractual model[42]. The definition of an
employee or a worker is still linked to a common law contractual analysis[43] and is handicapped by its
relative inability to recognize imbalances in the bargaining positions between
worker and employer or service provider and client.
This brings me to the
second difficulty with the definition. Even if it is shown that the service
provider is obliged in terms of the agreement between the parties to provide
personal service, in order to qualify as a worker, it must be shown that the
person is not providing services to a client of a self employed contractor[44]. It seems clear that the definition of worker
still excludes the self-employed. This arises both from the requirement of
personal service and from the business or undertaking exception contained in
the worker definition.
Once difficulty with this aspect of the
definition is that it does not define or provide any guidance as to the
distinction to be made between a worker and someone who is providing personal
service in the form of a business undertaking. The courts have applied a
‘dominant purpose doctrine’ in order to make this distinction. That is to say
is the dominant purpose of the contract to render personal service or is it incidental
to it[45]?
The court asks this question in order to ‘attempt
to identify the essential nature of the contract. Is it in essence to be
located in the field of dependent work relationships, or is it in essence a
contract between two independent business undertakings’[46]? This test is vague and is
essentially circular and is likely to lead to contradictory results.[47]
Another difficulty is
that the definition of both employees and workers may exclude some service
providers who are deserving of some protection. These are the so -called dependent
contractors[48]. It has been recently
argued that research shows that there are an increasing number of people
choosing work in quasi-entrepreneurial ways. These people do not ‘consider
themselves employees but nor are they small business because they do not employ
anyone’[49]. These sorts of workers
have the potential to be excluded from the definition of workers as
demonstrated by the decision in Smith v
Hewitson where persons providing cabin services on a bus were found not to
be employees or workers. Although the courts have been more willing to include
such workers such as in James and Autoclenz because of the
vagueness of the definition of a worker, such service providers are subject to
judicial discretion and are not guaranteed protection.
In certain
jurisdictions, a certain level of protection is afforded to what are known as
dependent contractors[50]. Dependent contractors are
small contractors who are typically dependent on one or two clients’s to
sustain their business. Hepple gives an example of certain sales
representatives, newsagents and tenants of filling stations belonging to oil
companies[51]. These types of service providers may be
excluded from scope of a worker because they operate a business and or because
they are not obliged to render services personally[52].
You may say that these types of service provider should not be protected.
However from a dependency or vulnerability point of view, they are in the same
position as a worker or employee because they depend on one perhaps two clients
for the economic survival.[53]
It may be
argued that fault lies not in the legislation but in judicial interpretations
of the definitions contained in the legislation[54]. I think that this is partly right. However it
is also evident that there are structural deficiencies in the legislation itself,
which has aided and abated the problematic judicial interpretation. Firstly as
we have seen an employee remains undefined and to that extent, the legislation
must rely on common law principals which is based on a binary contractual
conception of work relationships[55] and
which therefore encourages the current judicial interpretations[56]. Similarly, the definition of worker in the
statutes is defective in that it does not define what is meant by business
undertaking carried out by the individual. In the last analysis there seems to be, as far as the
definitions of employees and workers are concerned, an inherent flaw contained
in employment legislation. As Anderman has argued, it seems that the statutory
provisions in question are designed to remedy or supplement the power
imbalances in the common law contractual relationship between employer and
employee[57].
However at the same time they explicitly rely on the common law conception of
the employment contract or in extending those rights. Surely the statutory
provisions will suffer from the same deficiencies as the common law. By relying on the common law contractual
approach to understanding the employment relationship, categories of workers
who are denied recognition in terms of the contractual approach, will also be
denied protection offered by statute.
While it cannot be said that atypical working
arrangements are not yet the predominant form of work, these working patterns
are increasingly prevalent. As such and to the extent that legislative
intentions do not provide protection for these classes of work, the legislation
has not kept pace with the times. In this paper, I have shown despite the
introduction of an expanded definition of a worker and the resulting expansion
of the scope of protective labour legislation, this legislation still does not
afford protection to many types of intermittent, agency, or freelancer. In
particular small or one-person businesses that may be vulnerable as any other
employee or worker are not protected. In addition many important rights such as
the right not to be unfairly dismissed or redundancy rights are still not
afforded to the intermediate worker.
Moreover I have also briefly shown that even where these atypical work
patterns fall within the scope of the current legislation, as a result of the
intermittent or flexible nature of their work, they do not qualify in terms of
access to important rights. As such,
the artificial worker still remains vulnerable and relatively unprotected. This
position is unlikely to improve in the short to medium term given the current
government’s position that regulation of work relationships inhibits growth and
therefore retards the rate of employment. The evidence in favour of this
argument remains to be seen.
[1] Davies, P and
Freedland, M Towards a More Flexible
Labour Market (Oxford University Press, Oxford 2007) at page 56. In
addition Baker, A & Smith, I Smith and
Wood’s Employment Law
10th ed (Oxford University Press, Oxford 2011) at page 56 footnote 69
[2] It has been reported that as much of five percent of the work
force in the United Kingdom consisting of agency workers. See Wynn, M 'Regulating Rogues? Employment
Agency Enforcement and S 16-18 of the Employment Act 2008' 2009 ILJ 64
[6] I take atypical workers to include temporary workers, casual
workers, agency workers, homeworkers, freelancers and single person businesses
providing services to third parties.
[7] See S 230 and 13 of the Employment Relations Act 1996 (the ERA), S
54(3) of the National Minimum Wage Act 1998, S 2 of the Working Time
Regulations 1998, S 10-13 of the Employment Relations Act 1999, Reg 1 of the
Part time Workers (Prevention of Less Favorable Treatment) Regulations 2000 and
regulation 3 of the Agency Work Regulations SI 2010/93
[9] See Smith and Baker at
page 47-48 and Harvey on Industrial
Relations and Employment Law paragraphs 18-33 for a comprehensive
discussion of the history of the various tests for employment
[10] Ready Mixed Concrete (South East) Ltd v Minister of Pensions
and National Insurance [1968] 2 QB 497. The RMC test for employment was recently
affirmed by the Supreme Court as the classic description of employment in Autoclenz Ltd v Belcher and others
[2011] UKSC 41, [2011] I.C.R 1157 (SCA) at para 18
[11] These are summarized succinctly by the court in Autoclenz v Belcher [2011] UKSC 41 at
paragraph 19 of the judgment
[13] See Carmicheal,
note 15 and Montgomery v Johnson Underwood Ltd & Another [2001] EWCA Civil 318, [2001] ICR 819 (CA), at para
46 and most recently by the SCA in Autoclenz
v Belcher and others at note 12
[15] See Carmichael at note 12, A.C.L Davis
‘The Contract for Intermittent Employment’ ILJ
(2007) 103 and Patricia Leighton ‘ Classifying Employment Relationships
– More Sliding doors or better regulatory framework? ‘ (2011) ILJ 5, at page 118
[18] See Stephenson v Delphi Diesal Systems Ltd
[2003] ICR 471 (EAT). Also see Hewitt-Packard Limited v O'Murphy [2002]
IRLR 4 (EAT) and Costain Building
& Civil Engineering Ltd v Smith [2000] ICR 215 (EAT) which are
cited by Elias, J in Stephenson (supra) at paragraphs 40-45
[19] These include qualification
for written particulars, notice periods, redundancy pay and most importantly
unfair dismissal rights
[21] The qualification period
for this right is one year of continuous employment. See 108(1) of the ERA
[22] See Lewis v Surrey County Council [1998] ICR
982, HL and Heller Bros v McLeod
[1987] 1WLR 728 (CA)
[25] Davies, A.C.L’ Casual
Workers and Continuity of Employment’ (2006) 35 ILJ 196, page 199-200
[26] S 212(3) of the ERA
[27] See note 58
[29] Agency Work
Regulations, SI 2010/93
[30] Leighton and Wynn '
Classifying employment relationships-more sliding doors or a better regulatory
framework' 2011 ILJ 5 at page 8. The authors do not cite authority for this
proposition but see Wynn, M ‘ Regulating Rogues: Employment Agency Enforcement
and Sections 15-18 of the EA’ ILJ (2009) 64 quoting the Survey of Recruitment
Agencies (SORA)
[33] For example rights concerning minimum wages (S 54(3) of the
Minimum Wage Act 1998), unlawful deductions from wages (S 13 and 230(3) of the
Employment Rights Act 1996), regulation of working time (s 2, Working Time
Regulations). See Davidov, Guy ‘ Who is a worker?’ (2005) ILJ 57, at 59
[35] This follows from the fact as pointed out by Davidov for example,
that the set of who constitutes workers is as a matter of the definition, wider
than that of an employee
[36] As noted by Freedman, M
The Personal Employment Contract
(Oxford: OUP, 2003) at pages 19-21. For
judicial comments see James v Redcats
(Brands) Ltd [2007] I.C.R 1066, [2007] I.R.L.R. 296 (EAT) and Autoclenz v Belcher & Others [2009]
EWCA Civ 1046 (CA)
[38] See note 19 at paragraph 24 of the judgment at page 680. See also
Community Dental Centers Ltd v Sultan-Damon
[2010] IRLR 1024 (EAT)
[39] See Community Dental (supra) where the court relied on a lack of
an obligation to provide personal service. In addition see judgment of the EAT
in Autoclenz at note 26
[42] The court held that a tribunal may depart from the express
written terms of the contract in determining the nature of the obligations
between the parties where it is clear that the written terms do not reflect what
the parties real intent was or is.
[43] The analysis is still
based on what both parties actually agreed to, irrespective of what the
practical day-to-day reality is.
[44] See note 36 James v Redcats (Brands) Ltd at paragraph 6 and 49, Autoclenz Ltd v Belcher & Ors [2009] EWCA Civ
1046 (CA) at paragraph 10 and Yorkshire
Window Co Ltd v Parkes Appeal No. UKEAT/0484/09/SM
[47] See for example the difference in outcome in Smith v Hewitson and Autoclenz
Ltd v Belcher & Ors
[48] This argument is made by Brodie, D in ‘Employees, workers and the
Self Employed’ (2005) ILJ 24 253 at page
254
[50] See Canada for example.
See Marsden, D ‘Employers, independent contractors and
dependent contractors: are dependent contractors entitled to reasonable notice of termination?’ an
article online at http://www.lexology.com/library/detail.aspx?g=406963ab-80c8-47c2-829a-333627d31957 accessed on the 5th
January 2012.
[52] See Community Dental Centers
Ltd v Sultan-Damon [2010] IRLR 1024 (EAT)
[53] See Community Dental Centers
Ltd v Sultan-Damon [2010] IRLR 1024 (EAT)
[54] For example see Davidov at note 25
where he argues that if one adopts a purposive interpretation of the term
worker, these defects may be rectified. It has also been argued that the courts
have misapplied the concept of mutuality of obligations to the worker category
based on a misconception that such a requirement is part of the general law of
contract. See Davies, A.C.L Davies ‘ The Contract for Intermittent Employment’
ILJ 2007 102, 104
[55] See Freedland, M The
Personal Employment Contract (Oxford:
OUP, 2003)
[56] This point is also made by
Douglas Brodie in ‘ Employees, Workers and the Self Employed’ (2005) 34 ILJ
253,
[57] See Anderman, S ‘Protective
Employment Statutes and Contracts of Employment’ (2000) 29 ILJ 223, 225
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