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High Court of Ireland Decisions |
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You are here: BAILII >> Databases >> High Court of Ireland Decisions >> Delaney -v- Central Bank of Ireland [2011] IEHC 212 (15 April 2011) URL: http://www.bailii.org/ie/cases/IEHC/2011/H212.html Cite as: [2011] IEHC 212 |
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Judgment Title: Delaney -v- Central Bank of Ireland Composition of Court: Judgment by: Laffoy J. Status of Judgment: Approved |
Neutral Citation Number: [2011] IEHC 212 THE HIGH COURT 2008 2378 P BETWEEN JOHN DELANEY PLAINTIFF AND
CENTRAL BANK OF IRELAND DEFENDANT Judgment of Miss Justice Laffoy delivered on 15th day of April, 2011.
1. The case and the defence to it on the pleadings 1.2 The statement of claim was delivered on 30th March, 2009, after the seminal event, and the defence was delivered on 30th June, 2009. 1.3 In the statement of claim, having pleaded the facts in relation to his employment by the Bank – that he was employed as an economist in November 2001 and was promoted to the position of senior economist in 2002 – the plaintiff pleaded the following matters:
(b) By agreement, an external investigator had been appointed to investigate the complaints. By a submission dated 23rd November, 2006 the plaintiff had made a “full complaint under the grievance procedure” to be adjudicated upon by the mutually agreed investigator, Dr. Brian Aylward. In that submission he had made complaints of bullying against the former manager referred to a (a) above and his successor, and complaints against two other parties. (c) Dr. Aylward produced a report dated 3rd January, 2008 in which the plaintiff’s complaints of bullying were not upheld, certain findings were made against employees of the Bank, but there was no finding that the plaintiff made frivolous or vexatious complaints. 1.4 The plaintiff pleaded that, following the making of the complaint referred to above, the plaintiff was isolated in the workplace, particularising aspects of that allegation, and further that, beginning in November 2007, a decision was made to exclude him from attending meetings outside the Bank or being involved in external work including European Commission related meetings and tasks. Those allegations were denied in the defence. The plaintiff then pleaded the circumstances in which he came to be the subject of Dr. Mohan’s report. As a result of a letter dated 17th October, 2007 from the Human Resources Manager of the Bank to him advising him of management concerns regarding his mental health and wellbeing and of an appointment for him to see Dr. Mohan, he attended Dr. Mohan, the correct date of the interview being 20th December, 2007. Having asserted that his general practitioner, Dr. Aidan Ward, had reported on 19th February, 2008 that he did not suffer from a mental illness and was fit for work, the plaintiff pleaded that Dr. Mohan’s report of 30th May, 2008, on the basis of Dr. Mohan’s diagnosis, recommended that he be placed on sick leave until such time as he responded to treatment. He then pleaded the letter of 7th July, 2008 and that he had not been permitted by the Bank to return to work. The plaintiff also pleaded that, subsequently, he was examined by Dr. Abbie Lane, Consultant Psychiatrist, who concluded in her report dated 9th February, 2009 that he was fit to return to work. In the defence, the plaintiff was put on proof of all of those allegations. It was admitted that Dr. Lane’s report had been furnished to the Bank, but the Bank had not allowed the plaintiff to return to work but, instead, had requested the plaintiff to attend for further assessment by a third psychiatrist. 1.5 The plaintiff then pleaded that by reason of the matters pleaded earlier, the Bank was in breach of the plaintiff’s employment contract including the implied duty of trust and confidence owed by the employer to the employee and was guilty of specified wrongs, including breach of the plaintiff’s constitutional right to earn a livelihood. The particulars of the alleged wrongdoing on the part of the Bank which form the basis of the relief now claimed by the plaintiff against the Bank are –
(b) relying on the report of Dr. Mohan to exclude the plaintiff from his duties without affording the plaintiff an opportunity to rebut its contents, (c) improperly seeking to influence Dr. Mohan in the compilation of his report, (d) furnishing information to Dr. Mohan upon which his report was based, which information was not furnished to the plaintiff, (e) relying on the report of Dr. Mohan which it was alleged was fundamentally flawed, in circumstances where there was compelling evidence from the plaintiff’s medical advisors that he did not and does not suffer from a mental illness, (f) allowing persons against whom complaints had been made to Dr. Aylward to make decisions regarding the referral of the plaintiff to a psychiatrist “without having a person independent of those persons to vet the decision to assess for objectivity”, and (g) excluding the plaintiff from the workplace, imposing an unlawful disciplinary sanction on him in the absence of fair procedures and, in effect, suspending him indefinitely. 1.6 On the first day of the hearing, when opening the plaintiff’s case, counsel for the plaintiff conceded that the injunctive relief which the plaintiff sought in the statement of claim was not available, as a matter of law, to the plaintiff. That was a correct concession to make because, for instance, the Court would not have granted a perpetual injunction against the Bank restraining it from embarking upon or taking any steps towards the termination of the plaintiff’s appointment as senior economist with the Bank. As to the declaratory relief which the plaintiff now seeks, at the end of the hearing (Transcript, Day 4, 31st March, 2011, p. 156), counsel for the plaintiff informed the Court that he was seeking a declaration that the purported decision requiring the plaintiff to be psychiatrically examined was infirm and that he was also seeking a declaration that the actual process was infirm – that Dr. Mohan’s report of 30th May, 2008 is without efficacy, that is to say, a nullity, on the grounds that it was formulated in breach of fair procedures. It is by reference to that distillation of the case as pleaded and answered that I will now consider the factual background as disclosed in the evidence.
2. The factual background as per the evidence 2.2 The events which led up to the investigative process conducted by Dr. Aylward, the issues raised in that process, the conduct of the process and its outcome in the form of a report by Dr. Aylward, which was not put in evidence, formed the backdrop to events from October 2007 onwards and it is necessary to allude to them, although counsel for the plaintiff was at pains not to place too much emphasis on them. While the genesis of the Aylward process was a complaint made on an informal basis by the plaintiff to a senior manager of the Bank in November 2004, obviously, from the plaintiff’s perspective, the initiation of the pleadings before the Rights Commissioner was a watershed in the plaintiff’s conduct of his complaint. Of significance is the fact that it was at that point, 29th March, 2006, that the plaintiff’s solicitors commenced acting for him in connection with his complaint. The process before the Rights Commissioner escalated in June 2006 into proceedings before the Labour Court. The hearing before the Labour Court was scheduled for 2nd November, 2006. On that day, an agreement was reached between the plaintiff and the Bank which led to the appointment of Dr. Aylward and his investigation. That investigation started at the beginning of 2007 and was ongoing throughout that year. As I understand the position, the plaintiff’s solicitors represented him in the process and the Bank was represented by its solicitors. Dr. Aylward was investigating the original complaint by the plaintiff of bullying and harassment against his former manager and also a charge of bullying and harassment against the former manager’s successor, Mr. John Kelly. It is important that I should emphasise that the complaint against Mr. Kelly was not upheld by Dr. Aylward. There were additional complaints against a former senior official of the Bank to whom the plaintiff had made his original complaint against his former manager and against the then Head of Human Resources, Mr. Jim Cummins, in relation to their failure to investigate the plaintiff’s original complaint, which were also investigated by Dr. Aylward. 2.3 While the plaintiff’s complaints were under investigation, first by the Rights Commissioner and the Labour Court, and then by Dr. Aylward, the plaintiff was continuing to work in the Statistics department of the Bank through 2006 and 2007. There were two distinct contradictory strains in the evidence adduced before the Court. The plaintiff’s evidence was that he was being assigned very little work, that he was being sidelined and isolated, and that he was not receiving fair and equitable treatment in relation to his application for professional training. On the other hand, Mr. Joe McNeill, who was appointed Deputy Head of Statistics in February 2006, and to whom the plaintiff primarily reported, testified that the plaintiff was underperforming and that he was not actually delivering on the tasks which had been assigned to him. Mr. McNeill also gave evidence of problems in relation to the interaction of the plaintiff with his colleagues. Specific examples were given of deterioration of the working relationship between the plaintiff and work colleagues and, in particular, the two economists who worked with him, both of whom testified. A raft of e-mails was put in evidence with a view to corroborating each side’s version of events. 2.4 Despite Mr. McNeill’s belief that the plaintiff was underperforming and that his working relationship with his colleagues was giving rise to difficulties, no consideration was given by him to invoking a disciplinary process against the plaintiff. Mr. McNeill explained that, because the Aylward process was going on in the background during 2007, it was increasingly difficult for him to intervene in the workplace, as he put it, without the whole process being coloured by the Aylward process. Apart from that, the disciplinary route was not considered because of the plaintiff’s history of stress related sickness, which I will outline later. Although Mr. McNeill testified that the plaintiff was a difficult employee, he felt that the Aylward process and the plaintiff’s whole interaction with the Bank could not be isolated from his work and, therefore, the Bank did not consider the disciplinary route. 2.5 The plaintiff was absent from work on sick leave twice during 2006, on each occasion for three weeks. The first period was in early April 2006. At that stage the plaintiff was certified by his general practitioner, Dr. Ward, as being absent due to stress or, perhaps, stress in the workplace. The relevant certificate was not put in evidence. In any event, following his return, the plaintiff was referred by the Bank to its medical officer, Dr. W. L. Halley, who furnished a report to the Bank, which was dated 25th May, 2006. In setting out his conclusion, Dr. Halley stated that he found the plaintiff to be an anxious individual, but he was glad to report that they had a very pleasant long discussion on his problems in work. Dr. Halley stated that he would strongly encourage management to do whatever was necessary in accordance with established procedures to resolve the situation. The plaintiff was absent again from work in the last quarter of 2006 and, once again, Dr. Ward certified his absence as due to stress. That absence more or less coincided with the impending Labour Court hearing and the commencement of the Aylward process. The plaintiff’s next absence on sick leave commenced on 15th May, 2008 when Dr. Ward certified him as being unable to attend work due to work related stress. However, at that stage, the plaintiff had been interviewed by Dr. Mohan. Presumably in connection with the plaintiff’s referral to Dr. Mohan, Dr. Ward had written to the Bank on 19th February, 2008 stating that the plaintiff was fit for work and that he had no symptoms of stress at that time and that he was not on any medication. He also stated that the plaintiff did not need referral to a psychiatrist. 2.6 Mr. McNeill definitely had concerns about the plaintiff in September and October 2007, as had the plaintiff’s two colleagues who testified, Dr. Gillian Phelan and Ms. Mary Cussen, both of whom who had reported to him when they joined the Bank. On the evidence, I am satisfied that Mr. McNeill, Dr. Phelan and Ms. Cussen had genuine concerns about the plaintiff, in whom they had noticed a change. While I have no doubt that they had the plaintiff’s best interests in mind, I think it is reasonable to infer that they genuinely did not know how to address the situation, particularly with the Aylward process in the background. The situation in which they found themselves was very difficult. 2.7 What happened is that Mr. McNeill and Dr. Phelan consulted Mr. Noel O’Driscoll, who, at the time, was the Employee Assistance Officer in the Bank. Mr. O’Driscoll had no contact with the plaintiff at that time. His evidence was that he was concerned enough by what he heard to take the matter further. While it is not clear precisely how this came about, there was a meeting prior to 17th October, 2007 in the Human Resources Department of the Bank, which was attended by Mr. O’Driscoll, by Mr. McNeill and Mr. Kelly, who was the Head of the Statistics Department at the time, and by Mr. Cummins and Mr. Pat Moloney from the Human Resources Department, and also by a solicitor from the firm acting on behalf of the Bank in connection with the plaintiff’s complaints before the Labour Court, in the Aylward process and in these proceedings. As a result of that meeting the letter of 17th October, 2007 issued to the plaintiff. 2.8 That letter, which was sent by Mr. Cummins as Head of Human Resources, informed the plaintiff that management in the Statistics Department and personnel in Human Resources had health and safety concerns regarding his mental health and well-being. The letter continued:
2.9 Correspondence ensued between the plaintiff’s solicitors and the Bank’s solicitors. In a letter of 26th October, 2007 the Bank’s solicitors stated that the report was being sought –
2.10 In advance of the appointment, the Bank’s solicitors wrote to Dr. Mohan on 19th December, 2007. That letter summarised the plaintiff’s complaints and how they were dealt with, starting at June 2004, and informed Dr. Mohan that Dr. Aylward’s report would not be available until January 2008. Some of the factual matters set out in the history are not in evidence before the Court. Certain documentation was furnished to Dr. Mohan, which was itemised as follows in the letter:
(ii) responses to the allegations; (iii) supplementary notes of Mr. Kelly; (iv) Labour Court settlement agreement dated 2nd November, 2006; (v) “Recent issues relating to [the plaintiff] with supporting documentation”; and (vi) correspondence inter partes. Dr. Mohan’s task was formulated as follows:
2.11 At the commencement of the interview with Dr. Mohan on 20th December, 2007, the plaintiff signed a document acknowledging that the examination was being carried out at the request of the Bank’s solicitors, that the usual doctor/patient rules did not apply and confidentiality was, therefore, limited, and that the purpose of the review was for assessment and not treatment. In the document the plaintiff also acknowledged that he was free to discontinue the interview at any time. Dr. Mohan’s contemporaneous notes of the interview were put in evidence. They were recorded on the basis of a template of the intended structure of his final report. The plaintiff’s evidence to the Court was that at the end of the interview he asked Dr. Mohan how he found him. The plaintiff’s understanding was that, apart from a possible concern about future depression, Dr. Mohan found him fit. I am satisfied that the plaintiff’s understanding of Dr. Mohan’s opinion at that time was incorrect. 2.12 In opening the case, counsel for the plaintiff, on the basis of documentation available, which I assume was discovered by the Bank, stated that Dr. Mohan pronounced the plaintiff fit for work in early January 2008. On the evidence, I am absolutely satisfied that Dr. Mohan reached no conclusion that the plaintiff was fit for work at the end of December 2007 or the beginning of January 2008 and that he did not communicate any such conclusion to the Bank. The submission made on behalf of the plaintiff was based on a misinterpretation of Dr. Mohan’s notes of the interview and by drawing an incorrect, if, perhaps, understandably incorrect, inference from an internal e-mail of 3rd January, 2008 from Mr. Kelly to Mr. Cummins. 2.13 I propose considering what transpired after 20th December, 2007 up to the date of Dr. Mohan’s report, 30th May, 2008, from a number of perspectives: what transpired between the plaintiff’s solicitors and the Bank’s solicitors; what transpired between the Bank and Dr. Mohan; and what was going on internally in the Bank. 2.14 Taking an overview of the matter, it seems logical to deal with the interaction between the Bank and its solicitors and Dr. Mohan first. It is clear from Dr. Mohan’s evidence that he was under pressure to produce his report from early 2008. He was furnished with Dr. Aylward’s report, which I understand was dated 3rd January 2008, by the Bank’s solicitors at some stage prior to 26th February, 2008. On 26th February, 2008 Dr. Mohan sent an e-mail to the Bank’s solicitors informing them that he had had an opportunity to study Dr. Aylward’s report. He set out certain insights he gleaned from the documentation on which the report was based. He then set out questions which needed to be addressed at that stage, including ascertaining the plaintiff’s view on the content of the report. He suggested that the following steps should be taken:
(b) that the plaintiff be offered a follow up appointment, to afford him right to comment on the findings of the investigation and re-assess ongoing issues; and (c) the furnishing of a medical report to the Bank dealing with capacity/fitness to work and treatment recommendation. 2.15 Correspondence between the plaintiff’s solicitors and the Bank and its solicitors recommenced with a letter of 30th January, 2008 from the plaintiff’s solicitors directly to Mr. Cummins at the Bank. That letter was largely concerned with an allegation that the Bank was in breach of the plaintiff’s employment contract in preventing him from attending external meetings and being involved in external work. However, there was another aspect to the letter in that the plaintiff’s solicitors sought to be furnished with all notes which had been sent to Dr. Mohan in relation to the plaintiff. That letter was responded to by the Bank’s solicitors by letter dated 14th February, 2008. In that letter the plaintiff’s solicitors were informed that Dr. Mohan was being furnished with a copy of Dr. Aylward’s report. As regards the request for documentation furnished to Dr. Mohan, the response was that this documentation would not be furnished because Dr. Mohan “was instructed” by the Bank’s solicitors and the documents were “subject to legal professional privilege”. By letter dated 20th February, 2008 the plaintiff’s solicitors requested that Dr. Aylward’s report not be furnished to Dr. Mohan, stating that, if it was furnished, it would be argued on behalf of the plaintiff that any report of Dr. Mohan was “influenced by irrelevant information” such that Dr. Mohan’s report could not be relied on. That request was not complied with by the Bank’s solicitors. 2.16 Following the meeting of the Bank’s representatives with Dr. Mohan, by letter dated 20th March, 2008 to the plaintiff’s solicitors, having stated that Dr. Mohan’s report was at draft stage and that he had been unable to complete it until such time as Dr. Aylward’s investigation was completed and he had sight of Dr. Aylward’s report, the Bank’s solicitors stated as follows:
2.17 Following the meeting between the Bank’s representatives and Dr. Mohan on 1st March, 2008, documentation was prepared internally in the Bank which was referred to as “Memorandum of Mr. Kelly together with appended emails” in the letter of 29th April, 2008 from the Bank’s solicitors to Dr. Mohan. Mr. McNeill confirmed that the content of the documentation was contributed to by both Mr. Kelly and by him. This documentation is clearly the source of the material in the appendices to Dr. Mohan’s report, which I will now consider.
3. Dr. Mohan’s report 3.2 Dr. Mohan’s report was divided into five sections as follows:
(ii) Section B contained an evaluation of occupational difficulties, based on the nature of reported behaviours as described by the plaintiff. (iii) Section C contained an evaluation of occupational difficulties based on the nature of reported behaviours as described by the Bank. There were three segments based on different sources of information in this section. The first comprised clinical observations on Dr. Aylward’s report. Dr. Aylward’s overall findings were set out in para. 15.4, where it was recorded that Dr. Aylward did not uphold the plaintiff’s complaint of bullying against Mr. Kelly, but he found that the former manager on two occasions did behave inappropriately but, his final conclusion was that the former manager did not bully the plaintiff. He also set out Dr. Aylward’s finding in relation to the complaints made against the senior management figure and Mr. Cummins. The finding was that they acted in good faith in their dealings with the plaintiff but that there were a number of procedural deficiencies in the Bank’s approach, detailing issues in relation to delays in the investigation of the complaints. The second segment related to the information which was given to Dr. Mohan at the meeting on 1st March, 2008. This segment contained some general observations, such as that Dr. Mohan was informed that the plaintiff’s view of projects at work was “considered to be grandiose and unreasonable”. It was also reported that his behaviour could be abusive and there could be highly convoluted exchanges in relation to simple matters. Dr. Mohan also recorded that he was referred to e-mails between the plaintiff and his colleagues. The third segment dealt with concerns raised by the Bank in relation to the plaintiff’s health in the workplace. The material in this segment and in the five appendices is based on an overview provided by the Bank. Dr. Mohan has summarised what are described as the plaintiff’s “interpersonal difficulties at work” into four clusters: grandiose sense of self-importance; extreme sensitivity to criticism; erratic behaviours; and distorted perception of reality. It was stated that specific examples of the behaviour referred to were supported in the appendices. I will return to this section later. (iv) Section D dealt with recent progress and mental state examination, that is to say, the examination carried out on 20th December, 2007. In relation to progress from January to May 2008, Dr. Mohan referred to the hand-written report of Dr. Ward dated 19th February, 2008, the fact that the plaintiff objected to attending a second consultation, the allegations of breach of contract in relation to the plaintiff’s preclusion from attending external meetings, the initiation of these proceedings, and the fact that the plaintiff was on sick leave from 15th May, 2008. (v) Section E set out Dr. Mohan’s opinion.
“The evidence available indicates that he displays a pervasive tendency to distort experiences by misconstruing natural actions as hostile or contemptuous. He demonstrates hypersensitivity to criticism and a tenacious sense of personal rights out of keeping with the actual situation … . [The plaintiff’s] tendency to experience excessive self-importance in a persistent self-referential attitude is a recurring theme which contributed to the workplace difficulties described. … These personality traits have affected his interpersonal interactions with both his supervisors, co-workers and subordinates. It is my opinion that [the plaintiff’s] presentation is consistent with traits of a paranoid personality disorder or an emerging delusional disorder. Further psychiatric evaluation would be required to establish a specific diagnosis.” Dr. Mohan went on to record (in para. 23.5) that the plaintiff’s symptoms had become more severe and persistent and had begun to “impair his occupational functioning, thus representing symptoms of a psychiatric disorder”. (b) In dealing with the findings concerning the plaintiff’s fitness to work and the obligations of the Bank, Dr. Mohan set out the basis on which he concluded that the plaintiff “suffers from a disability, pursuant to the Employment Equality Acts 1998 – 2007”, in that he stated that an individual suffering from a psychiatric disorder is disabled for the purposes of those Acts. He then set out his understanding of the obligations of employers thereunder. He stated (at para. 23.10): “I have no specific recommendations to make with regard to accommodations that could be offered by the … Bank that would facilitate [the plaintiff’s] return to work at this stage. His level of insight in to his psychiatric disorder is impaired to such a degree that he would lack the requisite capacity to engage with accommodations that may be considered such as coaching or retraining”. He went on to state (at para. 23.11) that, as the Bank was not in a position to accommodate the plaintiff, it would be advisable from the Bank’s perspective that the plaintiff “should be placed on sick leave, until such time as his disability, as described above has responded to treatment”. He added that remaining in the workplace with “an untreated psychiatric disorder” is likely to be associated with further deterioration in the plaintiff’s mental state. (c) Under the heading “Treatment required”, he stated (at para. 23.13) that the plaintiff should be advised to seek medical treatment of his illness, by requesting his G.P. to refer him for special psychiatric treatment to a Consultant Psychiatrist of his choice. (d) As regards the prognosis, Dr. Mohan concluded that, given the plaintiff’s unwillingness and/or his inability to accept that he was “suffering from a psychiatric disorder”, the prospect of him engaging with meaningful psychological treatment to address the situation was poor. However, he recommended that the plaintiff’s progress and response to any psychotherapeutic intervention undertaken should be formally reassessed by a doctor other than the treating doctor, before he could be deemed fit to return to work. 3.5 The appendices together with the exhibits attached run to 34 pages. They raise a plethora of issues in relation to the basis on which it was asserted that the plaintiff demonstrated “a number of traits which make him extremely difficult to work with and/or manage, and which impose unreasonable stress on those who must interact with him”, which are the opening words of Appendix 1, which is entitled “Status/Self-importance”. The first example given in Appendix 1 to illustrate what is described as “the most pervasive” trait – “his obsession with status/self-importance” – is illustrative of the approach adopted in the appendices as a whole and it is also illustrative of what, in my view, was a fundamental fairness deficit in the evaluation process which Dr. Mohan was required to conduct. An e-mail, or more correctly part of an e-mail, dated 13th September, 2007 from the plaintiff to Mr. Kelly was exhibited in Appendix 1. That was an e-mail in which the plaintiff made two complaints, which can be subsumed under two broad headings: that his workload was being reduced, with no new tasks being assigned to him; and that he was being refused access to training. The contents of the e-mail were an issue which was addressed both in the document entitled “Issues Relating to Mr. Delaney”, which I believe accompanied the letter of 17th December, 2007 and in Appendix 1. In Appendix 1 each of the details of the complaints made by the plaintiff in the e-mail was commented on. The comments ranged from assertions that the plaintiff had never been responsible for the particular item of work, that he failed in performance of a particular task, that allocation of a task had been agreed at a meeting at which the plaintiff was present and in respect of which he raised no objection, to that, in the case of a policy change to reduce the burden of statistical reporting, the plaintiff had not contributed and appeared “to evaluate change only to the extent that it may impact on his own perceived status”. In his evidence, the plaintiff stated that he never got any substantive response to his e-mail. It is clear from Mr. McNeill’s evidence that the e-mail of 13th September, 2007 was not responded to in terms of addressing the specific issues raised by the plaintiff, although Mr. McNeill testified that he would have talked to the plaintiff about the issues but they would have had different perceptions of how each issue would have been dealt with. It was in that context that Mr. McNeill described the plaintiff as a difficult employee, when he was questioned as to whether it occurred to him that the plaintiff might be insubordinate. 3.6 I have already alluded to the difficulty with which his immediate work colleagues were confronted in dealing with their genuine concerns in relation to the plaintiff. On the basis of the evidence, I am satisfied that there were matters in relation to the plaintiff’s conduct and his performance in the workplace which gave rise to genuine concerns on the part of the Bank, not only in relation to the plaintiff, but also in relation to other employees in the Statistics Department of the Bank. There was a problem. What the Court is concerned with is the manner in which the problem was addressed.
4. Events post Dr. Mohan’s report 4.2 By letter dated 7th July, 2008 the Bank’s solicitors furnished a copy of Dr. Mohan’s report, including the appendices, to the plaintiff’s solicitors. In that letter, Dr. Mohan’s opinion was summarised and it was stated that his diagnosis was a cause of concern for the Bank. It was noted that the plaintiff was due to return to work on 10th July, 2008 following a period of certified sick leave. It was then stated:
4.3 On 11th September, 2008 the plaintiff was seen by Dr. Lane. She furnished a report on 9th February, 2009, which was sent to the Bank’s solicitors by letter dated 20th February, 2009. On the basis of Dr. Lane’s findings, the plaintiff’s solicitors requested in that letter, inter alia, that the plaintiff be immediately reinstated on full salary and that he be permitted to return to work as a senior economist with the Bank. In their response dated 27th February, 2009, the Bank’s solicitors noted “the significant divergence of opinion” between Dr. Lane and Dr. Mohan. They suggested that, in circumstances where Dr. Lane had not met the plaintiff’s employer and had not, as far as they were aware, been furnished with documentary evidence of work related functions, her report was not as comprehensive as that of Dr. Mohan. It was suggested that Dr. Lane meet the Bank’s representatives and be furnished with the relevant documentation. It was made clear that the Bank would co-operate with Dr. Lane. It was also made clear that the Bank was not prepared to allow the plaintiff to return to work. In their letter of 30th March, 2009, delivering the statement of claim in these proceedings, the solicitors for the plaintiff replied to the letter of 27th February, 2009 on the basis that Dr. Lane was happy that her report was conclusive and that she had considered the entire report of Dr. Mohan, including the appendices. 4.4 Prior to the delivery of the defence, in their letter of 16th April, 2009 to the plaintiff’s solicitors, the Bank’s solicitors suggested that a reasonable way of making progress in the matter would be to refer the matter to a third psychiatrist for further assessment and report. It was stated that, in view of the difficulty “in identifying an independent psychiatrist in Ireland”, it was considered that such assessment and report should be carried out by a named psychiatrist based at the Institute of Psychiatry in London. It was made clear that the Bank would defray all reasonable expenses involved in the plaintiff attending for assessment. The position of the plaintiff, as communicated by his solicitors in a letter of 14th May, 2009 to the Bank’s solicitors, was that he was agreeable, in principle, to being assessed by a third psychiatrist but subject to a number of preconditions. First, the plaintiff was not agreeable to being assessed by the psychiatrist nominated by the Bank because of a perceived connection between him and Dr. Mohan. Secondly, it was stipulated that the plaintiff was prepared to be assessed by a third psychiatrist agreed between the parties but only so long as the plaintiff was “assessed cold”, without any briefing or documentation to be provided to the psychiatrist prior to the assessment, and that there was only one question for determination by the psychiatrist: whether the plaintiff was fit for work. Thirdly, three consultant psychiatrists, practising in this jurisdiction and by whom the plaintiff was willing to be assessed, were identified. The Bank’s solicitors responded by letter of 12th June, 2009 indicating that the Bank was not prepared to agree to the preconditions stipulated by the plaintiff’s solicitors. Moreover, the Bank was not agreeable to an assessment by any of the three psychiatrists identified by the plaintiff’s solicitors and did not consider that it would be possible to find “an entirely independent psychiatrist in the Republic of Ireland”. A named psychiatrist based in the United Kingdom was identified. While the correspondence between the parties continued, the avenue for possible resolution of the issues between the parties suggested by the Bank’s solicitors in the letter of 16th April, 2009 came to nought. As I have already recorded, the defence was delivered on 30th June, 2009, at which stage the pleadings were effectively closed. 4.5 Dr. Lane reviewed the plaintiff on 23rd September, 2010 and furnished a supplemental report of 18th October, 2010. I now propose considering Dr. Lane’s two reports.
5. Dr. Lane’s reports 5.2 At this juncture, I think it is appropriate to observe that I am conscious that there was a difference of opinion between the plaintiff and his former manager as to how the Bank’s obligations in relation to furnishing Quarterly Finance Accounts to the European Central Bank should be fulfilled and the plaintiff’s position was that that was the basis of his complaint. I am also conscious that, as Mr. McNeill testified, there were a number of different viewpoints on that particular topic. From the Bank’s perspective the issue in relation to the Quarterly Finance Accounts was one only of a range of complaints on the part of the plaintiff which were raised in the Labour Court proceedings and were required to be investigated by Dr. Aylward. I mention that for the purpose of clarifying that, having regard to the only relief which the plaintiff is pursuing, I consider that the Court does not have to resolve the multitude of conflicts on the facts in relation to the plaintiff’s complaints about his treatment by the Bank. I have formed no view on any of those matters. 5.3 Returning to Dr. Lane’s report, she noted that the plaintiff told her that in late 2006 he noticed an increase in his stress levels and from that time onwards there was a change in his interest and approach to the workplace. He told her that in 2007 he felt that things were reasonable, except for work events that led to intermittent friction. When seen for assessment in September 2008, he described a marked disturbance of his sleep due to worry about his situation. He did not feel able to function or follow through on projects. His energy and motivation were severely affected and his interest and quality of life were impaired. He experienced anxiety and panic sensations, particularly at the thought of what might happen were his job and financial status to be affected, as he was the main breadwinner. He was fearful, worried and threatened by his then current situation. 5.4 In her first report, Dr. Lane recorded the plaintiff’s history, including his academic record, his work experience before his employment with the Bank, his family history and his interests outside work. 5.5 Having set out her findings on examination, Dr. Lane set out her opinion. In relation to the examination of the plaintiff, she stated that she was unable to elicit, on either general or very specific direct questioning, any paranoia, delusions, hallucinations or thought disorder consistent with a psychotic process. The plaintiff did not appear in any way suspicious, guarded or sensitive to criticism and she was unable to elicit any factors consistent with paranoid personality traits. She set out her opinion as follows:
5.7 In relation to prognosis for the future, Dr. Lane expressed the view that the plaintiff might experience further difficulties at times of similar stress in the future. Otherwise, there was nothing in his history to suggest that he should not make a full recovery. On a second review of the plaintiff on 3rd February, 2009 she was unable to elicit any residual symptoms. Therefore, she expressed the view that in February 2009 the plaintiff was fit to return to work. She considered that he did not require any further therapeutic input at that time, as the resolution of the work situation would most likely resolve his problems. In the final paragraph of her first report Dr. Lane stated that, in her opinion, the plaintiff’s situation could be helped by the Bank exploring his underlying belief as outlined in 2004 in relation to the Bank’s obligations in relation to the Quarterly Finance Accounts. She acknowledged that that might have already have been examined but she considered it to be “the core issue from which all other behaviours evolved”. She also suggested that it might be helpful to consider mediation as a process to explore the underlying sources of conflict. Finally, she stated that consideration should also be given to finding an alternative role within the Bank for the plaintiff. 5.8 In her second report dated 18th October, 2010, which was based on a review of the plaintiff on 23rd September, 2010, Dr. Lane reiterated her opinion that the plaintiff does not fulfil the criteria for a psychiatric diagnosis and her conclusion that he remained fit for work. She went on to implicitly criticise Dr. Mohan’s approach for its “strong reliance on external documentation and summary accounts by others of their interactions with” the plaintiff.
6. Expert evidence 6.2 Dr. Lane, when asked whether it would be unusual to send an employee to a consultant psychiatrist in the circumstances in which the plaintiff was referred to Dr. Mohan, expressed the view that it would be. She stated that generally people would be referred to their general practitioner or their occupational health service first. 6.3 Of more significance, however, are the differing views of the two consultant psychiatrists as to the approach which should be adopted in assessing an employee’s fitness for work, because each adopted a different approach. Throughout the process, the Bank, through its legal advisors laid very considerable emphasis on the fact that Dr. Mohan is a Consultant Forensic Psychiatrist, and, indeed, the basis on which the Bank’s solicitors suggested that an independent psychiatrist could not be found in this jurisdiction was because most forensic psychiatrists are affiliated to the Central Mental Hospital, where Dr. Mohan practises. Dr. Mohan explained the basic difference between a forensic psychiatrist and a general adult psychiatrist as that the former takes what is referred to as a “360 degree” approach. In other words, the information to arrive at a decision comes from sources other than the evaluee. He explained that one part of the process is interviewing the employee or the evaluee, this part being the self report element. In addition, there are other components, which are largely the third party information, primarily, from sources where the concerns about the evaluee’s mental health arise. Dr. Mohan explained that in the case of, say, a G.P. referral on the basis of family concerns, the concerns of the family would be explored. If the referral is from an employer, the consultant forensic psychiatrist would look into the concerns of the employer and look for background information. Dr. Mohan was of the view that the difference of opinion between himself and Dr. Lane was that they had two different sets of information. He stated more than once that, if he had written an opinion on the plaintiff following the interview on 20th December, 2007, he might well have come to the same opinion as Dr. Lane. 6.4 In referring to Dr. Mohan’s evidence as to the relevance of the 360 degree approach to the process, I am not overlooking the fact that, in expressing disagreement with Dr. Mohan’s opinion that the plaintiff’s presentation was consistent with “traits of a paranoid personality disorder or an emerging delusional disorder”, Dr. Lane stressed that one cannot just look at the workplace. It is also necessary, she testified, to look at the person’s functioning, socially, occupationally and in his personal life. If the person is functioning in those spheres, that is incompatible with having paranoid personality traits or disorder. 6.5 As the Court is concerned only with the process by which the plaintiff was assessed to be unfit for work, it is not necessary, and I think it would be inappropriate, to express a view on the difference of opinion of the experts on the approach which was adopted. Nor is it necessary to express a view on whether a specialist in forensic psychiatry is the optimum assessor of whether an employee is fit for duty in a civil context. Dr. Mohan pointed out that such a specialist is usually resorted to in very contentious matters which involve an in-depth examination, not just criminal matters, but also civil matters, including matters in which the issue of testamentary capacity arises. The crucial factor which underlies the difference of opinion between Dr. Mohan and Dr. Lane in the context of this case is that Dr. Mohan’s opinion was informed by the material provided with the Bank’s solicitors’ letter of 19th December, 2007, Dr. Aylward’s report, the information he was given by the Bank’s representatives at the meeting on 1st March, 2008 and the documentation furnished by the Bank with its letter of 29th April, 2008 from its solicitors. 6.6 It was put to Dr. Lane in cross-examination that, while she testified that the plaintiff is fit to work, she had not given him an “unconditional certificate of fitness” to return to the post he held with the Bank within the structure which existed, referring to Dr. Lane’s suggestions that the Bank should explore his underlying belief as to his original complaint, that mediation be considered and that consideration be given to finding an alternative role for the plaintiff within the Bank. Dr. Lane’s response was that the plaintiff is fit to work and that, if the terms and conditions under which he was to go back could be negotiated, there was no reason why he would not be able to manage in the workplace. However, if he were to go back to the same situation as prevailed before May 2008, the likelihood is that he would become unwell again. Dr. Lane used the analogy of asthma to explain her concern. If an employee has a physical reaction to a situation in the workplace, and he or she is absent from work, and then recovers, if he or she goes back to the same situation and there has not been an accommodation, for example, by the removal of the toxin by changing the air system or whatever, the likelihood is that the person will get asthma again. Dr. Lane’s evidence was that the plaintiff has an issue with the Bank which, in his eyes, has not be resolved and she suggested that, by analogy, the system within the workplace could be adjusted, if necessary, by means of a different reporting structure or having a different role, as, she stated, frequently happens in organisations. I have outlined that aspect of Dr. Lane’s evidence because of the particular reliance placed by the Bank on Dr. Lane’s confirmation of her view that, if the plaintiff were to go back to the pre-existing situation before he left the Bank on sick leave in May 2008, he was at a significant risk of suffering from a further adjustment disorder.
7. Legal submissions 7.2 First, there is a very extensive analysis in the Bank’s written submissions of the duties and rights of an employer and the corresponding rights and duties of an employee under the Act of 2005 and the Act of 1998, as amended. There is also a thorough analysis of the legal principles governing an employer’s common law duty of care to an employee to prevent him or her from suffering stress or psychological damage in the workplace. Insofar as is relevant to the issues which remain in the case, I will consider those submissions. 7.3 Secondly, in support of the “360 degree” approach, as adopted by Dr. Mohan, counsel for the Bank relied on the decision of the Court of Criminal Appeal in DPP v. Moore [2005] IECCA 141. In that case, the Court of Criminal Appeal was addressing an application by the DPP of review of a sentence where the respondent had pleaded guilty on a charge of rape. In delivering the judgment of the Court, and in setting out the conclusion on the medical evidence, Hardiman J. pointed out that it was not the role of the Court to endorse the view of one medical practitioner and condemn that of another; the role of the experts is to put the Court in a position itself to reach a conclusion on the relevant issues. However, on the question which the Court had to determine, whether the moral guilt of the respondent for the offence was reduced by reason of it being caused in whole or in part by an organic personality disorder which was the consequence of a brain injury which the respondent had suffered twenty three years previously in a road traffic accident, the Court undoubtedly and, in my view, understandably, preferred the evidence of a consultant psychiatrist who had examined the criteria for a diagnosis of organic personality disorder in very considerable detail and also had examined the history of the respondent in very great detail, including the precise details of the offence in issue and an earlier rape offence of which he was convicted, over the evidence of the respondent’s consultant psychiatrists, who were described as not having had anything but the most general appreciation of the offence in issue, and none whatever of the previous offence. The Court also had evidence in the form of an MRI scan. Even if this Court had to determine whether the plaintiff was fit to return to work in July 2008 or February 2009 on the basis of the evidence of Dr. Mohan and Dr. Lane, or to express a preference for the approach of one of the consultants over the other, which, for the reasons I have outlined, it does not, very little guidance would be afforded by the decision of the Court of Criminal Appeal because the issues in that case and the competing strains of evidence were so different to what the Court would have been concerned with if it had to address those issues. 7.4 Thirdly, counsel for the plaintiff relied on a number of relatively recent Irish authorities in which the suspension of an employee was successfully challenged, for example, O’Donoghue v. South Eastern Health Board [2005] 4 IR 217. While those authorities are of relevance insofar as they address the type of issue which arises on the plaintiff’s impugning of the process conducted to determine his fitness for duty in this case, apart from that they are not relevant. Although counsel for the plaintiff occasionally characterised the position in which he finds himself as being tantamount to suspension, as counsel for the Bank pointed out, the plaintiff is and continues to be the lawful incumbent of the position to which he was appointed in the Bank. His current position is that he is on sick leave and he is being remunerated by reference to the pension rate of pay in accordance with the terms of his contract of employment. 7.5 The rights which the plaintiff invokes in this case are primarily his contractual rights, express or implied. Essentially, as I understand the basis on which it is contended on his behalf that the Court should grant the limited relief which is now being pursued, it involves the following two propositions:
(b) that as a matter of contract, the plaintiff was entitled to have the process to determine his fitness for duty conducted in accordance with fair procedures but, in breach of his contractual entitlements, this did not occur and, accordingly, the decision that he was not fit to return to work communicated in the letter of 7th July, 2008 cannot stand.
8. Bank’s requirement that plaintiff undergo psychiatric assessment
8.2 In relation to the application of the implied duty of mutual trust and confidence, counsel for the plaintiff referred to two English authorities: United Bank Ltd. v. Akhtar [1989] IRLR 507, which was a decision of the Employment Appeal Tribunal on the implementation of a mobility clause in a contract of employment; and Bliss v. South Eastern Thames Regional Health Authority [1987] 1 ICR 700, where the Court of Appeal held that the employer’s unjustifiable demand that an employee submit for a psychiatric examination before he would be allowed to return to work destroyed the relationship of trust and confidence between the employer and employee and was a breach of the contract of employment. In the passage from the judgments in the Court of Appeal in the latter case, upon which counsel for the plaintiff relied, Dillon L.J. (at p. 713):
8.3 Counsel for the Bank referred the Court to a more recent application of the implied term of mutual trust and confidence by the Court of Appeal in the United Kingdom in Deadman v. Bristol City Council [2007] EWCA Civ 822. This Court was referred to the following passage from the judgment of Moore Bick L.J. (para. 12):
9. Fair procedures
9.2 It is the plaintiff’s case that the process which led to that opinion infringed the two common law principles of natural justice: audi alteram partem and nemo iudex in causa sua. Two other Irish authorities were cited by counsel for the plaintiff in support of his contention that fair procedures had not been observed: Rock v. Civil Service Commission (Unreported, High Court, Murphy J., 27th March, 1990); and Ahern v. Minister for Industry and Commerce (No. 2) [1991] 1 I.R. 462. In the latter case, the applicant was a senior examiner in the Patents Office and, as such, was employed by the Department of Industry and Commence. Disciplinary procedures were instituted against him for an alleged serious breach of discipline. In view of the history of his previous behaviour, the Personnel Officer of the Department decided to refer the matter for consideration by the Medical Officer of the Civil Service. The Personnel Officer sent to the Medical Officer reports on the applicant from three officials of the Patents Office, on the basis of which the Medical Officer advised that the opinion of a psychiatrist was required and that, if the applicant refused to attend, a direction to do so on pain of suspension should be made. Having initially agreed to attend the psychiatrist the applicant changed his mind. The Chief Medical Officer advised that the applicant should be placed on compulsory sick leave until such time as he was certified by a psychiatrist as fit for full duties. That was done. The applicant sought, by way of judicial review, an order of certiorari quashing the decision. In fact, the decision was subsequently undone and the applicant had been allowed to, and did, return to work. The aspect of the decision of Blayney J. on which counsel for the plaintiff relied was his consideration as to whether the applicant had established grounds on which it was open to the Court to quash the decision. Blayney J. considered that he had. Having outlined the chronology and having stated that the Personnel Officer decided that it was more appropriate to take the advice of Dr. Finucane, the Medical Officer, in regard to the matter rather than continue the disciplinary procedure, Blayney J. continued:
9.4 The type of assessment process undertaken by Dr. Mohan almost became an issue in recent judicial review proceedings: Fitzpatrick v. Board of Management of St. Marys Touraneena National School and Anor. (High Court, Unreported, 24th July, 2008). As Irvine J. pointed out in her judgment, the focus of the proceedings was on a demand made by the Board of Management employer of the applicant primary teacher that she submit to an independent medical examination after she notified the Board of Management of her intention to return to work following an extensive period of sick leave. At one point in the process Dr. Mohan had been nominated by the Board of Management to carry out the required medical assessment. However, the applicant refused to attend for examination by Dr. Mohan and he never conducted the examination. Nonetheless, one of the issues which the Court was asked to address was whether the Board of Management acted in breach of the principles of natural and constitutional justice in furnishing a document to Dr. Mohan, prepared by the principal of the school, which was a memorandum of the perception of the principal of the applicant’s relationship with the children in the school, the other members of staff, the parents and the principal and, further, because communications had taken place between the principal and Dr. Mohan in advance of the intended medical examination of which the applicant had not been apprised. Apart from pointing out that the applicant had not established in evidence the factual basis underlying her complaint, the Court made no finding, pointing out that it was unnecessary to reach any conclusion as to whether there had been a breach of natural justice or want of fair procedures because the examination never took place. 9.5 Having considered the authorities, I am satisfied that the plaintiff has established that the process which led to the decision communicated in the letter of 7th July, 2008 was not conducted in accordance with fair procedures and infringed the two basic tenets of natural justice. 9.6 First, the request by the Bank’s solicitors in their letter of 20th March, 2008 that the plaintiff attend a second interview with Dr. Mohan did not remedy the inchoate breach of fair procedures inherent in the Bank’s conduct prior to that date by reason of –
(b) the refusal of the Bank to furnish to the plaintiff that material when it was sought by the plaintiff’s solicitors in their letter of 30th January, 2008, and (c) the assertion by the Bank’s solicitors that the material in question was “subject to legal professional privilege”, which, in the context of the purpose for which Dr. Mohan had been retained by the Bank through its solicitors, could not have given rise to such privilege, but which demonstrates a mindset on the part of the Bank and its solicitors in relation to the process which had been set in train. 9.7 Secondly, the additional documentation furnished to Dr. Mohan with the Bank’s solicitors’ letter of 29th April, 2008 tainted the process in two respects. That documentation was acted on by Dr. Mohan without the plaintiff or his solicitors being even made aware that the documentation, some of which constitutes the appendices to Dr. Mohan’s report, had been furnished to Dr. Mohan, without the plaintiff or his solicitors being aware of the contents of the documentation or the attitude of the Bank officials towards him evinced in it, which as the appendices reflect was grossly prejudicial to the plaintiff, and without the plaintiff being given an opportunity to comment on and put his case in relation to the contents of the documentation. Further, the source of the material was infected by a real likelihood of partiality or bias. Counsel for the plaintiff submitted, correctly in my view, that it was inappropriate that Mr. Kelly, whom he described as a protagonist in the bullying complaint which was the subject of the Labour Court proceedings and the Aylward process, should have been in communication with Dr. Mohan and should have been allowed to put his position to Dr. Mohan in documentation which was designed to, and obviously did, influence Dr. Mohan. The same applies to a lesser extent to Mr. Cummins. It was entirely inappropriate that Dr. Mohan should be put in a position of having to base his opinion on the view of Mr. Kelly, and to a lesser extent Mr. Cummins, as to the personal traits, the work performance and the conduct of the plaintiff in the workplace, which he did to a large extent. Whether the views of Mr. Kelly of the plaintiff were correct or not, unfortunately, the appendices to Dr. Mohan’s report give rise to the perception that Mr. Kelly was allowed to be a judge in his own cause. 9.8 The decision of the Bank that the plaintiff should not return to work, which was communicated to his solicitors in the Bank’s solicitors’ letter of 7th July, 2008, as that letter indicates, was based entirely on Dr. Mohan’s report and “his views in relation to the seriousness of [the plaintiff’s] condition”. For the reasons I have outlined, the process which led to Dr. Mohan’s report was not conducted in accordance with the plaintiff’s right to fair procedures and, accordingly, that decision cannot stand.
10. Summary of conclusions and consequences 10.2 However, the process which was conducted after the referral and which resulted in Dr. Mohan’s report and, ultimately, in the Bank’s decision not to allow the plaintiff to return to work was not conducted in accordance with the plaintiff’s entitlement to fair procedures and, accordingly, there will be a declaration in the terms sought by the plaintiff, namely, that that decision was arrived at in breach of the plaintiff’s right to fair procedures and is null and void. 10.3 Counsel for the plaintiff submitted (Transcript, Day 4, 31st March, 2011, p. 111) that, if the Court were to hold that the decision was null and void, it would have an obvious effect, namely, that the plaintiff should be restored to the Bank’s payroll and that the arrears of salary due to him should be discharged. That submission was not really addressed and I will hear the parties further on it and on the precise form of order to be made.
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