American Yearbook Co. v. Labor & Industrial Relations Commission

739 S.W.2d 755, 1987 Mo. App. LEXIS 4898
CourtMissouri Court of Appeals
DecidedNovember 17, 1987
DocketNo. WD 39153
StatusPublished
Cited by4 cases

This text of 739 S.W.2d 755 (American Yearbook Co. v. Labor & Industrial Relations Commission) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
American Yearbook Co. v. Labor & Industrial Relations Commission, 739 S.W.2d 755, 1987 Mo. App. LEXIS 4898 (Mo. Ct. App. 1987).

Opinion

TURNAGE, Judge.

The Labor and Industrial Relations Commission affirmed the determination made by the Division of Employment Security that sales representatives employed by American Yearbook Co., Inc. were covered by the Employment Security Law, Chapter 288, RSMo 1978. On appeal, the circuit court reversed the Commission and held the representatives were not covered. Reversed and remanded.

Thomas W. Smith filed a claim for unemployment compensation in which he stated that he was employed by Josten’s, Inc. and worked as a salesman for American Yearbook. A hearing was held in November of 1981 to determine whether or not Smith performed services for wages in employment by Josten’s during the first, second and third calendar quarters of 1980. The only testimony except for formal material came from the corporate tax manager and the regional sales manager of Josten’s. That testimony revealed that American Yearbook is a separate corporation but is wholly owned by Josten’s. The witnesses produced a contract which is signed by American Yearbook and sales representatives and described the relationship between those two. The business of American Yearbook is the printing and sale of school yearbooks and other publications and, in addition, the sale of other items connected with schools, such as T-shirts. The company assigned a territory to each representative, and the representative was obligated to devote his full time and best efforts to the selling of American Yearbook products. He was required to make such reports to the company as were deemed necessary by the company. The company supplied a confidential price list to the representative, which gave the price the company would charge the representative for each product the company sold. The representatives were free to charge any price they determined for the sale of the products but were obligated to pay the company the price set by the company. The difference between the amount charged by the company and the price charged by the representative was the representative’s commission. All receipts for sales were sent to the company and the company kept a record of purchases and sales made by each representative. Settlements between the company and representative were made once or twice a year.

To assist the representative between settlements, the company gave each a monthly amount, labeled as a draw, which was later charged against the amount due the representative.

The company had the right to terminate the representative at any time if he failed to live up to the terms of the contract.

The testimony revealed that the company did not control the time and manner in which the representative performed his sales duty; he was free to set his own hours and to decide which school within his territory he called on at any particular time. The representative could not sell any item produced by a competitor of American Yearbook and agreed not to sell products similar to those sold by American in the schools in his territory for a year after the termination of the contract.

At the conclusion of that hearing, the appeals tribunal found that Smith was not an employee of Josten’s but worked under an agreement with American Yearbook.

Shortly after the Smith hearing the Division instituted an investigation into [757]*757whether or not individuals engaged as sales representatives by American Yearbook performed services for wages in employment within the meaning of §§ 288.034 and 228.036, RSMo 1978.1 A deputy determined that the individuals involved did come within the provisions of Chapter 288. American Yearbook filed an appeal and it was agreed that the appeal would be determined by considering the evidence adduced before the appeals tribunal on the claim of Smith because that evidence fully detailed the relationship between the representatives and American. After considering that evidence the appeals tribunal affirmed the deputy’s determination that individuals engaged in sales for American Yearbook were covered by Chapter 288. That decision was affirmed by the Commission, but on appeal by American Yearbook, the circuit court reversed the Commission on finding that American Yearbook did not exercise control over its sales representatives. The Division appealed from that judgment contending that under the holding in Koontz Aviation, Inc. v. Labor and Industrial Relations Commission, 650 S.W.2d 331 (Mo.App.1983), the sales representatives are covered. American Yearbook contends that because it did not exercise control over the means or methods by which sales representatives perform their duties that such representatives were independent contractors and American Yearbook was not an employer subject to the law. American further contends that the Division is prohibited by collateral estoppel from deciding whether or not American is an employer subject to the law because the Smith determination became final when no appeal was filed.

Koontz pointed out that § 288.034.5 provides that irrespective of the usual tests for determining the existence of the independent contractor relationship as at common law, service performed by an individual for wages shall be deemed to be employment subject to the law unless three conditions are shown to exist. American Yearbook focuses entirely on the first provision, which requires the individual to be free from control or direction over the performance of service both under the contract and in fact. American fails to consider the other two conditions. The second condition is that the service is either outside the usual course of the business for which such service is performed or it is performed outside all of the places of business of that enterprise. The third condition is that the individual is customarily engaged in an independently established trade, occupation, profession or business. Koontz held that all three conditions must be met before an employer can be found to be excluded from coverage. Id. at 334. In Koontz, this court quoted from Vermont Securities, Inc. v. Vermont Unemployment Compensation Commission, 118 Vt. 196, 104 A.2d 915, 917[2] (1954), in which the court had considered the third requirement of an identically worded statute and held that the trade, occupation, profession or business must be established independently of the employer or the rendering of the personal service forming the basis of the claim.

In an article on the scope of unemployment compensation laws, the author observes with respect to statutes with the wording of § 288.034.5(3):

The double requirement, that the worker’s occupation be “independently established” and that he be “customarily” engaged in it, clearly calls for an enterprise created and existing separate and apart from the relationship with the particular employer, an enterprise that will survive the termination of that relationship.

Willcox, The Coverage of Unemployment Compensation Laws, 8 Vand.L.Rev. 245, 265 (1955). The reason for the third requirement is stated in a discussion of commission salesmen just like the sales representatives here:

[T]he control test tends to exclude from coverage many persons who, fully as much as common-law servants, are dependent on their jobs for their daily living and are exposed to the risk of unemployment.

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739 S.W.2d 755, 1987 Mo. App. LEXIS 4898, Counsel Stack Legal Research, https://law.counselstack.com/opinion/american-yearbook-co-v-labor-industrial-relations-commission-moctapp-1987.