Brown v. Beckwith Evans Co.

480 N.W.2d 311, 192 Mich. App. 158
CourtMichigan Court of Appeals
DecidedDecember 2, 1991
DocketDocket 120595
StatusPublished
Cited by11 cases

This text of 480 N.W.2d 311 (Brown v. Beckwith Evans Co.) is published on Counsel Stack Legal Research, covering Michigan Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brown v. Beckwith Evans Co., 480 N.W.2d 311, 192 Mich. App. 158 (Mich. Ct. App. 1991).

Opinion

Shepherd, J.

Plaintiff appeals by leave granted *160 from an August 10, 1989, decision of the Workers’ Compensation Appeal Board modifying a hearing referee’s award to plaintiff. We vacate the wcab decision in part and remand for findings of fact and conclusions of law.

i

This matter commenced with plaintiff’s filing of a petition for hearing in the Bureau of Workers’ Disability Compensation. The petition was the standard one-page form that alleges little more than that plaintiff suffered a personal injury or disablement from occupational disease that occurred because plaintiff was exposed to repetitive strenuous work that involved causes and conditions peculiar to and characteristic of the defendant employer’s business, and the nature of the disability ("back, neck, hand and arm”). Defendants filed an answer with various specific denials of liability and a document entitled "Affirmative Defenses.” 1

At the hearing, plaintiff testified that he began working for the defendant employer in 1949 and, with relatively short periods in managerial and other positions, drove trucks and unloaded rolls of carpeting until January 27, 1984. In 1982, plaintiff began to experience pain and numbness in his left hand and aching in his left forearm. In February 1983, plaintiff stopped working and surgery was *161 performed on his left elbow. Plaintiff testified that, although he did not feel physically capable, he returned to defendant’s employ in October 1983 because his "sick benefits from the Teamsters” ran out. He returned to his previous duties because no light work was available. Plaintiff testified that he tried to use his left hand as little as possible, but that the soreness and aching returned. He stopped working for the defendant employer on January 27, 1984. Medical testimony also was introduced.

The hearing referee found plaintiff totally disabled, ordered defendants to pay compensation for the period from February 27, 1983, to October 16, 1983, and awarded benefits for the open period from January 28, 1984, until further order of the Bureau of Workers’ Disability Compensation.

On appeal to the wcab, defendants argued (1) that plaintiff failed to prove by a preponderance of the evidence that his disability was causally related to his employment and (2) that he voluntarily left work within his ability to perform. In their argument regarding the second issue, defendants mentioned § 373 of the Workers’ Disability Compensation Act, MCL 418.373; MSA 17.237(373), which imposes a higher standard of disability upon certain "retirees,” and argued that plaintiff fell within its provisions and failed to meet the higher standard. The wcab affirmed the award for the closed period, but found that plaintiff failed to qualify for the open award under § 373. The wcab decision states:

If we were to analyze this case under Chapter 3 of the Act under normal circumstances, we should find that plaintiff has preponderated in proving a continuing disability of the hand, wrist and arm. Aquilina v General Motors Corp, 403 Mich 206 [267 NW2d 923] (1978). . . .
*162 Unfortunately for the plaintiff, the above analysis is only a prelude to the real analysis in this case. On appeal, the defendants raise the relevancy of Section 373 of the Act. We believe it is clear from the record of this case that plaintiff sought a nondisability retirement and receives a pension in that regard. [Emphasis in original.]

The decision of the wcab then applies the disability standard set forth in § 373 and concludes that, under that standard, plaintiff does not have a compensable disability.

ii

Section 373 reads:

(1) An employee who terminates active employment and is receiving nondisability pension or retirement benefits under either a private or governmental pension or retirement program, including old-age benefits under the social security act, 42 USC 301 to 1397f, that was paid by or on behalf of an employer from whom weekly benefits under this act are sought shall be presumed not to have a loss of earnings or earning capacity as the result of a compensable injury or disease. under either this chapter or chapter 4. This presumption may be rebutted only by a preponderance of the evidence that the employee is unable, because of a work related disability, to perform work suitable to the employee’s qualifications, including training or experience. This standard of disability supersedes other applicable standards used to determine disability under either this chapter or chapter 4.
(2) This section shall not be construed as a bar to an employee receiving medical benefits under section 315 upon the establishment of a causal relationship between the employee’s work and the need for medical treatment.

*163 By its plain language, §373 is applicable in a proceeding for weekly benefits under the wdca where the following have been established: (1) the employee seeking the benefits has terminated active employment, (2) the employee receives a non-disability pension or retirement benefits under either a private or governmental pension or retirement program, and (3) the employee’s pension or retirement program "was paid by or on behalf of’ the employer from whom the weekly benefits are sought.

It is generally recognized that the legislative history of § 373 evinces an intent to remedy — at the behest of employers — perceived abuses by retirees who sought to supplement their pensions with wage-loss benefits under the wdca. See White v General Motors Corp, 431 Mich 387, 408; 429 NW2d 576 (1988) (concurring opinion by Justice Archer); Frasier v Model Coverall Service, Inc, 182 Mich App 741, 745-746; 453 NW2d 301 (1990); Peck v General Motors Corp, 164 Mich App 580; 417 NW2d 547 (1987), rev’d in part on other grounds 432 Mich 892 (1989).

When §373 is applicable, a "presumption” applies; the employee falling within the section "shall be presumed not to have a loss of earnings or earning capacity as the result of a compensable injury under either” chapters 3 or 4 of the wdca. MCL 418.373(1); MSA 17.237(373X1). "This presumption may be rebutted only by a preponderance of the evidence that the employee is unable, because of a work related disability, to perform work suitable to the employee’s qualifications, including training or experience.” Id.

As noted in the lead opinion in White, supra, p 393, this is not a true presumption because it "does not shift the claimant’s burden of producing evidence.” Rather, the presumption language *164 "merely classifies those persons entitled to benefits under § 373.” Id. The final sentence of § 373(1) reads: "This standard of disability supersedes other applicable standards used to determine disability under either this chapter [chapter 3] or chapter 4.” This sentence supports the White

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Bluebook (online)
480 N.W.2d 311, 192 Mich. App. 158, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-v-beckwith-evans-co-michctapp-1991.