Central Oregon Intergovernmental Council v. Albert

320 P.3d 614, 260 Or. App. 640, 2014 WL 258932, 2014 Ore. App. LEXIS 90
CourtCourt of Appeals of Oregon
DecidedJanuary 23, 2014
Docket1006937, 1006819; A150222
StatusPublished

This text of 320 P.3d 614 (Central Oregon Intergovernmental Council v. Albert) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Central Oregon Intergovernmental Council v. Albert, 320 P.3d 614, 260 Or. App. 640, 2014 WL 258932, 2014 Ore. App. LEXIS 90 (Or. Ct. App. 2014).

Opinion

HADLOCK, J.

Under the Oregon Workers’ Compensation Law, a worker who suffers permanent disabilities in association with a compensable work-related injury will be entitled to a permanent partial disability (PPD) benefit if certain requirements are met. If the worker has returned to regular work at the job held at the time of injury or has been released to that work, then “the award shall be for impairment only,” which is defined as “the loss of use or function of a body part or system * * * expressed as a percentage of the whole person.” ORS 656.214(1)(a), (2)(a). Conversely, if the worker has not returned to regular work and has not been released to that work, then “the award shall be for impairment and work disability.” ORS 656.214(2)(b). “Work disability’ means impairment modified by age, education and adaptability to perform a given job.” ORS 656.214(1)(e).

This case involves a dispute over whether claimant had been released to regular work at the time his PPD benefit was determined and, therefore, whether he was entitled to work disability as part of that benefit. The Workers’ Compensation Board (1) ruled that claimant was entitled to work disability and (2) penalized employer under ORS 656.268(5)(e) in association with its failure to include work disability in claimant’s PPD benefit. Employer seeks judicial review, challenging both aspects of the board’s order. As explained below, we conclude that the board erred in analyzing claimant’s entitlement to work disability, and we remand the case to the board for reconsideration of that point. In light of that remand, we need not address employer’s argument that the board erred by penalizing employer for not having included work disability in claimant’s PPD award.1

The historical facts are not contested in any respect that is pertinent to our analysis. Claimant worked for employer as a “crew member” whose duties included clearing [642]*642and building trails, building fences, and piling brush. In August 2009, claimant sustained a compensable injury to his knee. Employer accepted a claim for “dislocation, ACL tear, small tear medial meniscus, PCL tear, and Grade II strain, MCL.” Claimant had two surgeries, the second of which was performed by Dr. Nonweiler in September 2009. He later participated in extensive physical therapy.

In November 2009, Nonweiler released claimant to a modified duty job, working four hours per day. The next month, Nonweiler approved claimant to perform sedentary work eight hours per day. That work was defined to include no lifting or carrying of objects weighing more than 10 pounds; claimant was to perform even lighter lifting or carrying only occasionally.

Nonweiler concluded in March 2010 that claimant was medically stationary and referred him for an evaluation of what Nonweiler projected would be “permanent impairment with respect to the knee.” Later that month, an occupational therapist performed a “Physical Capacities Evaluation” (PCE) of claimant that was designed to “assess residual functional capacities since injury, specifically as this relates to return-to-work activities.” After performing various tests, the therapist concluded that claimant could work “within the Light/Medium work range as defined by the U.S. Department of Labor.” Among other details, the PCE report specified that claimant could frequently lift objects weighing up to 20 pounds and could occasionally lift and carry heavier objects weighing up to 45 pounds. The therapist specifically recommended against claimant lifting or carrying anything weighing more than 45 pounds, although she anticipated that he would be able to lift and carry up to 50 pounds within six months. The therapist also recommended some restrictions on the amount of time that claimant would spend standing and walking, noted that he could not squat using his right knee unless he was wearing a brace, and reported that he “was unable to demonstrate the ability to kneel and fully weight bear on the right knee.” The therapist recommended that claimant “function within the parameters” described in the PCE report if he returned to work.

[643]*643In April 2010, Nonweiler sent employer’s insurer a form indicating that he concurred with every aspect of the PCE. Two months later, however, Nonweiler signed a “Regular Duty Job Analysis” form that had been prepared by employer. According to the instructions printed on the form, it was “intended to detail the physical requirements of the employee’s regular job duties for review by the attending physician to determine whether the employee is able to return to the regular job.” The form identified claimant’s job as a “Crew Member” and described job duties that included “[t]rail maintenance, weed pulling, fence building, slash piling, campground maintenance.” Specific physical tasks included frequent lifting of up to 20 pounds, occasional lifting of up to 50 pounds, and rare lifting of up to 75 pounds (defined as an event occurring one to five times per eight-hour work shift). The form also described claimant’s job as involving frequent crouching and rare kneeling. Nonweiler’s signature on the “Regular Duty Job Analysis” form apparently indicated to all parties that he agreed that claimant could perform the described job duties.

Employer subsequently issued a notice of closure in June 2010, awarding six percent “whole person” impairment for claimant’s injured knee. The notice of closure stated that claimant had been released to regular work; indeed, the notice indicated that claimant had been released to his “ [j] ob at injury without restrictions.” Accordingly, the notice of closure did not include a work-disability award.

After employer issued the notice of closure, claimant requested reconsideration before the Appellate Review Unit (ARU) of the Workers’ Compensation Division of the Department of Consumer and Business Services. During the ARU reconsideration process, claimant submitted an August 2010 “concurrence letter” that claimant’s lawyer had sent to Nonweiler, the physician who performed claimant’s second knee surgery. That letter pointed out the seeming inconsistency between Nonweiler’s March 2010 concurrence with the PCE report, which recommended that claimant not lift or carry more than 45 pounds, and his signature on the June 2010 “Regular Duty Job Analysis” form, which described claimant’s job as requiring some lifting [644]*644and carrying of weights up to 75 pounds. The lawyer’s letter also described a purported inconsistency between the March 2010 concurrence and the June 2010 job-analysis form regarding the degree to which claimant could crouch or kneel. Claimant’s lawyer asked Nonweiler whether, in light of those described inconsistencies, he still concurred with all aspects of the PCE findings.

The copy of the letter that was introduced in the ARU proceeding included Nonweiler’s responses to the questions posed by claimant’s lawyer. Nonweiler first indicated that he still concurred with all aspects of the PCE. Nonweiler also indicated that claimant was not

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Cite This Page — Counsel Stack

Bluebook (online)
320 P.3d 614, 260 Or. App. 640, 2014 WL 258932, 2014 Ore. App. LEXIS 90, Counsel Stack Legal Research, https://law.counselstack.com/opinion/central-oregon-intergovernmental-council-v-albert-orctapp-2014.