Clifton D. Mayhew, Inc. v. Wirtz

413 F.2d 658
CourtCourt of Appeals for the Fourth Circuit
DecidedJuly 3, 1969
DocketNos. 13015, 13016
StatusPublished
Cited by53 cases

This text of 413 F.2d 658 (Clifton D. Mayhew, Inc. v. Wirtz) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fourth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Clifton D. Mayhew, Inc. v. Wirtz, 413 F.2d 658 (4th Cir. 1969).

Opinion

CRAVEN, Circuit Judge:

This action was brought by the Secretary under Section 17 of the Fair Labor Standards Act of 1938, as amended,1 [660]*660to enjoin Mayhew, Inc. from violating overtime provisions of the Act and to recover unpaid overtime compensation said to be due under Section 7 of the Act. Mayhew pleaded in exoneration Section 10 of the Portal-to-Portal Act,2 which affords a complete defense if an employer proves “that the act or omission complained of was in good faith conformity with and in reliance on any written administrative * * * interpretation” of the Wage and Hour Administrator. After discovery both parties moved for summary judgment which was granted for the Secretary. Mayhew appeals maintaining (1) that it showed good faith reliance on the Administrator’s Interpretive Bulletin 776 and that, therefore, the district court erred in ruling against it and (2), in the alternative, that there was a triable issue of fact as to its good faith. The Secretary cross-appeals contending that the district court erred in refusing to award interest on the accrued wages found to be owed to Mayhew’s employees. We affirm the decision of the district court.

Relevant to Mayhew’s good faith defense is its past experience with the Wage and Hour Division. Mayhew is a painting subcontractor, whose work consists almost entirely of painting apartment houses, hospitals, hotels, barracks, swimming pools, new construction, and the like. In January and February of 1961 Mayhew was inspected by the Wage and Hour Division. At that time defendant’s president, Clifton D. May-hew, retained John B. Kneipple, an attorney specializing in labor law, who handled the ensuing negotiations with the Secretary’s Investigation Supervisor. At issue in those negotiations was the extent to which defendant’s operation was covered by the Act. Correspondence between Kneipple and the Investigation Supervisor indicate that Mayhew at that time relied heavily on Interpretive Bulletin 776, the Administrator’s interpretation of the Act’s coverage of the construction industry.

On April 24, 1961 Kneipple wrote a letter to the Wage and Hour Division, sending a copy to Mayhew. Portions of this letter, set out below, clearly indicate an awareness of legislation then before Congress which on May 5, 1961, became the 1961 Amendments to the Fair Labor Standards Act:

. . . I have just received a copy of the bill (H.R. 3935) which was adopted by the Senate on April 20, 1961. It amends Section 3 and defines the expressing (sic) ‘enterprise engaged in * * * the production of goods for commerce’ to include ‘any such enterprise which is engaged in the business of construction or recoru-struction, or both, if the annual gross volume from such enterprise is not less than $350,000.’ * * * Should this particular amendment be adopted, its legislative history may shed some light as to the views of Congress concerning the applicability of the Act to construction at the present time. It is our impression that H.R. 3935, which, incidentally, is supported by the Administration, is intended to broaden rather than reduce coverage
* * * * * -X-
I intend to follow this legislation closely and find out what I can about what is intended. (Emphasis in original).

Kneipple was retained by Mayhew on a case-by-case basis and when, after he and the Investigation Supervisor could not agree on a settlement of the 1961 case and it was referred to the Regional Office where no further action was taken, he terminated his formal services. However, Kneipple and Mayhew did, after the 1961 Amendments were enacted, have occasion to discuss their effect on defendant’s operation.

The complaint in the instant litigation was filed April 21, 1967, wherein it was [661]*661alleged that defendant’s operation was covered by Section 3(s) (4) of the Act,3 which is a part of the 1961 “enterprise” amendments to the Act and read substantially as quoted and emphasized in Kneipple’s April 24, 1961 letter to the Wage and Hour Division. Mayhew did not contend that its operation was not in fact within the Act’s coverage. As previously stated the defense was, rather, the good faith defense provided by Section 10 of the Portal-to-Portal Act. The administrative interpretation relied on by defendant is the Administrator’s Interpretive Bulletin 776, Subpart B. 29 C.F.R. § 776.22 et seq. Defendant places particular emphasis on the following language from that Bulletin:

[The] erection, maintenance or repair of dwellings, apartments, hotels, churches and schools are not covered projects. Similarly the construction of a separate, wholly new, factory building, not improvement of an existing covered production plant, is not covered. Interpretive Bulletin 776.26, 29 C.F.R. § 776.26.
Construction of a new factory building, even though its use for interstate production upon completion may be contemplated, will not ordinarily be considered covered. Interpretive Bulletin 776.27(c) (1), 29 C.F.R. § 776.27.

If Mayhew relied in good faith on Bulletin 776 and did not believe that its operation came within the Act’s coverage there is clearly no liability under the Act. The statute does not specify whether the good faith standard in Section 10 of the Portal-to-Portal Act is subjective or objective. The courts have interpreted the statute both ways.4 However, the legislative history of Section 10 demonstrates, we think, that Congress intended the standard to be an objective one, and we so hold.

Representative Walter, one of the Managers of the bill in the House and a member of the Conference Committee, commented :

The defense of good faith is intended to apply only where an employer innocently and to his detriment, followed the law as it was laid down to him by government agencies, without notice that such interpretations were claimed to be erroneous or invalid. It is not intended that this defense shall apply where an employer had knowledge of conflicting rules and chose to act in accordance with the one most favorable to him. Yol. 93, Part 4, Cong. Ree. 4390.

On signing the Portal-to-Portal Act, President Truman submitted a message to Congress in which he stated:

I wish also to refer to the so-called ‘good faith’ provisions of Sections 9 and 10 of the Act. It has been said that they make each employer his own judge of whether or not he has been guilty of a violation. It seems to me that this view fails to take into account the safeguards which are contained in these Sections. The employer must meet an objective test of actual conformity with an administrative ruling or policy. If the employer avails himself of the defense under these Sections, he must bear the burden of [662]*662proof. U.S.Code Congressional Service, 80th Congress, First Session, 1947, p. 1827. (Emphasis added).

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Bluebook (online)
413 F.2d 658, Counsel Stack Legal Research, https://law.counselstack.com/opinion/clifton-d-mayhew-inc-v-wirtz-ca4-1969.