Cohn v. Industrial Commission

862 P.2d 881, 176 Ariz. 508, 130 Ariz. Adv. Rep. 29, 1993 Ariz. App. LEXIS 2
CourtCourt of Appeals of Arizona
DecidedJanuary 12, 1993
DocketNo. 1 CA-IC 91-0223
StatusPublished
Cited by1 cases

This text of 862 P.2d 881 (Cohn v. Industrial Commission) is published on Counsel Stack Legal Research, covering Court of Appeals of Arizona primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cohn v. Industrial Commission, 862 P.2d 881, 176 Ariz. 508, 130 Ariz. Adv. Rep. 29, 1993 Ariz. App. LEXIS 2 (Ark. Ct. App. 1993).

Opinion

OPINION

JACOBSON, Judge.

This review of an Industrial Commission award presents to a third panel of this court a problem that has received varying treatment.1 We write to add to the already rich mixture discussing the effect of post-injury employment which is terminated for reasons unrelated to the industrial injury when considering loss of earning capacity.

Claimant, Henry Cohn, sustained a low back injury on March 4, 1990 while employed by the self-insured employer, Smitty’s Super Valu (Smitty’s). His claim for workers’ compensation was accepted.

Approximately a month later, on April 16, 1990, claimant was released for light work and while in this status returned to work at Smitty’s in August 1990. Because of lifting restrictions, he was unable to return to his former position as a clerk and therefore was assigned to light duty as a cashier. He earned the same wage as a [510]*510cashier as he had earned as a clerk. There is no contention that his employment as a cashier was a “sheltered position,” that is, a created job offered in sympathy by his employer. There is also no question that claimant could adequately perform this job.

In September 1990, claimant was terminated for misconduct allegedly arising from belligerent behavior toward a Smitty’s customer. Following his termination he applied to “almost every retail supermarket chain in Phoenix.” He advised these prospective employers about his back injury. He did not find a job until June 22, 1991, when he became employed at Albert-son’s as a stock clerk.

Smitty’s issued a notice of claim status on September 4, 1990 closing claimant’s claim with no permanent impairment. This was duly protested. In February 1991, Smitty’s reopened the claim for additional medical treatment only.

In March 1991, claimant filed a “1061(J)”2 request, contending that Smitty’s had failed to pay him temporary disability benefits in addition to the medical benefits he was receiving. Smitty’s defended this failure on the ground that claimant’s loss of earning capacity was related not to his industrial injury, but rather solely to his own misconduct that resulted in the termination of his post-injury employment.

This brings us to claimant’s first contention in this court — that he was prohibited from presenting evidence that his termination was not related to misconduct and therefore was wrongful. The administrative law judge resolved this question as follows:

In the present case, the undersigned hearing judge has no jurisdiction to determine whether applicant’s employment was properly terminated; however, considering the cited cases, a determination must be made as to whether any loss of earnings was by reason of applicant’s industrial injury alone. Applicant’s arguments concerning the propriety or impropriety of his termination must be considered by a Court or other State Agency empowered by law so to do. The Industrial Commission is not so empow-ered____

We agree with the administrative law judge, if the quoted finding relates to the question whether the Industrial Commission should embark upon an inquiry as to whether claimant’s termination was without “good cause,” which might result in breach of claimant’s employment or union contract. However, there is a more subtle argument being advanced here, that is, that both the rehire and the fire were orchestrated to produce a false post-injury earning capacity. If such could be shown, then, as is true in situations invoking “sheltered positions,” we would agree that claimant’s post-injury earnings would not accurately reflect a post-injury earning capacity. See Allen v. Industrial Comm’n, 87 Ariz. 56, 347 P.2d 710 (1959), We therefore must determine whether the administrative law judge improperly prohibited claimant from pursuing an inquiry into the grounds for termination.

After claimant testified that his termination followed immediately after a confrontation with a female customer, the following exchange occurred:

Q. [BY CLAIMANT’S COUNSEL]: Can you tell us a little bit about this lady?
[SMITTY’S COUNSEL]: I object as not being relevant. The fact is, the man has been terminated, and the only issue is whether this termination is somehow related to his back injury as an excuse for nonpayment of benefits, so I don’t see where the circumstances of termination have to do with the ultimate issue in this case.
[CLAIMANT’S COUNSEL]: Your Honor, I think it’s relevant as to what the reasons for the termination were and if there was any underlying reasoning [511]*511behind it, a reason to possibly discharge the Applicant because of his industrial injury.
[JUDGE]: I don’t sit as a labor court____ The only thing that I’m concerned with is the termination as it may relate to his back injury____

(Emphasis added.) The objection was then sustained.

It appears that both counsel were aware of the relevance of testimony regarding whether the termination was a subterfuge. It is more doubtful whether the administrative law judge was likewise attuned to this nuance. However, claimant’s counsel did not further educate the administrative law judge on this point nor make an offer of proof that further questioning of claimant would somehow show that the termination was connected either with his industrial injury or a plot to deny benefits. In fact, the next question from claimant’s counsel would undercut such a contention:

Q. What was your understanding of why you were terminated?
A. They said I was belligerent towards the customer.

Generally, when the alleged evidentiary error involves the inability to pursue a particular area of proof, it is incumbent upon the offeree to advise the court of what this proof might be so both the trial court and this court can evaluate its relevancy and admissibility. See Warfel v. Cheney, 157 Ariz. 424, 431, 758 P.2d 1326, 1333 (App.1988). This was not done here. Under these circumstances, we find no error in the administrative law judge’s ruling.

This then brings us to the apparently conflicting opinions of this court in D.P.S. and Kinnard. In D.P.S., a majority of the court held that termination of employment because of misconduct3 could not cause a forfeiture of all future benefits. The dissent, by Judge Lankford, took- the position that a termination unrelated to the industrial injury is simply one of the factors that the administrative law judge may consider in determining whether claimant’s loss of earning capacity was “caused” by the industrial injury, as required by A.R.S. § 23-1044(C).

This position prevailed in Kinnard, written by Judge Lankford, which held that:

The fact that the employee was terminated for misconduct does not alone disqualify him from compensation. Rather, that fact merely creates a question of causation for the administrative law judge to resolve.

170 Ariz. at 284, 823 P.2d at 1292. The dissent in

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Related

Cohn v. Industrial Com'n of Arizona
874 P.2d 315 (Arizona Supreme Court, 1994)

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Bluebook (online)
862 P.2d 881, 176 Ariz. 508, 130 Ariz. Adv. Rep. 29, 1993 Ariz. App. LEXIS 2, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cohn-v-industrial-commission-arizctapp-1993.