Jenkins v. Ford Motor Co.

498 S.E.2d 445, 27 Va. App. 281, 1998 Va. App. LEXIS 262
CourtCourt of Appeals of Virginia
DecidedMay 5, 1998
Docket0092971
StatusPublished
Cited by10 cases

This text of 498 S.E.2d 445 (Jenkins v. Ford Motor Co.) is published on Counsel Stack Legal Research, covering Court of Appeals of Virginia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Jenkins v. Ford Motor Co., 498 S.E.2d 445, 27 Va. App. 281, 1998 Va. App. LEXIS 262 (Va. Ct. App. 1998).

Opinion

BAKER, Judge.

Aundra N. Jenkins (claimant) appeals the decision of the Workers’ Compensation Commission (commission) denying him benefits under the Workers’ Compensation Act (Act). He contends the commission erred in holding that Ford Motor Company (employer) was not equitably estopped from asserting the statute of limitations under Code § 65.2-601 to bar his claim for benefits. On cross appeal, employer contends no credible evidence supports the commission’s finding that employer recognized claimant’s claim as compensable before the statute of limitations had expired. For the reasons that follow, we affirm the commission’s denial of benefits. 1

The relevant facts are largely undisputed. On June 28, 1998, a problem with a hoist forced claimant to lift a bumper to place it into position on a truck. As claimant rose from a squatting position with the bumper in his hands, he felt a strain in his lower back. He reported the injury to his foreman and to employer’s first aid clinic, where he received treatment through July 1, 1993.

Claimant completed a form provided by employer and received payment for the two days of work he missed in June 1993. Claimant was not aware of the source of those funds. Employer’s records indicate that the form was an application for benefits under employer’s John Hancock insurance plan for short term disability, not employer’s workers’ compensation program. However, a notation on the John Hancock application indicates that claimant’s injury was viewed as a “possible workers’] c[ompensation] case.” On July 23, 1993, employer filed with the commission Form 45A, a report of minor injuries, that included claimant’s June 28, 1993 accident. Claimant did not recall having received an informational pamphlet about his rights under the Act from the commission but “[could not] be sure” he did not receive one. The commis *285 sion’s opinion 2 adjudicated the claim as if claimant had received the pamphlet.

In April 1994, claimant experienced pain in his leg and sought outside medical treatment. The examining physician told claimant he thought the pain was caused by claimant’s back. In May 1994, claimant returned to employer’s clinic and reported recurring back problems; he received work restrictions and medication. In August 1994, he again returned to the clinic and requested referral to an outside physician. Mitchell Ott, employer’s workers’ compensation administrator, offered claimant a panel of physicians, and claimant chose Dr. Frank Burns, an orthopedic surgeon. Bums examined claimant on August 29, 1994, recorded a history of the June 28, 1993 injury, and diagnosed claimant as suffering from a chronic lumbar strain. Dr. Burns recommended a back exercise program and prescribed anti-inflammatory medication. Claimant attended one physical therapy session for back exercise training. When claimant returned to Dr. Burns on September 12, 1994, he reported his back was “doing better,” and Bums instructed him to return “as necessary.”

Claimant received no additional treatment until February 16, 1995, when he reported to employer’s clinic that his back was stiff due to his June 1993 injury. He was given pain medication. On May 2 and 3, 1995, he was seen in the clinic, reporting a two-week history of back spasms radiating down his leg. He saw employer’s clinic physician and received additional medication. He returned on May 4, 1995, but employer’s physician was unavailable. Apparently, claimant then sought outside treatment, underwent an MRI, and was *286 referred to Dr. Isabelle Richmond, a neurosurgeon. Dr. Richmond examined claimant on June 6, 1995, reviewed claimant’s lumbar MRI, and recommended surgery.

Claimant returned to Ott on June 9, 1995, reported his visit with Dr. Richmond, and asked employer to authorize Richmond’s care as necessitated by his 1993 injury. Ott had no reports from Dr. Richmond, and because Dr. Burns was claimant’s treating physician for his 1993 injury, Ott directed claimant to return to Dr. Burns for evaluation. Ott also wrote a letter to Dr. Burns asking Dr. Burns to provide a report to “assist in a determination of whether employer will treat this [claim] as governed under the [Act].” On June 28, 1995, Burns examined claimant. He noted that claimant suffered from a herniated disc, “that this disc is probably related to his original injury, and is a continuation of the same injury.”

On June 29, 1995, Ott received Dr. Burns’ recommendation and prepared a formal first report of injury, dated June 30, 1995, which he filed with the commission. In addition, because Ott was going to be out of the office the following week, he contacted Karen Gibson, a rehabilitation nurse with Resource Opportunities, to assist claimant in scheduling an appointment with a panel neurosurgeon. Claimant chose Dr. Warren Foer, and Gibson scheduled an appointment for July 11,1995. Dr. Foer agreed with the diagnosis of herniated disc and recommended surgery. Foer believed this process began with the original injury of June 28,1993.

On July 12, 1995, Ott made a notation in employer’s computer system that employer would accept claimant’s claim as compensable under the Act and would reimburse John Hancock for amounts already paid. On July 18, 1995, employer began voluntarily to send claimant compensation checks to cover his time out of work from June 6, 1995, forward. Compensation payments were made for various periods through October 8, 1995. Ott acknowledged that employer never prepared or submitted a Memorandum of Agreement for these payments. Ott testified that he never told claimant *287 whether he thought the claim was compensable. Claimant did not contradict that statement.

Ott acknowledged that employer hired Karen Gibson to monitor claimant’s progress. Gibson accompanied claimant to his medical appointments and reported her activities to employer. Ott said this was something employer did “when we have an individual who has a pretty serious injury and we are ... paying workers’ compensation benefits.”

On September 15, 1995, more than two years after his injury occurred, claimant wrote the commission denying knowledge that Code § 65.2-601 required him to file a claim for compensation.

Following a hearing on claimant’s application for benefits, the deputy commissioner ruled that the tolling provisions of Code § 65.2-602 did not apply to toll the statute of limitations because (1) employer’s filing of Form 45A constituted the filing of a first report as required under that code section and (2) that filing caused the commission to send claimant its workers’ compensation guide. However, he also held that the doctrine of equitable estoppel applied to prevent employer from asserting the statute of limitations in Code § 65.2-601 as a bar to compensability of the claim.

Employer appealed to the full commission, contending in its written statement that the deputy had improperly applied the doctrine of equitable estoppel. Claimant, in his written statement, argued that the doctrines of both equitable estoppel and imposition supported the deputy’s ruling. 3

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Bluebook (online)
498 S.E.2d 445, 27 Va. App. 281, 1998 Va. App. LEXIS 262, Counsel Stack Legal Research, https://law.counselstack.com/opinion/jenkins-v-ford-motor-co-vactapp-1998.