Local 138, International Union of Operating Engineers v. National Labor Relations Board

321 F.2d 130
CourtCourt of Appeals for the Second Circuit
DecidedJuly 8, 1963
DocketNos. 375, 376, Dockets 27914, 27947
StatusPublished
Cited by1 cases

This text of 321 F.2d 130 (Local 138, International Union of Operating Engineers v. National Labor Relations Board) is published on Counsel Stack Legal Research, covering Court of Appeals for the Second Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Local 138, International Union of Operating Engineers v. National Labor Relations Board, 321 F.2d 130 (2d Cir. 1963).

Opinions

LUMBARD, Chief Judge.

This case is another in the series of cases involving Local 138, International Union of Operating Engineers, and the employers with whom the union deals.1 The members of Local 138 are “operating engineers,” employed in the building and construction trades on Long Island. In proceedings before the National Labor Relations Board, the Board found (1) that the union had violated the National Labor Relations Act, 29 U.S.C. § 141 et seq., by maintaining a collective bargaining agreement with an employers’ association which included provisions discriminating in favor of union members; (2) that the union had violated the act by operating a discriminatory hiring and job referral system and exacting an unlawful fee of nonmembers for use of the referral system; (3) that the union had violated the act by unlawfully discriminating against four individuals in job referrals and by threatening not to refer two of the same individuals and a third individual; (4) that the union, the Nassau and Suffolk Contractors’ Association, the Welfare Fund in which both participate, and the trustees of the Welfare Fund violated the act by operating the Fund so as to discriminate against employees who were not union members and by denying benefits to one such employee; and that employer John C. Peterson Construction Co., a member of Nassau-Suffolk, violated the act by transferring an employee to a less desirable job and thereafter refusing to rehire him when the job to which he was transferred ended. Local 138, the Welfare Fund, and its trustees have petitioned this court to review and set aside the order of the Board. The Board has cross-petitioned for enforcement. We grant enforcement of some provisions, set aside others, and remand to the Board for further findings with respect to others.

Local 138 makes a broad attack on all of the proceedings below on the ground that Ralph Winkler, who acted as trial examiner, had been designated chief counsel to board member Gerald A. Brown on April 21, 1961, and he did not file his Intermediate Report until November 1.6, 1961. This, the union argues, violated § 4(a) of the act, which prescribes that “no trial examiner shall advise or [133]*133consult with the Board with respect to exceptions taken to his findings, rulings, or recommendations.” 29 U.S.C. § 154 (a). Although Winkler’s appointment as chief counsel to board member Brown was announced in April, he did not take office until the day following the issuance of his report. We see no reason why Winkler’s conclusions in his report should have been affected by his impending advancement. And while it may be that during the interim period, Winkler did act in some respects in a dual capacity, member Brown did not sit on this case. There is thus no reason to believe that Winkler played any part whatever in the deliberations of the Board. The union argues that for certain purposes the chief counsel to the board members sit as a committee and reach joint decisions. But it has shown no respect in which such collective deliberations could have affected the result here; so far as we have been informed, the counsel act collectively in phases of a proceeding having nothing to do with review of a trial examiner’s report. In these circumstances, § 4(a) was not violated.

1. The Collective Bargaining Agreement With Building Trades Employers Association.

In 1959, Local 138 entered into a collective bargaining agreement with the Building Trades Employers Association of Long Island, Inc., an association of employers in the construction industry. In 1960, another contract, effective until 1963, was executed. Both contracts included clauses which the Board found to be violations of § 8(b) (1) (A) of the act, 29 U.S.C. § 158(b) (1) (A).2 The clauses in question provided (1) that “No member of the Union shall be subject to a physical examination in order to be employed”; (2) that union members shall be entitled to changes in shift at regular intervals; and (3) that union members shall be paid their accrued wages immediately upon termination of employment. In addition, the contracts provided that “In case any employee becomes ineligible under the rules of the Union and the employer is notified, then the said employer shall promptly discharge such employee.”

The Board argues that by referring only to union members in the above clauses dealing with physical examinations, shifts, and payment of wages, the contract discriminates against nonmembers. Such discrimination, it is urged, goes beyond permissible limits in inducing employees to join the union. See Radio Officers’ Union v. NLRB, 347 U.S. 17, 40-42, 74 S.Ct. 323, 335-336, 98 L.Ed. 455 (1954). The discharge clause is similarly unlawful, the Board argues, because the union rules provide that a member becomes “ineligible” for reasons other than nonpayment of lawfully exacted fees. For example, the constitution of the International, followed by Local 138, provides that a member may be expelled for subscribing “to the principles of communism or similar doctrines,” etc.

We think that our decision in National Labor Relations Board v. Revere Metal Art Co., 280 F.2d 96 (2 Cir.), cert. denied, 364 U.S. 894, 81 S.Ct. 224, 5 L.Ed.2d 188 (1960), requires that enforcement of this provision of the Board’s order be denied. We there indicated that the failure to include in a union security agreement an express negation of “a right of the union to seek the discharge of an employee after union membership had been terminated for reasons other than nonpayment of dues or initiation fees” was not by itself a violation of the act even though the union rules provided for expulsion from the union for such other reasons. Id. at 103. We pointed out that “the safeguard to the employee is postponed until discriminatory action is taken.” Id. at 105. The Board has not pointed to any case of an employee who was discharged by his employer for failure to comply with union rules. As to that aspect of the case, Revere Metal Art, supra, is controlling. As to the other disputed [134]*134clauses of the agreement, the Board has not shown or even attempted to show that any of them has been discriminator-ily applied. For aught that appeal's, references to union members in the agreement are simply references, naturally phrased by a union entering into an agreement with an employer, to all employees. And, while we might be tempted, as we were in Revere Metal Art, supra, at 103, to construe the act to prohibit “the creation of a setting in which employees would think discrimination by the employer” was likely to result from nonmembership, the Board’s proof has not gone even so far as to suggest that such a setting exists apart from pointing to the bare words of the agreement. We will not approve a finding of a violation which is based solely on words in an agreement which lend themselves as easily to a construction consistent with the act as to a construction which, if carried into eifect, would result in conduct illegal under the act. Enforcement of this provision of the Board’s order is denied.

II.

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321 F.2d 130, Counsel Stack Legal Research, https://law.counselstack.com/opinion/local-138-international-union-of-operating-engineers-v-national-labor-ca2-1963.