National Labor Relations Board v. Puerto Rico Food Products Corporation

232 F.2d 515
CourtCourt of Appeals for the First Circuit
DecidedJune 13, 1956
Docket4984_1
StatusPublished
Cited by4 cases

This text of 232 F.2d 515 (National Labor Relations Board v. Puerto Rico Food Products Corporation) is published on Counsel Stack Legal Research, covering Court of Appeals for the First Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
National Labor Relations Board v. Puerto Rico Food Products Corporation, 232 F.2d 515 (1st Cir. 1956).

Opinion

WOODBURY, Circuit Judge.

This is a petition by the National Labor Relations Board under § 10(e) of the Labor Management Relations Act, 1947, 61 Stat. 147, 148, 29 U.S.C.A. § 160(e), for enforcement of an order entered by it under § 10(c) of the Act against the respondent, a Puerto Rican corporation, engaged in the business of canning local fruits and vegetables which it sells in substantial part in continental United States. All facts essential both to the Board’s jurisdiction and to ours are stipulated.

On February 15, 1953, 36 of approximately 50 employees at the respondent’s plant in Rio Piedras signed cards authorizing the “Union Industrial Amalgamada Num. 1” to act as their collective bargaining representative. And on February 27, eleven days later, a union calling itself “Union Amalgamada Num. 1” filed a petition with the Board for certification as the collective bargaining representative of the respondent’s maintenance and production employees. When that petition came on for hearing on March 16 the union moved to amend its petition to show its correct name to be “Union Industrial Amalgamada #1, Independiente,” and the Board in its decision and direction of election issued on June 15 allowed the motion because it said it was “satisfied that Union Amalgamada #1 and Union Industrial Amialgamada #1, Independiente are one and the same labor organization.”

That petition for certification, however, was withdrawn by permission of the Board after the instant proceeding was initiated by a charge of unfair labor practices filed with the Board by “Union Industrial Amalgamada Num. 1.” A complaint issued on this charge alleging unfair labor practices by the respondent by interfering with, restraining, and coercing its employees in the exercise of their rights under § 7 of the Act, 29 U.S. C.A. § 157, by discriminatorily discharging 17 employees for their pro-union activities and by refusing to bargain collectively with the charging Union as the representative of an appropriate employee unit. The respondent answered denying the allegations of unfair labor practices and in addition pleaded as a special defense that the charging Union was not in compliance with § 9(f), (g), and (h) of the Act, 29 U.S.C.A. § 159 (f-h). 1

Usual proceedings followed and after a hearing in due course the trial examiner filed his intermediate report. In that report he found that the “union herein,” which he called “Union Industrial Amalgamada #1,” was a labor organization within the meaning of § 2(5) of the Act, 29 U.S.C.A. § 152(5), that it was the exclusive representative for the purpose of collective bargaining of an appropriate unit of the respondent’s employees, and that its three charges of unfair labor practices were sustained by the evidence introduced at the hearing. Furthermore the trial examiner ruled that the respondent’s special defense on the ground of the Union’s non-compliance *517 with the provisions of § 9(f), (g), and (h) of the Act presented an issue of fact for administrative determination which was “not litigable by the parties.” To this, however, he added that he had “administratively satisfied” himself that at all material times the Union was in fact in compliance with the above sections of the Act.

The Board reviewed the trial examiner’s rulings and, finding that no prejudicial error had been committed, affirmed them all. It also adopted the trial examiner’s findings, conclusions, and recommendations, except those with respect to the respondent’s refusal to bargain, which it rejected on the ground that the General Counsel had not proved that the Union represented an uncoerced majority of the respondent’s employees in the unit involved. On the basis of these findings and conclusions the Board issued an appropriate cease and desist order in the usual form and with the usual provisions for affirmative action. This is the order which the Board asks us to enforce.

On the merits, the Board’s petition for enforcement presents the routine situation of a charge of unfair labor practices on the part of the respondent supported by evidence introduced by counsel for the General Counsel at a hearing before a trial examiner, countered by a denial of those charges by the respondent also supported by evidence. No useful purpose would be served by a detailed analysis of the conflicting testimony and exhibits. It will suffice to say that although either the trial examiner or the Board might have resolved the factual issues in favor of the respondent, a careful consideration of the record as a whole discloses substantial evidentiary support for the findings and conclusions of unfair labor practices reached by the Board.

The substantial question in this case is the correctness of the trial examiner’s ruling, affirmed by the Board, that the respondent’s special defense grounded on non-compliance by the Union with the requirements of § 9(f), (g), and (h) presented an issue of fact solely for administrative determination which was not litigable by the parties.

In N. L. R. B. v. Highland Park Mfg. Co., 1951, 341 U.S. 322, 71 S.Ct. 758, 760, 95 L.Ed. 969, the Supreme Court held, contrary to the contention of the Board, that a respondent in an unfair labor practice proceeding was entitled to litigate the scope of § 9(h), specifically the question whether the C.I.O. was a “national or international labor organization” within the meaning of the section. The Court summarized its conclusion in the final paragraph of its opinion by saying:

“It would be strange indeed if the courts were compelled to enforce without inquiry an order which could only result from proceedings that, under the admitted facts, the Board was forbidden to conduct. The Board is a statutory agency, and, when it is forbidden to investigate or entertain complaints in certain circumstances, its final order could hardly be valid. We think the contention is without merit and that an issue of law of this kind, which goes to the heart of the validity of the proceedings on which the order is based, is open to inquiry by the courts when they are asked to lend their enforcement powers to an administrative tribunal.”

But, in the paragraph preceding the above, the Court took pains to point out that no issue of fact was presented in the case it was considering.

It said:

“If there were dispute as to whether the C.I.O. had filed the required affidavits or whether documents filed met the statutory requirements and the Board had resolved that question in favor of the labor organizations, a different question would be presented. But here there is no question of fact.”

These last quoted sentences led this court in N. L. R. B. v. Rozelle Shoe Corp., 1 Cir., 1953, 205 F.2d 447, 448, 449 to say in a dictum that it saw nothing in the Highland Park case standing in the way of its agreement with a number of cases *518 cited from other circuits, 2 holding that the Board was not required to establish as part of its affirmative case that at all relevant times the charging union was in fact in compliance with § 9(f), (g), and (h) of the Act.

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232 F.2d 515, Counsel Stack Legal Research, https://law.counselstack.com/opinion/national-labor-relations-board-v-puerto-rico-food-products-corporation-ca1-1956.