Case
Law Update - October 2011 - December 2011
Injury
Sustained at Golf Tournament Not Compensable
Top
Scott Beine v. County of St.
Charles and the Second Injury Fund, No. ED96581 (Mo. App.
E.D. 2011)
FACTS:
The claimant worked for the St. Charles County Sheriff’s Department as a school
resource officer. He was an active member of the St. Charles County Deputy
Sheriff’s Association, a voluntary non-profit association of sheriff’s deputies
whose primary purpose was to raise money for charity. The association sponsored
a charity golf tournament. The claimant helped set up and then golfed in the
tournament. While playing, another golfer hit a ball, striking the claimant in
the forehead. The ALJ denied the claimant benefits on the ground that the
claimant’s injury did not arise out of and in the course of his employment. The
Commission affirmed.
HOLDING:
The Court noted the uncontested facts showed that golfing was not one of the
claimant’s assigned duties. Also, the employer required the claimant to use
vacation days to participate in the golf tournament. The employer did not plan
or promote the golf tournament, did not receive or control the proceeds of the
tournament, had no right to control or direct claimant’s actions at the golf
tournament, and the employer and association were entirely separate and
independent entities. Therefore, the Court concluded that there was sufficient
competent evidence on the record to support the finding that the claimant’s
injuries resulted from a hazard or risk unrelated to the claimant’s employment
to which he would have been equally exposed on any golf course in his normal
non-employment life. Therefore, the Commission’s decision was affirmed.
Injury
Sustained Washing Patrol Car Windows Found Compensable
Top
Danny Whiteley v. City of Poplar
Bluff, No. SD31287 (Mo. App. S.D. 2011)
FACTS:
The claimant became the Chief of Police of Poplar Bluff Police Department in
2000. Prior to that, he was a
professional bull rider. On October 29, 2006, the claimant was cleaning the
windshield of his patrol car when he felt a tearing sensation in his neck. The
claimant testified that keeping patrol cars clean was an integral part of the
job, which was noted in the motor equipment policy. Officers had a vehicle
equipment check safety checklist which required them to clean their patrol
cars. The city also had a designated area for the officers to do so.
The
claimant was seen by Dr. Tinsley who diagnosed the claimant with an acute
cervical strain and suspected pre-existing cervical degenerative joint disease
(DJD). In light of the pre-existing DJD the claimant was denied any further
treatment.
The
claimant also had a prior work related car accident on July 15, 2002. The
settlement noted he received 6% PPD referable to his back, neck and shoulders,
however, the medical records show that the claimant received no treatment for
his neck. Dr. Cohen only noted that he had moderately severe thoracic myofascial pain disorder as a result of the motor vehicle
accident.
For
the October 29, 2006 injury, Dr. Musich found no
history of any pre-existing problems with the claimant’s neck or cervical
spine. Dr. Cantrell performed an IME on behalf of the employer and found that
the 2006 accident was not the prevailing factor in causing the claimant’s
medical condition. The ALJ found Dr. Cantrell’s opinion more credible then Dr. Musich’s, in that the claimant’s cervical injuries
sustained on October 29, 2006 were not related to the work accident and the
work accident was not the prevailing factor in causing the claimant’s medical
condition. The Commission reversed the ALJ.
HOLDING:
With regard to the arising out of issue, the employer contended that the
claimant was not engaged in a work activity integral to his employment and was
equally likely to experience a similar neck injury while performing similar
movements outside his employment. The Court disagreed and found that the
claimant offered extensive evidence to establish that keeping the windshield of
his patrol car clean was an integral part of his job. Thus, there was a clear
nexus between being a police officer and keeping patrol cars clean. The Court
further noted that because the work nexus is clear, they do not need to
consider whether the worker would have been equally exposed to the risk in
normal employment life.
With
regard to the claimant’s prior injury, the City argued that the Commission
improperly disregarded uncontroverted evidence of the claimant’s prior whiplash
injury. The Court noted that a whiplash type injury does usually denote injury
to the neck, however, the medical records made it clear that he sustained only
an injury to his thoracic spine. The Court also found that there was no
evidence on the record noting that the claimant had pre-existing symptomatic
cervical degenerative disease. Therefore, the Court found that the claimant’s
work activity was the prevailing factor in causing his symptoms and need for
treatment.
Making
Coffee Found Not in Course and Scope of Employment
Top
Sandy Johme v. St. John’s Mercy
Health Care, No. ED96497 (Mo. App. E.D. 2011)
FACTS:
The claimant worked as a billing representative for St. John’s and on June 23,
2008, she went to the kitchen area of her office, began making coffee when she
turned and slipped off the side of her sandal injuring her right hip. The floor
did not have any irregularities or hazards. The ALJ determined that the
claimant was not performing her job duties at the time of her fall, and she
would have been exposed to the same hazard or risk during her normal
non-employment life. The Commission disagreed and awarded the claimant TTD,
past medical expenses and PPD.
HOLDING:
The employer argued that the claimant’s accident did not arise out of and in
the course and scope of her employment. The Court noted that in 2005, the
Legislature amended several provisions of the workers’ compensation law,
narrowing the definitions of “injury”, “accident” and “arising out of and in
the course of.” The Court further noted that whether the injury arose out of
the employment depends on if it came from a hazard or risk unrelated to the
employment which workers would have been equally exposed to outside of and unrelated to the employment in the non-employment life.
The Court found that the only risk involved here was making coffee, or
performing a normal kitchen-related activity.
The claimant did testify that the office culture dictated that the last
person to pour a cup of coffee should make a new pot, however
that was not sufficient to establish that making coffee was a function of her
employment as a billing representative.
The Court found that the claimant wore sandals to work on her own
accord, and there was no allegation that the kitchen floor had any spills or
other hazards. The Court noted that prior to the 2005 amendments, the claimant’s
argument would have been more persuasive but the Legislature has raised the
bar, and the facts of this matter do not meet the threshold for an Award of
workers’ compensation.
Additionally,
the Commission asserted that courts traditionally recognize that some
activities were inevitable and essential to a worker’s personal comfort and
convenience and that an injury which arose during performance of one of these activities
was nevertheless compensable. The Court disagreed noting that the personal
comfort doctrine language is absent from the statute and reading it into the
statute violates the Legislature’s explicit instructions for strictly
construing provisions of the Act since 2005.
Therefore, the Commission acted beyond its powers in applying the
doctrine.
The
Court denied benefits since the injury did not arise out of and was not in the
course of employment. The Court did note that because of the general interests
of this question, this matter was transferred to the Supreme Court. At this point, we are currently awaiting the
decision.
Claimant
PTD Due to Hepatitis C Alone
Top
David Pursley v. Christian Hospital
Northeast/Northwest and the Second Injury Fund, No. ED96496
(Mo. App. E.D. 2011)
FACTS:
In July 1998 the claimant was working for the employer when he contracted
hepatitis C. Due to his symptoms
associated with hepatitis C the claimant stopped working. He filed a Claim
against the Fund for PTD due to a combination of the effect of his primary
injury, hepatitis C, and pre-existing injuries including depression, asthma and
hypertension. The employer settled their claim and the ALJ held a hearing
against the Fund. The claimant testified
that about two months after he started treating for hepatitis C, he began to
suffer depression, fatigue, and insomnia. He also testified that he stopped
working in November 1998 because “it was the symptoms from the hepatitis caught
up to [him].” The claimant’s expert Mr. Lalk even
testified on cross that the claimant was attributing his inability to work to
the hepatitis C.
The
ALJ found the claimant was PTD as a result of the hepatitis C and, therefore,
the Fund had no liability for this disability. The Commission considered the
effects of the claimant’s last injury, namely the hepatitis C, and found that
it alone resulted in the claimant’s PTD, basing its conclusion in large part on
the claimant’s own credible description of his continued problems and
complaints that he related to the 1998 hepatitis C occupational exposure.
HOLDING:
The Court found that there was competent and substantial evidence upon which
the Commission could rely in concluding the claimant was PTD as a result of
hepatitis C. The Court also noted that
even if the claimant were able to prove that the Commission erred in finding
that his PTD resulted from the primary injury alone, the claimant could not
establish Fund liability because he has to demonstrate that his pre-existing
disability represented an obstacle or hindrance to his ability to work. Here
the claimant acknowledged that prior to contracting hepatitis C, his clinical
depression was not an obstacle or hindrance to his ability to work. This is an
old law case.
Top
Commission
Must Decide if Injury is “Accident” Before Claimant
Can Proceed with Civil Claim
Kevin Cooper v. Chrysler Group, LLC, No.
ED96549 (Mo. App. E.D. 2011)
FACTS:
The claimant filed a Claim for injuries to his back he sustained when he
slipped and fell. The defendant filed an
Answer in which it admitted the employee/employer relationship, that the
parties were subject to Missouri Workers’ Compensation Law, and the claimant
sustained a workplace accident. While the claimant’s Claim was still open he
filed a civil lawsuit against the defendant. The defendant filed a motion for
summary judgment on the ground that the claimant’s exclusive remedy was with
the Division of Workers’ Compensation.
The claimant argued that the employer’s refusal to admit that a certain
surgery was caused by the March 2007 accident is grounds to allow him to
maintain two causes of action against the employer. The trial court granted the
defendant’s motion for summary judgment.
HOLDING:
The Appellate Court held that the entry of summary judgment is premature
until the Commission decides the question of accidental injury. The Court noted
that under the primary jurisdiction doctrine, the Circuit Court does not have
the authority to determine the question of whether there was an accidental
injury within the definition of the Workers’ Compensation Law, as this is a
question of fact involving Administrative expertise. If the Commission
determines there was an accidental injury, then the exclusivity provisions of
the Workers’ Compensation Law would require termination of the civil lawsuit.
However, if the Commission determines that there was no accidental injury, the
plaintiff would be able to proceed with the civil lawsuit. Therefore, the
appropriate remedy in the Circuit Court at this stage of the proceedings is a
stay of the proceedings, while the Commission determines whether there has been
an accidental injury. At this point the employer has asked the Court to
reconsider its decision.
Top
SIF
Not Responsible for Progression of Pre-existing Disabilities or New Conditions
After and Unrelated to Primary Injury
Top
Selma
Lewis v. Kansas University Medical Center and the Second Injury Fund, Case
No. WD73817 (Mo. App. W.D. 2011)
FACTS:
The claimant was a health care technician and on October 6, 2001, she was
assisting a co-worker move a patient when she felt a pop in her back. She
continued to work with restrictions until February 6, 2003. She also had
pre-existing diabetes and coronary artery disease. Ms. Titterington,
a vocational rehabilitation counselor, testified that the claimant was
permanently and totally disabled and was not employable in the open labor
market.
The
ALJ noted that the medical records, along with the claimant’s testimony,
established that the claimant’s physical condition deteriorated after October
6, 2001. The ALJ further noted the claimant was subsequently hospitalized in
2004 due to diabetic complications and in 2005 due to pericarditis.
She also had a neck condition that appeared to have deteriorated since 2002.
Therefore, the ALJ said that the claimant’s unemployability
appeared to be from the subsequent deterioration of her conditions unrelated to
the work accident and her pre-existing conditions at the time of the work
accident. Therefore, the ALJ denied the claimant’s claim for PTD benefits
against the Second Injury Fund. The ALJ also found that the claimant
demonstrated that she could work in sedentary positions by performing data
entry, answering phones, and monitoring suicidal patients for almost a year and
a half after the work accident which demonstrated her ability to work in the
open labor market. The Commission affirmed.
HOLDING:
The Court noted that the SIF is not responsible for progression of
pre-existing conditions or new conditions that develop after and are unrelated
to the work injury. The Court concluded
that the claimant’s unemployability was due to the
deterioration of her pre-existing conditions since October 6, 2001. Therefore,
the Commission’s decision denying the claimant’s claim against the SIF for PTD
benefits was supported by substantial and competent evidence. The Court noted
that the Commission did not arbitrarily cast aside or disregard Ms. Titterington’s testimony that the claimant was unemployable
in the open market, but instead based its decision upon competent and
substantial evidence which indicated she was employable on the open market
after the work accident. Therefore, the
Commission’s decision denying SIF liability for PTD benefits was affirmed. This
is an old law case.
Commission
Trends
Top
Old
Law (Pre August 28, 2005)
Over
the past six months the Commission has ruled on forty-four (44) old law
cases. They have reversed, modified or
supplemented nineteen (19) of those cases.
Obesity
is Pre-existing Disability
In
Carolyn Jones v. Missouri Western State College, Injury No. 04-028875,
the claimant tripped and fell at work and sustained injury to both arms, her
left knee and right shoulder. She also
had pre-existing disability in her cervical spine which she aggravated. Dr. Koprivica testified for the claimant and was of the opinion
that she had 12.5% pre-existing disability due to obesity which constituted a
hindrance to employment and that she was PTD due to obesity and the effects of
her primary injury. Ms. Titterington, a vocational
expert, agreed with Dr. Koprivica. The
employer nor the Second Injury Fund offered testimony from any expert to
contradict these findings.
The
Commission found that the ALJ substituted his own opinion which was
inappropriate in that he found that the claimant’s obesity could not be
considered because it was self-inflicted. The Commission found no basis in the
law or facts of this case for the ALJ’s finding on this issue. It is well
established that obesity can be a permanent disability and the uncontested
expert opinions noted that obesity was a permanent disability in this
case. Therefore, the ALJ cannot ignore
this when resolving the issue of PTD.
SIF
Liable for Medical Expenses if Employer is Uninsured
In
Ben Jones v. Sagamore Insurance Company and the
Second Injury Fund, Injury No. 04-050098, the claimant expressed
concern that the ALJ’s award needed clarification as to what party was responsible
for his medical expenses. The Commission found that pursuant to Statute, the
employer was responsible for both the claimant’s past and future medical
expenses but because the employer was uninsured, funds must be withdrawn from
the SIF to cover those expenses. Therefore, the Commission ordered the SIF to
cover the fair, reasonable, and necessary expenses to cure and relieve the
effects of the injury.
Statute
of Limitations for SIF Claims
In
Edward Stuckey v. Underground Services Company, LLC and the Second Injury
Fund, Injury No. 01-168185, the claimant timely filed his Claim for
Compensation in March 2003 against the employer for an injury he sustained in
August 2001. To pursue a claim against the SIF, the claimant had to file his
claim within two years of his accident or within one year of filing his claim
against the employer. In September 2004 he amended his claim to include the
SIF. His amended claim was not filed within the two years after his August 2001
date of injury or within one year after March 2003. Therefore, the claimant did not file a timely
claim, and his claim was barred by the statute of limitations against the SIF.
Doctor
Found Credible Even Though Noted Wrong Date of Injury
In
Barbara Simpson v. Missouri Athletic Club and the Second Injury Fund,
Injury No. 04-114381, the SIF challenged the claimant’s proof on the issue
of medical causation because Dr. Volarich in his
report noted that the work accident occurred on February 7, 2004, however the
proper date of injury was February 4, 2004. Dr. Volarich
did later amend his report to show the proper date of injury. The Commission
did not find that this trivial inconsistency undermined Dr. Volarich’s
medical causation opinion. Therefore, the ALJ’s finding that the claimant’s
work was a substantial contributing factor in causing the claimant’s prior low
back injury was affirmed.
The
Powers of the Commission
In
Kevin Niemann v. Ford Motor Company and the
Second Injury Fund, Injury No. 95-172815, the Commission wrote a supplemental
opinion to list the following four rules it follows:
1.
The question of medical causation is one for
medical testimony, without which a finding for claimant would be based upon
mere conjecture and speculation and not on substantial evidence.
2.
The Commission may not substitute its personal
opinion on the question of medical causation for the uncontradicted
testimony of a qualified medical expert.
3. The
determination of the specific amount of percentage of disability is a finding
of fact within the Commission’s special province.
4.
There exists an exception to Rule 3 where there
is more than one injury, condition, or disease which has caused disability to
the same member of the body. In that event, expert medical testimony is
necessary to guide the apportionment of the percentage of the overall
disability between the causative injuries, conditions and diseases.
The
Commission also noted that many ALJs and attorneys read prior case law to hold
that the Commission is bound by the uncontradicted
opinion of medical experts as to the nature and extent of disability and the
Commission disagrees.
Date
of Injury for Occupational Disease is Date of Disability
In
Louetta Elwell
v. Stahl Specialty Company and the Second Injury Fund, Injury No.
04-148856, the appropriate date of injury regarding the claimant’s
occupational disease is the determinative issue in this matter as it controls
whether the Commission would apply the 2005 amendments to the facts of this
case and by extension whether the claimant could recover any benefits for a
pulmonary condition. The ALJ found the appropriate date of injury was when the
claimant first missed work and thus experienced disability as a result of her
pulmonary condition.
The
employer argued the date of injury was the date the statute of limitations
began to run or whenever it became reasonably discoverable and apparent to the
claimant that she had suffered a work injury. The employer suggested this
occurred on the date of the treatment record from Dr. Bower indicating the
doctor’s suspicion that there was a connection between the claimant’s work
environment and her pulmonary disease.
The Commission noted a review of relevant case law reveals that the
courts have consistently linked the date of injury in occupational disease
cases to the date the disease first becomes compensable which typically has
been interpreted to mean the date a claimant first experiences some disability
from the disease. Therefore, the Commission agreed with the ALJ’s finding that
the appropriate date of injury was when she first missed work.
Claimant’s
Failed Attempt to Return to Work is Evidence of PTD
In
Linda Beard v. Hy-Vee Foods and the Second Injury Fund, Injury No.
05-064453, the claimant sustained an injury to her right shoulder, right
wrist, right knee, right ankle, and right hip on July 5, 2005 when she slipped
and fell. She returned back to work and on December 13, 2005, she was assisting
another employee in lifting something onto a table when she felt intense pain
in her right shoulder. She underwent conservative treatment for her right
shoulder. She did not return to work
after this incident. The claimant had pre-existing disability of the cervical
spine and psychiatric disorder disabilities. The Commission found that the
claimant was permanently and totally disabled based on the opinions of Dr. Volarich, Dr. Stillings and Mr.
Eldred.
The
SIF argued that the claimant was not permanently and totally disabled because
she returned to work after her work injury and the ALJ failed to consider the
impact of a subsequent work injury. The Commission noted that the claimant’s
failed attempt to continue working does not convince them that the claimant was
able to compete for employment in the open labor market, particularly where the
return to work failed due to her physical inability to perform her duties. With
regard to the subsequent lifting incident, the Commission noted that Dr. Volarich and Dr. Haupt both
testified that the lifting incident was just an irritation or aggravation of
the shoulder injury caused by the July 2005 work fall, and therefore it
concluded that the December 2005 incident did not cause a new shoulder injury.
Ultimately, the Commission found that the SIF was liable for PTD benefits
because the claimant’s work injuries and preexisting disabilities rendered her
unable to compete in the open labor market.
New
Law
Over
the past six months the Commission has ruled on fifty-seven (57) new law
cases. They have
reversed, modified or supplemented nineteen (22) of those cases.
Injury
Sustained After Falling on Icy Parking Lot Owned by Employer on Way Into Work Found Compensable
In
Lantie Wilson v. Buchanan County,
Injury No. 08-113449, the claimant, a correctional officer, was walking
through the icy parking lot owned by the employer on his way into work when he
fell. At the time he fell he was not
actually walking into the Sheriff’s office but instead he went around to the
back of his car to check for damage to a co-worker’s vehicle parked nearby. The
Commission found that the claimant was on duty by virtue of his arrival at the
employer’s premises, was traversing in the icy parking lot controlled by the
employer, and was engaged in an activity related to his work when he fell.
The
Commission explained that an employee does not necessarily have to be clocked
in to sustain an injury arising out of and in the course and scope of
employment. Further the risk that resulted in the claimant’s injuries was
walking through the parking lot covered with ice, and he had to face this by
virtue of reporting to work for his shift. Furthermore, the Commission found
the claimant went to check on his co-worker’s car in order to gather
information because he had good reason to believe that this would have
important implications to his work. Therefore, the Commission was convinced
that the hazard or risk of traversing in the icy parking lot was related to his
employment and he was engaged in a work-related task when he sustained the
injuries. Accordingly, the Commission affirmed the ALJ’s conclusion that the
claimant sustained an injury arising out of and in the course of his employment
and was therefore compensable.
Finally,
the Commission agreed with the ALJ that Hager is not applicable to these
facts. The Commission noted that the
claimant in Hager had finished his work duties, clocked out, left the
employer’s premises and was traversing a parking lot not owned or controlled by
his employer on his way to his personal vehicle to go about his own affairs for
the evening, when he fell on the ice.
Psychiatric
Injury After Reading Racist Chain Letter Found
Compensable
In Gary Session v. The Boeing Company,
Injury No. 06-109564, the claimant worked for the employer as a
machinist. On September 22, 2006, he had a discussion about racism with another
employee, who told the claimant that he read something interesting and would
bring it in so he could read it. Three days later, the claimant discovered a
piece of paper in his toolbox which was a chain letter in defense of white
pride. He felt shocked and threatened after reading it and thought someone was
out to get him. The co-employee came forward and admitted that he placed the
letter on the claimant’s toolbox and the claimant felt better when he learned
this was from his co-worker.
Both
medical experts, Dr. Stillings and Dr. Bass, agreed
the claimant suffered a psychiatric injury as a result of reading the chain
letter. The ALJ determined that the opinions of Dr. Stillings
and Dr. Bass were not persuasive and the evidence in the case did not
demonstrate that the claimant sustained an “injury”.
The
Commission found that the circumstances of the claimant picking up and reading
the chain letter did constitute an accident because the event was unexpected
and traumatic, and it produced objective symptoms of an injury. The Commission
was convinced that the claimant’s injuries stemmed from a hazard or risk
related to his employment because the claimant’s presence in the same work
place as his co-employee subjected him to a risk that his co-employee would
place an inappropriate or racially themed letter on his toolbox. The claimant’s
injuries came directly from that risk and therefore, the co-worker was the
nexus to the claimant’s work.
Horseplay
Did Not Take Incident Outside of “Accident”
In
Kimberly Regan (Mercer) v. Quest Diagnostics and the Second Injury Fund,
Injury No. 07-019520, the claimant had pre-existing disability in her neck
and had undergone two surgeries prior to this work incident. The claimant, a medical records processor,
got up from her work station and was walking to the restroom when her co-worker
came up behind her and grabbed her around the neck, causing her neck to
pop. The co-employee was a friend of the
claimant and did not intend to hurt her.
The claimant’s neck condition deteriorated after this event and she
underwent a third neck surgery. Dr. Stuckmeyer was of the opinion that the event was the
prevailing reason for her increased symptoms and need for the third neck
surgery.
The
Commission noted that the event on February 6, 2007 met every aspect of the
definition of accident and that even though the accident occurred as a result
of the co-worker’s joking around or horseplay, it did not take this event
outside of the definition of “accident”.
The
Commission then looked to whether the claimant’s injuries came from hazards
unrelated to her employment which she could have been equally exposed to
outside of work in her normal life. The Commission first had to determine
whether the hazard or risk is related to the employment. Here the claimant’s
work involved being on the premises of the employer’s
offices and working in proximity to other individuals. Those individuals were
as capable of presenting a hazard or risk to the claimant as any other physical
condition of the work environment, such as slippery floors or heavy objects.
Obviously, being unexpectedly grabbed from behind by the co-employee was not
part of the employee’s job duties or work tasks. However, the hazard or risk of
such an event happening was a part of being present at the employer’s work
place and working alongside the co-employee. The Commission found that the
co-employee was the nexus to the claimant’s work, and therefore the hazard or
risk was related to the employment and the incident was compensable.
Kneeling
Found Compensable
In Travis Lynn v. Boone Electric Cooperative, Injury No.
06-114884, the claimant was injured while kneeling down in a squatting
position which was a necessary activity in the performance of servicing
underground transformers. The Commission noted that because the claimant
was performing an integral part of his job of servicing transformers, there was
a clear connection between the injury and his work. Therefore the claimant’s
injury came from a risk related to employment and there was no need to consider
whether he was equally exposed to the risk of kneeling down in a squatted
position in normal non-employment life.
Injury
Sustained Tripping Over Cabinet Found Compensable
In
Dawn Woods v. Camendenton Windsor Estates,
Injury No.: 10-050345, the claimant was employed as a night charge nurse
at Camdenton Windsor Estates, and printed off lab reports before the day shift
arrived as part of her responsibilities. The claimant fell at work as she was
backing away from the printer in the medication room where she had gone to
retrieve the lab reports. At the hearing, the claimant testified that she
tripped because the back of her foot caught on something, possibly a cabinet.
She also testified that she had to back away from the printer because the area
was tight.
The
ALJ noted that the issue here was whether the activity of backing away from the
printer in a confined area was a hazard or risk unrelated to the employment to
which the claimant would have equally been exposed outside of and unrelated to her employment in normal non-employment
life. The Judge found this activity was related to her employment, therefore,
the injury was compensable. The ALJ also found that the activity of walking
backwards in a confined area with lab reports was not a hazard to which she
would have equally been exposed to outside of her employment. The Commission
affirmed the Award of the ALJ, who concluded that the claimant’s accident was
in the course and scope of her employment and therefore compensable.
Employer
Gets to Choose Medical Provider
In
Edward Burkman v. Marquand Pallet Stock, Inc.,
Injury No. 08-058245, the Commission agreed that the claimant
established that he was in need of medical treatment to cure and relieve him
from the effects of his work-related injury. However it found that the ALJ
erred in finding that the employer waived its right to direct the claimant’s
medical treatment and also erred by ordering such treatment be provided by a
specific doctor. The Commission found that the claimant failed to prove under
the Statute that his health and recovery had been endangered by medical
treatment provided by the employer. Further, even if the claimant may have met
his burden, the only relief provided under the Statute is that the Division or
the Commission may order a change in the physician, surgeon, hospital or other
provider. The Statute does not authorize appointment of a specific doctor to
provide the claimant’s medical treatment. Therefore, the Commission found the
ALJ erred in ordering the claimant’s additional medical treatment be provided
specifically by Dr. Vaught.
In
Debra Arnold v. Missouri Department of Corrections and the Second Injury
Fund, Injury No. 05-138274, the Commission found that the ALJ erred in
directing that the claimant was entitled to the future medical care recommended
by Dr. Volarich or future care that was recommended
by a treating physician chosen by Dr. Volarich. The
Commission noted that Dr. Volarich was retained by
the claimant to provide an IME. The doctor was not the claimant’s treating
physician and had no intention of being directly involved with her future
medical care. Therefore, the Commission modified the ALJ’s award and found that
the Award of future medical care should be limited, simply, to what is reasonable
and necessary to cure and relieve the effects of the work-related injury.
In
Linda Thompson v. Lone Star S & S of S. Missouri, Injury
No. 10-026132, the Commission agreed with the ALJ that the claimant met her
burden of proving that she was entitled to future medical treatment from the
employer, however did not agree with the ALJ’s finding that medical treatment
should be with a qualified surgeon other than Dr. Chabot. The ALJ quoted the
section of the Statute that allows the Division or Commission to order a change
in the physician, surgeon, hospital or other treatment provider. The Commission
found that the employer had not furnished medical treatment in such a manner
that there were grounds to plead that the claimant’s life, health or recovery
had been endangered. Therefore, the part
of the Statute providing that the Division or Commission may order a change in
the medical provider was not implicated in this matter. Therefore, the claimant
was entitled to, and the employer was obligated to provide, medical treatment
which may be reasonably required to cure and relieve the effects of the work
injury.
ALJ
Erred Directing Employer to Provide Specific Course of Treatment
In Joseph Duever v.
All Outdoors, Inc. and the Second Injury Fund, Injury No. 07-134607,
the Commission agreed that the claimant met his burden of proving the employer
was liable for his future medical expenses. However, the Commission noted that
the ALJ appeared to have awarded a specific course of treatment “as outlined by
Dr. Thomas” and noted this was beyond the ALJ’s power. The Commission stated
that where the claimant’s burden of proof is met, the Statute makes clear that
the claimant is entitled to treatment which may be reasonably required to cure
and relive the effects of the injury. The Commission is not called on to
mandate what specific treatment or procedures might be reasonably
required. The Commission also noted the
transitory nature of various medical conditions, and therefore it would be
impossible to predict what will “reasonably be required” in the future.
Therefore, the Commission found it inappropriate to find an award of future
medical treatment to include a specific course of treatment or a specific
medical provider.
Final
Award can be Contrary to Temporary Award
In
Danny Venable v. St. Louis Bridge Construction and St. Paul Marine &
Fire Insurance Company, Injury No. 03-067308, the Commission found that
an ALJ can issue a Final Award contrary to a prior Temporary or Partial Award
if additional significant evidence is introduced at the final hearing to
support the contrary Award. The Court found that deposing two doctors a second
time and introducing those depositions onto the record at the hearing was
additional significant evidence.
Expert’s
Opinion Not Credible when Relied on Another Expert’s
Opinion Found Not Credible
In
Clarence Thomas v. Board of Police Commissioners of Kansas City, Missouri,
Injury No. 06-069030, the ALJ found that the claimant was not permanently
and totally disabled and his primary injury combined with his pre-existing
disabilities resulted in a PPD enhancement of 10% above the simple sum of his
disabilities. The claimant appealed the finding that he was not permanently and
totally disabled.
The
Commission noted that Mr. Dreiling, the vocational
expert, based his opinion regarding PTD on the claimant’s problems relating to
his right knee, back and left upper extremity, however, he admitted during his
deposition that he did not find any restrictions regarding his right knee, back
or left upper extremity in the medical records. The doctor also noted in his
report that he did not perform any type of vocational testing before arriving
at his conclusions. Therefore, the Commission did not find Mr. Dreiling’s vocational opinion credible. Also, the
Commission noted that Dr. Koprivica provided a
supplemental opinion noting that the claimant is permanently and totally
disabled but this opinion was based entirely on Mr. Dreiling’s
opinion. Therefore, since it did not find Mr. Dreiling’s
opinion credible, Dr. Koprivica’s supplemental
opinion was also not credible.
Heart
Attack Found Compensable
In
Eric Lichtinger v. Swiss Meats, Injury
No.: 06-134457, the claimant had a significant history of cardiovascular
disease. On October 11, 2006, the
claimant was cutting meat with a knife when the knife slipped and stabbed him
in the right forearm. He was
hospitalized and underwent a fasciotomy. While still
in the hospital, the claimant’s symptoms worsened and he suffered a myocardial
infarction; therefore, he underwent an angioplasty. He attempted to return to
work after his release, however was unable to perform his job duties.
Dr.
Schuman believed that the type of injury and procedure could have put
pathological stress on the cardiovascular system, but he ultimately opined that
the accident was not the prevailing factor causing the heart attack. When the
Commission read Dr. Schuman’s report and deposition testimony together, it
noted that the doctor was of the opinion that the accident was not the
prevailing factor because he could not say the work accident was the only
factor at play. The Commission noted the law does not require the claimant to
show the work accident was the only factor in causing the resulting
medical condition and disability, but merely the prevailing factor, which is
defined as the primary factor in relation to any other factor. The Commission
determined that the accident was the prevailing factor in causing the
myocardial infarction on October 17, 2006 and the subsequent deterioration of
the claimant’s cardiovascular condition and disability.
Claimant
Must Present Medical Evidence to Meet Burden of Proof
In
Robert Gentry v. Kraft Foods, Inc. and the Second Injury Fund, Injury
No.: 07-027372, the claimant injured his right arm in a work-related
accident and he went to a hearing seeking PPD from the SIF alleging that the
disability from his arm injury combined with his pre-existing vision problems
resulted in a greater disability then the simple sum of his disabilities. The claimant testified that he had always had
problems in his left eye and suffered from Amblyopia
since a child. However, he offered no expert opinion with regard to his alleged
vision problems. The ALJ found that the claimant sustained his burden of proof
that his pre-existing eye disease was a substantial condition that met the
requirements of the Statute, however, the Commission disagreed. The Commission
found that the claimant did not meet his burden because he did not submit any
medical evidence to support his claim.
If
Employer Has Actual Notice, Claimant Does Not Have to Provide Written Notice
In
Dennis Carver v. Delta Innovative Services c/o Midwest Builders’ Casualty
Mutual Company and American Home Assurance Company and the Second Injury Fund,
Injury No.: 07-134522, the claimant advised the supervisor/owner of his
injury two days after his accident. Nine days later the claimant was on a job
site when his back began to hurt and he sought medical treatment. Six days
later the claimant was diagnosed with a herniated disc and informed the
supervisor/owner. The owner admitted that it was normal for employees to assume
routine aches and pains will get better on their own, and therefore, had no
reason to believe that the claimant was lying when he said he hurt himself
carrying something heavy up a ladder.
The
claimant failed to provide written notice to the employer as required under the
statute. Therefore, the question was
whether he demonstrated that the employer was not prejudiced by his failure to
provide statutory notice. The Commission
noted the most common way for a claimant to establish lack of prejudice is for
the claimant to show that the employer had actual knowledge of the accident
when it occurred. It is well settled that notice of a potentially compensable
injury acquired by a supervisory employee is imputed to the employer. If the
claimant produces substantial evidence that the employer had actual knowledge,
the claimant thereby makes a prima facie case showing a lack of prejudice and
the burden then shifts to the employer. If the claimant does not supply any
evidence showing the employer was not prejudiced, there is a presumption the
employer was prejudiced by the lack of notice. The Commission found that the
employer was not prejudiced by a lack of written notice.
Even
if Receive Actual Notice, Employer Not Prohibited From Raising Notice as
Defense
In
Dennis McBee v. WCA Waste Management Co.,
Injury No. 09-101617, the Commission agreed with the ALJ that the claimant’s
claim was not barred by his failure to provide written notice to the employer.
However the ALJ found that because the employer received actual notice of the
claimant’s injury, it was prohibited from raising the defense of failure
to receive written notice of the claimant’s injury. The Commission noted that
nothing in the Statute suggests the employer is prohibited from raising
notice as a defense where it receives actual notice. The Commission found that under appropriate
analysis, the employer is not prohibited from raising notice as a
defense, but does have the burden of proving that it was prejudiced where it
has actual notice of the claimant’s injuries.
ALJ
Has No Authority to Direct Claimant to Reimburse Second Insurer
In
Chad Uhrhan v. Drury Company, Midwest Builders’
Casualty Mutual Company, Missouri Employers Mutual and the Second Injury Fund,
Injury Nos. 08-123983 and 09-073962 the ALJ found that Midwest Builders’
Casualty Mutual was responsible for the claimant’s past medical expenses and
mileage reimbursement. The ALJ went on to find that these proceeds were to be
paid to the claimant who, in turn, would need to reimburse the other insurance
company, Missouri Employers Mutual (MEM), relative to the amounts paid. The Commission found that the ALJ ordering
the claimant to reimburse MEM was improper under the Statute. The Commission
found there was no statutory authority permitting the Commission/Division to
issue an order directing the claimant to reimburse an insurer in such a manner.
Illegal
Aliens are “employees”
In
Maribel Vega-Rivera v. Hyatt Corporation, Injury No. 08-103142
the employer alleged the claimant was an illegal alien and therefore she was
not an employee for purposes of the Statute. The Commission found that the
claimant was covered under the Statute regardless of her alleged illegal status
because the clear, plain, obvious, and natural import of the language of the
Statute does not show that the Legislature intended to exclude illegal aliens
from the Statute.
After
Employee Shows Entitlement to Past Medical Costs, Burden Shifts to Employer
In
Louetta K. Elwell
v. Stahl Specialty Company and the Second Injury Fund, Injury No. 06-130623,
at the hearing the claimant produced bills and the related treatment records
and identified them as records and bills generated in connection with treatment
for her compensable injury. She further provided Dr. Koprivica’s
expert opinion as to the reasonableness and necessity of the treatment.
Therefore the ALJ found that the claimant met her burden and was entitled to
$16,195.80 in past medical expenses.
Since
the claimant met her burden, the Commission found that the burden shifts to the
employer to demonstrate (1) the claimant will not be required to pay the billed
amounts; (2) the claimant’s obligation to reimburse the healthcare provider had
been extinguished; and (3) the claimant’s obligation had not been reduced to a
collateral source for purposes of the Statute.
The
employer’s attorney did press the claimant to explain her liability and asked
her what certain notations on her medical bills meant. However, the Commission
was not persuaded that her testimony constituted evidence sufficient to satisfy
the employer’s burden of proving her liability was extinguished because she was
not a qualified witness to render such opinions. Since the employer did not
produce or identify evidence from a credible source that demonstrated the
claimant’s obligation to reimburse the healthcare providers was extinguished,
the claimant was entitled to past medical expenses.
|