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CHAPTER 6-201 -
SECTION 8(F)
1. Purpose and Scope. This Chapter contains the procedures
associated with requests for relief under section 8(f) of the Act. These
procedures cover: the request for relief, section 8(f)(3) and 20 C.F.R. section
702.321(b); the application, 20 C.F.R. section 702.321(a); and the
consideration of the application by the DO.
2. Policy.
a. Absolute Defense. Public Law No. 98-426, the Longshore and
Harbor Workers' Compensation Act Amendments of 1984, made a significant change
in how the issue of section 8(f) relief is handled. Section 8(f)(3) of the Act
now reads:
Any request . . . for apportionment of liability to the special fund
established under section 44 of this Act for the payment of compensation
benefits, and a statement of the grounds therefore, shall be presented to the
deputy commissioner prior to the consideration of the claim . . . .
Failure to comply with this requirement will be an absolute defense to
the liability of the Special Fund.
When section 8(f) of the Act was amended Congress intended:
to encourage employers to raise the special fund issue early in the
claims adjudication process, in order to assure the deputy commissioner and the
Director of OWCP the opportunity to examine the validity of the employer's
basis for seeking special fund relief. H. R. Rep. No. 1027, 98th Cong. 2d Sess.
31 (1984).
The regulations developed by the Department to implement this section of
the Act, 20 C.F.R. section 702.321, are meant to insure that the accompanying
statement of the grounds is complete enough so that the DD, and the Director,
OWCP have sufficient evidence to examine the validity of the request for
relief. In formulating these regulations the Department wanted to balance the
needs of the claimant for a speedy formal hearing where benefits are not being
paid and the needs of the EC for adequate time to develop their section 8(f)
application. When reviewing cases where section 8(f) relief is an issue the DO
is to apply the regulations and these procedures in a manner consistent with
the Congressional intent noted above and consistent with the Department's
desire to mediate the apparently conflicting needs of the claimant and the EC.
b. Combining Section 8(f) Relief with Settlement Under Section
8(i). Section 8(f) relief is not appropriate where the parties have entered
into a section 8(i) settlement (see section 8(i)(4)). However, some district
offices have been presented with applications for section 8(f) relief for
hearing loss combined with section 8(i) settlement for the employer/carrier for
their portion of the hearing loss. This situation has been reviewed and it has
been determined that approval of such applications conflicts with the statute.
Section 8(i)(4) precludes an employer or carrier from seeking relief from the
Special Fund after reaching settlement with a claimant in a case that would
ultimately be assigned to the Fund.
In enacting section 8(i) Congress expressed its specific intent to
overturn the decision in Brady v. J. Young & Co., 16 BRBS 31 (ALJ)
1983 (See also 17 BRBS 46). This decision ordered the Fund to reimburse the
employer for all sums paid to the claimant under the approved settlement, minus
104 weeks of compensation, finding the employer otherwise entitled to such
relief. Congress added section 8(i)(4) to the statute to prohibit Special Fund
contributions to section 8(i) settlements and thereby reduce the possibility of
collusion or fraud between the settling parties and to ensure that the employer
acknowledges its actual liability to the claimant before it requests section
8(f) relief.
Of course, an employer is always free to settle a claim. However, a
section 8(i) settlement, which discharges the employer's potential liability,
also discharges the potential liability of the Special Fund, which is only
derivative.
The objection that may be raised when we deny these applications is that
we may prevent a claimant from receiving any compensation at all, since an
employer may be willing to pay a reduced amount in order to avoid litigation,
but unwilling either to pay the full amount of compensation or to give up
relief under section 8(f). But whether or not litigation might be avoided in a
particular case, it is our role to ensure that the statutory prohibition
against fund contributions to settlements be followed. It is also our role to
administer the Act in as even-handed a manner as possible, and thus to ensure
both that claimants receive the benefits they are entitled to, and to ensure
that claims not be improperly placed in the fund, where costs are spread over
the industry rather than borne by an individual employer without the findings
required by section 8(f).
(1) Contingent Relief. Thus, if an employer applies for section
8(f) relief but is unwilling to agree to the entry of a compensation order, or
to pay the full amount of benefits claimed without such an order, and it is
otherwise appropriate to grant such relief, section 8(f) relief may be granted
CONTINGENT ON THE ENTRY OF A COMPENSATION AWARD FOR PERMANENT DISABILITY. The
following language is suggested to be used in referral letters when contingent
relief is appropriate if the case is appealed to the OALJ:
Section 8(f) has been considered and in the event the Administrative
Law Judge assigned the case determines that a compensation order, awarding
benefits for permanent disability (excluding a nominal award), is appropriate,
the Director agrees to the application of section 8(f) relief and payment by
the Special Fund. See Todd Shipyards Corp. v. Director, OWCP (Poras),
792F.2d 1489 (9th Cir. 1986) (an employer is not entitled to section 8(f)
relief from a nominal award because, as a matter of law, any pre-existing
permanent partial disability can not materially contribute to the current
disability.) In such event, payment by the Special Fund should commence 104
weeks(or the appropriate period if a scheduled award) after the date the
evidence establishes that the claimant reached maximum medical improvement. In
no event does the Director agree to the application of section 8(f), or payment
by the Special Fund, in any settlement of the claim. 33 U.S.C. 908(i)(4).
While it may be appropriate to determine that the requirements for
such relief have been established, it is nevertheless also always necessary to
defer actual approval until compensability has been determined and embodied in
a compensation award, or until the employer has agreed to pay the full amount
of benefits claimed. If the parties, in good faith, want to compromise on any
of the findings underlying section 8(f) relief, including the nature and extent
of the claimant's disability, and the settlement is approved under section
8(i), the employer has no entitlement to section 8(f) relief.
If the parties cannot agree to the entry of a section 8(i) award,
because the claimant believes he is entitled to the full-uncompromised award,
the case must be referred to formal hearing. If section 8(f) would be otherwise
appropriate in the absence of a section 8(i) settlement of the claim, the
Solicitor's office should be alerted to inform the ALJ that the Director agrees
to section 8(f) relief contingent upon an award of permanent disability.
(2) Hearing Loss Cases. In hearing loss cases, you may enter a
compensation award that grants section 8(f) relief, based upon a stipulation of
facts that you approve. The award, however, should not be based on a
compromised disability rating for less thatthe record reflects simply because
one side theorizes that it can seek another audiogram which will show the
compromised rating. Instead, the district office should make a factual
determination, based on the evidence, regarding the appropriate level of
compensation. For example, if audiogram X establishes the preexisting hearing
loss; audiogram Y establishes an increased disability rating; but audiogram Z
indicates a lesser amount of disability than audiogram Y, it is up to you as
the fact finder to determine which of these audiograms is reflective of the
degree of hearing loss or whether an amount in between may be the appropriate
amount. If the parties agree with your assessment of the appropriate amount,
you may then issue a compensation order which also grants section 8(f) relief,
allocating the amount payable by the employer and the Special Fund. In such
instance, because you have resolved the issue by findings of fact and not by
approving a compromise of liability, this is not a settlement and should not be
characterized as a section 8(i) order, or an approval of a section 8(i)
agreement.
When the parties request approval of a settlement agreement order
based upon a preexisting audiogram and a subsequent audiogram, if you determine
that the stipulated amount is not adequate, deny the request for approval. Your
referral to the OALJ should, of course, explain why the stipulated amount is
inadequate. The referral to the OALJ should also state that although section
8(f) relief is not appropriate unless the ALJ first finds that the claimant has
a compensable permanent disability, the employer met the requirements for such
relief in all other respects. Further explain, explicitly, that if a section
8(i) agreement is approved, the Fund cannot be liable and that section 8(f)
relief must be denied if a section 8(i) agreement is approved. Again, the
Solicitor's office should be alerted to set forth this position to the ALJ.
The Associate Solicitor has notified the Regional Solicitors of this
policy. The Associate Solicitor has also advised the Regional Solicitors that a
case should be referred to the Employee Benefits Division in SOL's National
Office for consideration of appeal upon your request if an ALJ grants an
employer's application for section 8(f) relief in conjunction with the entry of
a section 8(i) order.
(3) Section 10 (h). For similar reasons, a section 8(i)
settlement agreement that provides for continuing payments by the Special Fund
of annual increases pursuant to section 10(h) should not be approved. Since a
section 8(i) settlement discharges the employer's liability, it also discharges
the Fund's derivative liability and continuing payments are not consistent with
that discharge of liability.Section 8(i)(4) precludes the Fund from liability
for "any sums paid or payable" under a section 8(i) settlement, whether the
amounts agreed to are based on section 8(f) or section 10(h) of the statute.
3. Request for Section 8(f) Relief. Consideration of the section
8(f) issue begins with a request for section 8(f) relief.
a. Time for Submission of the Request. The request should be made
as soon as the permanency of the claimant's condition becomes known or is an
issue in dispute. Where the claim is for death benefits, the request should be
made as soon as possible after the date of death. This is intended to have ECs
raise this issue early in the claims adjudication process, in order to assure
that the DD, the DC and the Director, DLHWC have the opportunity to examine the
validity of the request for section 8(f) relief. Events that give rise to the
EC's obligation to raise section 8(f) are:
(1) The issue of permanency is raised at the informal conference;
(2) The EC is voluntarily paying permanent disability benefits; or
(3) The EC has knowledge that the claimant's condition is permanent
(see Cajun Tubing Testors v. Hargrave, 25 BRBS 109 (CRT), 951 F.2d 72,
25 BRBS 109(CRT)(5th Cir. 1992)).
Where permanency is in dispute, this fact should not be used as a
basis for denying section 8(f) relief. Rather, a determination as to
appropriateness of section 8(f) relief should be made using the assumption that
permanency has been established.
b. Permanency or Death Not An Issue. If permanency is not an
issue, or if benefits are being paid for temporary disability, as opposed to
permanent disability or death, the request need not be made until permanency or
death becomes an issue. In all other cases, a request for section 8(f) relief,
together with a complete application (described below) must be presented to the
DD before the case is referred to the OALJ for a formal hearing.
4. Statement of the Grounds for Section 8(f) Relief.
a. The Application. Section 8(f)(3) of the Act requires that a
statement of the grounds accompany any request for relief of liability. For
purposes of these procedures this statement of the grounds is referred to as an
application.
b. A Complete Application. An application must contain the
following information:
(1) A specific description of the pre-existing condition relied upon
as constituting an existing permanent partial disability including evidence
that the condition was permanent prior to the second injury.
(2) The reasons for believing that the claimant's permanent disability
after the injury would be less were it not for the pre-existing permanent
partial disability or that the death would not have occurred but for that
disability. These reasons must be supported by medical or vocational evidence
as specified in (4) below.
(3) Evidence to show that the pre-existing permanent partial
disability was manifest to the EC prior to the second injury, either actually
or constructively. However, see Newport News Shipbuilding and Dry Dock
Company v. Harris, 24 BRBS 190(CRT), 934 F.2d 548 (4th Cir. 1991), wherein
the Fourth Circuit Court of Appeals limited the manifest requirement in
post-retirement occupational disease cases.
(4) Documentary medical evidence to support the request for section
8(f) relief which should include impairments and the date of maximum medical
improvement.
(a) If the current disability is total, the medical evidence must
demonstrate that the disability is not due solely to the second injury (see
Director, OWCP v. Luccitelli et al., 964 F.2d 1303 (2d Cir. May 1992);
and LHWCA Circular No. 92-02.); and, that, in the absence of the pre-existing
disability, the worker would otherwise be employable (see Director, OWCP v.
Jaffe N.Y. Decorating, 25 F.3d 1080 (DC Cir. 1994).
(b) If the current disability is partial, the medical evidence must
explain why the disability is not due solely to the second injury and why the
resulting disability is materially and substantially greater than that which
would have resulted from the subsequent injury alone. (See Newport News
Shipbuilding and Dry Dock v. Director, [Harcum II] ___ F.3d ___, 31 BRBS
164(CRT)(4th Cir. 1997)
(c) If the injury is loss of hearing, the pre-existing hearing loss
must be documented by an audiogram which complies with the requirements of 20
C.F.R. section 702.441 (see PM 3-401). It should be noted that the two most
recent audiograms available can be utilized by the EC for asserting a claim for
Section 8(f) relief. While the use of recent audiograms may place greater
liability on the Special Fund than would otherwise be the case, the EC cannot
be required to base its request for relief using only the oldest certified
audiogram versus the most recent audiogram of record. Similarly, the employer
cannot be required to base its request for relief using a pre-employment
audiogram (see Risch v. General Dynamics, 22 BRBS 251). Also
relief cannot be denied where the employer administers audiograms to an
employee and allegedly does not inform him of the results or file an injury
report, but then uses those audiograms in connection with the request for
Section 8(f) relief (see Skelton v. Bath Iron Works, 27 BRBS 28).
(d) If the claim is for survivor's benefits, the medical report must
establish that the death was not due solely to the second injury. The District
Office should obtain the death certificate and a copy of the autopsy report
where available.
(e) If the EC claims entitlement to section 8(f) relief for both a
disability and death claim, its application must satisfy the statutory
requirements for both claims.
c. An Application Must Be Submitted In Duplicate. This is to
insure that a copy can be used by the Solicitor's Office, in preparation for a
hearing, while the original remains in the case file. If an application is not
submitted in duplicate, DOs may need to reproduce the application which is an
added unnecessary expense. The application is the burden of the EC who directly
benefits from section 8(f) relief, and should therefore be submitted in
duplicate. Where an application is determined to be deficient, a copy of the
application should be kept in the administrative file and not returned to the
EC. Should the case be referred for formal hearing, the copy may be needed for
possible absolute defense purposes.
d. The DO Should Closely Monitor Section 8(f) Cases. It is
important to insure that all applications are submitted in duplicate and
contain all the information described above. Failure to monitor cases at the DO
level will result in cases being returned by the NO for additional information.
5. Submission of the Application.
a. General Guidelines. The DD sets the date for the submission of
the fully documented application. In setting this date the DD should allow
sufficient time for the EC to gather the necessary information while insuring
that the claimant's right to a timely hearing is preserved. The DD should also
try to have the application submitted prior to the expiration of the 104 week
period. This is desirable because the Special Fund has been found liable for
interest on reimbursements to ECs for payments made in excess of the 104 week
period and we want to minimize this liability. Particular attention should be
given to cases where the EC continues to pay benefits voluntarily and the
natural tendency would be to allow the application process to be prolonged.
These are general criteria which the DD should apply to the facts of each case.
More specific guidance on the selection of the date for submission of the
application follows. Also see 20 C.F.R. section 702.321(b).
b. Notice of the Informal Conference. Both 20 C.F.R. section
702.321(b) and section 702.313 require that the notice of the conference
specify the matters to be discussed. Therefore, form LS-141, Notice of Informal
Conference (See Exhibit 13, PM 10-200), is to include all the issues to be
discussed at the conference. All parties are required to list issues reasonably
anticipated to be discussed at the conference when the initial request for a
conference is made and to notify all parties of additional issues which arise
during the period before the conference is actually held.
c. Permanency Or Death An Issue Before Informal Conference. Where
notice is given to all parties that permanency or death is to be an issue at an
informal conference, the fully documented application shall be submitted at or
before the conference. Therefore, if permanency or death is an issue, care
should be taken in scheduling the conference since the complete application
must be submitted at that time. In such cases the EC should be allowed
sufficient time to gather the information necessary for a complete application.
d. Issue of Permanency Or Death First Raised At An Informal
Conference. Where the issue of permanency or death is first raised at
the informal conference and could not have reasonably been anticipated by the
parties prior to the conference, the DD or CE shall interrupt the conference
and set the date by which the fully documented application must be submitted
and so notify the EC. With the concurrence of the parties the conference may be
resumed. The date shall be set after reviewing the circumstances of the case
and considering the factors listed in subparagraph 5f, below. In setting the
date, the DD should attempt to balance the needs of the claimant for a speedy
trial and the needs of the EC for sufficient time to develop its application.
e. Cases Where the EC Denies Any Disability. In cases where a
claim is made for permanency but the EC maintains that there is no disability
or that maximum medical improvement has not been reached, the DO should make a
determination based upon the evidence of record. If additional medical evidence
is needed an impartial medical evaluation should be scheduled. Based upon the
evidence in the case file the DO should either set the date for submission of
the application or indicate that the claimant has not reached maximum medical
improvement.
f. Other Factors and Extensions.
(1) In fixing the date for submission of the application under
circumstances other than those described above, or in considering any request
for an extension of the date selected, the DD shall review all the facts of the
case, including, but not limited to:
(a) Whether the claimant is being paid compensation and the hardship
to the claimant of delaying referral of the case to the OALJ;
(b) The complexity of the issues and the availability of medical and
other evidence to the employer;
(c) The length of time the employer was or should have been aware
that permanency or death is an issue; and
(d) The reasons listed in support of a request, where the EC has
requested an extension or a specific date.
(2) Extensions should only be granted for good cause and in such a way
that the timely adjudication of the claim is not adversely affected. However,
neither the date selected for submission of the fully documented application
nor any extension therefrom can go beyond the date the case is referred to the
OALJ for formal hearing.
g. Where Permanency Or Death Is Not An Issue. Where the
claimant's condition has not reached maximum medical improvement or no claim
for permanency or death is made by the date the case is referred to the OALJ,
an application need not be submitted to the DD to preserve the EC's right to
later seek relief under section 8(f).
h. Absolute Defense. It is important to set a firm date for the
submission of the application. Once the date for submission of the application
has passed, the EC should be advised in writing: that the claim for section
8(f) relief is denied due to its failure to file a timely application; that the
absolute defense will be asserted; and, that the case will be referred for
formal hearing. The Solicitor's Office should be notified and requested to
assert the absolute defense. (See paragraph 9 below, and the case of Quinlan
v. Dravo Corporation, 20 BRBS 802). Also, where a case involving potential
8(f) relief is referred for formal hearing, the transmittal memorandum to the
OALJ should contain a specific statement as to whether section 8(f) relief has
been raised by the EC. (see the case of Hawthorne v. Ingalls
Shipbuilding, 29 BRBS 103).
6. Review of the Application.
a. General.
(1) Although we do not condone nor encourage the filing of premature
applications, there is no prohibition in either the statute or the regulations
against an EC submitting an application before the issue is ripe for
adjudication. If an EC submits an application for relief and the DO concludes
that it is premature, i.e. permanency is not an issue, the application should
not be returned to the EC. It should be placed in the case file and the EC so
notified. Any evidence submitted with the application may be used in evaluating
the claim for compensation.
(2) Upon receipt of the application the DD should review it to insure
that all the required evidence was submitted. If any required evidence is
missing or if the DD determines that additional evidence is necessary the EC
should be notified and given the opportunity to submit the evidence. If the EC
does not submit the evidence, or if the evidence submitted is found to be
unsatisfactory, the DD is to deny the application.
(3) When the application is received, the DD or CE must enter the date
of receipt and the code '8far' on the LCMS Diary Tab. This code, and the
corresponding date, are also to be entered upon receipt of any additional
evidence requested from the EC.
(4) If the application for relief does not specify whether it is for
partial or total disability, the entire case file, including evidence submitted
by the claimant, is to be evaluated in making this determination. Only by a
reviewing all the evidence of record can the DO make a reasoned judgment
concerning the nature and extent of the claimant's disability and the
claimant's possible entitlement to benefits. This will also establish the basis
for the request for section 8(f) relief which is contingent on the injured
employee's claim for compensation.
(5) The DD should use the initial review of the application as an
opportunity to provide technical assistance to the EC so that full compliance
with the regulations and these procedures can be achieved. This is particularly
important where the EC does not have much experience with the section 8(f)
issue. Any deficiency in the application should be noted and the EC should be
given the opportunity to correct the deficiency. This process is to be followed
initially with all ECs. However, if an employer continues to submit deficient
applications, the DD may act on the application as submitted.
(6) In reviewing these applications, the DD is acting on behalf of the
Director, OWCP, who is the administrator of the Special Fund. Therefore, the DD
is to consider how issues will impact on the position of the Special Fund.
(7) The DD should attempt to resolve all outstanding issues to the
extent possible. Conflicts in medical evidence concerning the nature and extent
of the claimant's disability or the pre-existing disability are to be resolved.
Impartial medical evaluations are to be used in cases where the evidence does
not conflict but, in the opinion of the DD, the evidence submitted by the
parties is non-determinative. In arranging for an impartial medical evaluation,
the DD should follow the procedures outlined in PM 5-200.10 and PM 5-400.10.
(8) The DD should make a determination, in occupational disease cases,
whether the disease became manifest (i.e., significant symptoms) before or
after retirement. This is important for consideration of the section 8(f) issue
since it determines the level of benefits (i.e., partial or total) to which the
employee is entitled and the corresponding medical evidence required in the
EC's application (see subparagraph 4b(4)(a) or (b), above). Where the
claimant's disability is first manifest after retirement, the claimant is
entitled to benefits only for permanent partial disability based on a
percentage of permanent impairment (see section 8(c)(23) and 20 C.F.R. section
702.601).
b. Time To Review The Application.
(1) The DD shall review the application (or have it reviewed by a CE)
within forty-five days of receipt and take one of the following actions:
(a) Identify any deficiencies in the application or any other
necessary evidence and return it to the EC for the submission of additional
information (However, a copy of the application should be kept in the file.),
or
(b) Make a recommendation for approval and transmit the case to the
National Office for consideration, or
(c) Deny the application.
(2) When the EC submits additional evidence, the DD (or CE) shall
review the application and either transmit the case to the National Office with
a recommendation for approval or deny the application within forty-five days.
(3) Timely follow-ups on requests for additional information should be
used so that the adjudication process does not lag. This is especially
important in cases where the claimant is not being compensated. As noted above
(subparagraph 5a) timely follow-up on deficient applications could lessen the
amount of interest payable on reimbursements to ECs.
(4) It is important to set a firm date for submission of the
additional information and to follow through if the information is not
submitted by this date. This will enable us to assert the absolute defense in
those cases where it is appropriate.
(5) Any special circumstances which caused the completed application
to be submitted to the National Office later than forty-five days from receipt
should be identified by the DD in the accompanying transmittal memorandum.
(6) When the case is reviewed, or when the DO requests the EC to
submit additional information, this date and the code '8fds' are to be entered
in the LCMS on the Diary Tab. This code, and the corresponding date, are also
to be used when the DO reviews any additional information submitted by the EC.
(7) When an application is premature; that is, maximum medical
improvement has not been reached, it is not in posture for review. The DD shall
advise the EC by written correspondence that the application is premature, and
the reason for which it is premature. The EC should be instructed to resubmit
the application when permanency becomes an issue.
c. Approval.
(1) Where EC has established the statutory requirements, the DD has
the authority to approve section 8(f) relief in those cases which involve a
loss of hearing both as the pre-existing condition and as the second injury.
(2) All other cases must have the concurrence of the Director, DLHWC
before a compensation order can be issued awarding section 8(f) relief. In
order to secure the concurrence of the Director, the case must be referred to
the National Office for review in accordance with paragraph 7 below.
(3) When a claimant, who was receiving disability benefits from the
Special Fund, dies, payment for any death claim will not be made from the Fund
without the concurrence of the EC. In such cases, the DO should request a death
certificate and determine whether the death was related to the accepted
condition. The DO should make a recommendation on the payment of the death
claim from the Special Fund and request the concurrence of the EC. When this
concurrence is received, the matter should be referred to the National Office
for review. (See PM 6-203, and paragraph 4b above.)
d. Denial.
(1) Section 702.321(c) of the regulations allows for the delegation of
the authority to deny the application for section 8(f) relief. This authority
was delegated to the DDs effective April 17, 1987. (See Longshore Memorandum
No. 17, April 17, 1987, a copy of which can be obtained from the National
Office if needed.)
(2) Our present policy is that the EC must be informed in writing of
the deficiencies in the application before it can be denied. The EC must be
given a reasonable amount of time to submit additional evidence to correct the
deficiencies in the application. This must be done in every case, and can be an
opportunity for the DO to provide technical assistance to the EC so that full
compliance with the regulations and procedures can be achieved. This will also
give us a firm basis to assert the absolute defense. If an EC repeatedly
submits deficient applications and previous letters have been unsuccessful in
obtaining compliance with the regulations and procedures, the DD may deny the
deficient application without further correspondence. However, the letter of
denial must clearly list the reason(s) for the denial. The DD should recommend
the absolute defense against these applications. When requesting Solicitor
participation in these cases, a history of the EC's previous noncompliance
should be included. (See subparagraph 9b, below.)
(3) If an EC has been informed in writing of the deficiencies in the
application for relief, and the EC has not corrected those deficiencies, the
application may be denied. The application may also be denied where the EC has
made a good faith effort to correct the deficiencies but the facts of the case
do not warrant section 8(f) relief. For these purposes, a deficient application
may be considered as one where the evidence submitted by the EC fails to relate
to or discuss one of the three criteria for relief. The fact that the DO is not
convinced by the EC's evidence does not necessarily render the application
incomplete or deficient. In cases where the application meets the minimum
requirements of the regulations but the DO determines that it does not support
the administrative approval of section 8(f) relief, the application should be
denied, but the absolute defense should not be asserted. In addition, where the
EC makes a good faith effort to submit a complete application but the DO
determines that the evidence does not support section 8(f) relief, the absolute
defense should not be asserted. Instead, the application should simply be
denied.
(4) The denial of the application is to be issued as a letter over the
signature of the DD.
(5) The fact that the issue of nature and extent of the claimant's
disability is in dispute is not an appropriate basis to deny the application.
Furthermore, it is not our policy to deny the application merely because the
parties have failed to agree on the nature and extent of the claimant's
condition. In cases where this issue is in dispute, the DO should assist the
parties in the resolution of the dispute. This should be done, where possible,
by means of informal conferences, impartial medical evaluations and
rehabilitation evaluations.
(6) If the DO denies the application and requests Solicitor
participation at the hearing, evidence must be provided to support the denial.
It is responsibility of the DO to see that this evidence is developed. Where an
independent medical opinion is solicited, the DO should identify in the file
the specific medical records that are sent to the physician, which form the
basis for the doctor's opinion.
7. Referral to the National Office.
a. Transmittal Memorandum.
(1) All cases referred to the National Office for review must be
accompanied by a memorandum over the signature of the DD which fully discusses
the facts of the case. A form has been developed for this purpose. (See Exhibit
12, PM 10-300.) If this form is not used, or if it is not fully completed, the
case will be returned to the DO.
(2) It is important for the transmittal memorandum to contain a
narrative discussion in Items 13 through 16 in addition to referencing medical
reports and EC exhibits. It is also important that a comprehensive discussion
of any contested issues which impact on the section 8(f) issue, such as
jurisdiction or nature and extent of disability, be included under Item 17. A
discussion of the grounds for approval should also be included in Item 17.
(3) If the parties have stipulated to contested issues, the DO should
fully explain how the stipulations were arrived at.
(4) Under Item 18, the DO should provide the basis for computing the
compensation rate in PPD cases based upon a loss of wage earning capacity
(LWEC). The claimant's pre-injury wage should be included as well as the actual
or projected post-injury wage which forms the basis for the LWEC determination.
If an estimated wage is used, the DO should explain how it was established.
(5) If all outstanding issues have been addressed in a recent
conference memorandum, that memorandum may be attached and referenced.
(6) The transmittal form is an internal form and it is to be completed
only by DO personnel. Under no circumstances is it to be released to ECs for
completion by them.
b. The Case File Must Accompany the Transmittal Memorandum. In
addition, if the application concerns several injuries which were covered by
the Act and the DO has case files on the injuries, these case files should also
accompany the transmittal memorandum.
c. Duplicate Applications. Since the application may be
voluminous it will not be necessary to send the duplicate copy to the National
Office. The case file should be marked to indicate that a duplicate application
was received and retained in the DO.
d. All Issues Should Be Resolved. If the DO recommends approval
of the application, the case should not be referred to the National Office with
unresolved issues. As with other cases, we expect the DO to informally assist
in the resolution of all disputed issues. This should be done, where
appropriate, by means of informal conferences, impartial medical evaluations,
and rehabilitation evaluations. The DO should attempt to get the agreement of
the parties on all issues, including the amount of the claimant's earning
capacity, before the case is referred to the National Office. If the parties
are unable to agree on any issue, the DO should still make a recommendation.
8. Action by the National Office.
a. The Initial Review. At the time of receipt in the National
Office, the case file and transmittal memorandum will be reviewed to insure
that all applicable procedures have been followed. If it is found that these
procedures have not been followed, the case file and section 8(f) application
will be returned to the DO for further action.
b. The Review of the Issues. The Director, OWCP is a party in
interest to all claims. This authority, as well as the authority to review
section 8(f) applications, has been delegated to the Director, DLHWC. The
National Office may also determine that further development of some issues may
be necessary before the application can be fully considered.
c. Additional Development. If the case file contains unresolved
issues or if it appears that the evidence of record does not support or explain
the stipulations of the parties, the case will be returned to the DO. The case
may also be returned if the National Office determines that additional evidence
is necessary. The DO should attempt to obtain the additional evidence as
quickly as practicable so that any delay in the adjudication of the case can be
minimized. The time frames listed above, in subparagraph 6b, should be
observed.
d. Approval of the Application.
(1) If the evidence in the case file and the application support
section 8(f) relief, the Director will advise the DD to issue a compensation
order embodying the agreement of all the parties. Once this compensation order
is issued, the DO should initiate the payment of benefits by following the
procedures outlined in PM 6-203. If section 8(f) is an issue in a case, a
compensation order should not be issued until all issues, including section
8(f), have been resolved.
(2) The "Fund First" rule provides that the Special Fund should
receive credit for prior payments on an injury rather than giving it to the
employer as the credit would result in a payment for less than the statutory
obligation for the second injury. In the case of Director, OWCP v. Bethlehem
Steel Corp., 868 F.2d 759, 22 BRBS 47 (CRT)(5th Cir. 1989),
aff'g in part and rev'g in part Brown v. Bethlehem Steel
Corp., 19 BRBS 200 and 20 BRBS 26 (1987), the court held that when a second
scheduled injury (i.e., an injury which falls with section 8(c)(1) to 8(c)(20))
increases a claimant's pre-existing permanent partial disability and where this
second injury alone results in over 104 weeks of compensation, then whenever a
credit for previous compensation paid as a result of the initial injury is
available to offset the present amount due claimant, that credit shall first
reduce the total award before there is any allocation of liability under
Section 8(f). This reduction in the total award due as a result of the second
injury will effectively apply the credit to the Special Fund's liability first,
with any credit remaining to be applied against the employer's liability. The
court further held that the amount of the credit to be allowed against the
total award shall be the actual dollar amount of payment that was previously
made to claimant as a result of the initial injury.
e. Denial of the Application. If the evidence does not support
the application, section 8(f) relief will be denied by the Director. The
Director is not bound by the stipulations of the other parties, and will not
accept these stipulations if they are unreasonable or not supported by the
evidence of record. If the application is denied, the DD will be informed by
memorandum from the National Office. This memorandum is not to be released to
the parties. The DD may use information from this memorandum when advising the
parties of the reason(s) for the denial. The EC may then request a formal
hearing. When the case is referred- to the OALJ, the DO is to notify the
Solicitor's Office as outlined in paragraph 9 below.
9. Referral to the Solicitor's Office.
a. Solicitor Defends the Denial. If the application is denied,
either by the DD or the Director, and the case is referred for a formal
hearing, the DD should request Solicitor participation at the hearing to defend
the denial. The Solicitor's Office has decentralized this responsibility to the
Office of the Regional Solicitor. However, District Office 40 should continue
to send their requests for representation to the Associate Solicitor for
Employee Benefits in Washington, D.C.
b. Memorandum to the Solicitor's Office. A request for Solicitor
participation at a formal hearing should be in the form of memorandum to the
appropriate Solicitor's Office. This memorandum should include:
(1) A copy of the application for section 8(f) relief together with
the evidence submitted in support of the application,
(2) A copy of the DD's denial memorandum, or a copy of the DD's
approval memorandum and a copy of the Director's denial,
(3) A copy of the DD's request for an impartial medical evaluation and
a copy of the physician's response, and
(4) Any additional information considered necessary to defend the
denial of relief. Since the Solicitor's Office may depend on the DD's
memorandum of denial or approval for an analysis of the case, this memorandum
should be as complete as possible. The DD should also include copies of
pertinent evidence from the case file which will assist the Solicitor's Office.
As noted in subparagraph 6d(6) above, it is the responsibility of the DO to
insure that there is sufficient evidence for the Solicitor to use to support
the denial of section 8(f) relief. If necessary, the DO must develop this
evidence. A copy of the memorandum requesting Solicitor participation, without
the attachments, should be sent to the Director, DLHWC, at the time of
referral.
c. Time of Referral. The memorandum requesting participation at
the formal hearing should be sent when the case is referred to the OALJ. It is
not necessary to refer cases to the Solicitor's Office before a denial is
issued or before the case is terminated. However, the DD may discuss the facts
of the case with the Solicitor's Office and attorneys in that office may review
the file. The DD should not permit this consultation period to delay the
referral of the case.
d. Action by the Solicitor's Office. Since the DO will be dealing
directly with the Regional Solicitor's Office it is important to develop a good
working relationship. The DD (or CE) should be prepared to discuss the denial,
and any additional development needed to prepare the case for formal hearing.
Any necessary development is to be done by the DO. The Solicitor's Office may
determine that the testimony of an expert witness, or additional evidence, is
necessary to defend the Special Fund. In such cases, the DO should, upon
request, cooperate in identifying potential witnesses. The cost of the expert
testimony will be charged to the Longshore Program's budget. Questions
concerning the form for submitting this type of bill should be referred to the
National Office. At the time of referral for an impartial medical evaluation,
the DD should advise the physician that he or she may be called on to be a
witness at a formal hearing.
If in the course of discovery and preparation for trial, the
employer/carrier develops additional factual, medical, or vocational evidence
sufficient to overcome the deficiencies of the original application for Special
Fund relief, the District Director, in consultation with the RSOL staff, may
accept the claim for relief upon consideration of such evidence. It is not
necessary to submit the case file or the new evidence to the National Office
for reconsideration of the application for section 8(f) relief, although the
National Office staff is always available for consultation and guidance. (See
PM 6-201.10(c) below.)
10. 8(f) First Raised While Case Pending at OALJ.
a. If the issue of Section 8(f) relief is raised for the first time
while the case is pending at the OALJ, e.g., permanency is reached after
referral, the ALJ, not the DD, has authority to decide the issue. The case need
not be remanded by the ALJ to the DO, however, the EC must notify both the DD
and the RSOL that it intends to seek Section 8(f) relief, and submit a copy of
the 8(f) application to both.
b. If an 8(f) application is submitted to the DO while the case is
pending before the ALJ, it should be treated as a request for relief from the
ALJ to which the Director, as a party to the ALJ proceeding, must respond. Upon
receipt of the application, the DO must review it on the merits in accordance
with the regulations at 20 CFR § 702.321 and with PM 6.201.4. As soon as
practicable, the DD must inform the RSOL of the Director's position as to
whether 8(f) relief is appropriate. RSOL will notify the ALJ of the Director's
position, and will represent the interest of the Special Fund in the ALJ
proceeding.
c. If the DD determines that 8(f) relief should be granted, concurrence
of the Director, DLHWC is not required. The DO need not refer the case to the
National Office for approval, although the NO is available for consultation. If
the DD determines that Special Fund relief is not warranted, either because the
application is untimely or that one or more of the criteria for relief has not
been met, the DD should work closely with RSOL to co-ordinate the defense of
the Special Fund as necessary.
d. In the event that the 8(f) application is sent to the RSOL but not to
the DO, the RSOL should immediately forward a copy to the DD and ascertain the
Director's position on the issue.
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