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100 Notes on Labor Law / 2007 / Marlon J. Manuel
EMPLOYER-EMPLOYEE RELATIONSHIP
1.
It is possible for a “dual juridical relationship” to exist – that of employer-employee and vendor-vendee,
or that of employer-employee and corporation-stockholder. Control of the employee’s conduct is the most
crucial and determinative indicator of the presence or absence of an employer-employee relationship. The
existence of a different kind of juridical relationship between the parties does not necessarily extinguish the
employer-employee relationship. In the same way, the existence of an employer-employee relationship cannot
be negated by expressly repudiating it in a contract.
2.
The submission of reports and recommendations regarding work progress on a regular basis does not
amount to control over the means and methods of work. Not all rules are equivalent to control, that gives rise
to an employer-employee relationship. There is a difference between rules and guidelines towards the
achievement of the mutually desired result without dictating the means or methods to be employed in attaining
it, and those that control or fix the methodology and bind or restrict the party hired to the use of such means.
The first create no employer-employee relationship.
3.
Exclusivity of service does not necessarily mean that the purported employer exercised control over the
means and methods of the purported employee’s work. This feature is not meant to change the nature of the
relationship between the parties, nor does it necessarily imbue such relationship with the quality of control
envisioned by law as giving rise to an employer-employee relationship.
4.
A person may be paid on the basis of results or time expended on the work, and may or may not acquire
an employment status. Payment by results is merely a method of computing compensation and not a basis for
determining the existence of employer-employee relationship. Hence, payment by commission or on per-trip
basis will not negate the existence of an employer-employee relationship.
5.
A party may render services for another, no matter how necessary for the latter’s business, even without
being hired as an employee. The fact that the worker performs work that is usually necessary and desirable to
the business of the employer is not determinative of the existence of an employer-employee relationship.
Article 280 of the Labor Code is not the yardstick for determining the existence of an employer-employee
relationship. The provision merely distinguishes between the two (2) kinds of employees (regular and nonregular), in an employment relationship that is not in dispute.
6.
The mere presence of the contractor’s supervisor in the work premises does not necessarily mean that
the contractor had control over the work of the employees. The test to determine the existence of independent
contractorship is whether one claming to be an independent contractor has contracted to do the work on its own
account, under its own responsibility, according to its own methods and without being subject to the control of
the principal, except only as to the results.
7.
It is not enough to show substantial capitalization or investment in the form of tools and equipment, to
be considered as an independent contractor. In determining the existence of an independent contractor
relationship, several factors might be considered such as: whether the contractor is carrying on an independent
business; the nature and extent of the work; the skill required; the term and duration of the relationship; the
right to assign the performance of specified pieces of work, the control and supervision of the workers; the
power of the employer with respect to hiring, firing and payment of the workers of the contractor; the control of
the premises; the duty to supply premises, tools, appliances, materials and labor; and the mode, manner and
terms of payment.
8.
In legitimate job-contracting, the law creates an employer-employee relationship for a limited purpose,
i.e., to ensure that the employees are paid their wages. The principal employer becomes jointly and severally
liable with the job contractor, only for the payment of the employees’ wages whenever the contractor fails to
pay the same. In labor-only contracting, the law creates an employer-employee relationship for a
comprehensive purpose: to prevent a circumvention of labor laws. The contractor is considered merely an
agent of the principal employer and the latter is responsible to the employees of the contractor as if such
employees had been directly employed by the principal.
9.
For employees in a contracting arrangement, the actual source of the payment of their wage does not
matter as long as they are paid. As creditors, the employees may collect from anyone of the solidary debtors.
Solidary liability does not mean that two solidary debtors are liable for only half of the payment. The
employees’ immediate recourse, however, is with their direct employer.
10.
The Constitution declares that the State affirms labor as a primary social economic force. It shall protect
the rights of workers and promote their welfare. The State shall afford full protection to labor, local and

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
overseas, organized and unorganized, and promote full employment and equality of employment opportunities
for all.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
CLASSES OF EMPLOYEES
1.
What determines whether a certain employment is regular or not is not the will and word of the
employer but the nature of the activities performed by the employee. The primary standard of
determining regular employment is the reasonable connection between the particular activity performed
by the employee in relation to the usual business or trade of the employer. The test is whether the former
is usually necessary or desirable in the usual trade or business of the employer.
2.
Whether one’s employment is regular is not determined by the number of hours one works. Hence,
part-time work does not necessarily negate regular employment. Regular employment status is likewise
not determined by the manner of compensation. Hence, an employee whose mode of compensation is on
a “per-piece basis” can still be a regular employee.
3.
The law does not provide the qualification that the employee must first be issued a regular
appointment or must first be formally declared as such before s/he can acquire a regular status. A person
becomes a regular employee by operation of law. Thus, the status of regular employment attaches to a
casual employee on the day immediately after the end of his first year of service.
4.
For seasonal employees to be excluded from those classified as regular employees, it is not enough
that they perform work that is seasonal in nature. They must have been employed only for the duration of
one season. If seasonal workers perform the same tasks for the employer every season for several years,
they will be considered regular employees for their respective tasks. Seasonal workers who are called to
work from time to time and are temporarily laid off during off-season are not separated from service, but
merely considered on leave until re-employed.
5.
Project employment contemplates an activity which is not commonly or habitually performed or
such type of work which is not done on a daily basis but only for a specific duration of time or until
completion, in which case, the services of an employee are necessary and desirable in the employer’s
usual business only for the period of time it takes to complete the project. A project could also refer to a
particular job or undertaking that is within the regular or usual business of the employer, but which is
distinct and separate, and identifiable as such, from the other undertakings of the employer.
6.
Length of service of a project employee is not the controlling test of employment classification.
Whether one is employed as a project employee or not would depend on whether s/he was hired to carry
out a specific project or undertaking, the duration and scope of which were specified at the time his/her
services were engaged. If there is no specification of the duration and scope, and the work to be
undertaken is usually necessary or desirable in the usual business or trade of the employer, then it is
regular employment. In project employment, the employment is coterminous with the project.
7.
A project employee may acquire the status of a regular employee when the following concur: (a)
there is a continuous rehiring of project employees even after the cessation of a project for the same tasks
or nature of tasks; and (b) the tasks performed by the employees are vital, necessary and indispensable to
the usual trade or business of the employer. The length of time during which the employee was
continuously rehired is not controlling, but serves as a badge of regular employment.
8.
For fixed-term employment to be valid: (a) the fixed period of employment must be knowingly and
voluntarily agreed upon by the parties without any force, duress, or improper pressure brought to bear
upon the employee and absent any other circumstances vitiating his/her consent; (b) it satisfactorily
appears that the employer and the employee dealt with each other on more or less equal terms with no
moral dominance exercised by the former on the latter; and (c) the fixed-term employment is not used by
the employer to circumvent the employee’s right to security of tenure. Utilizing a series of employment
contracts of short duration can be considered circumvention.
9.
The essence of probationary employment lies in the purpose or objective sought to be attained, i.e.,
primarily for the employer to determine whether or not the employee is qualified for permanent
employment. The word “probationary” implies the purpose of the term, but not its length. The
probationary employee is not entitled to the completion of the probationary period and can be terminated
prior to that completion for a just cause or for failure to qualify as a regular employee in accordance with
reasonable standards made known to the employee at the time of engagement.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
10.
A part-time teacher cannot acquire permanent status despite the length of service. Only when a
teacher has served as a full-time employee can such teacher acquire permanent or regular status.
Semesters served as part-time lecturer cannot be credited in computing the number of years the teacher
has served to qualify for regular status.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
LABOR STANDARDS
1.
The “floor wage” method involves the fixing of a determinate amount to be added to the prevailing
statutory minimum wage rates. The “salary-ceiling” method mandates a wage adjustment that will be
applied to employees receiving a certain denominated salary ceiling. In the “salary-ceiling” method,
workers already receiving more than the existing minimum wage (up to a certain amount stated in the
Wage Order – the “ceiling”) are also to be given a wage increase.
2.
The cause of action of an entitled employee to claim the service incentive leave pay (SIL) accrues
from the moment the employer refuses to remunerate its monetary equivalent if the employee did not
make use of said leave credits but instead chose to avail of its commutation. Accordingly, if the employee
wishes to accumulate the leave credits and opts for its commutation upon his/her resignation or
separation, the cause of action to claim the whole amount of the SIL shall arise when the employer fails to
pay such amount at the time of the resignation or separation from employment. The 3 year prescriptive
period commences from the time when the employer refuses to pay its monetary equivalent after demand
of commutation or upon termination of the employee’s services.
3.
The criterion in making a distinction between a supplement and a facility does not so much lie in
the kind but the purpose. Food or snacks or other convenience provided by the employers are deemed as
supplements if they are granted for the convenience of the employer.
4.
Earnings and other remunerations which are not part of the basic salary shall not be included in the
computation of the 13th month pay. Management’s practice of including non-basic benefits in the
computation of the 13th month pay for two years, despite the clarity of the law on this, constitutes
voluntary employer practice which cannot be unilaterally withdrawn by the employer.
5.
The mere factual existence of a wage distortion does not ipso facto result to an obligation to rectify
it absent a law or other source of obligation which requires rectification. The Labor Code’s mandate for
the correction of a wage distortion contemplates a wage distortion due to a prescribed law or wage order.
It does not cover voluntary and unilateral increases by the employer in fixing hiring rates.
6.
The granting of a bonus is basically a management prerogative which cannot be forced upon the
employer who may not be obliged to assume the onerous burden of granting bonuses or other benefits
aside from the employee’s basic salaries or wages, especially so if it is incapable of doing so. As an
exception, a bonus is demandable only when there is clear proof that it is made part of the wage or salary
or compensation (e.g., salary is partly fixed amount and partly incentive bonus).
7.
A policy requiring employees to remain single and providing that they will be separated from the
service once they marry was declared void, it being violative of the Labor Code’s policy with regard to
discrimination against marriage. A policy prohibiting employees from marrying co-employees, and
requiring one of the spouses to resign from the company, was likewise held invalid. However, a policy
prohibiting employees from marrying employees of a competitor company was upheld.
8.
“Field personnel” are non-agricultural employees who regularly perform their duties away from the
principal place of business or branch office of the employer and whose actual hours of work in the field
cannot be determined with reasonable certainty. If required to be at specific places at specific times, the
employees cannot be considered to be field personnel. The definition is not merely concerned with the
location where the employee regularly performs his duties but also with the fact that the employee’s
performance is unsupervised by the employer.
9.
Fixing of the work schedule of employees is the employer’s prerogative. Absent discrimination, as
in a situation where the change effected by management with regard to working time is made to apply to
all employees whether or not they are members of the union, it cannot be said that the new schedule
prejudices the right to self-organization.
10.
Transfer of employees is within the inherent right of employers to manage their business. This is
subject to the condition that it must not be motivated by discrimination or bad faith. Furthermore, the
transfer may amount to constructive dismissal when the transfer is unreasonable, inconvenient, or
prejudicial to the employee, and involves a demotion in rank or diminution of salaries, benefits, and other

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
privileges. An act of clear discrimination, insensibility, or disdain by an employer may become so
unbearable on the part of the employee that it will force the employee to quit work.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
RECRUITMENT & SSS
1.
The term “migrant worker” includes a Filipino who is hired by a Philippine corporation to work for its
branch abroad, even when the hiring was done through the branch office while the employee was on a
tourist status in the foreign country. Whether employed locally or overseas, all Filipino workers enjoy the
protective mantle of Philippine labor and social legislation, contract stipulations to the contrary
notwithstanding. Obtaining a work permit in a foreign country does not necessarily mean a waiver of
one’s national laws on labor. That permit does not automatically mean that the non-citizen is thereby
bound by local laws only, i.e., by the laws of the country of work.
2.
The obligation of the recruitment agency and the foreign principal to the employee does not end
upon the expiration of their contract (manning agreement between agency and principal) but continues up
to the termination of the employment contract. In fact, such liability does not necessarily end upon the
termination of employment but upon the repatriation of the employee to the Philippines.
3.
When after the termination of the original employment contract, the foreign principal directly
negotiated with the migrant worker and entered into a new and separate employment contract, without
the knowledge and consent of the recruitment agency, the agency cannot be held liable for the worker’s
claims arising from the contract extension.
4.
The solidary nature of the relationship between the local recruitment agency and the foreign
principal makes them solidarily liable for any violation of the recruitment agreement or the employment
contract.
5.
In illegal recruitment, the recruiter gives the impression that s/he has the power to send workers
abroad. The number of persons dealt with is not an essential ingredient of the act of recruitment and
placement. There can be recruitment even if only one prospective worker is involved. Recruitment is
deemed committed in large scale, however, if committed against three (3) or more persons individually or
as a group.
6.
Under the “country-team approach,” all officers, representatives and personnel of the Philippine
government posted abroad regardless of their mother agencies shall, on a per country basis, act as one
country-team with a mission under the leadership of the ambassador.
7.
Total disability means the disablement of an employee to earn wages in the same kind of work or
similar nature that s/he was trained for, or accustomed to perform, or any kind of work which a person of
his/her mentality and attainment could do. It does not mean absolute helplessness. In disability
compensation, it is not the injury which is compensated, but rather it is the incapacity to work resulting in
the impairment of one’s earning capacity. The fact that the employee was able to work again after a few
years will not negate total disability. It is of no consequence that the employee was cured after a couple of
years. The law does not require that the illness should be incurable.
8.
The mandatory coverage of SSS is premised on the existence of an employer-employee
relationship. Regardless of the nature of employment, whether it is regular or project, employees are
subject of the compulsory coverage under the SSS law, unless their employment falls under the specific
exceptions provided by the law. By express provision of law, casual employees are not subject to
compulsory coverage of SSS.
9.
The term “primary beneficiaries as of the date of his retirement” should include a dependent
spouse who was married to the member after the retirement of the latter. Classifying dependent spouses
and determining their entitlement to survivor’s pension based on whether the marriage was contracted
before or after the retirement of the other spouse, regardless of the duration of the said marriage, bears no
relation to the achievement of the policy objective of the law.
10.
Voluntary coverage of the SSS includes Filipinos recruited in the Philippines by foreign-based
employers for employment abroad, and spouses who devote full time to managing the household and
family affairs.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
RIGHT TO SELF-ORGANIZATION
1.
The inclusion in a union of disqualified employees cannot be used as a ground for a petition for
cancellation of union registration, unless such inclusion is due to misrepresentation, false statement or
fraud, in connection with the adoption or ratification of the constitution and by-laws, the minutes of
ratification, and the list of members who took part in the ratification; or in connection with the election of
officers, minutes of the election, and the list of voters. The alleged misrepresentation of a union by
making it appear that its membership was composed purely of rank-and-file employees is not the
misrepresentation that amounts to a ground for cancellation of registration.
2.
The test of supervisory or managerial status depends on whether a person possesses authority to
act in the interest of his/her employer and whether such authority is not merely routinary or clerical in
nature but requires the use of independent judgment. “Policy-determining” refers to policy-determination
in matters that may be the subject of negotiation between management and labor.
3.
The prohibition in Art. 245 is not confined to a case of individual employees (rank-and-file and
supervisors) co-mingling in the same union. The prohibition extends to a supervisors’ union joining a
national federation the members of which include unions of rank-and-file employees of the same employer
unit. For this extension of the prohibition in Article 245 to apply, however, two conditions must concur:
(a) the rank-and-file employees are directly under the authority of the supervisory employees; and (b) the
national federation is actively involved in union activities in the company. Even the membership of a rankand-file union and a supervisory union of the same company in two separate federations with a common
set of officers was held to be prohibited co-mingling.
4.
The prohibition to join labor organizations extends to confidential employees or those who by
reason of their positions or nature of work are required to assist or act in a fiduciary manner to managerial
employees. Two criteria must concur for an employee to be considered a confidential employee: (a) the
confidential relationship must exist between the employee and his superior officer; and (b) the officer must
handle responsibilities relating to labor relations. A key element that must be considered is the
employee’s necessary access to confidential labor relations information - access must not only be
incidental but must be necessary in the performance of the employee’s duties.
5.
False statements made by union officers before and during a certification election – that the union
is independent and not affiliated with a national federation – interfere with the free choice of the
employees, and can be a valid ground for a protest. A certification election may be set aside for
misstatements made during the campaign, where (1) a material fact has been misrepresented; (2) an
opportunity for reply has been lacking; and (3) the misrepresentation has had an impact on the free choice
of the employees in the election.
6.
After a certificate of registration is issued to a union, its legal personality cannot be subject to
collateral attack. It may be questioned only in an independent petition for cancellation.
7.
The pendency of a petition for cancellation of a union’s registration will not suspend an ongoing
certification election case. Neither will such petition for cancellation preclude or suspend collective
bargaining. The pendency of a petition for cancellation is not a ground for the employer to refuse to
bargain with the certified bargaining agent.
8.
The test of whether an employer has interfered with and coerced employees in the exercise of their
rights to self-organization is whether the employer has engaged in conduct which it may reasonably be
said tends to interfere with the free exercise of the employees’ rights. It is not necessary that there be
direct evidence that any employee was in fact coerced. It is only necessary that there is a reasonable
inference that anti-union conduct of the employer does have an adverse effect on self-organization and
collective bargaining. Under the “totality of conduct doctrine,” the culpability of the employer should be
evaluated against the background of and in conjunction with all collateral circumstances.
9.
Report of violations of rights and conditions of union membership does not always require the
support of 30% of the union membership. A report of a violation of rights and conditions of membership
in a labor organization may be made by any member or members especially concerned.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
10.
The State shall regulate the relations between workers and employers, recognizing the right of
labor to its just share in the fruits of production and the right of enterprises to reasonable returns on
investments. Workers shall participate in policy and decision-making processes affecting their rights and
benefits as may be provided by law.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
COLLECTIVE BARGAINING
1.
Collective bargaining is a mutual responsibility of the employer and the union and is characterized
as a legal obligation. The employer’s refusal to make a counter-proposal to the union’s proposed CBA is
an indication of bad faith and constitutes an unfair labor practice. As a result of the employer’s refusal to
bargain, the union’s proposal shall be considered as the CBA between the parties. This principle applies to
a situation where there is no existing CBA, and the parties are required to negotiate one, and also, to a
situation where there is an existing CBA, and the parties are mandated to renegotiate its provisions not
later than 3 years from the start of its effectivity.
2.
The choice of a collective bargaining agent is the sole concern of the employees. The only
exception to this rule is where the employer has to file the petition for certification election because it was
requested to bargain collectively. The employer has no legal standing in a certification election as it
cannot oppose the petition or appeal the Med-Arbiter/Secretary’s orders related thereto.
3.
The law has fixed the term of CBAs to a period of five years, in so far as the representation aspect is
concerned. There is no fixed period for the other provisions of the CBA but the parties are mandated to
renegotiate the non-representation provisions not later than 3 years from the start of the CBA. In case of
expiration of a CBA, the “hold-over principle” applies, i.e., the CBA that has expired shall continue in full
force and effect until a new CBA is reached by the parties.
4.
If an employer interferes in the selection of the union’s negotiators or coerces the union to exclude
from its panel of negotiators a representative of the union, and if it can be inferred that the employer
adopted the said act to yield adverse effects on the free exercise of the right to self-organization and to
collective bargaining, the employer commits an unfair labor practice. Substantial evidence of the coercion
is necessary.
5.
The employees sought to be represented by the collective bargaining agent must have substantial
mutual interests in terms of employment and working conditions. The express exclusion of certain groups
of employees from the bargaining unit in a previous CBA does not bar any renegotiation for the future
inclusion of said employees in the unit.
6.
A certified bargaining agent has the right to be furnished by the employer with the annual audited
financial statements, including the balance sheet and the profit and loss statement, within thirty (30)
calendar days from the date of receipt of the request. The law requires a written request from the union
as a precondition for this right.
7.
The terms and conditions of a CBA constitute the law between the parties. A unilateral policy of
the employer that is contrary to the CBA cannot prevail over the provisions of the CBA.
8.
Under D.O. 40-03, a petition for certification election is barred when the duly certified bargaining
agent has commenced negotiations in good faith with the employer within one year from the certification
election and has sustained such negotiations (even beyond one year), also in good faith.
9.
The intention of the law is to limit the grounds for appeal that may stay the holding of a certification
election. Interlocutory orders of the Med-Arbiter are not appealable. The Med-Arbiter’s order granting the
conduct of a certification election in an unorganized establishment shall not be subject to appeal. Any
issue arising therefrom may be raised by means of protest on the conduct and results of the certification
election. All other orders of the Med-Arbiter granting or denying a petition for certification election shall
be subject to appeal.
10.
Where a petition for certification election has been filed and upon the Med-Arbiter’s intercession,
the parties agree to hold a consent election, the results thereof shall constitute a bar to future petitions for
certification election, in the same manner as a certification election. The same principle applies to a
consent election conducted with the intercession of the Regional Office, even if no petition for certification
election was filed. If an election is conducted upon agreement by the parties but without the participation
of the Regional Office, such election will not serve as a bar to future petitions for certification election.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
STRIKES
1.
A strike is a temporary stoppage of work by the concerted action of the employees, as a result of a
labor dispute. A “picket” may be considered a strike if it causes a work stoppage (such as when the
picketers block the delivery of supplies or prevents other employees from reporting for work). Even if the
employer had shut down the operation of one department prior to the picket, if the other departments that
were still operating were adversely affected by the picket in such a way that there was work stoppage, the
“picket” amounted to a strike. An “overtime boycott” or the concerted refusal of the union members to
render overtime work, after years of regularly having the said arrangement, was also considered a strike.
2.
To be valid, a strike must have as ground either ULP or bargaining deadlock. As an exception, even
if no ULP is committed by the employer, if the employees believe in good faith that ULP acts exist so as to
constitute a valid ground to strike, then the strike held pursuant to that belief may be legal as a “good faith
strike.” A mere claim of good faith, however, will not be enough. In addition to such good faith,
circumstances must have warranted such belief.
3.
In addition to the existence of a valid ground, the strike must likewise comply with the procedural
requirements (notice of strike, notice of the conduct of strike vote, actual strike vote, notice of results of
vote, cooling-off period, 7-day strike ban). The procedural requirements are mandatory and the failure of
a union to comply with the requirements will render the strike illegal. This strict policy applies even to the
24-hour notice to the NCMB of the conduct of the strike vote.
4.
When the NCMB issues a notice converting the dispute into a preventive mediation case, the said
conversion has the effect of dismissing the notice of strike that has been filed. If the union still proceeds
with the strike, after such conversion, then the strike is an illegal strike because the union, at that time,
has already lost the notice of strike.
5.
As a general rule, the Labor Code prohibits the issuance of injunctions or restraining orders in any
case growing out of labor disputes. Exceptions to these are the following: (a) the NLRC’s power to enjoin
or restrain actual and threatened commission of any or all prohibited or unlawful acts, or to require the
performance of a particular act which, if not restrained or performed forthwith, may cause grave or
irreparable damage to any party or render ineffectual any decision in favor of such party; and (b) the
Secretary of Labor’s (and the President’s) powers to issue assumption or certification orders. In some
cases, the Court has said that the coercive measure of injunction may also be used to restrain an actual or
threatened unlawful strike, not just the illegal acts attendant to the strike.
6.
When an assumption order (or certification order) is issued, it should mandate the return to work of
the strikers, and the actual reinstatement of the returning strikers. Payroll reinstatement is not
contemplated by the law. Reinstatement must be to the same position of the strikers before the strike
and this order acts as a limitation on the managerial prerogative to transfer and reassign employees. The
order to reinstate the returning strikers must cover all strikers and must not be limited to a group of
strikers. In one case, the Court even allowed the assumption order to cover striking employees whose
membership in the bargaining unit was in question.
7.
The mere posting of an assumption order in conspicuous places in the picket area does not satisfy
the rigid requirement for proper service. The union affected could not be adjudged to have defied such
order since it was not properly apprised thereof.
8.
Mere finding of the illegality of a strike should not be automatically followed by wholesale dismissal
of the strikers from employment. A union officer who knowingly participates in an illegal strike and any
worker or union officer who knowingly participates in the commission of illegal acts during the strike may
be declared to have lost their employment status. An ordinary striking employee cannot be terminated
for mere participation in an illegal strike.
9.
The Secretary has the prerogative to temper the consequence of the defiance of an assumption
order. The Secretary may merely suspend rather than dismiss the employees involved. Labor laws frown
upon dismissal. Where a penalty less punitive would suffice, an employee should not be sanctioned with a
consequence so severe.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
10.
An “innocent bystander” who seeks an injunction from the regular court against a labor strike must
show that it is entirely different from, without any connection whatsoever to, either party to the dispute,
and, therefore, its interests are totally foreign to the context thereof.

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TERMINATION DISPUTES (Causes)
1.
Gross misconduct is improper or wrong conduct, the transgression of some established and definite
rule of action, a forbidden act, a dereliction of duty, willful in character, and implies wrongful intent and not
mere error in judgment. The misconduct must be of such a grave and aggravated character and not
merely trivial and unimportant. The misconduct must be work-related. Failure to formally inform the
employer of the employee’s pregnancy cannot be considered grave misconduct.
2.
Willful disobedience, to justify termination, requires the concurrence of two factors: (a) the
employee’s conduct must have been willful or intentional, the willfulness being characterized by a wrongful
and perverse attitude; and (b) the order violated must have been reasonable, lawful, made known to the
employee and must pertain to the duties of the employee.
3.
Gross negligence implies a want or absence of or failure to exercise slight care or diligence, or the
entire absence of care. It is a thoughtless disregard of consequences without exerting any effort to avoid
them. To constitute a valid ground for dismissal, the negligence must not only be gross, it should also be
habitual in character. A first time infraction will not justify termination. Poor performance does not
necessarily amount to gross and habitual negligence.
4.
Loss of trust and confidence applies only when the employee concerned holds a position of trust
and confidence. It is the breach of this trust that results in the employer’s loss of confidence. The breach
of trust must be related to the performance of the employee’s function and must be willful. A breach is
willful if it is done intentionally, knowingly and purposely, without justifiable excuse, as opposed to an act
done carelessly or inadvertently. The allegation of breach of trust must rest on substantial ground and
cannot be dependent on the employer’s arbitrariness. It should be genuine and not simulated; not a mere
afterthought to justify earlier termination or a subterfuge for causes which are improper, illegal, unjustified.
5.
There is a difference in the treatment of managerial employees from that of rank-and-file
employees, insofar as the application of loss of trust and confidence is concerned. For rank-and-file
employees, loss of trust requires proof of involvement in the events in question. As regards managerial
employees, mere existence of reasonable basis for believing that the employee has breached the trust of
the employer would suffice.
6.
Abandonment means the deliberate, unjustified refusal of the employee to resume his/her
employment. For abandonment to be a valid ground for termination, two elements must concur: (a) the
employee’s intention to abandon; and (b) overt act from which it may be inferred that the employee has
no more intent to resume his/her work. The immediate filing of an illegal dismissal complaint generally
negates the employer’s claim of abandonment. As an exception, this principle does not apply when the
employee does not ask for reinstatement in his/her complaint for illegal dismissal.
7.
Retrenchment is a management prerogative resorted to by employers to avoid or minimize
business losses. To justify retrenchment, the employer must prove by sufficient and convincing evidence:
(a) the losses expected, which must be substantial; (b) the reasonable imminence of the losses and the
urgency of the retrenchment; and (c) other measures taken by the employer prior or parallel to the
retrenchment. For retrenchment to be valid, there must be fair and reasonable criteria in the selection of
employees who will be affected by the retrenchment program.
8.
Redundancy is a situation where the personnel complement of the employer is in excess of the
needs of its operations. Mere allegation of redundancy will not suffice. There must be adequate proof of
the redundancy. Like in retrenchment, the employer must also prove that it applied fair and reasonable
criteria in the implementation of the redundancy program. Possible criteria include: (a) less preferred
status, e.g. temporary employee; (b) efficiency; and (c) seniority. If the employer violates its own criteria,
then the redundancy cannot be considered valid.
9.
Resignation is defined as the voluntary act of an employee who finds himself/herself in a situation
where he/she believes that personal reasons cannot be sacrificed in favor of the exigency of the service,
and he/she has no other choice but to disassociate himself/herself from employment. As a general rule,
voluntary resignation is inconsistent with the filing of a complaint for illegal dismissal.

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100 Notes on Labor Law / 2007 / Marlon J. Manuel
10.
For termination on the ground of disease to be valid, two requisites must concur: (a) the disease
cannot be cured within 6 months and the continued employment of the concerned employee is prohibited
by law or prejudicial to his/her health or to the health of the co-employees; and (b) a certification to that
effect must be issued by a competent public health authority.

15

100 Notes on Labor Law / 2007 / Marlon J. Manuel
TERMINATION DISPUTES (Procedure and Effects)
1.
Termination for a just cause requires two notices to the employee: (a) the show-cause letter
requiring the employee to explain; and (b) the final notice informing the employee of the termination. The
first notice must apprise the employee that his/her termination is being considered due to the acts stated
in the notice. The notice must clearly indicate the possibility of termination.
2.
Retrenchment, even if temporary (based on the employer’s own program), must still comply with
the 30-day prior notice requirement. The law does not speak of temporary or permanent retrenchment,
hence, there is no need to qualify the term. When the law does not distinguish, we must not distinguish.
3.
Preventive suspension is justified where the employee’s continued employment poses a serious and
imminent threat to the life or property of the employer or the employee’s co-workers. Without this kind of
threat, preventive suspension is not proper. No preventive suspension shall last longer than 30 days. An
extension of the suspension beyond 30 days shall be with pay. Any violation of this requirement amounts
to constructive dismissal.
4.
Even if the dismissal of an employee is conditioned not on the grounds for termination under the
Labor Code, but pursuant to the provisions of a CBA (eg., a union-security clause), it is still necessary to
observe substantive due process in order to validate the dismissal. As applied to the Labor Code,
adherence to substantive due process is a requisite for a valid determination that just or authorized causes
existed to justify dismissal. As applied to the dismissals grounded on violations of the CBA, observance of
substantial due process is indispensable in establishing the presence of the cause or causes for dismissal
as provided for in the CBA.
5.
Reinstatement is intended by law as the general rule, i.e., the primary remedy for an illegally
dismissed employee. It is only when reinstatement is not possible that payment of separation pay is
awarded to the employee. Payment of separation pay in lieu of reinstatement is allowed due to: (a)
reasons not attributable to the fault of the employer, e.g., closure of the company; (b) the position has
already been abolished and reinstatement to an equivalent position is also not feasible; or (c) strained
relationship exists between the parties.
6.
Substantial evidence is required to show that the relationship was indeed strained as a necessary
consequence of the judicial controversy. The principle of strained relations should not be used so
indiscriminately as to bar the reinstatement of illegally dismissed workers. It must be alleged and proved
during trial. Furthermore, the strained relationship must be between the dismissed employee and the
employer, not between the dismissed employee and his/her co-employees.
7.
The payment of backwages is generally granted on the ground of equity. It is a form of relief that
restores the income that was lost by reason of the unlawful dismissal. It is not private compensation or
damages but is awarded in furtherance of the public objective of the law. It is not redress of a private right
but rather in the nature of a command to the employer to make public reparation for dismissing an
employee either due to the former’s unlawful act or bad faith. Hence, the award of backwages is not
conditioned on the employee’s ability or inability to, in the interim, earn any income. Income earned by
the employee during the pendency of the case will not be deducted from the backwages that the
employee should receive. The employee’s inability to earn during the period (e.g., due to imprisonment)
will not negate the award of full backwages.
8.
In computing full backwages, the base figure to be used is pegged at the wage rate at the time of
the employee’s dismissal, inclusive of regular allowances that the employee had been receiving. Salary
increases, unless mandated by law or wage order, are a mere expectancy. Such prospective salary
increases cannot be included in the computation of the backwages.
9.
If the dismissal is for just or authorized cause (proved during the trial), the procedural infirmity in
the termination, i.e., failure of the employer to comply with the procedural requirements of termination,
will not invalidate the dismissal. The employer should be held liable, however, for non-compliance with the
procedural requirements of due process. Reinstatement will not be ordered. No backwages will be
awarded. The employee will only be awarded nominal damages. The amount of nominal damages should
be higher in dismissals due to authorized causes, compared to dismissals due to just causes.

16

100 Notes on Labor Law / 2007 / Marlon J. Manuel
10.
Separation pay as “financial assistance” may be granted to a legally dismissed employee on the
grounds of equity and social justice. This is not allowed, however, when the dismissal is for serious
misconduct or some other cause reflecting on the moral character of the employee.

17

100 Notes on Labor Law / 2007 / Marlon J. Manuel
DISPUTE SETTLEMENT
1.
Under Article 128 of the Labor Code, the Secretary of Labor or his/her duly authorized
representatives shall have the power to issue compliance orders to give effect to the labor standards
provisions of the Code and other labor legislation based on findings of the labor employment and
enforcement officers or industrial safety engineers made in the course of inspection. The exercise of this
visitorial and enforcement powers can be exercised regardless of the amount of monetary claims of the
employee/s concerned. The P5,000 jurisdictional limitation applicable to employee complaints for simple
money claims under Article 129 does not apply.
2.
Where the dispute is just in the interpretation, implementation or enforcement stage, it may be
referred to the grievance machinery set up in the CBA or by voluntary arbitration. But where there is
already an actual termination, it becomes a termination dispute that is already cognizable by the Labor
Arbiter. If there is a clear agreement between the parties that a termination dispute will be submitted to
voluntary arbitration, then the voluntary arbitrator shall have jurisdiction since Article 262 states that “all
other disputes” can be referred by agreement to voluntary arbitration.
3.
The original and exclusive jurisdiction of the Labor Arbiter for money claims is limited only to those
arising from statutes or contracts other than a CBA. The Voluntary Arbitrator will have original and
exclusive jurisdiction over money claims arising from the interpretation or implementation of the CBA. Of
course, this assumes that the dispute should be submitted first to the grievance machinery before it can
be brought to voluntary arbitration.
4.
The civil aspect of ULP including claims for damages can be within the jurisdiction of the Labor
Arbiter. The civil implications thereof do not necessarily defeat its nature as a fundamental labor offense.
The damages suffered only form part of the civil component of the injury arising from ULP.
5.
The holding of an adversarial trial is discretionary on the Labor Arbiter and the parties cannot
demand it as a matter of right. In administrative proceedings, technical rules of procedure and evidence
are not strictly applied; administrative due process cannot be fully equated with due process in its strict
judicial sense. The requirements of due process are deemed to have been satisfied when parties are
given the opportunity to submit position papers.
6.
A corporate officer’s dismissal is always a corporate act, or an intra-corporate controversy, and the
nature is not altered by the reason or wisdom with which the Board of Directors may have in taking such
action. Thus, a question involving the remuneration of a person who is not a mere employee but a
stockholder and officer, is not a simple labor problem but a matter that comes within the area of corporate
affairs and management. It is a corporate controversy in contemplation of the Corporation Code.
An
“office” is created by the charter of the corporation and the officer is elected by the directors or
stockholders.
7.
The right to appeal is a statutory right and one who seeks to avail of the right must comply with the
statute or rules. The requirements for perfecting an appeal within the reglementary period must be
strictly followed as they are considered indispensable interdictions against needless delays. The posting of
a cash or surety bond is mandatory for an appeal by the employer of the Labor Arbiter’s decision. It was
intended to discourage the employer from using an appeal to delay or evade its obligation, and to assure
the workers that they will receive the money judgment upon the dismissal of the appeal. The perfection
of an appeal in the manner and within the period prescribed by law is not only mandatory but
jurisdictional.
8.
Legitimate waivers that represent a voluntary and reasonable settlement of a worker’ claim should
be respected as the law between the parties. Not all quitclaims are per se invalid or against public policy,
except: (a) where there is clear proof that the waiver was wangled from an unsuspecting or gullible
persons, or (b) where the terms of settlement are unconscionable on their faces. In these cases, the law
will step in to annul the questionable transactions. Such quitclaims are regarded as ineffective to bar the
workers from claiming their full measure of their legal rights.
9.
The authority of the Secretary of Labor to assume jurisdiction over a labor dispute necessarily
includes and extends to all questions and controversies arising therefrom, including cases over which the
labor arbiter has exclusive jurisdiction (like dismissal of employees and illegality of the strike).

18

100 Notes on Labor Law / 2007 / Marlon J. Manuel
10.
The decision of the Bureau of Labor Relations, which is made in the exercise of its original
jurisdiction, may be appealed to the Secretary of Labor. The BLR’s decision, which is made in the exercise
of its appellate jurisdiction over decisions of the Regional Director, shall be final and executory.

19

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