Skip to content

Client Update: Who is a constructor?

Mark Tector and Richard Jordan

The Nova Scotia Occupational Health and Safety Act (the “Act”) provides that “contractors” and “constructors” have similar, but not identical, responsibilities, with a “Constructor” having greater authority and more responsibility for the health and safety of those working “at or near a project”. Determining who is or who isn’t a “constructor” has not always been clear. However, two relatively recent decisions from the Nova Scotia Provincial Court have gone a long way in clarifying matters.

Both decisions stemmed from a September 2013 accident during the construction of a new building at Dalhousie University when an unsecured outrigger beam fell several floors and caused catastrophic injuries to a worker.

The first decision from 2016 involved the acquittal of McCarthy’s Roofing of four charges as a result of the accident: R. v. McCarthy’s Roofing Limited, 2016 NSPC 52. Stewart McKelvey provided this analysis with respect to Judge Derrick’s decision.

More recently, Aecon Construction Group was found guilty of breaching the Act and sentenced to a $35,000 fine (plus 15% victim surcharge) and a payment of $15,000 to the Nova Scotia Construction Safety Association so that they could prepare presentations regarding the proper safe assembly, disassembly, securing and storing of swing stages. Judge Lenehan’s 68-page decision found that Aecon was a constructor and it had breached the “general duty” provision of the Act, which required it to take every precaution reasonable to ensure the health and safety of a person at a workplace.

Judge Lenehan’s decision is significant for employers for two reasons:

  1. As noted above, the differences in responsibilities under the Act between a contractor and a constructor are a little unclear. Following McCarthy’s Roofing, the Aecon decision provides further guidance on how the Court will assess whether an entity is a constructor, which is defined in the Act as “a person who contracts for work on a project or who undertakes work on a project himself or herself.” Judge Lenehan explained:
    • The Court must look at the role of the alleged constructor on the project, both individually and in contrast to other persons on the project and examine their level of authority and responsibility for a project or workplace in the context of the other contractors on site.
    • Under the terms of Aecon’s contract with Dalhousie to act as Construction Manager, Aecon:
      – controlled the scheduling of work on the project;
      – monitored the progress of the work;
      – directed the work of the trade contractors and reviewed the
      latter’s performance;
      – was responsible for establishing and overseeing health and
      safety on the project.
    • There is nothing in the Act which says that there can be only one constructor on a project (a point which Judge Derrick first made in McCarthy’s Roofing).
  2. Judge Lenehan’s decision confirms that where an entity is charged with an offence under the general duty of the Act and the Crown proves that the entity has not taken every precaution reasonable in the circumstances, it has negated any due diligence defence.

Offences under the Act are strict liability offences so the defendant can generally try to establish on a balance of probabilities that it exercised due diligence. However, this was not open to Aecon because exercising “due diligence” means acting without negligence or taking all reasonable care. Therefore, the fact that the Crown had already proven that Aecon had not taken every reasonable precaution regarding the disassembly, securing and storing of the swing stage meant that Aecon could not seek to defend against the charge on the basis that it had taken all reasonable care.

What does this mean for you?

The clarification from the Court should assist employers in determining and understanding their OHS responsibilities at a workplace and on a project. Also, a key takeaway is to have a clear agreement in relation to any construction project and identification of each party’s status and responsibilities.

The foregoing is intended for general information only. If you have any questions about how this may affect your business, please contact a member of our Labour & Employment group.

SHARE

Archive

Search Archive


 
 

Client Update: Requirement to register as a mortgage brokerage and mortgage administrator in New Brunswick

July 7, 2016

On April 1, 2016 New Brunswick’s Mortgage Brokers Act came into force, requiring businesses acting as mortgage brokerages or as mortgage administrators in New Brunswick to be licensed. A mortgage brokerage is a business that on behalf…

Read More

Copyright does not monopolize facts – documentary filmmakers’ claim against book author and publisher fails

June 29, 2016

In May 2016, the Federal Court of Canada confirmed that copyright does not protect facts, even where a book’s author is clearly inspired by the content of a film (Maltz v. Witterick, 2016 FC 524 (CanLII)).…

Read More

Solicitor-client privilege vs the Canada Revenue Agency: the SCC speaks

June 10, 2016

By Jennifer Taylor “…firms of notaries or lawyers…must not be turned into archives for the tax authorities”1 So says the Supreme Court of Canada in one of two highly anticipated decisions on solicitor-client privilege, offering lawyers…

Read More

Why can’t we be friends?: Lessons on corporate dissolution from Smith v. Hillier

May 30, 2016

Joe Thorne1 and Clara Linegar2 As joint owners of a business, what do you do when the business relationship falls apart? And what if one owner undermines the business in the process? In Smith v Hillier,3 Justice Paquette…

Read More

Client Update: Supreme Court of Canada dismisses appeals in punitive damages cases

May 26, 2016

The Supreme Court of Canada has dismissed the appeals in Bruce Brine v. Industrial Alliance Insurance and Financial Services Inc.1 (with costs) and Luciano Branco, et al. v. Zurich Life Insurance Company Limited, et al.(without costs). Both of…

Read More

Client Update: Pension update: Countdown to Nova Scotia Pooled Registered Pension Plans

May 17, 2016

On May 4, 2016, the Nova Scotia Pooled Registered Pension Plans Act (“PRPP Act”) was proclaimed in force, and finalized Pooled Registered Pension Plan Regulations were released. While there were no major changes from the previously released draft regulations, the proposed rules…

Read More

Pension Primer: Pooled Registered Pension Plans (“PRPPs”) in Nova Scotia

April 22, 2016

By Level Chan and Dante Manna Pooled Registered Pension Plans (“PRPPs”) are closer to becoming a reality for Nova Scotian employers. PRPPs were established by the Federal government in an effort to address the lack of retirement savings…

Read More

Client Update: Perrin v Blake reaffirms the law on contributory negligence and recovery of damages

April 14, 2016

In a case where there is a contributorily negligent plaintiff and two or more negligent defendants, can the plaintiff recover 100% of her damages from any of the defendants? The answer in Nova Scotia is…

Read More

Client Update: Interest arbitration changes for New Brunswick postponed for further study

April 11, 2016

On Friday, the Province of New Brunswick announced that it would not proceed at this time with the recently proposed changes to binding interest arbitration. The Province announced that a joint labour management committee will be struck to examine…

Read More

Client Update: Universal interest arbitration proposed for New Brunswick

April 5, 2016

On March 29, 2016, the Province of New Brunswick tabled proposed changes to the Industrial Relations Act and the Public Services Labour Relations Act. If passed, these changes would dramatically alter well-established principles of private sector collective bargaining.…

Read More

Search Archive


Scroll To Top