TOPIC 12 NOTICE OF INJURY OR DEATH
12.1 NOTIFICATION OF EMPLOYER
Section 12(a) of the LHWCA provides:
(a) Notice of an injury or death in respect of which compensation is
payable under this Act shall be given within thirty days after the
date of such injury or death, or thirty days after the employee or
beneficiary is aware, or in the exercise of reasonable diligence or
by reason of medical advice should have been aware, of a
relationship between the injury or death and the employment,
except that in the case of an occupational disease which does not
immediately result in a disability or death, such notice shall be
given within one year after the employee or claimant becomes
aware, or in the exercise of reasonable diligence or by reason of
medical advice should have been aware, of the relationship between
the employment, the disease, and the death or disability. Notice
shall be given (1) to the deputy commissioner in the compensation
district in which the injury or death occurred, and (2) to the
employer.
33 U.S.C. § 12(a).
Section 12(a) of the LHWCA provides that notice of an injury or death for which compensation
is payable must be given within 30 days after injury or death, or within 30 days after the employee or
beneficiary is aware of, or in the exercise of reasonable diligence or by reason of medical advice should
have been aware of, a relationship between the injury or death and the employment. It is the claimant's
burden to establish timely notice.
The Fifth, Eighth, and District of Columbia Circuits have held that Section 20(b) applies
equally to both Sections 12 and 13 of the LHWCA. Stevenson v. Linens of the Week, 688 F.2d 93 (D.C.
Cir. 1982), rev'g 14 BRBS 304 (1981); Avondale Shipyards v. Vinson, 623 F.2d 1117 (5th Cir. 1980);
United Brands Co. v. Melson, 594 F.2d 1068, 1072 (5th Cir. 1979), aff'g 6 BRBS 503 (1977); Duluth,
Missabee & Iron Range Ry. Co. v. U.S. Dep't of Labor, 553 F.2d 1144 (8th Cir. 1977). See also
Janusziewicz v. Sun Shipbuilding & Dry Dock Co., 677 F.2d 286, 14 BRBS 705 (3d Cir. 1982), rev'g
13 BRBS 1052 (1981).
The Board has also adopted this stance, finding that in the absence of substantial evidence to the
contrary, it is presumed under Section 20(b) that the employer has been given sufficient notice pursuant to
Section 12. Shaller v. Cramp Shipbuilding & Dry Dock Co., 23 BRBS 140 (1989). To the extent that
the holdings in prior Board cases are inconsistent with this determination, the Board in Shaller specifically
overruled those decisions.
Where one injury arises out of an accident that has been reported, the claimant does not have to
give separate notice of other injuries resulting from the same incident. Thompson v. Lockheed Shipbuilding
& Constr. Co., 21 BRBS 94 (1988).
In Stark v. Washington Star Co., 833 F.2d 1025, 20 BRBS 40 (CRT) (D.C. Cir. 1987), the
claimant had knowledge of the work-relatedness of the impairment. In this case, the court held that the
employer lacked knowledge or notice of the injury. There was no evidence that the employer was ever
put on notice of any work connection. Therefore, Section 30(f) of the LHWCA (which requires the
employer to report the injury when on notice) did not toll the limitations period of Section 13(a).
A judge is acting within proper authority when determining whether or not a claimant failed to meet
the notice requirements of Section 12. Weber v. Seattle Crescent Container Corp., 19 BRBS 146 (1986).
Since recommendations of the District Director are not binding, the judge can consider this issue de novo.
See Shell v. Teledyne Movible Offshore, 14 BRBS 585 (1981), aff'd, 694 F.2d 720 (5th Cir. 1982).
12.2 OCCUPATIONAL DISEASE CASES
In the case of an occupational disease which does not immediately result in disability or death,
notice must be given within one year after the employee or claimant becomes aware or in the exercise of
reasonable diligence or by reason of medical advice, should have been aware of the relationship between
the employment, the disease, and the death or disability. Section 10(i). Thus, the period does not begin
to run until the employee is disabled, or, in the case of a retired employee, until a permanent impairment
exists. Lewis v. Todd Pacific Shipyards Corp., 30 BRBS 154 (1996). See Topics 12.3.2, 13.1.2, 13.3.2,
infra. In Lewis, the time period for filing did not commence to run where the claimant was advised by a
physician in 1983 of the "possibility" that he had a work-related lung disease. The Board found that, due
to the inconclusive nature of the physician's opinion, the claimant was not aware nor should he have been
aware that he had an occupational disease at any time prior to the point that he was diagnosed with
asbestos-related pleural disease.
In Morin v. Bath Iron Works Corp., 28 BRBS 205 (1994), the Board upheld a denial of benefits
to a voluntary retiree as there was no substantial evidence in the record indicating that the claimant was,
or is, medically impaired because of his lung condition. Citing Johnson v. Ingalls Shipbuilding Division,
Litton Systems, Inc., 22 BRBS 160, 162 (1989), the Board concluded that the determination of whether
a claimant's retirement is "voluntary" or "involuntary" should be based on whether a work-related condition
caused him to leave the work force, or whether his departure was due to other, non-work related disability,
or commensurate awareness of such, to commence the time period for filing a claim under the LHWCA.
A hearing loss is a disease which simultaneously occurs with the exposure to excessive noise and
therefore in not covered under Section 10(i). Bath Iron Works v. Director, OWCP, 942 F.2d 811, 25
BRBS 30 (CRT) (1st Cir. 1991), aff'd, 506 U.S. 153, 26 BRBS 151 (CRT) (1993). Under Section
8(c)(13)(D) of the LHWCA as amended in 1984, the time for filing a notice of a hearing loss, pursuant to
Section 12, or a claim for compensation, pursuant to Section 13, does not begin to run until the employee
has received an audiogram and its accompanying report indicating a loss of hearing and is aware of the
casual connect on between his employment and his loss of hearing. Vaughn v. Ingalls Shipbuilding, Inc.,
28 BRBS 129 (1994)(en banc). Cf., Jones Stevedoring Co. v. Director, OWCP, 133 F.3d 683 (9th Cir.
1997)(Time for filing notice of hearing loss under LHWCA commenced to run when claimant's attorney
received audiogram indicating loss of hearing, and time was not tolled because claimant did not personally
receive copy of audiogram.) See Topics 8.13 (Hearing Loss) and 2.2.13 (Occupational Diseases: General
Concepts).
12.3 AWARENESS (Also applies to Section 13.)
[ED. NOTE: The awareness provisions of Section 12 and 13 are identical.]
Under Section 12(a), an employee in a traumatic injury case is required to notify the employer of
his work-related injury within 30 days after the date of injury or the time when the employee was aware,
or in the exercise of reasonable diligence or by reason of medical advice should have been aware, of the
relationship between the injury and the employment. Bivens v. Newport News Shipbuilding & Dry Dock
Co., 23 BRBS 233 (1990). See Sheek v. General Dynamics Corp., 18 BRBS 1 (1985), on recon., 18
BRBS 151 (1986).
Failure to provide timely notice as required by Section 12(a) bars the claim, unless excused under
Section 12(d). Under Section 12(d), failure to provide timely written notice will not bar the claim if the
claimant shows either that the employer had knowledge of the injury during the filing period (Section
12(d)(1)) or that the employer was not prejudiced by the failure to give timely notice (Section 12(d)(2)).
See Addison v. Ryan-Walsh Stevedoring Co., 22 BRBS 32, 34 (1989); Sheek, 18 BRBS 151.
The one-year limitation period does not commence to run until the employee reasonably believes
that he has "suffered a work-related harm which would probably diminish his capacity to earn his living."
Stancil v. Massey, 436 F.2d 274 (D.C. Cir. 1970). In Stancil, the court interpreted the term "injury" to
mean "the harmful physical ... consequences of the event which need not occur or become obvious
simultaneously with the event." Stancil, 436 F.2d at 276. Applying its construction of the term "injury,"
the court held that the claimant had no injury for which to file a claim until his back problem (which claimant
had thought was a back strain, and that the symptoms would gradually fade without interfering with his
work capacity) was diagnosed as a herniated disc.
See also Newport News Shipbuilding & Dry Dock Co. v. Parker, 935 F.2d 20, 24 BRBS 98
(CRT) (4th Cir. 1991); Brown v. I.T.T./Continental Baking Co., 921 F.2d 289 (D.C. Cir. 1990); J.M.
Marinac Shipbuilding v. Director, OWCP, 900 F.2d 180, 23 BRBS 127 (CRT) (9th Cir. 1990); Brown
v. Jacksonville Shipyards, 893 F.2d 294, 23 BRBS 22 (CRT) (11th Cir. 1990); Marathon Oil Co. v.
Lunsford, 733 F.2d 1139 (5th Cir. 1984); Todd Shipyards Corp. v. Allan, 666 F.2d 399 (9th Cir. 1981),
cert. denied, 459 U.S. 1034 (1982). Similarly, in Welch v. Pennzoil Co., 23 BRBS 395 (1990), the Board
stated that a claimant is not "aware" of the likely impairment of earning capacity or of the true nature of the
condition when the treating physician is advising that the work-related condition will improve.
Where an employer has knowledge of a work-related accident but does not have knowledge of
the resulting injury, the employer will be deemed not to have knowledge of a work-related accident under
Section 12(d). Kulick v. Continental Baking Corp., 19 BRBS 115 (1986).
12.3.1 Traumatic Injury
The trier of fact must determine the date on which the claimant became aware, or in the exercise
of reasonable diligence or by reason of medical advice should have been aware, of the relationship between
the injury or death and the employment. The date of a medical diagnosis, although significant, is not always
controlling. It does not exclude a finding that claimant knew or should have known of the relationship
between his injury and his employment at an earlier date. On the other hand, one physician's unconfirmed
diagnosis is not sufficient to make the claimant reasonably aware of a loss of wage-earning capacity in light
of a contrary, though wrong, diagnosis by the claimant's treating physician and the claimant's continued
ability to perform his work. Gregory v. Southeastern Maritime Co., 25 BRBS 188 (1991).
12.3.2 Occupational Disease
The trier of fact must determine the date on which the claimant became aware of, or should have
become aware of, the relationship between the disease, the employment, and death or disability. Martin
v. Kaiser Co., 24 BRBS 112 (1990); Horton v. General Dynamics Corp., 20 BRBS 99 (1987). In an
occupational disease case, the filing period does not begin to run under Section 12 until the claimant is
actually disabled, or in the case of a voluntary retired employee, until a permanent impairment exists. Lewis
v. Todd Pacific Shipyards Corp., 30 BRBS 154 (1996).
In Bechtel Associates v. Sweeney, 834 F.2d 1029, 20 BRBS 49 (CRT) (D.C. Cir. 1987), the
employee's widow filed a claim in October 1980, though her now-deceased husband knew as early as
1972 that his pulmonary condition was work-related. The judge found that the decedent had no reason
to believe that he had suffered a compensable injury prior to March 1980: "Although the [decedent] must
have been aware that he suffered from work-related pulmonary disease no later than 1974, he had no
reason to believe that this disease would decrease his earning power until [his physician] recommended that
he retire in March 1980." Both the Board and the District of Columbia Circuit agreed that the widow's
claim was neither barred under Section 12(a) nor Section 13(a) of the LHWCA.
12.3.3 Hearing Loss
The Board has held that the extended time limitations for occupational diseases apply to hearing
loss claims. Moreover, the amendments to Section 8(c)(13) provide that a claimant may not be charged
with "awareness" of a hearing loss, so as to start the Section 12 time limitations running, until he has
received an audiogram with accompanying report thereon indicating that he has suffered a loss of hearing
and he has knowledge of the causal connection between his work and his hearing loss.
In Alabama Dry Dock & Shipbuilding Corp. v. Sowell, 24 BRBS 229 (CRT) (11th Cir. 1991),
the Eleventh Circuit concluded that, for purposes of fixing compensation in hearing loss cases, the time
of injury is the time when the employee is or should be aware of "the relationship between the employment,
the disease, and the disability." 33 U.S.C.A. § 910(i). Other decision-makers have reached the same
result. See Machado v. General Dynamics Corp., 22 BRBS 176 (1989) (en banc); see also Ingalls
Shipbuilding, Inc. v. Director, OWCP, 898 F.2d 1088 (5th Cir. 1990).
The plain words of the statute provide that the "time for filing a notice of injury ... shall not begin
to run ... until the employee has received an audiogram, with the accompanying report thereon. ..." 33
U.S.C. § 908(c)(13)(D) (Supp. V. 1987). See Ranks v. Bath Iron Works Corp., 22 BRBS 302 (1989).
The Board has held that a claimant must actually receive an audiogram with its accompanying report to start
the running of the notice and filing requirements of Sections 12 and 13. Grace v. Bath Iron Works Corp.,
21 BRBS 244, 247 (1988).
Similarly, in Swain v. Bath Iron Works Corp., 18 BRBS 148 (1986), the judge found that the
claimant was aware of work-related hearing loss in 1975 and that the claim was time-barred as the claimant
did not file a claim until 1983. The Board vacated the judge's finding, stating that "[a]lthough the record
indicates claimant received audiometric testing, there is no evidence in the record that he received a copy
of the audiograms with accompanying report at any time prior to the filing of the claim."
12.4 SECTION 12 (d) DEFENSES
Section 12(d) of the LHWCA provides:
(d) Failure to give such notice shall not bar any claim under this
Act (1) if the employer (or his agent or agents or other responsible
officials or officials designated by the employer pursuant to
subsection (c)) or the carrier had knowledge of the injury or death,
(2) the deputy commissioner determines that the employer or
carrier has not been prejudiced by failure to give such notice, or (3)
if the deputy commissioner excuses such failure on the ground that
(i) notice, while not given to a responsible official designated by the
employer pursuant to subsection (c) of this section, was given to an
official of the employer or the employer's insurance carrier, and
that the employer or carrier was not prejudices due to the failure to
provide notice to a responsible official designated by the employer
pursuant to subsection (c), or (ii) for some satisfactory reason such
notice could not be given; nor unless objection to such failure is
raised before the deputy commissioner at the first hearing of a
claim for compensation in respect of such injury or death.
33 U.S.C. § 912(d).
Failure to give notice under Section 12(a) will bar the claim unless Section 12(d) applies. The
claimant must show that either the employer had knowledge during the filing period, or that the employer
was not prejudiced by the failure to file timely notice, or that the failure was excused. The primary
purposes of the notice requirement are facilitating effective investigations, providing effective medical
services, and preventing fraudulent claims. See Kashuba v. Legion Insurance Co., 139 F.3d 1273 (9th Cir.
1998).
12.4.1 Employer Knowledge of Work-Relatedness
The Board and circuit courts generally require that the employer have knowledge not only of the
fact of the claimant's injury, but also of the work-relatedness of that injury. Spear v. General Dynamics
Corp., 25 BRBS 132 (1991).
Knowledge of the work-relatedness of an injury may be important to the employer where the
employer knows of the injury and has facts that would lead a reasonable person to conclude that
compensation liability is possible so that further investigation into the matter is warranted. Id.
In Addison v. Ryan-Walsh Stevedoring Co., 22 BRBS 32 (1989), the judge reasonably found that
the employer did not know of the possibility that the claimant's back injury was work-related until the claim
was filed over two years later on January 22, 1982. In the context of the facts of this case, the Board
rejected the claimant's argument that notification of an accident is sufficient.
In Addison, the ALJ also found that the employer was prejudiced by the claimant's delay in
notifying the employer that his back had been injured in the accident because it was unable to determine
what immediate back trauma the claimant suffered due to the fall and the extent, if any, to which that trauma
contributed to the claimant's present disability.
Prejudice is established where the employer demonstrates that due to the claimant's failure to
provide timely written notice, it was unable to effectively investigate to determine the nature and extent of
the alleged illness or to provide medical services. Strachan Shipping Co. v. Davis, 571 F.2d 968, 972, 8
BRBS 161 (5th Cir. 1978), rev'g 2 BRBS 272 (1975); Jones Stevedoring Co. v. Director, OWCP, 133
F.3d 683 (9th Cir. 1997), citing 1A Benedict on Admiralty §71b, at 4-20 to 4-21 (7th ed.
1997)("'Prejudice' means merely that the employer's ability to investigate the case has been impaired due
to the delay in giving notice."); White v. Sealand Terminal Corp., 13 BRBS 1021 (1981).
Inasmuch as the employer was not made aware that the claimant's back had been injured until more
than two years subsequent to his work-related accident, it was rational for the judge to conclude that the
employer was unable to effectively investigate the circumstances surrounding the injury or to provide
medical services. Addison, 22 BRBS 33. In Kashuba v. Legion Insurance Co., 139 F.3d 1273 (9th Cir.
1998), cert. denied ___ U.S. ___, 119 S.Ct. 866 (1999), the Ninth Circuit held that the employer had
been prejudiced because the delay had impeded the employer's ability to investigate the claim and manage
the claimant's medical condition. Had timely notice allowed the employer to participate in the claimant's
medical care, the employer might have been able to take measures to prevent the claimant from suffering
additional disability and possibly to avoid surgery. Kashuba at 1276. The Ninth Circuit in Kashuba
further stated that evidence of the employer's post-notice attempts to investigate the claim is not required
to establish prejudice. Kashuba at 1276.
[ED. NOTE: The holding in Kashuba should be distinguished from the factual situation where an
employer makes generalized assertions of prejudice based on the delay in its ability to supervise a
claimant's medical care and fails to support its allegations with any evidence that such supervision
would have altered the course of a claimant's medical treatment. A conclusory allegation of
prejudice or of an inability to investigate the claim when it was fresh is insufficient to meet the
employer's burden of proof.]
When an employer's supervisor knew of a claimant's fall at work but was told that the claimant was
not injured, the employer did not have knowledge of the claimant's injury under Section 12(d) so as to
excuse the claimant's late notice of injury. Kulick v. Continental Baking Corp., 19 BRBS 115 (1986). The
Board found that the employer was unaware of facts which would lead a reasonable person to conclude
compensation liability was possible and to investigate the matter more fully.
12.4.2 Knowledge Defined
"Notice" and "knowledge" are occasionally used interchangeably, although the terms are not
synonymous. "Notice" is the provision of information by means described with particularity in Sections
12(b) and (c). The possession of "knowledge" by an employer, its agent, or other responsible designated
official pursuant to Section 12(c), excuses a claimant's failure to give notice.
12.4.3 Employer Not Prejudiced
Prior to the 1984 Amendments, if a claimant failed to establish the employer's knowledge, then it
was not necessary for the Board or judge to consider whether the employer was prejudiced. Since lack
of prejudice alone will now excuse failure to give timely notice, however, remand may be necessary if
prejudice is not considered or inadequate findings are made.
Prejudice can be established if an employer can show that due to a claimant's failure to provide
the written notice required by subdivisions 12(a) and (b), it has been unable to effectively investigate to
determine the nature and extent of the alleged illness or to provide medical services. Steed v. Container
Stevedoring Co., 25 BRBS 210 (1991) (employer had 7.5 months before the hearing to arrange for an
independent medical exam; additionally, the employer had access to medical records fully documenting the
nature and extent of claimant's injury).
In Cox v. Brady-Hamilton Stevedore Co., 25 BRBS 203 (1991), the Board found that an
employer failed to establish that it was prejudiced by an inaccurate notice of injury that contained the wrong
date and place of injury. In the absence of evidence to the contrary, it is presumed, pursuant to Section
20(b) of the LHWCA, that an employer has been given sufficient notice under Section 12. See Shaller
v. Cramp Shipbuilding & Dry Dock Co., 23 BRBS 140 (1989). Accordingly, an employer bears the
burden of proving by substantial evidence that it has been unable to effectively investigate some aspect of
the claim due to the claimant's failure to provide adequate notice. See Bivens v. Newport News
Shipbuilding & Dry Dock Co., 23 BRBS 233 (1990).
In ITO Corp. of Baltimore v. Director, OWCP , 883 F.2d 422, 22 BRBS 126 (CRT) (5th Cir.
1989), the Fifth Circuit found that the determination by the judge and the Board that the employer was
not prejudiced by the lack of timely notice was supported by substantial evidence. Here, the only
suggestion of prejudice the employer advanced was a general one of "no opportunity to investigate the
claim when it was fresh." Accordingly, in ITO, the Board's finding of no prejudice due to lack of notice
was affirmed.
The allegation of difficulty in investigating is not sufficient to establish prejudice. Williams v. Nicole
Enters., 21 BRBS 164 (1988).
As noted, the employer bears the burden of proving, by substantial evidence, that it has been unable
to effectively investigate some aspect of the claim by reason of the claimant's failure to provide timely notice
as required by Section 12. Strachan Shipping Co. v. Davis, 571 F.2d 968, 8 BRBS 161 (5th Cir. 1978)
(An employer can establish prejudice by providing substantial evidence that failure to receive timely notice
of the injury has impeded its ability to investigate to determine the nature and extent of the alleged illness
or to provide medical services.), rev'g 2 BRBS 272 (1975); Bukovi v. Albina Engine/Dillingham, 22 BRBS
97 (1988); Williams v. Nicole Enters., 21 BRBS 164 (1988). Although the employer contended that it
would be "highly inappropriate" to place this burden upon it, its argument overlooks the fact that the
employer is in a far better position than the claimant to know the manner in which it has been prejudiced
by the claimant's failure to provide timely notice. Bukovi, 22 BRBS 96. In Kashuba v. Legion Ins. Co.,
139 F.3d 1273 (9th Cir. 1998), the Ninth Circuit held that evidence of the employer's post-notice
attempts to investigate the claim is not required to establish prejudice. "Evidence that lack of timely notice
did impede the employer's ability to determine the nature and extent of the injury or illness or to provide
medical services is sufficient; a conclusory allegation of prejudice is not." Id.
Knowledge by an employer of a work-related injury in and of itself may not necessarily excuse the
claimant's lack of giving notice. Addison v. Ryan-Walsh Stevedoring Co., 22 BRBS 32 (1989). In
Addison, the claimant's failure to provide timely notice, as required by Section 12(a), was not excused
under Section 12(d). Here the employer knew that the claimant had sustained a work-related accident
which resulted in injury but did not have knowledge of the back injury for which compensation was sought.
Also, in Addison, the claimant certified on his group health insurance form that his injury was not
work-related, thus precluding a charge of imputed knowledge. The Board and the courts have recognized
that application of the Section 12(d) knowledge exception is precluded where the claimant has previously
certified on his group health insurance form that the injury was not work-related. See Sun Shipbuilding &
Dry Dock Co. v. Walker, 590 F.2d 73 (3d Cir. 1978); Sheek v. General Dynamics Corp., 18 BRBS 1
(1985). Cf. Pilkington v. Sun Shipbuilding & Dry Dock Co., 14 BRBS 119 (1981); Boyd v. Ceres
Terminals, 30 BRBS 218 (1997)("Unlike the situation in Addison, employer here knew of the accident and
the full extent of claimant's injuries prior to receiving information on the health insurance form indicating the
injury was non-industrial. Under these circumstances, the Board has held that later receipt of conflicting
information does not bar a claimant from obtaining benefits because the employer was put on notice that
the injury was probably employment-related, as there was either an apparent connection or enough
information to conduct an investigation..").
Citing Bradley v. School Board of Richmond, 416 U.S. 696 (1974), the Board has stated that if
manifest injustice would result from the application of an intervening law to a pending action so as to
deprive a party of a substantive right absent notice, the law should not be applied. Phillips v. Marine
Concrete Structures, 21 BRBS 233 (1988). Retroactive application of a statute has been held to be
manifestly unjust where the settled expectations of private parties are disturbed. See, e.g., Sikora v.
American Can Co., 622 F.2d 1116, 1122-24 (3d Cir. 1980).
In Janusziewicz v. Sun Shipbuilding & Dry Dock Co., 22 BRBS 376 (1989) (original decision prior
to 1984 Amendments), the employer argued that it had a settled expectation in 1975 that an injured
employee must give notice of his injury within thirty days after his date of awareness or be barred from
pursuing his claim.
The 1984 Amendments clearly direct that Section 12(a) shall be applied retroactively. See
Section 28(a), Pub. L. No. 98-426, 98 Stat. 1639, 1655 (1984). Moreover, the Board's statement
regarding the "manifest injustice" exception applies only to those 1984 Amendments which, unlike amended
Section 12(a), are not clearly applicable to pending cases. See Phillips, 21 BRBS 233; Brady v. J. Young
& Co., 18 BRBS 167 (1985), denying recon. of 17 BRBS 46 (1985); see also Section 28(e), 98 Stat.
at 1655. Finally, retroactive application of amended Section 12(a) to cases pending on appeal, and its
extension to claims time-barred prior to enactment of the Amendments, has been held not violative of the
employer's right to due process of law. See, e.g., Osmundsen v. Todd Pac. Shipyard, 755 F.2d 730, 733,
17 BRBS 109, 111 (CRT) (9th Cir. 1985).
12.4.3.1 Failure to File Normal Notice
Failure to file notice may be excused by the judge pursuant to Section 12(d)(3)(i) of the LHWCA
where notice, while not given to the designated official, was given to an official of the employer or carrier
and no prejudice resulted. The judge may also excuse the claimant's failure if a satisfactory reason exists
as to why such notice could not be given.
12.4.3.2 Failure to Designate Agent
Where an employer has failed to designate an agent for the purpose of receiving notice, notice may
be given to:
(1) The first-line supervisor (including foreman, hatch boss or
timekeeper), local plant manager, or personnel office official;
(2) Any partner, if the employer is a partnership; or
(3) Any authorized agent or officer, therefore, upon whom legal
process may be serviced or person in charge of business at the
place of injury if the employer is a corporation.
In the case of a retiree, notice may be submitted to any of the above persons, whether or not the
employer has designated a person to receive notice.
Under the LHWCA as amended in 1984, an employer's failure to properly designate and post the
individual who is to receive notice pursuant to Section 12(c), will excuse the failure to provide notice.
12.4.3.3 Satisfactory Reason
The Board has held that "excuse" is a term of art used in Section 12(d)(2) and applies only in
limited circumstances as those stated above.
12.5 SECTIONS 12(b), (c) PROCEDURE
12.5.1 Form of Notice
Section 12(b) of the LHWCA provides:
(b) Such notice shall be in writing, shall contain the name and
address of the employee and a statement of the time, place, nature,
and cause of the injury or death, and shall be signed by the
employee or by some person on his behalf, or in case of death, by
any person claiming to be entitled to compensation for such death
or by a person on his behalf.
33 U.S.C. § 912(b).
Section 12(b) provides that the notice must be in writing and must contain the employee's name
and address and a statement of the time, place, nature, and cause of the injury or death. The notice must
be signed by the employee or by some person on his behalf or, in case of death, by any person claiming
to be entitled to compensation for such death or by a person on his behalf.
12.5.2 Who Gets Notice
Section 12(c) of the LHWCA provides:
(c) Notice shall be given to the deputy commissioner by delivering
it to him or sending it by mail addressed to his office, and to the
employer by delivering it to him or by sending it by mail addressed
to him at his last known place of business. If the employer is a
partnership, such notice may be given to any agent or officer
thereof upon whom legal process may be served or who is in charge
of the business in the place where the injury occurred. Each
employer shall designate those agents or other responsible officials
to receive such notice, except that the employer shall designate as
its representatives individuals among first line supervisors, local
plant management, and personnel office officials. Such
designations shall be made in accordance with regulations
prescribed by the Secretary and the employer shall notify his
employees and the Secretary of such designation in a manner
prescribed by the Secretary in regulations.
33 U.S.C. § 12(c).
Section 12(c) provides that notice shall be given to the District Director and to the employer.
Notice may be given to a partner, if the employer is a partnership, or to any agent or officer, if the employer
is a corporation.
The 1984 Amendments make a technical change in Section 12(c) by requiring every employer to
designate an agent or other responsible official to receive the Section 12 notice. The designee must be
among the employer's first-line supervisors (including foreman, hatch boss, or timekeeper), local plant
manager, or personnel office official who is located full-time on the premises of the covered facility. If the
employer fails to designate, notice may be given to any of the above. The employer must designate one
individual at each place of employment or one individual for each work crew where there is no fixed place
of employment.
The employer shall publish its designation by posting the name and/or title, location, and telephone
number of the designee in a conspicuous place at the work site on a form prescribed by the Director. If
the employer fails to comply with these requirements, it is precluded from raising the failure to given timely
notice as a bar to the award of compensation.
12.5.3 How Notice Is Given
Notice shall be given to the District Director by delivery or by mail addressed to his office. Notice
shall be given to the employer by delivery or by mail to its last known place of business.
12.5.4 When To Raise Defenses
The final clause of Section 12(d) requires that the employer raise a Section 12 defense in its first
hearing of the claim.
"First hearing of a claim" refers to the hearing before the administrative law judge, rather than
before the district director. See 33 U.S.C. § 919(d); Lucas v. Louisiana Insurance Guaranty Association,
28 BRBS 1 (1994); Barthelemy v. J. Ray McDermott & Co., 537 F.2d 168, 4 BRBS 325 (5th Cir.
1976), aff'g 1 BRBS 23 (1974); Carlow v. General Dynamics Corp., 15 BRBS 115 (1982). See also,
Alexander v. Ryan Walsh Stevedoring Co., Inc., 23 BRBS 185, 187 (1990), vacated and remanded mem.
90-4670 (5th Cir. Feb. 14, 1991); Bukovi v. Albina Engine/Dillingham, 22 BRBS 97 (1988).