97-6036. Migrant and Seasonal Agricultural Worker Protection Act  

  • [Federal Register Volume 62, Number 48 (Wednesday, March 12, 1997)]
    [Rules and Regulations]
    [Pages 11734-11748]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 97-6036]
    
    
    
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    Part X
    
    
    
    
    
    Department of Labor
    
    
    
    
    
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    Wage and Hour Division
    
    
    
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    29 CFR Part 500
    
    
    
    Migrant and Seasonal Agricultural Worker Protection Plan; Final Rule
    
    Federal Register / Vol. 62, No. 48 / Wednesday, March 12, 1997 / 
    Rules and Regulations
    
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    DEPARTMENT OF LABOR
    
    Wage and Hour Division
    
    29 CFR Part 500
    
    RIN 1215-AA93
    
    
    Migrant and Seasonal Agricultural Worker Protection Act
    
    AGENCY: Wage and Hour Division, Employment Standards Administration, 
    Labor.
    
    ACTION: Final rule.
    
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    SUMMARY: This document amends the regulations concerning the definition 
    of ``employ'' under the Migrant and Seasonal Agricultural Worker 
    Protection Act (MSPA) to include a definition of ``independent 
    contractor'' and to clarify the definition of ``joint employment'' 
    under MSPA, with the goal of minimizing the potential for uncertainty 
    and litigation arising from such uncertainty and to better guide the 
    Department's enforcement activities.
    
    DATES: This final rule is effective April 11, 1997.
    
    FOR FURTHER INFORMATION CONTACT: Michael Hancock, Office of Enforcement 
    Policy, Farm Labor Team, Wage and Hour Division, Employment Standards 
    Administration, U.S. Department of Labor, Room S-3510, 200 Constitution 
    Avenue, NW., Washington, DC 20210; telephone (202) 219-7605. This is 
    not a toll-free number. Copies of this Final Rule in alternative 
    formats may be obtained by calling (202) 219-7605, (202) 219-4634 
    (TDD). The alternative formats available are large print, electronic 
    file on computer disk and audio-tape.
    
    SUPPLEMENTARY INFORMATION:
    
    I. Paperwork Reduction Act of 1995
    
        This Final Rule contains no reporting or recordkeeping requirements 
    subject to the Paperwork Reduction Act of 1995 (Pub. L. 104-13).
    
    II. Background
    
        The MSPA statutory definition of ``employ'', 29 U.S.C. 1802(5), 
    from which the concept of ``joint employment'' is drawn, is the FLSA 
    statutory definition of ``employ,'' 29 U.S.C. 203(g), incorporated by 
    reference. The MSPA definition of ``joint employment,'' 29 CFR 
    500.20(h)(4), is amended by this Final Rule to clarify and provide more 
    accurate and complete information to the regulated community, thereby 
    making the MSPA regulations more ``user-friendly.'' The regulation, as 
    amended, comports more fully with (1) the Fair Labor Standards Act 
    (FLSA) regulations at 29 CFR 791; (2) seminal court decisions regarding 
    the employment relationship; and (3) the MSPA legislative history. In 
    keeping with the President's Executive Order directive (No. 12866, 
    ``Regulatory Planning and Review,'' September 30, 1993 [58 FR 51735 
    (October 4, 1993)]) to Federal agencies to identify rules that could be 
    clarified to provide more complete and understandable guidance to the 
    regulated community, the Department is amending the MSPA ``joint 
    employment'' regulation. The Department published a Notice of Proposed 
    Rulemaking in the Federal Register on March 29, 1996 (61 FR 14035-
    14039). The public comment period on the proposed regulatory changes 
    closed on June 12, 1996.
    
    III. Comments to the Proposed Regulatory Revision
    
    A. Comments to the Proposed Rule
    
        Comments to the Notice of Proposed Rulemaking (NPRM) were received 
    from organizations, public officials and individuals representing the 
    views of members of Congress, farmworker advocacy groups, farmworker 
    labor unions, agricultural associations, agricultural employers, 
    farmworker legal services programs, religious organizations serving 
    farmworkers, lawyers representing farmworkers, and individuals. These 
    41 comments were submitted on behalf of over 91 organizations and 
    individuals, 63 generally supportive of the NPRM and 28 generally 
    opposed. The Department also received comments from the United States 
    Department of Agriculture (USDA) after the public comment period and 
    during the course of review of the final regulation pursuant to 
    Executive Order 12866.
        The commenters were broadly representative of two points of view: 
    those who support the NPRM, and those who oppose the proposal and 
    contend it should be withdrawn. The supporters of the NPRM assert that 
    the change in the regulation is necessary to correct the confusion 
    which has developed under the current regulation, and that the proposal 
    accurately reflects the law governing the determination of independent 
    contractor and joint employment status. Those opposed to the NPRM 
    contend that it effectively creates a ``strict liability'' 1 rule 
    which will automatically result in the determination that an 
    agricultural employer who uses a farm labor contractor is a joint 
    employer of the workers in the contractor's crew. Consequently, these 
    commenters suggest that the NPRM be withdrawn and the current 
    regulation be left undisturbed.
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        \1\ Strict liability as used by the commenters appears to mean 
    ``per se'' liability. Per se liability in this context means that 
    agricultural employers/associations are responsible for violations 
    committed by the farm labor contractor if they merely retain or 
    benefit from the services of the farm labor contractor.
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        The comments from the Members of Congress, farmworker unions, 
    service organizations, and legal services programs primarily focused on 
    two subjects: the broad scope of ``employ'' in MSPA (particularly as it 
    pertains to the statutory term ``suffer or permit to work'') which is 
    the statutory basis of ``independent contractor'' and ``joint 
    employment''; and suggested changes to the precise formulation of the 
    analytical factors set forth in the NPRM. The comments from 
    agricultural employers and associations also focused on two subjects: 
    asserting that the Department was creating a strict liability joint 
    employment standard which would always result in a finding of joint 
    employment whenever an agricultural employer/association utilizes the 
    services of a farm labor contractor; and questioning the Department's 
    legal authority to adopt the proposed regulation.
    
    B. Summary of Comments
    
    1. Members of Congress
        A joint comment was submitted by Rep. George Miller and Rep. Howard 
    Berman supporting the Department's proposed rule.
    2. Agricultural Employers and Associations
        Comments were submitted by Agricultural Producers, American Farm 
    Bureau Federation, California Grape and Tree Fruit League, Florida 
    Fruit and Vegetable Association, Hood River Grower-Shipper Association, 
    Maine Farm Bureau Association, Michigan Farm Bureau, Midwest Food 
    Producers Association, National Cotton Ginners' Association, New 
    England Apple Council, Nisei Farmers League, Pennsylvania Farm Bureau, 
    United States Sugar Corporation, Venture County Agricultural 
    Association, Virginia Farm Bureau Federation, Washington State Growers 
    Clearing House Association, and the Washington State Farm Bureau. All 
    of these comments struck common themes most fully expressed in the 
    comments from the National Council of Agricultural Employers (NCAE). 
    NCAE asserts that the NPRM proposes to create an unlawful strict 
    liability joint employment standard for agricultural employers or 
    associations who use the
    
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    services of farm labor contractors, and the Department has not stated a 
    legally sufficient factual basis for the proposed regulatory change. 
    The NCAE comments will be addressed below.
        In addition to NCAE and other similar comments, three agricultural 
    organizations submitted comments that addressed issues not fully 
    explored in the NCAE comments. The American Pulpwood Association and 
    the American Forest & Paper Association both suggest that reforestation 
    contractors which the industry engages are independent contractors and 
    would not be joint employers with the industry under the proposed rule. 
    Further, these organizations suggest that the Department should clarify 
    the analytical factor--set out in the NPRM at 500.200(h)(5)(iv)(H)--
    pertaining to the maintenance of payroll records and provision of field 
    sanitation facilities. These issues are addressed below.
        Florida Citrus Mutual (FCM) submitted comments in which it contends 
    that the primary test for joint employment is control, i.e., who 
    exercises direct control over the workers. Further, FCM contends that 
    the House Education and Labor Committee Report relied upon by the 
    Department in developing the NPRM is neither lawful nor appropriate 
    guidance. Finally, FCM suggests that some of the listed analytical 
    criteria are inappropriate for the joint employment determination. 
    These issues too are addressed below.
    3. Labor Organizations, Farmworker Advocates, Legal Services 
    Organizations and Attorneys
        Comments submitted by the American Federation of Labor and Congress 
    of Industrial Organizations (AFL-CIO), California Rural Legal 
    Assistance, California Rural Legal Assistance Foundation, Columbia 
    Legal Services of Washington, Farmworker Justice Fund, Friends of 
    Farmworkers of Pennsylvania, Garry Geffert, Migrant Farmworker Justice 
    Project of Florida, Migrant Legal Action Program, National Council of 
    La Raza, North Carolina Council of Churches, the United Farm Workers of 
    America, and United Farm Workers-Texas Division, on behalf of 
    themselves and many other organizations, generally supported the 
    proposed regulations. These comments endorsed the general approach of 
    the NPRM but suggested that additional changes should be considered to 
    make the definitions of ``employ,'' ``independent contractor,'' and 
    ``joint employment'' clearer and unambiguous.
    
    C. Analysis of Comments
    
    1. Congressional Comments
        Representatives George Miller and Howard Berman support the NPRM, 
    stating that it implements the legislative intent to create a broad 
    standard of coverage under MSPA by incorporating the definition of 
    ``employ'' from the Fair Labor Standards Act (FLSA). Further, their 
    joint comment contends that the NPRM corrects the current regulation's 
    incomplete and inaccurate guidance to the public and the courts 
    concerning the scope of employer responsibility under MSPA. The 
    commenters also assert that Congress intentionally adopted an expansive 
    definition of ``employ'' when it incorporated the FLSA definition and 
    eschewed the traditional common law ``right to control'' test. 2
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        \2\ H.R. Rep. No. 885, 97th Cong., 2d Sess. 1, reprinted in 1982 
    U.S.C.C.A.N. 4547 (''House Comm. Rept.'').
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        The Congressional commenters further state that in the enactment of 
    MSPA, Congress recognized that the adoption of the broad FLSA 
    definition of ``employ'' would result in the frequent imposition of 
    liability on growers because the types of relationships Congress 
    intended to cover through joint employment are common in agriculture. 
    In floor debate on the bill, Rep. Miller (a cosponsor) had pointed out 
    that the FLSA concept of joint employment ``presented the best means by 
    which to insure that the purpose of this Act would be fulfilled'' 
    3 and that incorporating FLSA joint employment into MSPA would fix 
    `` * * * responsibility on those who ultimately benefit from [the 
    workers'] labor--the agricultural employer.'' 4
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        \3\ 128 Cong. Rec. 26,009 (1982) (statement of Rep. George 
    Miller).
        \4\ Id, at 26,008.
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        For these and other reasons stated in their comment, the 
    Congressional commenters support the proposed rule and urge its speedy 
    adoption.
    2. The American Pulpwood Association and American Forest and Paper 
    Association
        The American Pulpwood Association (AP Assoc.) and American Forest & 
    Paper Association (AF&PA) contend the proposed regulation fails to 
    afford primacy to the common law test of ``right to control'' in 
    determining joint employment. According to AP Assoc. and AF&PA, the 
    test for joint employment is properly viewed as a question of the 
    contractual relationship between the farm labor contractor (FLC) and 
    the agricultural employer/association. Further, the organizations 
    assert that under this analysis the typical arrangement in the 
    reforestation industry will fall outside the scope of joint employment.
        The Department disagrees that the proper legal analysis should turn 
    exclusively on contractual arrangements among an FLC and the 
    agricultural employer/association. The proposed rule is carefully 
    crafted to reflect the analytical framework within which a 
    determination of independent contractor and joint employment is to 
    occur. Because such an analysis is dependent on all the facts of a 
    particular situation, it is impossible to conclude that the 
    relationships described by these commenters as typical in the 
    reforestation context--that is, where the reforestation contractor has 
    all the indicia of common law right to control--could not result in a 
    determination of joint employment.
        The current regulation and the proposed amendment make clear that 
    neither independent contractor nor joint employment determinations 
    under MSPA are reached only by the ``traditional common law test of 
    'right to control''' as suggested by the AP Assoc. and the AF&PA. While 
    ``right to control'' is one of several factors that must be considered 
    in the analysis, the absence of such control on the part of a forestry 
    company does not conclusively determine that a reforestation contractor 
    is a bona fide independent contractor or that there is no joint 
    employment relationship between the forestry operator and the workers 
    in the reforestation crew. As stated in the proposed regulation, the 
    determination ``depends upon all the facts in the particular case * * * 
    [n]o one factor is critical to the analysis * * *''5 Contractual 
    designations or notions of common law control, while certainly 
    relevant, are not controlling.
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        \5\ Sec. 500.20(h)(5),(h)(5)(iv).
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        The AP Assoc. and the AF&PA also contend that it is inappropriate 
    to include ``maintaining payroll records'' as a factor in the joint 
    employer analysis at proposed regulation 500.20(h)(5)(iv)(H). The 
    associations point out that an agricultural employer or association is 
    obligated under MSPA to ``retain'' and ``keep'' payroll records created 
    by a farm labor contractor, regardless of joint employer status. The 
    associations suggest that the proposed rule would use this legal 
    obligation as a factor in determining joint employment and thus creates 
    an untenable choice for the agricultural employer or association: 
    ``retain'' and ``keep'' these FLC payroll records (''maintain'' them) 
    and thereby create indicia of employment that will come to
    
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    play in a joint employment analysis, or violate the law by not 
    maintaining the FLC payroll records in order to avoid that result. The 
    associations' concern in this regard is based on what the Department 
    views as a reasonable but unintended interpretation of the word 
    ``maintaining'' in the proposed rule. This word is used in the proposed 
    rule in the active sense of ``preparing'' or ``making,'' rather than in 
    the passive sense of merely ``retaining'' or ``keeping.'' However, the 
    Department agrees that some clarification in the regulatory language 
    would be helpful in order to convey that the proper consideration is 
    not who ``retains'' the payroll records but rather who ``prepares or 
    makes'' the payroll records. The obligation to ``make'' payroll records 
    is clearly an employer function under MSPA, 29 CFR 500.80(a), and is 
    appropriate to consider in the joint employer analysis. The Final Rule 
    provides this clarification.
        The AP Assoc. and the AF&PA suggest that a similar flaw exists in 
    the proposed regulation at 500.20(h)(5)(iv)(H) regarding the provision 
    of field sanitation facilities. The Department does not agree. While 
    retaining copies of FLC-created payroll records is not indicative of 
    employer status, the provision of field sanitation facilities is an 
    obligation which rests with employers under the Occupational Safety and 
    Health Act regulations.6 When a putative employer voluntarily 
    assumes responsibility for workplace obligations that the law imposes 
    on employers, this voluntary assumption of such responsibility 
    indicates the putative employer's assumption of employer status for 
    other purposes and is relevant to whether or not the employees were 
    economically dependent upon the putative employer for a workplace 
    protection or benefit, such as field sanitation facilities. Therefore, 
    the provision of field sanitation facilities is an appropriate fact to 
    be considered in the joint employment analysis.
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        \6\ 29 CFR 1928.110(b)(i)-(iii); (c).
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        3. Florida Citrus Mutual
        Florida Citrus Mutual (FCM) raises a number of issues (some of 
    which will be addressed more fully in the analysis of the NCAE comments 
    below) that question both the legality of the proposed regulation and 
    the extent to which the NPRM factors reflect the proper considerations 
    in determining joint employment.
        The question of legality hinges largely on the FCM contention that 
    the Department inappropriately relies on MSPA legislative history, 
    specifically the 1982 House Committee Report, to guide its 
    interpretation of ``employ'' and the definition of independent 
    contractor and joint employment. The Department disagrees. When 
    developing implementing regulations, the Department can and should be 
    guided by the Congressional purpose as expressed in the statutory 
    language and the legislative history. MSPA arose in the House Education 
    and Labor Committee, Subcommittee on Labor Standards. That Committee's 
    view of the purpose it was seeking to serve by incorporating the FLSA 
    definition of ``employ'' into MSPA provides essential guidance to the 
    Department in construing that term. The Department has an obligation to 
    consider this Congressional guidance in implementing legislation 
    through regulations. Therefore, the NPRM seeks to incorporate the 
    Congressional intent as well as the construction given to the critical 
    term by the courts over the last 50 years.
        FCM's contention that the Committee Report does not reflect 
    Congressional intent is unfounded. Committee reports are one of the 
    most important sources of legislative history. As one court has 
    explained, where ``Congress does enact a statute, the committee reports 
    explaining it may have considerable significance in guiding 
    interpretation'' and may serve as an indication of ``expressed purposes 
    of the drafters of statutory language * * *'' 7 In the case of 
    MSPA, the Committee Report was particularly thorough and precise. It 
    included the text of the bill, described its contents and purposes, and 
    gave reasons for the Committee's recommendations including the 
    recommendation on ``employ'' and joint employment which was adopted by 
    Congress via enactment of the bill. The Committee's extensive treatment 
    of the joint employment issue evidences the importance of the principle 
    as a ``central foundation'' of the statute.
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        \7\ American Hospital Ass'n v. NLRB, 899 F.2d 651, 657 (7th Cir. 
    1990), aff'd 499 U.S. 606 (1991).
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        Further, this FCM argument regarding use of legislative history to 
    develop regulations ignores the other bases for this proposed 
    regulation. The Department did not rely solely on legislative history 
    but also looked to its own enforcement experience under MSPA and the 
    substantial amount of case law construing joint employment.
        FCM also disagrees with the proposed rule's analytical framework 
    for considering questions of independent contractor and joint 
    employment status, both of which arise from the definition of 
    ``employ''. FCM states that ``it is virtually impossible for unskilled 
    manual laborers, offering nothing more than two willing hands, to be an 
    independent contractor''; a view shared by the Department as to the 
    likely status of such workers. However, while FCM acknowledges that 
    unskilled farmworkers will be the employees of someone, FCM takes issue 
    with the proposed analytical framework for identifying the workers' 
    employer or joint employers in that the regulation would look to 
    factors beyond the terms of any contractual agreement between the 
    agricultural employer/association and the FLC. FCM's position is that 
    to the extent any other factors are relevant and appropriate for 
    consideration, only common law right to control should be considered.
        FCM contends that relationships between an agricultural employer/
    association and FLC fall into two categories. In the first, the FLC is 
    so controlled by the agricultural employer/association that ``* * * he 
    is a foreman/employee of the farmer * * *'' rather than an independent 
    contractor doing business with the farmer, and all the workers in the 
    crew are direct employees of the agricultural employer/association. The 
    Department agrees that an FLC could very well operate as an employee of 
    the agricultural employer/association, and his/her crew members would 
    also be direct employees of that employer. However, the Department 
    disagrees with the basis for FCM's assertion. Court cases on this issue 
    make it clear that it is not simply control but all the facts bearing 
    on economic dependence that determine the status of the FLC.8 The 
    agricultural employer/association's control of the FLC is probative but 
    not necessarily determinative of the FLC's employee/independent 
    contractor status. Acknowledgment must be given to the extensive case 
    law which evaluates economic dependence by looking beyond the control 
    factor to consider other factors such as those set out in the proposed 
    rule at 500.20(h)(4)(i)-(v).
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        \8\ Beliz v. W.H. McLeod & Sons Packing Co., 765 F.2d 1317, 1327 
    (5th Cir. 1985); Castillo v. Givens, 704 F.2d 181, 192 (5th Cir.), 
    cert. denied, 464 U.S. 850 (1983); Fahs v. Tree Gold Co-op Growers 
    of Florida, Inc., 166 F.2d 40, 43 (5th Cir. 1948).
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        The second category of relationship identified by FCM is one in 
    which it is determined that the FLC is an independent contractor and 
    not an employee of the agricultural employer/association; the FLC's 
    crew members are his/her employees. FCM asserts that in such 
    circumstances the two tests of joint employment on the part of the 
    agricultural employer/association should be the contractual agreement
    
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    between that party and the FLC, and the extent to which the 
    agricultural employer/association retains the contractual right to 
    control the workers. To the extent that it is appropriate to look 
    beyond the terms of any contractual agreement, FCM asserts that control 
    factors alone should govern the determination of joint employment by an 
    agricultural employer/association and an independent contractor FLC.
        The Department disagrees with the contention that common law 
    control elements should be given undue weight in the joint employment 
    analysis. As established by the courts and the current MSPA regulation, 
    the test for joint employment under MSPA does not allow, much less 
    require, that the determination be made exclusively or primarily by 
    considering the description of control in any FLC contractual agreement 
    or the actual exercise of control over the agricultural workers. Such 
    unwarranted reliance on contractual labels and common law control was 
    one of the primary reasons why Congress incorporated the FLSA 
    definition of ``employ'' into MSPA.9
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        \9\ House Comm. Rept. at 4552-53.
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        The legislative history and case law are clear that ``it is the 
    economic reality, not contractual labels * * *'' that determines the 
    employment relationships under the Act.10 Further, Congress stated 
    that ``* * * even if a farm labor contractor is found to be a bona fide 
    independent contractor,* * * this status does not as a matter of law 
    negate the possibility that an agricultural employer or association may 
    be a joint employer of the harvest workers and jointly responsible for 
    the contractor's employees.''11 While a finding that there are 
    sufficient indicia of control to satisfy the common law test of an 
    employment relationship would most likely result in a similar 
    determination under MSPA/FLSA, a finding of common law control is not a 
    prerequisite to finding that a joint employment relationship 
    exists.12
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        \10\ House Comm. Rept. at 4553; Real v. Driscoll Strawberry 
    Assoc. Inc., 603 F.2d 748, 755 (9th Cir. 1979), citing Rutherford 
    Food Corp. v. McComb, 331 U.S. 722, 729 (1947); Usery v. Pilgrim 
    Equip. Co., 527 F.2d 1308, 1315 (5th Cir.), cert. denied, 429 U.S. 
    826 (1976); Hodgson v. Griffin and Brand of McAllen Inc., 471 F.2d 
    235, 237-238 (5th Cir.), cert. denied, 414 U.S. 819 (1973).
        \11\ House Comm. Rept. at 4553; Griffin and Brand at 237.
        \12\ House Comm. Rept. at 4553; Hodgson v. Okada, 472 F.2d 965 
    (10th Cir. 1973); Zavala v. Harvey Farms, No. 94-225-M Civil 
    (D.N.M., February 1, 1996) (Joint employer found even though court 
    determined the FLC exercises the supervisory control).
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        4. The National Council of Agricultural Employers
        The National Council of Agricultural Employers (NCAE), a 
    Washington, D.C. based association representing growers and 
    agricultural organizations on agricultural labor and employment issues, 
    submitted extensive comments on the proposed regulation. NCAE is 
    strongly opposed to any change in the current regulatory definition of 
    joint employment. NCAE asserts that the Department is inappropriately 
    and unlawfully seeking to discourage the use of farm labor contractors 
    by establishing a strict liability standard for agricultural employers/
    associations who use the services of FLCs; that the proposed rule is 
    without a factual or legal foundation; that the proposed rule violates 
    the Administrative Procedure Act because it is arbitrary and 
    capricious; that the proposed rule is not user-friendly; and that the 
    proposed rule ignores existing law. These issues are addressed below.
    
    a. Strict Liability
    
        NCAE contends that the proposed regulation effectively establishes 
    a strict liability test for joint employment. The motive ascribed to 
    the Department is that the Department is seeking to discourage 
    agricultural employers/associations from using FLCs, thereby driving 
    FLCs from the labor market, disrupting the agricultural labor supply, 
    and empowering unions to substitute for FLCs in providing labor to 
    employers. Further, the NCAE asserts that the alleged strict liability 
    standard would allow the Department and farmworker legal services 
    lawyers to reach into the deep pockets of agricultural employers/
    associations when violations occur, without the need to produce 
    adequate evidence bearing on the joint employment determination. 
    Finally, NCAE asserts that creation of the alleged strict liability 
    through a regulatory change would be an illegitimate attempt to 
    establish a legal standard which Congress and the courts have been 
    unwilling to adopt. For the reasons stated below, the Department 
    disagrees with the contention that the NPRM creates a strict liability 
    standard.
        The proposed definition of joint employment is a reiteration of 
    well-established legal principles developed by the courts and 
    explicitly endorsed by Congress when it enacted MSPA. Both the 
    analytical framework set out in the proposed regulation (economic 
    dependence) and the test used to examine economic dependence (the 
    analytical factors) were derived from the cases found in the 
    legislative history and other cases deciding joint employer issues both 
    before and since MSPA's enactment. The Department has very specifically 
    avoided creating ``strict liability'' through any regulatory test which 
    would operate based on a presumption that a joint employment 
    relationship exists. The current regulation as well as the proposed 
    regulation expressly states that the presence or absence of one or more 
    of the analytical factors is not dispositive. All the facts in each 
    particular case must be considered using the factors identified in the 
    regulation and any other relevant factors. The Department has not 
    proposed any result-oriented ``strict liability'' or presumption test 
    for determining either independent contractor or joint employment 
    status. Instead, the Department has proposed a flexible test for joint 
    employer which is consistent with the case law, the legislative 
    history, and the current regulation which (as explained in the NPRM) is 
    clarified and made more user-friendly by the proposed changes.
        Some of the concerns expressed by NCAE may be attributable to the 
    statement in the current and proposed regulations that joint employment 
    relationships are ``common'' in agriculture. As Congress recognized 
    when it enacted MSPA, the joint employment doctrine is ``the central 
    foundation of this new statute; it is the indivisible hinge between 
    certain important duties imposed for the protection of migrant and 
    seasonal workers and those liable for any breach of those duties.'' 
    13 Citing favorably the U.S. Supreme Court's characterization of 
    ``employ'' under FLSA in United States v. Rosenwasser, 323 U.S. 360 
    (1945), the Committee stated that ``a broader or more comprehensive 
    coverage of employees within the stated concept would be difficult to 
    frame.'' 14 However, the recognition that the definition of 
    ``employ'' (of which joint employment is one aspect) is very broad 
    under MSPA does not lead to the presumption that joint employment is 
    always present. The proposed rule does not create a strict liability 
    standard that mandates the finding of joint employment in every 
    instance in which an agricultural employer/association retains the 
    services of a FLC. As the Department and the courts have recognized in 
    the current definition of ``joint employment'' under MSPA, ``* * * 
    joint employment relationships are common in agriculture. * * 
    *'',15 but that observation does not require or
    
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    inevitably lead to the creation of a strict liability standard or 
    presumption.
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        \13\ House Comm. Rept. at 4552.
        \14\ Ibid.
        \15\ 29 CFR 500.20(h)(4)(ii); Aimable v. Long & Scott Farms, 20 
    F.3d 434, 438 (11th Cir.), cert. denied, 115 S.Ct. 351 (1994).
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        The NCAE assertion that the proposed rule creates strict liability 
    is misplaced for another reason. The structure and language of the 
    proposed rule disavow any such presumption by expressly requiring an 
    examination of all the facts of each case using a multifactor 
    analytical framework to resolve the ultimate question of economic 
    dependence, which NCAE concedes is the relevant inquiry. While the 
    proposed rule sets out certain factors that are probative of the joint 
    employment relationship, the proposed rule makes it abundantly clear 
    that the ultimate test is ``* * * whether the worker is so economically 
    dependent upon the agricultural employer/association as to be 
    considered its employee. * * *'' NPRM at 500.20(h)(5)(iii). The factors 
    are merely tools to be used to answer the ultimate question of economic 
    dependence and are neither to be used as a checklist nor as an 
    exhaustive list of relevant factors.16
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        \16\ See Antenor v. D & S Farms, 88 F.3d 925, 932 (11th Cir. 
    1996).
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        Each potential joint employment situation must be examined on its 
    peculiar or special facts. The legislative history is clear that there 
    are a broad range of factual situations, and that each must be assessed 
    based on its own distinct circumstances.17 In the proposed rule, 
    the Department more clearly, completely, and accurately sets out the 
    appropriate method for analyzing these circumstances.
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        \17\ House Comm. Rept. at 4553.
    ---------------------------------------------------------------------------
    
        There is no presumption or automatic joint employment. There are 
    circumstances which do not constitute joint employment. Some of the 
    factors in the proposed rule are frequently present in the typical 
    agricultural situation and, therefore, might lead to a determination of 
    employment or joint employment status on the part of the agricultural 
    employer/association. But such a determination must be made on all the 
    facts in a particular case. Despite NCAE's assertion, the proposed rule 
    does not compel a determination that joint employment exists whenever a 
    farm labor contractor or other service provider is utilized.
        For example, in some crops, a grower may sell his/her entire crop 
    to a harvesting company, which becomes responsible for harvesting and 
    transporting the crop to storage or market; or a grower may turn his/
    her entire harvesting operation over to a farm labor contractor, who 
    makes all the meaningful decisions regarding the harvesting of the 
    crops and provides his/her own materials and equipment needed in the 
    harvest, such as with custom combiners who harvest grain crops or other 
    custom harvesting operations common in many agricultural commodities.
        Another example is where an agricultural employer/association 
    secures the services of a FLC and sets out ultimate performance 
    standards for the job, but then has no right to control or further 
    involvement in the work or the employment, all of which are in the 
    FLC's hands. The FLC and his/her employees are free to schedule work 
    under any other contracts. The FLC provides all the equipment, tools 
    and resources necessary to complete the job for which his/her services 
    were retained and to manage all aspects of the workers' employment. The 
    FLC has the financial and managerial ability to conduct his/her 
    business without the involvement or assistance of the agricultural 
    employer/association and undertakes all the responsibilities commonly 
    performed by an employer. This and similar arrangements are not 
    uncommon in agriculture. In such situations, an application of the 
    economic dependence analysis is unlikely to result in a determination 
    that the grower is an employer or joint employer under the MSPA.
        In both of the above examples, it is quite common for the agreement 
    between the agricultural employer/association and the farm labor 
    contractor to explicitly state which party has responsibility for 
    meeting certain obligations. The mere fact that the agricultural 
    employer/association enters into an agreement making the farm labor 
    contractor exclusively responsible for functions and activities that 
    are commonly performed by employers--such as setting wage rates, paying 
    wages, supervising, directing and controlling the workers, providing 
    worker's compensation--does not indicate that the agricultural 
    employer/association may be a joint employer. On the other hand, merely 
    so providing in the contract is not controlling if the agricultural 
    employer/association in fact retains the power to, or actually 
    performs, such functions. As the legislative history and the case law 
    make abundantly clear, it is the economic reality of the relationship, 
    not contractual labels, that determine joint employment. In order to 
    allay any confusion that may exist and to clarify the effect of this 
    regulation, language has been added to the regulation to reiterate that 
    this regulation does not create strict or per se liability and that no 
    single factor or set of factors is determinative of joint employment. 
    As has been stated repeatedly, joint employment can only be determined 
    by an examination of all the facts in a particular case.
        NCAE asserts that the effect of the proposed rule will be the 
    elimination of the use of FLCs and consequent disruption in the 
    agricultural labor market. This assertion fails to recognize that the 
    issue of joint employment under MSPA does not govern whether 
    agricultural employers/associations will have access to the services 
    provided by FLCs. No FLC will be precluded by anything in the proposed 
    regulation from pursuing his/her business. Even where the agricultural 
    employer/association is determined to be the employer or a joint 
    employer for purposes of MSPA, the employer/association may still use 
    the FLC's services for all the tasks which FLCs may perform under 
    MSPA--recruiting, soliciting, hiring, employing, furnishing, or 
    transporting any migrant or seasonal agricultural worker. The sole 
    effect of a joint employment determination is, where appropriate, to 
    make an agricultural employer/association jointly responsible in the 
    event the FLC does not perform the employer functions in a lawful 
    manner.
        The American Farm Bureau Federation--a broad-based organization 
    similar to NCAE, which represents the business and economic interests 
    of more than 4 million agricultural families--has addressed many of the 
    same concerns raised by the NCAE comments but without predicting the 
    same dire consequences for agricultural employers/associations who 
    accept responsibility for FLCs' actions. In its Farm Bureau Grower's 
    Handbook: A Compliance Guideline To Federal Agricultural Labor Laws, 
    April, 1991, the Farm Bureau acknowledged that applying the economic 
    dependence analysis to the typical agricultural circumstance will ``* * 
    * probably be enough for him [the grower] to be a joint employer with 
    the labor contractor. * * *'' In light of this potential outcome, the 
    Farm Bureau suggested two alternative courses of action for its 
    members:
    
        ``A grower has two choices. First, you may try to distance 
    yourself from your farm labor contractor so that you will not be 
    found to be a joint employer if a lawsuit is brought against him. 
    Second, you may accept that the way in which you want your operation 
    to work does not allow you to avoid being a joint employer, and 
    decide to plan ahead to avoid legal liability. As for the first 
    choice, you should be aware that the trend of court decisions, 
    especially where workers covered by [MSPA] are concerned, is to find 
    that the
    
    [[Page 11739]]
    
    growers are joint employers. Generally speaking, this option is 
    available only where the workers are skilled and where the grower 
    takes a hands-off approach to supervising the work and the 
    employees. * * * On the other hand, planning ahead to take 
    responsibility for complying with FLSA and [MSPA] does not need to 
    be an unreasonable burden. Several of the steps that are required 
    may be taken by either the grower or the contractor. * * * A plan to 
    take all necessary steps to comply with FLSA and [MSPA] is a better 
    defense against a lawsuit than trying to avoid joint employment.''
    
    Id. at 49-50.
    The Farm Bureau acknowledges that joint employment in the typical 
    agricultural context is common but not inevitable. As will be addressed 
    in greater detail below, the Farm Bureau also lists factors used in the 
    joint employment analysis that closely track those set out in the 
    proposed rule and which NCAE suggests are inappropriate.
    
    b. Application of the Analytical Factors in the Proposed Rule
    
        NCAE suggests that under the proposed rule a finding of ``any 
    control or authority on the part of the grower'' will result in a 
    finding of economic dependence and joint employment. NCAE construes the 
    proposed rule as requiring that joint employment be found where any of 
    the delineated factors are present. However, NCAE misconstrues (or 
    perhaps overlooks) the express language of the proposed rule which 
    states that the factors ``are analytical tools to be used in 
    determining the ultimate question of economic dependence. The factors 
    are not to be applied as a checklist. * * * No one factor is critical 
    to the analysis * * * Rather, how the factors are weighed depends upon 
    all the facts and circumstances.'' NPRM at 500.20(h)(5)(iv).
        NCAE asserts that the analytical factors identified in the proposed 
    rule are distorted or inappropriate for various reasons. This 
    contention appears to overlook the fact that each of the proposed 
    rule's analytical factors is drawn from the case law regarding 
    ``employ'' and joint employment, as discussed below.
        The American Farm Bureau Federation's published guidance for its 
    members (1991 Handbook) expressly recognizes a list of analytical 
    factors bearing on the joint employment determination. While the Farm 
    Bureau's factors do not identically track the factors set out in the 
    proposed rule, they are notably similar and their recognition by the 
    Farm Bureau is at odds with NCAE's assertions about the propriety and 
    relevance of factors such as the skills of workers, relative 
    investment, and permanency and exclusivity of the work. The Farm 
    Bureau's Handbook lists the relevant factors for determining as joint 
    employment as follows:
         Who owns the property where the work is done?
         How much skill is needed to do the job?
         Who has investment in land, equipment and facilities?
         How permanent and exclusive is the job?
         Who has the right to control the work?
         Who supervises the work?
         Who sets the rates of pay or methods of payment and 
    employment policies?
         Who has the right to hire, fire, discipline, and otherwise 
    affect the workers' employment?
         Who prepares the payroll and pays the workers?
        The NCAE's comments also address individual factors set forth in 
    the proposed rule, as follows:
    
    i. Control/Supervision
    
        Among the factors set forth in the proposed rule, this factor tests 
    the putative employer's power (directly or indirectly, exercised or 
    unexercised) to control or supervise the workers or the work performed. 
    NCAE suggests that the only relevant consideration under the control 
    factor should be the extent to which the grower actually exercises 
    control and then only if the exercise of control is substantial. The 
    Department disagrees with such a narrow view of control in the 
    determination of joint employment.
        Courts addressing this matter have held that it is not the actual 
    exercise of direct control of the work but rather the power or ability 
    to do so that is relevant to the joint employment inquiry. 18 
    Further, the courts have recognized that the exercise of control can be 
    accomplished directly or indirectly through others, such as by 
    conveying instructions through a FLC to the workers. 19
    ---------------------------------------------------------------------------
    
        \18\ Beliz at 1329-30; Haywood v. Barnes, 109 F.R.D. 568, 589 
    (E.D.N.C. 1986). Contra Aimable, at 440-441.
        \19\ Aimable at 441; Griffin and Brand at 238; Monville v. 
    Williams, 107 Lab. Cas. (CCH) P34,978, at 45,252-253 (D. Md. 1987).
    ---------------------------------------------------------------------------
    
        As one court observed when considering the control factor, ``* * * 
    the right to control, not necessarily the actual exercise of that 
    control is important. The absence of the need to control should not be 
    confused with the absence of the right to control.'' 20 Where the 
    agricultural employer/association retains any right to control the 
    workers or the work, this would constitute control indicative of an 
    employment relationship. For instance, where the agricultural employer/
    association retains the right to direct details of the work, this fact 
    is indicative of control and therefore relevant to the joint employment 
    analysis.
    ---------------------------------------------------------------------------
    
        \20\ Haywood at 589; cited in Barrientos v. Taylor, 917 F. Supp. 
    375, 383 (E.D.N.C. 1996).
    ---------------------------------------------------------------------------
    
        Even the Aimable decision cited by NCAE in support of its comments 
    to the proposed rule does not necessarily support NCAE's position. 
    Having observed that in this case the FLC ``* * * exercised absolute, 
    unfettered and sole control over [the workers] and their employment,'' 
    the Aimable court simply never addressed any circumstance in which the 
    putative joint employer retained the right to control but did not 
    exercise it. Aimable at 440.
        The Department does believe that the words ``exercised or 
    unexercised'' in the proposed regulation language are redundant, 
    inasmuch as the ``power'' to control, direct, or supervise necessarily 
    implies the concept of unexercised control. Therefore, to avoid 
    confusion or misunderstanding and to bring greater clarity to the 
    regulation, the words ``exercised or unexercised'' are not included in 
    the Final Rule.
        The courts have determined that the requisite control of the work 
    may be exercised directly or indirectly through others. 21 
    Indirect control or supervision may be accomplished through 
    instructions delivered to the FLC to be communicated to the workers. As 
    one court said, ``The fact that the defendant often effected this 
    supervision by speaking to the crew leaders, who in turn spoke to the 
    farmworkers, rather than speaking directly to the plaintiffs, does not 
    negate the obviously extensive degree of on-the-job supervision that 
    existed. Reality can not be so easily masked by transparent attempts to 
    cover over the truth with a deceptive label.'' 22
    ---------------------------------------------------------------------------
    
        \21\ Griffin & Brand at 237; Barrientos at 382; Monville at 
    44,253; Leach v. Johnston, 812 F. Supp. 1198, 1207 (M.D. Fla. 1992); 
    Antunez v. G & C Farms, Inc., 126 Lab. Cas. (CCH) P33,015, at p. 
    46,174 (D.N.M. 1993).
        \22\ Haywood at 589 citing Griffin & Brand at 238. See also 
    Aimable at 441 (''It is well-settled that supervision is present 
    whether orders are communicated directly to the laborer or 
    indirectly through the contractor.''); Beliz at 1328; Castillo at 
    189 n.17, 191-92.
    ---------------------------------------------------------------------------
    
        It should be noted that indirect control sufficient to indicate the 
    existence of an employment relationship between a grower and a FLC's 
    crewmembers would not be established solely by contractual terms 
    through which the grower's ultimate standards or requirements for the 
    FLC's performance are defined (e.g., the
    
    [[Page 11740]]
    
    grower's specification of the size or ripeness of the produce to be 
    harvested, or of the date for the FLC's completion of a job). Such 
    stated performance standards or objectives--which are common in 
    contracts for services in the agricultural industry and in other 
    contexts--would not, in themselves, constitute indirect control of the 
    work by the person for whose benefit the services are to be performed 
    (e.g., the grower). However, the greater a grower's involvement in the 
    assurance and verification that the FLC is meeting or will meet the 
    contract's ultimate performance requirements, the greater the 
    likelihood that the grower would demonstrate sufficient indirect 
    control to indicate an employment relationship with the FLC's 
    crewmembers. Where the grower not only specifies in the contract the 
    size or ripeness of the produce to be harvested, but also appears in 
    the field to check on the details of the work and communicates to the 
    FLC any deficiencies observed, the circumstances must be closely 
    examined to determine if the grower is demonstrating sufficient 
    indirect control of the workers to indicate there may be an employment 
    relationship with them. The agricultural employer/association may 
    certainly take action during or after the conclusion of the work to 
    confirm satisfaction of the contract's ultimate performance standards 
    (including appearing in the field and communicating with the FLC about 
    general observations concerning performance of the contract standards, 
    such as ripeness or size of the produce harvested) without this action 
    alone being considered an indicium of joint employment. The critical 
    question to be considered is not whether the agricultural employer/
    association was in the field or communicated with the FLC, but rather 
    what that presence in the field and those communications indicate about 
    the nature and degree of the agricultural employer/association's 
    control over the work or the employment. To avoid any possible 
    confusion in this regard, Factor (A) has been amended to provide that a 
    reasonable degree of contract performance oversight and coordination 
    with third parties such as packing houses and processors is 
    permissible.
    
    ii. Power to Hire, Fire, Modify Employment Conditions or Determine Pay 
    Rates or Methods of Payment
    
        As with the control factor, NCAE argues that it should be only the 
    actual exercise, not the power to effect, these activities that should 
    be considered. NCAE recognizes that these important employer functions 
    are significant in the determination of joint employment. A putative 
    employer's direct or indirect exercise of the power to hire, fire or 
    modify employment conditions, set pay rates or method of payment is 
    obviously relevant to employer status, as courts have stated. 23 
    For example, a putative employer may expressly agree on a rate of pay 
    for the workers in his/her contract with an FLC 24 or may 
    effectively determine the workers' compensation rates through the 
    amount of the payments to the FLC. 25
    ---------------------------------------------------------------------------
    
        \23\ Beliz at 1328; Castillo at 192; Griffin & Brand at 237-38; 
    Antunez at p 46,173; Haywood at 587.
        \24\ Beliz at 1328; Griffin & Brand at 238; Alviso-Medrano v. 
    Harloff, 868 F. Supp. 1367, 1373 (M.D. Fla. 1994); Haywood at 590-
    91; Monville at 45,253.
        \25\ Beliz at 1328; Castillo at 192; Alviso-Medrano at 1373; 
    Monville at 45,253; Maldonado at 487.
    ---------------------------------------------------------------------------
    
        Equally relevant is the putative employer's power or authority to 
    exercise these functions should it be in his/her best interest to do 
    so. Courts have recognized that agricultural employers retain the 
    ability to exercise significant control over the employment but may 
    never find the need to exercise that power. 26 The retention of 
    power is revealing of the economic dependence of the workers on the 
    putative employer just as is the actual exercise of power.
    ---------------------------------------------------------------------------
    
        \26\ See, e.g., Beliz at 1322, 1328; Maldonado at 487.
    ---------------------------------------------------------------------------
    
        The current regulation, which NCAE urges the Department to retain, 
    includes the same factor bearing on employment that NCAE asserts is 
    objectionable. 27 This factor is merely preserved in the amended 
    rule.
    ---------------------------------------------------------------------------
    
        \27\ See 29 CFR 500.20(h)(4)(ii)(C) The Power to determine the 
    pay rates or the methods of payment of the workers; (D) The right, 
    directly or indirectly, to hire, fire, or modify the employment 
    conditions of the workers.
    ---------------------------------------------------------------------------
    
    iii. Provision of Housing, Transportation, Tools and Equipment, or 
    Other Materials Required for the Job
    
        NCAE asserts that this factor should not be considered in a joint 
    employment analysis. Many courts have recognized the appropriateness of 
    identifying the person or entity which provides the housing, 
    transportation, tools, equipment, machinery and other resources related 
    to the employment. 28 The Department--along with the courts--
    considers this factor to be relevant.
    ---------------------------------------------------------------------------
    
        \28\ Rutherford at 731; Antenor at 937-938 & n.15; Beliz at 
    1328; Castillo at 192; Barrientos at 383; Haywood at 587, 588-89; 
    Monville at 45,253. But see Aimable at 443.
    ---------------------------------------------------------------------------
    
        It is the Department's view that this factor is sufficiently 
    similar to the consideration of employer-provided services or benefits 
    in factor (H) of the NPRM that the factors should be consolidated in 
    the Final Rule. A fuller discussion of the relevance of these facts is 
    found in part vii below, which deals with new combined factor (G) of 
    the Final Rule.
    
    iv. Degree of Permanency of the Relationship
    
        NCAE contends that this factor should not be considered because it 
    was rejected by the court in Aimable. However, the Department 
    recognizes that, despite Aimable, the great weight of the case law 
    supports consideration of the degree of permanency and exclusivity in 
    the relationship between the workers and the putative employer in the 
    context of the agricultural operation in question. 29 The duration 
    of that operation necessarily affects the duration or permanency of the 
    relationship. Where an FLC and the workers are engaged for the duration 
    of the operation and are obligated to work only for or be available to 
    the agricultural employer/association at his/her discretion during that 
    period, that information bears directly on the question of the workers' 
    economic dependence. Other courts have found this factor relevant and 
    the Department believes that duration of the relationship should be one 
    of the factors considered in determining joint employment.
    ---------------------------------------------------------------------------
    
        \29\ Ricketts v. Vann, 32 F.3d F1, F4 (rth Cir. 1994); 
    Lauritzen, Secretary of Labor v. Beliz at 1328; Fahs at 44; Haywood 
    at 589; Donovan v. Gillmor, 535 F. Supp. 154, 162-63 (N.D. Ohio), 
    appeal dismissed, 708 F.2d 723 (6th Cir. 1982).
    ---------------------------------------------------------------------------
    
    v. Unskilled Work
    
        NCAE suggests that this factor is designed to predetermine a 
    finding of joint employment, apparently based on the assumption that 
    nearly all agricultural work involves repetitive, rote tasks requiring 
    little skill or training even though NCAE also acknowledges that many 
    agricultural jobs require considerable skill and experience. The 
    Department recognizes that the worker's skill--like each of the other 
    factors identified in the case law and this regulation--is only one of 
    several factors which are to be considered in making the ultimate 
    determination as to the worker's economic dependence. In almost all 
    cases, the courts have considered the worker's degree of skill to be a 
    relevant and probative factor in the determination of such dependence. 
    30 In common experience in the agricultural industry and other 
    contexts, there is a reasonable correlation between the worker's degree 
    of skill and the marketability and value of his/her services. In the 
    free market
    
    [[Page 11741]]
    
    place, an unskilled task which may easily be learned and performed by 
    almost any worker is a task for which many workers (both trained and 
    untrained) can realistically compete, and is also a task for which the 
    competing workers would not be able to demand or expect high wages. The 
    lower the worker's skill level, the lower the value and marketability 
    of his/her services, and the greater the likelihood of his/her economic 
    dependence on the person utilizing those services. Conversely, the 
    higher the worker's skill level, the greater the value and 
    marketability of his/her services in the market place and, 
    consequently, the lesser the likelihood that he/she would be 
    economically dependent on any particular person who utilizes his/her 
    services.
    ---------------------------------------------------------------------------
    
        \30\ Ricketts at 74; Beliz at 1328; Castillo at 190; Real at 
    755; Antunez at 46,174; Fahs at 44. But cf. Aimable at 444.
    ---------------------------------------------------------------------------
    
        The Department concludes that, in light of the great weight of the 
    case law, the factor of the worker's degree of skill is an appropriate 
    factor for consideration in the determination of economic dependence; 
    the regulation therefore identifies this factor as one of several to be 
    considered. 31
    ---------------------------------------------------------------------------
    
        \31\ Ricketts at 74; Beliz at 1328; Castillo at 190; Real at 
    755; Antunez at 46,174; Fahs at 44. But cf. Aimable at 444.
    ---------------------------------------------------------------------------
    
    vi. Activities of the Workers Integral to Overall Business Operation 
    and Work Performed on Premises Owned or Controlled by Putative Employer
    
        NCAE asserts that these two factors are included in the proposed 
    rule to assure that the agricultural employer/association always will 
    be found to be a joint employer. NCAE cites no authority for rejecting 
    these as relevant factors for determining joint employment. In fact, no 
    case has rejected these factors and they are invariably included among 
    the factors considered by courts. 32
    ---------------------------------------------------------------------------
    
        \32\ Rutherford Food at 726, 729-730; Aimable at 444; Griffin & 
    Brand at 237-238; Beliz at 1328; Castillo at 192; Fahs at 42-43.
    ---------------------------------------------------------------------------
    
        This MSPA regulation is an embodiment and distillation of the case 
    law, which consistently demonstrates that many factors--including the 
    worker's performance of a function integral to the putative employer's 
    operation, and the location of the work on the putative employer's 
    premises--are relevant and probative factors in the determination of 
    the ultimate question of the worker's economic dependence. 33 The 
    exclusion of one or more of these factors would not only be an 
    unjustifiable distortion of the courts' decisions, but would also 
    result in an incomplete analysis of the economic realities upon which 
    the ultimate issue of an employment relationship is based.
    ---------------------------------------------------------------------------
    
        \33\ Rutherford Food at 726, 729-730; Aimable at 444; Griffin & 
    Brand at 237-238; Beliz at 1328; Castillo at 192; Fahs at 42-43.
    ---------------------------------------------------------------------------
    
        In the agricultural industry, as in other parts of the free market 
    place, there is a logical and appropriate correlation between the 
    ``centrality'' of a function in a business operation and the certainty 
    of the business' performance of that function through the use of 
    whatever resources or methods are necessary, including the use of 
    labor. In other words, where a function is a central or core part of 
    the business (i.e., important enough to be ``integral'' to the 
    business; often performed on the business' premises), common experience 
    shows that that business would be virtually certain to assure that the 
    function is performed, and would obtain the services of whatever 
    workers are needed for that function. The workers so engaged can 
    reasonably anticipate that the work will be available for so long as 
    the function in question must be performed. The Eleventh Circuit, 
    recognizing the importance of the putative employer's providing the 
    place where the work is performed, stated in Antenor: ``[t]his element 
    is probative of joint-employment status for the obvious reason that 
    without the land, the workers might not have work, and because the 
    business that owns or controls the worksite will likely be able to 
    prevent labor law violations, even if it delegates hiring and 
    supervisory responsibilities to labor contractors.'' 88 F.3d at 936-
    937. The court applied a similar rationale in holding that ``a worker 
    who performs a routine task that is a normal and integral phase of the 
    grower's production is likely to be dependent on the grower's overall 
    production process.'' The workers' reliance upon a particular business 
    as a source or place of work (and, consequently, a source of income in 
    the form of wages for services) can appropriately be considered in the 
    determination of an employment relationship.
        Conversely, where the work is not performed on the putative 
    employer's premises or is not integral to the putative employer's 
    business operation, these facts would indicate that the existence of a 
    joint employment relationship is somewhat less likely.
        After carefully reviewing the case law and considering the NCAE 
    comment, the Department has concluded that the analysis of the workers' 
    economic dependency on the putative employer necessarily includes the 
    consideration of these two factors bearing on the ``centrality'' of the 
    function in the putative employer's operation. However, the Department 
    reiterates that neither of these factors (or any other factor) is 
    controlling in the analysis.
    
    vii. Putative Employer Provides Services, Materials or Functions 
    Commonly Performed by an Employer
    
        As stated in the discussion under part iii above, factor (C) of the 
    NPRM has been combined with factor (H) of the NPRM to create a new 
    factor (G) in the Final Rule because the substance of the two NPRM 
    factors is similar. Both NPRM factors focused on services, tools, 
    equipment, and materials which are commonly provided or performed by 
    employers. Factor (C) dealt with transportation and housing, which are 
    common indices of employment for transient workers or those who have no 
    other means of transportation to work. Factor (H) dealt with services 
    and benefits such as providing workers' compensation insurance and 
    handling payroll, which are commonly performed by employers.
        In addition to the issues raised by the American Pulpwood 
    Association and others, discussed above, NCAE suggests that 
    consideration of this factor is inappropriate in that a putative 
    employer may take such actions or provide materials or services because 
    he/she handle them better or more economically than can the FLC. The 
    Department recognizes that an agricultural employer/association may be 
    more skilled, efficient, or better capitalized than the FLC and that 
    this may be a reason for performance of various ``employer'' functions. 
    However, the Department does not consider efficiency, motive, or 
    capitalization to be a reason to negate the relevance of this factor in 
    assessing joint employment. The courts have considered these facts to 
    be relevant and probative in the joint employment analysis.
        Where a putative employer provides materials or services, or 
    undertakes functions normally performed by an employer (such as 
    providing workers' compensation, paying FICA taxes, transporting or 
    housing workers, providing the tools and equipment necessary to the 
    work), such behavior indicates that it is in his/her interest to 
    perform such functions that are commonly performed by employers rather 
    than rely on the FLC. 34 Further, workers who use the services, 
    materials or functions are in a very tangible way economically 
    dependent on the entity
    
    [[Page 11742]]
    
    performing these functions. 35 Thus, the performance of these 
    ``employer'' functions by a putative employer is both an objective 
    manifestation of employer status and strong evidence of the workers' 
    economic dependence upon him/her.
    ---------------------------------------------------------------------------
    
        \34\ Antenor at 937; Griffin & Brand at 237; Fahs at 42; Beliz 
    at 1328.
        \35\ Antenor at 936 (``[T]he farmworkers were dependent on the 
    growers to obtain financial compensation for job-related injuries * 
    * * They relied on [the growers] to see that the social security 
    payments were made as well.')
    ---------------------------------------------------------------------------
    
        The Final Rule contains some modifications made in response to 
    these commenter's concerns. The word ``normally'' in the NPRM has been 
    changed to ``commonly'' as a more accurate and precise word in this 
    context. Further, the NPRM has been amended to consider the amount of 
    the investment in tools and equipment when considering these items in 
    the joint employment analysis.
        The Department recognizes that ownership of housing is not 
    determinative. To the extent that an agricultural employer/association 
    relinquishes all control of housing it owns to a third party, the mere 
    ownership of the housing by the agricultural employer/association would 
    not in itself be a consideration in the joint employment analysis.
        The Department also recognizes that benefits, services or functions 
    performed by an agricultural employer/association may directly benefit 
    the workers, and that some persons might argue that these matters 
    should not be considered in the joint employment analysis to avert the 
    unintended and undesirable consequence that agricultural employers/
    associations would be dissuaded from providing these benefits. While 
    workers may be benefited if an agricultural employer/association 
    provides workers' compensation, withholds and pays employment taxes, or 
    provides housing or transportation, the benefit realized by the workers 
    does not negate, but rather reinforces the relevance of the provision 
    of these services in determining the economic dependence of the 
    workers. As set out above, the courts have held these facts to be 
    probative of joint employment.
        Nonetheless, it is not the Department's intention nor desire to 
    create unnecessary disincentives for agricultural employers/
    associations to provide employment related benefits to agricultural 
    workers or more closely oversee farm labor contractor activities to 
    ensure compliance with legal obligations. Therefore, the MSPA 
    regulation on the assessment of civil money penalties, 29 CFR 500.143 
    is amended to include as an example of ``good faith efforts to comply 
    with the Act'' an agricultural employer/association providing benefits 
    to workers or taking reasonable measures to ensure FLC compliance with 
    legal obligations. These reasonable measures will be considered by the 
    Department as a mitigating factor in assessing any civil money 
    penalties resulting from violations which arise from the joint 
    employment relationship.
        The Department further recognizes that an agricultural employer/
    association may be harmed by an FLC who violates his/her contract with 
    the agricultural employer/association for the provision of labor and, 
    in so doing, fails to meet an employment obligation to the workers. If 
    an agricultural employer/association is found to be a joint employer, 
    and therefore jointly liable with the FLC for employment obligations to 
    the workers (e.g., payment of wages), the agricultural employer/
    association would be required to ``make good'' on such obligations 
    where the FLC failed to do so. The joint and several liability inherent 
    in the concept of joint employment requires this result. However, 
    nothing in the case law on joint employment or in this MSPA regulation 
    should be construed as in any way prejudicing any rights the 
    agricultural employer/association may have against the FLC to recover 
    for damages resulting from the FLC's breach of the contract to provide 
    labor to the agricultural employer/association. Thus, if the FLC in 
    that contract agreed to pay the wages of the workers but failed to do 
    so, the agricultural employer/association found to be a joint employer 
    may well have legal recourse against the FLC for any money the 
    agricultural employer/association is required to pay to the workers.
        Some employer commenters assert that certain activities are 
    undertaken by the agricultural employer/association not because of an 
    employment relationship with the workers or because it can handle the 
    activity more efficiently or economically than the FLC, but because the 
    agricultural employer/association is obligated under some other law to 
    engage in or refrain from engaging in certain activity. One example is 
    the landowner's obligation under Environmental Protection Agency (EPA) 
    regulations to prevent workers from reentering fields that were 
    recently sprayed with pesticides. The Department takes the view that 
    where an action or inaction is taken under compulsion of a legal 
    requirement which is unrelated to an employment relationship, such 
    action or inaction is not to be considered in the determination of 
    whether an employment relationship exists for purposes of MSPA. Thus, 
    while a grower's action in barring workers from a particular field at a 
    particular time might be viewed as an exercise of the grower's control 
    over the workers' hours and places of work (indicative of an employment 
    relationship), the Department would not take this activity into account 
    in the employment relationship analysis where the grower's action is 
    only that required to fulfill his/her legal obligations under EPA 
    requirements based on his/her status as a landowner and not on any 
    status as an employer.
    
    c. Administrative Procedure Act
    
        NCAE and other commenters assert that the Department has failed to 
    demonstrate a compelling rationale for the proposed rule, i.e., that 
    the Department presented no ``data'' to support the proposal and, 
    therefore, the rule is arbitrary and capricious. The proposed 
    regulation is intended by the Department to clarify the current 
    regulation, to provide more complete and accurate information to 
    affected parties (farm labor contractors, agricultural employers/
    associations, and agricultural workers), and to make the regulation 
    more useful to the public. NCAE asserts that the rationale is 
    insufficient because the proposed regulation is longer rather than 
    shorter than the current regulation and because, in NCAE's opinion, the 
    regulated community is not confused and, therefore, needs no 
    clarification. Further, these commenters suggest that the proposed rule 
    is fatally flawed because in their opinion courts will not grant 
    deference to the new rule because it is at odds with the current rule 
    (promulgated shortly after MSPA's enactment) and with the Aimable 
    decision. The Department has considered these concerns and believes 
    them to be without foundation.
        The current regulation is not being repudiated by the proposed 
    rule. Rather, the substance of the current regulation is being 
    reorganized and restated for purposes of clarity, and additional 
    guidance is being offered to the regulated community. In the 13 years 
    since the enactment of MSPA, it has become apparent that the regulation 
    needs to be updated to reflect the Department's enforcement experience 
    and a substantial body of court decisions construing joint employment. 
    Enforcement experience and judicial decisions have highlighted the need 
    for clarification and elaboration of the proper analysis of joint 
    employment.
        Since the current regulation was promulgated in 1983, it has become
    
    [[Page 11743]]
    
    clear to the Department that the regulation does not offer complete 
    guidance on joint employment and may lead to misunderstanding and 
    confusion. The regulation has been misconstrued in as much as the five 
    factors delineated in 500.20(h)(4)(ii)(A)-(E) have sometimes been 
    viewed as an exhaustive list of factors that the Department believes 
    are probative of joint employment. This has never been the position of 
    the Department, as shown by the express qualification in the existing 
    regulation, which states that the determination of joint employment is 
    not limited to the regulation's list of factors. 29 CFR 
    500.20(h)(4)(ii). However, some of the regulated community and some 
    courts have taken the position that these are `` `the five regulatory 
    factors' '' (emphasis added), treating them as an exclusive or 
    exhaustive list. Aimable at 439.
        The five factors identified in the current regulation continue to 
    be an essential part of the consideration of joint employment. The 
    proposed rule is intended to place them in the proper context as part 
    of the economic dependence analysis. The five factors, consolidated 
    into two, apply within the broader context of the economic dependence 
    analysis and the more complete list of factors found relevant by the 
    courts and by the Department in conducting this analysis.
        The proposed regulation is thus a more complete and accurate 
    description of the appropriate joint employment analysis than is the 
    current regulation. The proposed rule is intended to give better 
    guidance to the regulated community about the purposes to be served by 
    the MSPA joint employment principles and provide additional guidance 
    about the ultimate question to be resolved in both the independent 
    contractor and joint employer analysis--i.e., economic dependence. The 
    Department has set out a nonexclusive list of factors which it believes 
    will help provide the proper framework for deciding whether or not a 
    joint employment relationship (or independent contractor status) 
    exists; the proposed rule preserves the current rule's express notice 
    that factors in addition to those identified in the regulation may be 
    appropriate for consideration. Through the proposed rule, the regulated 
    community is being provided with more complete guidance, the courts 
    will have the benefit of the Department's complete views on these 
    questions, and the Department's enforcement of MSPA will be made more 
    efficient and effective.
        The need for clarification has become apparent to the Department. 
    Some recent court decisions--such as Aimable--have applied the current 
    regulation as a checklist, or as a rigid formula in which factors 
    simply are entered in two columns with little analysis beyond a 
    comparison of the totals at the bottom of the columns ``for'' and 
    ``against'' joint employment. The most recent case to consider the 
    joint employment in agriculture issue 36 has instructed that this 
    analytical method is not what was intended by the courts in the seminal 
    cases 37 or by Congress in its express adoption of the FLSA's 
    broad concepts of ``employ'' and joint employment. The proposed rule is 
    intended to assist in focusing on and applying the flexible multifactor 
    analysis which is required.
    ---------------------------------------------------------------------------
    
        \36\ Antenor, supra.
        \37\ Rutherford Food at 730; Lauritzen at 1538; Pilgrim 
    Equipment at 1311.
    ---------------------------------------------------------------------------
    
        Further, the Department's enforcement experience indicates a need 
    to better articulate and apply Congress's intentions for MSPA joint 
    employment. Studies have shown that the use of farm labor contractors 
    is increasing, thereby exacerbating the harmful effects which FLCs who 
    operate in violation of the laws have in this labor market. 38 
    These studies have shown that in comparison with growers, farm labor 
    contractors pay lower wages and provide fewer benefits. 39 To the 
    extent that farmworkers, who are entitled to the protections of MSPA, 
    are denied their rights because of misunderstanding of or incorrect 
    application of joint employment principles under the current 
    regulation, it is the Department's belief that the proposed regulation 
    will enable more agricultural employers/associations to understand and 
    fulfill their obligations if, as the American Farm Bureau Federation's 
    Grower Handbook says, they will ``accept that the way you want your 
    operation to work does not allow you to avoid being a joint employer.''
    ---------------------------------------------------------------------------
    
        \38\ ``U.S. Farmworkers in the Post-IRCA Period: Based on Data 
    from the National Agricultural Workers Survey,'' Office of the 
    Assistant Secretary for Policy, March, 1993, at 16; ``The Report of 
    the Commission on Agricultural Workers'', Commission on Agricultural 
    Workers, November, 1992, at xxvii.(``In recent years FLCs 
    increasingly have filled the role of matching seasonal workers with 
    jobs. * * * Workers employed by FLCs generally receive lower wages 
    and are employed under working conditions inferior to those offered 
    to farmworkers hired by * * * agricultural employers.'').
        \39\ Ibid.
    ---------------------------------------------------------------------------
    
    5. AFL-CIO Comment
        The AFL-CIO commented in support of the proposed rule as being 
    fully consistent with the statutory language, its legislative history 
    and its intended purposes. Further, the AFL-CIO expresses the view that 
    the proposed rule is likely to better inform the regulated community 
    about its obligations under the Act and thereby promote greater 
    compliance among employers, thus reducing government enforcement 
    expense.
        The AFL-CIO found support for its views in the definition of 
    ``employ'' under the FLSA and the Supreme Court's observation that ``a 
    broader or more comprehensive coverage of employee within the stated 
    categories would be difficult to frame.'' 40 The AFL-CIO asserts 
    that as a result of the broad coverage under ``employ,'' it has long 
    been settled that the traditional common law ``control'' tests and 
    principles do not solely determine whether or not a worker is an 
    independent contractor or employee, or whether or not he/she is 
    employed by one or more employers.
    ---------------------------------------------------------------------------
    
        \40\ U.S. v. Rosenwasser, 323 U.S. 360, 362 (1945).
    ---------------------------------------------------------------------------
    
        The AFL-CIO further emphasizes that Congress intended to capture 
    the broad scope of the FLSA coverage when it enacted MSPA. The AFL-CIO 
    cites the legislative history which shows that joint employment was 
    characterized as the ``central foundation'' of the Act and should not 
    be decided by common law principles.
        The AFL-CIO agrees with the courts and the Department that the 
    proper analysis in determining employment status is economic dependency 
    based on consideration of the totality of the circumstances, not a 
    mechanically applied checklist of factors. Citing the language in the 
    Committee Report as evidence of the approach which Congress intended 
    (``* * * the absence of evidence on any one or more of the criteria 
    listed does not preclude a finding that an agricultural association or 
    agricultural employer was not a joint employer along with the crew 
    leader.'' 41), the AFL-CIO contends that the proposed rule 
    ``reflects fairly the factors which Congress intended to aid in 
    evaluating whether workers are individual contractors or employees'' 
    and who among the parties are employers. The AFL-CIO also suggests that 
    the Department consider including a brief statement explaining the 
    significance of the factors delineated in the NPRM as a way of bringing 
    greater clarity to the regulations.
    ---------------------------------------------------------------------------
    
        \41\ House Comm. Rept. at 4553.
    ---------------------------------------------------------------------------
    
        The AFL-CIO suggests that the regulation make clear that sufficient 
    control on the part of a putative employer is demonstrated if the 
    putative employer retains the right to establish general parameters 
    within which the work is to occur. They assert that a labor
    
    [[Page 11744]]
    
    intermediary may make all the implementing decisions within those broad 
    parameters but the person establishing those parameters retains 
    sufficient control to be deemed a joint employer. In their view, 
    sufficient control would be established if the putative employer 
    retains the right to dictate the ``place, pace and timing'' of the 
    harvest. A grower places his/her interests in the place, pace and 
    timing of the harvest to maximize profit given market price and other 
    factors in contrast with the FLC and piece-rate workers, whose economic 
    interests are to pick as much and as fast as possible to maximize 
    earnings. The grower thereby may make the worker (and the labor 
    contractor) subservient to--and dependent on--the grower's economic 
    goal of maximizing profit by delaying the harvest or by picking only 
    the best quality of fruit.
        Because the proposed regulation is intended to address a broad 
    range of circumstances, the Department has concluded that any attempt 
    to delineate precisely how each factor is to be applied as suggested by 
    the AFL-CIO in this regard may well have the effect of unduly limiting 
    the factor's application to an inappropriately narrow range of factual 
    circumstances. As the proposed rule makes clear, the statement of the 
    factors is intended to offer guidance and not to be exhaustive, either 
    in the identification of relevant factors or in their application to 
    specific factual circumstances. In appropriate factual circumstances, 
    it may well be appropriate to conclude that the right to determine the 
    place, pace and timing of the work is sufficient to establish control 
    under the joint employer analysis.
    6. Migrant Farmworker Justice Project
        The Migrant Farmworker Justice Project (MFJP) submitted comments on 
    behalf of itself and 33 others, generally supporting the proposed rule. 
    Specifically, MFJP asserts that the proposed rule is necessary to 
    clarify the current regulation to more fully and completely conform to 
    case law cited in the MSPA legislative history and the judicial rulings 
    construing the Act. Further, MFJP contends that the current regulation, 
    particularly the listed factors, has excluded other relevant factors, 
    thereby misleading Wage and Hour compliance investigators and the 
    affected community about the obligations under the Act.
        MFJP also contends that there is ample factual support for the 
    necessity to further refine the joint employment definition to serve 
    the legislative purpose in enacting MSPA in 1983. MFJP asserts that 
    MSPA was intended to shift responsibility to growers from FLCs for many 
    of the important protections under MSPA's predecessor statute, the Farm 
    Labor Contractor Registration Act (FLCRA). FLCRA did not include the 
    joint employer concept but rather placed responsibility on farm labor 
    contractors. MFJP asserts that the Department's incomplete definition 
    of joint employment in the current regulation has undermined that 
    essential Congressional purpose underlying the enactment of MSPA.
        In support of this assertion, MFJP cites the legislative history of 
    MSPA in which Congress found that the FLCRA had ``failed to reverse the 
    historical pattern of abuse and exploitation of migrant and seasonal 
    farm workers'' and that ``a completely new approach must be advanced.'' 
    42 As stated by an original co-sponsor of MSPA, this completely 
    new approach involved placing responsibility for compliance with 
    certain provisions on agricultural employers as well as FLCs:
    ---------------------------------------------------------------------------
    
        \42\ House Comm. Rept. at 4549.
    ---------------------------------------------------------------------------
    
        The [Act] corrects the key weakness of the FLCRA, which held only 
    the farm labor contractor responsible for such abuses and shielded the 
    employer unless he fell within the narrow definition of ``farm labor 
    contractor'' under that Act.
    
    Remarks of Rep. Ford, 128 Cong. Rec. 10456 (daily ed. December 20, 
    1982).43
    ---------------------------------------------------------------------------
    
        \43\ MFJP also cites Monville at 45,252 (''Indeed, the 
    elimination of this shielding effect of recruiter-contractors was 
    one consideration leading to the reformulation and broadening of the 
    definition of the term 'employ' when the [MSPA] was enacted to 
    replace the Farm Labor Contractor Registration Act of 1963.'')
    ---------------------------------------------------------------------------
    
        In addition, MFJP contends that FLCs have proven to be difficult 
    both to regulate and, when found to be in violation, to effectively 
    bring to account. According to MFJP, many FLCs are so devoid of 
    resources that they are unable to satisfy civil money penalty 
    assessments or court judgments awarding monetary damages to aggrieved 
    farmworkers. Additionally, with such a transient population 
    (approximately 20% of the FLC population leaves the industry every year 
    and is replaced by new entrants),44 it is difficult to effectively 
    regulate labor standards if only FLCs are deemed responsible for 
    compliance.
    ---------------------------------------------------------------------------
    
        \44\ This data is based on information from DOL registrations of 
    FLCs.
    ---------------------------------------------------------------------------
    
        MFJP suggests that the proposed joint employment analysis needs 
    further clarification in order to reiterate that joint employment is 
    indicated when two or more employers share responsibility for all or 
    some of the factors set out in the proposed rule. According to MFJP, 
    such shared responsibility tends to indicate that the workers are 
    economically dependent on two employers, such as when a FLC provides 
    the clippers needed to harvest citrus and the agricultural employer/
    association provides the equipment for hauling the fruit and the field 
    sanitation units (See proposed 500.20(h)(5)(iv)(C)). It also tends to 
    demonstrate that the putative employers are not completely 
    disassociated with respect to the employment of an employee. The 
    Department agrees with this point and thus the regulatory language at 
    500.20(h)(5) will be changed to clarify that shared responsibility is 
    an indication of joint employment. 45
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        \45\ See Antenor at 938; but see Aimable at 443 (significant 
    investment in equipment and facilities on the part of both the FLC 
    and the grower does not indicate that the workers are jointly 
    employed by both entities).
    ---------------------------------------------------------------------------
    
    7. United Farm Workers, AFL-CIO, Texas Division
        The United Farm Workers, AFL-CIO, Texas Division (UFW-Texas) 
    submitted comments on behalf of itself and 15 other organizations. The 
    UFW-Texas comments were generally supportive of the proposed rule and 
    many of its statements were consistent with and reflected in the AFL-
    CIO and MFJP comments. However, UFW-Texas also suggests that the 
    factors set out in the proposed rule should be further explained and 
    reformulated to capture the full scope of the cases applying the 
    factors. For example, the proposed factor at Sec. 500.20(h)(4)(iii) 
    states in relevant part: ``[t]he putative employee's investment in 
    equipment or materials required for the task * * *''. UFW-Texas 
    suggests restating the factor in the following language (modifications 
    underlined): ``[t]he putative employee's investment in substantial 
    equipment, materials, and large capital expenditures as compared to 
    that of the putative employer.'' In the alternative, the UFW-Texas 
    proposes that the factors be amended to include citations to cases in 
    which the factors have been applied.
        The Department believes the suggested changes are unnecessary. As 
    stated in the proposed rule, the regulation is intended to summarize 
    the factors applied by the courts and is not intended to be an 
    exhaustive statement of the relevant factors and their applicability in 
    every situation. Under this rule, it would still be necessary for 
    enforcement personnel and courts examining joint employment to refer to 
    the guidance offered by the courts that have applied the factors in 
    joint employment cases. Nothing the
    
    [[Page 11745]]
    
    Department has done in the proposed rule negates this additional level 
    of analysis.
    8. United States Department of Agriculture
        The United States Department of Agriculture (USDA) submitted a 
    number of comments concerning the NPRM. Many of USDA's comments were 
    similar to those submitted by agricultural interests and are fully 
    addressed above.
        USDA made a number of observations regarding FLCs and their 
    relationships with agricultural employers/associations, and offered 
    several comments concerning the regulation in general. USDA suggested 
    that an amended MSPA joint employment regulation is unnecessary and 
    should not be issued. Further, USDA suggested that should a revised 
    joint employment regulation be deemed necessary or advisable, it should 
    be issued as a regulation applicable to all industries under the Fair 
    Labor Standards Act. After careful consideration, the Department 
    concluded that these USDA suggestions could not be accommodated, since 
    joint employment is already defined in the MSPA regulations and that 
    definition is in need of revision.
        USDA also offered specific comments on the NPRM, all of which have 
    been fully considered by the Department. Some of the USDA suggestions 
    have been adopted while others have been rejected, as discussed below.
        USDA, like the comments submitted by NCAE and discussed in detail 
    above, suggested that the NPRM test for economic dependence through an 
    analysis of the listed factors would create a strict liability standard 
    under MSPA and is therefore contrary to the case law and legislative 
    intent. To support this position, USDA offered hypothetical factual 
    patterns which it contended would illustrate strict liability in common 
    agricultural settings. USDA further commented that the Department 
    should focus its enforcement activities on the violating farm labor 
    contractors rather than upon agricultural employers/associations who 
    may or may not have any knowledge or control over contractors' 
    activities. USDA also suggested that the Department should delete the 
    NPRM factors concerning the unskilled nature of the work, work that is 
    integral to the overall business operation of the agricultural 
    employer/association, and work performed on the premises of the 
    agricultural employer/association because these factors are indicative 
    of an independent contractor relationship rather than joint employment. 
    The Department has determined--based on a careful review of the 
    legislative history and case law--that these concerns have been 
    appropriately taken into account, as discussed earlier in this preamble 
    with regard to other commenters. In addition, USDA contended that an 
    economic analysis should be completed pursuant to Executive Order 
    12866. For the reasons stated in the Executive Order section of this 
    preamble, the Department has concluded that such an analysis is not 
    required.
        USDA offered a number of specific recommendations to amend or 
    clarify the NPRM that have been adopted in the Final Rule. The Rule 
    expressly states that the test for joint employment is not a strict 
    liability or per se rule. In the Preamble, examples have been included 
    of hypothetical factual situations involving agricultural employers/
    associations and farm labor contractors in which joint employment is 
    unlikely to be found. The NPRM Factor (A)--concerning the power to 
    control, direct, or supervise the workers or the work--has been amended 
    to clearly state that a reasonable exercise of contract performance 
    oversight by the putative employer would not be sufficient to 
    constitute ``control'' for purposes of joint employment. The NPRM 
    Factor (I)--concerning ``other relevant factors''--has been deleted as 
    being unnecessary and redundant; the regulation's language preceding 
    the list of factors makes it clear that the factors are not an 
    exhaustive list of all relevant considerations in the joint employment 
    analysis. The MSPA regulation on the assessment of civil money 
    penalties (29 CFR 500.143(b)(4)) is being clarified through the 
    addition of a parenthetical illustrating that agricultural employers/
    associations who take reasonable measures to gain farm labor contractor 
    compliance or who offer employment-related benefits to agricultural 
    worker will have these good faith activities considered as mitigating 
    factors in any penalty assessment resulting from a finding of joint 
    employment. The Preamble also explains that where agricultural 
    employers/associations undertake responsibilities solely as a result of 
    a legal obligation unrelated to an employment relationship, those 
    undertakings will not be considered in the joint employment analysis.
    
    IV. Summary and Discussion of Final Rule
    
    A. Joint Employment Standard Under MSPA
    
        The Department is amending the MSPA regulation defining the 
    employment and joint employment relationship in agriculture. Having 
    reviewed this regulation in accordance with Executive Order 12866, the 
    Department recognized the need for a clearer and more complete 
    regulation. The Department announced its intention to update and 
    clarify this MSPA regulation in the regulatory agendas published in the 
    Federal Register (60 FR 23546 (May 8, 1995); 60 FR 59614 (November 28, 
    1995)).
        The current MSPA ``joint employment'' regulation identifies 
    particular factors which should be considered in determining the 
    existence of such relationships in the agricultural context. This 
    Departmental guidance appears to be subject to some misunderstanding in 
    the regulated community and the courts with regard to the legal 
    standards under MSPA and the Fair Labor Standards Act, which contain 
    the identical statutory standard.46 It is the Department's view 
    that the MSPA ``joint employment'' regulation will be strengthened by 
    focusing more closely on the ultimate test for employment and joint 
    employment as established by the federal courts, i.e., ``economic 
    dependence,'' and by further clarifying the multi factor analysis to be 
    used to determine the existence of ``economic dependence'' in the 
    agricultural context. Such a clarified regulation will ensure more 
    consistent application of the FLSA principles of employment and ``joint 
    employment'' under MSPA, and will also ensure the full implementation 
    of the Congressional intent in adopting those principles in MSPA.
    ---------------------------------------------------------------------------
    
        \46\ Compare: Antenor, supra, with Aimable, supra.
    ---------------------------------------------------------------------------
    
        The FLSA defines the term employ as meaning ``to suffer or permit 
    to work'' (29 U.S.C. 203(g)), and the courts have given an expansive 
    interpretation to the statutory definition of employ under the FLSA in 
    order to accomplish the remedial purposes of the Act.47 In 
    accordance with the FLSA's broad definitions and remedial purposes, the 
    traditional common law ``right to control'' test has been rejected in 
    interpreting the FLSA definition of employ. Instead, the test of an 
    employment relationship under the FLSA is ``economic dependence,'' 
    which requires an examination of the relationships among the 
    employee(s) and the putative employer(s) to determine upon whom the 
    employee is economically dependent.48 The determination of 
    economic dependence
    
    [[Page 11746]]
    
    is based upon the ``economic reality'' 49 of all the circumstances 
    and not upon isolated factors or contractual labels.50 Since the 
    ``economic reality'' test was first delineated by the Supreme Court in 
    Rutherford Food, the courts have consistently applied a multi-factor 
    analysis as a means of gauging whether the worker is economically 
    dependent on the putative employer; under this analysis, no single 
    factor is determinative.
    ---------------------------------------------------------------------------
    
        \47\ See Nationwide Mut. Ins. Co. v. Darden, 503 U.S. 318, 326 
    (1992); Rutherford Food at 728-729 (1947); Lauritzen at 1534.
        \48\ See Lauritzen at 1534, 1538; Beliz at 1327; Real at 754.
        \49\ See Rutherford Food at 727, 729; Griffin & Brand at 237.
        \50\ Rutherford Food at 727, 729; Griffin & Brand at 237.
    ---------------------------------------------------------------------------
    
        The joint employment doctrine, which has long been recognized under 
    FLSA case law,51 is defined by the FLSA regulation to mean a 
    condition in which ``[a] single individual may stand in the relation of 
    an employee to two or more employers at the same time'', such a 
    determination depending upon ``all the facts in the particular case.'' 
    (29 CFR 791.2(a)).
    ---------------------------------------------------------------------------
    
        \51\ E.g., Falk v. Brennan, 414 U.S. 190, 195 (1973); Bonnette 
    v. California Health and Welfare Agency, 704 F.2d 1465, 1469 (9th 
    cir. 1983); Griffin & Brand at 237-238.
    ---------------------------------------------------------------------------
    
        Under MSPA, the term employ has the same meaning as that term under 
    the FLSA. 29 U.S.C. 1802(5). Congress enacted this express 
    incorporation of the FLSA definition of employ with the deliberate 
    intention of adopting the FLSA case law defining employment and joint 
    employment. Congress specifically stated that the ``joint employer 
    doctrine'' articulated under the FLSA was to serve as the ``central 
    foundation'' of the MSPA and ``the best means by which to ensure that 
    the purposes of this Act would be fulfilled.'' 52 Congress 
    intended the joint employer doctrine to serve as a vehicle for 
    protecting agricultural employees ``by fixing the responsibility on 
    those who ultimately benefit from their labors--the agricultural 
    employer.'' 53 In declaring this purpose, Congress cited with 
    approval the joint employment analysis utilized by the court of appeals 
    in Griffin & Brand; thus, that decision should be the benchmark for the 
    analysis in the agricultural setting.54 The multi-factor test, as 
    stated in Griffin & Brand, is largely the same as the Supreme Court's 
    seminal decision in Rutherford Food, although the court of appeals 
    restated some factors to comport more fully and realistically with the 
    unique characteristics of an agricultural operation.
    ---------------------------------------------------------------------------
    
        \52\ House Comm. Rept. at 6-7.
        \53\ 128 Cong. Rec. H26008 (Sept. 1982).
        \54\ House Comm. Rept. at 7
    ---------------------------------------------------------------------------
    
        The current MSPA regulation, promulgated in 1983, sets out a non-
    exclusive list of factors which are appropriately considered in the 
    joint employment analysis. 29 CFR 500.20(h)(4)(ii). The regulation 
    states that the ``* * * determination of whether the employment is to 
    be considered joint employment depends upon all the facts in the 
    particular case.'' 29 CFR 500.20(h)(4)(i). The factors identified in 
    the regulation were not intended by the Department to be a checklist 
    for determining a joint employment relationship; nor were the factors 
    intended to be given greater weight than other relevant factors 
    presented in a particular case or developed in the case law. To the 
    extent that courts and the regulated community may have strayed from 
    the ``economic reality''/''economic dependence'' analysis--by applying 
    the regulation as a rigid checklist, or treating the regulation as an 
    exclusive list which precludes consideration of additional factors 
    (e.g., whether workers' activities are an integral part of a putative 
    employer's operation), or distorting or placing undue emphasis on 
    particular factors (e.g., ``control'' misconstrued as being direct 
    supervision of workers' activities)--the regulation is not only being 
    misinterpreted but is also being applied so as to frustrate the express 
    intention of Congress in enacting MSPA.
    
    B. The Final Rule
    
        In order to resolve any confusion or misunderstanding of the 
    current MSPA regulation and to provide clearer and more complete 
    guidance to the regulated community, the regulation is amended to 
    better delineate the appropriate analysis of the employment and joint 
    employment relationships using ``economic dependence'' as the 
    touchstone, as contemplated by Congress when MSPA was enacted. The 
    regulation also addresses the crucial, initial issue of whether a farm 
    labor contractor is a bona fide independent contractor or an employee 
    of an agricultural association/employer. Where an FLC is actually an 
    employee of the agricultural employer/association, any worker providing 
    services through the FLC is necessarily also an employee of the FLC's 
    employer.
        The Final Rule more clearly enunciates the proper analysis for 
    joint employment, as prescribed in the legislative history and set 
    forth in the case law that has properly focused on economic reality and 
    economic dependence. Further, the regulation provides needed guidance 
    on ``control,'' clarifying that the appropriate inquiry is as to a 
    putative employer's power or right to exercise authority in the 
    workplace, either directly or indirectly; the actual exercise of such 
    power or authority is not necessary. The regulation is further 
    clarified in that the illustrative list of factors eliminates 
    redundancy (e.g., items in the current regulation dealing with aspects 
    of control are consolidated) and provides more complete guidance as to 
    appropriate consideration of factors.
    
    C. Changes Made in the NPRM Regulatory Text
    
        Section 500.20(h)(5) in the NPRM has been changed to clarify that 
    shared responsibility on the parts of putative employers is an 
    indication of joint employment.
        Section 500.20(h)(5)(iv) in the NPRM has been changed to clarify 
    that this regulation is not intended to create a strict liability or 
    per se standard of joint employment liability.
        Section 500.20(h)(5)(iv)(A) in the NPRM is changed to delete the 
    phrase ``and may be either exercised or unexercised.'' The phrase ``and 
    a reasonable degree of oversight of contract performance and 
    coordination with third parties'' has been added to this factor.
        Section 500.20(h)(5)(iv)(C) in the NPRM has been deleted and its 
    contents have been incorporated into new factor (G).
        Section 500.20(h)(5)(iv)(G) (factor (H) in the NPRM) has been 
    amended to change ``normally'' to ``commonly'' and ``maintaining'' to 
    ``preparing and/or making.'' Factor (C) in the NPRM has been 
    incorporated in this factor along with the phrase ``taking into account 
    the amount of the investment.''
        Section 500.20(h)(5)(iv)(I) in the NPRM has been eliminated.
        Section 500.143(b)(4) of the current regulation (29 CFR 
    500.143(b)(4)) has been amended to add examples of good faith efforts 
    to comply with the Act by agricultural employers/associations.
    
    V. Executive Order 12866/Section 202 of the Unfunded Mandates Reform 
    Act of 1995/Small Business Regulatory Enforcement Fairness Act 1995
    
        The Final Rule is not ``economically significant'' within the 
    meaning of Executive Order 12866, is not a major rule within the 
    meaning of Section 804(2) of the Small Business Regulatory Enforcement 
    Fairness Act, and does not require a section 202 statement under the 
    Unfunded Mandates Reform Act of 1995. This rule simply amends the MSPA 
    regulations to clarify the concepts of employ, employer, employee, and 
    joint employment, which are already contained in the current
    
    [[Page 11747]]
    
    rule. The need for clarification of the current rule is clear, given 
    that the factors listed in the rule are less complete than those 
    applied by the courts and, therefore, require further explanation. 
    Although the Final Rule is simply a clarification of existing concepts, 
    the rule is designed to refocus the analysis of the employment and 
    joint employment doctrines. Therefore, this rule is being treated as a 
    ``significant regulatory action'' within the meaning of section 3(f)(4) 
    of Executive Order 12866. However, no economic analysis is required 
    because the rule will not have an annual effect on the economy of $100 
    million or more or adversely affect in a material way the economy, a 
    sector of the economy, productivity, competition, jobs, the 
    environment, public health or safety, or State, local, or tribal 
    governments or communities. Furthermore, even if this rule were to 
    result in liability which does not already exist for growers in every 
    circumstance in which farm labor contractors are currently assessed 
    back wages or civil money penalties by the Department of Labor, the 
    Department estimates that the maximum resulting impact on growers would 
    be less than $4 million.
        For purposes of the Unfunded Mandates Reform Act of 1995, as well 
    as E.O. 12866, this rule does not include any federal mandate that may 
    result in increased expenditures by either state, local and tribal 
    governments in the aggregate, or by the private sector.
    
    VI. Regulatory Flexibility Analysis
    
        As required by the Regulatory Flexibility Act (``RFA''), 5 U.S.C. 
    601-612 (1982), the Department, in its NPRM, certified that its 
    proposed rule would not have a significant economic impact on a 
    substantial number of small entities. NPRM at 14037. Similarly, this 
    Final Rule will not have a significant economic impact on a substantial 
    number of small entities.
        The Final Rule contains language which is intended to clarify what 
    is meant by the terms employ, employer, employment, and joint 
    employment under MSPA. NCAE and other commenters contend that the 
    Department must conduct a ``final regulatory flexibility analysis'' to 
    be issued with the final rule because of their view that the rule 
    results in strict liability and, thus, imposes new burdens. As 
    addressed more fully above, the rule does not impose strict liability. 
    The rule simply clarifies existing guidance to bring it into line with 
    the legislative history of the MSPA, as well as the judicial rulings 
    which have construed its statutory terms and definitions. This 
    clarification will not, however, substantively change existing rights 
    or obligations or impose any new requirements, burdens or obligations 
    on entities that are covered by the regulation, including small 
    entities.
        In view of the fact that the proposed rule will simply serve to 
    clarify a grower's obligation, not substantively expand or change that 
    obligation, the rule will not have a significant economic impact on a 
    substantial number of small entities. Therefore, no regulatory 
    flexibility analysis is required.
    
    Document Preparation
    
        This document was prepared under the direction and control of Maria 
    Echaveste, Administrator, Wage and Hour Division, Employment Standards 
    Administration, U.S. Department of Labor.
    
    List of Subjects in 29 CFR Part 500
    
        Administrative practice and procedure, Aliens, Housing, Insurance, 
    Intergovernmental relations, Investigations, Migrant labor, 
    Occupational safety and health, Reporting and recordkeeping 
    requirements, Wages.
    
        Signed at Washington, D.C., on this 6th day of March, 1997.
    John R. Fraser,
    Acting Administrator, Wage and Hour Division.
    
        For the reasons set forth above, 29 CFR part 500 is amended as set 
    forth below:
    
    PART 500--MIGRANT AND SEASONAL AGRICULTURAL WORKER PROTECTION
    
        1. The authority citation for Part 500 is revised to read as 
    follows:
    
        Authority: Pub. L. 97-470, 96 Stat. 2583 (29 U.S.C. 1801-1872); 
    Secretary's Order No. 6-84, 49 FR 32473.
    
        2. In Sec. 500.20, paragraph (h)(4) is revised and paragraph (h)(5) 
    is added to read as follows:
    
    
    Sec. 500.20  Definitions.
    
    * * * * *
        (h) * * * 
        (4) The definition of the term employ may include consideration of 
    whether or not an independent contractor or employment relationship 
    exists under the Fair Labor Standards Act. Under MSPA, questions will 
    arise whether or not a farm labor contractor engaged by an agricultural 
    employer/association is a bona fide independent contractor or an 
    employee. Questions also arise whether or not the worker is a bona fide 
    independent contractor or an employee of the farm labor contractor and/
    or the agricultural employer/association. These questions should be 
    resolved in accordance with the factors set out below and the 
    principles articulated by the federal courts in Rutherford Food Corp. 
    v. McComb, 331 U.S. 722 (1947), Real v. Driscoll Strawberry Associates, 
    Inc., 603 F.2d 748 (9th Cir. 1979), Sec'y of Labor, U.S. Dept. of Labor 
    v. Lauritzen, 835 F.2d 1529 (7th Cir. 1987), cert. denied, 488 U.S. 898 
    (1988); Beliz v. McLeod, 765 F.2d 1317 (5th Cir. 1985), and Castillo v. 
    Givens, 704 F.2d 181 (5th Cir.), cert. denied, 464 U.S. 850 (1983). If 
    it is determined that the farm labor contractor is an employee of the 
    agricultural employer/association, the agricultural workers in the farm 
    labor contractor's crew who perform work for the agricultural employer/
    association are deemed to be employees of the agricultural employer/
    association and an inquiry into joint employment is not necessary or 
    appropriate. In determining if the farm labor contractor or worker is 
    an employee or an independent contractor, the ultimate question is the 
    economic reality of the relationship--whether there is economic 
    dependence upon the agricultural employer/association or farm labor 
    contractor, as appropriate. Lauritzen at 1538; Beliz at 1329; Castillo 
    at 192; Real at 756. This determination is based upon an evaluation of 
    all of the circumstances, including the following:
        (i) The nature and degree of the putative employer's control as to 
    the manner in which the work is performed;
        (ii) The putative employee's opportunity for profit or loss 
    depending upon his/her managerial skill;
        (iii) The putative employee's investment in equipment or materials 
    required for the task, or the putative employee's employment of other 
    workers;
        (iv) Whether the services rendered by the putative employee require 
    special skill;
        (v) The degree of permanency and duration of the working 
    relationship;
        (vi) The extent to which the services rendered by the putative 
    employee are an integral part of the putative employer's business.
        (5) The definition of the term employ includes the joint employment 
    principles applicable under the Fair Labor Standards Act. The term 
    joint employment means a condition in which a single individual stands 
    in the relation of an employee to two or more persons at the same time. 
    A determination of whether the employment is to be considered joint 
    employment depends upon all the facts
    
    [[Page 11748]]
    
    in the particular case. If the facts establish that two or more persons 
    are completely disassociated with respect to the employment of a 
    particular employee, a joint employment situation does not exist. When 
    the putative employers share responsibility for activities set out in 
    the following factors or in other relevant facts, this is an indication 
    that the putative employers are not completely disassociated with 
    respect to the employment and that the agricultural worker may be 
    economically dependent on both persons:
        (i) If it is determined that a farm labor contractor is an 
    independent contractor, it still must be determined whether or not the 
    employees of the farm labor contractor are also jointly employed by the 
    agricultural employer/association. Joint employment under the Fair 
    Labor Standards Act is joint employment under the MSPA. Such joint 
    employment relationships, which are common in agriculture, have been 
    addressed both in the legislative history and by the courts.
        (ii) The legislative history of the Act (H. Rep. No. 97-885, 97th 
    Cong., 2d Sess., 1982) states that the legislative purpose in enacting 
    MSPA was ``to reverse the historical pattern of abuse and exploitation 
    of migrant and seasonal farm workers * * *,'' which would only be 
    accomplished by ``advanc[ing] * * * a completely new approach'' (Rept. 
    at 3). Congress's incorporation of the FLSA term employ was undertaken 
    with the deliberate intent of adopting the FLSA joint employer doctrine 
    as the ``central foundation'' of MSPA and ``the best means by which to 
    insure that the purposes of this MSPA would be fulfilled'' (Rept. at 
    6). Further, Congress intended that the joint employer test under MSPA 
    be the formulation as set forth in Hodgson v. Griffin & Brand of 
    McAllen, Inc. 471 F.2d 235 (5th Cir.), cert. denied, 414 U.S. 819 
    (1973) (Rept. at 7). In endorsing Griffin & Brand, Congress stated that 
    this formulation should be controlling in situations ``where an 
    agricultural employer * * * asserts that the agricultural workers in 
    question are the sole employees of an independent contractor/
    crewleader,'' and that the ``decision makes clear that even if a farm 
    labor contractor is found to be a bona fide independent contractor, * * 
    * this status does not as a matter of law negate the possibility that 
    an agricultural employer may be a joint employer * * * of the harvest 
    workers'' together with the farm labor contractor. Further, regarding 
    the joint employer doctrine and the Griffin & Brand formulation, 
    Congress stated that ``the absence of evidence on any of the criteria 
    listed does not preclude a finding that an agricultural association or 
    agricultural employer was a joint employer along with the crewleader'', 
    and that ``it is expected that the special aspects of agricultural 
    employment be kept in mind'' when applying the tests and criteria set 
    forth in the case law and legislative history (Rept. at 8).
        (iii) In determining whether or not an employment relationship 
    exists between the agricultural employer/association and the 
    agricultural worker, the ultimate question to be determined is the 
    economic reality--whether the worker is so economically dependent upon 
    the agricultural employer/association as to be considered its employee.
        (iv) The factors set forth in paragraphs (h)(5)(iv)(A) through (G) 
    of this section are analytical tools to be used in determining the 
    ultimate question of economic dependency. The consideration of each 
    factor, as well as the determination of the ultimate question of 
    economic dependency, is a qualitative rather than quantitative 
    analysis. The factors are not to be applied as a checklist. No one 
    factor will be dispositive of the ultimate question; nor must a 
    majority or particular combination of factors be found for an 
    employment relationship to exist. The analysis as to the existence of 
    an employment relationship is not a strict liability or per se 
    determination under which any agricultural employer/association would 
    be found to be an employer merely by retaining or benefiting from the 
    services of a farm labor contractor. The factors set forth in 
    paragraphs (h)(5)(iv)(A) through (G) of this section are illustrative 
    only and are not intended to be exhaustive; other factors may be 
    significant and, if so, should be considered, depending upon the 
    specific circumstances of the relationship among the parties. How the 
    factors are weighed depends upon all of the facts and circumstances. 
    Among the factors to be considered in determining whether or not an 
    employment relationship exists are:
        (A) Whether the agricultural employer/association has the power, 
    either alone or through control of the farm labor contractor to direct, 
    control, or supervise the worker(s) or the work performed (such control 
    may be either direct or indirect, taking into account the nature of the 
    work performed and a reasonable degree of contract performance 
    oversight and coordination with third parties);
        (B) Whether the agricultural employer/association has the power, 
    either alone or in addition to another employer, directly or 
    indirectly, to hire or fire, modify the employment conditions, or 
    determine the pay rates or the methods of wage payment for the 
    worker(s);
        (C) The degree of permanency and duration of the relationship of 
    the parties, in the context of the agricultural activity at issue;
        (D) The extent to which the services rendered by the worker(s) are 
    repetitive, rote tasks requiring skills which are acquired with 
    relatively little training;
        (E) Whether the activities performed by the worker(s) are an 
    integral part of the overall business operation of the agricultural 
    employer/association;
        (F) Whether the work is performed on the agricultural employer/
    association's premises, rather than on premises owned or controlled by 
    another business entity; and
        (G) Whether the agricultural employer/association undertakes 
    responsibilities in relation to the worker(s) which are commonly 
    performed by employers, such as preparing and/or making payroll 
    records, preparing and/or issuing pay checks, paying FICA taxes, 
    providing workers' compensation insurance, providing field sanitation 
    facilities, housing or transportation, or providing tools and equipment 
    or materials required for the job (taking into account the amount of 
    the investment).
    * * * * *
        3. In Sec. 500.143, paragraph (b)(4) is revised to read as follows:
    
    
    Sec. 500.143  Civil money penalty assessment.
    
    * * * * *
        (b) * * *
        (4) Efforts made in good faith to comply with the Act (such as when 
    a joint employer agricultural employer/association provides employment-
    related benefits which comply with applicable law to agricultural 
    workers, or takes reasonable measures to ensure farm labor contractor 
    compliance with legal obligations);
    * * * * *
    [FR Doc. 97-6036 Filed 3-11-97; 8:45 am]
    BILLING CODE 4510-27-P
    
    
    

Document Information

Effective Date:
4/11/1997
Published:
03/12/1997
Department:
Wage and Hour Division
Entry Type:
Rule
Action:
Final rule.
Document Number:
97-6036
Dates:
This final rule is effective April 11, 1997.
Pages:
11734-11748 (15 pages)
RINs:
1215-AA93: Migrant and Seasonal Agricultural Worker Protection (29 CFR Part 500)
RIN Links:
https://www.federalregister.gov/regulations/1215-AA93/migrant-and-seasonal-agricultural-worker-protection-29-cfr-part-500-
PDF File:
97-6036.pdf
CFR: (2)
29 CFR 500.20
29 CFR 500.143