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Using tickets in employment standards inspections: Deterrence as effective enforcement in Ontario, Canada?

Published online by Cambridge University Press:  01 January 2023

Rebecca Casey
Affiliation:
York University, Canada
Eric Tucker
Affiliation:
Osgoode Hall Law School, Canada
Leah F Vosko*
Affiliation:
York University, Canada
Andrea M Noack
Affiliation:
Ryerson University, Canada
*
Leah F Vosko, Political Economy of Gender and Work, York University, 618 Kaneff Tower, 4700 Keele Street, Toronto, ON M3J 1P3, Canada. Email: lvosko@yorku.ca
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Abstract

It is widely agreed that there is a crisis in labour/employment standards enforcement. A key issue is the role of deterrence measures that penalise violations. Employment standards enforcement in Ontario, like in most jurisdictions, is based mainly on a compliance framework promoting voluntary resolution of complaints and, if that fails, ordering restitution. Deterrence measures that penalise violations are rarely invoked. However, the Ontario government has recently increased the role of proactive inspections and tickets, a low-level deterrence measure which imposes fines of CAD295 plus victim surcharges. In examining the effectiveness of the use of tickets in inspections, we begin by looking at this development in the broader context of employment standards enforcement and its historical trajectory. Then, using administrative data from the Ministry of Labour, we examine when and why tickets are issued in the course of workplace inspections. After demonstrating that even when ticketable violations are detected, tickets are issued only rarely, we explore factors associated with an increased likelihood of an inspector issuing a ticket. Finally, we consider how the overall deterrent effect of workplace inspections is influenced by the use or non-use of deterrence tools.

Type
Symposium Articles
Copyright
© The Author(s) 2018

Introduction

While we often hear about struggles to raise the minimum wage and other labour standards, the issue of their enforcement receives far less attention. Yet without effective enforcement, improved labour standards will fail to achieve their objective. While this observation is not novel (e.g. Reference BurnsBurns, 1926: 146–147), researchers repeatedly find that labour standards enforcement fails to make workers’ rights real. A recent United States investigation concluded that ‘[w]age laws are poorly enforced, with workers often unable to recover back pay even after government rules in their favor’ (Reference LevineLevine, 2018). Reference Dickens and DickensDickens (2012) found that ‘enforcement in Britain is flawed in that too much reliance is placed on individuals having to assert and pursue their statutory employment rights, which generally require only passive compliance from employers …’ (pp. 206–207). In Australia, Reference HardyHardy (2016) concludes that ‘[t]he compliance and enforcement problems which have been brought to light in the past year are complex, challenging and profound’ (p. 107).

While there is no simple answer to the question of how to strengthen labour standards enforcement, deterrence is generally agreed to play an important role. Yet many studies find that employers are rarely penalised for violating their workers’ rights. In the province of Ontario, Canada, employment standards (ES) enforcement has focused principally on encouraging voluntary compliance and, if that fails, ordering restitution. Deterrence measures that penalise violations are rarely invoked. This approach to the enforcement of protective employment laws has a long history (Reference TuckerTucker, 1990), and many worker advocates and academic researchers have argued that it results in regulatory failure (Reference Bernstein, Tucker, Lippel, Vosko and VoskoBernstein et al., 2006).

The limited role of deterrence measures in Canada is not unique to Ontario. For example, Reference Gesualdi-Fecteau and ValléeGesualdi-Fecteau and Vallée (2016) have found little use of penal provisions in Quebec, while researchers in British Columbia (BC) report that proactive enforcement has been abandoned and that enforcement staff has been reduced by half since 2000/2001 despite a 25% increase in establishments with employees (British Columbia Employment Standards Coalition, 2017).

In this article, we scrutinise the use of tickets in ES enforcement in Ontario. Tickets are a low-level deterrence measure made available to Employment Standards Officers (ESOs) in 2004 when the government amended regulations under the Provincial Offences Act (POA) to make 58 violations of the Employment Standards Act (ESA) ticketable and subject to fines of CAD295 plus victim surcharges. In particular, we focus on the use of tickets in the context of workplace inspections, which is one of two ways in which ESA violations may come to the attention of ESOs, the other way being via individual complaints.

Most enforcement resources in Ontario are dedicated to addressing individual workers’ complaints that their employers have violated their rights. Indeed, this is the principal way in which violations are detected and resolved. Nevertheless, in response to widespread criticism of the limitations of a complaints-based enforcement model, in recent years, the Ontario government increased the role of proactive workplace inspections and introduced a programme of targeted inspections, known as blitzes. This initiative represents a limited but potentially meaningful change in the government’s overall approach to ES enforcement and, therefore, merits scrutiny in order to assess how deterrence measures are used in this particular context.

The analysis begins with a brief discussion of the role of deterrence in ES enforcement and the deterrence measures available under the ESA. It then turns to a detailed empirical examination of the use of tickets in workplace inspections, including the prevalence of tickets, the types of violations that result in tickets, and when and why tickets are used, with a focus on workplaces that have been inspected more than once. We conclude with a discussion of the overall use of tickets in ES enforcement, looking at both the pattern of practice in Ontario and broader questions about the use of low-level deterrence measures in regulatory enforcement systems.

Deterrence in ES enforcement

Approaches to regulatory enforcement are either compliance-focused or deterrence-focused. Compliance-focused approaches prioritise the role of the state in assisting duty holders to meet their legal obligations through education about what those obligations are and how best to meet them. The assumption is that most employers want to comply with the law and that violations are largely the result of ignorance or incompetence. Therefore, the most productive approach to securing compliance is for ESOs to win the trust of employers by demonstrating a non-punitive approach, gently guiding employers onto the right path while ensuring that employees who have been deprived of their statutory entitlements get restitution. In contrast, deterrence-focused approaches assume that much, if not most, wrongdoing is based on a calculation of the costs of compliance relative to the risks of non-compliance. If duty holders believe that there is little risk of violations being detected or that if they are detected the severity of punishment is low, then they will be more likely to violate the law. Therefore, effective enforcement requires the state to change that calculation by increasing the risk of detection and/or the severity of punishment. Such an approach will specifically deter individuals and will also produce general deterrence as knowledge of the government’s approach to enforcement becomes widespread.

Recently, regulators and researchers have recognised that effective enforcement requires a combination of compliance and deterrence. One such model is responsive regulation (Reference Ayres and BraithwaiteAyres and Braithwaite, 1992) which posits that regulators should initially approach duty holders as well-intentioned and provide compliance assistance, resorting to deterrence measures of increasing severity only if compliance or low-level deterrence measures fail. This set of assumptions yields the well-known enforcement pyramid. Although it is expected that deterrence measures will not be needed in most cases, it is vital that they are available and used when necessary. A second, more recent approach is the strategic enforcement model developed by Reference WeilWeil (2008, Reference Weil2010, Reference Weil2014). Weil looks at the contextual factors that increase the likelihood of employer ES violations, including the fissuring of employer responsibility that results in shifting work out of large firms and into environments subject to intense competitive pressures. Strategic enforcement aims to respond to this environment by building on four principles: prioritisation, deterrence, sustainability and systemic effects. Clearly, deterrence plays a larger role in strategic enforcement than in responsive regulation, but in both scenarios, it remains only one element of a broader regulatory approach in which compliance strategies play a role, including working with lead firms to secure their cooperation in achieving compliance by their franchisees, contractors or suppliers.

Despite the differences between these models, they both situate deterrence as an essential element of an effective regulatory enforcement strategy. Yet, in Ontario, relatively few ES violations result in the use of a low-level deterrence measure by an ESO, and higher-level deterrence measures appear to be used only when employers defy the authority of the state by refusing to comply with an order to pay or interfere with an ESO.

Notwithstanding this general finding, it is important to consider how deterrence operates in particular components of the enforcement process. As noted, ES enforcement in Ontario is largely complaint based. Three-quarters of all violations are detected through complaints and much of the Ministry of Labour’s (MOL’s) Employment Standards Program staff and resources are devoted to complaint resolution. Nevertheless, the role of proactive inspections grew steadily after the province’s Auditor General drew attention to the virtual disappearance of workplace inspections in 2004. In more recent years, the MOL has adopted a targeted inspection strategy that seeks to prioritise sectors of the economy or the workforce where it believes that ES violations are more frequent. In light of this shift, a study of the use of deterrence measures and tickets in particular during inspections is warranted.

Before turning to the empirical dimension of the investigation, it is helpful to examine the deterrence tools available in ES enforcement in Ontario. Rather than begin with low-level deterrence tools, for historical reasons, we start by describing the most severe deterrence tool, the criminal law. The architecture of the Canadian constitution draws a very sharp distinction between criminal and regulatory law. This distinction flows from the fact that criminal law is a matter of exclusive federal jurisdiction, and so provinces cannot create criminal penalties for the violation of provincial statutes. Employment regulation is considered a matter of property and civil rights and, therefore, is principally a provincial responsibility; as a result, violations of the ESA cannot be made crimes by the province. However, the federal government may choose to treat some employer misconduct that also involves breaches of provincial statutes as crimes, especially, where there is an element of intentional behaviour. Thus, in 1935, the federal government criminalised the intentional violation of minimum wage laws, a provision that remained on the books until 1954, although for a variety of reasons it was unenforceable (Reference TuckerTucker, 2017).

Provincial laws normally make their violation a regulatory offence. For example, the ESA makes it an offence to contravene the Act or its regulations or to fail to comply with an order or direction issued by an ESO (s. 132). Regulatory offences are strict liability offences in that there is no need to prove intent, only that the law was violated. Individuals are liable to be fined up to CAD50,000 or imprisoned for up to 12 months. Corporations are liable to be fined up to CAD100,000 for a first offence, CAD250,000 for a second offence and CAD500,000 for a third or subsequent offence. There are also provisions allowing directors and officers of corporations to be prosecuted and punished under certain circumstances (ss.136, 137). Prosecutions of this kind are initiated by a formal charge known as an ‘information’, and the procedures to be followed are governed by Part III of the POA.

For many years, Part III prosecutions were the only deterrence tool available to enforce the ESA, yet they were rarely initiated. In addition to the general aversion of enforcement officials to act like police (Reference HawkinsHawkins, 1984; Reference Kagan, Hawkins and ThomasKagan, 1984), Part III prosecutions are time-consuming. ESOs can only recommend prosecutions; the ultimate decision is made by the Legal Services Branch (LSB) of the MOL, acting as Crown. This cumbersome process led regulators to develop lower-level deterrence tools that could be applied with greater ease. In 2000, the government amended the ESA to give ESOs the power to issue a Notice of Contravention (NOC). Section 113 of the ESA provides, ‘If an employment standards officer believes that a person has contravened a provision of this Act, the officer may issue a notice to the person setting out the officer’s belief and the prescribed penalty for that contravention’. Crucially, NOCs may be issued for any contravention of the Act and so are widely available. Ontario Regulation 289/01 sets out the prescribed penalties, which were recently increased: CAD350 for a first contravention, CAD700 for a second contravention and CAD1500 for a third or subsequent contravention. NOCs can be served in a variety of ways, including mail, fax and email (s. 95). An entity served with a NOC is deemed to be guilty and liable to pay the penalty unless they apply to the Ontario Labour Relations Board for a review within 30 days. NOCs are best conceptualised as an administrative penalty, rather than a regulatory offence, since they are not governed by the POA and the judiciary is not involved at any stage.

The second low-level compliance tool, tickets, was created in 2004 by an amendment to Regulation 950 (O. Reg. 162/04) of the POA and aimed ostensibly to protect vulnerable employees in instances of relatively minor offences (Ontario Ministry of Labour, 2004). Violations of specific statutes can be prosecuted by a ‘certificate of offence’ or ticket, under Part I of the POA, a simpler procedure than a Part III prosecution. Importantly, tickets can be issued by ESOs – who are provincial offence officers – but, unlike NOCs, they must be served personally on the accused. ESOs do not need to involve the LSB in the decision to issue a ticket, although the LSB may become involved if the accused contests a ticket. There are currently a total of 58 ticketable ESA violations that can be categorised into three main groupings: administrative violations (such as record-keeping), monetary violations (failure to pay wages or failure to pay vacation pay) and non-monetary substantive violations (hours of work exceeds limit). The amount of the fine is set by the Chief Justice of the Ontario Court of Justice and currently is CAD295. As well, a victim fine surcharge and an administrative fee are added to each fine (O. Reg. 161/00) so that the total payable for each ticket is CAD360.

Theoretically, a NOC could be issued for each ticketable violation. However, the MOL’s Administrative Manual for Employment Standards (AMES; 2017: S. 7.5.7) stipulates that ESOs should issue tickets rather than NOCs, and this is the practice of ESOs (Reference Vosko, Noack and TuckerVosko et al., 2016). In fact, NOCs are used quite infrequently in the context of workplace inspections (Table 1), and for that reason, we focus on the use of tickets.

Table 1. Comparing the use of tickets and Notices of Contravention in workplace inspections and individual complaints.

Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.

Data for complaints are not available for 2015/2016 as complaints take longer to process than inspections. Data on tickets in complaints for 2012/2013 are suppressed due to small counts.

The AMES (S. 7A.2) also states that the objective of prosecution policy for both Part I tickets and Part III prosecutions is to ensure compliance with minimum standards set out in the ESA. It further states that the purpose of prosecution is both specific and general deterrence and that the decision to prosecute should be based on a number of considerations once it has been determined there is sufficient evidence to establish the offence. These considerations include the seriousness or gravity of the offence, the history of compliance, mitigating or aggravating circumstances, the availability of effective alternatives to prosecution, programme identification of targeted contraventions and the necessity of maintaining public confidence in the legislation. The manual elaborates on these considerations (S. 7A.3) and then advises ESOs generally to use tickets for first offenders of less serious offences (S. 7A.4.1).

The use of tickets in workplace inspections

Methods

In examining the use of tickets in workplace inspections, we draw on the Ontario MOL’s Employment Standards Information System (ESIS), a repository of data on Ontario’s ES enforcement that is not otherwise publicly available.Footnote 1 As ESIS was designed for administrative purposes, such as tracking and record-keeping rather than for research purposes, it has not undergone the same quality control and data verification process as survey data from large statistical agencies. However, as a complete record of workplace inspections conducted under the ESA, ESIS data provide key insights into ESA enforcement unavailable from any other source. Our focus is on workplace inspections completed from 2012/2013 to 2015/2016, the most recent fiscalFootnote 2 years for which near-complete data are available. Since we rely on the fiscal year in which an inspection was conducted, these findings may differ from reports issued by the MOL, which typically report tickets using their conviction date.

The scope and types of inspections

Workplace inspections in Ontario focus primarily on 11 standards, which are stipulated in the AMES (Ch. 4, 3):

  • Poster requirements

  • Wage statements

  • Unauthorised deductions

  • Record-keeping

  • Hours of work

  • Eating periods

  • Overtime pay

  • Minimum wage

  • Public holidays

  • Vacation with pay

  • Temporary help agencies charging employees fees and providing information

A full inspection will cover all 11 standards, but sometimes inspections will be limited to a sub-set of them. Other times, albeit rarely, standards outside this list, such as unpaid wages, will also be assessed.

Inspections can be divided conceptually into three main types. The first type is expanded investigations launched when an ESO detects a violation from an individual complaint that is included in the 11 standards that are investigated during an inspection and has reason to believe other employees are affected similarly. Expanded investigations bridge the reactive/proactive divide insofar as they are initiated by a complaint but become proactive by seeking to discover whether non-complaining employees suffered the same violation. The other two types of inspections, blitz and regular inspections, are purely proactive insofar as they are undertaken as part of a planned programme of inspections. Targeted or blitz inspections are initiated by the MOL to investigate a particular sector in which it suspects a high incidence of ES violations. For example, the MOL conducted blitz inspections of Temporary Help Agencies in 2012 and 2015 and of nail salons and fast-food restaurants in the context of the vulnerable workers blitz in 2013. Regular inspections are more random. ESOs select employers for inspection based on regional priorities or individual discretion.Footnote 3

The prevalence of tickets in inspections

Two different measures are useful when examining the prevalence of tickets in workplace inspections. The first considers the number of tickets in relation to the total number of ticketable violations detected and recorded in an inspection. The second considers the number of tickets in relation to the number of inspections that detected and recorded a ticketable violation.Footnote 4 Both measures are important to consider because, as we note below, researchers have investigated the impact of an inspection with a single deterrent measure that is independent of the total number of violations detected.

Table 1 provides data on the use of tickets and NOCs both in workplace inspections and for individual complaints, relative to the number of violations that could be ticketed or subject to a NOC. Foremost, the table shows that ESOs adhere to the MOL’s policy of favouring tickets over NOCs, regardless of whether a violation is detected in an inspection or in a complaint. NOCs and tickets are both used far less frequently in complaints; however, for both complaints and inspections, NOCs are used typically for less than 1% of all violations. Whereas tickets are used slightly more often, they are issued far more frequently for ticketable violations detected in workplace inspections than for those detected in complaints. Reasons for this difference include the possibility that in the context of complaints, ESOs are more focused on dispute resolution than on deterrence. However, the fact that tickets are used much more frequently in the context of inspections than in the context of complaints supports our decision to investigate deterrence practices in workplace inspections separate from complaints.

In 2012/2013, 6% of ticketable violations detected in workplace inspections resulted in tickets, whereas in the three subsequent years for which data are available, this percentage rose to roughly 9%. Table 2 presents data on the prevalence of tickets using the number of inspections as the denominator. It thereby considers the practice of ticketing in relation to the number of inspections with ticketable violations and presents a very different picture; by this measure, the prevalence of ticketing more than doubles ranging between 16% and 22%, although the prevalence of ticketing in 2012/2013 is anomalously low compared to subsequent years. The percentage of inspections with tickets is greater than the percentage of ticketed violations because an ESO may find multiple ticketable violations on an inspection but can choose to only issue tickets for a select number, a practice discussed below.

Table 2. Prevalence of ticketable violations and the use of tickets in workplace inspections, by fiscal year.

Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.

Types of violations resulting in tickets

Although tickets are more commonly issued in the context of workplace inspections than individual complaints, little is known about which types of violations prompt an ESO to issue a ticket. At the most general level, we can compare violations of monetary and non-monetary standards under the ESA. As Figure 1 illustrates, ESOs are more likely to issue tickets for monetary violations of ES compared to non-monetary violations. Whereas between 2013/2014 and 2015/2016, almost a quarter of monetary violations received tickets, during the same period, consistently less than 5% of non-monetary violations were ticketed.

Figure 1. Percentage of ticketable violations which result in tickets.

Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.

To better understand how tickets are used in ES enforcement, it is useful to consider ticketing practices in relation to specific ES violations. Figure 2, which presents data pooled across fiscal years 2012/2013 to 2015/2016, depicts the use of tickets for the following ES monetary violations: overtime pay, minimum wage, public holiday pay, vacation pay, and unpaid wages (the latter violation is not mandated for inspections but is nevertheless assessed occasionally). It also depicts the use of tickets for the following non-monetary ES violations: record-keeping, wage statements, poster/postering, and excess daily or weekly hours of work.

Figure 2. Percentage and number of tickets issued, by violation (2012/2013 to 2015/2016, pooled).

Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.

When violations are detected and recorded in workplace inspections, they typically include multiple ticketable offences. Ticketable offences were categorised into the above monetary and non-monetary violations based on the Employment Standards Act (ESA) sections that were specified in the record.

In terms of absolute numbers, tickets are most commonly issued for overtime pay violations (306 tickets), public holiday pay violations (454 tickets) and record-keeping violations (125 tickets; Figure 2). Among monetary ES violations, tickets are most prevalent when there are violations of minimum wages (31% of detected violations). Tickets for violations of overtime pay are the second most prevalent (27% of detected violations). Finally, ESOs ticket detected unpaid wage violations 21% of the time and detected holiday pay violations 17% of the time, both less often than might be expected.Footnote 5

Overall, ESOs are less likely to ticket non-monetary violations of all sorts than monetary violations. Among non-monetary violations, tickets for record-keeping are most common; still, only 6% of record-keeping violations are ticketed. While it is readily understandable why monetary violations are more frequently ticketed than non-monetary violations, the reasons for differences in ticketing between the various non-monetary violations are less obvious.

We can also consider how ticketing practices are influenced by multiple employment standards violations and by the amount of the entitlement associated with violating a monetary ES. On average, workplace inspections with a higher number of violations are more likely to receive a ticket. In inspections where tickets are issued, the average number of monetary violations detected is twice as large as the average number of monetary violations detected in inspections where no ticket is issued. Additonally, as Table 3 shows, inspections that detect both monetary and non-monetary violations are more likely to be ticketed (32%) than those where only monetary violations are detected (22%) or those where only non-monetary violations are detected (7%). While it is not surprising that tickets are issued less frequently where only non-monetary violations are detected, we did not expect that multiple monetary violations would be less likely to result in a ticket than a combination of monetary and non-monetary violations. One possible explanation is that inspectors perceive that the combination of poor record-keeping and monetary violations creates a high risk of future violations that a ticket might deter.

Table 3. Characteristics of workplace inspections with ticketable violations where tickets are issued, 2012/2013 to 2015/2016 (pooled).

Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.

ES: employment standards; THA: Temporary Help Agencies.

a Industries include agriculture, forestry, fishing, mining, oil, gas, utilities, construction, manufacturing, wholesale trade, transportation and warehousing.

b Industries include finance, insurance, real estate, leasing, professional, scientific and technical services, management, and administrative and other support services.

c Industries include educational services, health care and social assistance, public administration, information, culture and recreation.

Not suprisingly, workplace inspections that detected the need for greater restitution for employees, in terms of the dollar amount of unpaid entitlements, are also more likely to result in a ticket. In workplace inspections where a ticket is issued, the median entitlement amount is CAD1576; in contrast, in workplace inspections where a ticket is not issued, this amount was only CAD591. Such findings suggest that, consistent with deterrence theory, the greater the number and size of confirmed monetary violations, the higher the likelihood of receiving a ticket.

The use of tickets and employer’s industry and size

In general, there appears to be little relationship between an ESO’s decision to issue a ticket and either the industry or company size of the workplace concerned (Table 3). An exception is the accommodation and food services industry, where employers are seemingly ticketed more frequently than in the other listed industries. A strategic enforcement approach (Reference WeilWeil, 2008) suggests that greater use of deterrence measures is required in industries that have a higher incidence of violations; the finding may thereby indicate that this approach is having some influence on ticketing practices in Ontario. However, the fact that small employers are more frequent ES violators (Reference Vosko, Noack and TuckerVosko et al., 2016: 111) but are not more frequently ticketed suggests that the strategic enforcement model is making only limited inroads.

The use of tickets and inspection characteristics

We have indicated that inspections can be divided conceptually into three main types: expanded investigations, targeted or blitz inspections and regular inspections. Here, we consider the use of tickets in each of these types of inspection. Table 3 shows that almost 25% of expanded investigations resulted in a ticket compared to 17% for targeted inspections and 18% for regular inspections. One reason for this discrepancy may be that expanded inspections find monetary violations more frequently than other types of inspections and thus arguably represent a critical tool for bridging the reactive and proactive elements of the province’s ES enforcement regime (Reference Vosko, Noack and TuckerVosko et al., 2016: 7, 107).

Tickets are also more common when an ESO has to make multiple visits during the inspection. Only 7% of inspections where no field visit or only one field visit occurred prompted a ticket. In comparison, half of the inspections where five or more field visits occurred prompted a ticket. Without more information about the reasons why some inspections require multiple field visits, explanations for the increased likelihood of a ticket being issued are necessarily speculative but to the extent that more field visits are required because non-cooperation or poor record-keeping make it more difficult for ESOs to perform their work, ESOs may view such visits as reasons to signal their displeasure by issuing a ticket.

When we examine the incidence of ticketing with respect to audits, not surprisingly we find that tickets are issued more frequently for employers who are required to conduct a self-audit (27%) or who undergo a full audit (25%) than for employers who are subject to a test audit (11%). This is because self-audits are only ordered when test audits find contraventions, and full audits are only required when the employer does not complete the test audit (AMES, S. 4.7.5). The use of self-audits and full audits are likely to indicate that an employer has more extensive ES violations, which may also explain why they are more likely to result in tickets.

The use of tickets in re-inspections

A key question centres on whether or not tickets are more commonly issued in instances of repeat violations on a re-inspection. Both strategic enforcement and responsive regulation approaches emphasise the escalation of deterrence measures for repeat violators. The AMES (S. 4.3, 4.4) states that re-inspections should take place either as part of the Ministry’s programme to monitor levels of compliance or as part of the ESO’s performance plan, which establishes a set number of re-inspections in a fiscal year. In the latter context, ESOs exercise discretion in selecting employers for re-inspection but are advised to strongly consider employers to whom the officer previously issued an order to pay wages or fees in the course of a previous inspection or if the officer found more than one monetary contravention, whether or not any enforcement action was taken. Re-inspections should occur at least 6 months, but no later than 12 months, after the conclusion of the initial inspection. Employers are warned in advance that they will be re-inspected and, indeed, the AMES (S. 4.4) directs ESOs to advise all employers that they may be subject to a re-inspection. Although AMES provides advice about the scope of the re-inspection (normally focusing on the standards found previously to have been violated), nothing is said about the appropriate enforcement action if a repeat violation is detected.

The AMES (S. 4.4) also states that, to ensure continuing compliance with the ESA, 10% of employers are to be re-inspected per fiscal year, although the evidence from Figure 3 indicates that the MOL does not give high priority to re-inspections; the vast majority of employers (93%) were inspected only once from 2012/2013 to 2015/2016.Footnote 6 Among those employers inspected only once, 66% were found to have committed at least one ticketable violation, and ESOs issued tickets in 18% of those inspections. In comparision, among employers inspected more than once, ESOs detected ticketable violations 83% of the time on first inspection, and a ticket was issued in 27% of those inspections. This result is consistent with the AMES recommendation that ESOs should select firms for re-inspection that were previously issued an order to pay or that had more than one monetary violation, regardless of whether previous enforcement action was taken. The fact that an ESO detected a monetary violation or issued a ticket on the first inspection increases the likelihood of that employer being selected for a re-inspection. Employers who were inspected more than once also tended to have higher employee entitlements on their first inspection compared to employers who were only inspected once.

Figure 3. The use of tickets in first inspections or re-inspections, all inspected employers.

The next question is whether ESOs issue tickets more frequently when they detect ticketable violations on a re-inspection. Figure 3 shows us that while 41% of all re-inspected employers had a ticketable violation on subsequent inspection, only 28% of such offenders were issued a ticket. However, in Figure 3, the focus is on all inspections which does not differentiate between employers who only had ticketable violations on their first inspection and those who did not. We turn, therefore, to Figure 4, which presents only those 477 re-inspected employers who had a ticketable violation on their first inspection.

Figure 4. The use of tickets for repeat inspections, employers with ticketable violations in first inspection.

Among the 27% of employers who were issued a ticket on their first inspection, 33% were found to have re-offended on the re-inspection, but only 19% of these employers were issued tickets. However, among the 73% of employers who had a ticketable violation but were not issued a ticket, 42% had violations on their re-inspection, and of these, 31% were issued tickets. These results suggest that receiving a ticket on a first inspection is indeed associated with less likelihood of employers having a ticketable violation on a re-inspection. This finding is consistent with the view that tickets have a specific deterrent effect and reduces the likelihood of a subsequent violation. However, it is also peculiar that ESOs are less likely to issue a ticket to a re-offending employer who did not learn from their first ticket than they are to issue a ticket to a re-offending employer who was not ticketed in the first instance since all enforcement theories indicate that employers who re-offend after receiving a ticket should face escalating penalties, whereas clearly they do not. However, employers who enjoyed the benefit of ESO discretion and were not ticketed on their initial inspection – despite the presence of a ticketable violation – were treated more harshly when they were found to have re-offended on re-inspection, a finding consistent with the recommendations of the various enforcement theories discussed.

Predicting when tickets are issued

To further reveal how different criteria are related to the issuance of tickets in workplace inspections, a logistic regression model is used to examine whether or not an inspection where a ticketable violation is detected and recorded is likely to yield a ticket based on the following criteria: company size, industry, type of inspection, entitlement amount, number of field visits, type of audit completed and fiscal year (see Table 4). The merit of applying this type of model is that it determines the independent effect of each of these characteristics and their relation to whether or not a ticket is issued. The results generally mirror the results from the bivariate analysis presented earlier. As observed previously, company size does not have a substantial effect. Companies that are associated with public or private service industries are slightly less likely to be ticketed compared to companies in the accommodation and food services industry. However, complementing the descriptive findings above, a model of this sort underscores the importance of inspection characteristics (i.e. inspection type, number of field visits, etc.) in predicting when tickets will be issued. As total entitlement amounts increase, there is also an incremential increase in the likelihood of being issued a ticket. However, there is little difference between inspections with entitlement amounts of less than CAD300 and inspections where only non-monetary violations are assessed. Compared to regular inspections, tickets are more likely to be issued in expanded investigations. Similarly, the odds of being issued a ticket increase for each additional field visit by an ESO. For example, the odds of being issued a ticket when five or more field visits take place during an inspection are over nine times higher than when one or fewer field visits take place. Inspections where the employer completed a self-audit or the ESO completed a full audit are also more likely to yield a ticket compared to inspections where the ESO only conducts a test audit.

Table 4. Logistic regression modelling the probability of a workplace inspection yielding a ticket, 2012/2013 to 2015/2016 (pooled).

Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.

THA: Temporary Help Agencies; NAICS: North American Industry Classification System.

a Industries include agriculture, forestry, fishing, mining, oil, gas, utilities, construction, manufacturing, wholesale trade, transportation and warehousing.

b Industries include finance, insurance, real estate, leasing, professional, scientific and technical services, management, and administrative and other support services.

c Industries include educational services, health care and social assistance, public administration, information, culture and recreation.

Discussion

Theoretical perspectives on the use of deterrence measures provide context for understanding these empirical results. First, these findings demonstrate that tickets are used far more frequently in workplace inspections than they are in the investigation of individual complaints; they thus provide a more nuanced picture of the use of deterrence measures in Ontario than was possible in our previous study of deterrence writ large. That said, the prevalence of tickets, at least when measured against detected and recorded ticketable violations, is low – fewer than 1 in 10. As a result, most employers can expect that even if they are inspected and a violation is detected, the most likely consequence is that they will be required to correct the violation, either by paying what they owe in the case of monetary violations or by complying in the future with record-keeping and other similar obligations. From a deterrence perspective, the prevalence of ticketing on inspections is still exceedingly low.

Our results also reveal some more specific patterns in the use of tickets. Detected monetary violations are more likely to be ticketed than non-monetary violations, and, among monetary violations, overtime pay, minimum wage and public holiday pay violations are most likely to result in tickets. Employers with multiple violations, particularly, if there are both monetary and non-monetary violations, are more likely to be ticketed than employers with a single detected violation, and where there is a monetary violation, the likelihood of being ticketed increases with the amount owed. All of these findings are consistent with the deterrence theory perspective that the greater the number and seriousness of violations, the harsher treatment they should receive.

However, there is a serious question as to whether ticketing, no matter its frequency, achieves a deterrent effect. To our knowledge, there has been no previous research into the deterrent effect of tickets in the literature on ES; however, the issue has received more attention in the context of occupational health and safety regulation. In a study of workplace health and safety (WHS) enforcement in Australia, Reference Bluff and JohnstoneBluff and Johnstone (2003) discussed issues arising out of the use of ‘infringement notices’ (equivalent to tickets). They found that such notices may be appropriately used to deal with minor offences particularly if unwitting. But they raised a concern that notices might turn offences into ‘purchasable commodities’ that have little deterrent effect (Reference Bluff and JohnstoneBluff and Johnstone, 2003: 341–342).

In principle, whether or not notices or tickets have a deterrent effect is an empirical question, but one on which there has been limited research. Reference Gunningham, Sinclair and BurrittGunningham et al. (1998: 338–339) interviewed Australian policymakers, inspectors, industry partners and recipients of infringement notices and found that most respondents believed that despite a short-term positive effect on compliance, that improvements were more likely to be sustained if resources were provided for continuing enforcement. Subsequent research on WHS enforcement has tended to confirm that inspections with penalties have strong specific deterrent effects, but limited general deterrent effects. For example, Reference Gray and ScholzGray and Scholz (1993) found while brief inspections without penalties had no injury-reducing effects, those that included even small penalties significantly reduced injuries and lost work days. A recent systematic review of the WHS enforcement literature by Reference Tompa, Kalcevich and FoleyTompa et al. (2016) found strong evidence that inspections involving penalties are effective and moderate-to-limited evidence that those finding wrongdoing but absent penalties are ineffective. The authors concluded that this finding ‘reinforces the importance of regulators being out in the field identifying and citing/penalizing non-compliance’ (Reference Tompa, Kalcevich and FoleyTompa et al., 2016: 929). More recently, Reference Hardy and HoweHardy and Howe (2017) found in the context of ES enforcement in Australia that targeted enforcement campaigns have a modest general deterrence ripple effect and that the size of the penalty is less important.

Our study provides some evidence on the specific deterrent effects of inspections and ticketing in Ontario ES enforcement. Figure 3 shows that of the 573 employers inspected more than once, 477 (83%) had ticketable violations on their first inspection, but only 41% of these employers had ticketable offences on their second. This decrease in the prevalence of ticketable violations on re-inspection suggests that inspections reduce the likelihood that an employer will re-offend in the 6- to 12-month period following the inspection, but it does not tell us about the relative deterrent effect of inspections with and without penalties. Figure 4 enables us to analyse these effects by differentiating between employers who were ticketed on the first inspection and those who were not. Among those employers who had ticketable violations but were not ticketed on their first inspection, 42% were found to have re-offended on re-inspection. By contrast, among employers who were ticketed on their first violation, only 33% were found to have re-offended on a re-inspection. These data suggest that inspections with tickets have a marginally greater deterrent effect than inspections without tickets. However, they also provide evidence that inspections without tickets, coupled with a warning that the employer may be re-inspected, also have a specific deterrent effect, supporting the view that proactive inspections of all kinds should be a prominent part of any enforcement strategy.

When viewed from the perspective of responsive regulation and the enforcement pyramid, a relatively low rate of ticketing on first inspections is justified on the basis that employers with detected violations should be given the benefit of the doubt that their violations were inadvertent. However, that presumption should give way in the face of evidence to the contrary, such as the presence of multiple violations, particularly, those involving large sums of money owing to employees. Our findings suggest that ESOs have incorporated that perspective in regard to ticketing on first inspections. However, as this study and Occupational Health and Safety (OHS) studies demonstrate, such an approach comes at the cost of foregoing the greater specific deterrent effects that inspections with tickets produce.

The pattern of ticketing on re-inspections is more problematic from the pyramid perspective. Employers with a ticketable violation on a re-inspection are not more likely to be ticketed than those who had a ticketable violation on their first inspection. However, when we narrowed the analysis to employers who had a ticketable violation on the first inspection and who re-offended on the second, we found that the enforcement pyramid seemed to apply in regard to employers who were not ticketed in the first instance but that those employers who were ticketed on the first inspection faced a reduced likelihood of being ticketed for a repeat violation.

Perhaps in an attempt to better address the problem of lax treatment of re-offending employers, Ontario conducted an enforcement blitz in 2016, targeting employers with prior ES violations. In announcing the blitz, the government declared that it was adopting a zero-tolerance policy, which presumably indicated that repeat violators would face a penalty. In practice, however, nothing of this sort happened. Of the 104 employers who were re-inspected in the context of the blitz, 77 were found to be in violation again. Yet only 15 NOCs and 27 tickets were issued (Reference MojtehedzadehMojtehedzadeh, 2017; Ontario Ministry of Labour, 2017a, 2017b). Even assuming that no employer received multiple tickets or NOCs, the result is that only 55% of repeat offenders were subject to low-level deterrence measures. Thus, despite the promise of adherence to a strict enforcement pyramid in this blitz, it did not materialise. Finally, from the perspective of strategic enforcement, it is arguable that, as a general matter, the deterrence leg of the strategy is underused. More specifically, although there is some evidence that at least one industry, accommodation and food services (likely to be a site of high levels of violations), is ticketed somewhat more frequently than other industries, the difference is small. As well, small employers, also known as a location of more frequent ES violations, are not more likely to receive tickets. While this practice might be justified in strategic enforcement if there was a targeted effort to engage entities at the top of the supply chain to secure compliance at the bottom, no initiatives of this sort are yet underway in Ontario.

Conclusion

In recent years, the Ontario government has modestly shifted its approach to ES enforcement towards greater use of proactive inspections with tickets when violations are detected. This shift is likely to continue. In 2017, special advisors appointed to conduct the Reference Michael Mitchell and MurrayChanging Workplaces Review (2017) recommended allocating more resources to proactive enforcement, increasing the use of targeted inspections and expanded investigations and increasing penalties for tickets and NOCs. The government embraced the idea of strengthening enforcement and committed to hiring as many as 175 new ESOs by 2021, inspecting 1 in 10 Ontario workplaces annually and better targeting enforcement resources on employers who violate the ESA (Government of Ontario, 2017). However, while it enacted legislation that would permit a flexible schedule of penalties for NOCs, the government did not increase the set fines for tickets (Fair Workplaces, Better Jobs Act, 2017).

Our research broadly supports increased use of proactive inspections with low-level penalties. Of course, we recognise that proactive inspections and deterrence are only one leg of an effective enforcement strategy, but given the long history of compliance-based approaches that minimise the role of proactive enforcement and penalties, often in response to active resistance, our research provides empirical support for maintaining a healthy role for deterrence in the enforcement mix.

Acknowledgements

This article is the product of equal authorship. The authors would like to thank Alan Hall for his helpful comments on an earlier version of this text and Heather Steel for her administrative assistance on various fronts. We are also grateful to SSHRC for its support and to members of the larger research team for their contributions to this larger endeavour.

Funding

The research for this article was funded by a partnership grant, titled ‘Closing the Employment Standards Enforcement Gap: Improving Protections for People in Precarious Jobs’, funded by the Social Sciences and Humanities Research Council of Canada (SSHRC).

Footnotes

1. Access to data from Employment Standards Information System (ESIS) was acquired under a unique data-sharing agreement with the Ministry of Labour (MOL). We are grateful to this Ministry and its staff for engaging in this agreement and for supporting the larger research partnership from which this article emanates. The views set out in this article nevertheless represent those of its authors and do not necessarily represent the views of the Ontario Ministry of Labour.

2. This analysis uses the government fiscal year, which runs from 1st April to 31st March.

3. A smaller number of inspections are classified as ‘other’ inspections: these include re-inspections or inspections of previous Employment Standards (ES) violators, inspections that result from an employer completing the MOL’s online ‘compliance check’ (self-audit) tool or those that are specifically prompted by other Employment Standards Officers (ESOs), regional and district managers, or the staff of the EPB.

4. ESOs conducting inspections may not record every violation they detect. For example, an ESO may inspect a workplace and find that the employer has failed to post a mandatory poster. Rather than record this as a violation, the ESO may simply provide the employer with a poster, which is immediately posted, and continue the inspection. Thus, we stipulate that the violation must be both detected and recorded.

5. The relatively low number of unpaid wage violations and the low use of tickets for these violations may be attributable to the fact that unpaid wages are not 1 of the 11 designated standards that ESOs are required to review in inspections; this is not the case, however, for vacation pay violations.

6. This percentage may understate the actual frequency of repeat inspections as it is possible that an insufficient amount of time lapsed for repeat inspections to be undertaken among those employers inspected in 2015/2016.

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Figure 0

Table 1. Comparing the use of tickets and Notices of Contravention in workplace inspections and individual complaints.

Figure 1

Table 2. Prevalence of ticketable violations and the use of tickets in workplace inspections, by fiscal year.

Figure 2

Figure 1. Percentage of ticketable violations which result in tickets.Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.

Figure 3

Figure 2. Percentage and number of tickets issued, by violation (2012/2013 to 2015/2016, pooled).Source: Employment Standards Information System (ESIS) data 2012/2013 to 2015/2016.When violations are detected and recorded in workplace inspections, they typically include multiple ticketable offences. Ticketable offences were categorised into the above monetary and non-monetary violations based on the Employment Standards Act (ESA) sections that were specified in the record.

Figure 4

Table 3. Characteristics of workplace inspections with ticketable violations where tickets are issued, 2012/2013 to 2015/2016 (pooled).

Figure 5

Figure 3. The use of tickets in first inspections or re-inspections, all inspected employers.

Figure 6

Figure 4. The use of tickets for repeat inspections, employers with ticketable violations in first inspection.

Figure 7

Table 4. Logistic regression modelling the probability of a workplace inspection yielding a ticket, 2012/2013 to 2015/2016 (pooled).