Employee
Polygraph Protection Act (EPPA)
What
is EPPA?
On
December 27, 1988, the EPPA became law. This federal polygraph law established
guidelines for polygraph testing and imposed restrictions on most private
employers. The following is a brief summary of the essential elements
of the polygraph law.
Who
is affected by EPPA?
This
legislation only affects commercial businesses. Local, State and Federal
governmental agencies (such as police departments) are not affected by
the law, nor are public agencies, such as a school system or correctional
institution. In addition, there are exemptions in EPPA for some commercial
businesses. These are:
1.
Businesses under contract with the Federal Government involving specified
activities (e.g., counterintelligence work).
2.
Businesses whose primary purpose consists of providing armored car personnel,
personnel involved in the design, or security personnel in facilities
which have a significant impact on the health or safety of any state.
Examples of these facilities would be a nuclear or electric power plant,
public water works, or toxic waste disposal.
3.
Companies which manufacturer, distribute or dispense controlled substances.
How
does EPPA affect businesses which are not exempt?
In
general, businesses cannot request, suggest or require any job applicant
to take a pre-employment polygraph examination. Secondly, businesses can
request a current employee to take a polygraph examination or suggest
to such a person that a polygraph examination be taken, only when specific
conditions have been satisfied. However, the employer cannot require current
employees to take an examination, and if an employee refuses a request
or suggestion, the employer cannot discipline or discharge the employee
based on the refusal to submit to the examination.
What
are the conditions that an employer must meet in order to ask a current
employee to take a polygraph?
The
American Polygraph Association is furnishing the following information,
which it believes is in good faith, and conforms with the Department
of Labor's Regulations relating to polygraph tests for employees.
This information is considered only as a guideline to assist in complying
with the Act and Regulations, and the American Polygraph Association
is disclaiming any liability in connection therewith. Employers should
develop their own forms, using their own company name, and should
also review their final forms through their own legal counsel.
I.
Checklist for the Employer
1.
The incident must be an ongoing, specific investigation.
2.
It must be an identifiable economic loss to the employer.
3. Obtain a copy of the Employer Polygraph Protection Act of 1988.
4. Provide the employee with a written statement that includes: a. identification
of the company and location of employee b. description of the loss or
activity under investigation c. location of the loss d. specific amount
of the loss e. type of economic loss f. how the employee had access to
the loss Note: access alone is not sufficient grounds for polygraph testing
g. what kind of reasonable suspicion there is to suspect the employee
of being involved in the loss
5. The Statement provided to employee MUST be signed by someone other
than the polygraph examiner, who is authorized to legally bind the employee,
and MUST be retained by the employer for at least 3 years.
6. Read the Notice to Examinee to the employee, which should be signed,
timed, dated and witnessed.
7. Provide the employee with 48 hours advanced notice (not counting weekends
or holidays) to the date and time of the scheduled polygraph test.
8. Provide employee with written notice of the date, time and location
of the polygraph test, including written directions if the test is to
be conducted at a location other than at the place of employment.
9. Maintain a statement of adverse actions taken against the employee
following a polygraph test.
10. Conduct an additional interview of employee prior to any adverse action
following a polygraph test.
11. Maintain records of ALL of the above for a minimum of 3 years.
12. Employees may not waive their rights.
13. Police and investigators are not exempt and must comply if they are
conducting an employment related polygraph test, i.e., when conducting
a polygraph test on an internal theft for a missing deposit. Information
about a polygraph provided to the employer by a police officer or investigator
is prohibited under the Act, since employers are not allowed to use, accept
or inquire about the results.
14. There is a $10,000 penalty for EACH violation of the law.
15. Check out the credentials of the polygraph examiner that you use and
verify that the examiner meets EPPA requirements. Never hesitate to ask
for written proof of licensing, liability insurance, etc.
16. Use your company letterhead on all forms you provide to the employee.
Have your corporate attorney review your actions to assure your compliance
of EPPA.
II.
Checklist for the Polygraph Examiner:
1.
Provide the employer with a copy of EPPA guidelines. Do not just try to
explain what has to be done during a phone conversation with the employer.
2. The examiner should not get involved in assisting the employer to determine
who should or should not be tested, or who does or does not have access
or reasonable suspicion.
3. Obtain a copy of the signed statement of advance notice provided to
the employee, along with a copy of the explanation of their rights and
written directions/appointment PRIOR to the Interview. Obtain a photo
I.D. of the employee. RULE OF THUMB: No form, no test! No identification,
no test!
4. Provide the employee with a written explanation of the polygraph test
and procedures. Have it signed by the employee and be sure to include
the date and time it was provided.
5. Read and explain the rights to the employee. Have it signed, dated
and timed.
6. Advise the employee of any taping and/or one-way mirrors.
7. Carry a minimum of $50,000 or equivalent professional liability coverage.
8. Conduct no more than 5 polygraph tests during one calendar day, even
if only 1 test is under EPPA. This includes ALL tests for all employers
and/or lawyers you conducted during the day!
9. Administer no test that is less than 90 minutes in duration.
10. Provide the employee with the polygraph test questions in writing.
Have the employee write out their answers and sign the question sheet
for verification of review.
11. Have an appropriate license, if so required, in the state where the
test is to be conducted.
12. Keep a log of company name, employee name, date and times for all
polygraph tests during the course of a day when 1 test is given under
EPPA.
13. Inform the employee of the results of the test and allow him/her an
opportunity to explain any reactions.
14. Provide any opinion of deception or non-deception in writing.
15. Results must only be based on the polygraph test results, and should
NOT be based on behavior.
16. Do not include any information not relevant to the original purpose
of the test to the employer.
17. Keep a copy of ALL reports, notes and records for a minimum of 3 years.
18. Provide a copy of charts, questions and reports to the employee upon
request.
19. Provide a copy of charts, questions and reports to the employer when
results are deceptive.
20. Provide the Department of Labor with copies of the same, within 72
hours, upon request of the Secretary of DOL, or other authorized person
of DOL.
III.
Pre-employment Testing under EPPA
For
pre-employment testing under EPPA, refer to the Act for exemptions. Even
though an employer may be exempt and able to use pre-employment polygraph
testing, the guidelines under EPPA still apply. Follow the Checklist for
both the employer and examiner use, omitting the step for preparation
of the employer's statement with respect to an ongoing investigation,
which would apply for specific testing only. ALL OTHER GUIDELINES WILL
APPLY.
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