PREPARATION, IMPLEMENTATION AND MONITORING OF EMPLOYMENT EQUITY PLANS

Notice is hereby given under Section 54 of the Employment Equity Act, 1998, that the Minister of Labour, having been advised by the Commission for Employment Equity, has issued a Code of Good Practice on the preparation, implementation and monitoring of an Employment Equity Plan, as set out in this schedule.

1. Objective

The objective of this code is to provide guidelines of good practice, in terms of the requirements of the Employment Equity Act, 1998 (Act No 55 of 1998) (hereafter referred to as "the Act"), for the preparation and implementation of an employment equity plan (hereafter referred to as "the plan").

2. Legal Framework

2.1) This code is issued in terms of Section 54 of the Act, and relates to Section 20.

2.2) This code does not impose any legal obligations in addition to those in the Act and the failure to observe it does not, by itself, render a designated employer liable in any proceedings, except where the code refers to obligations that are required by the Act.

2.3) When interpreting the Act, any relevant code of good practice must be taken into account 1.

1. Section 3(c) of the Act.

3. Scope

3.1) This code is relevant to all employers that are regarded as designated employers in the Act. 2

3.2) Designated employers and the employees of designated employers should apply the guidelines set out in this code to develop their employment equity plans, taking into account the specific circumstances of their own organisations.

3.3) This code may be read in conjunction with other codes of good practice that may be issued by the Minister of Labour.

2. See the definition of "designated employer" in the Act.

4. Purpose and Rationale for the Plan

4.1) The plan reflects a designated employer's employment equity implementation programme.

4.2) The plan represents the critical link between the current workforce profile and possible barriers in employment policies and procedures. and the implementation of remedial steps to ultimately result in employment equity in the workplace.

5. Structure of the Plan

5.1) The plan may be a separate document or a component of a broader document such as a business plan.

5.2) In terms of the manner in which it is set out, the plan may closely follow the sections of the Act and the relevant items of the Code, or may be organised differently, as long as the statutory requirements in Section 20 of the Act are reflected in the plan.

5.3) The plan should be accessible and structured in such a way that it is easy to understand.

6. Process for Constructing a Plan

6.1) The development of a plan should be undertaken as an inclusive process that will result in a documented plan.

6.2) The process of developing a plan has three sequential phases: planning, development, and implementation and monitoring.

6.3) The planning phase of the process should include--

6.4) In the development phase, in consultation with the identified role players, should include--

6.5) Implementation and monitoring is an ongoing process and should continue to include components of the earlier phases, such as consultation, communication, awareness and training. This phase should include--

7. Planning Phase

7.1) Assignment of senior manager 3

7.1.1) The planning phase should commence with the assignment of one or more senior managers who should have the responsibility for the development, implementation and monitoring of the plan. They should--

7.1.2) The assignment of one or more senior managers implies that--

7.2) Communication, Awareness and Consultation 4

7.2.1) All employees should be made aware and informed of--

7.2.2) Employers are required to consult with regard to conducting an analysis, the preparation and implementation of the plan, and the submission of employment equity reports to the Department of Labour.

7.2.3) To ensure the successful implementation of a plan, employers should make every effort to include employee representatives in all aspects of the plan, especially the planning and development phases.

7.2.4) Managers should be informed of their obligations in terms of the Act, and training should be provided to them where particular skills do not exist. Examples of required training could include diversity management, coaching and mentoring programmes.

7.2.5) The communication of an employment equity strategy should focus on positive outcomes, such as the better utilisation of all of the employer's human resources and the creation of a diverse and more productive workforce.

7.2.6) Communication should also include employees from non-designated groups 5 and focus on the contribution that can be made by them.

7.2.7) Consultation with employees should commence as early as possible in the process.

7.2.8) A consultative forum should be established or an existing forum utilised. The forum should include employee representatives reflecting the interests of employees from both designated and non-designated groups and across all occupational categories and levels of the workforce. Representative trade unions, where these exist, or representatives nominated by such trade unions must be included in the consultation process.

7.2.9) The employer should be represented by one or more members of senior management.

7.2.10) Consultation would include--

7.2.11) To ensure an informed and constructive consultation process, structured and regular meetings of the consultative forum or forums should be held.

7.2.12) The disclosure of relevant information by designated employers is vital for the successful implementation of the plan. Such information could include--

7.2.13) All parties should, in all good faith, keep an open mind throughout the process and seriously consider proposals put forward.

7.2.14) Where a representative body or trade union refuses to take part in the consultation process, the employer should record the circumstances, in writing, including those steps that the employer has taken to communicate and initiate the consultation process. A copy of this document should be provided to the representative body or trade union concerned.

7.3) Conducting an analysis 6

The purpose of the analysis is--

  1. to assess all employment policies, practices, procedures, and the working environment so as to--

    • identify any barriers that may contribute to the under-representation or under-utilisation of employees from the designated groups;
    • identify any barriers or factors that may contribute to the lack of affirmation of diversity in the workplace;
    • identify other employment conditions that may adversely affect designated groups;
    • identify practices or factors that positively promote employment equity and diversity in the workplace; and
  2. to determine the extent of under-representation of employees from the designated groups in the different occupational categories and levels of the employer's workforce.

While the first type of analysis is of a more qualitative and legal nature, the second is mainly a statistical and data processing exercise.

7.3.1) Review of employment policies, practices, procedures, and working environment

A review of all employment policies, practices, procedures, and of the working environment should be undertaken in order to identify any barriers that may be responsible for the under-representation or under-utilisation of employees from designated groups.

  1. The review should include a critical examination of all established policies, practices, procedures and working environment. These would include

    • employment policy or practices, such as recruitment, selection, pre-employment testing, and induction that could be biased, inappropriate, or unaffirming;
    • practices related to succession and experience planning. and related promotions and transfers to establish whether designated groups are excluded or adversely impacted;
    • utilisation and job assignments to establish whether designated groups are able to meaningfully participate and contribute;
    • current training and development methodologies and strategies, including access to training for designated groups;
    • remuneration structures and practices such as equal remuneration for work of equal value;
    • employee benefits related to retirement, risk, and medical aid to establish whether designated groups have equal access;
    • disciplinary practices that may have a disproportionately adverse effect on designated groups and that may not be justified;
    • working conditions that may not accommodate cultural or religious differences, such as the use of traditional healers and observance of religious holidays;
    • the number and nature of dismissals, voluntary terminations and retrenchments of employees from designated groups that may indicate internal or external equity-related factors contributing to such terminations;
    • corporate culture, which may be characterised by exclusionary social and other practices;
    • practices relating to the management of HIV/AIDS in the workplace, to ensure that people living with HIV/AIDS are not discriminated against; and
    • any other practices or conditions that are tabled arising out of the consultative process.

  2. All practices should be assessed in terms of cross-cultural and gender fairness.
  3. The review should take, into account more subtle or indirect forms of discrimination and stereo-typing which could result in certain groups of people not being employed in particular jobs, or which could preclude people from being promoted. Examples would include pregnancy, family responsibility 7, exclusionary social practices, sexual harassment, and religious or cultural beliefs and practices.

7.3.2) Workforce profile

  1. The first step in conducting an analysis of the workforce profile is to establish which employees are members of designated groups. This information should be obtained from employees themselves. either from a declaration as provided for in Regulation 2(1) or from existing and dependable sources. An example of an existing and dependable source would be an employer's database that contains the information required on employment application forms. If such existing records are utilised for this purpose, each employee should have the opportunity to verify or request changes to this information.
  2. An analysis of the workforce profile should provide a comparison of designated groups by occupational categories and levels to relevant demographic data. Form EEA 8 contains some demographic data for this purpose, but there are many other sources of information that could be utilised and might be more relevant.
  3. In addition to the demographics, both the availability of suitably qualified people from designated groups in the relevant recruitment area, as well as the internal skills profile of designated employees. should be taken into account. The relevant recruitment area' is that geographic area from which the employer would reasonably be expected to draw or recruit employees.
  4. Recruitment areas may vary depending upon the level of responsibility and the degree of specialisation of the occupation. Usually, the higher the degree of responsibility or specialisation required for the job, the broader the recruitment area.
  5. The standard occupational classification as defined in form EEA 10 should form the basis for determining occupational categories. Occupational levels could be determined by any of the professional job grading systems (Paterson, Peromnes, Hay, etc.) or their equivalents as detailed in form EEA 9. In the absence of a formal job grading system, designated employers may use equivalent occupational levels as the basis for the workforce analysis.
  6. Sections B and C of the Employment Equity Report as defined by form EEA 2 should guide employers in establishing information requirements to develop a plan, and provide the basis for developing a workforce profile.

3. See section 24 of the Act.
4. See sections 16 and 17 of the Act.
5. See the definition of "designated groups" in the Act.
6. See section 19 of the Act.
7. See the definition of "family responsibility" in the Act.

8. Developing the Plan

8.1) Duration of the plan 8

The duration of the plan should be for a period that will allow the employer to make reasonable progress towards achieving employment equity. This period should be no shorter than one year and no longer than five years. as specified in the Act.

8.2) Broad objectives of the plan

The broad objectives of the plan should be specified and a timetable developed for the fulfilment of each objective. These objectives should--

8.3) Affirmative action measures 9

8.3.1) Affirmative action measures, to address the barriers identified during the analysis, should be developed to improve the under-representation of designated group members. Such measures relate to, but are not limited to the following:

8.3.2) All corrective measures to eliminate any barriers identified during the analysis should be specified in the plan.

8.3.3) The employer is under no obligation to introduce an absolute barrier relating to people who are not from designated groups. for example having a policy of not considering white males at all for promotion or excluding them from applying for vacant positions.

8.4) Numerical goals 11

8.4.1) Numerical goals should be developed for the appointment and promotion of people from designated groups. The purpose of these goals would be to increase the representation of people from designated groups in each occupational category and level in the employer's workforce. where under-representation has been identified and to make the workforce reflective of the relevant demographics as provided for in form EEA 8.

8.4.2) In developing the numerical goals. the following factors should be taken into consideration -

8.5) Consensus

In setting objectives and developing corrective measures, parties to the consultative processes should attempt to reach consensus on what would constitute reasonable progress over the duration of the plan.

8.6) Resources

Resources, including budgets, should be appropriately allocated in order to implement the agreed components of the plan.

8.7) Assignment of responsibility

Responsibility for implementation and monitoring of the plan, as assigned during the planning phase, should be confirmed and noted.

8.8) Dispute Resolution

8.8.1) Internal procedures for resolving any dispute about the interpretation and implementation of the plan should he agreed and specified.

8.8.2) The use of existing dispute resolution procedures should he encouraged provided that they are appropriate, and if necessary adapted to the needs of employment equity.

8.8.3) Alternatively, a mechanism with appropriate representation from employer and employees may be established in order to address and resolve such disputes.

8.9) Communication

8.9.1) The plan should be appropriately and comprehensively communicated to employees. This communication mechanism should indicate the parties responsible for the implementation of the plan and the agreed dispute resolution procedures. Information about the plan should be easily accessible to all levels of employees.

8. See section 20(2)(e) of the Act.
9. See sections 15 and 20(2)(b) of the Act.
10. See the definition of "reasonable accommodation" in the Act.
11. See section 20(2)(c) of the Act.

9. Monitoring and Evaluating the Plan

9.1) Records should be kept to effectively monitor and evaluate the plan.

9.2) Mechanisms to monitor and evaluate the implementation of the plan should be agreed and include benchmarks that would permit assessment of reasonable progress.

9.3) The plan should be evaluated at regular intervals to ensure that reasonable progress is made. This evaluation should be integrated into mechanisms that the employer normally utilises to monitor its operations.

9.4) The consultative forum(s) should continue to meet on a regular basis. and should receive progress reports. Progress should be recorded and communicated to employees. Such meetings should take place at reasonable intervals to ensure feedback and inform the ongoing implementation process.

9.5) The plan should be reviewed and revised, as necessary, through consultation.

9.6) Reporting 12

9.6.1) Larger employers, with 150 or more employees, will be required to submit first reports by 1 June 2000 and thereafter annually on the first working day of October, starting in 2001.

9.6.2) Smaller employers, with fewer than 150 employees, will be required to submit their first reports by 1 December 2000 and thereafter every second year, on the first working day of October, starting in 2002.

9.6.3) The reporting format for employers is contained in the Employment Equity Report as defined in form EEA 2.

9.6.4) Designated employers whose operations extend across different geographical areas, functional units, workplaces or industry sectors may elect to submit either a consolidated or a separate report for each of these. This decision should be made by employers after consultation with the relevant stakeholders.

12. See section 21 of the Act.