Why Is The Social Security Administration Trying To Take My Money Away?

Today’s post comes from guest author Roger Moore from Rehm, Bennett & Moore.

I wrote the attached article, When Did I Get My Windfall and Why Is the Social Security Administration Trying to Take It Away? (link is to a PDF) for the January edition of Social Security Forum, a publication of the National Organization of Social Security Claimants’ Representatives. I thought this information would be valuable to a broader audience than just other Social Security Disability lawyers, so I am republishing it on our blog. The Social Security Administration has been reducing benefits to former National Guard members based on an obscure provision, and lately the courts have been overturning these benefit reductions. If you or someone you know has received a notice from the Social Security Administration indicating that the “Windfall Elimination Provision” applies to them, you should read the attached article immediately or contact us for more information. We want to make sure that you receive the maximum benefits that you are entitled to under the law. You can read the article by clicking here: When Did I Get My Windfall and Why Is the Social Security Administration Trying to Take It Away?

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Does the Media Comprehend the Tragedy of Mass Worker Death?

Today’s post comes from guest author Jay Causey from Causey Law Firm.

On March 25, 1911 a fire broke out at the Triangle Shirtwaist factory in New York City.  In 18 minutes 146 garment workers, mostly young women, were dead.  The hideous circumstances of the tragedy – widely depicted by the media with front-page pictures of the corpses of women who had jumped from the building windows to avoid being burned to death – incited a wave of public revulsion that contributed to New York’s enactment of one of the nation’s first workers’ compensation statutes.  This occurred in the so-called “Progressive” era of American political history – now largely a distant memory – when within the next decade the majority of states followed suit.

One hundred years later, similar tragedies in the world-wide garment industry, which feeds U.S. corporations like WalMart, H&M, and Gap, occur with scant media attention other than the possible effect of such disasters on corporate business operations.  In November of 2012, 112 garment workers died in a fire at a Bangladeshi factory producing WalMart clothing. (A manager had reportedly closed an exit gate after the fire alarm sounded, telling workers nothing was wrong and to just keep working.)  In another Bangladeshi factory on January 26, 2013, a fire killed seven garment workers who could not escape due to a blocked exit.

Rather than expressing outrage over these circumstances, U.S. media, including the New York Times, characterized these incidents not as human tragedies, inexcusably occurring in the 21st century industrial world, but as “blows to the Bangladeshi garment industry.”  The fact is that with the globalization of that industry, these Bangladeshi workers are essentially “our” workers, making the clothes Americans wear, sold to us by U.S. corporate behemoths competing to do this at the lowest price possible they think will be acceptable to the American consumer.  The media is complicit in disconnecting these tragedies from our consciousness as intolerable – just as was the sense of our citizenry after Triangle – by focusing it’s reporting on the economic impact to the garment business and blandly parroting the boilerplate disclaimers of responsibility given them by the industry.

The garment corporations could easily afford to ensure their foreign contractors increase workers’ wages and institute workers’ safety measures with a minimal impact on the final price and their bottom line.

These incidents are almost never reported in a way that puts the question to the American consumer as to whether we’d pay a bit more per unit of clothing to ensure the safety of these workers rather than participate in the race to the lowest possible price.  Labor cost as a component of garment retail price is miniscule – one to two percent.  The garment corporations could easily afford to ensure their foreign contractors increase workers’ wages and institute workers’ safety measures with a minimal impact on the final price and their bottom line.

As it turns out, however, when plans were being developed in 2011 to improve fire safety at Bangladeshi factories, those efforts were quashed by WalMart and Gap, who determined that preventing worker deaths from fire would cost too much: “It is not financially feasible for the brands to make such investment.”

Don’t expect to hear much more about all this from the corporate media.

Source:  www.fair.org

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Social Security Disability: Get the evidence you need

Today’s post comes from guest author Roger Moore from Rehm, Bennett & Moore.

Social Security Disability applicants sometimes have trouble getting the evidence needed to demonstrate that they have a disability. PROBLEM 1: You haven’t had regular medical care because you don’t have health insurance. Without regular medical care, it’s difficult to develop a relationship with a doctor that is strong enough that the doctor can complete a report on your health. Even if your disability is very real, proving it in Court can still be a hard thing to do. However, without medical insurance, most doctors won’t see a patient. SOLUTION: In Nebraska there are some free clinics where you can be seen by a doctor even if you cannot afford to pay. To find a free clinic near you, contact your local health department. Anyone planning on applying for Social Security Disability should try to develop a relationship with a doctor by seeking regular medical care as often as possible. PROBLEM 2: Many applicants don’t have the right kinds of conversations with their doctors about their disabilities. Doctors are mainly concerned with your symptoms and how they can help you get well. They aren’t necessarily focused on the kinds of things they’ll need to know to help you with your Social Security Disability claim. To fill out a report for your claim, they’ll need to know exactly how much you can and cannot do. Continue reading

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Partner Matthew Funk To Be On The New York State Trial Lawyers Association Board Of Directors

We congratulate Partner Matthew Funk on his selection as a member of the Board of Directors of the New York State Trial Lawyers Association (NYSTLA). He will be installed to the board at a ceremony on Wednesday, June 26th. Matt has been practicing law since 1999 and became a partner at the firm in 2007. He is currently a member of the NYSTLA’s Legislative Committee, writes for the NYSTLA Decisions program and has lectured on numerous occasions focusing on workers compensation law.

Click here for more information on the installation ceremony and reception and to register to attend.

About The New York State Trial Lawyers Association
The NYSTLA was founded in 1953 by a group of trial lawyers who were concerned that New York had no forum for plaintiffs’ lawyers. Today, the New York State Trial Lawyers Association is a 4,000-member trade association.
NYSTLA assures that the wrongfully injured have full access to the civil justice system. The organization is dedicated to the preservation of the federal and state constitution rights to trial by jury. They fight to see that:
  • injured people are not barred from the civil justice system;
  • wrongdoers are not immunized from liability;
  • juries are free to determine the proper amount of compensation without arbitrary legislative interference; and
  • obstacles are not placed in the way of litigating all meritorious actions.

NYSTLA also supports proposals to increase available insurance. When needed, NYSTLA works at the federal level to assure that our clients’ rights are not limited by Congress. NYSTLA does not hesitate to use the courts to advocate on behalf of consumers.

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NY Company Fined for Noise Violations in the Workplace

Recently, the Occupational Safety and Health Administration (OSHA) announced that a Queens metal products manufacturer was cited and fined more than $108,900. The manufacturer had committed a number of repeat workplace safety violations, including failure to protect workers from exposure to high noise levels.

Our New York City work injury attorneys know that exposure to loud noises at work can have serious consequences for a worker’s hearing. Employers must use caution to ensure that employees are protected in loud workplaces in order to avoid permanent damage. If an employer fails and a worker’s hearing is impacted, a workers compensation claim could be filed.

Too often, we don’t associate hearing loss with trauma. Yet, workplace noise is a leading cause of hearing impairment.

OSHA on Loud Workplaces

The Queens business cited for noise violations is not the only one that has failed to comply with OSHA noise regulations. There are many businesses, including those in the fields of manufacturing, hospitality, mining and construction, that do not comply with the guidelines designed to protect the hearing of workers.

This lack of compliance is tragic since the guidelines are simple and effective. The OSHA guidelines related to noise hazards focus on prevention, mitigation, training and correction of problems. For example, OSHA requires that:

  • Employers institute a hearing conservation program if workers are exposed to 85 decibels or more over the course of their day. This program can include audiometric testing (a hearing test) annually.
  • Employers provide hearing protection devices, such as earplugs, in order to minimize the potential damage to hearing caused by loud noises.
  • Employers use either administrative or engineering noise control methods if the noise level would result in exposure exceeding 90 decibels.

Engineering controls center around making the worksite less noisy. This might include redesigning the workplace so machinery noise is reduced; enclosing the source of the noise; enclosing the worker away from the loudest noise; or purchasing quieter equipment in order to replace the older, louder equipment that is causing the hazard.

In the case of the Queens metal products manufacturer recently cited by OSHA, the company failed to create a hearing conservation program for those workers who were routinely exposed to loud noise levels. Since such a program is required, the company could be held responsible for the failure. This was considered a serious violation, and resulted in a fine of $34,650.

The fines that an employer may be required to pay to OSHA for a failure to comply with noise requirements may serve as a deterrent to encourage change, safer behavior and better safety practices in the future. However, for workers who have already been harmed due to noisy workplaces, the fines that an employer must pay to OSHA as a result of violations of workplace safety laws don’t help to cover their costs or meet their bills.

Those who were injured due to excessive loudness at work, however, can file a workers compensation claim. Such claims are available for any work injury and can cover the costs of medical treatment, as well as the costs of any time that the worker must take away from employment due to health problems incurred on the job.

If you’ve been hurt at work, contact the Law Offices of Pasternack Tilker Ziegler Walsh Stanton & Romano, LLP today for a free evaluation by calling (800) 692-3717.

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Happy Memorial Day!

On tihs Memorial Day, we at Pasternack, Tilker, Ziegler, Walsh, Stanton & Romano LLP honor all Americans who have died while in the military service and we honor all of our courageous men and women in uniform. We take this day to reflect, but also to celebrate the freedom that their sarifice has afforded us.

We wish you a happy and safe Memorial Day.

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Making A Difference In Washington – The Medicare Secondary Payer and Workers’ Compensation Settlement Agreement Act

In addition to helping our clients receive the benefits they are entitled to through the courts and other adversarial means, we are prooud to work with our elected officials to produce legislation that will benefit working people. A few days ago, a bill we support, the Medicare Secondary Payer and Workers’ Compensation Settlement Agreement Act, was formally proposed. We encourage you to call and email your representatives and let them know that you support this law.

The press release with additional background follows:

 

Reps. Reichert and Thompson Introduce Bipartisan Medicare Secondary Payer and Workers’ Compensation Settlement Agreement Act

Washington, D.C. – Today, U.S. Reps. Dave Reichert (R-WA) and Mike Thompson (D-CA) introduced the Medicare Secondary Payer and Workers’ Compensation Settlement Agreement Act, H.R. 1982 into the House of Representatives.

The legislation aims to protect injured workers whose workers’ compensation claims overlap with Medicare coverage. Far too often, these claims are subjected to lengthy and cumbersome reviews by the Centers for Medicare and Medicaid Services (CMS) to determine appropriate set-aside amounts to pay for future medical costs in which Medicare may have an interest. The delays associated with this review place unfair burdens upon the injured party.

“This is a common-sense measure to ensure that hard-working Americans are not left in limbo because of inefficient bureaucratic procedures,” said Rep. Reichert. “Injured workers must have the confidence that their heath care claims will be processed in a fair and timely manner. By introducing this bill, Rep. Thompson and I aim to do just that: protect our hard-working citizens by making sure our systems serve them and their families.”

“The last thing injured workers should have to worry about is if needless bureaucracy is going to prevent their medical bills from being paid,” said Thompson. “This bill will make sure hard working families’ medical claims are processed efficiently and quickly, it will reduce bureaucratic headaches for businesses, and it will save taxpayers money. I will continue working with Congressman Reichert to get this bipartisan bill signed into law.”

Background

The Medicare Secondary Payer and Workers’ Compensation Settlement Agreements Act establishes clear and consistent standards for an administrative process that provides reasonable protections for injured workers and Medicare. It would benefit injured workers, employers and insurers by creating a system of certainty, and allows the settlement process to move forward while eliminating millions of dollars in administrative costs that harm workers, employers and insurers.

The legislation has widespread support from groups such as the American Insurance Association, the American Bar Association, the National Council of Self-Insurers, Property Casualty, Insurers Association of America, UWC-Strategic Services and the Workers Injury Law and Advocacy Group (WILG).

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Five US Airports that Put Employees and Passengers At Risk For Environmental Tobacco Smoke

Today’s post comes from guest author Jon Gelman from Jon Gelman, LLC – Attorney at Law.

Air pollution from secondhand smoke five times higher outside smoking rooms and other designated smoking areas than in smoke-free airports

 

Average air pollution levels from secondhand smoke directly outside designated smoking areas in airports are five times higher than levels in smoke-free airports, according to a study by the Centers for Disease Control and Prevention. The study conducted in five large hub U.S. airports also showed that air pollution levels inside designated smoking areas were 23 times higher than levels in smoke-free airports. In the study, designated smoking areas in airports included restaurants, bars, and ventilated smoking rooms.

Five of the 29 largest airports in the United States allow smoking in designated areas that are accessible to the public. The airports that allow smoking include Hartsfield-Jackson Atlanta International Airport, Washington Dulles International Airport, McCarran International Airport in Las Vegas, Denver International Airport, and Salt Lake City International Airport. More than 110 million passenger boardings—about 15 percent of all U.S. air travel—occurred at these five airports last year.

“The findings in today’s report further confirm that ventilated smoking rooms and designated smoking areas are not effective,” said Tim McAfee, M.D., M.P.H., director of CDC’s Office on Smoking and Health. “Prohibiting smoking in all indoor areas is the only effective way to fully eliminate exposure to secondhand smoke.”

2006 Surgeon General’s Report concluded that there is no risk-free level of exposure to secondhand smoke. Although smoking was banned on all U.S. domestic and international commercial airline flights through a series of federal laws adopted from 1987 to 2000, no federal policy requires airports to be smoke-free.

“Instead of going entirely smoke-free, five airports continue to allow smoking in restaurants, bars or ventilated smoking rooms. However, research shows that separating smokers from nonsmokers, cleaning the air and ventilating buildings cannot fully eliminate secondhand smoke exposure,” said Brian King, Ph.D., an epidemiologist with CDC’s Office on Smoking and Health and co-author of the report. “People who spend time in, pass by, clean, or work near these rooms are at risk of exposure to secondhand smoke.”

Secondhand smoke causes heart disease and lung cancer in nonsmoking adults and is a known cause of sudden infant death syndrome or SIDS, respiratory problems, ear infections, and asthma attacks in infants and children. Even brief exposure to secondhand smoke can trigger acute cardiac events such as heart attack. Cigarette use kills an estimated 443,000 Americans each year, including 46,000 heart disease deaths and 3,400 lung cancer deaths among nonsmokers from exposure to secondhand smoke.

For an online version of this MMWR report, visit http://www.cdc.gov/mmwr.  For quitting assistance, call 1-800-QUIT-NOW (1-800-784-8669) or visit www.smokefree.govExternal Web Site Icon.  Also, visit www.BeTobaccoFree.govExternal Web Site Icon for information on quitting and preventing children from using tobacco. For real stories of people who have quit successfully, visit http://www.cdc.gov/tips. For state-specific tobacco-related data, visit CDC’s State Tobacco Activities Tracking and Evaluation System at http://www.cdc.gov/tobacco/statesystem.

Read More About “Secondhand” Environmental Smoke

Apr 23, 2011
“Secondhand smoke (SHS) exposure causes lung cancer and cardiovascular and respiratory diseases in nonsmoking adults and children, resulting in an estimated 46,000 heart disease deaths and 3,400 lung cancer deaths …
Feb 20, 2008
An Atlantic City NJ casino card dealer employed at the Claridge Hotel who was exposed to second hand tobacco smoke was awarded workers’ compensation benefits. NJ Judge Cosmo Giovinazzi award $150,00 for lost …
Nov 14, 2012
“Secondhand smoke (SHS) exposure causes lung cancer and cardiovascular and respiratory diseases in nonsmoking adults and children, resulting in an estimated 46,000 heart disease deaths and 3,400 lung cancer deaths .
Oct 06, 2011
Lubick (2011) discussed the global health burden of secondhand smoke, and Burton (2011)emphasized a new and alarming consequence of smoking in indoor environments—“thirdhand smoke”—a term first coined in 2006 …

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