Contributed By NIUS
In Italy, the occurrence ‒ or merely the reporting (through whistle-blowing channels or otherwise) ‒ of an event involving conduct contrary to the law and/or company rules of conduct would give rise to the launch of an HR internal investigation. In some cases, such conduct may be detected even if carried out off company premises (ie, unlawful or criminal conduct committed outside the workplace but impacting the contractual relationship). A bank or supermarket cashier arrested for theft or fraud against third parties, an employee caught using drugs outside working hours, or instances of sexual assault are examples of the many such cases that are extensively documented in Italian case law ‒ underscoring the need to assess each case with specific attention, as it differs from any other.
In the Italian legal system, there are various ways to conduct internal investigations in the context of personnel management – not all of which are regulated by law. Their implementation depends on the specific case and the type of conduct to be verified, as well as on the particular judicial protection needs that may concern the employer.
These channels can also interact with one another – meaning that, during an investigation, the method of verification can be adjusted based on the specific case. Throughout any of these processes, a company may choose to engage external professionals with specific investigative expertise (eg, private investigators or forensic and technological consulting firms), provided they are employed in compliance with privacy regulations. In the case of investigative agencies, they must also possess the proper authorisations issued by the Ministry of the Interior.
It is particularly important to note that, in Italy, the regularity of the investigative process can directly affect the legitimacy of any resulting dismissal measures. This, in turn, can have significant financial consequences for the company or employer.
In general, then, the regulations are therefore derived indirectly through the limits placed by labour law (Law No 300/1970 (the “Italian Workers’ Statute”), special laws – especially on safety matters – and collective agreements), in particular – as well as by privacy law, criminal law and criminal procedural law.
In Italy, there is no obligation for employees to report through a specific channel. Employees are free to make reports in any manner and the company can decide whether to initiate subsequent investigations.
There is a specific exception concerning the rules on so-called whistle-blowing, which were introduced in 2017 and later reformed in 2023. Specifically, this obligation was provided for by Article 4 of the Whistle-Blowing Decree, which requires companies to activate their own “reporting channels” that guarantee the identity of the reporting person and any other information from which this identity could be inferred – directly or indirectly – may not be disclosed without the express consent of the reporting person themselves. Also, this channel must guarantee the confidentiality of the person involved and any person mentioned in the report, as well as the content of the report and its documentation.
Furthermore, the law stipulates that the activation of these internal channels must take place with the involvement of trade union organisations (this is purely informative involvement, for the sole purpose of the company potentially obtaining opinions from these organisations). Within this channel, reports can be made in two ways at the employer’s choice: in writing (preferred) or orally (through telephone lines, through voice-messaging systems, or through face-to-face meetings).
The Whistle-Blowing Decree provides that the management of the report must be entrusted to a person, internal or external to the administration, or to a dedicated office – both of which must have autonomy. “Autonomy”, in this case, entails:
In other words, the person in charge must possess operational and evaluative autonomy. A case where the investigation does not result from a report but from direct knowledge of facts committed by one’s own employee is different. In this case, Italian legislation does not expressly stipulate which figures may or may not “play a role” in the management of an internal investigation. It is the employer (the “company”) that is formally the “counterparty” in any internal investigation; in such operations, the company (in the persons of its highest representatives) may operate with the help of whomever it deems most appropriate, which is usually HR offices and managers. In this scenario, external activities are only permitted in the use of private investigation, which is subject to stringent legal regulations and jurisprudential guidelines. In some cases, however, the assessment may require external expertise – including technical or scientific expertise ‒ for which an independent consultant is selected (for both options).
There is no obligation to carry out an HR internal investigation in any circumstances. At most, as argued in doctrine, there is a legal obligation to consider the option of carrying out an internal investigation (following knowledge of news/events relevant thereto). This could be considered an obligation only in the event that the company receives information through the mandatory reporting channels, given that Article 5 of the Whistle-Blowing Decree provides that the company must “diligently follow up” on reports received.
In any case, and regardless of the referenced regulation, it is important to also consider the Italian rules on corporate criminal liability ‒ ie, whenever a company becomes aware of potentially criminal conduct, it is advisable to conduct internal investigations or full audits to ascertain the facts, identify risk areas and responsible parties, and adopt the most effective legal, HR and organisational measures. This approach aims to mitigate the company’s liability and economic risks (and even personal risks for executives and the board).
There is no specific regulation prohibiting certain circumstances under which investigations cannot be initiated, except for the special provision in Article 8 of the Italian Workers’ Statute that prohibits any kind of investigation – including by third parties ‒ into workers’ political, religious, or trade union opinions, as well as into any other matters that are not relevant in assessing the worker’s professional aptitude. It should be also noted that, in the event that the competent authorities are investigating the same facts, the company must not take any action that could interfere with the same and must comply with the prescriptions that it will eventually receive.
A very particular case concerns the possible involvement of judiciary in the event of criminal offences: in such circumstances, the investigation of criminally relevant facts falls under the jurisdiction of the competent public prosecutor’s office (Procura della Repubblica) (see 8.5 Criminal Cases). The company must taken action (the so-called self-cleaning measures) to prevent the continuation of the offence and ascertain the facts that are immediately discernible to it, while remaining autonomous in taking disciplinary action against the employee involved.
An employer’s decision as to whether to go ahead with an HR internal investigation in cases where an investigation is neither obligatory nor prohibited usually depends on matters of business expediency and is determined on a case-by-case basis. More specifically, in all cases where an investigation is not formally mandatory, the employer could be indirectly obliged to conduct one in order to avoid violating the provisions set forth in Article 2087 of the Italian Civil Code (which requires the employer to adopt all necessary measures to safeguard the physical integrity and psychological well-being of employees) and Legislative Decree 81/2008 (the “Decree on Workplace Safety”), which regulates health and safety in the workplace. This applies even in cases where companies have adopted the so-called 231 Model. In any case, it is a matter of prudence to prevent a known but unverified fact from becoming internally accepted, as this could result in the inability to sanction the employee responsible and even in executives being held liable for negligence due to their failure to act.
Article 5 of the Whistle-Blowing Decree requires that an acknowledgement of receipt of the report be issued to the reporting person within seven days from the date of receipt. All this happens completely anonymously. In the event that the information is received outside the objective and subjective boundaries of the whistle-blowing regulation, the reporter has no right to receive feedback regarding the report.
In support of the reported person and their right of defence, Article 12(9) of the Whistle-Blowing Decree also recognises that such a person may be informed or be heard – at their request – by means of a paper procedure through the acquisition of written observations and documents. However, the legislation does not recognise the right of the reported person to always be informed of the report concerning them. This right is only guaranteed in the event that the internal investigation ends and, eventually, the reported person will be notified of certain charges of conduct by a letter of formal disciplinary complaint – to which, the reported may respond defending themselves in accordance with the law and the collective agreement.
The Italian legal system lacks a rule regulating possible co-operation with the authorities and the channels of communication with them, as well as incentives for carrying out internal investigations and for uncovering offences. So, employers generally do not have a general obligation to report criminal acts to the authorities unless they are considered public officials or people in charge of a public service. However, certain criminal acts (eg, corruption, bribery, or money laundering or fraud against the state) may require mandatory reporting under specific circumstances, particularly in regulated industries or where public resources are involved. The issue is discussed in more detail in 8.5 Criminal Cases.
In Italy, the legal system is primarily concerned with ensuring the confidentiality of the whistle-blower and protecting them. However, there are no limitations on confidentiality through non-disclosure agreements (NDAs). The issue, in this regard, mainly concerns the production of statements in court and their use during the investigation process. The parties may legally undertake to do so but, regardless of such a confidentiality agreement, then may be required to abstain from such undertakings by the competent authorities in cases provided for by law.
In any case, parties are not typically asked to sign confidentiality agreements and/or NDAs covering an HR internal investigation. If there is no agreement to this effect, the employer may still demand the secrecy of internally shared information by virtue of the employees’ duties of diligence, obedience and loyalty (pursuant to Articles 2104 and 2105 of the Italian Civil Code). However, it must be borne in mind that waivers and settlements – in whole or in part ‒ that have as their object the rights and protections provided for in the decree are not valid, unless they are made in the form and manner provided for in Article 2113(4) of the Italian Civil Code (in the protected venues, in trade unions, or before the judicial authorities).
Where confidentiality has been the subject of an express legal undertaking, such conduct could be the subject of a possible legal challenge between the parties but would certainly constitute conduct that could be challenged from a labour law point of view. In the event that confidentiality was not the subject of an express agreement, such conduct can only be challenged from a labour law point of view (under the above-mentioned duties).
In Italy, it is possible to conduct a preliminary investigation to determine whether a full HR internal investigation is warranted. However, it is important to be very cautious, as there is a real risk of information leaks or “contaminating” the evidence.
Nonetheless, there is no legal prohibition or formal procedure by law. It is an internal evaluation and a matter of common sense based on the principle of evidence/clue; where there is a risk or perception of an issue, the legal need for an investigation and its type can be assessed. In any case, owing to the lack of regulation, the employer may operate as it sees fit. It is worth considering that under Italian law – again, given that internal investigations and their requirements are not regulated ‒ potential preliminary internal investigations would hardly, from a logical point of view, be distinguishable from actual and complete internal investigations.
Typically, whistle-blowers and employees (or external collaborators) who are potentially aware of the facts are interviewed in the course of an HR internal investigation in Italy. Where the activities concern behaviour by an employee that does not have any corporate or criminal implications (ie, a simple HR investigation), usually ‒ when it is deemed necessary to hear witnesses –at least two are preferred (if their versions coincide).
In Italy, whether or not there is anything that an employer can do should an interviewee refuse to participate in – or only participates in certain aspects of – the investigation will depend on the specific situation. In the event that investigations prove an employee’s knowledge of the facts, such reticence could potentially be the subject of an independent disciplinary charge against the employee, considering the potential violation of the duties of diligence, loyalty and obedience mentioned in 2.4 Confidentiality Agreements and NDAs. Obviously, it is not possible to suggest a standardised solution in any one particular situation, as any solution should be carefully and cautiously weighed against the facts of the case.
As there is no normative reference in Italy, there are no restrictions on the ways in which interviews can be carried out in HR internal investigations ‒ therefore, interviews may be conducted remotely (eg, via Teams or Zoom). In defensive investigations, it is also possible to record the interview with a video camera and the employee must provide a specific statement to the external lawyer who records it, declaring that what has been stated and recorded exactly matches what they have said and that they are criminally liable. This means that if it emerges that they lied, they would be committing the crime of making false statements to the lawyer, who in that context is considered a public official.
In Italy, practice dictates that interviews are conducted by HR offices and managers, without any restrictions on the number of interviewers. There are no constraints regarding issues of gender, objectivity or seniority, either.
There are no instances in which a neutral third party is required to be present during interviews as a witness in HR internal investigations in Italy.
Interviewees do not have the automatic right to be accompanied by a support person during an interview as part of an HR internal investigation in Italy. However, in the event that the internal investigation concerns potentially criminal facts, the employee should be reminded regarding their right to refrain from testifying on circumstances involving their own involvement and the employee will certainly not be obliged to answer when the integrity of the privilege against self-incrimination is at risk.
This is not the case at the venue for disciplinary justifications after an employee has received a disciplinary letter; there, the employee can be accompanied by a union representative (if the challenged employee so requests). If the person is “accused” of a certain conduct punishable under labour law, then – after receiving a disciplinary notice – they can ask (and the employer cannot deny it) to present their justification in the presence of a union representative appointed by themselves.
Interviewees have no automatic right to be accompanied by a lawyer during an interview in an HR internal investigation in Italy. The company can always conduct the investigations through a lawyer. The employee does not have this right and, therefore, the company can refuse the presence of an external lawyer.
Given that there is no normative reference in Italy, there is no information that interviewers are required to provide to interviewees at the start and/or the end of an interview in an HR internal investigation (with the exception of the reminder of their right to refrain from testifying on circumstances involving their own involvement where the internal investigation concerns potentially criminal facts, as outlined in 3.6 Support Person).
Owing to the lack of normative reference in Italy, interviewees are free to request that the interview be stopped in an HR internal investigation. Such conduct – as already depicted – can potentially only stand alone (or, rather, in a separate disciplinary procedure) for violation of the duties of diligence, loyalty and obedience mentioned in 2.4 Confidentiality Agreements and NDAs.
It is not necessary to take minutes during an interview as part of an HR internal investigation in Italy, but it can be done. It depends on the type of offence being investigated. In the case of conduct relevant only to labour law, a report may be advisable but, in the event of litigation between the company and the charged employee, the interviewed employee may be called as a witness before the judicial authorities. However, in cases where the employee presents their justification orally (in a disciplinary proceeding) – especially if accompanied by a union representative – it is advisable to prepare a record of the meeting, which will then be signed by the parties involved.
The possibility of recording a witness as part of internal company investigations is a sensitive issue that requires balancing organisational needs with compliance with applicable law ‒ in particular, with regard to privacy, the right to confidentiality, and individual liberties. Generally speaking, a company may record a witness in the context of HR internal investigations, provided that this is proportionate, justified by a legitimate interest, and complies with data protection legislation. However, it is advisable to act transparently, inform the witness whenever possible and adequately protect the data collected. As already explained in 1.2 Legal Bases, it is possible to record an interview in so-called defensive investigations.
Given that HR internal investigations are not regulated in Italy, the methods of investigation are completely unformalised. It remains the case that the modalities chosen in each instance must be carried out in compliance with Italian laws (in particular, labour law, privacy law and criminal procedural law). Article 8 of the Italian Workers’ Statute contains a very stringent rule on this point, prohibiting the employer from carrying out investigations ‒ even by means of third parties ‒ into the employee’s political, religious or trade union opinions, as well as into facts that are not relevant to the assessment of the employee’s professional aptitude.
With regard to the employer’s duty to protect the reporter during an HR internal investigation, the Whistle-Blowing Decree provides that:
There is a lack of protection and guarantee mechanisms for those who are the subject of the report in HR internal investigations, who are unaware of a process that is not managed by third parties but by other corporate units, such as internal auditing. What is certain is that the protection of the whistle-blower is lost if they are found to be liable for libel, slander or defamation. On this assumption, the respondent (who will know the identity of the reporter) may possibly act against the latter by way of compensation for damage to their image and reputation.
Although the two proceedings (internal investigations and disciplinary proceedings) may often travel on the same track, they could well be separated ‒ being potentially autonomous from each other (internal investigations may relate to more situations than those concerning a single employment relationship involved in the specific investigations). Having become aware of any conduct or of any infringement of the law or company regulations, the employer may notify to the employee a disciplinary letter and – in accordance with the formalities laid down by law and by collective bargaining ‒ may then issue a disciplinary sanction. In cases where the accusations are particularly serious and well founded, upon issuing the disciplinary notice, the employer may precautionarily suspend the respondent (who will therefore not be allowed to return to the workplace) pending their justification and the conclusion of the disciplinary procedure.
Employees are protected as described in 4.1 Protection of the Reporter whenever they act as whistle-blowers, facilitators (individuals who assist the whistle-blower in the reporting process, such as colleagues or representatives), and witnesses. In any case, the employer may ‒ pending completion of the investigation ‒ demand such measures as it deems appropriate, such as the precautionary suspension mentioned in 4.3 Measures Against the Respondent (which, in fact, can also be adopted in the case of conduct potentially capable of negatively affecting the safety and protection of the employee population).
There are no specific provisions requiring procedural guarantees that must be put in place or steps that must be followed in HR internal investigations in Italy (with the exception of the reminder of their right to refrain from testifying on circumstances involving their own involvement where the internal investigation concerns potentially criminal facts, as outlined in 3.6 Support Person). It is understood that investigations must be carried out in fairness and good faith (Articles 1175 and 1375 of Italian Civil Code), without discriminatory and/or intimidating attitudes. The purpose of investigations (and this is therefore reflected in the materiality of how they are carried out) must obviously comply with Article 8 of the Italian Workers’ Statute, which prohibits any kind of investigation – including through third parties ‒ into workers’ political, religious, or trade union opinions, as well as into matters that are not relevant in assessing the worker’s professional aptitude.
The employer can and should provide an internal regulation along the lines of the general provisions of the Whistle-Blowing Decree, pursuant to the provisions set forth in the same. The Whistle-Blowing Decree establishes the obligation to implement an internal or external channel for receiving and managing reports concerning violations of national or EU regulations where such violations are detrimental to the company. The legislature aimed to encourage the use of internal channels within the organisation, as they are closer to the source of the issues being reported. Effective prevention and prompt detection of violations, in fact, depend on obtaining relevant information from those closest to the origin of the violations.
Such internal reporting channels must ensure the confidentiality of the identity of the whistle-blower, the person involved, and the person mentioned in the report, as well as the content of the report and the related documentation. The National Anti-Corruption Authority (Autorità Nazionale Anticorruzione, or ANAC) has the power to impose an administrative monetary penalty ranging from EUR10,000 to EUR50,000 when it identifies – within public and private sector entities ‒ the failure to establish reporting channels, the failure to adopt procedures for submitting and managing reports, or the existence of procedures that do not comply with the provisions of Articles 4 and 11 of the Whistle-Blowing Decree (Article 21, paragraph 1, letter b) of the Whistle-Blowing Decree).
In HR internal investigations in Italy, the employer bears the burden of proof, through the offices and the persons responsible for this task. The documentation related to each report must be kept for the necessary time and, under no circumstances, for longer than five years from the date of communication of the final outcome of the reporting procedure.
In cases where the evidence is preparatory to a disciplinary sanction, it must be assumed that ‒ even in the absence of a codified division of the “degree” of proof – the latter must be such as to lead to the incriminated fact being considered as happened.
In Italy, there are no provisions governing when an HR internal investigation may be ended. In any case, it could be argued that the employer may discontinue the investigation when it has established the existence or non-existence of the circumstances underlying the report.
Following an HR internal investigation in Italy, the employer is obliged to inform the reporting person of the outcome of their report, including whether the report has been dismissed or whether it has been determined to be well-founded and eventually forwarded to the competent authorities. The Whistle-Blowing Decree provides that acknowledgement must be provided to the reporting person within three months from the date of the acknowledgement of receipt or, in the absence of such notice, within three months from the expiry of the seven-day period from the submission of the report.
However, this deadline is not peremptory. In fact, it may be that some investigations and analyses require more time. In this case, the reply to the reporting person takes on an interlocutory character and is aimed at informing them of the stage of progress of the investigation by the employer and/or of the activities the latter intends to carry out.
In Italy, there are no rules governing the form that the conclusion of an HR internal investigation must take.
Since there is no normative reference in Italy, any written reports that are used are completely unformalised. They tend to take into account the information and investigation steps carried out in chronological order, in conjunction with the evidence collected.
As mentioned in 6.2 Procedure for Ending an HR Internal Investigation, the whistle-blower has the right to receive information on the outcome of the investigations carried out in relation to their report. The reported person, on the other hand, has the right to receive the information as part of any disciplinary proceedings initiated against them following the conclusion of the verification and analysis of the report and in the event that such proceedings are based in whole or in part on the report. Access to this information, of course, must be granted while respecting the privacy of the person making the report and of persons other than the reported person who are nonetheless implicated in so far as they are mentioned in the report.
In Italy, there are no rules from which an obligation to communicate the results of HR internal investigations to public authorities can be derived, except as mentioned in 8.5 Criminal Cases regarding facts of a criminal nature. It remains understood that the results of internal investigations could constitute information that, pursuant to specific legislative provisions, may result in a mandatory reporting obligation.
In Italy, the only person who is always guaranteed to be informed of the closure of an HR internal investigation is the reporter. The respondent, on the other hand, will receive it only in the event that it lays the basis for a subsequent disciplinary or judicial proceeding or when the defamatory nature of the accusations made against them has been established. In all other cases, the respondent may be informed only at the employer’s discretion (but does not have a right in this regard) and provided that the confidentiality of the individuals involved is respected.
The type of disciplinary sanction that the employer may impose on the employee depends on the type of conduct complained of and what the collective agreement applicable to the employment relationship (and, of course, the law and civil code) provides for on that point. Such a disciplinary dispute must first and foremost respect the principle of “timeliness” ‒ by virtue of which, an employer wishing to challenge unlawful conduct by an employee must do so without delay, in the shortest possible time. Therefore, this temporal consideration should be taken into account from the day on which the employer has completed the investigation of the relevant contested conducts. Generally, disciplinary sanctions range from a warning, a fine of a maximum of three hours’ pay, or suspension from work and pay (for the maximum days provided for by the collective agreement applied to the employment relationship), to dismissal with notice and ‒ in the most severe cases ‒ without notice.
At the conclusion of the investigation, if the employer identifies behaviour attributable to the employee that warrants disciplinary action, this must be formally communicated through a disciplinary notice. The employer cannot directly impose a disciplinary sanction. Italian legislation (specifically, the Italian Workers’ Statute) establishes the worker’s inalienable right to defence, which allows the employee to respond to the disciplinary notice and present their justifications (eventually with the assistance and presence of a union representative). Only after the worker has provided their justifications (or after the expiration of the deadline for submitting them), can the employer legitimately impose the disciplinary sanction deemed most appropriate, taking into account the justification provided by the employee.
In the context of Italian corporate practices, organisational measures such as team-building or mediation are not commonly adopted. In some instances, regardless of the validity of the allegations, the employer may take specific actions to preserve the well-being of the work environment – for example, by implementing a transfer deemed necessary owing to organisational incompatibility or by taking appropriate measures to mitigate work-related stress risks, whenever the information (whether verified or unverifiable) suggests such actions.
The employer’s failure to take appropriate action, even in the face of unsubstantiated facts, could potentially expose them to future claims for violating the provisions of Article 2087 of the Italian Civil Code. As will be further elaborated in 8.2 Sexual Harassment and/or Violence and 8.4 Bullying and/or Mobbing, this provision establishes that employers must take all necessary measures to protect the physical integrity and psychological well-being of the employee. The occurrence of damage (moral, existential, and/or biological) resulting from the failure to comply with this legal provision entails the obligation to provide compensation for such damage.
The employer is authorised to collect personal data for the purpose of an HR internal investigation under the following conditions. To ensure the right to personal data protection for whistle-blowers or reporting individuals, the legislature has established that the acquisition and management of reports, public disclosures, or complaints (including communications between competent authorities) must comply with data protection regulations ‒ in particular, Regulation (EU) 2016/679 (the “EU General Data Protection Regulation”, or GDPR) and Legislative Decree No 196 of 30 June 2003. Any exchange and transmission of information involving the processing of personal data by EU institutions and/or authorities must also comply with Regulation (EU) 2018/1725. Data protection must be ensured not only for the whistle-blower or reporting individual but also for other parties whose confidentiality is protected, such as facilitators, involved persons, and individuals mentioned in the report, as they are considered “data subjects” under data protection regulations.
Data controllers, data processors, and individuals authorised to process personal data must adhere to several fundamental principles ‒ namely, they must:
With regard to personal data processed in the context of an HR internal investigation, the person involved or mentioned in the report, public disclosure, or complaint may not exercise – for the time and to the extent this constitutes a necessary and proportionate measure – the rights that the GDPR normally grants to data subjects (such as the right to access personal data, the right to rectify it, the right to request its erasure or the so-called right to be forgotten, the right to restrict processing, the right to data portability, and the right to object to processing). Exercising such rights could indeed result in actual and concrete harm to the confidentiality of the whistle-blower’s identity. In such cases, the reported individual or the person mentioned in the report is also precluded from contacting the data controller if they believe that the processing of their data violates these rights and ‒ in the absence of a response from the data controller – from filing a complaint with the Data Protection Authority.
As previously discussed in 1.2 Legal Bases, in the absence of specific legislation on HR internal investigations in Italy, the procedures governing such investigations derive their legal foundation “by subtraction” from other disciplines. These include labour law, criminal procedure and – notably – whistle-blowing regulation, which has been extensively addressed and analysed in the preceding sections.
As noted, the whistle-blowing framework is governed by the Whistle-Blowing Decree and concerns the protection of individuals who provide information that may lead to the investigation, determination, and prosecution of violations of regulations. Therefore, there are no additional specific protections. Where the conditions for applying the provisions of the Whistle-Blowing Decree are met, the individuals involved will benefit from the corresponding rights; otherwise, the ordinary civil law provisions and, where applicable, procedural and criminal law rules, will apply.
In Italy, complaints related to sexual harassment and violence are protected by specific regulations that apply in various contexts, both in the workplace and in society.
Italian laws on discrimination and harassment are extensive and cover various areas, including gender, race, disability, and other protected characteristics. Employers are required to adopt policies and measures to prevent and combat discrimination and harassment, as well as to protect workers who are victims, guaranteeing them the right to protection and assistance.
First, Article 18 of the Italian Workers’ Statute provides the highest level of protection following discriminatory dismissal ‒ the “reinstatement in the workplace”. “Discriminatory” in this context refers to dismissal based on political beliefs or religious faith, membership in a union, or participation in union activities (including the employee’s participation in a strike), as well as reasons related to race, language, gender, disability, age, sexual orientation, or the personal beliefs of the employee.
An employee who has been subjected to discriminatory dismissal is entitled to so-called full reinstatement protection, which obliges the employer to:
The law also equates, in terms of effects, discriminatory dismissal with:
The law protects female workers against dismissals due to marriage or during maternity in order to safeguard the family role of women. Therefore, the dismissal of a female worker is prohibited:
The prohibition of dismissal, from the beginning of leave until the child reaches one year of age, also applies to the working father who takes leave during the first three months following the child’s birth in the absence of the mother (severe infirmity, death, abandonment, or exclusive custody granted to the father). During these periods, dismissal is permitted only in the following cases:
Outside these cases, any dismissal given during the protected period is null and void. Also notable is Law No 903/1977, which prohibits any discrimination based on sex in relation to access to work – regardless of the method of hiring and regardless of the sector or branch of activity – at all levels of the professional hierarchy. Furthermore, the aforementioned Code of Equal Opportunities between Men and Women prohibits discrimination in the workplace based on sex, especially with regard to the protection of pregnant workers or those on maternity leave. It is also worth mentioning Law No 205/1993, which prohibits any form of racial, ethnic, religious, or nationality-based discrimination in the workplace.
Other laws worth citing include:
In the Italian legal system, there is no specific regulation dedicated to the phenomenon of mobbing or bullying. However, several laws that protect workers’ health, safety, and well-being allow the identification of oppressive conduct as previously described, in order to allow protection in such situations.
At the constitutional level, the following provisions can be relevant:
At the level of ordinary law, the following provisions of the Italian Civil Code can be relevant:
Victims of bullying and/or mobbing are also protected by other sources:
In addition, the valuable work of the courts has been instrumental in defining and framing the instances of mobbing through the systemic interpretation of the aforementioned provisions and the general principles underlying the Italian legal system (including those of constitutional rank). Although there is no specific legislation governing the phenomenon of mobbing, it may ‒ in certain cases – constitute the offence outlined in Article 582 of the Italian Criminal Code. This article states that “anyone who causes personal injury to another, resulting in physical or mental illness, shall be punished, upon the complaint of the injured party, with imprisonment from six months to three years”. If conduct occurs within a family setting, the offence is also prosecutable ex officio.
It is theoretically conceivable to establish a potential connection – within the aforementioned terms and, notably, by applying the criterion of objective imputation – between mobbing and an entity’s liability under Legislative Decree No 231/2001 (“Decree 231”). This decree introduced a significant innovation in corporate law, assigning administrative/criminal liability to companies (of any type, size, and activity) for a range of offences committed by their directors, managers, employees, or third-party agents, provided these acts were carried out in the interest or for the benefit of the company and were made possible by shortcomings in the company’s organisational structure. Companies can avoid liability (and the associated sanctions) if they have adopted, before the commission of the offence, an adequate organisational and management model with the characteristics prescribed by the aforementioned Decree 231.
Under Italian law, there is no specific regulation governing co-operation with authorities, communication channels with them, or incentives for conducting internal investigations and uncovering misconduct. So, as mentioned in 2.3 Communication to Authorities, employers generally do not have a general obligation to report criminal acts to the authorities unless they are considered public officials or people in charge of a public service.
Certain criminal acts (eg, corruption, bribery, or money laundering) may require mandatory reporting under specific circumstances, particularly in regulated industries or where public resources are involved. However, even in the absence of a mandatory reporting obligation, an employer might choose to report to avoid being implicated in concealing the crime or failing to address a criminal act.
In any case, if the allegation involves crimes that must be reported (eg, corruption or acts affecting public safety), the employer should file a formal complaint or report (denuncia) with the competent public prosecutor’s office (Procura della Repubblica) or law enforcement authorities (eg, police, Carabinieri). The report should include all relevant information and evidence gathered during the internal investigation, while ensuring compliance with data protection regulations (eg, the GDPR); employers must ensure that the identities of whistle-blowers and others involved are protected in line with the Whistle-Blowing Decree.
The employer may conduct an internal investigation before or alongside reporting to authorities. However, the employer must ensure that the investigation:
If the allegations are confirmed and involve criminal misconduct, the employer must act in accordance with disciplinary procedures. For companies adopting the 231 Model, if the criminal allegations involve offences listed in the 231 catalogue (eg, corruption, money laundering, fraud, and environmental crimes) and there is credible evidence, the company is expected to report the findings to the competent judicial authorities. Reporting is not strictly mandatory under the 231 framework but is crucial to demonstrate the company’s co-operation and good faith in order to mitigate liability.
In Italy, there are no specific legal procedures established for internal investigations involving multiple jurisdictions, but there are principles and regulations that employers must consider ensuring compliance with both local and international laws. In cases involving multiple jurisdictions, employers should ensure they take into account:
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