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Jul 26, 2013

Terminated employee’s work-related dishonest constitutes disqualifying misconduct for the purposed of eligibiity for unemployment insurance benefits

Terminated employee’s work-related dishonest constitutes disqualifying misconduct for the purposed of eligibiity for unemployment insurance benefits
2013 NY Slip Op 05499, Appellate Division, Third Department

The claimant for unemployment insurance was terminated from her position because she [1] took a computer cord from the workplace without permission so that she could use it on her personal computer at home and [2] using the employer's company cellular phone for her personal use in violation of the employer's policy, causing the employer to incur additional charges for the excess minutes.

The Unemployment Insurance Appeal Board disqualified her from receiving benefits, holding that the claimant was terminated from her employment for disqualifying misconduct.

The Appellate Division sustained the Board’s determination, noting that "An employee's apparent dishonesty, including the theft of property, has been held to constitute misconduct disqualifying him or her from receiving unemployment.”

Under the circumstances, said the court, substantial evidence exists in the record supporting the Board's ruling that claimant's employment "ended under disqualifying circumstances."

The decision is posted on the Internet at:


A reprimand “to be expunged” from the employee’s personnel record if he or she does not repeat to offense within a specified period of time is not a penalty authorized by law

A reprimand “to be expunged” from the employee’s personnel record if he or she does not repeat to offense within a specified period of time is not a penalty authorized by law
Decisions of the Commissioner of Education, Decision 10933

A §3020-a disciplinary panel found a teacher guilty of insubordination as the result of her refusal to act as a chaperone at a school event. The penalty imposed by the panel: “… a reprimand, to be expunged from (the teacher’s personnel) records if for the next two years there are no further disciplinary problems of a similar nature”.

The District appealed the penalty imposed by the panel to the Commissioner of Education, contending that such a penalty was not authorized by §3020-a of the Education Law.

The Commissioner agreed, finding that although the penalty to be imposed, a reprimand, was authorized by §3020-a, the disciplinary panel lacked any authority to direct the District to later expunge the reprimand from the teacher’s file for “good behavior.” The Commissioner then exercised his authority to impose an appropriate disciplinary penalty on the employee and ruled that a reprimand would be appropriate under the circumstances.

The Attorney General has considered the question of an employer to remove a reprimand from an employee’s personnel file. In Opinion of the Attorney General 81-28, the Attorney General said that an appointing authority that wishes to clear the record of an employee who had in the past misbehaved but who has since performed well should have that option, observing that “public policy is not served by forever blighting the employee’s personnel file.”

Accordingly, although a §3020-a disciplinary panel may not direct the appointing authority to “remove” any reference to the penalty from the individual’s personnel file, the appointing authority, in the exercise of its discretion, may elect to do so.

Presumably the same rationale would be applied with respect to penalties set out in other statutes providing for initiating disciplinary action against an employee for alleged misconduct such as §75 of the Civil Service Law, §155 of the Town Law, §137 of the Second Class Cities Law and §8-804 of the Village Law.

However, no such limitation would apply with respect to penalties imposed by an arbitrator pursuant to a negotiated alternative to a statutory disciplinary procedure as the arbitrator is generally permitted to impose such penalty as he or she deems appropriate under the circumstances.

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A Reasonable Disciplinary Penalty Under the Circumstances - A 600+ page guide to penalties imposed on public employees in New York State found guilty of selected acts of misconduct. For more information, click on http://nypplarchives.blogspot.com/


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Jul 25, 2013

Civil Service Law §106 does not authorize an individual to maintain a private cause of action based on alleged violation of the statute

Civil Service Law §106 does not authorize an individual to maintain a private cause of action based on alleged violation of the statute
Goddard v Martino, 2013 NY Slip Op 23240, Supreme Court, Dutchess County, Justice Peter M. Forman

Donald J. Goddard was appointed as a police officer in the Town of Hyde Park Police Department in 1986 and ultimately was permanently appointed to the position of Lieutenant in 2004. He was subsequently provisionally appointed to serve as Chief of Police pending his passing and qualifying for appointment from a promotion list for Chief.

In the words of Justice Peter M. Forman, “the relationship between [Goddard] and the newly-elected Town Board quickly became toxic” and Goddard subsequently submitted a letter expressing his intent “to retire from the Town of Hyde Park Police Department effective April 10, 2010.”

Goddard sued the Town alleging that:

1. He submitted this retirement letter because (a) he had become aware that the Town Board was contemplating abolishing the position of Lieutenant, and (b) he was advised by a member of the Town Board that he would never be appointed as the permanent Chief of Police, regardless of his performance on the civil service examination and “felt compelled to retire in order to preserve his health benefits, which would be forfeited if his employment ended due to termination rather than retirement;” and

2. The Town Board abolished the Lieutenant position in order to prevent him from being reinstated to that position once the permanent Chief of Police position was filled. 

Although the Town Board asserted that the Lieutenant position was being abolished for financial reasons, Goddard alleges that this financial justification was a pretext, and that "the Town Board was manipulating the civil service system in order to prevent [Goddard] from being reinstated as Lieutenant."

Ultimately Goddard filed a notice of claim with the Town alleging that the Town had “obstructed or defeated his civil service rights in violation of Civil Service Law §106.” Following a hearing conducted with respect to the notice of claim filed pursuant to General Municipal Law §50-h, Goddard commenced the instant litigation asserting a private cause of action based upon Town’s alleged violation of Civil Service Law §106.

Civil Service Law §106, in pertinent part, makes it a misdemeanor to defeat, deceive or obstruct the civil service rights of any person who seeks appointment, promotion, or reinstatement to a covered civil service position. However, notes the opinion, "Civil Service Law §106 does not expressly make a private cause of action available to individuals who believe that their civil service rights have been violated."

Addressing the Town’s motion seeking summary judgment dismissing Goddard’s complaint on the grounds that no private cause of action is available under Civil Service Law §106, Justice Forman said that a petitioner had to satisfy three tests to maintain his or her cause of action based on alleged violations of Civil Service Law §106.

The courts said that “When assessing whether a statute provides an implied right to a private cause of action, "the essential factors to be considered are: (1) whether the plaintiff is one of the class for whose particular benefit the statute was enacted; (2) whether recognition of a private right of action would promote the legislative purpose; and (3) whether creation of such a right would be consistent with the legislative scheme."

Commenting that the first factor is the one that is most easily satisfied, the court noted that “When a statute seeks to deter certain conduct, the second factor will be satisfied upon a determination that a private cause of action for injuries arising from this prohibited conduct would further the statute's deterrent goal.”

Goddard, said the court, clearly falls within the class of people for whose benefit Civil Service Law §106 was enacted. Recognizing a private cause of action under Civil Service Law §106 would also clearly advance the statute's deterrent goal. Therefore, said the court, the first two prongs of this three-prong test were satisfied.

The third factor, generally recognized as the most important factor, is whether a private right of action is consistent with the legislative scheme.

In Justice Forman’s view, there was no clear evidence that the Legislature intended to expose municipalities to the risk of financial liability for a violation of Civil Service Law §106. Rather, said the court, “Civil Service Law §102(3) squarely places the authority for enforcement of Civil Service Law §106 on the appropriate municipal civil service commission,” thus precluding an aggrived individual from bringing a private cause of action seeking redress of his or her grievance.

Justice Forman, upon reading §102(3) and §106 together, concluded that “the Legislature intended to limit enforcement of Civil Service law §106 to criminal proceedings (to punish past violations), and to actions by the appropriate municipal civil service commission seeking injunctive relief (to prevent continued violations).”

Noting the Goddard had a number of other legal remedies available to him regarding his allegations concerning his statutory right to his continued employment in the public service, including his claim that he was forced to retire because the Lieutenant position was being abolished, not for the purpose of economy or efficiency, but as a subterfuge to deprive Goddard of his civil service rights, Justice Forman granted the Town’s motion for summary judgment dismissing Goddard’s complaint.

The decision is posted on the Internet at:



A school board’s “essential responsibilities” can’t be negotiated away

A school board’s “essential responsibilities” can’t be negotiated away
Sweet Home Central School District v. Sweet Home Education Association, 90 AD2d 683, affd, 58 NY2d 912 

The collective bargaining agreement [CBA] between the Sweet Home Central School District [District] and the Union permitted the District to "transfer" teachers subject to the teacher involved being advised of the reason(s) for the transfer and being given an opportunity to select from among  “current openings” for which the teacher was qualified. The contract also provided that wishes of the teacher were to be taken into consideration to the extent possible.

A music teacher grieved his “involuntary transfer out” as concert band director. The arbitrator directed the District to review the appropriate positions available with him and to permit him to select from among them. He further directed the District to permit the teacher to return to the concert band director position if he wished and the District was to “develop a program, with outside assistance, ‘to assure a smooth functioning’ of the concert band” were he to choose to return.

On appeal the arbitrator’s award was modified by the Appellate Division. The court explained that §1711 of the Education Law gave the Board a non-delegable responsibility to maintain adequate standards in the classroom and the District’s authority to assign and reassign teachers was essential to that responsibility.

“Public policy prevents a school district from bargaining away this responsibility,” said the court. In keeping with this view, the arbitrator was held not to have the power to direct the District to retain the teacher in the position from which he had been reassigned.

The Court then held that the CBA between the District and the Union could (and did) establish procedural rules regulating the District’s right to reassign teachers. That portion of the arbitrator’s award directing the District to comply with the procedural rules to which it had agreed was upheld.


Jul 24, 2013

Dismissal of disciplinary charges recommended because superior condoned the employee's alleged failure to follow department policy

Dismissal of disciplinary charges recommended because superior condoned the employee's alleged failure to follow department policy
OATH Index No. 866/13

A New York City juvenile counselor was charged with failing to conduct three inspections during a tour or duty as required. 

At the disciplinary hearing, however, the counselor proved that the ”three inspections” requirement had not been enforced by management for many years. 

OATH Administrative Law Judge Alessandra F. Zorgniotti recommended dismissal of charges.

The counselor admitted that she did not make three tours of inspection and testified that the failure to do so was a regular practice caused by an excessive work load.

Judge Zorgniotti found that the counselor had proved her affirmative defense of condonation and waiver by showing that her not making three inspections each tour of duty was condoned by supervisors. Further, said the ALJ, the employer did not show that it placed the counselor on notice that the “three inspection” during a tour of duty policy would be enforced

The decision is posted on the Internet at:
http://archive.citylaw.org/oath/13_Cases/13-866.pdf

An alternative to a principal for each school

An alternative to a principal for each school
Matter of Mennella, Decisions of the Commissioner of Education Number 10851

Although the Regulations of the Commissioner of Education provide that each school in a District shall have assigned to it a qualified principal, waivers from that requirement may be obtained under appropriate circumstances.*

An example of this is found in the Commissioner’s decision in Matter of Mennella.

One issue involved Mennella's seeking an order to restore funds for an abolished position of principal. The District had decided to administer its two smallest elementary schools by assigning one principal and two assistant principals to them.

The Commissioner rejected Mennella's claim that the District could not do so, noting that earlier the District had been granted the required exemption each school have a principal. The Commissioner also noted that the assistant principals involved held valid elementary principal certificates and were qualified to perform the duties assigned to them.

* 8 NYCRR 100.2(a), addressing the administration of elementary and secondary schools, provides, in pertinent part, as follows: “The board of education of each school district shall employ and assign to each school under its supervision a full-time principal holding the appropriate certification as required pursuant to section 80.4(b) of this Title. Upon the submission of evidence that there are circumstances which do not justify the assignment of a principal to a particular school, or that another mode of building administration would be more effective, the commissioner may approve an alternative mode of building administration.”

The threshold decision as to the arbitrability of a matter is to be made by the court absent the parties “clear and unmistakable agreement to arbitrate arbitrability”

The threshold decision as to the arbitrability of a matter is to be made by the court absent the parties “clear and unmistakable agreement to arbitrate arbitrability”
In the Matter of the Arbitration of Sherwood (Kirkpatrick), 2013 NY Slip Op 05372, Appellate Division, Third Department

While a collective bargaining agreement (CBA) was in effect, the Dryden Central School District (District) and Dryden Faculty Association (Association) entered into a separate memorandum of understanding (MOU) in which the parties [1] recognized the Association as the bargaining unit representative for all regularly appointed registered professional nurses working in the District, [2] agreed upon the nurses' terms and conditions of employment, and [3] agreed that the terms and conditions set out in the MOU would remain in effect until incorporated into the next collective bargaining agreement following the expiration of the then current CBA

The District subsequently terminated a nurse represented by the Association* and the nurse grieved the District’s action. When the grievance was denied by the District the Association demanded that the matter be submitted to arbitration. In response the District initiated a proceeding to permanently stay arbitration. The Association counterclaimed seeking a court order to compel arbitration.

Supreme Court granted the District’s petition and permanently stayed the arbitration. The Association appealed, contending that an arbitrator, rather than a court, should decide whether the parties' dispute was arbitrable.

The Appellate Division disagreed with the Association, noting that the responsibility for this threshold determination lies with the courts unless the parties have "evinced a clear and unmistakable agreement to arbitrate arbitrability.” Here, said the court, neither the CBA nor the MOU contains any such agreement and thus Supreme Court properly addressed this issue.

The court explained that “It is well settled that ‘[a] party cannot be compelled to arbitrate in the absence of an express, direct and unequivocal agreement to do so,’" citing Matter of Massana Central School District, 82 AD3d 521.

While the CBA provides for arbitration as the final step of the grievance process, the MOU neither contains its own arbitration provisions nor explicitly incorporated those provisions as set forth in the CBA. Although the Association argued that the CBA's arbitration provisions apply to covered nurses as the MOU does not expressly exclude them, this argument, said the Appellate Division, is unsupported by the terms of the MOU and the rules governing contract interpretation.

The Appellate Division noted that the MOU specifically identified selected provisions of the CBA to be applied to covered nurses and set out detailed additional provisions on several other subjects, including procedures for discharging nurses and terminating their employment, but did not include the arbitration provisions. Accordingly, said the court, as the MOU neither mentions arbitration nor indicates that any CBA provisions other than those expressly stated will apply to nurses, read as a whole, the MOU “unambiguously reflects the parties' intention to establish independent terms and conditions of employment for nurses that do not include the CBA's arbitration provisions.”

The bottom line: Absent an "express, direct and unequivocal agreement" to arbitrate this dispute, the Appellate Division ruled that Supreme Court had properly granted the District’s application to permanently stay the arbitration. To hold otherwise, said the court, would violate the basic principle that "courts may not by construction add or excise terms, nor distort the meaning of those used and thereby make a new contract for the parties under the guise of interpreting the writing"

The Appellate Division noted that although the nurse's employment was terminated after the end date specified in the CBA, no new agreement has been negotiated, both the CBA and the MOU remain in effect under the Triborough Doctrine {Civil Service Law §209-a [1] [e]).

The decision is posted on the Internet at:
http://www.nycourts.gov/reporter/3dseries/2013/2013_05372.htm

An employee removed from his or her position by a civil service commission pursuant to Civil Service Law §50.4 is not entitled to a pre-termination hearing

An employee removed from his or her position by a civil service commission pursuant to Civil Service Law §50.4 is not entitled to a pre-termination hearing
95 AD2d 1005

Citing Mingo v Pirnie, 55 NY2d 1019, the Appellate Division ruled that "Contrary to the petitioner’s contention, her status as a permanent appointee in the competitive class of the classified civil service did not entitle her to a mandatory pretermination hearing under Civil Service Law § 75(1)(a), where the Nassau County Civil Service Commission relied upon Civil Service Law § 50(4) in revoking her payroll certification and directing the termination of her employment."

In Mingo a county civil service commission disqualified an employee following his permanent appointment and removed him from his position with the village pursuant to §50.4 of the Civil Service Law. The Commission had determined that the individual had “intentionally made false statements of material facts in his application or (had) attempted to practice (a) deception or fraud in his application”. 

The employee sued, contending that the commission could not disqualify him for employment in the position without first providing him with a pre-termination hearing.

The Court of Appeals rejected this argument, stating that §50.4 “requires no more than that the person be given a written statement of the reasons [for his or her disqualification for employment] and afforded an opportunity to make explanation and to submit facts in opposition to such disqualification. No hearing is required.”

The Commission had found that the employee had falsified his application with respect to his experience and had concealed relevant facts related to his separation from previous employment.


Jul 23, 2013

Governor Cuomo announces estate tax refunds available to qualified spouses of same-sex couples

Governor Cuomo announces estate tax refunds available to qualified spouses of same-sex couples

Source: Office of the Governor

On July 23, 2013, Governor Andrew M. Cuomo announced that Estate Tax refunds are available to qualified spouses of same-sex couples. Refunds may be available as a result of the recent United States Supreme Court decision, United States v. Windsor, in which the Court held that §3 of the Defense of Marriage Act (DOMA) is unconstitutional. 

Edie Windsor, a New Yorker, sued the federal government after the Internal Revenue Service denied her refund request for the $363,000 in federal estate taxes she paid after her spouse, Thea Spyer, died in 2009. She also had filed a protective claim with the New York State Tax Department asking for a similar Estate Tax refund from New York. Generally, a claim for credit or refund of an over-payment of estate tax must be filed by a taxpayer within three years from the date the original return was filed or two years from the date the tax was paid. 

Taxpayers believing that they may affected by the Windsor ruling should contact the New York State Taxpayer Information Center at 518-457-5387.

Additional information can be found on the Tax Department’s memorandumon estates of same-sex couples.

The Unemployment Insurance Appeal Board may apply the doctrine of collateral estoppel in denying a claimant UI benefits based on a disciplinary arbitration that led to the claimant’s dismissal

The Unemployment Insurance Appeal Board may apply the doctrine of collateral estoppel in denying a claimant UI benefits based on a disciplinary arbitration that led to the claimant’s dismissal
2013 NY Slip Op 05280, Appellate Division, Third Department

A claimant for unemployment insurance benefits challenged his dismissal from his position by the employer but an arbitrator concluded that there was just cause for his termination.

Subsequently the Unemployment Insurance Appeal Board denied the claimant’s application for unemployment insurance benefits, ruling that he was disqualified from receiving such benefits because he was terminated for disqualifying misconduct. The claimant then appealed the Board’s ruling.

The Appellate Division affirmed the Board’s decision explaining that "as there was a full and fair opportunity to litigate the issue in the prior [arbitration] proceeding, collateral estoppel effect must be given to the arbitrator's factual findings regarding claimant's misconduct."

As the Board had appropriately taken into account the arbitrator's factual findings and made "an independent evaluation as to whether that conduct constitutes 'misconduct' for the purposes of unemployment insurance" the Appellate Division found no basis to overturn the Board's ruling.

Although the individual contended that “at worst, the alleged conduct constituted an excusable error in judgment,” the Board disagreed.

The decision notes that the individual had been counseled by the employer prior to this incident "for various safety violations" and where the misconduct is potentially detrimental to the employer's best interest may, “as in this instance, be sufficient to constitute disqualifying misconduct.”

The decision is posted on the Internet at:

NYPPL Publisher Harvey Randall served as Principal Attorney, New York State Department of Civil Service; Director of Personnel, SUNY Central Administration; Director of Research, Governor’s Office of Employee Relations; and Staff Judge Advocate General, New York Guard. Consistent with the Declaration of Principles jointly adopted by a Committee of the American Bar Association and a Committee of Publishers and Associations, the material posted to this blog is presented with the understanding that neither the publisher nor NYPPL and, or, its staff and contributors are providing legal advice to the reader and in the event legal or other expert assistance is needed, the reader is urged to seek such advice from a knowledgeable professional.

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