ARTIFICIAL INTELLIGENCE [AI] IS NOT USED, IN WHOLE OR IN PART, IN PREPARING NYPPL SUMMARIES OF JUDICIAL AND QUASI-JUDICIAL DECISIONS

Oct 27, 2021

Implementing the New York State Productivity Enhancement Program for 2022

The New York State Department of Civil Service has published Policy Bulletin 2021-03, Implementation of the Productivity Enhancement Program for 2022, applicable to departments and agencies subject to its jurisdiction. 

Click HEREto obtain the text of Policy Bulletin 2021-03.

Click HEREto download the Implementation of the Productivity Enhancement Program for 2022 in PDF format.

To view earlier Attendance and Leave bulletins issued by the New York Department of Civil Service, click HERE.

Public Employment Law Press No comments:

Public Employment Law Press No comments:

 

Oct 26, 2021

The statute of limitations to bring a timely action-at-law commences running when a final administration decision is made by the employer

The primary issue on appeal considered by the U.S. Circuit Court of Appeals, Second Circuit in this action was whether the district court erred in determining that the Petitioner’s ADEA claims were untimely.

For example, with respect to certain allegations of unlawful discrimination Petitioner's contended that "certain comments allegedly made by school officials about her before she retired ... establish a continuing violation of the ADEA and saves her claims from the statute of limitations."

Noting that in Delaware State College v. Ricks, 449 U.S. 250, the United States Supreme Court held "that the pendency of collateral review of an employment decision does not extend the time to file an EEOC charge under federal law." The Circuit Court opined that Ricks, which it viewed as "directly on point", held that the pendency of a grievance, or some other method of collateral review of an employment decision, does not toll the running of the limitations periods for the purposes of bringing a timely judicial complaint.*

In the words of the court, "The existence of careful procedures to assure fairness in the tenure decision should not obscure the principle that limitations periods normally commence when the employer’s decision is made." Further, said the court, the denial of an administrative appeal "did not restart the clock" for the aggrieved party to bring a timely EEOC charge. 

* N.B. As the Appellate Division held in Matter of Cappellino v Town of Somers, 83 AD3d 934, neither does a request for reconsideration of a final administrative decision toll the running of the relevant statute of limitations.

Click HEREto access the Circuit Court's ruling.

Oct 22, 2021

School district directed to resume reimbursing its retirees' Medicare Part B surcharges

Pursuant to collective bargaining agreements [CBAs] between the School District [District] and the Congress of Teacher [Congress], an association representing district employees, the District agreed to provide health care benefits for active and retired employees and their spouses and dependents. 

Retired employees over age 65, however, were required to enroll in a Medicare Part B program [Part B] and the district reimbursed retirees the cost of Part B coverage.

Some retirees, based upon their household income, were subject to a surcharge in addition to the standard Part B premium. This surcharge was an income-related monthly adjustment amount and referred to as the "IRMAA". Prior to August 2018, the district reimbursed retirees for IRMAA surcharges in addition to their standard Medicare premium payments.

In response to the District's informing retirees that it would no longer reimburse them for IRMAA surcharges, certain retirees [Plaintiffs] commenced a CPLR article 78 proceeding seeking [1] a court order annulling the District's decision, contending that the District's discontinuing such reimbursements violated Chapter 729 of the Laws of 1994 (as amended by Chapter 22 of the Laws of 2007), the State's Retiree Health Insurance Moratorium Act [Act]* and [2] a court order reinstating the reimbursements.

The Supreme Court agreed that the District's discontinuation of its reimbursements of IRMAA surcharges violated the Act, granted the Plaintiff's petition, and directed the District to reinstate providing the reimbursement, plus making appropriate retroactive reimbursements. The District appealed.

Explaining that Act sets "a minimum baseline or 'floor' for retiree health benefits" which is "measured by the health benefits being received by active employees," the Appellate Division sustained the lower court's ruling. In other words, the Act does not permit an employer to whom the statute applies to provide its retirees with lesser health insurance benefits than it provides its active employees.

Citing Matter of Baker v Board of Educ., 29 AD3d 574, the Appellate Division opined that a school district may not diminish retirees' health insurance benefits unless it makes "a corresponding diminution in the health insurance benefits or contributions of active employees." 

In the words of the court, the purpose of the Act was to protect the rights of retirees who "are not represented in the collective bargaining process, [and] are powerless to stop unilateral depreciation or even elimination of health insurance benefits once the contract under which they retired has expired"**

It was undisputed both that the CBAs between the District and the Association did not address Part B or IRMAA reimbursements and that the district provided such reimbursements, even if, as it claims, it made such reimbursements inconsistently. 

The parties, said the court, conceded that the reimbursements were "retiree health insurance benefits that were voluntarily conferred as a matter of school district policy." Accordingly, the Appellate Division held that Supreme Court "correctly concluded that the discontinuation of IRMAA reimbursements was a matter subject to the moratorium statute."

Additionally, the Appellate Division noted reimbursing retirees for Medicare Part B premiums is not an improper gift of public funds in violation of Article VIII, §1, of the New York State Constitution," citing Baker v Board of Education, 29 AD3d 574.

The Appellate Division sustained the Supreme Court ruling, finding it to have correctly determined that the District's discontinuation of IRMAA reimbursements violated the Act and thus had properly granted the Plaintiffs' petition.

* The purpose of the moratorium statute was to tie retiree benefits to active employee benefits so that retirees could benefit from the collective bargaining power of the active employees.

** See Matter of Bryant v Board of Educ., Chenango Forks Cent. School Dist., 21 AD3d 1134, quoting Assembly Memorandum in Support of Bill, 1996 McKinney's Session Laws of New York at 2050.

Click HERE to access the Appellate Division's decision.

Oct 21, 2021

Terminating an employee serving a disciplinary probationer period

Citing Matter of Verma v Department of Educ. of the City of N.Y., 192 AD3d 616, the Appellate Division observed that "a probationary employee may be terminated without a hearing for any reason or no reason at all, as long as the dismissal was not unlawful or in bad faith."*

In this action the Appellate Division opined that this standard applies where, as here, a police officer has been placed "on dismissal probation in accordance with a negotiated resolution of disciplinary charges", citing Matter of Cipolla v Kelly, 26 AD3d 171.

Noting that the Petitioner in this action failed to demonstrate bad faith because [1] the record contains uncontroverted evidence of Petitioner's admitted misconduct, which resulted in his being put on dismissal probation and [2] new disciplinary charges that were brought during his disciplinary probationary period.

In the words of the court, [1] the fact hat some of the new charges concerned alleged misconduct predating the period of dismissal probation is of no moment and [2] the fact that Petitioner's application for disability retirement, which he submitted before pleading guilty to the initial disciplinary charges, was later recommended for approval, "does not demonstrate his termination was in bad faith."

As to issue of the appropriateness of the penalty under the circumstances, the court concluded even assuming that the "shock the conscience" standard applies to probationary terminations, "the termination here does not shock the conscience."

Addressing Petitioner's argument that equitable estoppel barred his termination, the Appellate Division disagreed, ruling "equitable estoppel does not apply here, as the negotiated settlement placed him on notice that he could be dismissed at any time during the probationary period."

Accordingly, the court unanimously affirmed Supreme Court's granting the appointing authority's summarily terminating Petitioner from the police force during his dismissal probation period, without costs.

* In York v McGuire, 63 NY2d 760, the Court of Appeals set out the basic rule concerning the dismissal of probationary employees as follows: “After completing his or her minimum period of probation and prior to completing his or her maximum period of probation, a probationary employee can be dismissed without a hearing and without a statement of reasons, as long as there is no proof that the dismissal was done for a constitutionally impermissible purpose, or in violation of statutory or decisional law, or the decision was made in bad faith.”

Click HERE to access the Appellate Division's decision.

Placing an employee on involuntary leave for allegedly being physically unfit to perform the duties of the position

New York City Office of Administrative Trials and Hearings Administrative Law Judge Julia H. Lee recommended that an NYPD Traffic Enforcement Agent be placed on involuntary leave of absence because she is physically unfit to perform the duties of her position. Undisputed evidence showed that the agent was unable to stand or sit for prolonged periods of time or to walk without an assistive device.

The ALJ Lee also held that the NYPD’s procedural error in failing to serve the Department of Citywide Administrative Services with notice of the proposed involuntary leave was not fatal to the case, as DCAS had delegated this personnel function to the Police Commissioner.

Click HERE to access Judge Lee's decision.

Oct 20, 2021

Recent decisions issued by the New York City Office of Administrative Trials and Hearings involving employees being placed on leave involuntarily

Placing an employee on involuntary leave for allegedly being physically unfit to perform the duties of the position

OATH Administrative Law Judge Julia H. Lee recommended that an NYPD Traffic Enforcement Agent be placed on involuntary leave of absence because she is physically unfit to perform the duties of her position. Undisputed evidence showed that the agent was unable to stand or sit for prolonged periods of time or to walk without an assistive device.

The ALJ Lee also held that the NYPD’s procedural error in failing to serve the Department of Citywide Administrative Services with notice of the proposed involuntary leave was not fatal to the case, as DCAS had delegated this personnel function to the Police Commissioner.

Click HERE to access Judge Lee's decision.

 

Placing an employee on involuntary leave for allegedly being mentally unfit to perform the duties of the position

Administrative Law Judge Kara J. Miller recommended that a Department of Buildings [DOB] site safety plan examiner be placed on involuntary leave of absence because she is mentally unfit for the position.

A psychiatrist retained by DOB found that the employee suffers from dementia, and her supervisors testified that her productivity did not meet the minimum standards and that she failed to follow direction despite repeated reminders.

The ALJ noted that DOB needs to trust the employee to do her job properly as a matter of public safety and found that the employee’s memory problems prevent her from performing complex analysis and synthesizing information to appropriately examine demolition and site safety plans.

Click HERE to access Judge Miller's decision.

Terminating an employee serving a disciplinary probationer period

Citing Matter of Verma v Department of Educ. of the City of N.Y., 192 AD3d 616, the Appellate Division observed that "a probationary employee may be terminated without a hearing for any reason or no reason at all, as long as the dismissal was not unlawful or in bad faith."*

In this action the Appellate Division opined that this standard applies where, as here, a police officer has been placed "on dismissal probation in accordance with a negotiated resolution of disciplinary charges", citing Matter of Cipolla v Kelly, 26 AD3d 171.

Noting that the Petitioner in this action failed to demonstrate bad faith because [1] the record contains uncontroverted evidence of Petitioner's admitted misconduct, which resulted in his being put on dismissal probation and [2] new disciplinary charges that were brought during his disciplinary probationary period.

In the words of the court, [1] the fact hat some of the new charges concerned alleged misconduct predating the period of dismissal probation is of no moment and [2] the fact that Petitioner's application for disability retirement, which he submitted before pleading guilty to the initial disciplinary charges, was later recommended for approval, "does not demonstrate his termination was in bad faith."

As to issue of the appropriateness of the penalty under the circumstances, the court concluded even assuming that the "shock the conscience" standard applies to probationary terminations, "the termination here does not shock the conscience."

Addressing Petitioner's argument that equitable estoppel barred his termination, the Appellate Division disagreed, ruling "equitable estoppel does not apply here, as the negotiated settlement placed him on notice that he could be dismissed at any time during the probationary period."

Accordingly, the court unanimously affirmed Supreme Court's granting the appointing authority's summarily terminating Petitioner from the police force during his dismissal probation period, without costs.

* In York v McGuire, 63 NY2d 760, the Court of Appeals set out the basic rule concerning the dismissal of probationary employees as follows: “After completing his or her minimum period of probation and prior to completing his or her maximum period of probation, a probationary employee can be dismissed without a hearing and without a statement of reasons, as long as there is no proof that the dismissal was done for a constitutionally impermissible purpose, or in violation of statutory or decisional law, or the decision was made in bad faith.”

Click HERE to access the Appellate Division's decision.

Oct 19, 2021

Stipulation that the City's unilateral actions impacted current employees deemed substantial evidence sufficient to annul PERB's decision involving retired employees

General Municipal Law §207-a provides that a firefighter who is disabled in the performance of his or her duties entitlement to, among other benefits, the continued payment by his or her municipal employer of the full amount of his or her regular salary or wages until the disability has ceased." It further provides that in the event a firefighter is granted "an accidental disability retirement allowance," pursuant to Retirement and Social Security Law §§363, 363—c or similar accidental disability pension, the appointing authority shall pay "the difference between the amounts received under such allowance or pension and the amount of his [or her] regular salary or wages" provided, however, that in any such case   such firefighter shall continue to receive from the municipality or fire  district by which he or she is employed, until such time as  he  or  she  shall  have  attained the mandatory service retirement age applicable to  him or her or shall have attained the age or  performed  the  period  of  service  specified  by  applicable law for the termination of his or her  service,  the  difference  between  the  amounts  received  under   such  allowance  or  pension  and  the  amount of his or her regular salary or  wages [Emphasis supplied].

The Uniformed Fire Officers Association of the City of Yonkers [UFOA] and Yonkers Firefighters Local 628, IAFF, AFL-CIO [Local 628] represent firefighters and fire officers that are employed by the Yonkers Fire Department. The City of Yonkers [City] had been paying all active bargaining unit members of Local 628 and UFOA night differential, check-in pay and holiday pay as part of their regular salary and wages. Throughout that period, retired firefighters and fire officers that receive supplemental wage benefits pursuant to General Municipal Law §207-a (2) have also received night differential, check-in pay and holiday pay as a component of their regular salary and wages.

In 2015, the City sent a letter to approximately 43 retired firefighters and fire officers who were receiving General Municipal Law §207-a(2) supplemental wage benefits, indicating that they had received benefit payments in excess of what they were entitled and that their future payments would be adjusted downward to omit night differential, check-in pay and holiday pay. Local 628 and UFOA separately filed improper practice charges with respondent Public Employment Relations Board (hereinafter PERB), the body charged with administering the Public Employees' Fair Employment Act, alleging that the City violated Civil Service Law §209-a (1) (a) and (d) by unilaterally ending the past practice of paying night differential, check-in pay and holiday pay to current members who would be eligible to receive supplemental wage benefits under General Municipal Law § 207-a (2) upon their future retirement.

The improper practice charges were consolidated for review and, following a two-day hearing, an Administrative Law Judge [ALJ] determined, among other things, that the City violated its obligation "to negotiate in good faith with the duly recognized or certified representatives of its public employees" by unilaterally ceasing its past practice of including night differential, check-in pay and holiday pay as part of the regular salary and wages for those current employees who, upon retirement, would be entitled to General Municipal Law §207-a(2) benefits

The City filed exceptions with PERB, which reversed the ALJ's determination, concluding that the City was not prohibited from taking unilateral action with respect to retired employees and that no proof was presented to show that it had impermissibly taken similar action against current employees.

Local 628 and UFOA thereafter filed a CPLR Article 78 petitions contending that, among other things, that PERB's determination impermissibly exceeded the scope of the City's exceptions and that it engaged in sua sponte fact-finding that ran counter to the parties' stipulations of fact. The City moved to dismiss the petitions. Supreme Court denied the City's motions to dismiss, finding that UFOA and Local 628  had raised an issue of substantial evidence, transferred the joined proceedings to the Appellate Division.*

The Appellate Division, noting that a public employer is required to negotiate in good faith with the bargaining representative of its current employees regarding the terms and conditions of vacated PERB's ruling, explained that "as the parties stipulated that the City's unilateral actions impacted current employees in the bargaining units, PERB's finding that the record was barren of proof on that point is not supported by substantial evidence, and it follows that PERB's determination must be annulled."

* See CPLR 7804 [g].

Click HEREto access the Appellate Division's decision.

Placing an employee on involuntary leave for allegedly being mentally unfit to perform the duties of the position

The New York City Office of Administrative Trials and Hearing Administrative Law Judge Kara J. Miller recommended that a Department of Buildings [DOB] site safety plan examiner be placed on involuntary leave of absence because she is mentally unfit for the position.

A psychiatrist retained by DOB found that the employee suffers from dementia, and her supervisors testified that her productivity did not meet the minimum standards and that she failed to follow direction despite repeated reminders.

The ALJ noted that DOB needs to trust the employee to do her job properly as a matter of public safety and found that the employee’s memory problems prevent her from performing complex analysis and synthesizing information to appropriately examine demolition and site safety plans.

Click HERE to access Judge Miller's decision.

Oct 18, 2021

Protecting certain individuals convicted of criminal offenses from unlawful discrimination in employment and licensing

Correction Law article 23-A and Executive Law §296(15) protect certain individuals convicted of criminal offenses from unlawful discrimination in employment and licensing. In this appeal, the issue is whether plaintiff adequately alleged that defendant, plaintiff's former employer, violated the anti-discrimination statutes based on the denial of plaintiff's application for employment following the completion of his criminal sentence.

In 2014 the Petitioner [Plaintiff] in this case applied to work for the respondent [Employer]. In his application Plaintiff disclosed that he "was facing a misdemeanor charge relating to allegedly calling in a false emergency to 911" as a police officer in 2012. Employer hired Plaintiff. In 2016 Plaintiff informed Employer that his "retrial" on the misdemeanor charge was imminent and of his subsequent conviction and that his "pre-sentence investigation report" that recommended against incarceration.

Plaintiff averred that during the period between his conviction and sentencing, Employer told him that he was a "good employee" and, in the "unlikely event he was sentenced to jail time," they would allow him to use accrued benefit time and "re-instate him upon his release." Ultimately Plaintiff was "sentenced to 60 days' incarceration" and immediately remanded to custody.*  While plaintiff was incarcerated, however, Employer terminated him for "job abandonment."

Following his release from incarceration Plaintiff contacted Employer indicating that he wished to "return to work." Employer, however, advised Plaintiff that because it "had previously terminated others who had been incarcerated, they had to be consistent and terminate plaintiff."

Plaintiff then commenced this action contending that defendant violated Correction Law Article 23-A and Executive Law §296(15) by refusing to "re-employ" him, seeking a court order reinstating him to his former position and damages. Employer moved to dismiss the complaint for failure to state a claim under CPLR 3211 (a) (7), contending, among other things, that Executive Law §296 (15) and Correction Law Article 23-A, which prohibit discrimination based on a previous conviction, "were inapplicable because [Plaintiff] was convicted during his employment."

Although Supreme Court granted the motion and dismissed the complaint and, on Plaintiff's appeal, the Appellate Division affirmed,** the Court of Appeals granted leave to appeal*** and ruled that the order of the Appellate Division should be reversed, with costs, and Employer's motion to dismiss the complaint pursuant to CPLR 3211 (a) (7) denied.

The Court of Appeals explained:

"When reviewing a pre-answer motion 'to dismiss the complaint for failure to state a cause of action, we must give the pleadings a liberal construction, accept the allegations as true and accord the plaintiff[] every possible favorable inference' (Chanko v American Broadcasting Cos. Inc., 27 NY3d 46, 52 [2016], citing Goshen v Mutual Life Ins. Co. of N.Y., 98 NY2d 314, 326 [2002]). Giving plaintiff 'the benefit of all favorable inferences which may be drawn from [the] pleading,' this Court determines only whether the alleged facts "fit within any cognizable legal theory' (Campaign for Fiscal Equity v State of New York, 86 NY2d 307, 318 [1995], quoting Leon v Martinez, 84 NY2d 83, 87-88 [1994]).

"The question is whether the complaint adequately alleged facts giving rise to a cause of action, 'not whether [it] properly labeled or artfully stated one' (Chanko, 27 NY3d at 52, citing Leon, 84 NY2d at 88).

 "Where applicable, the Correction Law and the Human Rights Law protect individuals convicted of criminal offenses from discrimination in the context of applications for employment or licensing, subject to certain exceptions. In 1976, the legislature enacted Correction Law article 23-A and Executive Law § 296 (15) in furtherance of 'the 'general purposes' of the Penal Law,' including ''the rehabilitation of those convicted' and 'the promotion of their successful and productive reentry and reintegration into society' (Matter of Acosta v New York City Dept. of Educ., 16 NY3d 309, 314 [2011], quoting Penal Law § 1.05 [6]; see Matter of Bonacorsa v Van Lindt, 71 NY2d 605 [1988]).

"Correction Law § 751 broadly states that article 23-A applies to 'any application by any person for a license or employment at any public or private employer, who has previously been convicted of one or more criminal offenses in this state or in any other jurisdiction.' Correction Law § 752 contains similar language, stating that '[n]o application for any license or employment, and no employment or license held by an individual, to which the provisions of this article are applicable, shall be denied or acted upon adversely by reason of the individual's having been previously convicted of one or more criminal offenses.' Executive Law § 296 (15), the Human Rights Law, incorporates article 23-A, making it 'an unlawful discriminatory practice for any person . . . to deny any license or employment to any individual by reason of [that individual] having been convicted of one or more criminal offenses . . . when such denial is in violation of [Correction Law article 23-A].

"The statutes do not categorically preclude consideration of a prospective employee's criminal history and expressly permit the denial of employment or licensing if there is (1) a 'direct relationship' between the previous criminal offense and the specific employment or license, or (2) if granting the request for employment or a license 'would involve an unreasonable risk' to the property, safety, or welfare 'of specific individuals or the general public' (Correction Law § 752). Thus, under the statutory scheme, reliance on a previous criminal offense when denying an application for employment or a license is not necessarily unlawful (see e.g. Bonacorsa, 71 NY2d at 614-615). Whether an exception applies depends on factors identified in Correction Law § 753 such as, among other things, the relationship between the specific employment duties and the criminal offense as well as the amount of time that has elapsed since the offense occurred (Correction Law § 753 [1] [b], [c], [d])[FN2]. Under these provisions, when filling positions, public and private employers must treat job applicants with prior convictions equitably 'while also protecting society's interest in assuring performance [of job duties] by reliable and trustworthy persons' (Bonacorsa, 71 NY2d at 611).

"On this appeal, based on the arguments preserved by the parties, the only question before us is whether plaintiff adequately alleged a violation of the antidiscrimination statutes. While the legislative history suggests that the legislature may not have considered this specific scenario—a request for reemployment with a pre-incarceration employer—we conclude that the factual allegations are sufficient to survive defendant's pre-answer motion to dismiss. Nothing in the statutory language, scheme, or legislative history indicates that the legislature intended for article 23-A or Executive Law § 296 (15) to exempt a previous employer from the reach of those statutes. Instead, the statutes broadly refer to 'any application by any person for . . . employment at any public or private employer, who has previously been convicted of one or more criminal offenses' (Correction Law § 751). Thus, this case does not fall outside the scope of the antidiscrimination statutes merely because plaintiff previously worked for Mobile Life.

"Moreover, we disagree with defendant's contention that, even read liberally, the complaint fails to adequately allege a post-conviction 'application' by plaintiff. The term 'application' is not defined in the pertinent statutes but, read in the context of employment and given its ordinary meaning, the word is reasonably interpreted to refer to a request for employment. Employment applications may take various forms in different contexts depending on, among other things, the nature of the relevant industry, the manner in which new employees are solicited or open positions advertised, application protocols implemented by the employer, and the relationship, if any, between a prospective employer and employee. The application requirement is met if, viewed in context and from an objective standpoint, the employer would have reasonably understood the communications from the prospective employee to be a request for employment.

"In this case, plaintiff alleged that he was terminated for job abandonment soon after he was incarcerated. Applying our liberal standard, the complaint further may be read to allege that, after he completed his sentence, he applied for reemployment in the dispatcher position that he previously held, and Mobile Life denied the application solely because of the prior conviction. Plaintiff alleged that he was advised that, although some supervisors wanted him to return, defendant's policy was to terminate employees who had been incarcerated. Plaintiff's allegation that he was told that his request was being denied due solely to his conviction supports the inference that he was not denied employment for some other reason (for example, because the position had been filled during his incarceration).

 "Defendant offered an alternate interpretation of the allegations in the complaint, contending they allege a 'discriminatory termination' and do not reflect a post-conviction application for employment. To that end, defendant [*3]asserts that plaintiff's post-incarceration meeting with the COO and the human resources director was a 'termination meeting' intended to explain why he was fired—not a discussion between an applicant and prospective employer. Viewed in this light, defendant argues that the statutes were never triggered because there was no 'application' by a person who was 'previously convicted' of a criminal offense; there was, in essence, only one employment determination—a termination—that was concededly lawful and did not implicate the antidiscrimination statutes as it arose from a conviction during employment.

To be sure, throughout this litigation plaintiff acknowledged that, upon his incarceration, he could be lawfully terminated by Mobile Life. In a scenario like this, a plaintiff's complaint must allege facts supporting the inference that an application for employment was made and denied—and not merely that there was protest of a termination decision—because these statutes do not preclude an employer from lawfully terminating an employee such as plaintiff who by virtue of his conviction and sentence could not report to work. At this pre-answer stage of the litigation, we conclude only that plaintiff's allegations in that regard were adequate. Whether Mobile Life may ultimately establish that a reasonable employer would not have understood plaintiff's request as an application triggering the statutory protections is not the question before us; to answer that question at this pre-answer stage of litigation, we would have to view the complaint in the light most favorable to defendant—an approach antithetical to the governing standard of review on this motion to dismiss.

"Accordingly, the order of the Appellate Division should be reversed, with costs, and defendant's motion to dismiss the complaint pursuant to CPLR 3211 (a) (7) denied."

* The decision indicates that after Plaintiff's "wife promptly informed [Employer] about the sentence, she was told that [Plaintiff] could use accrued benefit time until he 'came back' to work."

** See 176 AD3d 886.

*** See 34 NY3d 913.

**** Judge Garcia concurred in a separate opinion "to make clear his understanding understanding of the guidelines for assessing claims based on the relevant antidiscrimination statutes."

Click HEREto access the complete text of the opinion of the Court of Appeals and Judge Garcia's concurring opinion.

Stipulation that the City's unilateral actions impacted current employees deemed substantial evidence sufficient to annul PERB's decision involving retired employees

General Municipal Law §207-a provides that a firefighter who is disabled in the performance of his or her duties entitlement to, among other benefits, the continued payment by his or her municipal employer of the full amount of his or her regular salary or wages until the disability has ceased." It further provides that in the event a firefighter is granted "an accidental disability retirement allowance," pursuant to Retirement and Social Security Law §§363, 363—c or similar accidental disability pension, the appointing authority shall pay "the difference between the amounts received under such allowance or pension and the amount of his [or her] regular salary or wages" provided, however, that in any such case   such firefighter shall continue to receive from the municipality or fire  district by which he or she is employed, until such time as  he  or  she  shall  have  attained the mandatory service retirement age applicable to  him or her or shall have attained the age or  performed  the  period  of  service  specified  by  applicable law for the termination of his or her  service,  the  difference  between  the  amounts  received  under   such  allowance  or  pension  and  the  amount of his or her regular salary or  wages [Emphasis supplied].

The Uniformed Fire Officers Association of the City of Yonkers [UFOA] and Yonkers Firefighters Local 628, IAFF, AFL-CIO [Local 628] represent firefighters and fire officers that are employed by the Yonkers Fire Department. The City of Yonkers [City] had been paying all active bargaining unit members of Local 628 and UFOA night differential, check-in pay and holiday pay as part of their regular salary and wages. Throughout that period, retired firefighters and fire officers that receive supplemental wage benefits pursuant to General Municipal Law §207-a (2) have also received night differential, check-in pay and holiday pay as a component of their regular salary and wages.

In 2015, the City sent a letter to approximately 43 retired firefighters and fire officers who were receiving General Municipal Law §207-a(2) supplemental wage benefits, indicating that they had received benefit payments in excess of what they were entitled and that their future payments would be adjusted downward to omit night differential, check-in pay and holiday pay. Local 628 and UFOA separately filed improper practice charges with respondent Public Employment Relations Board (hereinafter PERB), the body charged with administering the Public Employees' Fair Employment Act, alleging that the City violated Civil Service Law §209-a (1) (a) and (d) by unilaterally ending the past practice of paying night differential, check-in pay and holiday pay to current members who would be eligible to receive supplemental wage benefits under General Municipal Law § 207-a (2) upon their future retirement.

The improper practice charges were consolidated for review and, following a two-day hearing, an Administrative Law Judge [ALJ] determined, among other things, that the City violated its obligation "to negotiate in good faith with the duly recognized or certified representatives of its public employees" by unilaterally ceasing its past practice of including night differential, check-in pay and holiday pay as part of the regular salary and wages for those current employees who, upon retirement, would be entitled to General Municipal Law §207-a(2) benefits

The City filed exceptions with PERB, which reversed the ALJ's determination, concluding that the City was not prohibited from taking unilateral action with respect to retired employees and that no proof was presented to show that it had impermissibly taken similar action against current employees.

Local 628 and UFOA thereafter filed a CPLR Article 78 petitions contending that, among other things, that PERB's determination impermissibly exceeded the scope of the City's exceptions and that it engaged in sua sponte fact-finding that ran counter to the parties' stipulations of fact. The City moved to dismiss the petitions. Supreme Court denied the City's motions to dismiss, finding that UFOA and Local 628  had raised an issue of substantial evidence, transferred the joined proceedings to the Appellate Division.*

The Appellate Division, noting that a public employer is required to negotiate in good faith with the bargaining representative of its current employees regarding the terms and conditions of vacated PERB's ruling, explained that "as the parties stipulated that the City's unilateral actions impacted current employees in the bargaining units, PERB's finding that the record was barren of proof on that point is not supported by substantial evidence, and it follows that PERB's determination must be annulled."

* See CPLR 7804 [g].

Click HEREto access the Appellate Division's decision.

Oct 15, 2021

Recent disciplinary action decisions issued by the New York City Office of Administrative Trials and Hearings

Administrative disciplinary action follows employee's guilty plea in criminal court

New York City Office of Administrative Trials and Hearings [OATH] Administrative Law Judge Astrid B. Gloade recommended termination of employment for a sanitation worker who drove a Department of Sanitation collection truck the wrong way down a one-way street in Brooklyn and struck a pedestrian, resulting in the pedestrian’s death.

ALJ Gloade found that the worker’s guilty plea in criminal court to conduct that constitutes a failure to exercise due care precluded him from contending at his disciplinary trial that he acted reasonably.* The ALJ also found that the worker was negligent when he drove a collection truck against the flow of traffic.

Judge Gloade also sustained a charge that the worker brought discredit on the agency because he was arrested and ultimately pled guilty to conduct that generated publicity that reflected negatively on the Department. 

Charges involving the use of "time and leave" filed against the employee were also sustained but a charge of having damaged department property was dismissed.

[The Commissioner adopted the ALJ's findings and recommendation.]

* In Kelly v Levin, 81 A.D.2d 1005, the Appellate Division held if a jury finds a person guilty beyond a reasonable doubt, or the charged individual enters a plea of guilty, a disciplinary hearing officer need hear no other evidence to render a verdict of guilty regarding a parallel charge in an administrative disciplinary proceeding brought against that individual.

Click HERE to access the full text of Judge Gloade's findings and recommendation.

 

Employee disciplined for alleged inappropriate use of force against a prison inmate

 ALJ Susan J. Pogoda recommended a 60-day suspension without pay for a correction officer for inappropriate use of force, submitting a misleading use of force report, and making false statements during a post-incident interview.

Judge Pogoda found that even though the inmate became non-compliant and disruptive, the officer’s striking the inmate’s facial area was not justified as the inmate’s movement was limited by enhanced restraints and he did not pose a danger to staff.

Rejecting the officer’s defense that he was attempting to utilize a control hold, the ALj found that the officer struck the inmate in the face to gain compliance, and, further, found that the officer made misleading statements in a post-incident report and interview.

Click HERE to access the text of Judge Pogoda's findings and recommendation.

 

Correction Officer found guilty of using excessive force against an inmate

 OATH ALJ Noel R. Garcia recommended a 10-day suspension without pay for a correction officer for excessive force against an inmate by unnecessarily placing his hand on the inmate’s face. Judge Garcia found the officer’s defense that he extended his hands to try to prevent the inmate from spitting on him unpersuasive as the officer had both time and opportunity to move away from the inmate.

However, ALJ Garcia found the Department of Correction did not prove the officer made a false report because the report noted that he did apply force to the inmate’s face.

Click HERE to access the full text of Judge Garcia's findings and recommendation.

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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