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

Oct 8, 2011

Decisions of interest involving Government and Administrative Law

Decisions of interest involving Government and Administrative Law
Source: Justia October 7, 2011

Court: U.S. 1st Circuit Court of Appeals
Docket: 10-2342
 October 3, 2011
Judge: Thompson
Areas of Law: Civil Rights, Labor & Employment Law
Plaintiff, a dental hygienist at defendant's dental health center for more than 10 years, claimed that supervisors subjected her to unpaid work hours because she is black and then to selective discipline and other malfeasance in retaliation for questioning her unpaid hours. The district court entered summary judgment for defendant. The First Circuit affirmed. Plaintiff established only "a litany of petty insults, vindictive behavior, and angry recriminations" that are not actionable.



Court: U.S. 2nd Circuit Court of Appeals
Docket: 10-4132
 October 4, 2011
Judge: Per curiam
Areas of Law: Civil Rights, Constitutional Law, Labor & Employment Law
Plaintiff appealed from the district court's grant of summary judgment in favor of defendants on her claims of sex discrimination under Title VII of the Civil Rights Act of 1964, 42 U.S.C. 2000e et seq, and the New York State Human Rights Law, N.Y. Exec. Law 290-301. The district court granted summary judgment after determining that plaintiff had offered "sham evidence" in opposition to defendants' motions for summary judgment. The court held that the district court did not err in concluding that, in light of plaintiff's inconsistent and contradictory testimony, there was no genuine issue of fact to be decided by a jury. Accordingly, the court affirmed summary judgment in favor of defendants.



Court: U.S. 5th Circuit Court of Appeals
Docket: 10-20499
 October 5, 2011
Judge: Per curiam
Areas of Law: Arbitration & Mediation, Contracts, Insurance Law, Labor & Employment Law
This case arose when Cat Tech sought indemnification from its insurers after Cat Tech damaged several components of a hyrotreating reactor owned by Ergon Refining, Inc. and arbitrators entered an award against Cat Tech for the damage. Insurers subsequently denied the claim, contending, inter alia, that the "your work" exclusion found in the policies precluded coverage for damage to the reactor. The district court found that insurers had no duty to indemnify Cat Tech. The court held that the information contained in the arbitration award was insufficient to properly apply the "your work" exclusion. As such, the court concluded that the district court erred when it relied on the award in granting insurer's summary judgment motion. On remand, the district court should conduct any additional fact-finding necessary to determine whether the damage suffered by Ergon's reactor was limited only to those components upon which Cat Tech worked, or instead included other components unrelated to Cat Tech's operations. Accordingly, the judgment was reversed and the case remanded for further proceedings.



Court: U.S. 5th Circuit Court of Appeals
Docket: 11-10120
 October 5, 2011
Judge: Prado
Areas of Law: Civil Rights, Constitutional Law, Labor & Employment Law
This case involved a claim brought under 42 U.S.C. 1981 by a terminated employee against his former union, which represented him in a grievance hearing in connection with his termination. Plaintiff alleged that defendants discriminated against him on account of his race by failing to argue during the grievance hearing that he was being terminated for a racially discriminatory reason. The court held that plaintiff failed to state a prima facie claim for racial discrimination by the union under section 1981, and therefore the district court was correct to grant defendants' motion for summary judgment.



Court: U.S. 7th Circuit Court of Appeals
Docket: 10-1214
 October 6, 2011
Judge: WILLIAMS
Areas of Law: Labor & Employment Law
Seven months after the bank recruited plaintiff to serve as a vice presidents, it fired her. She had no performance issues, no attendance problems, and no complaints against her. She had dinner with a member of the board of directors, who told her the fantasies he had about her. She declined his advances and complained to human resources. The board member resigned. Shortly after that, the bank's new president told its then-president that he heard plaintiff had done something that she should have been fired for. About two months after the new president assumed office, plaintiff was fired. The district court entered summary judgment for defendants on her retaliation claims under Title VII, 42 U.S.C. 2000e-3. The Seventh Circuit reversed. A retaliatory discharge case must be tried unless defendant presents unrebutted evidence that it would have taken the adverse employment action against the plaintiff in any case.



Court: U.S. 8th Circuit Court of Appeals
Docket: 10-2787
 September 30, 2011
Judge: Loken
Areas of Law: Contracts, Insurance Law, Labor & Employment Law
Plaintiffs commenced a diversity action against defendant, asserting claims for breach of the insurance contract and for vexatious refusal to pay. Applying Missouri law, the district court granted defendant summary judgment, concluding that the insurance policy at issue unambiguously excluded losses caused by plaintiffs' CEO, a shareholder, and by plaintiffs' COO, a non-shareholder, acting in collusion with the CEO. The court affirmed and held that the Officer-Shareholder exclusion was consistent with Missouri public policy, and in the alternative, the Officer-Shareholder exclusion was unambiguous and excluded plaintiffs' claim.


Court: U.S. Federal Circuit Court of Appeals
Docket: 11-3054
 October 3, 2011
Judge: Linn
Areas of Law: Civil Rights, Government & Administrative Law, Injury Law, Labor & Employment Law
Plaintiff, a mail processing clerk, was injured on-duty in 2005 and received workers' compensation. She partially recovered and, in 2008, the Postal Service provided a modified light duty assignment. In June 2010, pursuant to the National Reassessment Process, the Postal Service informed plaintiff that work within her medical restrictions was no longer available in her commuting area. The Merit Systems Protection Board dismissed her claim under 5 C.F.R. 353.304(c)) of wrongful denial of restoration following partial recovery from a compensable injury. The Federal Circuit affirmed. The Board applied the correct standard in determining its jurisdiction, and its factual determinations were supported by substantial evidence. Plaintiff did not identify any vacant position available within her commuting area that she was able to perform. Plaintiff did not make a non-frivolous allegation that the Service acted arbitrarily in not restoring her, even after the Board ordered her make such a showing and afforded her time to do so.



Court: U.S. Federal Circuit Court of Appeals
Docket: 10-3137
 October 3, 2011
Judge: Prost
Areas of Law: Aerospace/Defense, Government & Administrative Law, Labor & Employment Law
In 2006, plaintiff, employed as an auditor at the Department of Defense was removed from his position for failing to maintain his Secret level security clearance. His loss of security clearance was based on his wife's status as a diplomat for Honduras. The Merit Systems Protection Board affirmed. The Federal Circuit affirmed. The DoD complied with its internal procedures in revoking plaintiff's security clearance and the decision was supported by substantial evidence.



Court: Connecticut Supreme Court
Docket: SC18377
 March 15, 2011
Judge: Zarella
Areas of Law: Constitutional Law, Injury Law, Labor & Employment Law
These two consolidated appeals arose from the collision of two city fire trucks. As a result of the collision, firefighter John Keane died, and firefighter William Mahoney suffered serious injuries. Monica Keane brought an action against Defendants, the firefighters who drove the trucks, alleging negligence in their operation of the fire trucks and that their negligence caused John Keane's death. In the second case, William and Erin Mahoney filed a complaint against Defendants, two firefighters and the city, alleging that the firefighters were negligent and that their negligence caused William Mahoney to sustain injuries. In both cases, the trial court granted the motions of Defendants to strike all counts of the complaint, concluding that Conn. Gen. Stat. 7-308 barred firefighters who are eligible to receive workers' compensation benefits from bringing negligence actions against other firefighters for their injuries. The Supreme Court affirmed the judgments of the trial court, holding that section 7-308 does not violate equal protection and, therefore, the trial court properly granted Defendants' motions to strike on the ground that the actions were barred by the immunity provision in section 7-308.



Court: Georgia Supreme Court
Docket: S10G1899
 October 3, 2011
Judge: Hines
Areas of Law: Injury Law, Labor & Employment Law
The court granted certiorari to the Court of Appeals in order to consider whether the Court of Appeals erred in concluding that the State Board of Worker's Compensation exceeded its authority in promulgating its Rule 205. The court held that, contrary to the analysis and resulting conclusion by the Court of Appeals, Rule 205 was not burden-shifting in the manner found and did not interfere with the substantive rights of the parties. The court also held that there was evidence to support the subject ruling that Mulligan did not sustain a subsequent compensable injury. Therefore, the judgment of the Court of Appeals reversing the order of the superior court interpreting Rule 205 was affirmed.



Court: Indiana Supreme Court
Docket: 93S02-1102-EX-89
 September 29, 2011
Judge: Shepard
Areas of Law: Business Law, Government & Administrative Law, Insurance Law, Labor & Employment Law
Franklin Electric formed two new subsidiaries and started new unemployment experience accounts with a low introductory contribution rate for each one, which equaled about half the experience rating of Franklin Electric. The Department of Workforce Development later canceled the subsidiaries' experience accounts, and all experience balances and liabilities reverted to Franklin Electric. The Department also demanded back payments, interest, and a ten percent penalty. A liability administrative law judge (LALJ) affirmed the Department's determination that the three entities were a single employer but waived the penalty imposed by the Department. The court of appeals affirmed. The Supreme Court granted transfer and vacated the opinion of the court of appeals and affirmed the determination of the LALJ, holding (1) the new subsidiaries were not new employers because they were not distinct and segregable from Franklin Electric; (2) Franklin Electric's experience rating should have applied to contributions made by the subsidiaries; and (3) because there was no evidence suggesting improper conduct on the part of Franklin Electric, the penalty was not appropriate.



Court: Nevada Supreme Court
Docket: 54849
 September 29, 2011
Judge: Cherry
Areas of Law: Contracts, Government & Administrative Law, Labor & Employment Law
Eric Spannbauer, a police officer with the North Las Vegas Police Department, was asked to resign by the City Police Department Association. Spannbauer resigned, signing a letter of agreement prepared by the Department. Spannbauer later filed a complaint with the Employee-Management Relation Board (EMRB) against the Association, the City, and the Department, alleging multiple prohibited practices in violation of Nev. Rev. Stat. 288, including gender discrimination. The EMRB found that the City and Department had committed prohibited labor practices and that the Association had breached its duty of fair representation. The City and the Department petitioned the district court for judicial review, which the district court denied. The City, on behalf of itself and the Department, filed an appeal. The Supreme Court affirmed, holding that there was substantial evidence to support the EMRB's finding that the City and Department discriminated against Sannbauer on the basis of his gender in violation of Nev. Rev. Stat. 288.110(1)(f); and (2) the EMRB appropriately disregarded the resignation agreement, including the covenant not to sue, as there was substantial evidence that the agreement was a culmination of prohibited practices in violation of Nev. Rev. Stat. 288.270(1).



Court: Nevada Supreme Court
Docket: 55502
 October 6, 2011
Judge: Hardesty
Areas of Law: Government & Administrative Law, Injury Law, Insurance Law, Labor & Employment Law
Mallory Warburton was working for the City of North Las Vegas when she was involved in a car accident and suffered numerous injuries. The City started paying workers' compensation benefits to Warburton at a rate of $10 an hour. At the time of the accident, Warburton was expected to make $12 an hour because of a promotion to manager of one of the City's pools. After an administrative appeal, a hearing officer instructed the City to redetermine Warburton's benefits using the $12-an-hour rate of pay for a pool manager. An appeals officer reversed, concluding Warburton's benefits should be based on the $10-an-hour rate of pay she was actually receiving at the time of the accident. The district court reversed the appeals officer's decision. The Supreme Court affirmed, holding that the appeals officer's conclusion was not supported by substantial evidence and that substantial evidence supported the district court's determination that (1) Warburton's primary job at the time of the accident was that of pool manager, and (2) Warburton's workers' compensation benefits must be determined using an average monthly wage calculation at the $12-an-hour rate of pay.



Court: Ohio Supreme Court
Docket: 20101405
 September 29, 2011
Judge: Per Curiam
Areas of Law: Government & Administrative Law, Injury Law, Labor & Employment Law
Appellant Cerena Mackey was employed by the Ohio Department of Education when she suffered an industrial injury. After she retired from the workforce, Mackey filed for permanent total disability (PTD) compensation. The Industrial Commission of Ohio granted compensation to Mackey. The Department moved for reconsideration, alleging that the hearing officer had made a clear mistake of law in failing to determine whether Mackey's retirement was voluntary or involuntary. The Commission granted the motion and, after a hearing, vacated the award, finding (1) Mackey's retirement was unrelated to her injuries and was hence voluntary, and (2) Mackey's voluntary retirement foreclosed PTD compensation. Mackey filed a complaint in mandamus in the court of appeals, which the court denied. The Supreme Court affirmed, holding that the Commission did not abuse its discretion in (1) reopening the issue of Mackey's PTD eligibility in order to consider the effect of her retirement upon it, and (2) finding that Mackey's retirement was voluntary.



Court: Ohio Supreme Court
Docket: 20101535
 October 4, 2011
Judge: Per Curiam
Areas of Law: Government & Administrative Law, Injury Law, Insurance Law, Labor & Employment Law
In 1970, while working for Employer, Employee was injured. In 1989, Employee retired. In 2008, Employee applied for permanent total disability (PTD) compensation. The Industrial Commission of Ohio concluded that Employee was permanently and totally disabled without ruling on the credibility of the assertion that Employee retired because of his injury or determining whether his retirement was voluntary or involuntary. The court of appeals granted Employer a limited writ of mandamus that vacated the Commission's order and ordered the Commission to reconsider the matter. The Supreme Court affirmed the court of appeals, holding that because a voluntary retirement from the work force prior to asserting PTD precludes the payment of compensation for that disability, the court of appeals was correct in ordering further consideration of whether Employee retired because of his injury and whether his retirement was voluntary.



Court: Oklahoma Supreme Court
Docket: 108017
 October 4, 2011
Judge: Kauger
Areas of Law: Labor & Employment Law, Public Benefits
Petitioner Ruben Espinosa sought permanent partial disability benefits for injuries to his hands, arms, and shoulders. The Workers' Compensation Court awarded benefits, but a three-judge en banc panel reduced the award to account for Petitioner's previously awarded benefits for injuries to other parts of his body. The Court of Civil Appeals vacated the panel, determining that both the trial court and the panel misapplied the applicable statute. The Supreme Court granted certiorari to resolve a conflict between two Court of Civil Appeals' opinions with differing interpretations of the limitations provided in the applicable statute. Upon review, the Supreme Court held that when the Workers' Compensation Court awards compensation for an accidental personal injury or occupational disease, pursuant to 85 O.S. 2001 Sec. 22(7), the sum of all permanent partial disability awards is limited to a total of 100% or 520 weeks (10 years) for any individual, but awards against the Multiple Injury Trust Funds, or awards for amputations and surgeries are excluded from both limitations.



Court: Oregon Supreme Court
Docket: S059056
 October 6, 2011
Judge: DeMuniz
Areas of Law: Government & Administrative Law, Labor & Employment Law, Public Benefits
Petitioners sought judicial review of a final order of the Public Employees Retirement Board (PERB). They contested the reduction of their retirement benefits as a result of PERB's efforts to recoup benefit overpayments that Petitioners had received because of an erroneous 20 percent earnings credit for 1999. The Court of Appeals certified the matter to the Supreme Court, and upon review of the applicable legal authority, the Supreme Court affirmed PERB's final order.



Court: Oregon Supreme Court
Docket: S058881
 October 6, 2011
Judge: DeMuniz
Areas of Law: Government & Administrative Law, Labor & Employment Law, Public Benefits
This opinion consolidated two cases brought before the Supreme Court on certified appeals from the Court of Appeals. Both cases involved the Public Employees Retirement Board's (PERB or the Board) revision or reduction of benefits with respect to "Window Retirees." These cases involved the Board's efforts to recoup overpayments of benefits to retirees that were predicated on a 20 percent earnings credit for calendar year 1999 that the Board approved by order in 2000. PERB sought to recoup these overpayments to the Window Retirees through an overpayment recovery mechanism set out in ORS 238.715.2. A number of members challenged the statutory mechanism for returning the payments, and the methodology the Board used in making its individualized determinations. Upon review, the Supreme Court determined that the trial court correctly granted summary judgment to the "Arken defendants" on all four of the claims raised by the "Arken plaintiffs." Furthermore, the Court determined that the trial court erred in granting summary judgment to the "Robinson petitioners" on their claims for relief. Because the Court concluded that PERB correctly applied ORS 238.715 to recoup overpayments that were made to the Window Retirees based on the 20 percent earnings credit for 1999, the Court also determined that the trial court erred in denying PERB's cross-motion for summary judgment.



Court: Utah Supreme Court
Docket: 20100211
 October 4, 2011
Judge: Parrish
Areas of Law: Contracts, Injury Law, Insurance Law, Labor & Employment Law
The underlying dispute in this appeal revolved around the issue of who was contractually obligated to pay workers' compensation benefits to an employee of Employer. The Supreme Court found that Employer's Insurer was required to pay workers' compensation benefits for all of Employer's employees and remanded the case. The district court entered a final judgment. Instead of filing a notice of appeal within thirty days of the district court's judgment, Insurer filed an "objection to judgment." Insurer then filed its notice of appeal within thirty days of the district court's order disposing of that motion. The Supreme Court dismissed the appeal, holding that it lacked jurisdiction to address the appeal as (1) Insurer did not file its notice of appeal within thirty days of the district court's final judgment, and (2) Insurer failed to file a postjudgment motion that would toll the time for appeal or one that the Court had jurisdiction to review.


Oct 7, 2011

Injury on the job may not qualify for accidental disability retirement benefits


Injury on the job may not qualify for accidental disability retirement benefits
Silver-Smith v McCall, 298 AD2d 696

Fred Silver-Smith, a court officer, applied for accidental disability retirement benefits as a result of an injury that he sustained in the course of physically restraining and removing an unruly prisoner from the courtroom where he was working. His application was rejected by the Employees' Retirement System because "the incident involved a risk inherent in [Silver-Smith's] employment and did not constitute a qualifying accident as that term is used in Retirement and Social Security Law Section 605-a."

Quoting from McCambridge v McGuire, 67 NY2d 563, the Appellate Division said that for the purposes of establishing a valid claim for an accidental disability retirement benefit, the individual must demonstrate that he or she was the victim of "a precipitating accidental event ... which was not a risk of the work performed."
Since Silver-Smith's injury was conceded to have occurred as the result of his having restrained a person who was threatening the peace and security of a court proceeding, and this activity was a regular, though infrequent, part of his duties, the court ruled that his injury "resulted from a recognized risk inherent in [Silver-Smith's] normal duties and thus was not an accident within the ambit of the statute."

Although the specific outburst which required Silver-Smith's intervention in this instance was abrupt and unexpected, the court said that the "maintenance of order by restraining unruly persons in the courtroom was a recognized part of his normal duties." Accordingly, the Appellate Division ruled that there is substantial evidence supporting the Comptroller's determination that Silver-Smith did not qualify for accidental disability retirement benefits.

State Insurance Fund penalized for unilaterally discontinuing claimants workers’ compensation benefits


State Insurance Fund penalized for unilaterally discontinuing claimants workers’ compensation benefits
Matter of Gillan v New York State Dept. of Corrections, 2011 NY Slip Op 06959, Appellate Division, Third Department

Dennis Gillan, correction officer employed by the New York State Department of Corrections suffered a work-related injury and was receiving workers’ compensation benefits from the State Insurance Fund [SIF], the Department’s workers' compensation carrier based on a determination that he had a “permanent partial disability.”

SIF, however, subsequently unilaterally stopped paying compensation benefits to Gillan on the basis that a "fraud referral" concerning Gillan had been submitted by the Orange County District Attorney's office. It is undisputed that all criminal charges stemming from this referral were dismissed.

Gillan, alleging that SIF had improperly suspended compensation payments without following proper procedures, was awarded back benefits by a Workers’ Compensation Law Judge and the SIF was penalized the Fund for the unilateral suspension. Ultimately the Law Judge scheduled a hearing on the issue of whether Gillan had fraudulently filed claims for workers’ compensation benefits and found that he had not violated Workers' Compensation Law §114-a. The Workers’ Compensation Board affirmed the Law Judge’s decision and both the Department and SIF appealed that ruling.

In response to the Department’s and SIF’s appeal from the Board’s decision, the Appellate Division held that the Board’s decision regarding an alleged violation of Workers’ Compensation Law §114-a “will not be disturbed if substantial evidence supports it” and dismissed the appeal.

The court found it “significant that the Board, which ‘is the sole arbiter of witness credibility’ credited both [Gillan’s] testimony and the extensive medical proof in the record establishing his partial disability.”

The Appellate Division then examined the Department’s and SIF’s remaining arguments, including their contention that the Board erred in not finding that Gillan voluntarily withdrew from the workforce and their challenge to the denial of the Department’s application for full Board review and found them “to be unpersuasive.”

The court also noted that although SIF was provided with an opportunity to have Gillan reexamined by an independent medical examiner, it did not do so and instead chose to have the medical practitioner review Gillan’s medical file and videotaped surveillance footage. In the absence of an actual physical examination, the Worker’s Compensation Board specifically found the resulting report “to be of little weight” and declined to credit it.

NYSUT not a public employer within the meaning of the Taylor Law

NYSUT not a public employer within the meaning of the Taylor Law
Mtr. of Curtis Birthwright and NYSUT, PERB Case U-26457

The Board affirmed the Decision of the Director of Public Employment Practices and Representation (Director) dismissing as deficient Birthwright's improper practice charge alleging that NYSUT violated §§209-a.1(a), (b) and (c) and 209-a.2(a), (b) and (c) of the Public Employees' Fair Employment Act (Act). The Director dismissed the alleged violations of §209-a.1 of the Act as NYSUT is not a public employer within the meaning of the Act and the §209-a.2 allegations as NYSUT is not a public employee organization and owes no duty of fair representation to Birthwright. The Board reiterated that timely service upon other parties is a component of timely filing and that exceptions that have not been timely served will be denied, even if no objection to failure of service is received from the other parties to the proceeding. Birthwright filed exceptions with the Board on January 31, 2006, however, his exceptions were not served on NYSUT until March 2, 2006. The exceptions, not having been timely served on NYSUT, were denied. 


Judicial review – credibility of a witness

Judicial review – credibility of a witness
Danahy v Kerik, 298 A.D.2d 278


Assuming a public employer follows proper procedure, what must be shown to sustain discipline it invoked under Section 75 of the Civil Service Law? Historically the courts have indicated that as long as there is substantial evidence supporting the finding(s) of fact and that the disciplinary penalty imposed did not violate the Pell standard, they will not disturb the decision of the employing body.

Under the Pell standard, the Court will not substitute its judgment as to appropriate disciplinary action for that of the employing body unless the discipline is so harsh as to "shock one's sense of fairness."

What happens, however, when there is an issue concerning the credibility of a witness's testimony? In Danahy, the Appellate Division reaffirmed its long-standing position that it will not overrule a hearing officer who decides to credit one witness's testimony over another's. In other words, the trier of the case's decision as to creditability will prevail unless the challenging party can demonstrate that such reliance was manifestly improper, a difficult task at best.

Disciplinary charges alleging misconduct were filed against a New York City police officer, Kevin Danahy. The hearing officer found Danahy guilty of the charges -- he used excessive force in making an arrest -- and recommended that Danahy be suspended for 20 days without pay. The Police Commissioner accepting the hearing officer's findings and recommendation.

Danahy had testified that he didn't strike or otherwise injure the complainant, but rather he and the complainant merely fell to the ground while the complainant was flailing his arms in an attempt to avoid being handcuffed. The hearing officer, however, rejected Danahy's version of the event and found him guilty of the charges.

Danahy commenced an Article 78 proceeding challenging the ruling, contending that (1) the decision wasn't supported by substantial evidence and that (2) the discipline imposed violated the Pell Standard. The Court said that it would not disturb the hearing officer's determination as to the credibility of witnesses and that the 20-day suspension did not violate the Pell Standard.

Typically the courts will consistently defer to a hearing officer with respect to the determinations concerning the credibility of the witness testifying in a Section 75 disciplinary hearing. Essentially, where the court determines that there is substantial evidence to support the hearing officer's findings and establish guilt, the critical question becomes whether or not the penalty imposed reasonable under the circumstances.

In this instance the Appellate Division held that a suspension for 20 days without pay "did not shock its sense of fairness" and sustained the Commissioner's determination.



Oct 6, 2011

Termination of an employee during a probationary period or traineeship

Termination of an employee during a probationary period or traineeship
Dasey v Anderson, CA1, 304 F.3d 148

What are the rules governing the dismissal of a person permanent appointed to his or her position during his or her probationary period?

Are the same principles applied in cases involving an individual who is required to satisfactorily complete a traineeship as a condition of employment?

The Dasey case provides an opportunity to consider these questions.

The individual was dismissed from his position as a probationary state trooper on the grounds that he made a material misstatement in his employment application.

According to the U.S. Circuit Court of Appeals' decision, the individual had satisfactorily completed his training at the Massachusetts State Police Academy and was enlisted as a probationary uniformed member of the Massachusetts State Police [MSP]. In the course of completing his employment application for State Trooper, the trooper stated that he did not use illegal drugs and, during the preceding five-year period, had not "used, possessed, supplied or manufactured any illegal drugs."

On September 14, 1999, while the trooper was still in probationary status, MSP's review of a videotape that had been seized by state troopers while executing a search warrant in an unrelated homicide investigation. The videotape "revealed Dasey and others apparently smoking marijuana." MSP deemed Dasey as having made a false material statement when he denied prior drug use during the application process and he was given a "general discharge" from the MSP effective close of business September 14, 1999.

Dasey sued MSP, claiming it had violated federal and state laws by failing to provide him with a pre-termination hearing. A federal district court judge granted MSP's motion for summary judgment dismissing Dasey's petition, explaining that while in probationary status Dasey had no reasonable expectation of continued employment and thus he had no constitutionally protected property interest in his job. The Circuit Court of Appeals affirmed the District Court's ruling.

Dasey also contended that he was entitled to a hearing was based on a provision in the collective bargaining agreement [CBA] negotiated by the MSP and the union. The CBA included a "bargained-for extension of the right to a pre-termination hearing" to all troopers. In response to this argument the Circuit Court of Appeals held that:

Because neither the collective bargaining agreement nor the MSP's customs and practices provided Dasey with a reasonable expectation of continued employment, he had no constitutionally protected property interest in his job. Absent such an interest, he had no right to a pre-termination hearing.

The general rule in New York State is that a permanent appointee whose employment is subject to the disciplinary provisions set out in Section 75 of the Civil Service Law is entitled to notice and hearing before he or she may be terminated for disciplinary reasons. While serving his or her probationary period, however, an individual permanently appointed to such a position may be dismissed without notice and hearing for any lawful reason after he or she has completed the minimum period of probation and prior to the end of his or her maximum period of probation.

In contrast, if the appointing authority wishes to dismiss a probationary employee before he or she has completed the minimum period of probation, the courts have held that the individual is entitled to notice and a pre-termination hearing.

Another factor might be relevant in cases of probationary employment - traineeship requirements.
In Franks v South Beach Psychiatric Center, Supreme Court, Richmond County, the interrelationship between temporary service, permanent appointment, trainee status and probation was considered.

Franks had been appointed as a Mental Hygiene Therapy Aide Trainee. This appointment involved the satisfactory completion of a one-year training period.

Because of outstanding preferred lists, Franks was initially appointed to his position as a temporary employee pending canvass of the preferred lists and he commenced his "traineeship" in the position. On January 21, 1984, some three months later, Franks was "permanently appointed" to the position, subject to the successful completion of a 52-week probationary period.

On January 2, 1985 Franks was terminated from his position without any hearing because of his alleged failure to satisfactorily complete the probationary period.

Franks claimed that his period of probation had to coincide with his training period and since he had completed his training period in October 1984, he was not a probationary employee at the time of his termination. Accordingly, he argued, he could not be discharged without notice and hearing.

The Appellate Division ruled that there was no merit to Franks' argument. Why? Because, explained the court, under the controlling probationary rules, the probationary period for a trainee is from 26 to 52 weeks or the length of the training period, which ever is longer. As Frank's permanent appointment did not become effective until January 21, 1984, (at which time he was still a trainee) his 52-week probationary period would not end until January 20, 1985. Accordingly, his termination without any hearing on January 2, 1985, was made while he was still a probationary employee and was therefore lawful.

The Franks decision supports the proposition that a traineeship and the probationary period are two different conditions of employment For example, a trainee may be serving as a provisional employee, complete the traineeship, and later take and pass the required examination and subsequently be appointed on a permanent basis.

His or her required probationary period pursuant to Section 63 of the Civil Service Law would commence upon the individual's permanent appointment to the position, notwithstanding the fact that he or she may have already successfully completed the required traineeship.

By the same token, if a traineeship extends beyond the probationary period, the individual may be subject to termination without notice and hearing if he or she fails to complete the traineeship satisfactorily.

Another case that distinguishes between probationary status and traineeship status is Sergeants v Brooklyn Developmental Center, 56 NY2d 628.

In Sergeants, a number of probationary employees were terminated at the end of their respective probationary periods. They sued for reinstatement contending that they had not been provided with the 200 hours of training required by department regulations.

Dismissing their appeal, the Court of Appeals first affirmed the principle that "... the employment of a probationary employee may be terminated at the end of the probationary term without a hearing and without specific reasons being stated."

The court then rejected Sergeants' "traineeship argument," commenting that the mandated training involved would not have addressed the particular demonstrations of poor performance leading to their respective terminations. The evidence in the record, said the court, indicated that the poor performance was related "to fitness for the position" rather than job performance elements that the training provided for by regulation could remedy.

Among the examples of poor performance cited by the court were sleeping on the job, habitual lateness, unscheduled absence, failure to perform overtime assignments and similar poor work habits.

The decision also indicated that the only issue for review was whether the appointing officer acted in good faith in terminating the employee.

The lesson here: Satisfactory completion of probation and satisfactory completion of a traineeship are two different requirements that must be met by the appointee and he or she must satisfy both in order for a permanent appointee to be continued in service.
Where the successful completion of a traineeship is required in order to be continued in service, however, that condition should be communicated to the individual in the examination announcement or in the offer of his or her appointment to the position.

As to the authority for requiring the completion of a traineeship, the rules of the State Civil Service Commission concerning traineeships are set out in 4 NYCRR 4.3 and provide as follows:

Section 4.3 Trainee appointments and promotions. The Civil Service Department may require that permanent appointments or promotions to designated positions shall be conditioned upon the satisfactory completion of a term of service as a trainee in such a position or in an appropriate, lower, training title or the completion of specified training or academic courses, or both. The period of such term of training service shall be prescribed by the department. Upon the satisfactory completion of such training term, and of specified courses if required, an appointee shall be entitled to full permanent status in the position for which appointment was made. Any appointment hereunder shall be subject to such probationary period as is prescribed in [Section 4.5 of] these rules. Also, the employment of such person may be discontinued at the end of the term of training service if his conduct, capacity or fitness is not satisfactory, or at any time if he fails to pursue or continue satisfactorily such training or academic courses as may be required.

Many municipal civil service commissions have adopted similar rules concerning traineeships.

Employees assumed to have knowledge of their employer's policies

Employees assumed to have knowledge of their employer's policies
Gallagher v Commissioner of Labor, 298 A.D.2d 828

Robert J. Gallagher was suspended from his position as a senior insurance examiner after criminal charges were filed against him. The criminal charges alleged that he had purchased and sold stock options in an insurance company that was regulated by his employer, the New York State Department of Insurance.

Gallagher filed for unemployment insurance benefits but his application was denied. He appealed to the Unemployment Insurance Appeal Board. In his appeal Gallagher admitted to his buying and selling stock options in a company that was regulated by the State Department of Insurance but claimed that he did not know that such conduct was prohibited at the time.

Accordingly, he contended, he should not be deemed culpable to the point that he was ineligible for unemployment insurance benefits.

The Board, however, denied Gallagher's appeal seeking unemployment insurance benefits after it determined that he had engaged in disqualifying misconduct. Gallagher sued, challenging the Board's ruling.

In the words of the Appellate Division,

It is well settled that "[a]n employee's apparent dishonesty or failure to comply with the employer's established policies and procedures can constitute disqualifying misconduct"

The Appellate Division said the record established that not only were such transactions were against the employer's policies, -- they were unlawful. Further, the job description of Gallagher's position and his responsibilities required him to understand the Insurance Law.

In effect, the court said that Gallagher, serving as a Senior Insurance Examiner, would be deemed to have knowledge of the relevant Insurance Department policies and the Insurance Law.

Under the circumstances, said the court, substantial evidence supports the Board's decision that Gallagher knew or should have known that his actions were prohibited. It sustained the Commission's decision and dismissed Gallagher's appeal.

Employer's liability for employee’s off-duty conduct

Employer's liability for employee’s off-duty conduct
Perez v City of New York, App. Div., 1st Dept., Docket #1973

In Donahue v Young, Appellate Division, Second Department, Docket 2001-09542, the court held that a municipal employer was not liable under the doctrine of respondent superior[1] when one of its firefighters, while off duty, assisted in extinguishing a fire and in the course providing such assistance, injured a third party. However, the Perez ruling suggests that the courts may view this type of situation differently when the employee in question is a police officer.

In essence, the doctrine "respondeat superior" embraces the concept that the employer is responsible for the actions of its employees.

In the process of making an arrest while off-duty, a New York City police officer, shot and killed an innocent bystander. While not specifically holding that the City was liable for the police officer's action, the Appellate Division did say that the fact that the officer was making an arrest was in and of itself enough to raise a "triable issue" as to whether the City was liable under the theory respondent superior.

The court indicated that "there were substantiated complaints pre-dating the shooting of Perez lodged against the police officer with the Civilian Complaint Review Board." Accordingly, said the Appellate Division, there were issues of fact as to whether the City negligently trained the officer and, or, negligently retained him in its employ.

The Legislature has often provided special benefits for law enforcement and firefighting personnel. For example, Article 14 of the New York State Civil Service Law provide unionized firemen and unionized police the right to interest arbitration regarding terms and conditions of employment whereby other unionized public employees do not. Also, both law enforcement and firefighting personnel enjoy eligibility for special benefits under Sections 207-a and 207-c of the General Municipal Law if they are injured in the course of their employment.

As in Donahue, the police officer was performing a duty he would otherwise perform if officially on duty in the course of which a third party was injured or otherwise harmed. While the Court did not affirmatively decide that the City was culpable, it is clearly stating that there is a legitimate question as to whether the doctrine of respondeat superior applied.

New York State courts have long held that police officers are legitimately held to a higher standard than other public employees for the purposes of discipline. This decision suggests that a law enforcement agency may also be held to a higher standard than other public employers when one of its officers causes an injury to someone while the employee was off duty.

[1] In essence, the doctrine "respondeat superior" expresses the concept that the employer is responsible for the actions of its employees performed in the course of their regular duties.

Oct 5, 2011

Public employee must serve in a “safety-sensitive” position in order to be subject to random testing for alcohol or unlawful drugs

Public employee must serve in a “safety-sensitive” position in order to be subject to random testing for alcohol or unlawful drugs
New York City Department of Transportation v R.B., OATH Index #1215/11

R.B., a maintenance worker employed by the Staten Island Ferry Division of the Department of Transportation was served with disciplinary charges after testing positive for marijuana in a random drug test.

R.B. challenged the Division’s subjecting him to a random drug and alcohol test that led to the disciplinary action, contending that as he did not serve in a “safety-sensitive” position as he did not perform work on the ferries or on ferry equipment and thus subjecting him to such testing was an unreasonable search under the Fourth Amendment to the United States Constitution.

OATH Administrative Law Judge Faye Lewis agreed, holding that because R.B. duties were custodial in nature, performed in the ferry buildings and grounds under direct supervision, subjecting him to such random testing violated his rights under the federal Constitution. Judge Lewis sustained R.B.'s motion to dismiss the disciplinary charges filed against him.

The Court of Appeals had approved random drug testing in specific instances such as the testing of law enforcement personnel assigned to narcotics interdiction [see Caruso v Ward, 72 NY2 432]. In contrast, in the Patchogue-Medford Congress of Teachers case, 70 NY2d 57, the court held that reasonable expectations of privacy required probable cause to permit the school district to require probationary teachers to undergo random testing for unlawful drugs.

As the Court of Appeals held in Delaraba v Nassau County Police Department, 83 N.Y.2d 367, “[i]t is well established law that random drug screening constitutes a search and seizure within the meaning of the Federal and State constitutions (National Treasury Employees Union v Von Raab, 489 US 656; Matter of Caruso v Ward, 72 NY2d 432). The guarantee against unreasonable searches and seizures found in both the State and Federal Constitutions (NY Constitution, Article 1, 12; US Constitution, 4th Amend) is designed to protect the personal privacy and dignity of the individual against unwarranted intrusions by the State (Matter of Abe A., 56 NY2d 288; Matter of Patchogue-Medford Congress of Teachers v Board of Education of the Patchogue-Medford Union Free School District, 70 NY2d 57, 64).

“A three-pronged standard of review was articulated in Patchogue-Medford as it related to all probationary teachers eligible for appointment to submit to a urine test for the purpose of detecting potential drug abuse. This Court, invalidating the plan, held that a drug screening plan must be closely scrutinized and permitted only where: (1) the individual's privacy interests are minimal, (2) the government's interests are substantial, and (3) safeguards are in place to ensure that the individual's reasonable expectations of privacy are not subject to unregulated discretion (Patchogue-Medford, supra at 70).”

The general rule in New York State with respect to requiring a "non-security or safety sensitive" public employee to submit to random drug tests is that except where a negotiated agreement or statute authorizes or requires random drug testing, a public employer must have reasonable cause or justified suspicion to require an employee to take an involuntary drug test.

The R.B. decision is posted on the Internet at:

Individual disciplined for off-duty misconduct

Individual disciplined for off-duty misconduct
Mahadio v Kerik, 298 A.D.2d 305

New York City police officer was served with disciplinary charges that alleged that while he was off-duty, he "wrongfully and without just cause displayed his weapon while making a threatening remark to a civilian" ... and that he addressed persons ... in an ethnically offensive manner.

Found guilty, Police Commissioner Bernard B. Kerik imposed the penalty of a forfeiture of 25 vacation days. The officer appealed, only to have the Appellate Division unanimously confirmed the Commissioner's determination.

The court said that substantial evidence supported the Commissioner's decision and that there was no basis to disturb his determination concerning the credibility of the witnesses testifying. As to the penalty imposed, the Appellate Division said that the forfeiture of 25 days of leave did not shock its sense of fairness, citing Kelly v Safir, 96 NY2d 32.

Determining member service credit for retirement


Determining member service credit for retirement
Panigrosso v McCall, 298 A.D.2d 797

The Panigrosso case concerned determining the eligibility of a disabled individual for ordinary disability retirement benefits.

Vincent A. Panigrosso, Jr., was employed in the Putnam County Highway Department as a mechanic's helper. In November 1996, while attempting to remove a tire, another tire, which had been leaning against a wall, began to fall toward him. Panigrosso attempted to catch the falling tire and in so doing he injured his back to the extent that he required surgery.

On June 24, 1997, while again attempting to remove a tire from its rim, Panigrosso experienced pain in his back, left work and never returned. He filed an application for accidental disability retirement benefits contending that he was permanently disabled as a result of his November 1996 and June 1997 "accidents."

Panigrosso subsequently filed a second application, this time seeking ordinary disability retirement [ODR] benefits. He claimed eligibility for ODR benefits because he said that he had completed 10 years of service credit and thus was not required to show that he was disabled as the result of a job-related accident.

Ultimately both applications were rejected. The Retirement System decided that:

1. Both of Panigrosso injuries occurred while he was performing the customary duties of his employment and, hence, the underlying incidents could not be deemed "accidents" within the meaning of Retirement and Social Security Law Section 605(b)(3); and

2. Panigrosso had not accumulated the required ten years of member service credits to be eligible for ordinary disability retirement. [Also, it should be noted that Panigrosso was not actually "in service" at the time he applied for ODR benefits.]

As to Panigrosso's accidental disability claim, the Appellate Division ruled that the November 1996 and June 1997 incidents did not constitute "accidents" within the meaning of Section 605(b)(3). In the words of the court:

An "accident" is a sudden, fortuitous, out of the ordinary and unexpected event that does not result from an activity undertaken in the performance of ordinary employment duties. Here, the record reveals that ... both incidents in question occurred while [Panigrosso] was performing his usual employment duties.

As to Panigrosso's eligibility for ODR claim, the court said that the record clearly indicated that Panigrosso did not accumulate 10 years of service credit with the Retirement System.

Panigrosso had begun his employment with Putnam County in January 1990 and was removed from the payroll in August 1997. Once petitioner was off the payroll, he stopped accumulating service credit. Not having at least 10 years of member service credit, the Appellate Division ruled that he was clearly ineligible for an ordinary disability retirement allowance.

Union animus


Union animus
CSEA Local 1000 and Town of North Hempstead, 35 PERB 3027

PERB rejected its Administrative Law Judge's conclusion that the Town of North Hempstead was guilty of union animus based on a finding that "but for" the union's president using "union business" release time, he would not have been involuntarily transferred to another unit because the Town's explanation for the transfer -- the need to reorganize a department -- was "largely unrebutted by the Union" and thus there was no basis to hold that the transfer was the result of improper motivation on the part of the Town. 

Oct 4, 2011

Basis for workers' compensation award


Basis for workers' compensation award
Scofield v City of Beacon Police Dept., 290 A.D.2d 845

A police officer is awarded a "scheduled loss" by the Workers' Compensation Board. As the Scofield decision demonstrates, under certain circumstances the employer may be entitled receive all or a portion of the award granted to the police officer in consideration of the salary payments it made to the officer as a result of his or her injury.

City of Beacon police officer Glenn Scofield suffered a work-related injury to his left knee. A year later he injured the same knee at work. In both instances he was "paid his regular wages pursuant to Section 207-c of the General Municipal Law" [GML].

The two relevant statutes in Schofield's case: GML Section 207-c and Section 30 of the Workers' Compensation Law [WCL].

GML Section 207-c provides for the continuation of a police officer who is injured in the line of duty on the payroll at full salary. WCL Section 30 provides that "(3) ... any salary or wages paid to, or the cost of any medical treatment or hospital care provided ... pursuant to [GML Section 207-c] shall be credited against any award of compensation ... under this chapter."

This provision, said the court, was added to the WCL to avoid any duplication of benefits paid to an injured police officer, as the combined total of GML and WCB benefits might exceed the salary the officer would have received for the period had the injury not occurred.

Following the second injury, the Workers' Compensation Board granted Schofield a 15% schedule "loss of use award" for the injury to his left leg. Beacon, citing WCL Section 30, asked for reimbursement from Schofield's schedule award for the compensation it had paid to Schofield after both injuries.

Although the award was based on Schofield's physician's opinion that his second injury "was caused entirely by the first injury," Schofield argued that Beacon's right to reimbursement from the award was limited solely to the wages Beacon paid to him prior to his second injury.

The Workers' Compensation Board disagreed. It said that the second injury was a consequence of the initial injury, not a new injury, and therefore, the two files should be combined. As a result, Beacon was held entitled to Section 30 reimbursement for all the wages it paid to Schofield "on the combined files."

The Appellate Division affirmed the Board's determination since "[w]hether a second injury is a consequence of an earlier one is a factual issue for the Board to resolve."

The court said that while a finding of consequentiality does not necessarily resolve the issue of reimbursability, "where, as here, both injuries were directly related to the impairment upon which the schedule award was based, full reimbursement is appropriate."

Random drug test administered pursuant to a settlement agreement of a disciplinary action


Random drug test administered pursuant to a settlement agreement of a disciplinary action
Gluck v Suffolk County Community College, Supreme Court, Ia Part 26 [Not selected for publication in the Official Reports]

An individual was terminated from his position of laborer by the Suffolk Community College [SCCC]. He sued, seeking reinstatement with full back pay and benefits.

The court noted that in connection with an unrelated matter, and the individual and SCCC entered into a stipulation in lieu of a disciplinary proceeding that provided as follows:

The employee will receive a (12) twelve month period of probation beginning upon the full execution of this agreement. During the period of probation the employee shall be subject to random drug and alcohol testing, wherein should the employee test positive on a drug/alcohol test, he shall be immediately terminated without the benefit of a hearing or any other protection afforded under Civil Service law or the Collective Bargaining Agreement.

The settlement agreement also provided that the employee's probationary period would begin upon his return to work in a full duty capacity. The employee reported for work on April 3, and was asked to submit to a drug and alcohol test. According to the ruling, the employee's urine specimen registered a temperature that was "out of range." He was asked to provide another urine sample for testing.

The employee was told that his refusal to take the test would be considered an automatic positive test result, which in turn would bring about his immediate suspension without pay. He agreed to provide a second urine specimen. However, he did not allow his supervisor to witness his providing the sample. The second sample was also "out of range" and the employee left the laboratory.

SCCC argued that the employee's failure to provide a witness-validated urine sample constituted a failure to cooperate with the sample collection procedure. This, SCCC said, was tantamount to the employee's refusal to submit to the test and the employee had been warned that his refusal to submit to the test would be deemed a positive test and would result in his immediate suspension without pay. Ultimately SCCC terminated the employee.

The employee sued, contending that he willingly gave both samples and was told by laboratory personnel that he was free to leave. He claimed that he had "no qualms about giving the samples because he had no history of drug use and does not abuse alcohol" and thus SCCC's decision to terminate him was arbitrary and capricious.

The court decided that “the record here, which must include the federal guidelines that apply to drug testing in the workplace,” demonstrates that SCCC's decision to terminate the employee was neither arbitrary nor capricious.

The employee, said the court, had agreed, as part of the disciplinary settlement stipulation he signed in February, to submit to random drug and alcohol testing. What happened on April 3, under the guidelines utilized by the laboratory facility conducting the test, was tantamount to a refusal to submit to such testing. As the employee was told what would happen under the circumstances, his conduct violated the terms of the stipulation.

The court's conclusion: there was a rational basis for SCCC's terminating the employee and his petition had to be dismissed.

Filing a notice of claim


Filing a notice of claim
Sangermano v BOCES of Nassau County, 290 AD2nd 498

Section 3813(1) of the Education Law requires that an individual who plans to sue a school district or a BOCES file a timely notice of claim with the entity he or she seeks to sue prior to initiating his or her lawsuit. Does this requirement apply to complaints alleging a violation of a human rights law?

Former Nassau County BOCES employee Michael Sangermano learned that sometimes the answer is yes, sometimes it is no, depending on the nature of the claim.

Sangermano sued the BOCES in an effort to recover damages for what he alleged constituted employment discrimination in violation of Executive Law Section 296, and violations of his right to due process pursuant to 42 USC 1983.

The Appellate Division said that the Supreme Court correctly granted BOCES' motion to dismiss Sangermano's claims alleging that the BOCES violated the Executive Law because he failed to file a timely Section 3813(1) notice of claim.

These claims alleged that Sangermano suffered constructive termination as a result of racial discrimination by the BOCES in violation of Section 296 of the Executive Law.

Citing Mills v County of Monroe, 59 NY2d 307, the Appellate Division deposed of this aspect of Sangermano's lawsuit when it held that:

Where a plaintiff seeks private relief, damages, or reinstatement for employment discrimination in violation of the Executive Law, the filing of a timely notice of claim is a condition precedent to [his or her filing] suit.

Sangermano's second claim alleging that he was forced to resign from his employment without having been afforded the "procedural safeguards and a right to be heard prior to termination" as guaranteed by a federal civil rights law, 42 USC1983, survived notwithstanding the fact that he had not filed a Section 3813(1) claim with the BOCES.

The court said that such a notice of claim requirement is inapplicable to claims filed pursuant to 42 USC 1983.

Oct 3, 2011

Historic documents concerning the Civil Service Employees Association, Inc. on file at SUNY at Albany

Historic documents concerning the Civil Service Employees Association, Inc. on file at SUNY at Albany
Source: Archives of Public Affairs and Policy – SUNY at Albany

For those involved in researching the history of public sector labor relations in New York State, the M. E. Grenander Department of Special Collections at State University at Albany offers a collection of materials concerning the Civil Service Employees Association, Inc., American Federation of State, County, and Municipal Employees Local 1000, on microfilm dating back to 1918.

All microfilm items in the manuscript group (with the exception of the Meeting Transcripts which were microfilmed by CSEA) were lent to the University Libraries, M.E. Grenander Department Special Collections and Archives, by the Civil Service Employees Association, Inc. (CSEA), AFSCME Local 1000, and subsequently microfilmed as a part of the Harry Van Arsdale, Jr., Labor History Project.

The original documents supplied by CSEA were returned to it after they were microfilmed. All other records were donated to the University Libraries between 2005 and 2010. 

Click here March for a sample publication from the collection.

The records were compiled by La Nina M. Clayton and revised by Sarah Cross, Devin Lander and Melissa McMullen. An index of the materials available is posted on the Internet at http://library.albany.edu/speccoll/findaids/apap015.htm

The library is located at 1400 Washington Avenue, Albany, New York 12222. For information concerning the collection, call the library staff at 518 - 437-3935

Available administrative appeal procedures must be exhausted before filing an appeal with the Commissioner of Education


Available administrative appeal procedures must be exhausted before filing an appeal with the Commissioner of Education
Appeal of Nayana Vyas from action of the New York City Department of Education, Superintendent Elena Papaliberios, and Principal Iris Blige regarding an unsatisfactory rating and other personnel matters. Decisions of the Commissioner of Education #16,306

Nayana Vyas served as a probationary mathematics teacher at Fordham High School for the Arts (“FHSA”) in the New York City School District. 

Although she was rated Satisfactory on her professional performance review and on the report of her probationary service during academic 2007-2008, the School District said that Vyas “had demonstrated difficulty in a number of areas.”

Although the School District said that Vyas “needed improvement in six areas.” She was rated satisfactory on her annual professional performance review and report on probationary service for academic 2008-2009.

During the 2008-2009 school year, petitioner also exclusively taught mathematics courses and was provided with professional development support.  On or about June 22, 2009, although petitioner received an S-rating on her annual review, she was also informed that she needed improvement in six areas. 

In September 2009, Vyas was assigned to teach remedial math, health and forensics and subsequently assigned to assist in an anatomy review course due to the unexpected resignation of the teacher assigned to that course. 

In April 2010, Vyas was offered the opportunity to enter into an extension of probation agreement because her performance had not improved, which put her at risk of being discontinued on probation. Vyas agreed to an extension of her probationary period through September 1, 2011.

In June 2010 Vyas was given “an overall U-rating on her annual review which included U-ratings in seven categories and ‘needs improvement’ ratings in four other categories.”

Asserting that her U-rating was the result of gross error, bad faith and malice by her supervisors, Vyas filed an appeal with the Commissioner of Education seeking a reversal of her U-rating and its removal from her personnel file; replacing the U-rating with an S-rating and that she be granted tenure retroactive to September 2010. She simultaneously filed an administrative appeal with the New York City Department of Education.

The Commissioner dismissed all of Vyas’ appeals except her challenge to her June 28, 2010 U-rating as either as untimely, moot or both, noting that an appeal to the Commissioner must be commenced within 30 days from the making of the decision or the performance of the act complained of, unless any delay is excused by the Commissioner for good cause shown.

Thus Vyas’ only surviving claim was her challenge to her June 28, 2010 U-rating. 

Rather than being untimely, the Commissioner, in effect, ruled that this claim was premature as Vyas had not yet exhausted her administrative remedies at the time she had filed her appeal to the Commissioner. The Commissioner noted that Vyas had appealed her U-rating through an administrative process for appealing unsatisfactory annual performance ratings “and the record does not indicate that the administrative review process has concluded.”

Accordingly, said the Commissioner, her appeal must be dismissed. 

The text of the Commissioner’s decision is posted on the Internet at:
http://www.counsel.nysed.gov/Decisions/volume51/d16306.html

Appealing a final administrative decision


Appealing a final administrative decision
Diamond v Gallagher, 291 A.D.2d 404

The Diamond decision by the Appellate Division, Second Department, demonstrates the importance of filing a timely appeal challenging an administrative determination if the individual is unhappy with the ruling.

Suffolk County sent a letter to one of its police officers, Michael Diamond, notifying him of an administrative decision to terminate him from his position. About two years later Diamond filed a petition pursuant to Article 78 of the Civil Practice law and Rules [CPLR] challenging his dismissal from the Department.

Supreme Court rejected Diamond's petition as untimely and he appealed the court's ruling to the Appellate Division. Affirming the lower court's determination, the Appellate Division succinctly set out the basic rule for filing a timely appeal of an administrative decision as follows:

1. Section 217(1) of the CPLR provides that a proceeding pursuant to CPLR Article 78 against a body or an officer must to be commenced "within four months after the determination to be reviewed becomes final and binding upon the petitioner".

2. An administrative determination is final and binding when it has an impact upon the individual and when the individual knows he or she is aggrieved.

Finding that the challenged determination became final on the effective date of Diamond termination, and that he was informed of his termination and that he acknowledged it on that date, the Appellate Division said that "the Supreme Court correctly dismissed the proceeding commenced over two years later as untimely."

Qualifying for promotion examination


Qualifying for promotion examination
Liebe v Nassau County CSC, 291 A.D.2d 451

Richard Liebe asked the Nassau County Civil Service Commission to add his name to the list of eligible candidates for the position of Sanitary Engineer IV. The Commission said no, it would not do so and Liebe sued.

The Appellate Division said that the Commission's refusal to add Liebe's name to the promotion list of individuals qualified for the promotion to the position of Sanitary Engineer IV was neither arbitrary nor capricious.

The court noted that Section 52.1 of the Civil Service Law provides that vacancies in the competitive class shall be filled, as far as practicable, by promotion of persons holding lower grade positions in the direct line of promotion. According to the decision, Liebe simply "did not hold a position in the direct line of promotion."

Who determines if a position is in the "direct line of promotion or not?" Section 52.1 states that the State Department of Civil Service or the Civil Service Commission having jurisdiction makes that determination.

The decision also notes that Liebe made no showing that it was impracticable or that it was against public interest for the Nassau County Civil Service Commission to limit eligibility for the promotion examination for Sanitary Engineer IV to employees in positions in the direct line of promotion.

However, there are a number of exceptions to the general rule concerning promotion from within via the direct line of promotion.

CSL Section 51.1 permits the State Department of Civil Service or a municipal commission to conduct an open competitive examination to fill a vacancy normally filled by promotion examination.

In such cases, however, any employee who believes that a promotion examination should be held to fill the vacancy may submit his or her request to the Department or appropriate municipal commission, stating the reasons why he or she believes it to be practicable and in the public interest to fill the vacancy by promotion examination.

Further, where there are less than three persons eligible for promotion in the promotion unit or department where the vacancy exists, the department or municipal commission may conduct an open competitive examination or an employee may be nominated for a noncompetitive promotion examination in accordance with the provisions of CSL Section 52.7.

Under certain circumstances the Department of Civil Service may authorize a "noncompetitive open-competitive examination" to fill the vacancy in `State Departments and Agencies' consistent with the requirements set out in the Rules for the Classified Service, 4 NYCRR 4.2(b).

A relatively rarely used type of noncompetitive examination is authorized by CSL Section 70.4. A Section 70.4 examination may be authorized in situations involving the transfer of an employee to a position in a similar grade where there is a title change. In such cases, a permanent employee in the competitive class who meets all of the requirements for a competitive examination and who is found otherwise qualified by the State Civil Service Commission or the responsible municipal civil service commission may be given a non-competitive examination to the "different position classification."

Freedom of Information in cases involving the termination of an employee – an advisory opinion

Freedom of Information in cases involving the termination of an employee – an advisory opinion
Opinion of the Committee on Open Government – FOIL-AO-16190

The staff of the Committee on Open Government is authorized to issue advisory opinions concerning the Freedom of Information Law [FOIL]. However, staff advisory opinions are based solely upon the information presented in the correspondence submitted to it by the inquirer.

The Committee was asked if a request for certain information concerning a individual terminated from public employment was available pursuant to a FOIL request, and if it is, to what extent.*

The Committee’s Assistant Director, Camille S. Jobin-Davis, responded to this inquiry as follows:

STATE OF NEW YORK
DEPARTMENT OF STATE
COMMITTEE ON OPEN GOVERNMENT

41 State Street, Albany, New York 12231
(518) 474-2518
Fax (518) 474-1927
http://www.dos.state.ny.us/coog/coogwww.html
FOIL-AO-16190

Dear

We are in receipt of your request for an advisory opinion concerning application of the Freedom of Information Law to records reflecting the underlying reason for termination of an Assistant Superintendent employed by the [named]  Board of Education. In brief, the probationary appointment of the Assistant Superintendent was terminated by resolution of the Board without explanation at a public meeting, and questions have arisen as to what information, if any, is required to be released to the public concerning the Board’s rationale for making such decision and whether the potential for litigation should impact the determination to release information. In an effort to address the concerns raised by your inquiry, we offer the following comments.

First, it is noted at the outset that the title of the Freedom of Information Law may be somewhat misleading, for it is not a vehicle that requires agencies to provide information per se; rather, it requires agencies to disclose records to the extent provided by law. As such, while agency officials may in many circumstances choose to answer questions or to provide information by responding to questions, those steps would represent actions beyond the scope of the requirements of the Freedom of Information Law. Moreover, the Freedom of Information pertains to existing records. Section 89(3) of that statute states in part that an agency need not create a record in response to a request. In short, District officials in our view would not be obliged to provide the information sought by answering questions or preparing new records in an effort to be responsive.

Second, the possibility that records sought might be pertinent to or used in litigation is, in our view, largely irrelevant. As stated by the Court of Appeals in a case involving a request made under the Freedom of Information Law by a person involved in litigation against an agency: "Access to records of a government agency under the Freedom of Information Law (FOIL) (Public Officers Law, Article 6) is not affected by the fact that there is pending or potential litigation between the person making the request and the agency" [Farbman v. NYC Health and Hospitals Corporation, 62 NY 2d 75, 78 (1984)]. Similarly, in an earlier decision, the Court of Appeals determined that "the standing of one who seeks access to records under the Freedom of Information Law is as a member of the public, and is neither enhanced...nor restricted...because he is also a litigant or potential litigant" [Matter of John P. v. Whalen, 54 NY 2d 89, 99 (1980)]. The Court in Farbman, supra, discussed the distinction between the use of the Freedom of Information Law as opposed to the use of discovery in Article 31 of the Civil Practice Law and Rules.
Specifically, it was found that:

"FOIL does not require that the party requesting records make any showing of need, good faith or legitimate purpose; while its purpose may be to shed light on governmental decision-making, its ambit is not confined to records actually used in the decision-making process (Matter of Westchester Rockland Newspapers v. Kimball, 50 NY 2d 575, 581.) Full disclosure by public agencies is, under FOIL, a public right and in the public interest, irrespective of the status or need of the person making the request.

"CPLR article 31 proceeds under a different premise, and serves quite different concerns. While speaking also of 'full disclosure' article 31 is plainly more restrictive than FOIL. Access to records under CPLR depends on status and need. With goals of promoting both the ascertainment of truth at trial and the prompt disposition of actions (Allen v. Crowell-Collier Pub. Co., 21 NY 2d 403, 407), discovery is at the outset limited to that which is 'material and necessary in the prosecution or defense of an action'" [see Farbman, supra, at 80].

Based upon the foregoing, the pendency or threat of litigation would not, in our opinion, affect either the rights of the public or a litigant under the Freedom of Information Law.
Third, as a general matter, the Freedom of Information Law is based upon a presumption of access. Stated differently, all records of an agency are available, except to the extent that records or portions thereof fall within one or more grounds for denial appearing in §87(2)(a) through (j) of the Law. Particularly relevant to an analysis of rights of access, or conversely, the ability to withhold the records sought, is §87(2)(b), which permits an agency to withhold records to the extent that disclosure would constitute "an unwarranted invasion of personal privacy".

While the standard concerning privacy is flexible and may be subject to conflicting interpretations, the courts have provided substantial direction regarding the privacy of public officers employees. It is clear that public officers and employees enjoy a lesser degree of privacy than others, for it has been found in various contexts that public officers and employees are required to be more accountable than others. With regard to records pertaining to public officers and employees, the courts have found that, as a general rule, records that are relevant to the performance of their official duties are available, for disclosure in such instances would result in a permissible rather than an unwarranted invasion of personal privacy [see e.g., Farrell v. Village Board of Trustees, 372 NYS 2d 905 (1975); Gannett Co. v. County of Monroe, 59 AD 2d 309 (1977), aff'd 45 NY 2d 954 (1978); Sinicropi v. County of Nassau, 76 AD 2d 838 (1980); Geneva Printing Co. and Donald C. Hadley v. Village of Lyons, Sup. Ct., Wayne Cty., March 25, 1981; Montes v. State, 406 NYS 2d 664 (Court of Claims, 1978); Powhida v. City of Albany, 147 AD 2d 236 (1989); Scaccia v. NYS Division of State Police, 530 NYS 2d 309, 138 AD 2d 50 (1988); Steinmetz v. Board of Education, East Moriches, supra; Capital Newspapers v. Burns, 67 NY 2d 562 (1986)]. Conversely, to the extent that records are irrelevant to the performance of one's official duties, it has been found that disclosure would indeed constitute an unwarranted invasion of personal privacy [see e.g., Matter of Wool, Sup. Ct., Nassau Cty., NYLJ, Nov. 22, 1977].

The other ground for denial of significance, §87(2)(g), states that an agency may withhold records that:

"are inter-agency or intra-agency materials which are not:

i. statistical or factual tabulations or data;
ii. instructions to staff that affect the public;
iii. final agency policy or determinations; or
iv. external audits, including but not limited to audits performed by the comptroller and the federal government..."

It is noted that the language quoted above contains what in effect is a double negative. While inter-agency or intra-agency materials may be withheld, portions of such materials consisting of statistical or factual information, instructions to staff that affect the public, final agency policy or determinations or external audits must be made available, unless a different ground for denial could appropriately be asserted. Concurrently, those portions of inter-agency or intra-agency materials that are reflective of opinion, advice, recommendation and the like could in our view be withheld. Insofar as a request involves a final agency determination, we believe that the determination must be disclosed, again, unless a different ground for denial could be asserted.

In terms of the judicial interpretation of the Freedom of Information Law, it is emphasized that in situations in which allegations or charges have resulted in the issuance of a written reprimand, disciplinary action, or findings that public employees have engaged in misconduct, records reflective of those kinds of determinations have been found to be available, including the names of those who are the subjects of disciplinary action [see Powhida v. City of Albany, 147 AD 2d 236 (1989); also Farrell, Geneva Printing, Scaccia and Sinicropi, supra].

Further, you wrote that the Board approved the following resolution: "RESOLVED, that upon the recommendation of the Superintendent of Schools, the Probationary appointment of [the probationer] and his employment shall be terminated....". Because the Superintendent’s recommendation was explicitly relied upon as the basis for termination, in consideration of judicial precedent, if the recommendation exists in writing, we believe that it must be disclosed to comply with the Freedom of Information Law.

In a decision in which an investigator's findings were adopted by the decision maker, the Borough President of Staten Island, the Appellate Division, Second Department, found that the record was public. The Court stated that:

"FOIL protects inter-agency or intra-agency materials which are not '**** final agency policy or determinations'...The exemption for intra-agency materials does not apply to final agency policy or decisions. Here, Molinari not only had relied on and incorporated the findings of the investigator, he expressly adopted them in explaining his actions. Having done so, he is precluded from claiming that the memoranda are exempt from disclosure" [New York 1 News v. Office of the President of the Borough of Staten Island, 647 NYS2d 270, 271 (1996)].

Similarly, in Miller v. Hewlett-Woodmere Union Free School District (Supreme Court, Nassau County, NYLJ, May 16, 1990), the Court determined that a recommendation that became a decision had to be disclosed, finding that:

"It is apparent that the Superintendent unreservedly endorsed the recommendation … adopting the reasoning as his own, and made his decision based on it. Assuredly, the Court must be alert to protecting 'the deliberative process of the government by ensuring that persons in an advisory role would be able to express their opinions freely to agency decision makers’...but the Court bears an equal responsibility to ensure that final decision makers are accountable to the public. When, as here, a concord exists as to intra-agency views, when deliberation has ceased and the consensus arrived at represents the final decision, disclosure is not only desirable but imperative for preserving the integrity of governmental decision making."

Based on the foregoing, if it exists, the record of the Superintendent’s recommendation must be made available to the public.

Finally, with respect to questions concerning the propriety of disclosing information acquired during an executive session we note a recent decision by the Commissioner of Education, Application of Nett and Raby (October 24, 2005), in which the Commissioner determined, in brief, that a member of a board of education may be removed from office if s/he discloses information acquired during an executive session.

In our opinion, although we are not suggesting that it be ignored, the Commissioner’s decision is erroneous, for matters discussed during executive session would be "confidential" only on rare occasions. While we would not recommend that a member of a school board should knowingly fail to comply with law, attached is an advisory opinion (OML-AO-3449) that describes in detail the rationale for our disagreement with the Commissioner. Most importantly, we do not intend to suggest that such disclosure would by uniformly appropriate or ethical; unilateral disclosure by a member of a public body might serve to defeat or circumvent the principles under which public bodies are intended to operate. Nevertheless, unless there is a statutory bar to disclosure, we do not believe that information acquired during an executive session is prohibited from being disclosed.

On behalf of the Committee on Open Government we hope this is helpful to you.

Sincerely,
Camille S. Jobin-Davis
Assistant Director
CSJ:jm
cc: Bruce Pavolow
Enc.



*One issue considered in this response: Is information discussed in an Executive Session conducted by a public body available pursuant to FOIL. According to Ms. Jobin-Davis’ advisory opinion, “unless there is a statutory bar to disclosure, the Committee does not believe that information acquired during an executive session is prohibited from being disclosed.”

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