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March 09, 2016

Resolving conflicting medical evidence submitted connection with a Workers’ Compensation Law claim is within the exclusive province of the Workers’ Compensation Board


Resolving conflicting medical evidence submitted in connection with a Workers’ Compensation Law claim is within the exclusive province of the Workers’ Compensation Board
Granville v Town of Hamburg; 2016 NY Slip Op 01373, Appellate Division, Third Department

The Town of Hamburg had employed Patrick Granville as a laborer and light equipment operator from 2003 to 2012. In May 2013, Granville filed for workers' compensation benefits claiming that he had sustained an occupational hearing loss due to exposure to loud occupational noise as a result of his operating such equipment such as heavy-duty sit-down lawn mowers, weed whackers, heavy-equipment tractors, backhoes, zambonis and air jacks.

The Town, a self-insured employer for the purposes of Workers’ Compensation, and its third-party administrator [collectively “the Town”] controverted the claim for benefits filed by Granville. The Workers' Compensation Law Judge [WCLJ] who conducted the hearing concluded that Granville had suffered a causally-related binaural loss of hearing. The Workers' Compensation Board affirmed the WCLJ’s findings.

The Town, conceding that Granville had suffered a hearing loss, appealed the Board’s decision, contending that the record as a whole:

[1] did not establish that Granville was exposed to injurious noise during the course of his employment by the Town; and 

[2] did not establish that Granville’s hearing loss was causally related to his employment.

The Appellate Division rejected the Town’s argument, explaining that Granville had satisfied his burden of establishing, by competent medical evidence, that a causal connection existed between his hearing loss and his employment.

At the workers’ compensation hearing Granville had testified that he had operated heavy and light machinery "at least ninety percent of the time" during a typical workweek, that he had no loud hobbies or activities outside of work and that, prior to his work with the employer, he had worked in the banking industry. He also testified that he was required to undergo a hearing test in 2004, shortly after commencing employment with the Town, and that the results of this test revealed that he had "no effects of hearing loss.* In addition, Granville submitted a report and medical opinion of his treating otolaryngologist, Dr. Sayeed Nabi, who found that Granville's hearing loss was causally related to his employment.**

In contrast, the otolaryngologist who examined Granville on behalf of the Town opined that Granville's hearing loss was neither consistent with injurious noise exposure nor causally related to his employment’

Sustaining the Board’s decision in favor of Granville, the Appellate Division said “The Board found the opinion of [Dr.] Nabi to be more credible and, according appropriate deference to that assessment, substantial evidence supports the determination that [Granville] suffered a causally-related binaural loss of hearing,” explaining that the resolution of conflicting medical opinions, particularly with regard to the issue of causation, is within the exclusive province of the Workers’ Compensation Board.

* The Appellate Division noted that the Town “failed to produce the records of this hearing test.”

** The court said that "[W]here medical proof is relied upon to demonstrate the existence of a causal relationship, it must signify a probability of the underlying cause that is supported by a rational basis and not be based upon a general expression of possibility"

The decision is posted on the Internet at:
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March 08, 2016

Determining when the statute of limitations to file a civil rights action commencesn


Determining when the statute of limitations to file a civil rights action commences
Azor v City of New York, 2016 NY Slip Op 01440, Appellate Division, First Department

Jean Azor alleged that his civil rights were violated in the course of a disciplinary hearing. Azor the filed an action claim a violation of 42 USC 1983.

The Appellate Division ruled that his action was barred by the three-year statute of limitations as his time to commence the §1983 action began to accrue on the date of the disciplinary hearing determination was delivered.

The decision is posted on the Internet at:
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http://www.nycourts.gov/reporter/3dseries/2016/2016_01440.htm

Negligence in complying with the Open Meetings Law may not be sufficient to vacated decisions made at a meeting subject to its provisions


Negligence in complying with the Open Meetings Law may not be sufficient to vacated decisions made at a meeting subject to its provisions
Cutler v Town of Mamakating, 2016 NY Slip Op 01543, Appellate Division, Third Department

The Town of Mamakatingabolished its position of Parks Maintenance Supervisor.

The then incumbent of the position, Oliver Cutler, challenged the Town’s action. Cutler contended that the Town had “had illegally and in bad faith abolished his position.” Cutler also alleged that the Town violated the Open Meetings Law, Public Officers Law Article 7, when it voted to abolish the Parks Maintenance Supervisor position at a closed executive session and was unrecorded.

Supreme Court dismissed Cutler’s “combined proceeding pursuant to CPLR Article 78 and action for declaratory judgment” to vacate the Town’s action abolishing his position which resulted in his being terminated from employment.

Cutler appealed the Supreme Court’s action but the Appellate Division affirmed the lower court’s rulings. Citing §80 of the Civil Service Law, the court ruled that a public employer may, in the absence of bad faith, collusion or fraud, abolish positions for purposes of economy or efficiency.

Here the record included affidavits of the Town Supervisor and a member of the Town Board indicating that because its “parks maintenance department consisted of only [Cutler] and one part-time laborer, it could achieve greater economy and efficiency by abolishing the supervisory position in favor of hiring additional laborers.” The Town also said that Cutler’s managerial duties were “shifted” to the Town Supervisor and that this reorganization and the employment of two full-time and one part-time laborer provided an overall “cost savings.”

Thus, said the court, the burden was then shifted to Cutler to demonstrate that his position was eliminated in bad faith or as a subterfuge to circumvent his rights under the Civil Service Law. The Appellate Division said Cutler failed to meet his burden, submitting only “conclusory and unsupported assertions” which failed to refute the Town Board's showing that its actions were part of “a good faith effort to reorganize a municipal department for the purposes of reducing costs and increasing efficiency.”

The court explained that the mere reassignment of duties, in and of itself, does not constitute proof of bad faith nor was there any indication in the record of any personal or political animosities that would suggest some deceitful purpose of ousting and replacing Cutler.

Addressing Cutler’s argument in the alternative, that the closed executive session in which the unrecorded vote to abolish his position was taken constituted a violation of the Open Meetings Law, the Appellate Division held that “Supreme Court had good cause to void the Town Board's action.” Although a discussion of the abolishment of Cutler's specific position for reasons of economy and efficiency was a proper subject of an executive session, the court said it agreed with Cutler that the Town Board violated the Open Meetings Law by inadequately describing the purpose for entering into the executive session as, simply, "personnel issues."

The Appellate Division also agreed with Cutler “that it was improper for the Town Board to vote on its decision without recording the vote in the executive session minutes, even though it did not "appropriate public moneys."

Notwithstanding its agreement with Cutler concerning these two “procedural defects,” the court decided that Cutler failed to show the requisite "good cause" for declaring the Town Board's action to be void stating that the record does not suggest that the [Town Board's] failure to comply with the precise requirements of the Open Meetings Law was anything more than mere negligence." Citing Roberts v Town Board of Carmel, 207 AD2d 404; Leave to appeal denied, 84 NY2d 811, the Appellate Division concluded that “mere negligence” does not constitute good cause for invalidating the Town Board's otherwise permissible action.

The decision is posted on the Internet at:
http://www.nycourts.gov/reporter/3dseries/2016/2016_01543.htm

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March 07, 2016

A law enforcement agency may refuse to appoint an applicant for employment in a civilian position based on the applicant's prior criminal conviction


A law enforcement agency may refuse to appoint an applicant for employment in a civilian position based on the applicant's prior criminal conviction
2016 NY Slip Op 01548, Appellate Division, First Department

Article 23-A of the Corrections addresses the “licensure and employment of persons previously convicted of one or more criminal offenses.” It is referred to as a remedial statute “enacted to eliminate the effect of bias against ex-offenders that prevented them from obtaining employment,” by prohibiting employers, public and private, from unfairly discriminating against persons previously convicted of one or more criminal offenses. In making its employment decision, Article 23-A bars discrimination based on a criminal record “unless after consideration of certain enumerated statutory factors, the employer determines that there is direct relationship between the offense(s) and the duties or responsibilities inherent in the … employment … or such employment … poses an unreasonable risk to the public….”

Characterized as case turning on the interpretion of Article 23-A and involving “an issue of first impression,” the Appellate Division unanimously sustained the decision of the New York City Police Department [NYPD] not to appoint DB to the position of Police Communications Technician (PCT). Individuals employed by NYPD as PCTs serve as "civilian employees"* in contrast to serving in the Department as "sworn officers" as defined in §1.20 (34) of the Criminal Procedures Law. 

Notwithstanding the criteria set out in Article 23-A, the court ruled that a law enforcement agency may refuse to hire an applicant seeking employment with that agency as a civilian solely on the basis of the applicant's prior criminal conviction. The Appellate Division explained that, in its view, the protections of Article 23-A do not apply to an individual seeking to be hired by a law enforcement agency in a "civilian" capacity because "membership in any law enforcement agency" is expressly exempted from the statutory definition of "employment" set out in §750(5) of the Correction Law.**

DB had alleged that the sole basis for the NYPD rejecting her for employment as a PCT was that she has a prior criminal conviction.*** 

The issue as formulated by the Appellate Division: Is an individual applying for civilian employment as a PCT with NYPD, a law enforcement agency, seeking something different from "membership" in a law enforcement agency? DB contended that "membership" in a law enforcement agency applies only to sworn officers such as police officers in contrast to those seeking employment in a civilian capacity and that any other interpretation renders the policy of rehabilitation through employment meaningless because good jobs with the NYPD are foreclosed to her, despite having received a certificate from disabilities.

The court concluded that where a term does not have a controlling statutory definition, "courts should construe the term using its usual and commonly understood meaning." Turning to the Merriam-Webster dictionary, the Appellate Division said "membership" is therein defined as "the state of belonging to or being a part of a group or an organization — the state of being a member — all the people or things that belong to or are part of an organization or a group." 

Thus, said the court, applying this broad definition, the exemption does not apply to a narrower group of people such as those seeking employment as sworn officers with a law enforcement agency but applies to anyone, including those such as DB, applying for employment in a law enforcement agency in civilian capacity rather than in a sworn officer capacity. In the words of the Appellate Division: “Had the legislature intended that the exemption from Article 23-A only apply to persons seeking to enforce laws [i.e. uniformed police officers or peace officers], but not the civilians employed by the same agencies or departments, it could have specifically so provided.”

Noting that New York State’s Attorney General has similarly interpreted the exemption in Article 23-A [see 1981 Ops Atty Gen No. 81-7], the court said that while an opinion of the Attorney General is not binding, it "is an element to be considered." In addition, the Appellate Division cited Little v County of Westchester, 36 AD3 616, a case involving the rejection of an applicant for appointment as a correction officer.****

The court opined that its interpretation was not inconsistent with the broad purpose of Article 23-A, that applicants with prior criminal convictions be treated fairly as PCTs take calls, obtain critical information and are the first point of contact between the public and law enforcement and such personnel have access to confidential information, including non-public activities. In the words of the Appellate Division, “The civilian nature of the job does not determine its importance in NYPD operations.”

* Incumbents of such positions are frequently referred to as 911 operators or dispatchers.

** §750.5 provides that "employment" shall not, for the purposes of [Article 23-A], include membership in any law enforcement agency” while §751, pertinent part, provides that the provisions of Article 23-A shall apply with respect to employment “except where a mandatory forfeiture, disability or bar to employment is imposed by law, and has not been removed by an executive pardon, certificate of relief from disabilities or certificate of good conduct.” According to the decision, DB possessed a certificate of relief from disabilities.

*** The court noted that DB contended that she was a victim of domestic violence and that she inflicted certain injuries on her abuser in self-defense. She pleaded guilty to second-degree assault, a Class D felony and was sentenced to five years probation, which she had completed.

**** In Little the court held that “An appointing authority has wide discretion in determining the fitness of candidates, which discretion is particularly broad in the hiring of law enforcement officers, to whom high standards may be applied.”

The decision is posted on the Internet at:

March 05, 2016

Selected Reports issued by the Office of the State Comptroller during the week ending March 5, 2016


Selected Reports issued by the Office of the State Comptroller during the week ending March 5, 2016
Click on text highlighted in color to access the full report

State audits released.
 
City University of New York – Administration of Fellowship Leaves; Follow-up
An initial audit issued in October 2013, examined whether the fellowship leaves granted instructional staff were awarded for authorized purposes and in compliance with all applicable requirements. Although most of the fellowship recipients reviewed complied with CUNY policy, improvements were needed to protect taxpayer dollars and the integrity of CUNY’s fellowship leave program. In a follow-up report, auditors determined CUNY has made progress in addressing the issues identified in the initial report.


Office of General Services – Passenger Vehicle Fleet Management
In the almost three years since the state’s Spending and Government Efficiency (SAGE) Commission’s recommendations, OGS has not made any formal recommendations regarding the state’s vehicle fleet, as directed in the commission report. As a result, there has been relatively little progress in achieving the overall goal of consolidating and centralizing management of the fleet, which largely remains the responsibility of managers at the individual agencies. For additional progress to occur, OGS needs to perform a comprehensive analysis of agency needs and take steps to ensure the fleet available to each agency is the proper size and makeup to most efficiently meet agency missions.


Department of Health – Fraudulent and Improper Claims – Follow-up
An initial audit issued in August 2013, determined that Medicaid made improper payments totaling $94,460 to Davis Ethical Pharmacy. Auditors determined that Davis Ethical likely fabricated nearly all of the improper claims. After an investigation, the owner, William Davis, pleaded guilty to Grand Larceny in the Second Degree in Nassau County District Court. In a follow-up, auditors determined DOH made progress addressing the problems identified in the initial report. At the time of the follow-up review, Davismade full restitution to the state.


United HealthCare – Fraudulent and Improper Claims
An initial audit report issued in August 2013, determined the New York State Health Insurance Plan (NYSHIP) made improper payments totaling $137,459 to Davis Ethical Pharmacy. After an investigation, the owner, William Davis pleaded guilty to Grand Larceny in the Second Degree in Nassau County District Court. In a follow-up, auditors determined United made progress addressing the problems identified in the initial report. At the time of the follow-up review, William Davis made full restitution to the state.
 

Higher Education Services Corporation – Tuition Assistance Program
Auditors determined that Metropolitan Learning Institute was overpaid $581,315 because school officials incorrectly certified students as eligible for state financial aid awards.


NYC Department of Health and Mental Hygiene – Administration of Contracts
NYC Department of Health and Mental Hygiene [DOHMH] did not effectively administer certain financial aspects of the contract with the Center for Urban Community Services. As a result, CUCS overbilled DOHMH by about $1.06 million during the year ended
June 30, 2013. The overbillings include $1.05 million of improperly claimed personal service expenses and $11,889 of unsupported or inappropriate non-personal service costs.


SUNY Downstate Medical Center – Review of Grove Technologies, Inc.
In April 2014, Downstate entered into a state-funded, non-competitive, single-source contract with Growe for electronic medical health record services.  Auditors found Downstate paid up to $1.3 million more than necessary by using a non-competitive procurement rather than bidding the services or using existing competitive contracts available to Downstate.  The decision to use the non-competitive contract was based on unsupported claims from Downstate officials.

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New York Public Personnel Law Blog Editor 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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