ARTIFICIAL INTELLIGENCE IS NOT USED, IN WHOLE OR IN PART, IN THE SUMMARIES OF JUDICIAL AND QUASI-JUDICIAL DECISIONS PREPARED BY NYPPL

January 06, 2018

Competing directive force required teachers to decide whether they should obey the superintendent or the school board



Competing directive force required teachers to decide whether they should obey the superintendent or the school board

Appeal of [School Superintendent] Nicole Williams from action of the Board of Education of the City School District of the City of Poughkeepsie regarding teacher transfers 
Decisions of the Commissioner of Education, Decision No. 17,298

Law Office of Stanley J. Silverstone, attorneys for petitioner, Stanley J. Silverstone, Esq., of counsel

Bond Schoeneck & King PLLC, attorneys for respondents, Howard M. Miller, Esq., of counsel

ELIA, Commissioner.--Petitioner appeals from a July 14, 2017 resolution of the Board of Education of the City School District of the City of Poughkeepsie (“respondent board”) which placed a moratorium on all involuntary transfers of teachers and administrators for the 2017-2018 school year, as well as board directives issued on September 1, 2017 and actions taken by two tenured teachers, Shereen Cader (“respondent Cader”) and John Sammon (“respondent Sammon”) in conformity therewith.  The appeal must be sustained in part.

At all times relevant to this appeal, petitioner was the superintendent, and respondents Cader and Sammon were tenured teachers within respondent board’s district. 

On July 16, 2015, Poughkeepsie Middle School (“PMS” or the “receivership school”) in respondent’s district, was designated a “struggling school” pursuant to Education Law §211-f(1)(a).[1]  Petitioner was vested with the authority of superintendent receiver with respect to PMS pursuant to Education Law §211-f(2) and continues to exercise such duties as of the time of this decision.[2]

On June 15, 2017, respondent Cader was informed by her building principal that she would be transferred from Krieger Elementary School to Warring Elementary School in respondent’s district for the 2017-2018 school year.  On the same day, respondent Sammon was informed by his building principal that he would be transferred from teaching fourth grade at Warring Elementary School to teaching fifth grade at Krieger Elementary School in respondent’s district.  Both teachers objected to their reassignments and did not comply with these directives.

On July 14, 2017, respondent board adopted Resolution 18-0013 which “place[d] a moratorium on all involuntary transfers of teachers and administrators for the 2017-2018 school year pending further study by the Board.” 

On August 28, 2017, petitioner issued six directives transferring teachers in respondent board’s district to different school assignments.  While respondents Cader and Sammon were informed in June 2017 that they would be transferred to different elementary schools, petitioner’s August 28, 2017 directives transferred respondents Cader and Sammon to PMS.  Four teachers complied with petitioner’s directives; respondents Cader and Sammon did not.

Also on August 28, 2017, petitioner wrote to respondent board, informing it of the six transfers including those of respondents Cader and Sammon, and affirmatively stated that she was “exercising [her] authority” pursuant to Education Law §211-f to “[s]upersede a decision [i.e., the July 14, 2017 resolution] made by the Board of Education.”  Petitioner further explained, in her view, “why the [July 14, 2017] Board directive ... [wa]s legally impermissible.”  Attached to this letter was a document explaining, among other things, the reasons why petitioner ordered the involuntary transfers.[3]

On August 30, 2017, respondent board’s president emailed petitioner on behalf of the board at 10:28 a.m., objecting to petitioner’s directives and requesting that petitioner provide answers to five questions relating to each teacher’s transfer by 5:00 p.m. that same day and reminded petitioner that the July 14 board resolution remained in effect.  The questions included queries as to why petitioner ordered the August 28, 2017transfers and why the transfers were proposed so close to the beginning of the school year.  Petitioner responded to each of respondent board’s questions within the requested timeframe.  In her response, petitioner stated that she had ordered the transfers “[t]o support the Receivership school/Struggling school.”  With specific respect to respondent board’s query as to why the transfers were proposed so close to the beginning of the school year, petitioner answered that the “[b]oard issued a moratorium.”

On September 1, 2017, respondent board issued separate letters to respondents Cader and Sammon advising them “to disregard the letter[s] [they] may have received” from petitioner “and report to the same school building that you served in during the 2016-2017 school year that is NOT in ‘Receivership’” (emphasis in original).[4],[5]  This appeal ensued.

Petitioner contends that respondent board’s July 14, 2017 Resolution, imposing a moratorium on involuntary transfers for the 2017-2018 school year, interfered with her authority as superintendent receiver of PMS.  She further asserts that the July resolution violates Education Law §§1711 and 2508 because those provisions give a superintendent authority to transfer teachers in the first  instance.  Petitioner also asserts that the six directives issued by respondent board in September 2017 violate her receivership authority under Education Law §211-f.  Petitioner seeks a determination that respondent board’s July 14, 2017 resolution and its September directives are null and void and petitioner requests that I confirm the validity and enforceability of all teacher transfers.  Petitioner also seeks a determination that Board Policy 9420 is null and void to the extent it grants the board power to approve or disapprove teacher transfers beyond the authority granted by the New York State Education Law.

Respondents contend that respondent board’s actions were “lawful and necessary to protect its students and staff.”  Respondents further argue that petitioner’s August 28, 2017transfers did not represent the best interests of the district; that petitioner did not immediately report the transfers to respondent board; and that petitioner acted with retaliatory or otherwise improper motives.[6]  In their answer, respondents waived any defense as to timeliness and instead, requested a “‘swift’ determination on the merits.”

First, I must address a procedural matter.  Respondents’ memorandum of law contains newly raised assertions.  A memorandum of law should consist of arguments of law (8 NYCRR §276.4) and may not be used to add belated assertions or exhibits that are not part of the pleadings (Appeal of Bruning and Coburn-Bruning, 48 Ed Dept Rep 84, Decision No. 15,799; Appeal of Wright, 47 id. 202, Decision No. 15,668).  Therefore, I have not considered any arguments which respondents raise for the first time in their memorandum of law.

Further, to the extent the parties dispute the validity of the June 2017 transfers of respondents Cader and Sammon, such claims must be dismissed as moot.  The Commissioner will only decide matters in actual controversy and will not render a decision on a state of facts which no longer exist or which subsequent events have laid to rest (Appeal of a Student with a Disability, 48 Ed Dept Rep 532, Decision No. 15,940; Appeal of M.M., 48 id. 527, Decision No. 15,937; Appeal of Embro, 48 id. 204, Decision No. 15,836).  The June 2017 orders transferring respondents Cader and Sammon to Warring Elementary School and Krieger Elementary School, respectively, have been superseded by petitioner’s August 28, 2017 directives which transferred respondents Cader and Sammon to PMS.  Therefore, to the extent the parties raise claims or defenses with respect to the June 2017 transfers, this issue has been rendered academic by petitioner’s August 28, 2017 directives and need not be addressed.

Additionally, in their answer respondents request that petitioner be removed as superintendent and receiver pursuant to Education Law §306.  However, respondents have not filed a removal application pursuant to that section or cited any authority or basis for petitioner’s removal “as receiver” in an appeal pursuant to Education Law §310 and, therefore, I need not address respondents’ contentions in this regard.[7]

Turning to the merits, in an appeal to the Commissioner, a petitioner has the burden of demonstrating a clear legal right to the relief requested and the burden of establishing the facts upon which petitioner seeks relief (8 NYCRR §275.10; Appeal of Aversa, 48 Ed Dept Rep 523, Decision No. 15,936; Appeal of Hansen, 48 id. 354, Decision No. 15,884; Appeal of P.M., 48 id. 348, Decision No. 15,882).

Petitioner first contends that respondent board’s July 14, 2017 resolution prohibiting involuntary transfers in the 2017-2018 school year violates Education Law §2508.  I agree.  With specific respect to city school districts with less than one hundred twenty-five thousand inhabitants, pursuant to Education Law §2508(5), a superintendent within such a district has the authority: to transfer teachers from one school to another, or from one grade of the course of study to another grade in such course, and to report immediately such transfers to such board for its consideration and action.

The plain language of Education Law §2508 bestows the superintendent with the authority “to transfer teachers from one school to another.”  Moreover, the authority of a superintendent to assign teachers “has been held to be absolute in the absence of contractual provision otherwise or of malice, bad faith, gross error or prejudice” (Alderstein v. Bd. of Educ. of the City of New York, 64 NY2d 90).  Although such decisions must be “report[ed] immediately” to the board “for its consideration and action,” a board may not circumvent this procedure by removing the superintendent’s authority to make such transfers in the first instance.  While respondent board argues that the resolution was “lawful and necessary to protect its students and staff,” respondent board has not explained how it was prohibited from “protect[ing]” its students and staff under the existing statutory procedure, where it retained ultimate authority to disallow any such transfer.  Therefore, I find that the July 14, 2017 “moratorium on all involuntary transfers of teachers and administrators” conflicts with the superintendent’s general authority to transfer teachers in the first instance under Education Law §2508 and must be annulled.

Moreover, I find that respondent board’s September 1, 2017 directives to these teachers unlawfully interfered with petitioner’s powers as a superintendent receiver to supersede a board’s decision pursuant to Education Law §211-f.  In April 2015, the Legislature enacted Subpart H of Part EE of Chapter 56 of the Laws of 2015 which added a new section (211-f) to the Education Law pertaining to school receivership.  Section 211-f designates a school that has been identified as a “priority school” in each applicable year of the three consecutive school year period comprising 2012-2013, 2013-2014 and 2014-2015,[8] as “failing schools” (referred to in §100.19[a][1] of the Commissioner’s regulations, and hereinafter, as “struggling schools”) and vests the superintendent of the district with the powers of an independent receiver.  As relevant to this appeal, PMS was designated a struggling school and petitioner, as a “superintendent receiver,” was given two years to improve student performance.  If it failed to demonstrate improvement at the conclusion of the two-year period, an independent receiver would be appointed.  On October 27, 2017, the Commissioner notified petitioner that PMS made demonstrable improvement and therefore, the school continues to operate under the authority of petitioner, as superintendent receiver. 

Education Law §211-f provides persons or entities vested with the powers of a receiver new authority to, among other things, develop a school intervention plan; convert schools to community schools providing wrap-around services; reallocate funds in the school’s budget; expand the school day or school year; establish professional development plans; replace teachers and administrators, including school leadership who are not appropriately licensed or certified; establish steps to improve hiring, induction, teacher evaluation, professional development, teacher advancement, school culture and organizational structure; order the conversion of the school to a charter school consistent with applicable state laws; remove staff and/or require staff to reapply for their jobs in collaboration with a staffing committee.

In addition, and as relevant to this appeal, a receiver, including a superintendent receiver, shall [also] be authorized to manage and operate the failing or persistently failing school and shall have the power to supersede any decision, policy or regulation of the superintendent of schools or chief school officer, or of the board of education or another school officer or the building principal that in the sole judgment of the receiver conflicts with the school intervention plan; provided however that the receiver may not supersede decisions that are not directly linked to the school intervention plan, including but not limited to building usage plans, co-location decisions and transportation of students (Education Law §211-f[2][b] [emphasis added]).

A receiver may invoke the power to supersede so long as the receiver notifies the board of education, superintendent of schools or chief school officer, and the principal in writing “not fewer than 10 business days prior to the effective date of the supersession of the specific decision, policy or regulation that the receiver plans to supersede” (8 NYCRR §100.19[g][7]; see generallyEducation Law §211-f[2][b]).  In such a written notice of supersession, the receiver must provide: [T]he reasons for supersession; the specific decision, policy, or regulation that will replace the one that shall be superseded; and the time period during which the supersession shall remain in effect (8 NYCRR §100.19[g][7]).

Petitioner asserts in an affidavit that she became “aware in August 2017 of more staff vacancies at Poughkeepsie Middle School [i.e., the receivership school] than anticipated.”  She also states that she decided to transfer two teachers out of the receivership school due to their poor performance pursuant to her receivership authority under Education Law §211-f.[9]  Petitioner further states in her reply affidavit that: Ensuring that there are effective teachers in the classrooms in [the receivership school], as well as all schools in the district is the single most important strategy I have as a superintendent receiver and the superintendent of [respondent board’s district] for increasing student learning and academic achievement.  Matching skill to the needs is critically important.

On August 28, 2017, petitioner wrote to respondent board, informing it of the six transfers, including those of respondents Cader and Sammon, and affirmatively stated that she was “exercising [her] authority” pursuant to Education Law §211-f to “[s]upersede a decision [i.e., the July 14, 2017 resolution] made by the Board of Education.”  Petitioner further explained, in her view, “why the [July 14, 2017] Board directive ... [wa]s legally impermissible.”  Attached to this letter was a document explaining, among other things, the reasons why petitioner ordered the involuntary transfers.  With respect to respondent Cader, petitioner stated: “[r]eceivership needs/skill set match for the sixth (6) grade.  Certification is aligned with the instructional needs at PMS.”  With respect to respondent Sammon, petitioner indicated: “[r]eceivership needs/skill set match for the sixth (6) grade.  Certification is aligned with the instructional needs at PMS as a former instructional ELA coach.”

In an email to petitioner dated August 30, 2017, the board president stated: “[t]his will acknowledge receipt of your letter dated August 28, 2017regarding teacher transfers.”  Petitioner’s position, as expressed in the August 28, 2017letter to the board and on appeal, is that the July 14, 2017resolution violated the Education Law. 

Petitioner also advised respondents of the “time period during which the supersession would remain in effect”; i.e., the 2017-2018 school year (8 NYCRR §100.19[g][7]).  Thus, the record demonstrates that petitioner followed the supersession procedure outlined in 8 NYCRR §100.19(g)(7). 

I also find that the August 28, 2017 transfers were “directly linked to the school intervention plan” as required by Education Law §211-f(2)(b).  The school intervention continuation plan for PMS for the 2017-2018 school year explicitly identified “excessive teacher absences and turnover” as a concern, and noted that “staffing continues to be a challenge.”  The plan also includes a summary of concerns/recommendations from the community engagement team established pursuant to 8 NYCRR §100.19(b), which included, among other things, that teachers at PMS were teaching two or more subjects.  Thus, I find that the board’s July 14, 2017 and September 1, 2017 decisions to prohibit involuntary transfers directly conflicted with the school intervention plan by prohibiting petitioner from ensuring that there was adequate staff to address shortages and staffing at the receivership school (Education Law §211-f[2][b]).

Respondents also assert that the transfers were not in the best interest of the district and did not serve any educational purpose.  However, the record reflects that petitioner became aware of more staff vacancies than expected at PMS in August 2017 and that she decided to transfer two low-performing teachers out of the receivership school.  Respondents admit in their answer that respondents Cader and Sammon are “two of the [d]istrict’s most accomplished elementary educators [and] members of their respective school’s Transformation Teams,” and it is beyond cavil that these accomplished educators’ skills would aid the receivership school.  Further, in her August 28, 2017letter, petitioner indicated that respondents Cader and Sammon were transferred based upon the “[r]eceivership needs” of PMS and the fact that their “skill set[s]” were a “match for the sixth (6) grade” and that their certifications were “aligned with the instructional needs at PMS.”  Petitioner also asserted in this letter that respondent Sammon’s experience as a “former instructional ELA coach” matched the needs at PMS.

Respondent Cader argues that petitioner’s transfer order was irrational because respondent Cader has never taught a sixth-grade classroom and has never taught at PMS.  Respondent Sammon argues that he was asked to teach a subject he had never taught before.  However, petitioner refutes these assertions.  In her reply affidavit, petitioner states as follows:

[B]oth teachers are properly certified to teach 6th grade.  In the 6thgrade, teachers receive professional development daily, so they would have been brought up to the level of competence quickly as the focus is on literacy strategies, which is across grade levels.  In the middle school, Cader and Sammon would have been part of a team with only one subject to prepare for as opposed to all the core subjects in elementary school.  We use an interdisciplinary literacy approach, so they would have been well prepared to support a humanities team approach.  Mr. Sammon, with his background and experience in academic coaching, would not have had difficulty in transferring to the middle school on short notice.

Petitioner further asserts that respondent Cader has taught “every summer in the transitional 6th grade summer program” for at least the past three years.[10]

While I acknowledge that the record contains conflicting evidence as to the benefits and appropriateness of petitioner’s transfers, this evidence does not demonstrate that petitioner acted with such malice, bad faith, gross error or prejudice which might justify setting the transfers aside (Alderstein v. Bd. of Educ. of the City of New York, 64 NY2d 90; see Matter of Woicik, 2 Ed Dept Rep 171, Decision No. 7,019).  Respondents further assert that petitioner’s August 28 transfer orders constituted retaliation for certain actions, including respondent Sammon’s declination of “a position in central administration,” which petitioner “conveyed to [him] through another administrator.”  However, petitioner denies that she offered respondent Sammon such a position, and the record contains no proof substantiating respondent Sammon’s allegations in this regard.[11]  Therefore, I find that respondents have failed to demonstrate that petitioner’s actions were committed with such malice, bad faith, gross error or prejudice which might justify setting the transfers aside.

I am similarly unpersuaded by respondents’ argument that Education Law §211-f does not permit the challenged transfers because they would “eviscerate critical resources from every other school building in the [d]istrict.”  Education Law §211-f sets forth two limitations on a receiver’s supersession powers:  (1) any supersession must be “directly linked to the school intervention plan”; and (2) a supersession cannot relate to a superintendent’s employment status (see Education Law §211-f[1][c][i], [2][b])).  Given this unambiguous language, I decline to read additional exceptions into the statute.  In any event, I note that respondents have submitted no proof to support a finding that, in fact, the transfers threatened the resources of every school building in respondent board’s district.  Therefore, I find respondents’ arguments without merit.

Petitioner additionally requests that I declare Board Policy 9420 null and void insofar as it permits the board to unilaterally effectuate teacher transfers.  Respondent board’s Policy 9420 provides, in pertinent part:

Within the provisions of the appropriate negotiated contracts and state laws, the Superintendent of Schools will assign, transfer and reclassify district personnel subject to Board of Education approval.

Since respondent board’s Policy 9420 includes language that says “[w]ithin the provisions of . . . state laws,” I find that any superintendent transfers must be conducted in accordance with Education Law §§2508 and 211-f, as well as any other applicable State laws.  Therefore, I decline to declare Board Policy 9420 null and void. 

Respondents Cader and Sammon have requested certificates of good faith pursuant to Education Law §3811.  Such certification is solely for the purpose of authorizing the board to indemnify a respondent for legal fees and expenses incurred in defending a proceeding arising out of the exercise of his or her powers or performance of duties as a board member or other title listed in §3811(1). It is appropriate to issue such certification unless it is established on the record that the requesting respondent acted in bad faith (Application of Valentin, 56 Ed Dept Rep, Decision No. 17,014; Application of Paladino, 53 id., Decision No. 16,594; Application of Lieberman, 52 id., Decision No. 16,483).  However, Education Law §3811 applies only to board members, certain school officers and “non-instructional district employees.”  Respondents Cader and Sammon are tenured teachers and, thus, do not fall within the scope of Education Law  §3811.  Accordingly, they are not entitled to the requested certificate.

Finally, I am compelled to comment on the acrimonious relationship between petitioner and respondents detailed in the record.  Although petitioner and respondent board reached differing conclusions as to the permissibility of the teacher transfers, it is troubling that the parties resorted to issuing competing directives, thereby forcing the affected teachers to decide whether they should obey the superintendent or the board.  Further, the nature and tenor of the serious accusations made as part of this appeal reveal an unacceptable level of rancor that is not conducive to the effective governance of a public school district.  I admonish the parties to take all steps necessary to ensure that this controversy does not continue and that the district’s leadership and resources are focused on the paramount goal of providing successful outcomes for students.  To this end, I am directing my Office of Innovation and School Reform to provide guidance and technical assistance to the district in order to ensure that all parties understand, and are in compliance with, the requirements related to the receivership school.

In light of the above disposition, I need not address the parties’ remaining contentions.

THE APPEAL IS SUSTAINED TO THE EXTENT INDICATED. 

IT IS ORDERED that respondent board’s July 14, 2017 resolution is hereby annulled; and

IT IS FURTHER ORDERED that respondent board’s September 1, 2017 directives are hereby annulled; and

IT IS FURTHER ORDERED that petitioner’s August 28, 2017 transfer orders by given full legal force and effect.
 


[1]With respect to the takeover and restructuring of schools, the Education Law refers to “failing” and “persistently failing” schools while the Commissioner's regulations refer to such schools as “struggling” and “persistently struggling” schools.  All references herein conform to the Commissioner’s regulations.

[2]On or about October 26, 2017, the Commissioner notified petitioner that the Poughkeepsie Middle School made demonstratable improvement pursuant to Education Law §211-f. 

[3] Petitioner and respondents have submitted different versions of this document.  Specifically, petitioner’s version contains two notes with respect to respondents Cader and Sammon indicating that they “did not transfer” in June or August.  These typed notations are not included in respondents’ version.  Respondents have submitted an affidavit from the district’s director of technology attesting that the letter and attachment were sent via email, and that respondents’ version represents what was received by respondents.  Counsel for petitioner, in a submission which I have accepted pursuant to 8 NYCRR §276.5, indicates that the version of the document which he submitted was a digital version maintained by petitioner.  Counsel for petitioner further admits that petitioner added the additional notations after she submitted the document to respondent board, but denies any wrongdoing in connection therewith.  Therefore, I accept respondents’ affidavit and evidence pursuant to 8 NYCRR §276.5 and have relied solely on the version submitted by respondents.

[4] A substantially identical copy of this letter was sent to another of the six teachers who was transferred by petitioner.  However, that teacher complied with petitioner’s directive and, thus, is not the subject of this appeal.

[5] On September 13, 2017, respondent Cader received an email from petitioner’s secretary stating that she was suspended immediately and that her actions could result in potential charges under Education Law §3020-a.  On September 14, 2017, respondent board rescinded the suspension and returned respondent Cader to Krieger Elementary School

[6] Respondent Cader also summarily asserts in her affidavit that she was transferred involuntarily and that her teaching location preference was disregarded in violation of a collective bargaining agreement (“CBA”) between the Poughkeepsie Teachers’ Association and respondent board.  Respondents did not raise this claim in their answer.  Accordingly, this claim is not before me for review.  But even assuming, arguendo, that respondents had raised this claim in their answer, I would decline to address this claim because the Civil Service Law vests exclusive jurisdiction over complaints involving collective bargaining in the Public Employment Relations Board (Civil Service Law §205(5)(d); seeNew York City Transit Authority v. New York State Public Employment Relations Board, et al., 19 NY3d 876).  Although the Commissioner has assumed jurisdiction over a CBA which explicitly contemplated an appeal pursuant to Education Law §310 as part of its grievance procedure, neither party has asserted that the CBA here includes such a provision (Appeal of Eastern Suffolk Bd. of Cooperative Educ. Svcs. Administrative/Supervisory Unit, 52 Ed Dept Rep, Decision No. 16,413).  Therefore, the effect of the CBA on the challenged actions is not before me and will not be addressed herein.  Moreover, Education Law §211-f(8) provides that, in order to maximize the rapid achievement of students at the applicable school, the receiver may request that the collective bargaining unit(s) representing teachers and administrators and the receiver, on behalf of the board of education, negotiate a receivership agreement that modifies the applicable collective bargaining agreement(s) with respect to any struggling schools in receivership applicable during the period of receivership. Neither party has addressed whether such a receivership agreement was in effect for PMS.

[7] Additionally, there is no basis in the record to, as respondents request, initiate a proceeding pursuant to Part 83 of the Commissioner’s regulations regarding petitioner’s moral character.

[8] The law provides an exception for one school year in which the school was not identified because of an approved closure plan that was not implemented.

[9] Petitioner asserts in her reply affidavit that it is not uncommon to transfer teachers in August because circumstances may change after the end of the school year. 

[10] Respondent also submits an affidavit from the principal of Warring Elementary School, who provides that the “last minute decision to transfer Mr. Sammon makes no educational sense”.  I find this affidavit uncompelling.  The principal does not provide any reason/rationale as to why the transfer was illegal and/or how the transfer would not made for the educational benefit of the students in PMS.  On the contrary, the principal himself merely states that respondent Sammon is “Warring’s top educator” and as a result should not be transferred to PMS.

[11] Petitioner admits, however, that respondent Sammon was given an opportunity to create a teachers’ center at Warring Elementary School in the 2013-2014 school year, and that after this program was discontinued in 2015-2016, respondent Sammon returned to his position as a classroom teacher.

January 05, 2018

Grand jury witness may claim absolute immunity regarding his or her perjurious testimony with respect to any §1983 claim based on such perjurious testimony



Grand jury witness may claim absolute immunity regarding his or her perjurious testimony with respect to any §1983 claim based on such perjurious testimony
Idrissa Adamou V Detective Edward J. Doyle [in
his individual capacity], USCA 2nd Circuit, No. 17255 [Summary Order]

The Second Circuit Court of Appeals reviewed this district court's denial of absolute or qualified immunity de novo claimed by the defendant, New York City police detective Edward J. Doyle.

The court, citing Giraldo v. Kessler, 694 F.3d 161, with respect to absolute immunity and Benzman v. Whitman, 523 F.3d 119, with respect to qualified immunity, held that under Rehberg v Paulk, 566 U.S. 356, a grand jury witness, including a law enforcement officer, “has absolute immunity from any §1983 claim based on the witness’ testimony,” even if that testimony is perjurious.

Accordingly, the Second Circuit ruled and Detective Doyle was "entitled to absolute immunity in this case because [the]  plaintiff’s claims are 'based on' Doyle's] allegedly false grand jury testimony, 'as that term is used in Rehberg' ...."

The Circuit Court reversed the district court's ruling to the contrary and remanded the matter to it "with instructions to grant Detective Doyle's motion to dismiss."

The decision is posted on the Internet at:

Burden of proof shifts to the first responder if he or she fails to demonstrate a causative link between his or her illness and exposure to toxins at the World Trade Center activates


Burden of proof shifts to the first responder if he or she fails to demonstrate a causative link between his or her illness and exposure to toxins at the World Trade Center activates  
Fesler v Bratton, 2017 NY Slip Op 08881, Appellate Division, First Department

Retirement and Social Security Law §2[36][c] creates a rebuttable presumption that any condition or impairment of health resulting from a qualifying World Trade Center [WTC] event was incurred in the performance and discharge of duty and the natural and proximate result of an accident not caused by the member's own willful negligence, "unless the contrary is proved by competent evidence."

Accordingly, first responders need not submit any evidence, credible or otherwise, of causation to obtain enhanced benefits if they have a qualifying condition but the burden is on the applicant to establish that "qualifying condition."

The Appellate Division agreed with Supreme Court's holding that in first responder Andrew Fesler failed to present sufficient credible evidence that his Crohn's disease was a qualifying condition or "new onset disease" within the meaning of §2[36][c].  The court noted that Fesler's personal physician had merely opined that it was "conceivable" that there was a link between Fesler's illness and exposure to toxins at the WTC site and that the articles he provided in support of his opinion were not relevant.

In view of this, the court concluded that respondent William J. Bratton, in his capacity as New York City Police Commissioner, was entitled to rely on the Medical Board's conclusion that the medical literature cited by Fesler did not provide evidence of such a causative link and the medical data showed that first responders did not have a higher incidence Crohn's disease.

Thus the burden of proof never shifted to NYC Police Department and Fesler was required to demonstrate a causative link between his illness and his alleged exposure to toxins at the World Trade Center site, which he failed to do.

The decision is posted on the Internet at:

January 04, 2018

Some information that give a teacher a reasonable assurance of continued employment for the purposes of Labor Law §590(10)


Some information that give a teacher a reasonable assurance of continued employment for the purposes of Labor Law §590(10)
Matter of Cieszkowska (Commissioner of Labor), 2017 NY Slip Op 08432, Appellate Division, Third Department

Labor Law §590(10) bars a professional employed by an educational institution from receiving unemployment insurance benefits during the period between two successive academic terms if the educational institution has given the professional a reasonable assurance of continued employment.

The Unemployment Insurance Appeal Board ruled that wages paid to claimant, a per diem substitute teacher [Claimant], could not be used to establish a valid original claim for unemployment insurance benefits between two successive academic terms because Claimant had received a reasonable assurance of continued employment pursuant to Labor Law §590(10). Claimant  timely asked the Board to reopen and reconsider its decision. The Board denied Claimant's application to reopen the matter and reconsider its decision and Claimant appealed the Board's rejecting Claimant's request to reopen the matter.

Noting that "A professional employed by an educational institution is precluded from receiving unemployment insurance benefits for the period between two successive academic years when he or she has received a reasonable assurance of continued employment," the Appellate Division explained that "A reasonable assurance . . . has been interpreted as a representation by the employer that substantially the same economic terms and conditions will continue to apply to the extent that the claimant will receive at least 90% of the earnings received during the first academic period."

Claimant acknowledged that the employer contacted her by letter at the end of the school year and informed her that:

[1] there would be a need for per diem substitute teachers during the next school year;

[2] that it was expected that the economic terms and conditions for employment for the upcoming year would be the same as the previous year; and

[3] that it was anticipated that there would be as much work for per diem substitute teachers during the upcoming year as in the previous year.

In consideration of these representations, the Appellate Division found that substantial evidence supports the Board's conclusion that Claimant received a reasonable assurance of continued employment at the end of the school year.

In contrast, in Matter of Papapietro (Commissioner of Labor),* the Appellate Division reversed a decision by the Unemployment Insurance Appeal Board that held that a per diem teacher was ineligible to receive unemployment insurance benefits. 

In Papapietro  the court ruled that the school district had not sent any letter to the teacher, nor provided him with any other form of notice, that made a representation regarding his continued employment after a recess.

* NYPPL's summary of the Papapietro decision is posted on the Internet at https://nyppl-research.blogspot.com/2017/12/unless-employer-provides-educator-with.html,

The Cieszkowska decision is posted on the Internet at:

January 03, 2018

A Freedom of Information demand may trump an agreement to keep some or all of the terms of a disciplinary action settlement "confidential"



A Freedom of Information demand may trump an agreement to keep some or all of the terms of a disciplinary action settlement "confidential"
Santostefano v Middle Country Cent. Sch. Dist., 2017 NY Slip Op 09188, Appellate Division, Second Department

Guy Santostefano, employed as an educator by the Middle Country Central School District [District] In May 2015, was served with disciplinary charges pursuant to Education Law §3020-a. In August, 2015, Santostefano entered into a settlement agreement with the District resolving the charges, which agreement required Santostefano to resigned from the District effective August 6, 2015, whereupon the District would withdraw the charges it had filed against Santostefano.

In January 2016, Santostefanocommenced an action to vacate the settlement agreement alleging, in effect, that the terms of the settlement agreement permitting the District to disclose to Santostefano's prospective employers that Santostefano was brought up on disciplinary charges had caused harm to his career. Santostefano also alleged, among other things, that he was fraudulently induced into executing the settlement agreement.

The District asked Supreme Court to dismiss Santostefano'scomplaint based on his failure to timely serve a notice of claim, and for failure to state a cause of action. Supreme Court granted the District's motion and Santostefano appealed.

As to Santostefano's failure to serve a notice of claim, the Appellate Division, noting that "In general, the service of a timely notice of claim pursuant to Education Law §3813(1) is a condition precedent to the commencement of an action or proceeding against a school district, and failure to comply with this requirement is a fatal defect [except] when a litigant seeks only equitable relief, or commences a proceeding to vindicate a public interest."

Here, said the court, Santostefanosought to vindicate a private right, Supreme Court properly granted the District's motion to dismiss his complaint for failure to timely serve a notice of claim.

Addressing this issue of Santostefano's claim that he had been "fraudulently induced into entering into the settlement agreement, the Appellate Division observed that "To succeed on a motion to dismiss based upon documentary evidence pursuant to CPLR §3211(a)(1), the documentary evidence must utterly refute the plaintiff's factual allegations, conclusively establishing a defense as a matter of law." Here, said the court, the settlement agreement "utterly refuted" Santostefano's factual allegations and "conclusively established a defense to the complaint as a matter of law" as the settlement agreement conclusively established a defense to the allegations that Santostefanowas fraudulently induced into entering into the settlement agreement by the District's oral representations, as those allegations were barred by the specific disclaimer provisions contained in the settlement agreement.

With respect to disclosing the terms of a settlement agreement resolving a disciplinary action, is does such an agreement trump a Freedom of Information demand to disclose the terms of the disciplinary settlement?

Consider the ruling in LaRocca v Jericho UFSD, 220 AD2d 424.

In LaRocca, the Jericho School District had filed disciplinary charges against the principal of one of its schools. Subsequently the Jericho School Board authorized its superintendent to negotiate a settlement that would dispose of the matter. A settlement was reached and the Board adopted a motion withdrawing its charges against the principal without prejudice.

Anthony LaRocca, vice-president of the Jericho Teachers Association, asked for a copy of the settlement agreement on behalf of the teachers supervised by the principal.

LaRocca’s request was denied on the grounds that (a) providing the teachers with a copy “would constitute an unwarranted invasion of personal privacy” and (b) the document relates to “intra-agency or inter-agency materials which the School District is not required to disclose.” LaRocca sued under the Freedom of Information Law [FOIL] (Article 6, Public Officers Law), contending that all records of a public agency are “presumptively accessible” and the settlement agreement did not fall within any of the recognized exceptions set out in FOIL.

Although Supreme Court dismissed LaRocca’s petition [LaRocca v Jericho UFSD, 159 Misc2d 90], the Appellate Division reversed, explaining that the settlement agreement did not constitute an “employment history” as defined by FOIL and therefore is presumptively available for public inspection. Significantly, the Appellate Division said that “as a matter of public policy, the Board of Education cannot bargain away the public’s right to access to public records.”

The Appellate Division ruled that the settlement agreement or any part of it providing for confidentiality or purporting to deny the public access to the document “is unenforceable as against the public interest.”

In contrast, however, the court opined that where a settlement agreement provided that the parties would keep its terms “confidential,” its subsequent disclosure pursuant to FOIL does not necessarily excuse a party breaching other terms and conditions unrelated to such disclosure set out in the agreement [see Gosden v Elmira City School District, 90 AD3d 1202]. The settlement agreement targeted in LaRocca contained references to charges that the principal denied or were not admitted, together with the names of certain teachers. The Appellate Division ruled that disclosure of such parts of the settlement agreement would constitute an unwarranted invasion of privacy within the meaning of FOIL.

Another decision, Anonymous v Board of Education of the Mexico Central School District, 62 Misc 2d 300, indicates that a public employer may not, by private agreement, limit the public’s right to access to records which are otherwise subject to disclosure under FOIL. In Mexico the court said that an agreement to keep secret that to which public has a right of access under FOIL unenforceable as against public policy.

In addition, State Education Law §1133.1 provides that a school administrator or superintendent shall not make any agreement to withhold from law enforcement authorities, the superintendent or the commissioner, where appropriate, the fact that an allegation of child abuse in an educational setting on the part of any employee or volunteer as required by Article 23-B of the Education Law in return for the resignation or voluntary suspension from his or her position of such person, against whom the allegation is made.

The Santostefano decision is posted on the Internet at:

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