Hobbs v. Sloan Valve Company
Filing
83
MEMORANDUM Opinion and Order signed by the Honorable Ronald A. Guzman on 7/10/2015: For the reasons stated below, Defendants motion for summary judgment 51 is granted in part and denied in part. Defendant is entitled to summary judgment as to Count II of the complaint and the portion of Count I involving Plaintiffs January 2013 FMLA certification process. Plaintiffs motion for summary judgment 65 is denied. Mailed notice (cjg, )
IN THE UNITED STATES DISTRICT COURT FOR THE
NORTHERN DISTRICT OF ILLINOIS
DEKEITIVAN HOBBS,
Plaintiff,
v.
SLOAN VALVE COMPANY,
Defendant.
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Case No: 1:14-cv-03482
Judge Ronald A. Guzmán
MEMORANDUM OPINION AND ORDER
For the reasons stated below, Defendant’s motion for summary judgment [51] is granted
in part and denied in part. Defendant is entitled to summary judgment as to Count II of the
complaint and the portion of Count I involving Plaintiff’s January 2013 FMLA certification
process. Plaintiff’s motion for summary judgment [65] is denied.
STATEMENT
Dekeitivan Hobbs (“Plaintiff”) filed suit against his former employer Sloan Valve
Company (“Defendant”) on May 13, 2014, claiming interference and retaliation under the
Family and Medical Leave Act (“FMLA”) in connection with his termination. (Compl., Dkt. #
1.) This matter is before the Court on Defendant’s Motion for Summary Judgment filed February
27, 2015 (Def.’s Mot. Summ. J., Dkt. # 51), and Plaintiff’s Motion for Summary Judgment filed
March 27, 2015 (Pl.’s Mot. Summ. J., Dkt. # 65).
For the reasons set forth below, the Court grants summary judgment in favor of
Defendant on Count II of the complaint, alleging retaliation against Plaintiff for exercising his
rights under the FMLA. Similarly, summary judgment is granted as to the portion of Count I
alleging interference with Plaintiff’s FMLA rights in regard to his January 2013 FMLA
certification process. Because a material fact issue exists as to the portion of Count I alleging
interference with Plaintiff’s FMLA rights with regard to his termination, summary judgment is
denied as to that claim. Plaintiff’s motion for summary judgment is denied.
Facts
Defendant’s policies
Defendant is an Illinois corporation employing more than 50 employees, and
manufactures restroom fixtures at a plant in Franklin Park. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 1;
Pl.’s Stmt. Facts, Dkt. # 67, ¶ 2.) Non-management employees of Defendant at the Franklin Park
facility are represented by the United Steel, Paper, and Forestry, Rubber, Manufacturing, Energy,
Allied Industrial and Service Workers International Union, AFL-CIO-CLC, and United Steel
Workers of America Local #7999 (collectively, “the Union”). (Def.’s Stmt. Facts, Dkt. # 53, ¶
3.) Beginning in October of 2010, Defendant and the Union were parties to a collective
bargaining agreement (“the CBA”) that governed the terms of employment for union employees.
(Id., ¶ 4.)
Relevant to this case is the CBA’s attendance policy, which operates on a points system
for unexcused absences. Under the policy, employees are assessed two “attendance points” for
failure to report to work if they called in the absence prior to the start of their shift; they receive
three points if they called in the absence after their shift started or failed to report the absence at
all. (Def.’s Ex. H, Dkt. # 54-8, at Art. XIII Section 3(c).) Employees are disciplined with a
counseling memo when they reach four attendance points in any rolling 12-month period, a
written warning when they reach six, and termination when they reach nine. (Id. at Art. XIII
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Section 3(d).) The CBA also provides that employees must notify Defendant of anticipated
absences “as soon as possible” and provides that:
notice can cover more than one (1) day if the employee so advises [Defendant], and keeps
[Defendant] advised of his/her status thereafter. However, each scheduled work day shall
be treated as a separate occurrence under this policy for purposes of attendance
discipline.
(Id. at Art. XIII Section 3(f).)
Plaintiff’s pre-2013 FMLA history
Plaintiff was hired by Defendant in 1997 and at all times relevant to this case worked as a
stock selector at the Franklin Park facility until his termination. (Def.’s Stmt. Facts, Dkt. # 53, ¶
2.) Plaintiff was a member of the Union and therefore covered by the CBA. (Id., ¶ 3.) From 2003
through 2012, Plaintiff was approved for and utilized periodic FMLA leave for foot problems
including plantar fasciitis. (Pl.’s Stmt. Facts, Dkt. # 67, ¶¶ 4, 7.) Plaintiff testifies that when his
foot condition “flares up” he has difficulty standing and walking, which his job requires. (Pl.’s
Ex. A, Dkt. # 68-1, ¶ 6.) Flare-ups generally came without warning; Plaintiff would simply call
in on a given day if he was having a flare-up when he awoke in the morning. (Def.’s Ex. D, Dkt.
# 54-4, pp. 22:1-23:3.) When Plaintiff was first approved for FMLA leave in 2003, Defendant
administered its leave policy in-house. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 65.) Defendant began
outsourcing leave administration in 2006, but after complaints about the way FMLA leave was
administered – including a 2011 grievance by the Union – Defendant moved leave
administration back in-house in 2012. (Id., ¶¶ 66-70.) In 2012, Plaintiff was approved for leave
of up to eight episodes per month with each episode lasting up to eight hours, but did not use all
of his permitted leave because he either did not need it or came to work hurt because he needed
money. (Def.’s Ex. D, Dkt. # 54-4, pp. 20:21-21:19.)
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Plaintiff’s January 2013 certification
In January 2013, Plaintiff was required to recertify his eligibility for intermittent FMLA
leave under the company’s policies. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 22.) On January 14, 2013,
Plaintiff’s physician, Dr. Harris, faxed a FMLA certification form to Defendant. (Id., ¶ 24.) Dr.
Harris failed to fully answer some questions on the form, including: question 10 (whether the
patient was referred to another health care provider); question 11 (whether the patient would
require continuing treatment under a doctor’s supervision); question 15 (whether the patient is
unable to perform any of the functions in his job description)1; and question 21 (whether it is
medically necessary for the patient to be absent from work during flare-ups). (Def.’s Ex. U, Dkt.
# 54-21.) Question 22, which dealt with whether the patient’s pattern of absences was consistent
with his condition, was not answered – the form required an answer to the question only if a box
were checked, and Defendant had inadvertently failed to check that box. (Id.; Pl.’s Stmt. Facts,
Dkt. # 67, ¶ 14.) Later that same day, Defendant received another fax from Dr. Harris which
included a corrected version of the form with questions 10 and 11 filled out. (Def.’s Ex. V, Dkt.
# 54-22.) Plaintiff then delivered a corrected version of Dr. Harris’s certification form to
Defendant by hand prior to January 22, which contained revisions to most of the incomplete
answers but still did not include an answer to question 22. (Def.’s Ex. W, Dkt. # 54-23.)
Defendant received yet another fax from Dr. Harris sometime between January 14 and 22, which
contained revisions to some answers but the same answers to questions 11, 15, 21, and 22 as the
original form. (Def.’s Ex. X, Dkt. # 54-24.)
1
While Dr. Harris failed to check the “yes” or “no” box for this question, he did write that Plaintiff has “difficulty
standing” in the comments field intended to be filled out only if the physician checked “yes.” (Def.’s Ex. U, Dkt. #
54-21.)
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On January 17, 2013, Defendant notified Plaintiff that his certification form was
incomplete as to questions 15, 21, and 22. (Def.’s Ex. Y, Dkt. # 54-25.) This notification also
included a copy of Plaintiff’s job description and the absence history necessary to answer
question 22, both of which had been inadvertently omitted from the form originally submitted to
Dr. Harris. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 31.) Defendant received a final fax from Dr. Harris
on January 22, 2013, which included an answer to question 22 but no other pages of the
certification form. (Def.’s Ex. Z, Dkt. # 54-26.) Accordingly, it is undisputed that no single form
submitted by Dr. Harris included complete answers to all 22 questions. Defendant attempted to
contact Dr. Harris to obtain clarification and reconcile the five versions of the certification form,
but received no response.2 (Def.’s Ex. J, Dkt. # 54-10, ¶ 15.) On February 19, 2013, Defendant
informed Plaintiff via letter that his FMLA request was denied “based on the failure of Dr.
Michael Harris to respond to our calls.” (Def.’s Ex. AA, Dkt. # 54-27.)
Plaintiff’s March 2013 certification
The same day Plaintiff received this letter, he immediately reapplied for FMLA leave and
received a packet of application materials that he was required to complete by March 6, 2013.
(Def.’s Stmt. Facts, Dkt. # 53, ¶¶ 35-36.) As part of this new application, Defendant received yet
another form by fax from Dr. Harris on March 1, 2013. (Id., ¶ 37.) This form did not answer
questions 7 or 10, and answered questions 9 and 21 only partially. (Def.’s Ex. CC, Dkt. # 54-29.)
The form also stated that Dr. Harris’s last in-person visit with Plaintiff was in 2006, in apparent
conflict with his certification for Plaintiff’s January 2013 FMLA application. (Id.) Defendant
2
Plaintiff disputes this fact, but cites only to his own deposition testimony to the effect that Dr. Harris later told
Plaintiff he had not received messages from Defendant. This hearsay testimony is insufficient to rebut the sworn
testimony of Defendant’s leave administrator that the company attempted to contact Dr. Harris and that he did not
respond.
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then received a different certification form from Dr. Harris three days later, which corrected most
of the prior form’s deficiencies but did not fully answer question 9 and persisted in listing 2006
as the date of Plaintiff’s last in-person medical treatment for his foot condition. (Def.’s Ex. DD,
Dkt. # 54-30.) Dr. Harris faxed a third certification form to Defendant on March 27, 2013, which
did not answer question 10 and did not fully answer question 21. (Def.’s Ex. EE, Dkt. # 54-31.)
While all of Dr. Harris’s January 2013 certification forms stated that Plaintiff needed
intermittent leave for up to eight eight-hour episodes per month, all of the March 2013 forms
stated that Plaintiff needed leave for only four to five one- or two-day episodes per month.
(Def.’s Stmt. Facts, Dkt. # 53, ¶ 43.) At his deposition, Plaintiff admitted that he and Dr. Harris
had changed the frequency of leave requested in order to increase the chances of Plaintiff’s leave
request being granted. (Def.’s Ex. D, Dkt. # 54-4, pp. 75:23-77:16.) On May 1, 2013, Defendant
notified Plaintiff that he was provisionally entitled to FMLA benefits but was required to get a
second medical opinion from another doctor at Defendant’s expense. (Def.’s Ex. GG, Dkt. # 5433.) This second opinion was provided by Dr. Donald Arenson, who submitted a certification
form that answered questions 9 and 15 incompletely but also included a typed narrative report.
(Def.’s Ex. II, Dkt. # 54-35.) Dr. Arenson’s conclusions differed from Dr. Harris’s, as Dr.
Arenson concluded that Plaintiff’s flare-ups would not require him to be absent from work and
estimated the frequency of flare-ups as one daylong episode per month. (Id.)
In light of the discrepancy between the first and second medical opinions, Defendant
required a third opinion and again provisionally approved Plaintiff’s FMLA benefits pending
such opinion. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 49.) Plaintiff requested and was allowed four
episodes of intermittent leave during the period in which he was provisionally approved, but
testified that he “worked hurt” on some occasions and did not request as much leave as he would
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have taken if his initial FMLA certification had been accepted. (Pl.’s Stmt. Facts, Dkt. # 67, ¶
17.) When Defendant decided to require a binding third medical opinion, Plaintiff was called up
to Hendrix’s office during his 10-minute break and informed of this decision. (Id., ¶ 18.) He then
went to the Union steward’s office to discuss the matter, returned to Hendrix’s office to get
additional paperwork, and went back to the Union office for further discussion. (Def.’s Stmt.
Add’l Facts, Dkt. # 78, ¶ 1.) The entire process took 35-40 minutes, and Plaintiff received a
written warning for failing to return promptly when his 10-minute break period ended. (Id.) This
warning did not affect Plaintiff’s pay and carried no tangible job consequences. (Id.)
Dr. Nikola Ivancevic completed Plaintiff’s third medical evaluation on August 13, 2013,
and listed “1 wk.” in the section of the certification form for estimating the beginning and ending
dates of Plaintiff’s inability to do his job and estimated “Approx. 7 days for treatment and
recovery” in the space for estimating Plaintiff’s treatment schedule. (Def.’s Ex. LL, Dkt. # 5438.) Dr. Ivancevic estimated Plaintiff’s flare-ups as occurring in one to two episodes per month
with a duration of seven days per episode. (Id.) Based on this opinion, Defendant certified
Plaintiff for FMLA leave on August 21, 2013 and provided him with a Designation Notice listing
the terms of his leave. (Def.’s Ex. N, Dkt. # 54-14.) This notice listed Plaintiff’s FMLA leave
requirements as: “Frequency: 1-2 episodes per month; Duration: 7 days episode [sic].” (Id.) The
notice also included the following language regarding notification of absences:
If you have not yet notified us of the exact dates of your expected leave, it is your
responsibility to notify the Company each day you are to be absent for the reason
identified in your leave request, in accordance with the Company’s usual and customary
procedures for reporting absences ... Your failure to notify the Company of your absences
may result in delay or denial of FMLA leave and/or STD benefits, unexcused absences,
and/or disciplinary action.
(Id.)
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On the day Plaintiff’s leave certification was approved, he spoke with Defendant’s leave
administrator, Mary Hendrix, about his FMLA leave. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 54.)
Testimony as to what was said in this meeting varied slightly. Plaintiff testified that at this
meeting, he asked for an example because he had never had leave structured in this way before.
(Def.’s Ex. D, Dkt. # 54-4, p. 138.) He testified that Hendrix told him:
If you call in tomorrow, you have up until seven days max to be off work. If you come
back in on the third day, if you take of Monday, Tuesday, Wednesday, even though you
got seven to be off for your flare-up, if you come back on Wednesday, that mean [sic]
you only took three days, don’t mean you still got them other four. That deletes one of
your episodes.
(Id., p. 138:12-19.) Plaintiff heard someone else in the room ask if the seven days were business
days or included weekends; Hendrix clarified that it included weekends. (Id., p. 140:12-18.) In
Hendrix’s deposition, she testified that she told Plaintiff that he could take off one to two
episodes per month, with “up to seven” days off per episode, and the omission of the words “up
to” on the Designation Notice she drafted was inadvertent. (Def.’s Ex. S, Dkt. # 54-19, pp.
198:14-199:3.) She also testified that she told Plaintiff that “[i]f he took off one day, as I recall,
that would be one episode. If he called out tardy three days later, that would be his second
episode. And that would be all he would have for that month.” (Id., pp. 199:19-200:3.) Finally,
she insisted that Plaintiff’s main questions at the meeting concerned the frequency and duration
of his FMLA leave, and they did not discuss the call-in procedure. (Id., p. 205:3-8.)
Plaintiff’s absences and termination
Early in the morning on September 3, 2013, Plaintiff called Defendant’s absence
reporting line and left the following message:
Yes my name is Keith Hobbs, clock #1991, today’s date is Tuesday September the 3rd,
the time is 4:40 a.m. I will not be in today due to my FMLA. Once again, my name is
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Keith Hobbs, clock #1991, today’s date is September the 3rd, which is Tuesday. The time
is 4:40 a.m. I will not be in today due to my FMLA, my supervisor’s name is Lorenzo
Swift. Once again, my name is Keith Hobbs, clock #1991 today’s date is September the
3rd and the time is 4:40 a.m. I will not be in today due to my FMLA. Thank you.
(Def.’s Ex. R, Dkt. # 54-18) (audio message.) Plaintiff was then absent from work on September
3, 4, 5, 6, and 9 of 2013 due to his foot condition. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 11; Pl.’s Stmt.
Facts, Dkt. # 67, ¶ 24.) While he testified that he did not read the CBA because he had worked at
the company long enough to know the procedures, he knew that if he was absent, he was
required to call it in. (Def.’s Ex. D, Dkt. # 54-4, p. 30:11-21.) He did not call in on September 4,
6, and 9 to report the absences, but did leave another message on September 5, stating “I am
calling just to let you know for the record that I am still off due to my FMLA” (Def.’s Stmt.
Facts, Dkt. # 53, ¶¶ 14-15; Pl.’s Stmt. Facts, Dkt. # 67, ¶ 25.) While he was absent from work on
September 5, 2013, Plaintiff saw Dr. Ivancevic and, despite no change in his underlying foot
condition asked the doctor to change the frequency and duration of his FMLA leave certification.
(Def.’s Ex. D, Dkt. # 54-4, pp. 173:22-176:24.) Dr. Ivancevic changed his leave recommendation
from one to two episodes of seven days each per month to five episodes of two to three days
each per month. (Def.’s Ex. YY, Dkt. # 54-46.) After receiving Dr. Ivancevic’s altered
recommendation, Defendant approved the change on September 18, 2013. (Def.’s Stmt. Facts,
Dkt. # 53, ¶ 77.)
After he returned to work, Plaintiff was called in to meet with managers for over one and
a half hours. (Pl.’s Stmt. Facts, Dkt. # 67, ¶ 32.) During this meeting, Plaintiff was told he was
being assessed attendance points and objected, as he believed his call on September 3 triggered
seven days of leave and no further calls were necessary. (Pl.’s Ex. D, Dkt. # 68-4, p. 147:1-10.)
Plaintiff asked to leave and go back to work several times, but was refused permission to leave.
(Id., pp. 147:20-149:11.) The meeting became contentious; when Plaintiff refused to sit back
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down the manager present showed him a card or book marked “insubordination,” said “if I was
you, I sit [sic] back down because I can get you on this here,” and accused Plaintiff of pointing at
the manager and raising his voice. (Id., pp. 194:24-150:13.) After the meeting, Plaintiff was
assessed 3 points for each of the three days of his absence for which he did not call in and was
terminated on October 13, 2013 for having accumulated nine or more points. (Def.’s Stmt. Facts,
Dkt. # 53, ¶¶ 7, 16, 60.) Had any of the three absences been counted as FMLA leave, Plaintiff
would not have reached 9 points and would not have been terminated. (Pl.’s Stmt. Facts, Dkt. #
67, ¶ 30.) A suspension pending discharge hearing and a later discharge hearing were held in
accordance with the CBA prior to Plaintiff’s termination, but he did not receive a written
warning. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 57; Pl.’s Stmt. Facts, Dkt. # 67, ¶ 29.) In the previous
ten years for which Plaintiff was approved for FMLA leave, there is no evidence that he ever
received points for a “no call/no show” under the attendance policy. (Pl.’s Stmt. Facts, Dkt. # 67,
¶ 23.)
Evidence as to other employees
As Plaintiff claims that Defendant retaliated against him for exercising his rights under
the FMLA, Defendant’s treatment of similarly situated employees is relevant and the parties
identify several comparators. Employee I.C. was initially on FMLA leave and was asked to
recertify, during which process she was erroneously told that her certification must come from a
specialist. (Def.’s Stmt. Facts, Dkt. # 53, ¶ 63.) The specialist denied her FMLA certification,
and she was subsequently suspended pending discharge after exceeding 9 attendance points. (Id.)
At her hearings prior to discharge, Defendant realized she should not have been instructed to
secure certification through a specific doctor, and gave her additional time to certify her
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absences. (Id.) Employee D.C. was initially approved for intermittent leave, and called in every
day he took leave. (Id., ¶ 64.) He then switched to a period of continuous leave, and notified
Defendant of the exact days of his absence prior to going on leave. (Id.) Employee M.J. was
suspended pending discharge after reaching 9 attendance points, based on Defendant’s belief that
he failed to return to work after his FMLA leave expired. (Id., ¶ 72.) He was not terminated after
producing letters from Defendant’s leave administration servicer stating that he still had several
unused days of leave left, thereby showing that Defendant’s conclusion that he overstayed his
leave was erroneous. Employee J.A. was not on FMLA and was suspended pending discharge
after exceeding 9 attendance points. (Pl.’s Stmt. Facts, Dkt. # 67, ¶ 33.) He was not discharged
after Defendant determined that he had not been given adequate warning. (Id.) Discovery also
revealed a total of 13 employees other than Plaintiff who were approved for intermittent leave of
more than one day, with three having leave for episodes of definite duration and the other ten
having ranges (for example, “1-3 days”). (Def.’s Ex. WW, Dkt. # 59-4.) All of these employees
called in each day of their absence when on their intermittent leave. (Def.’s Stmt. Facts, Dkt. #
53, ¶ 74.) Additionally, 13 employees other than Plaintiff were terminated for reaching nine
points under the attendance policy, of whom five were certified for active FMLA leave. (Def.’s
Ex. XX, Dkt. # 59-5.)
Summary Judgment Standard
A district court will grant summary judgment if “the movant shows that there is no
genuine dispute as to any material fact and the movant is entitled to a judgment as a matter of
law.” Fed. R. Civ. P. 56(a); see also Celotex Corp. v. Catrett, 477 U.S. 317, 322 (1986). In
determining whether a genuine dispute exists as to any material fact, a court must view all the
11
evidence and draw all reasonable inferences in favor of the non-moving party. See Weber v.
Univ. Research Assoc., Inc., 621 F.3d 589, 592 (7th Cir. 2010). It is not appropriate for the court
to judge the credibility of the witnesses or evaluate the weight of the evidence; the only question
on summary judgment is “whether there is a genuine issue of fact.” Gonzalez v. City of Elgin,
578 F.3d 526, 529 (7th Cir. 2009). Summary judgment is appropriate only if the record, taken as
a whole, establishes that no reasonable jury could find for the non-moving party. See Sarver v.
Experian Info. Solutions, 390 F.3d 969, 970 (7th Cir. 2004).
The FMLA gives eligible employees with a serious health condition that renders the
employee unable to perform his job the right to take a certain amount of medical leave during
each twelve-month period. 29 U.S.C. § 2612. Under the statute, an employee on leave is entitled
to be restored to the same or an equivalent position that he had before he took qualifying leave.
Id. § 2614(a)(1)-(2). An employer may not “interfere with, restrain, or deny the exercise of or the
attempt to exercise” any FMLA rights. Id. § 2615(a)(1). The statute also affords protection to
employees who are retaliated against because they exercise their right to take leave, as 29 U.S.C.
§ 2615(a)(2) makes it “unlawful for any employer to discharge or in any other manner
discriminate against any individual for opposing any practice made unlawful by this subchapter”
and 29 U.S.C. § 2615(b) makes it unlawful to “discharge” or “discriminate” against a person for
taking part in proceedings or inquiries under the FMLA. Courts have construed these provisions
as establishing a cause of action for retaliation under the FMLA. See Lewis v. Sch. Dist. #70, 523
F.3d 730, 741 (7th Cir. 2008); Kauffman v. Fed. Express Corp., 426 F.3d 880, 884 (7th Cir.
2005).
Discussion
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Plaintiff filed this suit on May 13, 2014, alleging two counts under the FMLA. Count I of
the complaint is founded on the FMLA’s prohibition on “interference” with the exercise of
statutory rights, and Count II is founded on the statute’s prohibition on retaliation. Defendant has
moved for summary judgment on both counts, and Plaintiff has moved for summary judgment
only as to Count I.
Count I: Interference
To establish a claim of FMLA interference, an employee “need only show that his
employer deprived him of an FMLA entitlement; no finding of ill intent is required.” Burnett v.
LFW Inc., 472 F.3d 471, 477 (7th Cir. 2006). To establish such a claim, Plaintiff must show that:
(1) he was eligible for the FMLA’s protections; (2) his employer was covered by the FMLA; (3)
he was entitled to take leave under the FMLA; (4) he provided sufficient notice of his intent to
take leave; and (5) his employer denied him FMLA benefits to which he was entitled. Id. at 477.
Plaintiff bears the burden of proving these five elements. See Darst v. Interstate Brands Corp.,
512 F.3d 903, 908 (7th Cir. 2008). In this case, there is no dispute that Plaintiff was an eligible
employee, and Defendant was covered by the FMLA.
Count I of the complaint alleges that Defendant interfered with Plaintiff’s FMLA rights
by (1) denying recertification in January 2013, and (2) assessing attendance points for the
September 2013 absences and terminating Plaintiff as a result. (Compl., Dkt. # 1, ¶¶ 44-46.)
Interference in the January 2013 certification
The complaint alleges that Defendant’s “denial of [Plaintiff’s] recertification form for
FMLA leave on the basis of his physician’s alleged failure to contact [Defendant] burdened and
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interfered with rights to which [Plaintiff] was entitled under the FMLA.” (Id., ¶ 44.) There is no
material dispute as to the facts regarding the January 2013 recertification; rather, the success or
failure of this claim depends on the narrow legal question of Plaintiff’s entitlement to FMLA
leave, which in turn depends on the adequacy of Dr. Harris’s certification forms. Defendant
argues that it complied with the FMLA in denying certification, based on the insufficiency of
Plaintiff’s five certification forms and Dr. Harris’s failure to respond with clarification. Plaintiff
argues that all of Dr. Harris’s forms were in fact substantially complete, and that Defendant’s
refusal to accept the forms based on pedantic technicalities was a violation of the FMLA.
Under 29 C.F.R. § 825.306, an employer may require medical certification from a health
care provider when leave is sought because of an employee’s own serious health condition, and
“it is the employee's responsibility to provide the employer with complete and sufficient
certification and failure to do so may result in the denial of FMLA leave.” 29 C.F.R. §
825.306(e). Such certification is sufficient if it provides the date the serious health condition
began, its probable duration, relevant medical facts, and a statement that the employee is unable
to work. 29 U.S.C. § 2613(b); 29 C.F.R. § 825.306. The employer may ask for this same
information when seeking recertification of leave for an employee who has previously been
granted FMLA benefits, and may also “provide the health care provider with a record of the
employee's absence pattern and ask the health care provider if the serious health condition and
need for leave is consistent with such a pattern.” 29 C.F.R. § 825.308(e). The regulations also
provide that a certification “is considered incomplete if the employer receives a certification, but
one or more of the applicable entries have not been completed” and “is considered insufficient if
the employer receives a complete certification, but the information provided is vague,
ambiguous, or non-responsive.” 29 C.F.R. § 825.305(c). If the employer “finds a certification
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incomplete,” it must “provide the employee a reasonable opportunity to cure any such
deficiency.” 29 C.F.R. § 825.305(d).
While Plaintiff argues that all of Dr. Harris’s submissions were legally sufficient
certifications, the record does not bear out such a contention. It is unnecessary here to wade into
the parties’ protracted sparring about which questions were answered insufficiently on which
forms and whether, as Plaintiff contends, any insufficient answers should be excused because the
information sought was “obvious” to Defendant in light of Plaintiff’s ten-year history of FMLA
leave at the company. The absence of an answer to question 22 (inquiring as to whether
Plaintiff’s past absence history is consistent with his condition) on all but the final form is
dispositive. As noted above, the regulations explicitly permit an employer to require an answer to
such a question on recertification, and it is undisputed that none of the first four forms Dr. Harris
submitted contained an answer to this question. That this omission was no fault of Plaintiff’s –
because Defendant had inadvertently failed to mark the question as requiring an answer in the
certification forms it initially provided to Dr. Harris – is irrelevant.
The January 17 deficiency notice informed Plaintiff and Dr. Harris that question 22
would need to be answered, and also identified insufficiencies in answers to other questions. Dr.
Harris responded by faxing in an answer to question 22 alone. As such, on January 22,
Defendant had no single form with all questions fully answered, and was instead faced with five
forms for which “one or more of the applicable entries [had] not been completed,” making them
all insufficient under the plain language of the FMLA regulations. Plaintiff has cited to no
authority suggesting that Defendant was obligated to cobble together one sufficient form from
bits and pieces of five incomplete ones. In light of the inconsistent forms, Defendant took the
permissible step of contacting Dr. Harris and requesting clarification. See 29 C.F.R. § 825.307(a)
15
(providing that “the employer may contact the health care provider for purposes of clarification
and authentication of the medical certification (whether initial certification or recertification)
after the employer has given the employee an opportunity to cure any deficiencies.”). Only after
roughly one month without a response from Dr. Harris did Defendant deny recertification of
Plaintiff’s FMLA leave.
Plaintiff relies on the Seventh Circuit’s opinion in Kauffman v. Fed. Express Corp., 426
F.3d 880, 886 (7th Cir. 2005) for support, but that case is distinguishable on its facts. In
Kauffman, an employer immediately terminated the plaintiff for absences when his doctor’s
certification of medical incapacitation failed to check a box denoting incapacity lasting more
than three days. The doctor had, however, written “bronchitis” next to the box in lieu of checking
it, and the Seventh Circuit held that this was sufficient to certify the plaintiff’s incapacity. See
Kauffman, 426 F.3d at 886 (“We will not split hairs over the obvious. Writing ‘bronchitis’ next
to the box was the equivalent of checking it.”). While some of the “insufficiencies” Defendant
identifies on the various forms are similarly technical deficiencies rather than real ones, the total
absence of an answer to question 22 was unquestionably not. Moreover, the employer in
Kauffman terminated the plaintiff immediately without giving him notice that the certification
form was incomplete or an opportunity to correct deficiencies. See Id. (“FedEx could not win its
case by arguing that the form was incomplete; in that event, FedEx would have been required to,
but did not, notify Kauffman and give him the opportunity to cure the deficiency”). Here,
Defendant did not deny Plaintiff’s request for leave outright when faced with the incomplete
forms, instead notifying Plaintiff of the deficiency and giving Dr. Harris one month to clarify
exactly what his various responses meant.
16
In summation, Defendant was entitled under the FMLA and its implementing regulations
to treat the five separate incomplete certification forms from Dr. Harris as insufficient, and was
therefore justified in seeking clarification and denying Plaintiff’s FMLA recertification when Dr.
Harris did not provide such clarification. Accordingly, summary judgment is granted in favor of
Defendant on Plaintiff’s interference claim relating to the January 2013 certification process.
Interference in Plaintiff’s termination
The complaint also alleges that Defendant interfered with Plaintiff’s FMLA rights by
assessing the nine attendance points for Plaintiff’s September 2013 absences. Defendant argues
that it is entitled to summary judgment, because Plaintiff’s failure to follow the company’s
established call-in procedures was a valid ground for termination. Plaintiff argues that his belief
that he only needed to call in once to trigger seven days of leave was reasonable as a matter of
law, and that Defendant therefore violated his right to leave by penalizing him for the absences.
It is well-established that even an employee entitled to FMLA leave is required to follow
his employer’s usual policies for notifying the employer when leave will be taken. 29 C.F.R. §
825.303(c) (permitting employers to require employees certified for unforeseeable FMLA leave
“to comply with the employer’s usual and customary notice and procedural requirements for
requesting leave, absent unusual circumstances.”); Gilliam v. United Parcel Serv., Inc., 233 F.3d
969, 972 (7th Cir. 2000) (“Nothing in the FMLA or the implementing regulations prevents an
employer from enforcing a rule requiring employees on FMLA leave to keep the employer
informed about the employee’s plans.”). Accordingly, the Seventh Circuit has held that
terminating employees who fail to call in their FMLA leave is not a violation of the statute. See,
e.g., Lewis v. Holsum of Fort Wayne, Inc., 278 F.3d 706, 710 (7th Cir. 2002) (affirming summary
17
judgment in favor of employer who fired plaintiff after she requested FMLA leave for a Friday
but then failed to return to work until the next Thursday without further notice to the employer).
There is ample evidence from which a jury could conclude that Plaintiff did not follow
Defendant’s usual and customary call-in policy. The CBA, under which Plaintiff had worked for
many years, unambiguously provided that notice of absence was required each day an employee
would not come to work, though it could cover more than one day only if the employee so
informed Defendant and kept Defendant advised thereafter. (Def.’s Ex. H, Dkt. # 54-8, at Art.
XIII Section 3(f).) Similarly, Plaintiff’s FMLA designation notice informed him “it is your
responsibility to notify the Company each day you are to be absent for the reason identified in
your leave request” and warned him that he would be disciplined under the absence policy for
failing to notify Defendant of the dates of his absence. (Def.’s Ex. N, Dkt. # 54-14) (emphasis
added.) Plaintiff’s September 3, 2013 call stated three times that he was calling in absent “today”
due to his FMLA leave, and made no mention of taking off any other days. Finally, Defendant’s
records indicate that every other employee with intermittent multi-day FMLA leave – including
three that had leave durations of fixed periods – called in every day when they used their leave.
This dispute cannot be resolved at the summary judgment stage, however, because there
is also evidence from which a jury could conclude either that Plaintiff’s September 3 call did
satisfy his notice obligations or that he was excused from doing so. Both Dr. Ivanevic’s
certification form and Plaintiff’s FMLA Designation Notice specified his leave as “7 days”
rather than “up to 7 days.” The CBA allowed for notice of absence to cover more than one day if
Defendant was informed of the duration; because Defendant already knew his leave period was
exactly seven days long, the Court cannot say as a matter of law that Plaintiff’s call was
insufficient to trigger seven days of leave without further action on his part.
18
Even if Plaintiff violated Defendant’s notice policy, a fact issue exists as to whether he
was excused from doing so. As noted above, the FMLA’s implementing regulations require that
an employee comply with his employer’s notice requirements “absent unusual circumstances.”
29 C.F.R. § 825.303(c). From the evidence in the record, a jury could reasonably find that
“unusual circumstances” existed here because Defendant’s actions could have misled Plaintiff
into believing that strict compliance with the notice requirements was not necessary. In
Plaintiff’s deposition, he related that when he asked for an explanation of how to use his leave
Hendrix replied “If you call in tomorrow, you have up until seven days max to be off work…”
While Hendrix went on to explain that Plaintiff could use less than the full seven days per
episode, this does not necessarily mean that calling in every day was necessary – only that if
Plaintiff returned before the seven days were up, however long he was gone would count as an
episode and he would lose any of the seven days he had not used. Hendrix insisted in her
deposition that she did not discuss the call-in requirements with Plaintiff at the meeting, but the
question of who to believe is properly resolved by a jury rather than on summary judgment. The
version of Hendrix’s explanation related in Plaintiff’s deposition may have led him to
erroneously conclude that he was excused from affirmatively telling the company how long he
would be absent. The fact that he later called in on September 5 supports an inference that
Plaintiff believed he was in compliance with the notice procedures, as the CBA requires that an
employee keep Defendant informed after giving multi-day notice and Plaintiff’s call stated that
“for the record” he was “still” off due to his FMLA leave.
Accordingly, the Court denies both parties’ motions for summary judgment on Plaintiff’s
interference claim relating to his September absences and subsequent discharge.
19
Count II: Retaliation
Count II of the complaint alleges that Defendant retaliated against Plaintiff for exercising
his rights under the FMLA, by (1) reevaluating his entitlement to FMLA leave, and (2)
terminating him for taking FMLA leave to which he was entitled. (Id., ¶¶ 49-52.)
As in other employment contexts, a plaintiff alleging retaliation must show that: “(1) he
engaged in protected activity; (2) he suffered an adverse employment action; and (3) there is a
causal connection between the two.” Carter v. Chi. State Univ., 778 F.3d 651, 657 (7th Cir.
2015). A retaliation claim under the FMLA “requires proof of discriminatory or retaliatory intent
while [an interference theory] requires only proof that the employer denied the employee his or
her entitlements under the Act.” Kauffman, 426 F.3d at 884; see also King v. Preferred Technical
Gp., 166 F.3d 887, 891 (7th Cir. 1999). A plaintiff claiming retaliation need not prove that
“retaliation was the only reason for her termination; [he] may establish an FMLA retaliation
claim by showing that the protected conduct was a substantial or motivating factor in the
employer’s decision.” Lewis, 523 F.3d at 741-42 (quotation marks omitted). To make out a
charge of retaliation under the FMLA, a plaintiff may proceed under the direct or indirect
methods of proof; in either case, a court employs the same framework as is used to establish
retaliation under other labor statutes. See Buie v. Quad/Graphics, Inc., 366 F.3d 496, 506 n.3 (7th
Cir. 2004) (“[W]e assess a claim of FMLA retaliation in the same manner that we would
evaluate a claim of retaliation under other employment statutes, such as the ADA or Title VII.”).
The basis for the first of Plaintiff’s retaliation claims is unclear, as the complaint recites
only that “[Defendant’s] decision to reevaluate [Plaintiff’s] FMLA leave and subsequent actions
to date are in retaliation because [Plaintiff] exercised rights to which he was entitled under the
FMLA.” Plaintiff’s pleadings do not clarify what actions specifically he alleges were retaliatory;
20
it is uncontested that an employer has the right to request periodic recertification of entitlement
to FMLA leave. To the extent that this claim is based on Defendant’s January 2013 denial of
recertification, it fails because, as discussed above, Defendant had a legitimate non-retaliatory
reason for initially denying Plaintiff’s recertification request (namely, the insufficiency of Dr.
Harris’s certification forms and his failure to provide clarification). The second part of Plaintiff’s
retaliation claim – that his discharge was motivated by retaliatory animus against him for being a
longtime user of FMLA leave – also fails, because Plaintiff has failed to offer sufficient evidence
to make out a case of retaliation under the direct method of proof.3
Under the direct method of proof, Plaintiff “can survive summary judgment by creating a
triable issue of whether the adverse employment action of which [he] complains had a
discriminatory motivation.” Lewis, 523 F.3d at 741 (quotation marks omitted). He need not
prove that his FMLA-protected conduct was the sole factor in Defendant’s decision to terminate
him, only that “the protected conduct was a substantial or motivating factor in the employer’s
decision.” Culver v. Gorman & Co., 416 F.3d 540, 545 (7th Cir. 2005). Proof can take the form
of direct “smoking gun” evidence, but only a direct admission by the employer will typically
satisfies the plaintiff’s burden. See Tank v. T–Mobile USA, Inc., 758 F.3d 800, 805 (7th Cir.
2014) (“Direct evidence requires an admission of discriminatory intent.”). More commonly, the
direct method is proven by showing “a ‘convincing mosaic’ of circumstantial evidence from
which a factfinder can make a reasonable inference of discriminatory intent.” Teruggi v. CIT
3
Plaintiff fails to specify under which method of proof he seeks to proceed. Under the indirect method, Plaintiff
would have first establish a prima facie case of retaliation. Once he has done so, Defendant must articulate a
legitimate, non-discriminatory reason for the termination; the burden then shifts back to Plaintiff to offer evidence
that Defendant’s stated reason was pretextual. See Vaughn v. Vilsack, 715 F.3d 1001, 1006 (7th Cir. 2013). To meet
his prima facie burden in a retaliation claim, Plaintiff must establish that: “(1) he engaged in statutorily protected
activity; (2) he met his employer’s legitimate expectations; (3) he suffered a materially adverse action; and (4) he
was treated less favorably than some similarly situated employee who did not engage in the statutorily protected
activity.” Id. As Plaintiff has directed no arguments towards any of these four elements and failed to mention the
burden-shifting framework entirely, the Court infers that he seeks to proceed only under the direct method of proof.
21
Grp./Capital Fin., Inc., 709 F.3d 654, 660 (7th Cir. 2013). There is no direct admission of
retaliation in the record. Instead, Plaintiff offers several pieces of circumstantial evidence which
he asserts demonstrate Defendant’s general animus towards employees who take FMLA leave.
None of these, however, carries his burden of making a prima facie showing of retaliation.
First, Plaintiff asserts that when Defendant took the administration of its FMLA program
in-house in 2012, it drastically cut the number of employees approved for FMLA leave. The
parties dispute the meaning of Hendrix’s deposition testimony regarding the company’s FMLA
statistics over time, but it is unnecessary to resolve this dispute. Even accepting Plaintiff’s
interpretation that the number of employees on FMLA leave decreased between 2012 and the
date of Hendrix’s deposition, there is no evidence that this decrease was engineered by
Defendant. FMLA leave is often of a temporary nature; employees take time off to deal with
their own injuries and illnesses as well as those of other family members, and when the crisis is
over the leave ends. Plaintiff has offered no evidence that this decrease was a result of conscious
action by Defendant, rather than a natural random fluctuation in the number of employees
requesting leave.
Second, Plaintiff cites his own difficulties in his January 2013 recertification process,
arguing that Defendant’s objections to his application “were so petty, ridiculous, and
inconsistent” as to raise an inference of animus. (Pl.’s Mot. Summ. J., Dkt. # 66 at 20.) As
discussed above, Defendant’s refusal to accept Dr. Harris’s incomplete forms was justified under
the FMLA, and such refusal is not sufficient to support an inference of animus. Particularly
undercutting Plaintiff’s position is the fact that Defendant approved him for FMLA certification
when he applied immediately after the initial denial, including allowing him to take FMLA leave
while this second application was pending.
22
Third, Plaintiff complains that the long meeting he was forced to attend after returning
from his September absences shows that Defendant “tried to bait [Plaintiff] into doing or saying
something that would justify his discharge for insubordination.” (Id. at 21.) Even accepting
Plaintiff’s characterization of the meeting at face value, however, it does not constitute indirect
proof of anti-FMLA animus. Plaintiff’s deposition makes clear that the meeting became
contentious and that the manager present accused him of raising his voice and acting
disrespectfully. There is nothing in Plaintiff’s account to suggest that any hostility towards him
at the meeting arose because of his history of taking FMLA leave, rather than because he was
arguing his viewpoint vigorously. Plaintiff cites to cases holding that setting up an employee for
discharge is evidence of retaliatory motive, but it is uncontested that despite the manager’s
threats Plaintiff was not disciplined for insubordination but rather for the absences which had
already occurred prior to the meeting.
Fourth, Plaintiff cites the written warning he received on June 18, 2013 as evidence that
Defendant had a retaliatory motive. Even based on Plaintiff’s version of events, however, he left
his work station for 35-40 minutes to discuss his FMLA application with Hendrix and his union
steward. He does not allege that he had permission to exceed his normal 10-minute break time,
and does not dispute Defendant’s assertion that written warnings for overstaying breaks are
common among employees at the Franklin Park plant. Moreover, the warning did not result in
any tangible consequences to Plaintiff, and is therefore at best weak evidence that Defendant
harbored any retaliatory animus towards Plaintiff.
Finally, Plaintiff identifies J.A. as a similarly-situated employee who was not on FMLA
and was not fired when he exceeded 9 attendance points. While Plaintiff points out that J.A. was
not terminated because he had never received a warning as required under the CBA and Plaintiff
23
never received a warning either, Plaintiff has failed to show that he and J.A. were similarly
situated. Factors a court will look to in determining whether two employees are similarly situated
include whether the employees: “1) held the same job description, 2) were subject to the same
standards, 3) were subordinate to the same supervisor, and 4) had comparable experience,
education, and other qualifications – provided the employer considered these latter factors in
making the personnel decision.” Ajayi v. Aramark Bus. Servs., Inc., 336 F.3d 520, 532 (7th Cir.
2003). Plaintiff is responsible for identifying others who were “directly comparable in all
material respects.” Hudson v. Chi. Transit Auth., 375 F.3d 552, 561 (7th Cir. 2004) (quoting
Patterson v. Avery Dennison Corp., 281 F.3d 676, 680 (7th Cir. 2002)). He has not met that
burden, having presented no information regarding J.A. other than the fact that he missed work,
did not receive a warning, and was not terminated. A mere assertion that another employee
missed a similar amount of work and was not fired – without any evidence regarding the
circumstances of that employee’s absences or his position in the company – is not enough
circumstantial evidence of retaliation to survive summary judgment.
Accordingly, none of the circumstantial evidence Plaintiff offers supports an inference
that Defendant was motivated by retaliatory animus against employees who utilize FMLA leave.
Bolstering this conclusion is the fact that Plaintiff had been taking FMLA leave for over a
decade, so there is no suspicious temporal proximity between his protected activity and his
discharge. Plaintiff therefore fails to create a triable issue of fact as to retaliation under either
method of proof, and Defendant is entitled to summary judgment as to Count II of Plaintiff’s
complaint.
Conclusion
24
For the reasons set forth above, Defendant’s motion for summary judgment [51] is
granted in part and denied in part. Defendant is entitled to summary judgment as to Count II of
the complaint and the portion of Count I involving Plaintiff’s January 2013 FMLA certification
process. Plaintiff’s motion for summary judgment [65] is denied.
SO ORDERED.
ENTERED: July 10, 2015
___________________________________
HON. RONALD A. GUZMÁN
United States District Judge
25
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