Smith v. State of Illinois Department of Human Services
Filing
86
MEMORANDUM Opinion and Order Signed by the Honorable John Robert Blakey on 2/24/2020. Mailed notice(gel, )
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
SUTTON SMITH,
Plaintiff,
Case No. 17-cv-3786
v.
Judge John Robert Blakey
STATE OF ILLINOIS DEPARTMENT
OF HUMAN SERVICES,
Defendant.
MEMORANDUM OPINION AND ORDER
Plaintiff Sutton Smith sues his employer, the State of Illinois Department of
Human Services (DHS), alleging both disability discrimination (Count I) and
retaliation (Count II) under the Americans with Disabilities Act (ADA), 42 U.S.C. §
12111, et seq. [1]. Defendant moves for summary judgment. [54]. For the reasons
explained below, this Court grants Defendant’s motion.
I.
Background
The following facts come from Defendant’s Local Rule 56.1 statement of
material facts, [56], and Plaintiff’s statement of additional facts, [63].
A.
Plaintiff’s Employment
Plaintiff began working for DHS in July 2010 as a Mental Health Technician
Trainee at the Ann Kiley Center (the Center) in Waukegan. [56] ¶ 4. The Center
provides twenty-four hour care for its residents, who have intellectual developmental
disabilities. Id. ¶ 5. After initially working as a Mental Health Technician Trainee,
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Plaintiff eventually began working as a Mental Health Technician 1. Id. ¶ 6. This
role required Plaintiff to care for patients with developmental disabilities by: (1)
assisting with their treatment and rehabilitation; (2) helping them develop self-care
skills; (3) supervising daily living skills; (4) intervening in crisis situations, which can
involve restraints; (5) cooking and cleaning; (6) toileting the individuals; and (7)
performing minor repairs. Id. ¶ 7. Plaintiff testified that his job duties also required
heavy lifting, specifically the ability to transfer an individual from his or her bed to a
wheelchair by himself. Id. ¶ 8.
As a Mental Health Technician 1, Plaintiff often worked overtime, and such
overtime work constituted a mandatory aspect of the position. Id. ¶ 9. Further, as a
Mental Health Technician 1, Plaintiff belonged to a union, AFSCME; the union’s
collective bargaining agreement (CBA) governed mandatory overtime assignments.
Id. ¶¶ 9, 10.
B.
Relevant Attendance Policies
The terms of Plaintiff’s employment also subjected him to the DHS Employee
Handbook, specifically Section III – Time and Attendance. Id. ¶ 11. This section
provides, in relevant part:
ATTENDANCE
Employees are expected to be on site, performing required duties during
the hours established for their job. Tardiness and absenteeism can place
unnecessary burdens on co-workers and affect an[ ] employee’s work
record. If an employee is unable to report to work, or is going to be late,
the employee must contact the supervisor or his or her designees as
directed. Absences other than for emergency situations or illness should
normally be scheduled in advance with the employee’s supervisor.
Employees must complete the Staff Request for Time Off (IL444-4140)
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form for all absences or requests for time off and submit it to the
supervisor for action. Employees must ensure there is sufficient time to
cover a request for time off. If an employee takes time off and has no
benefit time available, loss of pay may occur. Excessive and repeated
tardiness or absenteeism may be cause for disciplinary action, up to and
including discharge.
Id. ¶ 11.
The Center’s Policy and Procedure also provides guidance on attendance and
absenteeism. Id. ¶ 13. The relevant section provides, for example, details as to how
much notice employees must give to their supervisors prior to an absence in order to
receive an authorized absence. Id.
Moreover, two memoranda of understanding between AFSCME and the
Centers for Medicare and Medicaid Services (CMS)/DHS governed Plaintiff’s
employment. Id. ¶ 14. With respect to attendance, the memorandums clarified:
All employees’ requests for benefit time usage must be supported by a
request for time off form submitted by the employee. In accordance with
agency practice, requests for available benefit time other than
unscheduled sick leave, emergency personal business and inclement
weather situations, shall be made reasonably in advance, in writing,
using the proper form. Consideration of such requests shall be in
accordance with the Master Agreement.
***
Supervisors must ensure that the form is readily available to the
employee. Failure of the employee to provide this form may result in
the absence being considered unauthorized, and the employee may be
docked and disciplinary referral may be initiated. If the employee
subsequently submits the form within two (2) of the employee’s
workdays after notification of being docked, the determination of an
unauthorized absence shall be corrected.
Id. ¶ 14. The memoranda of understanding also set forth a schedule of corrective and
progressive discipline for unauthorized absences:
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1st
Counseling
2nd
Oral reprimand
3rd
Written reprimand
4th
2nd Written reprimand
5th
1 day suspension
6th
3 day suspension
7th
5 day suspension
8th
7 day suspension
9th
10 day suspension
10th
15 day suspension
11th
20 day suspension
12th
Discharge
Id. ¶ 15. For purposes of the schedule, an unauthorized absence without a call-in
counts as two offenses. Id.
C.
Plaintiff’s Injury
On February 4, 2012, Plaintiff reported that he injured himself at work while
using a mechanical can opener. Id. ¶ 17. On or about that same day, Plaintiff filed
a Workers’ Compensation claim with Workers’ Compensation Coordinator Kathy
Chevalier, asserting that he suffered a service-connected injury. Id. ¶ 18. In 2012,
DHS policy provided it would assign light duty work, if available, to an employee who
suffered a service-connected injury or illness, or who was unable to perform regular
duties for a period of more than sixty days.
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Id. ¶ 19.
DHS required medical
documentation to assess the suitability of a light-duty assignment and made such
assignments within the limitations set by the treating physician. Id. ¶ 19.
On February 10, 2012, a physician evaluated Plaintiff and diagnosed him with
“hand discomfort” and “mild carpal tunnel.” Id. ¶ 20. The physician cleared Plaintiff
to work that same day, with the restriction “work with splints.” Id. Plaintiff also
testified that on February 10, he told Chevalier that his doctor said he “was unable
to work,” but “asked her questions about options for light duty, FMLA, and shortterm disability.” [56-3] at 44. According to Plaintiff, Chevalier told him that “no one
is able to take light duty.” Id.
Based upon the February 10, 2012 physician’s statement, DHS Human
Resources Associate Ivia Ortega requested additional information regarding
Plaintiff’s weight limitations, if any, as she deemed the medical documentation
insufficient to determine whether DHS could assign light duty work to Plaintiff. [56]
¶ 21. In response, Plaintiff provided a physician’s statement dated February 13,
2012, which indicated that Plaintiff could not return to work until March 13 and
included the “temporary limitation of non-weight-bearing movement of wrists in the
splints” at work.
Id. ¶ 22.
Based upon this statement and restriction, DHS
determined that Plaintiff could not perform his job duties as a Mental Health
Technician 1, and that it could not assign a light duty role to Plaintiff. Id. ¶ 23.
On March 14, 2012, Plaintiff began a leave of absence pending the
determination of his Worker’s Compensation claim. Id. ¶ 24. On April 17, 2012,
Plaintiff underwent bilateral carpal tunnel release surgery. Id. ¶ 25. On or about
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May 7, 2012, an independent medical examiner evaluated Plaintiff in connection with
his Workers’ Compensation claim and released him for full duty work six weeks
thereafter. Id. ¶ 26. Subsequently, Plaintiff’s Worker’s Compensation claim was
denied based upon this examination. Id.
According to a physician’s statement from Plaintiff’s primary care physician
dated May 18, 2012, Plaintiff could go back to work as of June 4, 2012 “unless
otherwise stated by surgeon.”
Id. ¶ 27. And according to a form filled out by
Plaintiff’s surgeon dated May 31, 2012, Plaintiff was cleared to return to work with
“no restrictions.” Id. ¶ 28.
D.
Plaintiff’s Injury-Related Absences
Plaintiff’s leave of absence expired on June 4, 2012. Id. ¶ 29. From June 4,
2012 through June 7, 2012, Plaintiff failed to return to work from his medical leave
and did not provide any medical documentation to cover his unexcused absences or
to support a continued non-service-connected leave of absence. Id. ¶ 30. On June 6,
2012, Plaintiff met with Human Resources Associate Ortega; with Plaintiff present,
Ortega called the office of Plaintiff’s primary care physician, Dr. Salvi, regarding
Plaintiff’s medical documentation. Id. ¶ 31. Dr. Salvi’s office confirmed that it had
fully released Plaintiff to return to work. Id. On June 6, 2012, Ortega notified one of
Plaintiff’s supervisors, Lisa Schmidt, that Plaintiff had returned from his medical
leave of absence for full duty as of June 4, 2012, with no restrictions, based upon his
physician’s statement. Id. ¶ 32.
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E.
Plaintiff’s Subsequent Absences
From June 11, 2012 to June 14, 2012, Plaintiff failed to report to work and did
not provide any medical documentation to cover his unexcused absences or to support
a continued non-service-connected leave of absence. Id. ¶ 34. DHS had instructed
Plaintiff to bring in medical documentation to cover these days, but he failed to do so.
Id. ¶ 35.
On June 15, 2012, Plaintiff faxed a physician’s statement dated June 11, 2012.
Id. ¶ 37. This statement contained a lifting restriction of no more than 30 pounds
until June 21, 2012. Id. According to DHS, it had no light duty work available to
accommodate this restriction. Id. On that same day, Plaintiff signed out on and was
placed on a non-service connected leave of absence. Id. ¶ 38. This leave expired on
June 21, 2012, and Plaintiff was then cleared to return to work with no restrictions.
Id. ¶ 39.
On June 22, 2012, Plaintiff learned that Dorothy McCaffrey, Assistant Director
at the Center, would conduct a pre-disciplinary meeting due to his unauthorized
absences from June 4 through 7, 2012, and from June 11 through June 14, 2012. Id.
¶ 40.
Following this meeting, Plaintiff received a seven-day paper suspension,
effective August 1 through August 8, 2012, for violating DHS’ affirmative attendance
policy for abuse of time as a result of the unauthorized June absences. Id. ¶ 41.
Plaintiff did not lose any wages or benefits as a result of this suspension. Id.
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F.
Overtime Refusals
During the months of July and August, 2012, Plaintiff refused to work
overtime on 29 separate occasions. Id. ¶ 42. Plaintiff based this decision upon June
28, 2012 and July 26, 2012 forms from his doctor stating, “No overtime duty” and
indicating “[r]estrictions in place for 4 weeks,” for 8 total weeks. Id. ¶ 43; [63] ¶ 11.
DHS found these forms inadequate to support the stated restriction, as they did not
indicate a diagnosis or explain the restriction, and thus did not constitute valid
documentation under DHS policies and the CBA. [56] ¶ 44. Plaintiff failed to submit
any additional medical documentation justifying or clarifying the purported fourweek restriction. Id.
By way of e-mails dated June 29, 2012 and August 2, 2012, Plaintiff’s shift
supervisors learned that DHS did not accept Plaintiff’s overtime restrictions and that
he was required to work overtime. Id. ¶ 45. Plaintiff signed a notice stating that
DHS had not accepted his restrictions but wrote that he refuted DHS’ decision to
refuse the restrictions. Id. ¶ 46. Mandatory Overtime Refusal Documentation Forms
from July and August also reflect that DHS reminded Plaintiff that it expected him
to be at work and did not accept his physician’s overtime restrictions, but noted that
Plaintiff still refused to work overtime. Id. ¶ 47.
Following a pre-disciplinary meeting on September 11, 2012, Plaintiff received
a 15-day suspension, effective September 11 through September 25, 2012, for his
refusal to work overtime on 29 occasions during July and August 2012. Id.
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G.
Plaintiff’s Gastroenteritis Hospitalization
On August 6, 2012, Plaintiff sought treatment at an emergency room for
gastroenteritis and was released that same day. Id. ¶ 49. This occasion marked the
first and only time Plaintiff suffered from such an infection. Id. ¶ 50. As a result,
Plaintiff missed four days of work from August 7 to August 10, 2012. Id. ¶ 51.
Plaintiff testified that the gastroenteritis made him lethargic and not “very
ambulatory.” [56-3] at 105.
Plaintiff never made any sort of accommodations request based upon his
gastroenteritis, nor did he submit the Staff Request for Time Off (IL444-4140) form
for the related August 7 through 10th absences. [56] ¶ 52. In fact, Plaintiff never
contacted DHS’ Reasonable Accommodations Manager Kim Martinez about
information or forms concerning a reasonable accommodation in any capacity from
February 2012 through October 2012. Id. ¶ 68.
Plaintiff’s failure to submit the Staff Request for Time Off forms for the four
August absences raised him to a total of 12 incidents of unauthorized time—not
including his February absences or his refusals to work overtime. Id. ¶ 54. Following
the September 11, 2012, pre-disciplinary meeting, Plaintiff received a 30-day
suspension pending discharge effective September 26, 2012—simultaneous to his 15day suspension for overtime refusal—for the unauthorized absences from August 7
through August 10, 2012. Id. ¶ 56.
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H.
Plaintiff’s Discharge and Grievance
On October 11, 2012, DHS notified Plaintiff that the Director of CMS approved
its October 4, 2012 written charges seeking his discharge.
Id. ¶ 57.
Plaintiff
subsequently received notification of his right to appeal the charges to the State of
Illinois’ Civil Service Commission within fifteen days or file a grievance pursuant to
the CBA. Id. ¶ 58. Plaintiff chose to grieve his termination pursuant to the CBA. Id.
¶ 59.
In connection with the grievance process, DHS offered Plaintiff a Last Chance
Agreement (LCA) that provided, among other items, that Plaintiff would return to
work on March 8, 2013 in exchange for releasing any claims arising out of his
discharge. Id. ¶ 60; [56-3] at 86−87. Plaintiff declined to enter into the LCA. [56] ¶
61. On March 12, 2013, Plaintiff’s grievances were “withdrawn by agreement.” Id. ¶
62.
On October 19, 2012, Plaintiff filed a Charge of Discrimination against DHS
with the Equal Employment Opportunity Commission (EEOC), alleging ADA
violations. Id. ¶ 69; [63] ¶ 14. Prior to this charge, Plaintiff concedes that he never
made any internal complaints of disability discrimination at DHS. [56] ¶ 70. Plaintiff
received a Right to Sue letter on February 27, 2017. Id. ¶ 71.
II.
Legal Standard
Summary judgment is proper where there is “no genuine dispute as to any
material fact and the movant is entitled to judgment as a matter of law.” Fed. R. Civ.
P. 56(a). A genuine dispute as to any material fact exists if “the evidence is such that
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a reasonable jury could return a verdict for the nonmoving party.” Anderson v.
Liberty Lobby, Inc., 477 U.S. 242, 248 (1986). The party seeking summary judgment
has the burden of establishing that there is no genuine dispute as to any material
fact. See Celotex Corp. v. Catrett, 477 U.S. 317, 323 (1986).
In determining whether a genuine issue of material fact exists, this Court must
construe all facts and reasonable inferences in the light most favorable to the nonmoving party. See CTL ex rel. Trebatoski v. Ashland Sch. Dist., 743 F.3d 524, 528
(7th Cir. 2014). The non-moving party has the burden of identifying the evidence
creating an issue of fact. Harney v. Speedway SuperAmerica, LLC, 526 F.3d 1099,
1104 (7th Cir. 2008). To satisfy that burden, the non-moving party “must do more
than simply show that there is some metaphysical doubt as to the material facts.”
Matsushita Elec. Indus. Co., Ltd. v. Zenith Radio Corp., 475 U.S. 574, 586 (1986).
Thus, a mere “scintilla of evidence” supporting the non-movant’s position does not
suffice; “there must be evidence on which the jury could reasonably find” for the nonmoving party. Anderson, 477 U.S. at 252.
III.
Analysis
A.
Count I: ADA Discrimination
Generally, plaintiffs can bring an ADA claim based upon two different
theories—a failure to accommodate or disparate treatment. See Scheidler v. Indiana,
914 F.3d 535, 541 (7th Cir. 2019). As an initial matter, Plaintiff’s response
memorandum repeatedly states that he brings “an ADA discrimination case based on
a failure to accommodate.” [64] at 7. Nowhere in his response memorandum does he
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address DHS’ arguments, included in their motion for summary judgment, that DHS
did not engage in disparate treatment discrimination under the ADA, [55] at 9−11.
See generally [64]. In fact, Plaintiff appears to concede that he does not premise his
case upon disparate treatment discrimination, as he notes that “whether Plaintiff
suffered adverse employment action or not is not relevant to Plaintiff’s discrimination
claim.” [64] at 8; see also Bunn v. Khoury Enters., Inc., 753 F.3d 676, 683 (7th Cir.
2014) (for a disparate treatment claim, a plaintiff must establish, among other
factors, “that [he] has suffered an adverse employment action because of his
disability.”).
At the parties’ motion hearing, however, Plaintiff asserted in open court that
his discharge constituted an adverse employment action. Thus, to the extent his
alternate disparate treatment theory might still exist after Plaintiff’s prior
concessions, this Court addresses the merits of this form of ADA discrimination based
upon his discharge.
In sum, according to Plaintiff, DHS violated the ADA by: (1) failing to provide
Plaintiff with reasonable accommodations as a result of his carpal tunnel, [64] at 8;
and (2) discharging him based upon his carpel tunnel diagnosis. 1
To establish a failure to accommodate claim under the ADA, Plaintiff must
demonstrate that: (1) he is a qualified individual with a disability; (2) DHS was aware
1 Plaintiff’s response memorandum makes no mention of his gastroenteritis diagnosis. See generally
[64]. At the parties’ motion hearing, Plaintiff’s counsel clarified that his gastroenteritis diagnosis
relates only to his retaliation claim. Accordingly, this Court does not consider Plaintiff’s
gastroenteritis in connection with Count I.
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of his disability (or of the obvious need for an accommodation); 2 and (3) DHS failed to
reasonably accommodate that disability. Preddie v. Bartholomew Consol. Sch. Corp.,
799 F.3d 806, 813 (7th Cir. 2015) (citing Kotwica v. Rose Packing Co., 637 F.3d 744,
747−48 (7th Cir. 2011)); Sansone v. Brennan, 917 F.3d 975, 979−80 (7th Cir. 2019).
To establish a disparate treatment claim under the ADA, Plaintiff must
demonstrate that: (1) he satisfies the ADA’s definition of disability; (2) he is a
qualified individual with a disability; and (3) disability constituted the “but for” cause
of adverse employment action. Scheidler, 914 F.3d at 541; Hooper v. Proctor Health
Care Inc., 804 F.3d 846, 853 n.2 (7th Cir. 2015) (plaintiff must show that his disability
was a “but for” cause of his termination).
DHS moves for summary judgment on Count I, arguing that Plaintiff: (1) does
not meet the ADA’s definition of disabled based upon his carpal tunnel diagnosis; (2)
fails to establish that he constitutes a “qualified individual”; (3) cannot show that
DHS failed to accommodate his purported disabilities; and (4) cannot show an adverse
employment action occurred as a result of his carpel tunnel diagnosis. [55] at 4−13.
This Court agrees with DHS and finds that even if Plaintiff’s carpal tunnel
diagnosis satisfies the ADA’s definition of disabled, he cannot demonstrate: (1) that
2 If
the applicant or employee does not ask for an accommodation, the employer does not have to provide
one unless it knows of the disability. Hedberg v. Ind. Bell Tel. Co., 47 F.3d 928, 934 (7th Cir. 1995). If
a disability and the need to accommodate it are obvious, however, the law does not always require an
applicant or employee to expressly ask for a reasonable accommodation. See id. at 934 (“[I]t may be
that some symptoms are so obviously manifestations of an underlying disability that it would be
reasonable to infer that his employer actually knew of the disability. . . . [D]eliberate ignorance [should
not] insulate an employer from liability”); see also Jovanovic v. In-Sink-Erator Div. of Emerson Elec.
Co., 201 F.3d 894, 899 (7th Cir. 2000) (“[T]here will be exceptions to the general rule that an employee
must request an accommodation.”) (citing Bultemeyer v. Fort Wayne Cmty. Schools, 100 F.3d 1281,
1285 (7th Cir. 1996); 29 C.F.R. § 1630.2(o)(3)).
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he constitutes a “qualified individual”; (2) any failure to accommodate his carpal
tunnel diagnosis; and or (3) that DHS discharged him based upon his carpel tunnel.
As such, this Court need not consider the parties’ arguments as to Plaintiff’s status
as a disabled individual under the ADA.
1.
Plaintiff’s “Qualified Individual with a Disability” Status
Even assuming that Plaintiff constitutes a disabled individual for purposes of
the ADA, the evidence fails to show that he satisfies the requisite “qualified
individual with a disability” definition for both his failure to accommodate and
disparate treatment theories of discrimination. Specifically, the record demonstrates
that Plaintiff’s “temporary limitation of non-weight-bearing movement of wrists in
the splints at work,” as well as his later 30-pound lifting and overtime restrictions,
left him unable to perform the essential functions of the Mental Health Technician 1
role. [56] ¶¶ 22, 37, 43.
The ADA defines a “qualified individual with a disability” as “an individual
with a disability who, with or without reasonable accommodation, can perform the
essential functions of the employment position that such individual holds or desires.”
Dunderdale v. United Airlines, Inc., 807 F.3d 849, 853 (7th Cir. 2015) (citing 42 U.S.C.
§ 12111(8)). To determine the essential functions of a given position, courts “generally
defer to an employer’s determination” of what constitutes essential functions.
Feldman v. Olin Corp., 692 F.3d 748, 755 (7th Cir. 2012); Lloyd v. Swifty Transp. Inc.,
552 F.3d 594, 601 (7th Cir. 2009) (“The employer, not a court, determines what
functions are essential, and we will not second-guess that decision.”). Further, EEOC
14
regulations advise that essential functions constitute a position’s “fundamental job
duties,” rather than a position’s “marginal functions,” and that courts should examine
the following factors to determine essential functions:
(i) The employer’s judgment as to which functions are essential;
(ii) Written job descriptions prepared before advertising or interviewing
applicants for the job;
(iii) The amount of time spent on the job performing the function;
(iv) The consequences of not requiring the incumbent to perform the
function;
(v) The terms of a collective bargaining agreement;
(vi) The work experience of past incumbents in the job; and/or
(vii) The current work experience of incumbents in similar jobs.
29 C.F.R. § 1630.2(n)(1)−(3). The plaintiff “bears the initial burden of establishing
that she was a qualified individual who could perform the essential functions of her
position.” Taylor-Novotny v. Health Alliance Med. Plans, Inc., 772 F.3d 478, 493 (7th
Cir. 2014).
Here, Plaintiff’s qualification argument rests entirely upon his unsupported
contention that the Mental Health Technician 1 role did not require “the ability to lift
any amount of weight.” [64] at 6. He argues that because the job description does
not specifically reference lifting, and because the job title contains the word “mental,”
this Court must find that “mental abilities and activities were the essential portions
of the position.” Id. Not so.
15
As discussed above, the position’s job description constitutes just one of many
factors the regulations advise courts to consider. 29 C.F.R. § 1630.2(n)(1)−(3). And
here, Plaintiff concedes that: (1) that his job duties required heavy lifting; (2) to “be
within [DHS] code to adequately assist an individual, [he] had to be able to transfer
the individual from his bed to a wheelchair by himself”; and (3) from June 4 through
June 14, 2012, the individual DHS assigned him to assist “needed to be transferred
from his bed to a wheelchair, and [he] had to do that by [himself].” [56] ¶ 8; [56-3] at
102−03. As such, given Plaintiff’s own testimony as to the importance of lifting to the
Mental Health Technician 1 role, the record confirms DHS’ judgment that lifting
individuals constituted an essential function of Plaintiff’s role, and that he could not
perform this function due to the splint and 30 pound lifting restrictions. [56] ¶¶ 22,
27.
Further, Plaintiff fails to address the myriad of other job responsibilities
affected by his initial “limitation of non-weight bearing movement of wrists in the
splints at work.” Id. ¶ 22. For example, Plaintiff concedes that the Mental Health
Technician 1 position required Plaintiff to care for patients with developmental
disabilities, including, in relevant part: (1) assisting with their treatment and
rehabilitation; (2) supervising daily living; (3) intervening in crisis situations where
restraints may be involved; (4) cooking and cleaning; (5) toileting the individuals; and
(6) performing minor repairs. Id. ¶ 7. Plaintiff offers no indication as to how he could
intervene in crisis situations where restraints may be necessary without using
weight-bearing movements in his wrists, nor how he could cook, clean, toilet the
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individuals, or perform minor repairs with his carpal tunnel impairing his fine motor
skills and ability to grip. See generally [63] [64]; see also [56-3] at 102 (“I couldn’t grip
properly, I couldn’t lift anything heavy, it affected my fine motor skills.”). In short,
Plaintiff provides no evidence whatsoever that he could perform the essential duties
of his job while bearing no weight and wearing splints on both hands.
Additionally, DHS argues that performing overtime constitutes an essential
function of Plaintiff’s Mental Health Technician 1 role, and therefore, his eight-week
“[n]o overtime duty” restriction left him unable to perform an essential function of his
job. [55] at 9. Plaintiff fails to address this argument in his response memorandum
and otherwise concedes that “overtime was considered mandatory” for his role,
pursuant to the CBA. [56] ¶ 9. As such, Plaintiff has waived any argument to the
contrary, and the record confirms the position of DHS that overtime constituted an
essential function of the job. See Bonte v. U.S. Bank, N.A., 624 F.3d 461, 466 (7th
Cir. 2010).
Finally, Plaintiff points to no reasonable accommodation, other than general
and unspecified “light duty assignments” that DHS purportedly could have provided
him to enable him to perform the essential functions of his job, or those of any other
vacant position or assignment.
[63] ¶ 5; see also Dunderdale, 807 F.3d at 853
(defining a “qualified individual with a disability” as “an individual with a disability
who, with or without reasonable accommodation, can perform the essential functions
of the employment position that such individual holds or desires.”) (emphasis added).
And without any specific (and reasonable) request, the law does not require DHS to
17
completely restructure its workplace to accommodate Plaintiff. See Gratzl v. Office
of the Chief Judges of the 12th, 18th, 19th & 22nd Judicial Cirs., 601 F.3d 674, 680
(7th Cir. 2010) (“An employer need not create a new job or strip a current job of its
principal duties to accommodate a disabled employee.”); cf. Feldman, 692 F.3d at
755−56 (denying summary judgment where plaintiff with an overtime restriction
pointed to several vacant straight-time positions and argued he possessed sufficient
qualifications for them).
In sum, the essential functions of Plaintiff’s job included overtime work, lifting
patients, and intervening in crisis situations with restraints, among other
responsibilities requiring weight-bearing movements and dexterity. Plaintiff’s
various restrictions limited him to no overtime work, “non-weight-bearing” wrist
movements in splints and lifting no more than 30 pounds. [56] ¶¶ 22, 37, 43. And he
provided no evidence as to a vacant position or alternative assignment that DHS
could have provided him as a reasonable accommodation. Therefore, this Court finds
that no genuine issue of fact exists as to whether Plaintiff constitutes an individual
“who, with or without reasonable accommodation, could perform the essential
functions” of the Mental Health Technician 1 role. Dunderdale, 807 F.3d at 853. As
such, both Plaintiff’s failure to accommodate and disparate treatment theories of
ADA discrimination fail on this ground.
2.
Failure to Accommodate Claim: Reasonable
Accommodation Requests
Even if Plaintiff could establish “qualified individual with a disability” status,
this Court finds, for the reasons explained below, that he cannot demonstrate a
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genuine issue of fact as to whether DHS failed to accommodate him. Because Plaintiff
argues that DHS failed to accommodate on multiple occasions, this Court analyzes
each alleged instance in turn.
a.
The February 10, 2012 Conversation
First, Plaintiff claims that DHS failed to provide a reasonable accommodation
when on February 10, 2012, he “spoke with [Workers’ Compensation Coordinator]
Kathy Chevalier about his weight restriction and asked for light duty work,” and
Chevalier responded that “no one is able to take light duty.” [64] at 8−9. 3 Thus,
Plaintiff argues that Chevalier “did not even look into whether there was any light
duty available.” Id. at 9. Construed generously, Plaintiff appears to argue that
Chevalier, on behalf of DHS, failed to engage in the “interactive process” under the
ADA. Not so.
True, to determine an appropriate reasonable accommodation under the ADA,
employers cannot simply deny reasonable accommodations with no explanation.
Instead, based upon the circumstances, employers may need to “initiate an informal,
interactive process with the qualified individual with a disability in need of the
accommodation.”
Ozlowski v. Henderson, 237 F.3d 837, 840 (citing 29 C.F.R. §
1630.2(o)(3)). The interactive process imposes “a duty on employers to engage in a
flexible give-and-take with the disabled employee so that together they can determine
what accommodation would enable the employee to continue working.” EEOC v.
Although DHS argues that this comment constitutes inadmissible hearsay, [76] at 9, based upon
Chevalier’s status as a DHS employee speaking to Plaintiff within the scope of her employment, it
constitutes, among other things, a non-hearsay admission by a party opponent under Federal Rule of
Evidence. 801(d)(2)(D).
3
19
Sears, Roebuck & Co., 417 F.3d 789, 805 (7th Cir. 2005) (citing 29 C.F.R. §
1630.2(o)(3)).
But “[f]ailure to engage in this ‘interactive process’ cannot give rise to a claim
for relief . . . if the employer can show that no reasonable accommodation was
possible.” Id. (quoting Hansen v. Henderson, 233 F.3d 521, 523 (7th Cir. 2000)).
Therefore, courts must look first to whether a genuine issue of material fact exists
regarding the availability of a reasonable accommodation, “and if it is clear that no
reasonable accommodation was available [courts] stop there.” Id. (citing Ozlowski,
237 F.3d at 840). Under the ADA, Plaintiff bears the burden of showing that a
reasonable accommodation existed for which he was qualified. Ozlowski, 237 F.3d at
840; Kotwica v. Rose Packing Co., 637 F.3d 744, 750 (7th Cir. 2011) (“[P]laintiffs,
when alleging that an employer’s failure to reassign them violated the ADA’s antidiscrimination provisions, bear the burden of showing that there is a vacant position
in existence for which they are qualified.”). In order to be “qualified,” the employee
must “satisfy the legitimate prerequisites for that alternative position” or role and
“be able to perform the essential functions of that position with or without reasonable
accommodations.”
Ozlowski, 237 F.3d at 840 (citing Dalton v. Subaru-Isuzu
Automotive, Inc., 141 F.3d 667, 678 (7th Cir. 1998)).
Here, Plaintiff’s claim fails for the simple reason that he provides no evidence
whatsoever as to whether a vacant role or light duty assignment even existed at DHS,
much less one for which he possessed sufficient qualifications. See generally [63] [64].
In fact, he provides no evidence as to what reasonable accommodations he even
20
sought from DHS in February 2010, other than the fact that he “asked [Chevalier]
about the option to work light duty,” and considered “light duty” to mean “[a]ctivities
that would have accommodated [his] injuries.” [63] ¶ 6; [56-3] at 44. For example,
he provides no testimony or evidence: (1) demonstrating what tasks he could complete
despite his weight restrictions; (2) what “light duty” work might entail at DHS; (3) or
what other roles, aside from Mental Health Technician 1, he possessed sufficient
qualifications to fill. See generally [63] [64]. Absent any evidence in the record as to
vacant positions or light duty assignments that existed at DHS (and Plaintiff’s ability
to perform the functions of those theoretical positions or assignments), this Court
finds that Plaintiff has failed to meet his burden under the ADA. See, e.g., Kotwica,
637 F.3d at 750 (affirming summary judgment on failure to accommodate claim where
plaintiff “did not present any evidence establishing that there were vacant positions
[with defendant] at the time of her termination”).
Although Plaintiff’s failure to meet this burden requires this Court to find for
Plaintiff without further analysis, Sears, Roebuck, 417 F.3d at 840, it remains worth
noting that the interactive process here did not end with Plaintiff and Chevalier’s
short conversation.
Rather, Plaintiff ignores that DHS clearly made efforts to
continue engaging with Plaintiff following this conversation.
Specifically, DHS Human Resources Associate Ortega reviewed Plaintiff’s
February 10, 2012 physician’s statement, which cleared Plaintiff to work immediately
and included the following restriction: “work with splints.”
[56] ¶ 20.
Ortega
determined that she could not make an informed decision about whether DHS had
21
light duty assignments for Plaintiff based upon this restriction.
Id. ¶¶ 20−21.
Accordingly, she requested additional information regarding Plaintiff’s weight
limitations. Id.
In response, Plaintiff provided a physician’s statement dated February 13,
2012, which indicated: (1) he could not return to work until March 13, 2012; and (2)
a “temporary limitation of non-weight-bearing movement of wrists in the splints at
work.” Id. ¶ 22. Based upon this statement and restriction, DHS determined that
Plaintiff could not perform his job duties as a Mental Health Technician 1, and that
it could not assign a light duty role to Plaintiff. Id. ¶ 23. DHS instead authorized
Plaintiff to take a medical leave of absence, beginning March 14, 2012, pending the
determination of his Worker’s Compensation claim. Id. ¶ 24.
In short, the record demonstrates that DHS engaged in the interactive process,
contrary to Plaintiff’s claim. And even if DHS had failed to do so, this Court must
grant summary judgment due to Plaintiff’s failure to present evidence regarding
alternative roles or assignments.
b.
Overtime Restrictions
Plaintiff’s second failure to accommodate claim relies upon two notes dated
June 28, 2012, and July 26, 2012, which indicated that he could not work overtime.
[64] at 9.
According to Plaintiff, DHS discriminated against him by failing to
accommodate this overtime restriction. [64] at 9−10. Defendant moves for summary
judgment, arguing that Plaintiff’s failure to clarify the extent of his medical
restrictions through these medical notes dooms his claim. [76] at 11. This Court
22
agrees with DHS and finds that Plaintiff’s claim fails, because he failed to provide
DHS with sufficient information to accommodate his overtime request.
Under the ADA, an employer is entitled to judgment as a matter of law if an
employee refuses to cooperate in good faith during the interactive process, discussed
above. Hoppe v. Lewis Univ., 692 F.3d 833, 840 (7th Cir. 2012) (citing Steffes v.
Stepan Co., 144 F.3d 1070, 1073 (7th Cir. 1998)). In other words, although an
employer must engage in the interactive process in good faith, an “employee who fails
to uphold her end of the bargain—for example, by not ‘clarifying the extent of her
medical restrictions’—cannot impose liability on the employer for its failure to
provide a reasonable accommodation.” Id. (citing Steffes, 144 F.3d at 1073); Beck v.
Univ. of Wisc. Bd. of Regents, 75 F.3d 1330, 1136 (7th Cir. 1996) (“Where the missing
information is of the type that can only be provided by one of the parties, failure to
provide the information may be the cause of the breakdown and the party withholding
the information may be found to have obstructed the [interactive] process.”). Here,
Plaintiff has undoubtedly failed to clarify the extent of his medical restrictions. Id.
The 2012 Work Status Forms from Plaintiff’s physician stated, “No overtime
duty” and indicated “[r]estrictions in place for 4 weeks.” [56] ¶ 43. They did not
indicate a diagnosis or otherwise explain the scope of the restriction in any detail
whatsoever, such as whether the overtime restriction only limited work involving
lifting of certain weight, or whether it constituted a blanket limitation on all work.
Id. ¶ 44.
As such, the physician forms did not sufficiently clarify his medical
restrictions. See Hoppe, 692 F.3d at 837, 840 (affirming summary judgment where
23
doctor’s letter requested that plaintiff’s office be relocated to accommodate her
adjustment disorder and failed to identify a suitable replacement location); Steffes,
144 F.3d at 1072 (finding physician’s letter that “elaborated on the nature of
[plaintiff’s] medical condition” and explained that “she has been advised to avoid
chemical exposure” to constitute insufficient “blanket” restrictions that required
plaintiff to “update or further clarify the kinds of work she could do”).
Plaintiff counters that DHS never notified him that any of the documents he
submitted constituted inadequate submissions. [64] at 10. But Plaintiff concedes
that he signed a notice that DHS did not accept his restrictions, and Mandatory
Overtime Refusal Documentation Forms dated July 3, 2012, and August 3, 2012 also
informed Plaintiff that DHS, in fact, did not accept his physician’s overtime
restriction. [56] ¶¶ 46−47. Plaintiff also acknowledges that he failed to submit any
other medical documentation clarifying the restriction. Id. ¶ 44. Based upon this
record, this Court finds that Plaintiff inadequately clarified the extent of his medical
restrictions. See Steffes, 144 F.3d at 1072 (affirming summary judgment on ADA
claim where plaintiff “did not provide any further information to the company” and
thus “failed to hold up her end of the interactive process by clarifying the extent of
her medical restrictions”); cf. Braddock v. UPS, No. 1:14-cv-03839, 2017 WL 770973,
*3 (N.D. Ill. Feb. 28, 2017) (finding medical evaluation sufficient where doctor
diagnosed plaintiff’s medical condition and specified that plaintiff could not perform
any work in temperatures below 68 degrees).
24
Finally, Plaintiff argues that DHS failed to accommodate his overtime
restrictions because when he brought issues relating to his wrists and ability to lift
to Ortega on June 6, 2012: (1) Ortega did not direct him to fill out any specific forms
to ask for reasonable accommodations; and (2) HR representative Betty Valea
overheard their conversation and told Plaintiff he should quit his position. [64] at 10;
[63] ¶ 9. Notwithstanding the fact that this event occurred weeks before Plaintiff
submitted the first June 28, 2012 physician’s form, Plaintiff concedes that at this
meeting, Ortega called the office of Plaintiff’s primary care physician, who confirmed
that it had fully released Plaintiff to work. [56] ¶ 31. As such, Ortega had no reason
to instruct Plaintiff to fill out any specific form to ask for reasonable accommodation.
Moreover, Plaintiff provides no evidence or argument as to how Valea’s comment,
made after simply overhearing his conversation with Ortega, possibly relates to the
later overtime requests. For example, he fails to show whether she played any role
in approving accommodation requests generally, much less Plaintiff’s overtime
restriction forms.
Accordingly, this Court finds that no genuine issue of material fact exists as to
Plaintiff’s overtime-based failure to accommodate claim, and thus grants summary
judgment to the extent it is included in Count I.
3.
Disparate Treatment Claim: Discharge
As noted above, at the parties’ motion hearing, Plaintiff articulated—for the
first time—an ADA disparate treatment claim based upon DHS’ decision to discharge
him.
To establish a disparate treatment claim under the ADA, Plaintiff must
25
demonstrate that he: (1) satisfies the ADA’s definition of disability; (2) is a qualified
individual with a disability; and (3) disability constituted the “but for” cause of
adverse employment action. Scheidler, 914 F.3d at 541. Here, the record confirms
that Plaintiff has failed to establish “qualified individual” status (as noted above),
and no genuine issue of fact exists as to whether his carpel tunnel diagnosis
constituted the “but for” cause of his discharge. As such, this Court grants summary
judgment as to Plaintiff’s disparate treatment claim.
Pursuant to the terms of the memoranda of understanding between AFSCME
and CMS/DHS, each unauthorized absence constitutes a separate offense, and twelve
or more unauthorized absences result in discharge. [56] ¶ 15. Not including the
absences related to Plaintiff’s failure to accommodate claims, Plaintiff also incurred
unauthorized absences on June 4, 2012, June 5, 2012, June 6, 2012, June 7, 2012,
June 11, 2012, June 12, 2012, June 13, 2012, and June 14, 2012—eight unauthorized
absences in total. Id. ¶¶ 30, 34. These absences thus resulted in a seven day
suspension under DHS’ policy. Id. ¶ 41.
Subsequently, despite receiving counseling regarding the attendance policies,
Plaintiff again acquired unauthorized absences for August 7, 2012, August 8, 2012,
August 9, 2012, and August 10, 2012—his ninth through twelfth unauthorized
absences, respectively—again unrelated to the absences related to his failure to
accommodate claims. Id. ¶ 51. Plaintiff thus received a 30-day suspension pending
discharge pursuant to the memoranda of understanding between AFSCME and the
Centers for Medicare and Medicaid Services (CMS)/DHS. Id. ¶¶ 15, 56. For each of
26
the twelve absences upon which Plaintiff based his discharge, Plaintiff provided no
medical documentation whatsoever to cover his unexcused absences. Id. ¶¶ 30, 34,
52.
Based upon this record, this Court does not find any genuine issue of fact as to
the “but for” cause of Plaintiff’s discharge. Scheidler, 914 F.3d at 541. Rather, the
record clearly demonstrates that DHS discharged Plaintiff because of his twelve
unexcused absences, in line with the memoranda of understanding. Further, Plaintiff
offers no evidence that DHS based its discharge decision upon any reason other than
these unauthorized absences. See also E.E.O.C. v. Yellow Freight Sys., Inc., 253 F.3d
943, 949 (7th Cir. 2001) (explaining that “in most instances the ADA does not protect
persons who have erratic, unexplained absences, even when those absences are a
result of a disability” because “in most cases, attendance at the job site is a basic
requirement of most jobs”) (citing Waggoner v. Olin Corp., 169 F.3d 481, 484−85 (7th
Cir. 1999)).
For the reasons explained above, this Court grants DHS’ motion for summary
judgment as to Count I.
B.
Count II: ADA Retaliation
To establish an ADA retaliation claim, Plaintiff must demonstrate that he
engaged in protected activity, suffered an adverse action, and that a causal
connection exists between the two. Rowlands v. UPS, 901 F.3d 792, 801 (7th Cir.
2018). Following the Seventh Circuit’s decision in Ortiz v. Werner Enterprises, 834
F.3d 760, 764 (7th Cir. 2016), the legal standard for such claims “is simply whether
27
the evidence would permit a reasonable factfinder to conclude” that Plaintiff’s
protected activities caused the adverse action. Rowlands, 901 F.3d at 801 (quoting
Ortiz, 834 F.3d at 765).
According to Plaintiff, DHS retaliated against him by: (1) discharging him after
he filed his EEOC charge, [64] at 10; and (2) using the LCA to preclude Plaintiff from
pursuing charges against DHS, id. at 13.
DHS moves for summary judgment
because: (1) Plaintiff filed his EEOC charge after the Director of CMS approved DHS’
written charges seeking his termination, and thus no causal connection exists
between the two; and (2) DHS offered Plaintiff the LCA after his termination, and
thus Plaintiff cannot identify any causal connection to an adverse employment action.
[76] at 12−15. This Court agrees with DHS.
With respect to Plaintiff’s EEOC charge retaliation theory, Plaintiff concedes
that he filed his EEOC charge on October 19, 2012. [63] ¶ 14. Moreover, he concedes
that on October 11, 2012—eight days earlier—DHS notified him that the CMS
Director approved DHS’ October 4, 2012 written charges seeking his discharge. [56]
¶ 57. Accordingly, because DHS discharged Plaintiff before he filed his EEOC charge,
this Court finds no causal connection between the two events. See Guzman v. Brown
Cty., 884 F.3d 633, 642 (7th Cir. 2018) (holding that “actions taking place after an
employee has already been terminated do not constitute adverse employment
actions”) (citing Reed v. Shepard, 939 F.2d 484, 492−93 (7th Cir. 1991)); see also
Durkin v. City of Chi., 341 F.3d 606, 614−15 (7th Cir. 2003) (explaining in a Title VII
28
case that it “is axiomatic that a plaintiff engage in statutorily protected activity before
an employer can retaliate against her for engaging in statutorily protected activity.”).
Plaintiff’s LCA-based retaliation claim also fails. Following his discharge,
Plaintiff chose to grieve his termination pursuant to the CBA; in connection with this
process, DHS offered Plaintiff the LCA agreement which provided, in part, that
Plaintiff would return to work on March 8, 2013 in exchange for waiving any claims
arising out of his discharge. [56] ¶¶ 59−60; [56-3] at 86−87. Plaintiff thus asks this
Court to find, without citing to any caselaw or record evidence, that the mere receipt
of a LCA after termination constitutes an adverse employment action. [64] at 12−13. 4
The Seventh Circuit, however, has already rejected such a theory of retaliation.
In Isbell v. Allstate Insurance Company, 418 F.3d 788 (7th Cir. 2005), a former
Allstate employee brought an age discrimination claim against the company after it
terminated 6,400 employees as part of a restructuring plan. Id. at 791−92. As part
of the restructuring process, Allstate offered the terminated employees an option to
return as independent contractors, provided they signed a release waiving any
discrimination claims arising out of their termination. Id. As in this case, the Isbell
plaintiff argued that Allstate retaliated against her when it refused her “the
opportunity to work for Allstate albeit under a different contract unless she signed
the release.” Id. at 793.
In support of his LCA-based retaliation argument, Plaintiff cites only to the EEOC’s determination
of reasonable cause as to retaliation. [64] at 12−13. But an EEOC reasonable cause finding exists
solely as “an administrative prerequisite to a court action and has no legally binding significance in
subsequent litigation.” Walker v. Mueller Indus., 408 F.3d 328, 331 (7th Cir. 2005) (citing EEOC v.
Harvey L. Walner & Assocs., 91 F.3d 963, 968 n.3 (7th Cir. 1996)). Accordingly, the EEOC’s reasonable
cause determination cannot, by itself, preclude summary judgment.
4
29
The Seventh Circuit rejected this argument, finding that Allstate did not
retaliate against plaintiff because it did not terminate her for declining to sign the
release. Id. at 793. Rather, it terminated her because of Allstate’s restructuring plan.
Id. Moreover, it found the release to be a valid agreement because it offered “various
incentives and benefits”—namely, a new job as a contractor—“in exchange for the
release.” Id. (explaining that for a release to be valid, “like all agreements, [it] must
be supported by consideration”).
Here, as in Isbell, DHS did not terminate Plaintiff because he refused to sign
the LCA. Instead, it discharged him because of his twelve unauthorized absences,
discussed above. Further, like the release in Isbell, the LCA constituted a valid
agreement, as it offered Plaintiff the benefit of a new employment contract in
exchange for waiving any claims based upon DHS’ actions prior to his termination.
418 F.3d at 793; [56] ¶ 60; [56-3] at 86−87. Therefore, because: (1) DHS did not
terminate Plaintiff for failing to sign the LCA; and (2) the LCA constitutes a valid
agreement, no reasonable factfinder could find retaliation based solely upon
Plaintiff’s receipt of the LCA.
In addition to these two arguments, Plaintiff’s response memorandum offers
two additional theories of retaliation. First, he notes that when Valea told Plaintiff
he should quit after overhearing his conversation with Ortega, Plaintiff complained
about this statement in a letter to DHS. [64] at 12. But even if writing this letter
constitutes a protected activity, Plaintiff fails to identify: (1) any adverse employment
action connected to this letter; (2) who specifically received the letter; (3) whether
30
Valea knew about the letter; and or (4) evidence that Valea played a role in any of
DHS’ disciplinary decisions against Plaintiff. See id. As such, Plaintiff’s letter fails
to create any inference of a causal connection to Plaintiff’s discharge. See Moser v.
Ind. Dep’t of Corr., 406 F.3d 895, 905 (7th Cir. 2005) (affirming district court’s
conclusion that “at the summary judgment stage courts are not required to draw
every conceivable inference from the record, . . . only reasonable ones.”) (internal
quotations omitted).
Finally, at the parties’ motion hearing, Plaintiff alluded to the fact that his
gastroenteritis condition relates to his retaliation claim. At both oral argument and
in his response memorandum, however, Plaintiff failed to identify: (1) any protected
activity he engaged in as a result of his gastroenteritis episode; or (2) offer any
evidentiary connection between his gastroenteritis diagnosis and any adverse
employment action taken against him by DHS.
See generally [63] [64]. Instead,
Plaintiff concedes that he never made any sort of accommodations request based upon
his gastroenteritis, nor did he submit the Staff Request for Time Off (IL444-4140)
form for his August 7 through 10th absences based upon the gastroenteritis. [56] ¶
52.
In short, the evidence regarding Plaintiff’s discharge and disciplinary history
reflects that DHS ultimately terminated him based upon his twelve unauthorized
absences, for which he provided no medical documentation—not because of his carpal
tunnel, gastroenteritis, or any requests for accommodations. Therefore, this Court
grants Defendants’ motion for summary judgment as to Count II.
31
IV.
Conclusion
This Court grants Defendant’s motion for summary judgment [54]. The Clerk
shall enter judgment for Defendant and against Plaintiff. All dates and deadlines are
stricken. Civil case terminated.
Dated: February 24, 2020
__________________________________
John Robert Blakey
United States District Judge
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