Dennis v. Potter et al
Filing
50
OPINION AND ORDER GRANTING IN PART AND DENYING IN PART 44 MOTION for Summary Judgment by Defendant United States Postal Service. The Court ORDERS this case be assigned to Magistrate Judge Susan L Collins for the purpose of holding a Settlement Conf erence set for 8/13/2015 09:00 AM in US District Court - Fort Wayne before Magistrate Judge Susan L Collins. The parties are ordered to appear for Final Pretrial Conference set for 11/6/2015 09:00 AM in US District Court - Hammond before Senior Judge James T Moody. Finally, the parties are ordered to appear before the undersigned district court judge at the Hammond Division of the Northern District of Indiana on 11/30/2015 at 8:30 a.m., for trial in this matter. Absent exceptional circumstances, no continuances will be granted for the aforementioned dates. Signed by Senior Judge James T Moody on 7/20/2015. (lhc)
UNITED STATES DISTRICT COURT
NORTHERN DISTRICT OF INDIANA
FORT WAYNE DIVISION
CAROLYN S. DENNIS,
Plaintiff,
v.
JOHN E. POTTER, et al.,
Defendants.
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No. 1:11 CV 58
OPINION AND ORDER
Defendants the United States Postal Service and United States Postmaster
General Megan Brennan1 have moved for summary judgment on plaintiff Carolyn
Dennis’s claims. (DE # 44.) Plaintiff has filed a response (DE # 46), and defendants have
filed a reply (DE # 49). For the following reasons, defendants’ motion for summary
judgment is granted in part and denied in part.
I.
Facts and Background
Plaintiff has submitted “a section labeled ‘Statement of Genuine Disputes’ that
identifies the material facts that the party contends are genuinely disputed so as to
make a trial necessary[,]” as required by N.D. IND. LOCAL RULE 56-1(b)(2). (DE # 48.)
This document, however, contains no citations to the record to support its various
factual assertions. The court, therefore, will disregard it. Fed. R. Civ. Pro. 56(c)(1), (e).
1
Plaintiff originally sued a different Postmaster General. Postmaster General
Brennan took office in 2015. See Fed. R. Civ. Pro. 25(d).
Plaintiff has, however, also included a “Statement of Material facts” (DE # 47 at
2) which does contain citations to the record. This section of plaintiff’s brief is not
without faults, unfortunately. It is rife with grammatical and spelling errors.
Additionally, plaintiff made the bizarre choice of copying and pasting large portions of
defendants’ statement of material facts, verbatim, despite the fact that plaintiff goes on
to offer facts which directly conflict with those facts she has already copied from
defendants’ statement of material facts.
For example, in one paragraph, plaintiff states: “Neither Carolyn Dennis nor
Terry Walker had any authority to either view of [sic] manage Karen Gillig’s clock
rings.”(DE # 47 at 3.) In the very next paragraph, plaintiff states: “Carolyn Dennis has
the authority to view clock rings of Karen Gillig . . . .” (Id.) This makes it extremely
difficult to tell which facts asserted in defendants’ motion are actually disputed by
plaintiff.2 Despite the numerous inadequacies in plaintiff’s response, the court will do
2
This bizarre form of writing continues into plaintiff’s analysis section, where
she copies and pastes portions of defendants’ brief while making minor changes. This is
apparently not the first time that plaintiff and her lawyer have used this writing tactic.
Judge Springmann, in another case filed by this plaintiff and her attorney, noted:
Apparently, counsel for the Plaintiff cut and pasted substantial portions of
the Defendants’ Memorandum of Law and made slight alterations here and
there to make opposing arguments, but without carefully reviewing and
proofreading the resulting statements. At points, this conduct by counsel for
the Plaintiff becomes more apparent because he failed to make alterations in
some sections of his Memorandum of Law such that he actually makes the
Defendants’ arguments for them.
Dennis v. Potter, No. 1:08 CV 198 TLS, 2010 WL 987217, at *2 (N.D. Ind. Mar. 15,
2010).
2
its best to accurately summarize the facts and arguments that the parties have set out in
their briefs.
At all times relevant to the facts of this case, plaintiff was employed by the
United States Post Office Fort Wayne branch as a customer service supervisor. (DE # 45
at 2; DE # 47-6 at 1.) Plaintiff’s immediate supervisor was the Manager of Customer
Service, Karen Gillig. (DE # 45 at 2; DE # 47-6 at 1.) Gillig, in turn, reported to the
Postmaster of the Fort Wayne Post Office, Dawn Gerardot. (DE # 45 at 2; DE # 47-1 at
6.)
As part of her duties, plaintiff managed approximately fourteen clerks in the
retail section of the Post Office. (DE # 47-1 at 6-7.) Additionally, plaintiff performed Post
Office closing duties at the end of the day. (DE # 45 at 2; DE # 45-3 at 2.) In July of 2009,
plaintiff filed an Equal Employment Opportunity (“EEO”) action against her
supervisor, Karen Gillig. (DE # 45 at 3; DE # 32 at 2.) At some point in 2009, one of the
employees working under plaintiff filed an EEO action against plaintiff, and that action
was ultimately dismissed. (DE # 45 at 3; DE # 45-1 at 2-3.)
In her complaint, plaintiff alleges that as a result of her previous EEO charge
against Gillig, plaintiff was retaliated against by Gillig and others at the Post Office.
(DE # 32 at 2.) Plaintiff alleges that she suffered from several different adverse
employment actions in retaliation for her EEO activity, and also alleges that she was
subjected to a hostile work environment as retaliation for her EEO activity. (Id. at 2-4.)
3
The court will summarize the facts of each alleged adverse employment action
individually.
A. Investigative Interview
On November 20, 2009 plaintiff was given an investigative interview after
plaintiff viewed Gillig’s clock rings3 and was accused of violating Gillig’s privacy.
(DE # 45-1 at 20; Dennis Dep. 60:1-12; DE # 45-1 at 22; Dennis Dep. 62:1-11.) This
investigative interview came about after plaintiff and another employee, Terry Walker,
accessed Gillig’s clock rings on a computer. (DE # 45-1 at 22-23; Dennis Dep. 62:1-63:8.)
Although plaintiff had no authority to adjust Gillig’s clock rings (DE # 45-1 at 22-23;
Dennis Dep. 62:22-63:3), she did have the authority to view Gillig’s clock rings.
(DE # 47-6 at 1; Dennis Aff. ¶ 3.)
When Fort Wayne Postmaster Gerardot found out about this activity, she
believed that it violated Gillig’s privacy, and she therefore forwarded the matter to the
Manager of Post Office Operations for further investigation. (DE # 45-4 at 4-5; Gerardot
Aff. ¶ 6.) After an investigation, plaintiff was given an “investigative interview” at
which her counsel was allowed to attend. (DE # 47-6 at 1; Dennis Aff. ¶ 4.) Plaintiff was
also threatened with termination. (DE # 47-6 at 1-2; Dennis Aff. ¶ 4.) Walker, who had
instructed plaintiff to look at the clock rings, was only given an “interview.” (DE # 47-6
at 1-2; Dennis Aff. ¶ 4.) As a result of her investigative interview, plaintiff was subjected
3
A clock ring is apparently the device that postal employees use to clock in and
out of work.
4
to stress and humiliation. (DE # 47-6 at 1-2; Dennis Aff. ¶ 4.) No discipline or any other
action was taken against either plaintiff or Walker as a result of their conduct. (DE # 454 at 4-5; Gerardot Aff. ¶ 6.)
B. Delay In Making Pay Adjustments
Plaintiff also encountered issues with getting the full amount of her pay in her
regularly-scheduled paycheck. (DE # 45 at 4.) On May 21, 2009, plaintiff worked 5.6
hours, which, under the payroll system, meant that she should have been paid for a full
eight hours. (DE # 47-6 at 3; Dennis Aff. ¶ 6.) Plaintiff, however, was only paid for the
5.6 hours she actually worked, and was not paid for the additional 2.4 hours to which
she was entitled. (See DE # 47-6 at 3; Dennis Aff. ¶ 6.)
On August 14, 2009, plaintiff sent Gillig an email informing her about the pay
situation and asking Gillig to fix it. (DE # 45-2 at 15.) On that same day, Gillig made a
pay adjustment so that plaintiff would be paid for the 2.4 hours she was not paid for on
May 21, 2009. (DE # 45-1 at 47-48; Dennis Dep. 95:18-96:7.) In the email, plaintiff accused
Gillig of purposely withholding the pay adjustment because of plaintiff’s prior EEO
activity. (DE # 45-2 at 15.)
On July 15, 2009 plaintiff was on approved annual leave for the day, but Gillig
required plaintiff to report to work to upgrade a computer system. (DE # 47-6 at 3;
Dennis Aff. ¶ 9.) Plaintiff was charged for the eight hours of annual leave for that day,
but was not paid for the three hours that she actually worked. (DE # 47-6 at 3; Dennis
Aff. ¶¶ 9-10.) In the August 14, 2009 email that plaintiff sent to Gillig, plaintiff also told
5
Gillig about the mistake in her pay from July 15, 2009. (DE # 45-2 at 15.) That same day,
Gillig made the required pay adjustment so plaintiff would get paid for the three hours
she worked. (DE # 45-1 at 48; Dennis Dep. 96:8-25.)
On September 9, 2009, plaintiff was on approved annual leave, but Gillig ordered
plaintiff to come in to fill out an EEOC affidavit. (DE # 47-6 at 3-4; Dennis Aff. ¶ 10.)
Plaintiff was not paid for the approximately six hours she worked that day. (DE # 47-6
at 3-4; Dennis Aff. ¶ 10.) Gillig made an adjustment to pay plaintiff for the hours she
worked on September 9, 2009 on February 17, 2010. (DE # 45-1 at 50-51; Dennis Dep.
100:1-101:19.) Plaintiff was not aware of any other employee being required to come
into work on a day that they were on pre-approved leave to fill out an EEOC affidavit.
(DE # 47-6 at 3-4; Dennis Aff. ¶ 10.) Plaintiff was also not aware of any other
management employee that was supervised by Gillig who also had pay adjustments
made a significant time after the originating pay period. (DE # 47-6 at 4; Dennis Aff.
¶ 11.)
Plaintiff was also not given credit for .46 hours on February 11, 2010. (DE # 45-1
at 52; Dennis Dep. 102:8-23.) This occurred after fellow supervisor Tom Green adjusted
her hours to reflect .46 hours of leave without pay. (DE # 45-1 at 53; Dennis Dep. 103:311.) Plaintiff brought the issue to Gillig’s attention on March 17, 2010 (DE # 45-1 at 5556; Dennis Dep. 105:18-106:6; DE # 45-2 at 22), and Gillig adjusted plaintiff’s pay on
March 24, 2010. (DE # 45-1 at 57-58; Dennis Dep. 107:21-108:8.)
6
The Post Office did have a program which provided for immediate
advancements to employees that had not been paid properly. (DE # 45-3 at 5; Gillig Aff.
¶ 7.) Plaintiff, however, did not qualify for an immediate advancement. (DE # 47-6 at 4;
Dennis Aff. ¶ 13.)
C. Delay in Approving Leave Slips
On January 20, 2010 plaintiff submitted a leave slip to Gillig requesting time off
on March 2, 2010. (DE # 45-3 at 5; Gillig Aff. ¶ 10.) The leave slip was approved on
January 22, 2010, but was not given to plaintiff until March 1, 2010. (DE # 45-3 at 5-6;
Gillig Aff. ¶ 10.; DE # 45-3 at 26.) Plaintiff did not request that the leave be under the
Family and Medical Leave Act (“FMLA”), and Gillig approved the leave slip as “not
FMLA” leave.4 (DE # 45-3 at 5-6; Gillig Aff. ¶ 10.; DE # 45-3 at 26.)
On February 4, 2010 plaintiff submitted a leave slip to Gillig requesting time off
on March 9, 2010. (DE # 45-1 at 60; Dennis Dep. 110:3-10.) Gillig approved the leave on
March 8, 2010 and plaintiff did not miss her doctor’s appointment. (DE # 45-2 at 26;
DE # 45-1 at 60; Dennis Dep. 110:3-17.) Plaintiff did not request that the leave be under
the FMLA, and Gillig approved the leave slip as “not FMLA” leave. (DE # 45-3 at 27.)
On February 24, 2010 plaintiff submitted three leave slips to Gillig requesting
time off on March 22, 2010, March 23, 2010, and March 24, 2010. (DE # 45-2 at 26;
DE # 45-1 at 61-63; Dennis Dep. 111:8-163:19.) On March 12, 2010, plaintiff emailed
4
Plaintiff has failed to direct the court to evidence that she missed her March 2,
2010 appointment.
7
Gillig because Gillig had not yet approved those leave slips. (DE # 45-2 at 32.) After
receiving the email, Gillig approved these leave slips on March 12. (DE # 45-2 at 26;
DE # 45-1 at 61-63; Dennis Dep. 111:8-163:19.) Plaintiff did not mark any of these leave
slips as requesting Family and Medical Leave Act (“FMLA”), and Gillig approved these
slips as “not FMLA” leave. (DE # 45-3 at 28-30.) Plaintiff did not miss any of these
appointments. DE # 45-1 at 64-65; Dennis Dep. 114:25-115:2.)
D. Request for Updated Doctor’s Information
In January 2008, plaintiff was given a medical restriction that limited her to
working eight hours a day. (DE # 45-1 at 13; Dennis Dep. 50:5-7; DE # 45-3 at 7.) The
United States Postal Service requires that employees who have medical restrictions
periodically update those restrictions. (DE # 45-3 at 7; Gillig Aff. ¶ 15.) As of March
2010, the most recent medical restriction update that Gillig had received from plaintiff
was from March 2009. (DE # 45-3 at 7; Gillig Aff. ¶ 15.)
On March 2, 2010 plaintiff went to her doctor to get a periodic checkup. (DE # 451 at 8; Dennis Dep. 45:10-11.) Plaintiff had turned in her leave slip for her March 2
appointment on January 20, 2010. (DE # 45-1 at 8; Dennis Dep. 45:10-11.) Plaintiff,
however, was not given her signed leave slip until the day before her appointment.
(DE # 45-3 at 5-6; Gillig Aff. ¶ 10.; DE # 45-3 at 26.) After plaintiff returned from her
appointment on March 2, Gillig asked plaintiff to provide an update on her medical
restrictions. (DE # 45-1 at 8; Dennis Dep. 45:15-17.)
8
Plaintiff was upset that Gillig did not ask for the updated medical restriction
information until plaintiff got back from her appointment. (DE # 45-1 at 11; Dennis Dep.
48:9-20.) In order to get the required medical restriction information, plaintiff had to call
her doctor’s office and ask them to send her the updated information. (DE # 45-1 at 28;
Dennis Dep. 72:5-11.)5
E. 2009 Performance Rating
In 2009, Gillig was the supervisor that was tasked with rating plaintiff’s
performance. (DE # 45-3 at 8-9; Gillig Aff. ¶ 18.) Gillig evaluated plaintiff as an
“Exceptional Contributor[,]” the highest rating possible. (DE # 45-3 at 5; Gillig Aff. ¶ 7;
DE # 47-1 at 68; Dennis Dep. 118:15-22.) Plaintiff agreed that she should be rated as an
Exceptional Contributor. (DE # 47-1 at 68; Dennis Dep. 118:23-24.)
The District Manager had to give final approval to the ratings given to managers
and supervisors. (DE # 45-3 at 8-9; Gillig Aff. ¶ 18.) Plaintiff’s rating, along with the
ratings of several other managers and supervisors, were sent to the District Manager for
approval. (DE # 45-3 at 8-9; Gillig Aff. ¶ 18.) Employees were graded on several criteria
that were made up of set goals the employee had to meet. (DE # 45-3 at 8-9; Gillig Aff.
5
In her brief, plaintiff also claims that no other employees that worked at the
Post Officer were required to provide medical restriction updates, and also that Gillig
has not requested a medical restriction update from plaintiff since the March 2010
update. (DE # 47 at 10-11.) Plaintiff fails to cite evidentiary support for the assertion that
Gillig has not requested any updates medical information from plaintiff since March
2010. And, although plaintiff does cite her own affidavit in support of the assertion that
no other employees were required to give updated medical information, nothing in the
paragraph that plaintiff cites for this proposition supports the assertion plaintiff is
making. The court will therefore disregard these facts.
9
¶ 18.) These goals were then compared to the National Performance Assessment rating.
(DE # 45-3 at 8-9; Gillig Aff. ¶ 18.) If an employee’s rating exceeded or was lower than
the National Performance Assessment by 5%, then a district manager had the discretion
to increase or reduce the employee’s rating. (DE # 45-3 at 8-9; Gillig Aff. ¶ 18.)
As a result of the economic downturn in 2009, many managers and supervisors,
including Gillig, had their ratings reduced to a rating of “Contributor.” (DE # 45-3 at 89; Gillig Aff. ¶ 18.) Plaintiff’s rating was also reduced to Contributor by the District
Manager. (DE # 45-3 at 8-9; Gillig Aff. ¶ 18.) Plaintiff appealed her rating, but her
appeal was not successful. (DE # 47 at 12.)6
F. Phone Calls While Home Sick
Plaintiff’s duties included accounting for and auditing the Fort Wayne Post
Office’s stock of money orders and stamps. (DE # 45-3 at 6; Gillig Aff. ¶ 14.) On March
30, 2010 plaintiff was unexpectedly not at work because she was sick. (DE # 45-3 at 6;
Gillig Aff. ¶ 14.) On that day, the clerks at the Fort Wayne Post were short on money
orders and stamps to sell to customers. (DE # 45-3 at 6; Gillig Aff. ¶ 14.) Due to this
problem, Gillig called plaintiff at home in order to find out the best way to deal with the
money order issue, and also to find out the location of the set of keys that opened the
6
In her brief, plaintiff asserts that “[t]he denial of plaintiff’s performance rating
has continuing ramifications and impact on her retirement and pay.” (DE # 47 at 12.)
Plaintiff, however, cites no portion of the record to support this assertion, and the court
will disregard it.
10
locked cabinet that contained the money orders. (DE # 45-3 at 6; Gillig Aff. ¶ 14.)
Plaintiff told Gillig that the keys were in the safe. (DE # 45-3 at 6; Gillig Aff. ¶ 14.)
Gillig, however, was unable to find the keys to the safe and had to call plaintiff
back a second time. (DE # 45-3 at 6; Gillig Aff. ¶ 14.) Despite the second call, Gillig was
still unable to find the keys to the safe and had to saw off the lock to the safe. (DE # 45-3
at 6; Gillig Aff. ¶ 14.) Later in the day, Gillig called plaintiff again because the retail
postage supply for the clerks was low. (DE # 45-3 at 6; Gillig Aff. ¶ 14.) During this call,
Gillig asked plaintiff how to account for and resupply the clerks with stamps. (DE # 453 at 6; Gillig Aff. ¶ 14.)
At that point, plaintiff became upset and told Gillig that she needed to do
whatever she thought was best. (DE # 45-3 at 6-7; Gillig Aff. ¶ 14.) Gillig responded that
she did not want to violate procedure by inadvertently accounting for the money orders
and stamps. (DE # 45-3 at 7; Gillig Aff. ¶ 14.) Plaintiff then got upset again, and accused
Gillig of harassing her. (DE # 45-3 at 7; Gillig Aff. ¶ 14.) The call ended, and Gillig did
not call plaintiff again. (DE # 45-3 at 7; Gillig Aff. ¶ 14.)
Plaintiff believes that Gillig, who has been her supervisor for years, knew or
should have known how to do the things Gillig called plaintiff about on March 30, 2010.
(DE # 47-6 at 5; Dennis Aff. ¶ 16.) Therefore, plaintiff believes that there was no reason
for Gillig to call her three times that day, and that the only reason Gillig did call plaintiff
was to harass her.
11
G. Plaintiff’s Medical Restrictions
Part of plaintiff’s duties included checking in postal carriers at the end of the day,
and occasionally the postal carriers would not finish their deliveries until after
plaintiff’s eight hours of duty were over. (DE # 45 at 10; DE # 47 at 14.) To ensure that
plaintiff did not exceed her eight-hour daily restriction, Gillig arranged for another
employee to handle closing duties or changed plaintiff’s schedule by an hour so that she
would be within her time restriction. (DE # 45-3 at 7; Gillig Aff. ¶ 16.) Gillig told
plaintiff that she was only supposed to work within her restrictions. (DE # 45-3 at 7;
Gillig Aff. ¶ 16; DE # 45-1 at 86; Dennis Dep. 137:12-21; DE # 45-2 at 34.) Neither
Gerardot nor Gillig ever told plaintiff that she needed to work beyond her eight-hour
restriction or that she would suffer any consequences if she did not get all of her tasks
done. (DE # 45-3 at 7; Gillig Aff. ¶ 16; DE # 45-4 at 2-3; Gerardot Aff. ¶ 2; DE # 45-1 at
88-89; Dennis Dep. 139:23-140:6.) Any time that plaintiff ever worked beyond her
restriction, it was by her own choice, and not from any threat of an adverse
consequence. (DE # 45-3 at 7; Gillig Aff. ¶ 16; DE # 45-4 at 3; Gerardot Aff. ¶ 2.)
H. Alleged threats of change of job duties and shift change
In June 2010, after additional duties were given to Post Office Supervisors, Gillig
changed plaintiff’s work hours from 9:30 AM-6:30 PM to 10:00 AM-7:00 PM in order for
plaintiff to be better able to comply with these newly-added duties. (DE # 45-3 at 8;
Gillig Aff. ¶ 17.) Plaintiff did not want to have her hours changed, so Gillig and
Gerardot discussed an alternative option for modifying plaintiff’s schedule, but plaintiff
12
did not like that option either. (DE # 45-4 at 3; Gerardot Aff. ¶ 3.) At that point,
Gerardot informed plaintiff that her hours were going to be changed according to
Gillig’s original suggestion: from 9:30 AM-6:30 PM to 10:00 AM-7:00 PM. (DE # 45-4 at
3; Gerardot Aff. ¶ 3; DE # 45-3 at 8; Gillig Aff. ¶ 17.)
II.
Procedural History
As a result of the above incidents, plaintiff filed suit against defendants (DE # 32)
alleging retaliation under Title VII and violations of the FMLA. (DE # 47 at 1.)
Defendants have now moved for summary judgment on both of plaintiff’s claims.
(DE # 44.)
III.
Legal Standard
FEDERAL RULE OF CIVIL PROCEDURE 56 requires the entry of summary judgment,
after adequate time for discovery, against a party “who fails to make a showing
sufficient to establish the existence of an element essential to that party’s case, and on
which that party will bear the burden of proof at trial.” Celotex Corp. v. Catrett, 477 U.S.
317, 322 (1986). “[S]ummary judgment is appropriate–in fact, is mandated–where there
are no disputed issues of material fact and the movant must prevail as a matter of law.
In other words, the record must reveal that no reasonable jury could find for the nonmoving party.” Dempsey v. Atchison, Topeka, & Santa Fe Ry. Co., 16 F.3d 832, 836 (7th Cir.
1994) (citations and quotation marks omitted).
The moving party bears the initial burden of demonstrating that these
requirements have been met; it may discharge this responsibility by showing that there
13
is an absence of evidence to support the non-moving party’s case. Carmichael v. Village of
Palatine, Ill., 605 F.3d 451, 460 (7th Cir. 2010) (citing Celotex, 477 U.S. at 323). To
overcome a motion for summary judgment, the non-moving party must come forward
with specific facts demonstrating that there is a genuine issue for trial. Id. (citing
Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 586 (1986)). The existence of
a mere scintilla of evidence, however, is insufficient to fulfill this requirement. Id. (citing
Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 251-52 (1986)). The nonmoving party must
show that there is evidence upon which a jury reasonably could find for him. Id.
The court’s role in deciding a summary judgment motion is not to evaluate the
truth of the matter, but instead to determine whether there is a genuine issue of triable
fact. Anderson, 477 U.S. at 249-50; Doe v. R.R. Donnelley & Sons Co., 42 F.3d 439, 443 (7th
Cir. 1994). On summary judgment a court may not make credibility determinations,
weigh the evidence, or decide which inferences to draw from the facts; these are jobs for
a factfinder. Payne v. Pauley, 337 F.3d 767, 770 (7th Cir. 2003) (citing Anderson, 477 U.S. at
255). In viewing the facts presented on a motion for summary judgment, the court must
construe all facts in a light most favorable to the non-moving party and draw all
reasonable inferences in favor of that party. Chmiel v. JC Penney Life Ins. Co., 158 F.3d
966, 968 (7th Cir. 1998); Doe, 42 F.3d at 443. Importantly, the court is “not required to
draw every conceivable inference from the record [in favor of the non-movant]-only
those inferences that are reasonable.” Bank Leumi Le-Israel, B.M., v. Lee, 928 F.2d 232, 236
(7th Cir. 1991) (emphasis added).
14
IV.
Analysis
A. Retaliation
Title VII’s anti-retaliation provisions make it unlawful “for an employer to
discriminate against any . . . employee[ ]” who (1) “has opposed any practice made an
unlawful employment practice by this subchapter,” or (2) “has made a charge, testified,
assisted, or participated in any manner in an investigation, proceeding, or hearing
under this subchapter.” 42 U.S.C. § 2000e-3(a). Colloquially, the first provision is known
as the “opposition clause,” and the second as the “participation clause.” Crawford v.
Metropolitan Gov’t of Nashville and Davidson County, Tenn., 555 U.S. 271, 274 (2009).
In a case alleging unlawful retaliation under Title VII, a plaintiff may survive
summary judgment by using either the “direct” or “indirect” method of proof to
establish that a trial of her claim(s) is necessary. Szymanski v. County of Cook, 468 F.3d
1027, 1029 (7th Cir. 2006). Under the direct method, a plaintiff must point to evidence
showing that she: 1) engaged in a statutorily-protected activity; 2) suffered an adverse
employment action; and 3) a causal connection exists between the two events. See Smith
v. Lafayette Bank & Trust Co., 674 F.3d 655, 657 (7th Cir. 2012) (stating elements in context
of ADEA claim).
“Under the indirect method, [plaintiff] must demonstrate that [s]he: (1) engaged
in statutorily protected activity; (2) met [defendant]’s legitimate expectations; (3)
suffered an adverse employment action; and (4) was treated less favorably than
similarly situated employees who did not engage in protected activity.” Mintz v.
15
Caterpillar Inc., No. 14 1881, --- F.3d ----, 2015 WL 3529396, at *6 (7th Cir. June 5, 2015)
(citations and quotations omitted). Under Burlington N. & Santa Fe Ry. Co. v. White, 548
U.S. 53, 61-68, 126 S.Ct. 2405, 165 L.Ed.2d 345 (2006), the term “adverse employment
action” is more broadly defined in a retaliation action than in a disparate treatment
action. The Supreme Court reasoned that while the terms “hire,” “discharge,”
“compensation, terms, conditions, or privileges of employment,” “employment
opportunities,” and “status as an employee” are in Title VII’s anti-discrimination
provision, the anti-retaliation provision has no such limiting words. Id. at 62–63. The
Court surmised that the anti-discrimination provision promotes a workplace where
individuals are not discriminated against because of their status, while the goal of the
anti-retaliation provision is to prevent an employer from interfering with an employee’s
efforts to secure or advance enforcement of Title VII’s basic guarantees. Id.
Accordingly, the Court held that, in the context of a Title VII retaliation claim, an
employee need not show that the action affected the terms and conditions of
employment, but rather she must simply show that a reasonable employee would have
found the employer’s challenged action “materially adverse . . . which in this context
means it well might have dissuaded a reasonable worker from making or supporting a
charge of discrimination.” Id. at 68 (internal quotation marks omitted); see also Brown v.
Advocate S. Suburban Hosp., 700 F.3d 1101, 1106-07 (7th Cir. 2012) (“[I]t is important to
separate significant from trivial harms; an action is only adverse if it might dissuade a
16
reasonable worker from making or supporting a charge of discrimination.” (citations
and quotations omitted)).
Defendants argue that plaintiff’s retaliation claim fails because she has not
provided any evidence that she suffered an adverse employment action. (DE # 45 at 15);
Chaib v. Indiana, 744 F.3d 974, 982 (7th Cir. 2014) (“The requirement that a plaintiff show
she suffered an adverse employment action as a result of her employer’s alleged
discrimination is an element of any Title VII claim, regardless of whether the claim is
reviewed under the traditional direct/indirect framework or the less rigid framework
our cases have recently suggested.”). The court will address each of plaintiff’s alleged
adverse employment actions in turn.
i. Investigative Interview
Plaintiff first asserts that she suffered an adverse employment action when she
was investigated regarding her viewing of Gillig’s clock rings. (DE # 47 at 17.) Plaintiff
contends that this interview was stressful, embarrassing, and that she was threatened
with termination during the interview. (Id.)
No reasonable jury could conclude that being given an investigative interview in
the circumstances that plaintiff was would prevent a reasonable person in plaintiff’s
position from making or supporting a charge of discrimination. While the stress and
embarrassment of the investigative interview were undoubtedly unpleasant for
plaintiff, the court must “separate significant from trivial harms[,]” White, 548 U.S. at 68,
and these allegations fall into the latter category. See Dennis v. Potter, No.
17
1:08 CV 198 TLS, 2012 WL 8251513, at *18 (N.D. Ind. Mar. 23, 2012). Additionally, the
fact that plaintiff was threatened with termination during the interview does not change
that result, considering that no disciplinary action was actually taken against plaintiff.
Ajayi v. Aramark Bus. Servs., Inc., 336 F.3d 520, 531 (7th Cir. 2003) (“An unfulfilled threat,
which results in no material harm, is not materially adverse.”); see also Poullard v.
Shinseki, No. 12 C 7497, 2015 WL 1428105, at *10 (N.D. Ill. Mar. 26, 2015) (applying Ajayi
to retaliation claim), appeal docketed, No. 15-1962, May 4, 2015.
ii. Delay in Making Pay Adjustments
Next, plaintiff argues that she suffered an adverse employment action when the
pay adjustments necessary to compensate her for the actual amount of time that she
worked were not made in a timely manner. (DE # 47 at 17.) In response, defendants
argue that the delays in plaintiff’s pay adjustments were not an adverse employment
action because plaintiff could not actually point to any harm suffered due to these
delays. (DE # 49 at 5-6.)
As the court noted earlier, plaintiff complained about four pay adjustments over
a six-month period. (See supra pp. 5-6.) Despite plaintiff’s contention in her brief that she
could “articulate the harm she suffered from the delayed arrival of her pay[]”
(DE # 47 at 17), plaintiff does not actually indicate to the court what that harm was,
other than the fact that she received her pay later than she should have. (Id. at 17-18.)
Although this was surely inconvenient for plaintiff, she has not directed the court to
any concrete harm that she suffered as a result in these pay delays. Therefore, no
18
reasonable jury could conclude that a reasonable person in plaintiff’s shoes would be
prevented from making or supporting a charge of discrimination due to a delay of a
few hours of pay on four occasions. See Dennis, 2012 WL 8251513, at *16.
iii. Delays In Leave Approval
Plaintiff also argues that Gillig’s delays in approving her leave slips amounted to
an adverse employment action. (DE # 47 at 18.) In response, defendants argue that there
was no adverse employment action because all of the leave slips plaintiff complained
about were approved in time such that plaintiff missed no appointments. (DE # 49 a 89.)
Plaintiff does not dispute that the delays in getting her leave slips approved did
not result in her missing any of her appointments. (DE # 47 at 18.) Thus, plaintiff only
contends that the delays were “inconvenient and annoying” to her. (Id.) This is
insufficient for a reasonable jury to conclude that a reasonable person in plaintiff’s
position would be prevented from making or supporting a charge of discrimination.
Brown, 700 F.3d at 1106-07 (“Because an adverse employment action under Title VII’s
retaliation provision must be ‘materially’ adverse, it is important to separate significant
from trivial harms; an action is only adverse if it might dissuade a reasonable worker
from making or supporting a charge of discrimination.” (citations and quotations
omitted)); Cromwell v. Washington Metro. Area Transit Auth., No. CIV.A.97 2257 PLF,
2006 WL 2568009, at *6 (D.D.C. Sept. 5, 2006).
19
iv. Updated Medical Restrictions
Next, plaintiff contends that she suffered an adverse employment action when
Gillig asked plaintiff for her updated medical restrictions after plaintiff went to see her
doctor. (DE # 47 at 10-11.) Plaintiff was upset with Gillig’s request because Gillig did
not ask her for the update before she went to the doctor. (Id.) As defendants point out
(DE # 45 at 18), however, the only result of Gillig asking for the updated restrictions
after plaintiff’s appointment was that plaintiff had to call her doctor one time. (DE # 451 at 28; Dennis Dep. 72:5-11.) This is insufficient for a reasonable jury to conclude that a
reasonable person in plaintiff’s position would be prevented from making or
supporting a charge of discrimination. Brown, 700 F.3d at 1106-07 (“Because an adverse
employment action under Title VII’s retaliation provision must be ‘materially’ adverse,
it is important to separate significant from trivial harms; an action is only adverse if it
might dissuade a reasonable worker from making or supporting a charge of
discrimination.” (citations and quotations omitted)).
v. 2009 Performance Rating
Plaintiff also argues that the reduction of her 2009 performance rating from
“Exceptional Contributor” to “Contributor” by the district manager was an adverse
employment action. (DE # 47 at 18-19.) In response, defendants argue that plaintiff
cannot show that she suffered any harm from the reduction in her performance rating.
(DE # 45 at 18-19.)
20
At two points in her response brief, plaintiff asserts that the negative
performance rating has impacted her retirement and pay. (DE # 47 at 12, 18-19.)
Plaintiff, however, does not cite the record for either of those assertions.7 The court will
therefore disregard this assertion. Campania Mgmt. Co., Inc. v. Rooks, Pitts & Poust, 290
F.3d 843, 853 (7th Cir. 2002) (“[I]t is universally known that statements of attorneys are
not evidence.”); see also U.S. v. Dunkel, 927 F.2d 955, 956 (7th Cir. 1991) (“Judges are not
like pigs, hunting for truffles buried in briefs.”); Dominguez v. Quigley’s Irish Pub, Inc.,
790 F. Supp. 2d 803, 805 (N.D. Ill. 2011) (The court “is not required to scour the record
for evidence that supports a party’s case if the party fails to point it out; that is the
counsel’s job.”).
Given that plaintiff has not shown that she was impacted in any way from the
reduced performance rating, no reasonable jury could conclude that a reasonable
person in plaintiff’s position would be prevented from making or supporting a charge
of discrimination because of this reduction. Chaib, 744 F.3d at 987 (“Even under the
7
On page 12 of plaintiff’s brief (DE # 47 at 12), plaintiff does cite the record
directly before and after the assertion, but neither of the documents to which plaintiff
cites supports the proposition that the negative performance review impacted her pay
or retirement. Additionally, the court cannot be sure that plaintiff is referring to these
documents. She cites to Exhibit A and Exhibit B, without any additional detail. The
exhibits she submitted, however, are numbered, and not lettered, until she gets to her
own affidavit, which has lettered exhibits. Because Gillig, Gerardot, and plaintiff’s
affidavits contain lettered exhibits, the court can only assume that plaintiff is referring
to those lettered exhibits. But nothing in any of those exhibits supports plaintiff’s
assertion here. (DE # 47-7 at 1-2; DE # 47-8 at 1; DE # 47-9 at 1; DE # 47-3 at 11-16, 17, 22;
DE # 47-4 at 6, 7.)
21
more generous standard that governs retaliation claims, a reprimand without more is
not an adverse employment action.” (citations and quotations omitted)).8
vi. Calls While Home Sick
Next, plaintiff argues that suffered an adverse employment action when Gillig
called her three times in one day while plaintiff was home sick. (DE # 47 at 12-13.) All
three of the calls were work related, but plaintiff contends that the issues could have
been resolved without the phone calls. (Id.) In response, defendants argue that three
work-related phone calls in one day would not dissuade a reasonable person from
pursuing a discrimination claim. (DE # 49 at 10.)
The court agrees with defendants. No reasonable jury could conclude that a
reasonable person in plaintiff’s position would be dissuaded from pursuing a
discrimination claim because of these three phone calls. Stephens v. Erickson, 569 F.3d
779, 790 (7th Cir. 2009) (“Title VII . . . does not protect an employee from trivial harms,
petty slights, nor minor annoyances . . . .”).
vii. Plaintiff’s Medical Restrictions
As noted earlier, plaintiff was only supposed to work eight hours a day pursuant
to a medical restriction issued by her doctor. Plaintiff contends that she suffered an
8
Even if plaintiff had shown some harm, she would still not be able to show that
she was treated less favorably than similarly situated employees who did not engage in
protected activity. Not one manager or supervisor working under Gerardot, the Post
Master of the Fort Wayne Post Office, received a rating above “contributor.” (DE # 45-4
at 3-4; Gerardot Aff. ¶¶ 4-5.)
22
adverse employment action when she was forced to work beyond those restrictions by
Gillig and Gerardot:
Plaintiff has never wanted to work outside her medical restrictions, but has
been forced to do so by Gillig and Gerardot. Both have indicated that if
plaintiff is non compliant that plaintiff will suffer the consequences of same
by having her hours and/or duties changed by them. This include discipline
for insubordination and/or termination. Plaintiff has been told to Carolyn
Dennis by both on several occasions.
(DE # 47 at 14 [all sic].) Plaintiff supports these allegations with her affidavit.
(DE # 47-6 at 6; Dennis Aff. ¶ 18.)
The problem with this evidence, as defendants correctly point out in their
response brief (DE # 49 at 11), is that it directly contradicts plaintiff’s previous
deposition testimony. In her deposition, plaintiff very clearly testified that neither Gillig
nor Gerardot ever told her that she was required or needed to work beyond her eighthour restriction or threatened to terminate her if she did not work beyond eight hours.
(DE # 45-1 at 88-89; Dennis Dep. 139:23-140:6.) Additionally, plaintiff testified that Gillig
actually told plaintiff that she was required to work within her eight-hour restriction.
(DE # 45-1 at 86; Dennis Dep. 137:12-21.) There was nothing ambiguous or confusing
about plaintiff’s deposition testimony – she testified that no one ever threatened her
with termination if she did not work beyond eight hours, and she also testified that
Gillig told plaintiff that she had to work within her medical restrictions.
Due to this inconsistency, plaintiff’s assertion in her affidavit cannot be
considered on summary judgment. Holloway v. Delaware Cnty. Sheriff, 700 F.3d 1063,
1075 (7th Cir. 2012) (“[A] party cannot create an issue of fact by submitting an affidavit
23
whose conclusions contradict prior deposition or other sworn testimony.” (citations and
quotations omitted)). Plaintiff has failed to direct the court to any evidence that she was
forced to work beyond her medical restrictions and therefore cannot show that she
suffered an adverse employment action based on her medical restrictions.9
viii. Hostile Work Environment
Finally, plaintiff alleges that she suffered an adverse employment action and was
retaliated against when she was subjected to a hostile work environment. (DE # 47 at
20); Smith v. Ne. Illinois Univ., 388 F.3d 559, 567 n.5 (7th Cir. 2004) (“The creation of a
hostile work environment can be a form of retaliation.”). Title VII is violated “when the
workplace is permeated with discriminatory intimidation, ridicule, and insult . . . that is
sufficiently severe or pervasive to alter the conditions of the victim’s employment and
create an abusive working environment.” Harris v. Forklift Sys., Inc., 510 U.S. 17, 21
(1993) (citations and quotations omitted). “To avoid summary judgment on a hostile
work environment claim, a plaintiff must provide sufficient evidence to create a
9
Additionally, in this section of her response, plaintiff contends that the one-half
hour change to her schedule that took place in 2010 was also an adverse employment
action. (DE # 45-3 at 8; Gillig Aff. ¶ 17; see also DE # 47 at 20.) She specifically argues in
her response brief that: “Changing Plaintiff’s hours by a half hour to help with the PM
audit certification, was an adverse employment action or retaliatory. No one else had
their hours changed. These changes were made to accommodate the defendant’s 8 hour
work schedule not plaintiff’s medical restrictions.” (DE # 47 at 20.) No reasonable jury
could conclude that reasonable person in plaintiff’s position would be dissuaded from
pursuing a discrimination claim because of a one-half hour change in their work
schedule. Griffin v. Potter, 356 F.3d 824, 830 (7th Cir. 2004) (“The transfer—which
involved no material change in duties or benefits—was not an adverse employment
action[.]”).
24
genuine issue of material fact as to four elements: (1) the work environment must have
been both subjectively and objectively offensive; (2) [the protected conduct] must have
been the cause of the harassment; (3) the conduct must have been severe or pervasive;
and (4) there must be a basis for employer liability.” Avila v. Bd. of Regents of the Univ. of
Wisconsin Sys., No. 12 C 1201, 2015 WL 998321, at *19 (E.D. Wis. Mar. 5, 2015).
In its motion for summary judgment, defendants argue that plaintiff cannot
show that her work environment was either subjectively or objectively offensive.
(DE # 45 at 21-22.) In response, plaintiff argues that “[t]he hostile work environment
that Plaintiff faced daily is a cause of action and a reasonable jury could find that the
complained of conduct created a hostile environment espectially [sic] since she
repeatedly reported it and no one responded to it even today.” (DE # 47 at 21.)10
Plaintiff does not indicate what acts she contends subjected her to a hostile work
environment. (Id.) The court will therefore assume plaintiff contends that all of the
incidents discussed above constitute plaintiff’s basis for her hostile work environment
claim.
“The work environment cannot be described as ‘hostile’ for purposes of Title VII
unless a reasonable person would find it offensive and the plaintiff actually perceived it
as such.” Hostetler v. Quality Dining, Inc., 218 F.3d 798, 807 (7th Cir. 2000). There is no
doubt that plaintiff subjectively believed that her work environment was offensive, so
10
Plaintiff fails to direct the court to any evidence indicating that she reported the
allegedly hostile work environment to anyone.
25
the court will analyze whether plaintiff’s work environment was objectively offensive.
“In evaluating the objective offensiveness of a plaintiff’s work environment, we
consider all of the circumstances, including frequency and severity of the conduct,
whether it is humiliating or physically threatening, and whether it unreasonably
interferes with an employee’s work performance.” Racicot v. Wal Mart Stores, Inc., 414
F.3d 675, 677-78 (7th Cir. 2005).
Plaintiff contends the following conduct amounted to a hostile work
environment: plaintiff was given an investigative interview as a result of the clock ring
incident; plaintiff had to have her pay adjusted several times because she was not paid
accurately; plaintiff’s requests for leave were not approved in a timely manner,
although she did not miss any doctor’s appointments; plaintiff was forced to make one
phone call to her doctor in order to get an update on her medical restrictions; plaintiff’s
performance rating was reduced one level; Gillig called plaintiff three times with workrelated questions while plaintiff was out sick one day; and plaintiff had her work hours
changed by one-half hour.11 These facts are insufficient to raise an issue of fact on
plaintiff’s hostile work environment retaliation claim. There is no evidence that any of
these incidents involved a physical threat, and the only incidents that would have been
humiliating to plaintiff are the investigative interview and having her performance
11
As noted earlier, the court will disregard plaintiff’s assertion that she was
forced to work beyond her eight-hour medical limitation, as plaintiff very clearly
testified that she was not told by anyone that she had to work beyond that restriction
and was actually told by Gillig that she was required to work within that restriction.
26
rating reduced one time. None of these incidents interfered with plaintiff’s ability to do
her job, however; plaintiff very clearly testified in her deposition that she felt that
during the time in which she claims she was subjected to a hostile work environment,
she still performed at a level that entitled her to receive the highest performance rating
available. (DE # 45-1 at 68-69.)
In sum, no reasonable jury could conclude that plaintiff was subjected to a hostile
work environment, and no reasonable jury could conclude that the conditions of
plaintiff’s employment would dissuade a reasonable person in plaintiff’s from pursuing
a discrimination claim. Because plaintiff has not shown she suffered an adverse
employment action, by specific incidents or by a hostile work environment, defendants
are entitled to summary judgment on plaintiff’s Title VII retaliation claim.
B. FMLA
Plaintiff also alleges that defendants are liable for violating the FMLA. (DE # 47
at 22.) “The FMLA makes available to eligible employees up to twelve weeks of leave
during any twelve-month period for . . . the inability of the employee himself to
perform the functions of his position because of a serious health condition.” Harrell v.
U.S. Postal Serv., 445 F.3d 913, 919 (7th Cir. 2006). “At the conclusion of a qualified-leave
period, the employee is entitled to return to his former position of employment, or to an
equivalent one, with the same terms and benefits.” Id. “To protect these rights, the
FMLA declares it ‘unlawful for any employer to interfere with, restrain, or deny the
27
exercise of or the attempt to exercise, any right provided.’” Id. (quoting 29 U.S.C. §
2615(a)(1)).
“To prevail on an FMLA interference claim, an employee must show that: (1) she
was eligible for FMLA protection; (2) her employer was covered by the FMLA; (3) she
was entitled to leave under the FMLA; (4) she provided sufficient notice of her intent to
take FMLA leave; and (5) her employer denied her the right to FMLA benefits.”
Nicholson v. Pulte Homes Corp., 690 F.3d 819, 825 (7th Cir. 2012). Defendants argue that
they are entitled to summary judgment on plaintiff’s FMLA claim because plaintiff has
provided “no evidence . . . other than her self-serving testimony that she was entitled to
FMLA relief” in support of her claim. (DE # 45 at 24-25.) In her affidavit, however,
plaintiff asserts that Gillig was aware that plaintiff was entitled to and intended to take
FMLA leave, but that Gillig never approved any of plaintiff’s requests for leave as
FMLA leave, and therefore plaintiff was damaged by having to use other forms of
leave.12 (DE # 47-6 at 4-5; Dennis Aff. ¶ 14.) Therefore, plaintiff has raised a question of
fact on her FMLA interference claim, and defendants’ motion for summary judgment
will be denied as to that claim.
V.
Conclusion
For the foregoing reasons, defendants’ motion for summary judgment (DE # 44)
is GRANTED IN PART AND DENIED IN PART. Defendants’ motion is granted as it
12
This testimony is undoubtedly self-serving, but that does not mean the court
may disregard it. Widmar v. Sun Chemical Corp., 772 F.3d 457, 459–60 n.1 (7th Cir. 2014).
28
relates to plaintiff’s Title VII retaliation claim, and denied as it relates to plaintiff’s
FMLA claim.
Pursuant to 28 U.S.C. § 636(b)(1)(A), FED. R. CIV. P. 72(a), and LOCAL RULE
72-1(b), the court hereby ORDERS that this case be assigned to Magistrate Judge Susan
L. Collins for purposes of holding a settlement conference. A settlement conference has
been scheduled before Magistrate Judge Collins, at the Fort Wayne Division of the
Northern District of Indiana, on August 13, 2015 at 9 a.m.. The parties are ordered to
appear before the undersigned district court judge at the Hammond Division of the
Northern District of Indiana on November 6, 2015 at 9 a.m., for a final pretrial
conference. Finally, the parties are ordered to appear before the undersigned district
court judge at the Hammond Division of the Northern District of Indiana on November
30, 2015 at 8:30 a.m., for trial in this matter. The undersigned maintains a trailing
calendar for civil trials. In the event that another civil trial takes precedence on the
assigned trial date, this case will proceed to trial on the next available date in order of
precedence on the trailing calendar. Absent exceptional circumstances, no continuances
will be granted for the aforementioned dates.
SO ORDERED.
Date: July 20, 2015
s/James T. Moody
JUDGE JAMES T. MOODY
UNITED STATES DISTRICT COURT
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