Faul v. Board of Education of Danville Independent Schools et al
Filing
13
OPINION & ORDER: (1) Dfts 4 Motion for Partial Summary Judgment is GRANTED as follows: (A) Count I of Faul's complaint against the BOE is DISMISSED as barred by governmental immunity; and (B) Count III of Faul's complaint against the BOE and Coleman, individually and in her official capacity, is DISMISSED. (2) This matter REMAINS PENDING on Count II of Faul's Complaint against the BOE and Coleman, individually and in her official capacity. Signed by Judge Karl S. Forester on April 9, 2013. (AWD) cc: COR
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF KENTUCKY
CENTRAL DIVISION at LEXINGTON
CIVIL ACTION NO. 5:12-CV-277-KSF
SHARON FAUL
v.
PLAINTIFF
OPINION & ORDER
BOARD OF EDUCATION OF DANVILLE
INDEPENDENT SCHOOLS and CARMEN COLEMAN,
individually and in her capacity as Superintendent of the
Danville Independent School District
DEFENDANTS
**********
This matter is currently before the Court upon the motion of the defendants, Board of
Education of Danville Independent Schools (the “BOE”) and Carmen Coleman (“Coleman”),
individually and in her capacity as Superintendent of the Danville Independent School District, for
partial judgment on the pleadings pursuant to Rule 12(c) of the Federal Rules of Civil Procedure.
I.
FACTUAL AND PROCEDURAL BACKGROUND
The facts, as alleged in Faul’s complaint, are as follows. Faul was employed by the BOE as
a classified employee in the position of Director for the Family Resource and Youth Services Center
(“FRYSC”) serving Danville High School and Bate Middle School from 1997 until June 30, 2012.
In this position, Faul was subject to yearly performance evaluations. Until the 2011-12 school year,
Faul had received good evaluations.
In the Fall of 2011, the FRYSC Program had a vacant position and was hiring an assistant.
The hiring committee, composed of members of the FRYSC Advisory Committee, Faul, and the
principal, reviewed all applicants and selected two as their finalists. The two finalists were African
1
American women who were qualified to hold the position. Instead of selecting one of the two
finalists, Coleman awarded the position to another District employee, without input or agreement
from the FRYSC Advisory Committee. The two applicants were advised that they did not receive
the position.
Faul complained that Coleman’s actions were in violation of the hiring procedures and
subverted the hiring process, the opinions of the hiring committee, and the FRYSC Advisory
Committee. She complained that one of two vetted applicants was supremely qualified for the
position whereas the individual who was given the position was not. As a result of these complaints,
Faul contends that she received a negative performance evaluation from Coleman, who had elected
to become Faul’s evaluator rather than having the principals at the high school and middle school
perform the evaluation, as normally done. During her evaluation, she contends that no corrective
action plan or other tools were provided or offered to Faul as a means of improving her performance
and no review sessions were scheduled.
Faul also contends that after the hiring of the assistance, her work and program were
unreasonably and overly scrutinized and unduly criticized. For example, Coleman yelled at Faul in
a professional meeting and ignored Faul at a school orientation event where her presence and
presentation were previously planned and discussed. Then on May 15, 2012, Faul received a letter
from Coleman stating that she would no longer be serving as Director and would be placed in
another classified position in the District. Coleman cited Faul’s performance evaluation as a basis
for her demotion from Director of the FRYSC Program to an instructional aide. Faul contends that
this demotion caused her to suffer a substantial cut in salary as well as the prestige associated with
the position. She also complains that Coleman’s actions caused her humiliation, embarrassment,
2
emotional distress, and mental anguish. Finally, Faul contends that she is qualified to hold the
position of Director of the FRYSC Program.
Faul filed this civil action in Boyle Circuit Court on August 10, 2012. In Count I, Faul
alleges that the actions of the BOE and Coleman were in retaliation for Faul’s report of
mismanagement, violation of law and/or abuse, and thus in violation of Kentucky’s Whistleblower
Act, KRS 61.101 et seq. Count II of Faul’s complaint asserts a federal due process claim based on
the 14th Amendment pursuant to 28 U.S.C. § 1983. Finally, in Count III, Faul alleges that the
Defendants’ actions were in violation of Faul’s right to be free of arbitrary and capricious actions
as guaranteed to her under Section 2 of the Kentucky Constitution. On August 30, 2012, the
Defendants removed Faul’s complaint to this Court pursuant to 28 U.S.C. § 1441 on the basis of
federal question jurisdiction arising under 28 U.S.C. § 1983.
On September 24, 2012, the Defendants filed their Motion for Partial Judgment on the
Pleadings [DE #4], arguing that the Complaint fails to state a claim against them under state law.
The parties subsequently agreed that Count I should be dismissed against Carmen Coleman, and on
October 2, 2012, the Court entered its Order of Partial Dismissal, dismissing, with prejudice, Count
I of Faul’s Complaint against Coleman in her individual and official capacity [DE #6]. The
Defendants’ motion remains pending as to the state law claims contained in Count III.
II.
RULE 12(c) STANDARD
Motions for judgment on the pleadings under Rule 12(c) are adjudicated using the same
standard applicable to motions to dismiss under Rule 12(b)(6). Under that standard, the Court will
presume that all well-pleaded material allegations of the pleadings are true and will draw all
reasonable inferences in favor of the nonmoving party. Total Benefits Planning Agency v. Anthem
3
Blue Cross & Blue Shield, 552 F.3d 430, 434 (6th Cir. 2008); JPMorgan Chase Bank, N.A. v.
Winget, 510 F.3d 577, 581 (6th Cir. 2007). However, the Court need not accept as true legal
conclusions or unwarranted factual inferences. Total Benefits, 552 F.3d at 434; JPMorgan, 510 F.3d
at 581-82. A Rule 12(c) motion for judgment on the pleadings may be granted only if the moving
party is clearly entitled to judgment and when no material issue of fact exists and the party making
the motion is entitled to judgment as a matter of law. Id. at 581-82.
III.
ANALYSIS
A.
COUNT III OF FAUL’S COMPLAINT BASED ON THE KENTUCKY
CONSTITUTION WILL BE DISMISSED
Count III of Faul’s complaint alleges that “Defendants’ actions were in violation of Faul’s
right to be free of arbitrary and capricious acts as guaranteed to her under Section 2 of the Kentucky
Constitution.. . As a result of Defendants’ actions, Faul suffered compensatory damages, emotional
distress and mental anguish” [DE #1]. Section 2 of the Kentucky Constitution provides that
“Absolute and arbitrary power over the lives, liberty and property of freemen exists nowhere in a
republic, not even in the largest majority.” Ky. Constitution § 2 (1891). The Defendants argue that
this section does not provide a specific avenue for an individual to either enforce this restriction or
assert a cause of action under this section. They contend that the section is not self-executing and
does not contain any language providing for an individual cause of action for the violation of
fundamental rights. In support of their argument, the Defendants rely on St. Luke Hospital, Inc. v.
Straub, 354 S.W.3d 529 (Ky. 2011).
In St. Luke, the Kentucky Supreme Court held that Kentucky law does not recognize a cause
of action for alleged violations of Kentucky constitutional rights. Specifically, the Kentucky
4
Supreme Court ruled that Kentucky’s General Assembly has not authorized a statutory private right
of action for state constitutional violations, and refused to create a constitutional tort akin to a federal
Bivens action for violations of Kentucky’s Constitution. Id. at 536-37.
Despite the Kentucky Supreme Court’s holding in St. Luke, Faul attempts to argue that her
claims for “compensatory and equitable damages” are recoverable under the Kentucky Constitution.
However, a review of her Complaint reveals that she is not seeking injunctive relief or plead
reinstatement as a potential measure of recovery. Accordingly, Kentucky law does not recognize a
cause of action to support Faul’s claim based on Section 2 of the Kentucky Constitution. As a result,
the Court will grant the Defendants’ motion as to Count III of Faul’s complaint.
B.
THE BOE IS ENTITLED TO GOVERNMENTAL IMMUNITY ON FAUL’S
STATE LAW CLAIMS CONTAINED IN COUNT I
Count I of Faul’s complaint alleges that the “Defendants’ actions were in retaliation for
Faul’s report of mismanagement, violation of law and/or abuse and thus, in violation of the Kentucky
Whistleblower’s Act, KRS 61.101 et seq.” and “caused Faul to suffer compensatory damages,
emotional distress and mental anguish” [DE #1] Pursuant to the parties’ agreement, the Court has
dismissed this claim as it pertained to Defendant Coleman, individually and in her official capacity
[DE #6]. Consequently, this claim is proceeding only against the BOE. The Defendants argue that
Faul’s state law claims against the BOE are barred by the doctrine of governmental immunity.
In Yanero v. Davis, 65 S.W.3d 510 (Ky. 2001), the Kentucky Supreme Court held that an
agency of state government enjoys what is termed “governmental immunity” from civil damage
actions. The Supreme Court explained that governmental immunity is a public policy, derived from
the doctrine of sovereign immunity, which is premised on the notion “that courts should not be called
5
upon to pass judgment on policy decisions made by members of coordinate branches of government
in the context of tort actions, because such actions furnish an adequate crucible for testing the merits
of social, political or economic policy.” Yanero, 65 S.W.3d at 519. As a result, governmental
immunity shields state agencies from liability for damages only for those acts which constitute
governmental functions; i.e., public acts integral in some way to state government. Id. This
immunity, however, does not extend to agency acts which serve merely proprietary ends; i.e., nonintegral undertakings of a sort private persons or businesses might engage in for profit.
Under these rules, the Supreme Court has further held that:
[a] board of education is an agency of state government and is cloaked with
governmental immunity; thus, it can only be sued in a judicial court for damages
caused by its tortious performance of a proprietary function, but not its tortious
performance of a governmental function, unless the General Assembly has waived
immunity by statute.
Grayson County Board of Education v. Casey, 157 S.W.3d 201, 202-03 (Ky. 2005). There being
no suggestion of waiver in this case, the question is simply whether the BOE’s hiring of
administrators and teachers is appropriately characterized as governmental or proprietary.
As the Supreme Court acknowledged in Yanero, this distinction is sometimes difficult to
draw, but in recent cases the Court has held that education is an integral aspect of state government
and that activities in direct furtherance of education will be deemed governmental rather than
proprietary. For example, in Withers v. University of Kentucky, 939 S.W.2d 340 (Ky. 1997), the
Supreme Court held that notwithstanding the fact that the University of Kentucky Medical Center
competes with private hospitals, its essential role in the teaching mission of the University of
Kentucky College of Medicine renders its activities governmental. Similarly, in Yanero, the
Supreme Court held that interscholastic athletics contributed substantially to the educational
6
purposes of the secondary schools and thus that a school board performed a governmental function
when it authorized such athletics at its schools. Yanero, 65 S.W.3d at 527. In Autry v. Western
Kentucky University, 219 S.W.3d 713 (Ky. 2007), the Supreme Court held that WKU’s provision
of dormitory housing for its students constituted a governmental function, not a proprietary one,
stating: “Other providers of housing do so as a business, for profit; WKU does so as part of its
definitive function. Viewed in this light, WKU is clearly entitled to governmental immunity.”
Autry, 219 S.W.3d at 718.
In this case, the BOE made personnel decisions to further its educational mission. Because
the BOE was engaged in a governmental function rather than a proprietary function, it is entitled to
immunity from damages claims arising from that function. Consequently, Count I of Faul’s
complaint against the BOE will be dismissed as barred by governmental immunity.
IV.
CONCLUSION
For the reasons set forth above, the Court, being fully and sufficiently advised, hereby
ORDERS as follows:
(1)
the Defendants’ motion for partial summary judgment is GRANTED as follows:
(A)
(B)
(2)
Count I of Faul’s complaint against the BOE is DISMISSED as barred by
governmental immunity; and
Count III of Faul’s complaint against the BOE and Coleman, indvidually and
in her official capacity, is DISMISSED;
this matter REMAINS PENDING on Count II of Faul’s Complaint against the BOE
and Coleman, individually and in her official capacity.
This April 9, 2013.
7
Disclaimer: Justia Dockets & Filings provides public litigation records from the federal appellate and district courts. These filings and docket sheets should not be considered findings of fact or liability, nor do they necessarily reflect the view of Justia.
Why Is My Information Online?