USA, et al v. Det City, et al
Filing
2422
OPINION AND ORDER denying 2415 Motion to Intervene. Signed by District Judge Sean F. Cox. (JHer)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF MICHIGAN
SOUTHERN DIVISION
United States of America,
Plaintiff,
v.
Honorable Sean F. Cox
City of Detroit, et al.,
Case No. 77-71100
Defendants.
_____________________________/
OPINION & ORDER
DENYING MOTION TO INTERVENE (D.E. NO. 2415)
This matter is currently before the Court on a Motion to Intervene filed by Local 207 of
the American Federation of State, City and Municipal Employees (“Local 207”) and the Senior
Accountants, Analysts and Appraisers Association (“SAAA”), two labor unions whose members
include employees of the Detroit Water and Sewerage Department (“the DWSD”), on November
28, 2011. (D.E. No. 2415). Due to the nature and current status of this action (i.e., the existence
of current Clean Water Act violations that pose a serious health, safety and environmental risk to
the people of Southeastern Michigan, and the fact that this Court has already issued an order for
injunctive relief to remedy same), the Court has given the motion expedited consideration and
finds that oral argument would not significantly aid the decisional process. See Local Rule
7.1(f)(2), U.S. District Court, Eastern District of Michigan. For the reasons that follow, the
Court shall DENY the Motion to Intervene as untimely.
BACKGROUND
This action, which was commenced in 1977 and has been ongoing since that time, has an
1
incredibly long history that is more fully set forth in this Court’s September 9, 2011 Opinion and
Order (D.E. No. 2397). The Court includes here limited background facts and facts that are
relevant to the pending motion.
The Environmental Protection Agency initiated this action in 1977 against various
defendants, including the City of Detroit and the DWSD, alleging violations of the Clean Water
Act, 33 U.S.C. § 1251 et seq. The violations, which are undisputed, involve the DWSD’s waste
water treatment plant (“WWTP”) and its National Pollutant Discharge Elimination System
(“NPDES”) permit. The action was originally assigned to the Honorable John Feikens. The
State of Michigan was later realigned as a party plaintiff and, following numerous motions for
intervention which the Court granted, numerous governmental entities were joined as parties.
On September 14, 1977, Judge Feikens entered a Consent Judgment (the “1977 Consent
Judgment”) establishing a compliance schedule for the DWSD to address and correct the Clean
Water Act violations. It required, among other things, that the DWSD prepare and implement a
staffing program detailing its manpower needs.
In 1978, testing at the WWTP revealed that the DWSD failed to comply with the terms of
the 1977 Consent Judgment. On November 21, 1978, Judge Feikens entered an Order appointing
Professor Jonathan W. Bulkley as Court Monitor in this action, ordering him to study the
operations of the WWTP, report his findings to the Court, and make recommendations to the
Court to facilitate compliance with the Consent Judgment. (D.E. No. 366).
On December 29, 1978, Dr. Bulkley submitted a written report to the Court, that was filed
on the publicly accessible docket. (“Dr. Bulkley’s 1978 Report”). (D.E. No. 381) Dr. Bulkley’s
1978 Report stated that several activities at the DWSD were not in compliance with the
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requirements of the 1977 Consent Judgment, including staffing. As to the area of staffing, Dr.
Bulkley’s 1978 Report stated: 1) “[T]he current judgment states that on or before July 1, 1978,
Detroit shall procure and maintain all persons required to operate and maintain the existing
treatment program. The city is not in compliance with this critical portion of the consent
judgment.”; 2) “[I]t is clear that major shortfalls have been experienced in terms of experienced
personnel in the operations group at the wastewater treatment plant.”; 3) “The City has
consistently failed to respond in terms of adequate staffing.”; 4) “It is imperative that the city take
action to obtain qualified personnel to fill the present vacancies above the entry level positions.”;
5) “In addition to chronic and severe understaffing, the management of the wastewater treatment
plant has been seriously hampered by inefficient city personnel practices.”; 6) “Extensive delays
of five months or more have been experienced in filling vacant positions above the entry level.”;
7) “Inadequate staffing at the Detroit wastewater treatment plant has been an identified problem
for more than four years.”; 8) “[C]ritical vacancies currently exist at all levels above the entry
level position.”; 9) “All of these staffing problems are going to be compounded as the facility
attempts to achieve the higher plant performance required by the effluent limitations” that are
“scheduled to become operational 1 January 1980.” (Id. at 58-64).
On March 21, 1979, Judge Feikens issued an order appointing the current mayor of the
City of Detroit, Coleman A. Young, as Special Administrator of the DWSD. (See D.E. No.
1848-3). His Order gave the Special Administrator very broad powers “to perform any act
necessary to achieve expeditious compliance with the Consent Judgment” and stated that the
Special Administrator shall have all “authority required or necessary for the complete
management and control of” the WWTP, including entering into and the performance of all
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contracts and “the supervision of all employees of the system, including the hiring or
dismissal thereof.” (Id.) (emphasis added).
After testing at the WWTP revealed that the DWSD failed to comply with the terms of
the 1977 Consent Judgment, an Amended Consent Judgment was entered on April 23, 1980, that
modified the schedule for achieving compliance with effluent limitations for the WWTP set forth
in the DWSD’s NPDES Permit. It required, among other things, that the DWSD maintain all
personnel required to operate and maintain the WWTP.
In 1997, the DWSD again fell out of compliance with its NPDES permit and in August
1997, the DWSD reported certain violations of its NPDES permit to DEQ. Thereafter, Judge
Feikens appointed a committee to investigate the causes of the renewed violations. (see D.E. No.
1872). That committee completed a report of the causes of the noncompliance in January 2000
and that report was filed on the docket. (D.E. No. 1649). It noted the severity and on-going
nature of the DWSD’s renewed violations. It also noted that the problems included a “chronic
inability to adequately staff the skilled trades, engineers and other professional personnel”
and a “failure to provide adequate programs for training, career development and
succession planning.” (D.E. No. 1649) (emphasis added).
The City of Detroit filed a written response to the 2000 Investigative Report (D.E. No.
1650) wherein it suggested that another appointment of a Special Administrator for the DWSD
was needed to achieve short-term compliance:
DWSD believes that the appointment of an Administrator of Operations
empowered to manage, control and direct the procurement of all goods and
services, the hiring, compensation and firing of personnel, entering into
contracts, payment for services and the collection of receivables, and to do all
things necessary to accomplish the same, would provide a short-term solution to
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contracting, purchasing and personnel issues.
(Id. at 24) (emphasis added).
Following the 2000 Investigative Report, on February 7, 2000, Judge Feikens entered an
Order appointing Mayor Dennis Archer as Special Administrator. (D.E. No. 1848-3 at 4). The
Order appointed Mayor Archer as “Special Administrator of the Detroit WWTP for the purposes
of correcting the causes of non-compliance as found by the Committee and the purposes of
achieving long-term, sustained compliance with the NPDES permit” and gave him broad powers
over the DWSD. The Order then specified various responsibilities delegated to the Special
Administrator, including: 1) “Perform an assessment of training needs to update the training
curriculum,” 2) “Require WWTP training staff to train WWTP personnel exclusively,” 3)
“Revisit existing union contracts and civil service rules so that people outside the civil
service system are able to compete with those inside the system for advanced positions,” 4)
“Rewrite job descriptions to make them compatible with those that exist in external job
markets, i.e., both private and public,” 5) “Review existing union contracts and civil service
rules and develop recommendations to make compensation and compensation increases
similar to those that exist in the external market, including the use of performance
evaluations in granting merit pay increases,” and 6) “Develop recruiting
strategies to attract employees from outside the civil service. (Id. at 8-9) (emphasis added).
On August 30, 2000, Judge Feikens entered a Second Amended Consent Judgment
(“SACJ”) that set forth yet another compliance schedule for the DWSD to address and correct the
NPDES permit violations. (SACJ, D.E. No. 1688).
In December 2001, Judge Feikens entered an Order transferring authority of the Special
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Administrator to the newly elected mayor, Kwame Kilpatrick, effective January 1, 2002.
On January 5, 2006, Judge Feikens terminated the Order appointing Mayor Kilpatrick as
Special Administrator, concluding that the DWSD’s record of compliance had improved in the
last few years. (D.E. No. 1872).
His belief that progress was being made, however, did not last long. On May 2, 2008,
Judge Feikens issued an “Order For Briefing Regarding Compliance.” (D.E. No. 2122). Judge
Feikens stated that “Human resources is the greatest area of current concern in terms of
sustaining compliance” and noted:
A recent study undertaken at my direction by [IMG] found that eight
percent of the current management and lead operations positions at the WWTP are
vacant, and 79 percent of the current staff in those positions will be eligible to
retire with full pension benefits by the end of 2009. The current WWTP
operations staff eligible to retire with full retirement benefits rises to 83 percent by
2012. The problem extends through the mid-level positions in WWTP operations,
where 73 percent of the positions are filled by someone eligible to retire with full
benefits in 2009 – and that number increases to 81 percent by 2012.
There is a similar crisis brewing with the WWTP maintenance staff. Of the
management and lead maintenance positions at the WWTP, 25 percent are
currently vacant, and 100 percent of the current staff in those positions will be
eligible to retire with full benefits by the end of 2009. The senior maintenance
staff ranks are facing a similar situation: 36 percent of the positions are currently
vacant, and 63 percent of the current staff in those positions are eligible for full
retirement benefits in 2009- the percentage increased to 88 percent by 2012.
This problem is compounded by the fact that, as reported by [IMG], DWSD pays
significantly below-market rates for a vast swath of positions. Since the WWTP
is the biggest facility of its kind in the county, and thus demands more than usual
from its staff, this is especially glaring . . . Therefore, there is ample reason to
believe that a wave of retirements will result in vacancies in positions that are
vital to compliance. Moreover, the current personnel levels and salaries assume
the rates cover the costs of service. Failure to adequately support the costs of
providing the service through appropriate rate levels may very well exacerbate the
personnel crisis that is brewing.
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(Id. at 5-6). Judge Feikens ordered the City to respond to his concerns in writing.
In responding to that May 2, 2008 Order, the City stated that it had retained IMG to
prepare a report addressing various issues. (D.E. No. 2130). That report from IMG, titled
“DWSD Succession Plan Final Report, November 30, 2007,” was attached as Exhibit A to the
City’s brief. (D.E. No. 2130-3). Notably, in that report, IMG repeated its finding that it had
reported to Judge Feikens during the past year:
The physical improvements at the wastewater treatment plant and CSO stations,
which were required under Section II of the SACJ and identified as the remedies
to address and eliminate the technical causes of non-compliance in the
Committee’s report, have either been completed or have been initiated and are
expected to be satisfactorily completed.
Other remedies that are more people related or that involve organizational and
governance issues continue to be troublesome and could possibly jeopardize
sustained compliance. Staffing elements including hiring, career
development, succession planning, and compensation remain partially
unresolved. Little has been achieved in some of these areas due to the City of
Detroit personnel practices, bargaining unit agreements and civil service
constraints.
(Id. at 2) (emphasis added). IMG further stated that these “systemic problems” “need to be
addressed in the long term.” (Id.).
The report found several problems in terms of human resources and staffing. IMG noted
that there is “an alarmingly low number of certified operators for the size and complexity of the
DWSD wastewater treatment plant, which is one of the largest wastewater treatment plants in the
country.” (Id. at 8). It also found that civil service rules and union rules and agreements
compound the problems with recruiting and retaining qualified staff. (Id. at 10-11). It
stated that “[i]n terms of governance, City Council maintains control over all employment
matters. All employees of DWSD, with the exception of the Director and Deputy Director,
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fall under the City of Detroit Civil Service. Job descriptions, pay rates and classifications
are all subject to input and approval by the Civil Service Commission (CSC),” and “[a]ny
changes to job descriptions must also be reviewed by unions.” (Id.) (emphasis added).
Because of these constraints, the DWSD has “limited control over who gets hired, what they
get paid and job classification revisions.” (Id.) (emphasis added).
The recommendations by IMG also included restructuring numerous civil service
classifications at the DWSD. The report explained: “Many of the current job descriptions
are outdated, and do not reflect the current or future skills needs of DWSD” and that IMG
recommended that the “job descriptions and qualifications” for 17 different types of job
positions within the DWSD be redeveloped. (D.E. No. 2130-3 at 15) (emphasis added).
As Judge Feikens had predicted, 2009 proved to be a difficult year for the DWSD and in
September 2009, the DWSD again fell out of compliance with its NPDES permit. On November
12, 2009, DEQ issued a Notice of Violation to the DWSD for NPDES permit violations for
exceeding the limits for discharge of Total Suspended Solids (“TSS”) in the months of
September and October 2009. On April 14, 2010, DEQ issued a Second Notice of Violation to
the DWSD which alleged that the violations identified in the November 12, 2009 Violation were
continuing.
Judge Feikens requested that Dr. Bulkley, the Court’s appointed Monitor, investigate the
renewed NPDES violations and report to the Court. On June 15, 2010, Dr. Bulkley provided a
written report to the Court (the “2010 Bulkley Report”), which was filed on the docket. (D.E.
No. 2296). In that report, Dr. Bulkley stated that “DWSD has been cited for significant
violations for seven consecutive months (September, 2009 – March, 2010).” (D.E. No. 2296 at
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2). Dr. Bulkley further stated “[i]t is apparent that the current permit violations are similar to the
problems that have occurred since the issuance of the original Consent Judgment in 1977.” (Id.
at 4). He continued by stating that “[t]he nine (9) causes identified in the January 12, 2000
Report of the Committee of Investigation are very similar to certain of the issues that appear to
be contributing to the current Total Suspended Solids NPDES violations from the DWSD’s
wastewater treatment plant.” (Id.). The 2010 Bulkley Report concluded “[t]he changes
implemented in 2000 were apparently insufficient to maintain compliance over the long term, as
evidence by the recurring solids build up problem and the related permit violations. It may be
appropriate to consider more fundamental corrective measures to address the institutional
problems which are adversely impacting the performance of DWSD’s wastewater
treatment plant.” (D.E. No. 2296) (emphasis added).
Following the renewed violations in 2009, the Engineering Society of Detroit was asked
to assess and identify immediate emergency corrective steps and a sustainable, long-term
remediation strategy for the DWSD. On July 26, 2010, its written report, the “Engineering
Society of Detroit Consensus Action Report Detroit Water & Sewerage Department Waste Water
Treatment Plant: The Road To Compliance And Beyond” (the “Consensus Action Report”) was
submitted to the City. (Appendix to Opin. & Order No. 8). The Consensus Action Report was
also provided to the Court, and to the DEQ, by the City. (Id. at 1).
The Consensus Action Report stated “[a] critical problem facing DWSD and WWTP is
lack of sufficient qualified personnel” and that this “stark reality” drives home the importance of
human resources. (Id. at 7). Nevertheless, it found serious problems with existing human
resources services provided to the DWSD, stating that the City of Detroit’s Human Resources
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Department “has provided inconsistent or nonexistent services to DWSD in the past.” (Id. at 8).
It stated that there “is little, if any, on going training of plant supervision personnel” and “[t]here
is no succession planning for plant supervision personnel.” (Id. at 7). Further addressing human
resources problems, it stated:
Faced with its own staff reduction of over 34%, Human Resources fully
understands the challenges. The current process barriers driven by real or
perceived requirements due to city ordinances, civil service rules and
procedures, requisition practices and collection bargaining agreements have
impacted the ability of the Human Resources Department to fill the
personnel needs of DWSD and WWTP. Workings between DWSD and HR are
bureaucratic in nature and the process challenges each face in carrying out their
responsibilities with the other have not been fully shared. Each has legitimate
reasons why the process has not been successful, but joint problem-solving efforts
have not yet occurred.
Putting any fault assessment aside, the lack of an effective succession
planning process has again resulted in workarounds that increase the risk of
noncompliance due to lack of qualified personnel.
(Id. at 8) (emphasis added).
On November 29, 2010, after Judge Feikens retired, this case was reassigned to this
Court. (D.E. No. 2323).
In February of 2011, the City, along with the above counties, determined that a more
empowered Board would enhance the DWSD’s ability to comply with its NPDES permit and the
Clean Water Act. (See 2/11/11 Stipulated Order, D.E. No. 2334, at 1) (“[T]he parties agree that
the DWSD’s ability to comply with environmental laws and its NPDES Permit will be enhanced
by the Board’s exercise of its powers and authority to the fullest extent of the law.”)
The Stipulated Order provides that Board members must have at least seven years of
experience in a regulated industry, a utility, engineering, finance or law and that the Board will
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be compensated. (Id.). It further provides that the Board “will be supported by certain staff
having expertise in the fields of law, finance, and technology pertinent to DWSD operations (i.e.
engineering and/or water or wastewater operations).” (D.E. No. 2334 at 2). The Stipulated
Order further provides that “[w]ithin six months of the date of this Order, any party may file a
motion with the Court to demonstrate that the [DWSD] is in substantial compliance with its
NPDES Permit and the consent judgments of this Court. If the Court is satisfied that substantial
compliance has been achieved, it shall dismiss this lawsuit.” (Id.).
In compliance with the February 11, 2011 Stipulated Order, on April 1, 2011, Mayor
Bing appointed a new Board that the parties believe is equipped to lead the DWSD to achieve
sustained compliance with the Clean Water Act. On July 27, 2011, the Board amended its bylaws, to incorporate the provisions of the Stipulated Order.
Effective July 8, 2011, the City, the DWSD and DEQ entered into the ACO, aimed at
achieving compliance with the DWSD’s NPDES permit and the Clean Water Act. (D.E. No.
2365-1). The ACO contains provisions that impact staffing at the DWSD, such as:
The DWSD shall develop a Staffing Plan to establish a minimum staffing level for
the WWOG that includes DWSD employees and contractual skilled trades,
identify the basis for determining the number of maintenance and operations staff
necessary to properly operate and maintain the Detroit WWTP and CSO facilities
and a strategy for successful succession planning and training to ensure competent
staff.
(D.E. No. 2365-1 at 9).
On July 25, 2011, the City filed a “Motion to Dismiss and for Relief from the Second
Amended Consent Judgment.” (D.E. No. 2365). In that motion, the City noted that the DEQ and
the DWSD had recently entered into an ACO. The City asserted that the DWSD had made
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substantial progress toward achieving full compliance with its NPDES permit and the Clean
Water Act and asked the Court to dismiss this action.
On August 8, 2011, Oakland County and Macomb County each filed motions opposing
the City’s Motion to Dismiss wherein they argued that collective bargaining agreements and
work rules were preventing the DWSD from achieving compliance with the Clean Water Act and
the consent agreements reached in this action and asked this Court to order relief from union
agreements and work rules. (D.E. Nos. 2374 & 2375).
On September 9, 2011, this Court denied the City’s Motion to Dismiss in a 44-page
Opinion & Order, that included numerous factual findings, several of which relate to collective
bargaining agreements, union work rules and job descriptions. (See, e.g,. D.E. No. 2397 at 3133). In denying the City’s Motion, this Court noted that after executing the ACO on July 8,
2011, the DWSD self-reported new violations of its NPDES permit to the DEQ and that the
violations were the same kind of violations that have been occurring throughout this action. (Id.
at 41). The Court further found that “the DWSD’s violations of its NPDES permit and the Clean
Water Act are serious and continuing and present a serious health, safety and environmental risk
to the people of Southeastern Michigan.” (Id. at 37). The Court then stated:
[T]his Court concludes that, in order to achieve long-term compliance with the
Clean Water Act, other less intrusive measures, over many years and many
attempts, having proved unsuccessful, more fundamental and intrusive corrective
measures are required. The record in this case establishes that, unless more
fundamental corrective measures are taken to address the institutional and
bureaucratic barriers to sustained compliance that have been identified by experts
and acknowledged by the City, the DWSD will remain in this recurring cycle and
will never achieve sustained compliance with its NPDES permit, the ACO, and
the Clean Water Act.
The Court further concludes that an effective equitable remedy to achieve
sustained compliance will require this Court to order structural changes
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regarding the DWSD that will likely override the City of Detroit’s Charter, its
local ordinances, and/or some existing contracts.
....
Accordingly, the Court shall ORDER the Mayor of the City of Detroit
(and/or his designee), the City Council President and President Pro Tem, and a
current member of the Board (to be chosen by the Board) to meet and confer and,
within 60 days of the date of this order, propose a plan that addresses the root
causes of non-compliance that are discussed in this Opinion & Order. In making
such recommendations to the Court, these individuals shall not be constrained by
any local Charter or ordinance provisions or by the provisions of any existing
contracts. If the local officials fail to devise and propose a workable solution to
remedy the underlying causes of the recurrent violations of the Clean Water Act in
this case, this Court will order a more intrusive remedy on its own.
(Id. at 42-43). The Court ordered the above individuals to submit their proposed plan no later
than November 4, 2011. (Id. at 44).
There was considerable media coverage of this Court’s September 9, 2011 Opinion &
Order. Newspaper articles covering the Opinion & Order appeared on the front pages of both
the Detroit Free Press and the Detroit News. For example, an article that appeared on the front
page of the Detroit Free Press stated that “U.S. District Judge Sean Cox ordered Detroit officials
Friday to disregard union contracts, local ordinances and even the city charter in their efforts to
clean up pollution at the city’s sewage plant on the Detroit River.” (See Ex. A to Opinion &
Order) (emphasis added). Union leadership was quoted in the article:
“He seems to be suggesting that some type of dictatorship can solve this,” said
John Riehl, president of AFSCME Local 207, which represents Detroit Water and
Sewerage Department works. The union will fight the order, Riehl said.
(Id.). Numerous other local newspapers also featured articles and editorials discussing this
Court’s September 9, 2011 Opinion & Order.
Nevertheless, not one of the 20 unions that represent employees of the DWSD sought to
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intervene after this Court issued its September 9, 2011 Opinion & Order.
Following this Court’s September 9, 2011 Opinion & Order, the city leaders and BOWC
member identified therein met to devise and propose a workable solution to remedy the
underlying root causes of noncompliance (“the Root Cause Committee”). On November 2,
2011, the Root Cause Committee submitted a written proposed “Plan of Action” to the Special
Master in this action, which the Special Master then submitted to the Court on that same date.
(Docket Entry No. 2409). The Root Cause Committee spent considerable time in developing the
their proposed Plan of Action. The Root Cause Committee members noted that they were
“permitted to solicit and receive input from various sources” with knowledge of the DWSD and
utility operations and noted that they received input from: 1) the Detroit City Council; 2) the
Board of Water Commissioners; 3) DWSD Management Staff; 4) Union Representatives; 5)
Management-side Labor Counsel; 6) Industry Professionals; 7) Current DWSD Vendors; 8) a
Rate Consultant; and 9) Regulatory Agency Input. (D.E. No. 2409-1 at 2) (emphasis added).
On November 4, 2011, this Court issued an Order (Docket Entry No. 2410), wherein this
Court found that the proposed Plan of action adequately addresses the majority of the root causes
of non-compliance outlined in this Court’s September 9, 2011 Opinion & Order. This Court
therefore adopted the Plan of Action proposed by the Root Cause Committee and ordered its
implementation.
Although the Root Cause Committee agreed that certain changes to existing collective
bargaining agreements need to occur, despite earnest efforts, the Committee could not agree on
how to achieve the necessary changes. Because the proposed Plan of Action did not adequately
address collective bargaining issues, the Court considered the issue on its own:
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Based on the record in this case, the Court concludes that certain
CBA provisions and work rules are impeding the DWSD from achieving and
maintaining both short-term and long-term compliance with its NPDES
permit and the Clean Water Act. Given that the Committee was unable to
agree on a proposed solution for remedying these impediments to compliance, this
Court shall order its own remedy.
....
The Court has carefully considered all options and concludes that the least
intrusive means of effectively remedying these impediments to compliance is to: 1) keep all
current CBAs that cover DWSD employees in force, but strike and enjoin those current CBA
provisions or work rules that threaten short-term compliance; and 2) Order that, in the future, the
DWSD shall negotiate and sign its own CBAs that cover only DWSD employees, and prohibit
future DWSD CBAs from containing certain provisions that threaten long-term compliance.
Specifically, the Court hereby ORDERS that:
1.
The Director of the DWSD, with the input and advice of
union leadership, shall develop a DWSD employee training
program, a DWSD employee assessment program, and a
DWSD apprenticeship training program.
2.
Any City of Detroit Executive Orders imposing furlough
days upon City employees shall not apply to DWSD
employees.
3.
The DWSD shall act on behalf of the City of Detroit to
have its own CBAs that cover DWSD employees (“DWSD
CBAs”). DWSD CBAs shall not include employees of any
other City of Detroit departments. The Director of the
DWSD shall have final authority to approve CBAs for
employees of the DWSD.
4.
The Court hereby strikes and enjoins any provisions in
current CBAs that allow an employee from outside the
DWSD to transfer (“bump”) into the DWSD based on
seniority. Future DWSD CBAs shall adopt a seniority
system for the DWSD that does not provide for transfer
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rights across City of Detroit Departments (ie., does not
provide for “bumping rights” across city departments).
5.
DWSD management must be able to explore all available
means and methods to achieve compliance with its NPDES
permit and the Clean Water Act. DWSD CBAs shall not
prohibit subcontracting or outsourcing and the Court hereby
strikes and enjoins any provisions in current CBAs that
prohibit the DWSD from subcontracting or outsourcing.
6.
DWSD CBAs shall provide that excused hours from
DWSD work for union activities are limited to attending
grievance hearings and union negotiations, with prior
notification to DWSD management. The Court strikes and
enjoins any current CBA provisions to the contrary.
7.
DWSD CBAs shall include a three-year time period
pertaining to discipline actions.
8.
The Director of the DWSD shall perform a review of the
current employee classifications at the DWSD and reduce
the number of DWSD employee classifications to increase
workforce flexibility. Future DWSD CBAs shall include
those revised employee classifications.
9.
DWSD CBAs shall provide that promotions in the DWSD
shall be at the discretion of management and based upon
skill, knowledge, and ability, and then taking seniority into
account. The Court strikes and enjoins and current CBA
provisions to the contrary.
10.
Past practices on operational issues shall not limit
operational changes initiated by management with respect
to DWSD CBAs.
11.
The Court strikes and enjoins any provisions in existing
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CBAs that prevent DWSD management from assigning
overtime work to employees most capable of performing
the necessary work within a classification, at the discretion
of management. DWSD CBAs shall provide that
management has the discretion to assign overtime work to
employees most capable of performing the necessary work
within a classification, at the discretion of management.
12.
Any existing work rules, written or unwritten, or past
practices that are contrary to these changes are hereby
terminated.
13.
The Court enjoins the Wayne County Circuit Court and the
Michigan Employment Relations Commission from
exercising jurisdiction over disputes arising from the
changes ordered by this Court. The Court also enjoins the
unions from filing any grievances, unfair labor practices, or
arbitration demands over disputes arising from the changes
ordered by this Court.
(Docket Entry No. 2410 at 4-7) (emphasis added).
On November 14, 2011, “AFSCME Council 25” filed a Motion to Intervene as of Right.
(D.E. No. 2412). Due to the nature and current status of this action (i.e., the existence of current
Clean Water Act violations that pose a serious health, safety and environmental risk to the people
of Southeastern Michigan, and the fact that this Court has already issued an order for injunctive
relief to remedy same), the Court gave that motion expedited consideration. This Court denied
the motion as untimely in an Opinion & Order issued on November 18, 2011. (D.E. No. 2413).
AFSCME Council 25 has since appealed that ruling to the United States Court of Appeals for the
Sixth Circuit. (See Notice of Appeal, D.E. No. 2414).
On November 28, 2011, two additional unions, Local 207 and SAAA, filed a motion
17
seeking to intervene in this action. (D.E. No. 2415). Local 207 and SAAA seek to intervene as
of right and also seek permissive intervention. On that same date, they also filed two additional
motions. (D.E. Nos. 2416 & 2417).
Because the denial of an application to intervene renders “any substantive motion
accompanying the application to intervene moot,” In re PaineWebber Inc., Ltd. Partnerships
Litig., 94 F.3d 49, 52 (2d Cir. 1996), the Court will address the Motion to Intervene first.
ANALYSIS
Rule 24(a) of the Federal Rules of Civil Procedure entitles certain parties to intervene in a
lawsuit as of right and provides in pertinent1 part that upon timely motion, the court must permit
anyone to intervene who:
(2) claims an interest relating to the property or transaction that is the subject of
the action, and is so situated that disposing of the action may as a practical matter
impair or impede the movant’s ability to protect its interest, unless existing parties
adequately represent that interest.
FED . R. CIV . P.24(a). Rule 24(b) allows for permissive intervention. FED . R. CIV . P. 24(b).
The Sixth Circuit has explained that a proposed intervenor must establish four factors
before being entitled to intervene as of right: (1) the motion to intervene is timely; (2) the
proposed intervenor has a substantial legal interest in the subject matter of the case; (3) the
proposed intervenor’s ability to protect their interest may be impaired in the absence of
intervention; and (4) the parties already before the court cannot adequately protect the proposed
intervenor’s interest. Coalition to Defend Affirmative Action v. Granholm, 501 F.3d 775, 779
1
F ED . R. CIV . P. 24(a) also provides for intervention of right where a person is “given an
unconditional right to intervene by a federal statute.” Here, however, the Motion to Intervene
does not seek intervention based upon an unconditional right to intervene by any federal statute.
18
(6th Cir. 2007).
It is the proposed intervenor’s burden to “prove each of the four factors; failure to meet
one of the criteria will require that the motion to intervene be denied.” Grubbs v. Norris, 870
F.2d 343, 345 (6th Cir. 1989).
The timeliness of a motion to intervene is a “threshold issue” as to both intervention as of
right and permissive intervention Blount-Hill v. Zelman, 636 F.3d 278, 284 (6th Cir. 2011); FED .
R. CIV . P. 24(b) (allowing permissive intervention upon “timely motion.” Here, as with
AFSCME Council 25's motion, this Court’s analysis begins and ends with timeliness.
“An application for permissive or intervention of right must be timely.” Michigan Assoc.
for Retarded Citizens v. Smith, 657 F.2d 102, 105 (6th Cir. 1981); Stotts v. Memphis Fire Dept.,
679 F.2d 579, 582 (6th Cir. 1982); FED . R. CIV . P. 24(a) & (b). “If untimely, intervention must be
denied.” Id. In determining whether intervention is timely, courts consider several factors,
including: 1) the length of time preceding the application for intervention during which the
proposed intervenor knew or reasonably should have known of his interest in the case; 2) the
point to which the suit has progressed; 3) the purpose for which intervention is sought; 4) the
prejudice to the original parties due to the proposed intervenor’s failure after he knew of or
reasonably should have known of his interest in the case to apply promptly for intervention; and
5) the existence of unusual circumstances militating against or in favor of intervention.
Michigan Assoc. for Retarded Citizens, 657 F.2d at 105; Stotts, 679 F.2d at 582; Grubbs, 870
F.2d at 345.
The above factors were considered and applied in Michigan Assoc. for Retarded Citizens,
supra. That action was a class action “commenced to improve the plight of approximately eight
19
hundred mentally handicapped persons who reside at the Plymouth Center for Human
Development, an institution located at Plymouth, Michigan.” Michigan Assoc. for Retarded
Citizens, 657 F.2d at 104. “In March 1978 District Judge Charles W. Joiner issued a preliminary
injunction which, among other things, created a group of monitors who were directed to observe
and inspect conditions at the center and to report to the court on a monthly basis.” Id. Eighteen
months following the commencement of the action, the “original parties entered into a stipulation
concerning the future of the Plymouth Center.” Id. “Judge Joiner wrote that, ‘This stipulation
was the result of countless hours of difficult work, and was motivated . . . by a genuine concern
for the welfare of the . . . individuals who reside at the Plymouth Center.’ Judge Joiner entered a
comprehensive memorandum opinion, order and decree” in accordance with the stipulation. Id.
The district court’s opinion contemplated a significant reduction in the population of the
Plymouth Center, which would reduce the number of persons employed by the center. The
district court’s opinion also required “more stringent employment standards, training programs to
increase employee skills and the development of employee disciplinary policies and procedures.”
Id.
Following the entry of the district court’s opinion, AFSCME, whose members include
employees of the Plymouth Center, filed a motion seeking to intervene in the action. The district
court denied that motion as untimely and the Sixth Circuit affirmed. In denying the motion to
intervene as untimely, the district court explained:
An essential element . . . of intervention . . . is a timely application by the
person seeking to intervene. In this case, [the Union’s] motion was made 20
months after the inception of the litigation, and 1 month after the entry of
this court’s Memorandum Opinion, Order and Decree. Allowing intervention
at this point would seriously delay the parties’ ability to implement the provisions
20
of the Consent Decree, and this delay would necessarily work to the detriment of
the individuals for whose welfare this suit was instituted.
[The Union] asserts, however, that the reason it postponed making its
motion to intervene was the fact that it did not consider the interests of the
employees to be adversely affected by the interim orders issued by this court. [The
Union] maintains that the remedial provisions of the Consent Decree, however,
adversely affect the employees’ interests, and for this reason intervention should
be allowed.
This court is aware of the concern which [the Union] has for the career
futures of the employees it represents, and it is sympathetic to those concerns.
This is not, however, a situation in which the employees and their bargaining
representative were caught totally unaware of the possibility that the rights
of the Center’s residents would have to be protected by means which affect
conditions of employment at the Center. Indeed, the first order entered by this
court (on March 3, 1978) affected staffing, patient-staff ratios, and other aspects
of treatment which impacted on employment conditions. Moreover, this case has
generated a great deal of public concern and scrutiny, and has thus received
extensive media coverage.
Id. at 105 (emphasis added). In finding the motion untimely, the court stressed that AFSCME
filed the motion after entry of the Consent Decree even though it had previously been aware of
the broad scope of the litigation. Id.
The above timeliness factors were also analyzed in Stotts, supra. That action was a class
action alleging that the hiring and promotion policies of the Memphis Fire Department were
racially discriminatory. Stotts, 679 F.2d at 580. “After three years of internecine discovery and
over four months of intense negotiations, a consent decree settled the action.” Id. “[T]wo weeks
after the court preliminarily approved the decree, eleven non-minority fireman filed a motion to
intervene alleging that the decree operated as reverse discrimination against non-minority
firemen.” The district court “found that the proposed intervenors had adopted a ‘wait-and-see’
posture with respect to the litigation and ruled that the motion to intervene was untimely.” Id. at
581. In affirming the district court’s ruling, the Sixth Circuit found that the district court
21
properly considered the length of time during which the proposed intervenors actually knew or
reasonably should have known of their interest in the action. Id. at 582-83. It noted that several
newspaper articles published in the Memphis area “apprised the proposed intervenors of the
Stotts action months before the 1980 Decree was announced.” Id. It further explained that “[t]he
risk that the Stotts action may affect the Fire Department’s promotion procedure was inherent
from the outset of the litigation” and that “an awareness of the action, therefore, was knowledge
that the litigation created a risk that the promotion procedure may be affected.” Id.
The court also concluded that consideration of prejudice to the original parties weighed
against intervention, noting that a “good bit of value” would be lost if implementation of the
decree was delayed. Id. at 584. The court explained that any delay would prejudice class
members and that the City would suffer prejudice because the “Fire Department’s ability to
function would have been jeopardized by the delay sought by the proposed intervenors.” The
court also considered the “public interest in efficient, effective firefighting services.” Id. at 58485.
In considering the unusual circumstances factor, the Sixth Circuit noted that the district
court “has continuing jurisdiction to modify the 1980 Decree should its operation become
unreasonable,” and it found that fact to be “an important, unusual circumstance militating against
allowing intervention.” Id. at 585. The Sixth Circuit also found that an “additional factor which
weighed against allowing intervention was the months of settlement negotiations and the three
years the case had been pending” and that the district court’s consideration of those
circumstances was proper. Id.
This Court concludes that, as with AFSCME Council 25's motion, consideration of the
22
timeliness factors in the context of this case weighs against granting Local 207 and SAAA’s
Motion to Intervene.
1.
Knowledge Of Interest In Case
The first factor, the length of time preceding the application for intervention during which
the proposed intervenor knew or reasonably should have known of his interest in the case, is
the most significant factor here and weighs heavily against intervention.
The DWSD has been under federal court oversight since 1977. This Court’s oversight of
the DWSD has not been a secret. To the contrary, the case has garnered considerable media
attention over the past four decades. As reflected in the background section of this Opinion &
Order, the risk that orders in this action may affect collective bargaining agreements and
union work rules, as they relate to the DWSD, has been apparent for decades. For example,
the record reflects that:
1)
Beginning in 1977, consent judgments were entered in this action that
include provisions impacting staffing and employment conditions at the
DWSD.
2)
Beginning in 1978, Judge Feikens hired an environmental expert, Dr.
Bulkley, to study operations at the WWTP and make recommendations to
the Court on how to best facilitate compliance. Dr. Bulkley’s 1978 Report
reported numerous concerns with staffing at the DWSD.
3)
Following Dr. Bulkley’s 1978 Report, in 1979 Judge Feikens took the
extraordinary action of appointing the current Mayor of the City of Detroit
as Special Administrator of the DWSD, giving him very broad powers,
including all “authority required or necessary for the complete
management and control of” the WWTP, including entering into and the
performance of all contracts and “the supervision of all employees of the
system, including the hiring or dismissal thereof.” (D.E. No. 1848-3).
4)
After the DWSD again fell out of compliance, in 2000 Judge Feikens
appointed a committee to investigate the root causes of compliance and the
23
committee’s report detailed several problems regarding staffing including
the “failure to provide adequate programs for training, career development
and succession planning.” (D.E. No. 1649).
5)
On February 7, 2000, Judge Feikens appointed Mayor Dennis Archer as
Special Administrator, giving him very broad powers over the DWSD and
specifically delegating him tasks that impact collective bargaining
agreements and union work rules. (D.E. No. 1848-3 at 8-9).
6)
IMG’s 2008 report, which was submitted to the Court and filed on the
docket, noted numerous problems stemming from bargaining unit
agreements, union work rules and civil service restraints. It also made
recommendations as changes needed in those areas. (D.E. 2130-3).
7)
After the DWSD fell out of compliance again in 2009, the Court asked Dr.
Bulkley to submit a report to the Court. Dr. Bulkley’s 2010 Report stated
that the changes ordered by the Court thus far were insufficient to maintain
compliance and advised the Court that “[i]t may be appropriate to consider
more fundamental corrective measures to address the institutional
problems which are adversely impacting the performance of DWSD’s
wastewater treatment plan.” (D.E. No 2296).
Like the situation in Stotts, an awareness of this action was knowledge that the litigation created
a significant risk that collective bargaining agreements and work rules may be affected.
Nevertheless, this action proceeded for more than 34 years without Local 207 or SAA seeking to
intervene.
In their Motion to Intervene, Local 207 and SAAA assert that their motion is not untimely
because, although there were expert reports submitted in this action raising concerns and making
recommendations about the underlying causes of non-compliance, “neither Local 207 nor the
SAAA had objections to those concerns” and they did not have any reason to believe that
contracts or bargaining rights would be impacted in order to address those concerns. (Pls.’ Br. at
13). The Court finds this argument unpersuasive and contrary to the record in this action. The
injunctive relief ordered by this Court in its November 4, 2011 Order includes specific problem
24
areas that were previously addressed by expert reports, which included recommendations for
actions to be taken in those areas. In addition, Judge Feikens previously entered Orders
impacting those very same areas – without any union seeking to intervene.
For example, this Court’s November 4, 2011 Order includes a provision requiring the
DWSD to “perform a review of the current employee classifications at the DWSD and reduce the
number of DWSD employee classifications to increase workforce flexibility.” (D.E. No. 2410 at
6-7). Numerous expert reports noted problems in this area and made recommendations to the
Court to change employee job descriptions and classifications.
For example, IMG’s 2008 report stated that little progress had been achieved in areas
regarding staffing problems “due to the City of Detroit personnel practices, bargaining unit
agreements and civil service constraints.” The report submitted to the Court also found
several problems in terms of human resources and staffing and found that civil service rules and
union rules and agreements compound the problems with recruiting and retaining qualified
staff. (Id. at 10-11). It stated that “ Job descriptions, pay rates and classifications are all subject
to input and approval by the Civil Service Commission (CSC),” and “[a]ny changes to job
descriptions must also be reviewed by unions.” (Id.). Because of these constraints, the DWSD
has “limited control over who gets hired, what they get paid and job classification revisions.”
(Id.). The recommendations by IMG included restructuring numerous civil service
classifications at the DWSD. The report explained: “Many of the current job descriptions are
outdated, and do not reflect the current or future skills needs of DWSD” and that IMG
recommended that the “job descriptions and qualifications” for 17 different types of job
positions within the DWSD be redeveloped. (D.E. No. 2130-3 at 15) (emphasis added).
25
In addition, Judge Feikens previously entered orders appointing Special Administrators in
this action, giving them very broad powers over the DWSD and its employees. Those Orders
included Orders directing the Special Administrator to makes changes regarding these very same
issues. (See, e.g., D.E. No. 1848-3, delegating to the Special Administrator very broad powers
over the DWSD and its employees and delegating him specific responsibilities, including
“rewrite job descriptions” for DWSD employees).
Accordingly, the Court concludes that, for several decades, the unions that represent
DWSD employees knew or should have known that orders in this action may affect collective
bargaining agreements and union works rules relating to the DWSD.
In addition, there is no question that Local 207 had actual knowledge, no later than
September 9, 2011, that its interests would likely be impacted by orders that would be issued in
this case on an expedited basis. In addition, the other unions that represent employees of the
DWSD, including SAAA, either knew or should have known that their interests would likely be
impacted by orders that would be issued in this case on an expedited basis.
On August 8, 2011, after the City of Detroit had filed its Motion to Dismiss, Oakland
County and Macomb County each filed briefs opposing the City’s motion wherein they argued
that collective bargaining agreements and work rules were preventing the DWSD from achieving
compliance with the Clean Water Act, and the consent agreements reached in this action, and
asked this Court to order injunctive relief from union agreements and work rules. (D.E. Nos.
2374 & 2375).
In denying the City’s Motion to Dismiss, this Court issued a 44-page Opinion & Order on
September 9, 2011. The Opinion & Order included numerous factual findings as to the root
26
causes of non-compliance, several of which relate to collective bargaining agreements and union
work rules. (See, e.g,. D.E. No. 2397 at 31-33). In denying the City’s Motion, this Court noted
that after executing the ACO on July 8, 2011, the DWSD self-reported new violations of its
NPDES permit to the DEQ and that the violations were the same kind of violations that have
been occurring throughout this action. (Id. at 41). This Court further found that “the DWSD’s
violations of its NPDES permit and the Clean Water Act are serious and continuing and present a
serious health, safety and environmental risk to the people of Southeastern Michigan.” (Id. at
37). The Court explained:
[T]his Court concludes that, in order to achieve long-term compliance with the
Clean Water Act, other less intrusive measures, over many years and many
attempts, having proved unsuccessful, more fundamental and intrusive corrective
measures are required. The record in this case establishes that, unless more
fundamental corrective measures are taken to address the institutional and
bureaucratic barriers to sustained compliance that have been identified by experts
and acknowledged by the City, the DWSD will remain in this recurring cycle and
will never achieve sustained compliance with its NPDES permit, the ACO, and
the Clean Water Act.
(Id.).
Thus, this Court was faced with the unenviable task of determining how to remedy these
ongoing and serious violations of the Clean Water Act, given the complex nature of the problem
and the fact that the rather extraordinary actions taken over the past four decades have proven
inadequate.
Rather that order a remedy on its own, without input from the City, the Court considered
other options and ultimately decided to take an admittedly unique approach:
The Court further concludes that an effective equitable remedy to achieve
sustained compliance will require this Court to order structural changes
27
regarding the DWSD that will likely override the City of Detroit’s Charter, its
local ordinances, and/or some existing contracts.
This Court does not arrive at this conclusion lightly. As noted above,
Judge Feikens attempted several less intrusive measures, over several decades, but
those less intrusive measures have not enabled the DWSD to achieve sustained
compliance. In addition, although the City has had ample opportunity to devise
and implement its own solutions to the underlying causes of noncompliance that
have been identified and discussed since the inception of this case, to date, it has
not proposed or implemented a plan that has sufficiently addressed those root
causes.
To be fair, the City has been constrained in the measures it has proposed or
implemented to date because the City is bound by various provisions of the City’s
Charter and ordinances, and existing contracts, that prevent the City from making
fundamental changes in the identified problem areas.
This Court, however, has broad equitable power to order any relief
necessary to achieve compliance with the Clean Water Act and this Court is not
constrained by the provisions of the City’s charter or ordinances. Weinberger,
456 U.S. at 318; Perkins, 47 F.3d at 216.
This Court appreciates that its broad equitable authority is to be “tempered
by precepts of comity and federalism.” Kendrick , 740 F.2d at 437. As thenJudge (now Justice) Stephen Breyer explained in Metropolitan District
Commission,2 considerations of comity and federalism, however, do not give a
state or municipality the legal power to violate federal law or to continue
violations of the Clean Water Act over a thirty-four year period. United States v.
Metropolitan District Commission, 930 F.2d at 136. Maintaining the status quo is
not an option.
Nevertheless, this Court is mindful that remedies that override state or
local law should be narrowly tailored and that, to the extent possible, local
officials should at least have the opportunity to devise their own solutions to
remedy a violation of federal law.
Accordingly, the Court shall ORDER the Mayor of the City of Detroit
(and/or his designee), the City Council President and President Pro Tem, and a
current member of the Board (to be chosen by the Board) to meet and confer and,
within 60 days of the date of this order, propose a plan that addresses the root
causes of non-compliance that are discussed in this Opinion & Order. In making
such recommendations to the Court, these individuals shall not be constrained by
any local Charter or ordinance provisions or by the provisions of any existing
contracts.
(Id. at 42-43) (emphasis in original). The Court ordered the above individuals to submit their
2
United States v. Metropolitan District Commission, sometimes referred to as the Boston
Harbor case, is another case involving Clean Water Act violations continuing over many years.
28
proposed plan by a set date – no later than November 4, 2011. (Id. at 44). The Court also
cautioned that “If the local officials fail to devise and propose a workable solution to remedy the
underlying causes of the recurrent violations of the Clean Water Act in this case, this Court will
order a more intrusive remedy on its own.” (Id. at 43).
The import of this Court’s order, and the urgent need to remedy the ongoing violations,
was widely reported in the media. For example, newspaper articles covering this Court’s
September 9, 2011 Opinion & Order appeared on the front pages of both the Detroit Free Press
and the Detroit News. An article that appeared on the front page of the Detroit Free Press stated
that “U.S. District Judge Sean Cox ordered Detroit officials Friday to disregard union
contracts, local ordinances and even the city charter in their efforts to clean up pollution at the
city’s sewage plant on the Detroit River. He also set a 60-day deadline to do it or ‘this court
will directly order a more intrusive remedy,’ Cox wrote in an order in a pollution lawsuit that
has been running for 34 years.” (See Ex. A to Opinion & Order) (emphasis added). Union
leaders were quoted in such articles.
Nevertheless, not one of the 20 unions that represent employees of the DWSD sought to
intervene after this Court issued its September 9, 2011 Opinion & Order. Rather, union
representatives met with members of the Root Cause Committee to voice their views and
adopted a “wait-and-see” approach, like the proposed intervenors in Michigan Assoc. for
Retarded Citizens and Stotts.3 Indeed, the Affidavit submitted by Mr. Riehl (D.E. No. 2415-3, Pg
3
This case can readily be distinguished from the situation in Grubbs, where the proposed
intervenors “had no way of knowing” in advance that the district court might select a remedy that
would impact their interests. Grubbs, 870 F.2d at 346. Unlike the situation in Grubbs, this
Court issued an Opinion & Order that: 1) made factual findings as to the root causes of noncompliance, several of which relate to collective bargaining agreements and union work rules; 2)
29
ID 14856) confirms that union representatives contacted members of the Root Cause Committee
to voice their views on the issues and, in fact, the unions ultimately received some of the relief
they sought (e.g., the Court ordered the DWSD, “with the input and advice of union leadership,”
to develop employee training, employee assessment, and apprenticeship training programs).4
In other words, although Local 207 and SAAA knew or should have known of this
Court’s September 9, 2011 Opinion & Order, and its potential ramifications, they chose not to
seek to intervene during the 60-day period that the Root Cause Committee was developing their
proposed Plan of Action. Local 207 and SAAA did not move to intervene until November 28,
2011 – after the Root Cause Committee had submitted their proposed Plan of Action, after the
Court had issued its November 4, 2011 Order, and after this Court had denied AFSCME Council
25's Motion to Intervene. This delay following the September 9, 2011 Opinion & Order was
more than twice as long as AFSCME’s delay in Michigan Assoc. for Retarded Citizens, which
was held to be untimely.
noted that experts in this action have recommended changes to collective bargaining agreements,
work rules and job descriptions in order to remedy the violations; and 3) made it clear that, if the
Root Cause Committee did not propose a plan that adequately addressed the root causes of noncompliance, the Court “will order a more intrusive remedy on its own.”
4
Contrary to the suggestion in the pending motion, however, the Court did not order the
provisions in its November 4, 2011 Order regarding collective bargaining agreements and work
rules based upon an agreement of the parties. The Court made findings of fact and law relating
to collective bargaining agreements being an impediment to compliance with the Clean Water
Act and the DWSD’s NPDES permit in its September 9, 2011 Opinion & Order. As stated
supra, the Root Cause Committee could not agree upon a recommendation to the Court as to how
to remedy those issues. Thus, the Court determined the appropriate remedy. So while the
unions lobbied the members of the Root Cause Committee for training programs, the Court
ultimately ordered that relief based on its factual and legal determinations in its September 9,
2011 Opinion & Order.
30
2.
Purpose For Which Intervention Is Sought
Pursuant to FED . R. CIV . P. 24, a motion to intervene must “be accompanied by a
pleading5 that sets out the claim or defense for which intervention is sought.” FED . R. CIV . P.
24(c).
Local 207 and SAAA submitted, as the pleading that sets out the “claim or defense for
which intervention is sought,” an answer to the complaint that initiated this action – the 1977
complaint (D.E. No. 1). Given that the City and the DWSD acknowledged the Clean Water Act
violations decades ago, the Court concludes that this factor does not weigh in favor of
intervention.
3.
Prejudice To Original Parties And Unusual Circumstances
As in Stotts, this Court concludes that consideration of prejudice to the original parties,
and to the public, also weighs against intervention.
The EPA initiated this action to address violations of the Clean Water Act, the objective
of which is to restore and maintain the chemical, physical, and biological integrity of the
Nation’s waters. It is undisputed that, over the course of the past four decades, the DWSD has
had serious and recurring NPDES permit violations, which constitute violations of the Clean
Water Act. This Court has found that the DWSD’s violations of its NPDES permit and the Clean
Water Act “present a serious health, safety and environmental risk to the people of Southeastern
5
Under the Federal Rules of Civil Procedure, the only pleadings that may be filed in a
civil action are: 1) a complaint; 2) an answer to a complaint; 3) an answer to a counterclaim
designated as a counterclaim; 4) an answer to a crossclaim; 5) a third-party complaint; 6) an
answer to a third-party complaint; and 7) if the court orders one, a reply to an answer. FED . R.
CIV . P. 7(a).
31
Michigan.” (9/9/11 Opinion & Order at 37).
Since July, 2011, the DWSD has been in violation of its NPDES permit and the July 8,
2011 ACO. Pursuant to the July 8, 2011 ACO, the DWSD is assessed, on a daily basis,
significant monetary fines for violations. Such fines will ultimately be passed along to the
DWSD’s customers.
This Court has already concluded that certain collective bargaining provisions and work
rules are impeding the DWSD from achieving compliance with its NPDES permit and the Clean
Water Act and issued an order enjoining those provisions. If the Court’s Order is not
implemented immediately, the DWSD’s ability to function and reach compliance with its
NPDES permit, the ACO, and the Clean Water Act will be jeopardized.6 That would prejudice
the City of Detroit, the DWSD and its customers, the general public, and the DEQ – the entity
currently charged with enforcing the DWSD’s NPDES permit, which has spent considerable
resources monitoring the DWSD over many years.
4.
Point To Which This Suit Has Progressed
The final factor to consider is the point to which the suit has progressed. “[T]imeliness is
not merely determined by the time between the filing of the complaint and the motion to
intervene, but rather by what steps occurred along the litigation continuum during that period of
6
For example, this Court’s November 4, 2011 Order enjoins any provisions in collective
bargaining agreements that allow an employee from outside the DWSD to transfer (“bump”) into
the DWSD based on seniority. On November16, 2011, Mayor Bing delivered a state of the city
address, advising that the City of Detroit is currently in a serious financial crisis. City leaders
have announced that the City may need to layoff up to 2,000 additional city employees. If that
were to occur, absent this Court’s Order, employees laid off in other city departments – who have
no knowledge, experience or training in wastewater operations – would be able to bump DWSD
employees with such skills and institutional knowledge.
32
time.” Johnson v. City of Memphis, 73 Fed.Appx. 123, 132 (6th Cir. 2003); Stupak-Thrall v.
Glickman, 226 F.3d 467, 475 (6th Cir. 2000). Extensive progress in a district court action
weighs against intervention. Id.; Blount-Hill, 636 F.3d at 285.
Here, both the time between the filing of the complaint and the motion to intervene, and
the extent to which the action has progressed, weigh heavily against intervention. Local 207 and
SAAA filed the instant motion more than 34 years after the complaint was filed.
More importantly, there has been extensive progress in this case during the past four
decades. The EPA initiated this action in 1977 against the City of Detroit and the DWSD,
alleging violations of the Clean Water Act. By virtue of various court orders, other parties were
joined in this action, including governmental entities who receive wholesale services from
DWSD. At numerous times during the pendency of this action, various mayors of the City of
Detroit were appointed as Special Administrators and given broad powers to take numerous
actions – including actions that impact collective bargaining agreements, work rules, and job
descriptions at the DWSD. During the past four decades, Judge Feikens and the City of Detroit
also had experts investigate the underlying root causes of the DWSD’s noncompliance and make
recommendations to the Court as to the changes needed in order for the DWSD to achieve
compliance – including recommendations impacting collective bargaining agreements, work
rules, and job descriptions. The parties have also entered into numerous settlement agreements,
stipulated orders, and consent judgments. (See Docket Entry No. 2371 at 4-5) (listing numerous
settlement agreements and consent judgments in this action.). All of these events, coupled with
the extensive passage of time, weigh heavily against intervention.
33
CONCLUSION & ORDER
For the reasons set forth above, IT IS ORDERED that Local 207 and SAAA’s Motion to
Intervene (Docket Entry No. 2415) IS DENIED.7
IT IS SO ORDERED.
S/Sean F. Cox
Sean F. Cox
United States District Judge
Dated: December 13, 2011
I hereby certify that a copy of the foregoing document was served upon counsel of record on
December 13, 2011, by electronic and/or ordinary mail.
S/Jennifer Hernandez
Case Manager
7
Because a denial of an application to intervene renders “any substantive motion
accompanying the application to intervene moot,” In re PaineWebber Inc., Ltd. Partnerships
Litig., 94 F.3d 49, 52 (2d Cir. 1996), D.E. Nos. 2416 and 2417 are denied as moot.
34
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