STOWELL v. BLACK HORSE PIKE REGIONAL SCHOOL DISTRICT
Filing
22
OPINION. Signed by Judge Robert B. Kugler on 11/15/2019. (tf, )
NOT FOR PUBLICATION
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF NEW JERSEY
CAMDEN VICINAGE
:
RICK STOWELL,
:
:
Plaintiff,
:
:
v.
:
:
BLACK HORSE PIKE REGIONAL SCHOOL :
DISTRICT,
:
:
Defendant.
:
:
Civil No. 17-06633 (RBK/AMD)
OPINION
KUGLER, United States District Judge:
This case arises from Defendant Black Horse Pike Regional School District’s (hereinafter
“the District”) decision to non-renew Plaintiff Rick Stowell’s employment contract. Plaintiff’s suit
alleges that the non-renewal was related to his disability, while the District argues that it was based
on Plaintiff’s ineffectiveness as a teacher. The District now moves for summary judgment (Doc.
19) on all of Plaintiff’s claims, and moves to strike Plaintiff’s demand for punitive damages. For
the reasons expressed herein, the Court hereby GRANTS IN PART the District’s motion for
summary judgment, solely as to Counts IV and V (failure to accommodate and retaliation under
the New Jersey Law Against Discrimination). The remainder of the District’s motion is DENIED.
I.
BACKGROUND
From 2013 to 2017, Plaintiff worked as an English Teacher at Timber Creek High School,
a school within the District. (Doc. 19-4, Defendant’s Statement of Material Facts (“Def. SOMF”)
¶2.) At the time he was hired, Plaintiff had 23 years of teaching experience. (Doc. 20-5, Plaintiff’s
Statement of Material Facts (“Pl. SOMF”) ¶2.) In his position at Timber Creek, he was non-tenured
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and had a one-year employment contract eligible to be renewed at the end of each school year. (Pl.
SOMF ¶4.) His contract was renewed each year from the 2013-14 school year through the 201617 school year, at the end of which Defendant chose not to renew. (Def. SOMF ¶3; Pl. SOMF ¶4.)
Plaintiff’s Illness and Absences
During his final school year at Timber Creek, 2016-17, Plaintiff struggled with illness. (Pl.
SOMF ¶¶44–60.) In July 2016, Plaintiff had been diagnosed with and hospitalized for acute
pancreatitis. (Def. SOMF ¶10.) Plaintiff had stated he was feeling better in September 2016, but
his sickness rematerialized in October 2016. (Id. ¶12.) In October/November 2016, Plaintiff’s
condition prompted him to begin seeing a gastroenterologist for the constipation, cramping, pain,
and general discomfort he was feeling. (Pl. SOMF ¶¶49–50.) As a result, in November 2016,
“Plaintiff required five days of leave due to his medical condition.” (Id. ¶50.) Plaintiff’s condition
apparently did not improve throughout the school year, and in April 2017, he required surgery. (Id.
¶¶56–57.) Overall, Plaintiff’s illness during the 2016-17 school year resulted in 17 medical
condition-related absences, more than he had taken in prior school years. (Pl. SOMF ¶60.) For
reference, Plaintiff took 5.5 sick days in 2013-14, 7.5 sick days in 2014-15, and 12 sick days in
2015-16. (Def. SOMF ¶¶6–8.)
Plaintiff and Defendant present varied accounts as to whether school personnel knew of
Plaintiff’s illness, as well as different versions of how school personnel responded to Plaintiff’s
absences. Plaintiff claims that, at the beginning of the 2016-17 school year, he told Kasha Giddins,
the Principal of Timber Creek (“Principal Giddins”), Marcie Geyer, the District’s Supervisor of
English/Language Arts (“Supervisor Geyer”), and Suzanne Nordone, his lead teacher, of his
hospitalization for pancreatitis and condition. (Pl. SOMF ¶46.) He claims that he “further advised
that he was continuing to seek care for his Medical Condition, and that he may need leave during
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the school year for medical visits related to same.” (Id.) Every time Plaintiff needed to be absent,
he claims he would “input his need for such leave in Defendant’s computer system,” adding in the
“notes” section that “his illness leave was due to his Medical Condition.” (Pl. SOMF ¶51.) Plaintiff
claims that these notes would have been “shared with Supervisor Geyer at all times.” (Id. ¶52.)
When he needed surgery in April 2017, Plaintiff states that he informed Principal Giddins. (Id.
¶57.)
Plaintiff claims that his requests for absences “were met with an exasperated tone,” leading
him to believe that the administrators thought he was a “hindrance to the school and to the District.”
(Id. ¶61.) He states that the “expressions of irritation at his requests for leave” caused him to feel
guilty about taking time off. (Id. ¶62.)
In the District’s version of events, Supervisor Geyer “was not aware of the type of illness
Plaintiff had and believed it was leg pain, but also possibly stomach pain.” (Def. SOMF ¶19.)
Principal Giddins, while admitting knowledge of Plaintiff’s pancreatitis since the beginning of the
2016-17 school year, states that Plaintiff “never mentioned that he would sometimes have to call
out of work due to his condition.” (Id. ¶21.) The District’s Director of Personnel, Julie Scully,
stated that she did not receive a doctor’s note or request for leave, and that Plaintiff did not inform
her of any medical condition. (Id. ¶24.)
Plaintiff’s Evaluations and The Tenure Decision
To evaluate its teachers, Timber Creek had supervisors and administrators conduct
observations several times a year. (Def. SOMF ¶5.) Based on these observations, teachers would
receive an effectiveness rating on a 4-point scale, with 1 being “ineffective” and 4 being “highly
effective.” (Doc. 19-19, Plaintiff’s Summative Performance Report 2016-2017.) For the 2013-14
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school year, Plaintiff received a 2.85 out of 4; in 2014-15 he received a 2.73; in 2015-16 he
received a 3; and in 2016-17 he received a 2.44. (Def. SOMF ¶¶6–9.)
Supervisor Geyer and Principal Giddins made the ultimate decision not to renew Plaintiff’s
employment contract; the District states their decision was based on Plaintiff’s 2016-17 year-end
summative evaluation. (Def. SOMF ¶¶17–23.) On April 13, 2017, they met with Plaintiff and
informed him that they were choosing not to renew his contract for the following school year. (Id.
¶32.)
In explaining Plaintiff’s poor effectiveness rating and her decision to not recommend
Plaintiff for tenure, Supervisor Geyer stated that Plaintiff’s “level of student-centered instruction
had not improved enough,” and she observed “the need for more structured student centered
activity for modeling and more consistent implementation of formative assessment.” (Id. ¶17.) She
added that she thought Plaintiff did “not involve all students” in his lessons, and that a “more
student-centered environment was needed.” (Id. ¶18.)
Principal Giddins stated that she had discussed similar concerns about Plaintiff’s teaching
performance with Supervisor Geyer, and that she felt it was a “difficult decision” whether to grant
Plaintiff tenure (Id. ¶20.) She stated she felt Plaintiff had a “laissez-faire attitude towards the
teaching,” and that he followed the “old school standard of educational teaching” rather than being
more “student-centered.” (Id.) Both Supervisor Geyer and Principal Giddins claimed that “the
decision not to grant tenure had nothing to do with Plaintiff’s attendance and Plaintiff’s absences
were not even taken into account when [they] spoke about whether or not to recommend nonrenewal.” (Id. ¶23.)
After being notified of his non-renewal, Plaintiff received a notice on May 2, 2017
informing him that he could “request an informal appearance before the Board of Education” and
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“request a statement of reasons for non-renewal.” (Id. ¶33.) Plaintiff did not make such requests
or appeal the non-renewal decision before filing his Complaint in this case. (Id. ¶¶34–35.) Plaintiff
argues that the effectiveness rating he received was not an accurate characterization of his teaching;
he alleges that the true reason his contract was not renewed and he did not receive tenure was
because the District did not want to accommodate any further leave that his medical condition
might require. (Doc. 20, Plaintiff’s Brief in Opposition to Summary Judgment (“Pl. Opp.”) at 6–
7.)
Plaintiff’s Complaint includes five counts: Count I, interference with leave under the
Family and Medical Leave Act (“FMLA”); Count II, retaliation under the FMLA; Count III,
disability discrimination under the New Jersey Law Against Discrimination (“NJLAD”); Count
IV, failure to accommodate under the NJLAD; and Count V, retaliation under the NJLAD. The
District is now moving for summary judgment on all counts.
II.
LEGAL STANDARD
The court should grant a motion for summary judgment when the moving party “shows
that there is no genuine dispute as to any material fact and that the movant is entitled to judgment
as a matter of law.” Fed. R. Civ. P. 56(a). An issue is “material” to the dispute if it could alter the
outcome, and a dispute of a material fact is “genuine” if “a reasonable jury could return a verdict
for the non-moving party.” Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 249 (1986); Matsushida
Elec. Indus. Co., Ltd. v. Zenith Radio Corp., 475 U.S. 574, 587 (1986) (“Where the record taken
as a whole could not lead a rational trier of fact to find for the non-moving party, there is no
‘genuine issue for trial.’”) (quoting First National Bank of Arizona v. Cities Service Co., 391 U.S.
253, 289 (1968)). In deciding whether there is any genuine issue for trial, the court is not to weigh
evidence or decide issues of fact. Anderson, 477 U.S. at 248. Because fact and credibility
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determinations are for the jury, the non-moving party’s evidence is to be believed and ambiguities
construed in his favor. Id. at 255; Matsushida, 475 U.S. at 587.
Although the movant bears the burden of demonstrating that there is no genuine issue of
material fact, the non-movant likewise must present more than mere allegations or denials to
successfully oppose summary judgment. Anderson, 477 U.S. at 256. The nonmoving party must
at least present probative evidence from which jury might return a verdict in his favor. Id. at 257.
The movant is entitled to summary judgment where the non-moving party 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).
III.
DISCUSSION
A. Plaintiff’s FMLA Claims
The FMLA provides eligible employees the right to twelve weeks of leave during a twelve-
month period for, among other reasons, “a serious health condition that makes the employee unable
to perform the functions of” his or her position. 29 U.S.C. § 2612(a)(1); see also Conoshenti v.
Public Serv. Elec. & Gas. Co., 364 F.3d 135, 141 (3d Cir. 2004). Employees who take leave
pursuant to the FMLA are entitled to certain protections. For example, an employer may not
“interfere with, restrain, or deny [an employee’s] exercise of or attempt to exercise” his or her
rights under the FMLA (otherwise known as an “interference claim”). 29 U.S.C. § 2615(a)(1); see
also Lichtenstein v. Univ. of Pittsburgh Med. Ctr., 691 F.3d 294, 301 (3d Cir. 2012). Further, an
employer may not “discharge or in any other manner discriminate against any individual for
opposing any practice made unlawful” (otherwise known as a “retaliation claim”). Id. at
§ 2615(a)(2); see also Lichtenstein, 691 F.3d at 301.
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Here, Plaintiff is claiming both interference and retaliation. The District argues that both
claims fail as a matter of law because Plaintiff has failed to present a prima facie case for either
count. (Doc. 19-5, Defendant’s Brief in Support of Motion for Summary Judgment (“Def. Mot.”)
at 15.)
i.
Interference
To prevail on an FMLA interference claim, the plaintiff must show that “(1) he or she was
an eligible employee under the FMLA; (2) the defendant was an employer subject to the FMLA’s
requirements; (3) the plaintiff was entitled to FMLA leave; (4) the plaintiff gave notice to the
defendant of his or her intention to take FMLA leave; and (5) the plaintiff was denied benefits to
which he or she was entitled under the FMLA.” Capps v. Mondelez Global, LLC, 847 F.3d 144,
155 (3d Cir. 2017). In order to “succeed on an interference claim, the Third Circuit requires that a
plaintiff demonstrate that the failure to advise him of his FMLA rights ‘rendered him unable to
exercise that right in a meaningful way, thereby causing injury.’” Moore v. U.S. Foodservice, Inc.,
Civ. No. 11-2460, 2013 WL 5476405, at *6 (D.N.J. Sept. 30, 2013) (quoting Conoshenti v. Public
Svc. Elec. & Gas Co., 364 F.3d 135, 143 (3d Cir.2004)). A defendant’s “[l]iability for interference
is not based upon intent, but upon the act of interference alone.” Caplan v. L Brands/Victoria’s
Secret Stores, LLC, 210 F.Supp.3d 744, 756 (W.D. Pa. 2016), aff’d sub nom. Caplan v. L
Brands/Victoria’s Secret Stores, 704 F.App’x 152 (3d Cir. 2017).
Whether Plaintiff Gave Notice
The parties do not dispute whether Plaintiff was an eligible employee entitled to FMLA
leave; however, they disagree on whether Plaintiff gave adequate notice to the District of his
intention to take FMLA leave. Employees seeking to invoke rights under the FMLA must provide
adequate notice to their employer about their need to take leave. 29 U.S.C. § 2612(e)(2). Whether
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the employee provided adequate notice is “construed liberally and is generally a question of fact,
not law.” Callan v. City of Dover, 65 F. Supp. 3d 387, 393 (D. Del. 2014) (citing Lichtenstein, 691
F.3d at 303).
In providing notice, the employee “need not expressly assert rights under the FMLA or
even mention the FMLA.” 29 C.F.R. § 825.303(b). The Third Circuit has noted on several
occasions that the notice requirement is a liberal and flexible one, not a formalistic or stringent
standard. See Sarnowski v. Air Brooke Limousine, Inc., 510 F.3d 398, 402 (3d Cir. 2007) (stating
that the statutory and regulatory text suggests a “liberal construction” be given to FMLA’s notice
requirement); see also Rask v. Fresenius Med. Care N. Am., 509 F.3d 466, 474 (8th Cir. 2007)
(“The regulations already make it very easy for [an employee] to give notice of her intent to take
leave.”); Burnett v. LFW Inc., 472 F.3d 471, 478 (7th Cir. 2006) (“The notice requirements of the
FMLA are not onerous.”). The Third Circuit has explained that “the regulations. . . clearly envision
situations where an employee can satisfy her notice obligation without providing enough detailed
information for the employer to know if FMLA actually applies.” Lichtenstein, 691 F.3d at 303.
As such, the central test “is not whether the employee gave every necessary detail to determine if
the FMLA applies, but ‘how the information conveyed to the employer is reasonably interpreted.’”
Id. (quoting Sarnowski, 510 F.3d at 402).
Bearing in mind the liberal standard for notice, and considering that notice is an issue of
fact, a reasonable jury could find that Plaintiff gave the District sufficient notice of his request for
FMLA leave. Plaintiff first “advised his supervisors at the beginning of September of his Medical
Condition, that he was previously hospitalized as a result of same, and that he would need time off
in the future” for follow-up care. (Pl. Opp. at 11.) On one of Plaintiff’s sick day notices, he wrote
“CT Scan.” (Def. Mot. at 18.) At some point during the school year, he told Supervisor Geyer that
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“he may need time off to go to doctors as he was seeing a gastroenterologist.” (Id. at 19.) Further,
Principal Giddins was aware of Plaintiff’s April 2017 outpatient surgery in relation to his
condition. (Pl. SOMF ¶57.) Considering all of this record evidence in the light most favorable to
Plaintiff, it is sufficient to raise a question of fact as to whether the District had notice of Plaintiff’s
desire to take leave.
Whether Plaintiff was Denied Benefits
“To satisfy the fifth element of [a] prima facie FMLA interference claim, [a plaintiff] must
demonstrate that [the employer’s] failure to explicitly notify [him] of [his] FMLA rights deprived
[him] of the ability to take leave to which [he] was entitled under the FMLA.” Caplan, 210
F.Supp.3d at 757. The District argues that this element is not met because Plaintiff was never
denied the ability to take leave, and because it sufficiently notified its employees of their ability to
take FMLA leave by posting information around the school and in the employee handbook. (Def.
Mot. at 16.)
“The FMLA requires employers to provide employees with both general and individual
notice about the FMLA.” Lupyan v. Corinthian Colleges Inc., 761 F.3d 314, 318 (3d Cir. 2014)
The purpose of this requirement is to “ensure that employers allow their employees to make
informed decisions about leave.” Id. For the general notice requirements, an employer “must post
a notice of FMLA rights on its premises,” and “must also include information regarding the
employer’s FMLA policies in a handbook or similar publication.” Id. To meet the individualized
notice requirements, once the employer is “on notice” that its employee is taking FMLA-qualifying
leave, the Third Circuit requires the employer to:
(1) within five business days notify the employee of his or her eligibility to take
FMLA leave, 29 C.F.R. § 825.300(b)(1); (2) notify the employee in writing whether
the leave will be designated as FMLA leave, 29 C.F.R. § 825.300(d)(1); (3) provide
written notice detailing the employee’s obligations under the FMLA and explaining
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any consequences for failing to meet those obligations, § 825.300(c)(1); and (4)
notify the employee of the specific amount of leave that will be counted against the
employee's FMLA leave entitlement, § 825.300(d)(6)
Lupyan, 761 F.3d at 318. An employer’s failure to provide the required general or individual notice
“can constitute an interference claim.” Id.
While “the lack of adequate notice about FMLA rights may support a FMLA interference
claim, the failure to adequately disclose an employee’s FMLA rights is not enough.” Caplan, 210
F.Supp.3d at 757. A plaintiff must also show he was prejudiced by this failure, which “occurs
when the employer’s failure to advise the plaintiff of [his] FMLA rights rendered [him] unable to
exercise the right to leave in a meaningful way, thereby causing injury.” Lupyan, 761 F.3d at 318–
319.
The District argues that Plaintiff was not prejudiced, as it did inform Plaintiff of his right
to take FMLA leave by posting notices “in various areas around the school informing teachers of
their right to take FMLA leave,” as well as in the “Timber Creek Regional High School Faculty
and Staff Handbook,” in the “BHPRSD Policies” and “in the Agreement between the Black Horse
Pike Regional School District Board of Education and the Black Horse Pike Educational
Association.” (Def. Mot. at 16.) Plaintiff argues in response that these notices are insufficient to
serve as individualized notice of his right to take a “leave of absence beyond his allotted sick time.”
(Pl. Opp. at 12.)
The posted notices in the school and in the handbook do serve to satisfy the general notice
requirement. However, Plaintiff correctly argues that he did not receive the required individualized
notice. Further, a reasonable jury could find that Plaintiff was prejudiced by the District’s failure
to provide individualized notice. Plaintiff argues that he was prejudiced because he did not know
he could use FMLA leave, and was thus “constrained in that he could only utilize leave in
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accordance with sick days,” and was “forced to come to work while suffering from pain.” (Pl. Opp.
at 14.) Plaintiff states that he could and would have taken more time off for his illness if he had
notice of his FLMA rights, rather than suffer at work. (Id.) A reasonable jury could find that
Plaintiff would have taken more time off than his District-allotted sick days if he had proper notice
of his ability to take FMLA leave; as such, Plaintiff has met the fifth and final element of a prima
facie FMLA interference claim. See Lupyan, 761 F.3d at 323 (finding prejudice in situations where
an employee was unable to properly structure her leave because the employer failed “to provide
an employee with the opportunity to make informed decisions about her leave options”).
Accordingly, the District’s motion for summary judgment on this count is denied.1
ii.
Retaliation
Plaintiff’s Complaint alleges that the District “retaliated against Plaintiff for exercising his
FLMA rights by firing him for taking FMLA-protected absences.” (Compl. ¶47.)
To establish a prima facie retaliation case under the FMLA, the plaintiff must prove that:
(1) he invoked his right to FMLA-qualifying leave, (2) he suffered an adverse employment
decision, and (3) the adverse action was causally related to his invocation of rights. See Erdman,
582 F.3d 500, 508–09 (3d. Cir. 2009) (modifying Conoshenti v. Pub. Serv. Elec. & Gas Co., 364
F.3d 135, 146).
The District’s only argument for summary judgment on Plaintiff’s FMLA retaliation claim
is that Plaintiff did not invoke his right to FMLA-qualifying leave because he never provided
notice. Like with an interference claim, in a retaliation claim “[a]n employee must provide
adequate notice to his employer in order to invoke FMLA rights.” Foye v. SEPTA, Civ. No. 15-
To the extent that Plaintiff’s opposition brief claims that the District interfered with his FMLA rights by
firing him or discouraging him from taking FMLA leave, the Court declines to discuss the merits of these contentions,
as the District’s motion for summary judgment on the interference count is denied regardless.
1
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1036, 2017 WL 1150259, at *17 (E.D. Pa. Mar. 28, 2017). The Court found above that a reasonable
jury could determine that Plaintiff provided the District with sufficient notice to invoke his right
to FMLA-qualifying leave. This finding remains the same here. As the District’s sole argument
for summary judgment on Plaintiff’s FMLA retaliation claim is without merit, its motion on this
count is denied.
B. Plaintiff’s NJLAD Claims
Defendants argue that Plaintiff has failed to make a prima facie case for any of his NJLAD
claims—disability discrimination, failure to accommodate, and retaliation—and that they thus fail
as a matter of law.
i.
Disability Discrimination
The NJLAD prohibits an employer from discriminating in the “terms, conditions, or
privileges of employment” on the basis of a person’s disability, N.J. Stat. Ann. § 10:5–12(a),
“unless the handicap precludes the performance of employment,” Failla v. City of Passaic, 146
F.3d 149, 153 (3d Cir.1998) (citing N.J. Stat. Ann. § 10:5–4.1). To state a prima facie cause of
action for disability discrimination under the NJLAD, the employee must prove (1) he is disabled
or perceived to be disabled within the meaning of the NJLAD; (2) he was otherwise qualified to
perform the essential functions of the job, with or without reasonable accommodation by the
employer; (3) he was fired; and (4) the employer sought someone else to perform the same work
after he left. Muller v. Exxon Research & Eng’g Co., 345 N.J.Super. 595, 786 A.2d 143, 148 (N.J.
Super. Ct. App. Div. 2001)) (citing Clowes v. Terminix Int’l, Inc., 109 N.J. 575, 538 A.2d 794,
805 (N.J.1988)).
Plaintiff’s Complaint alleges that the District violated the NJLAD when it “fired Plaintiff
because he had a disability and/or because Defendant perceived him as having a disability.”
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(Compl. ¶53.) The District offers several arguments in moving for summary judgment. First, it
argues that Plaintiff cannot show that he was a disabled person within the meaning of the NJLAD,
and as such, it could not have discriminated against him on the basis of his disability. (Def. Mot.
at 23.) Second, it argues that his job performance did not meet the District’s expectations. (Id.)
And third, it claims that it “did not hire anyone to perform the job duties of Plaintiff after he was
non-renewed.” (Id. at 25.)
Whether Plaintiff had a Disability for Purposes of the NJLAD
The NJLAD’s conception of disability “is very broad and does not require that a disability
restrict any major life activities to any degree.” Enriquez v. West Jersey Health Sys., 342 N.J.
Super. 501 (N.J. Super. Ct. App. Div. 2001); see N.J. Stat. Ann. § 10:5–5(q) (defining “disability”);
Viscik v. Fowler Equip. Co., 800 A.2d 826, 835 (N.J. 2002) (“[NJ]LAD is not restricted to ‘severe’
or ‘immutable’ disabilities and has been interpreted as significantly broader than the analogous
provisions of the Americans with Disabilities Act.”). To meet the definition of a physical handicap
under the NJLAD, a plaintiff “must prove that [he] is (1) suffering from physical disability,
infirmity, malformation or disfigurement (2) which is caused by bodily injury, birth defect or
illness including epilepsy.” Dicino v. Aetna U.S. Healthcare, Civ. No. 01-3206, 2003 WL
21501818, at *12 (D.N.J. June 23, 2003) (citing Viscik, 173 N.J. at 15, 800 A.2d 826).
The District claims that “no one at the school knew plaintiff was disabled or met the criteria
for having a disability,” and that the District did not recognize Plaintiff as a disabled person. (Def.
Mot. at 22.) Plaintiff argues in response that the District had notice of his disability because he
notified several people of his pancreatitis and surgery. (Pl. Opp. At 21–22.)
The record contains sufficient evidence for a reasonable jury to conclude that Plaintiff was
suffering from a disability of which the District was aware. Plaintiff’s pancreatitis and ensuing
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complications constitute a disability. See Dicino, WL 21501818 at *12 (finding that a plaintiff’s
“pancreatitis and accompanying back and abdominal pains” could constitute a physical disability
under the NJLAD). Further, it is undisputed that Plaintiff spoke to Principal Giddins of his
pancreatitis at the beginning of the school year, and that the District knew Plaintiff was having
surgery during the school year. Accordingly, summary judgment is not warranted based on this
argument. See Fitzgerald v. Shore Mem’l Hosp., 92 F. Supp. 3d 214, 237 (D.N.J. 2015) (denying
summary judgment when “a reasonable jury could find, particularly in light of New Jersey’s broad
interpretation of the NJLAD, that Plaintiff's condition qualifies as a disability, and that Defendant
knew of her disability”).
Plaintiff’s Qualification to Perform the Essential Functions of His Job
The District next argues that Plaintiff fails to make a prima facie case because he cannot
“demonstrate he was performing his job at a level that met his employer’s legitimate expectations.”
(Def. Mot. at 24.) The District points to the record testimony of Principal Giddins and Supervisor
Geyer, who discuss alleged flaws in Plaintiff’s teaching methods. (Id.) Plaintiff contends that the
District’s only evidence of inadequate performance comes from two individuals who he alleges
“displayed discriminatory animus towards [him] for the leaves of absence he took for his Medical
Condition.” (Pl. Opp. at 22.)
To determine whether this element of a prima facie case is met, “the law applies an
objective test when evaluating the ‘employers’ legitimate expectations’ rather than a subjective
test.” Guarneri v. Buckeye Pipe Line Servs. Co., 205 F. Supp. 3d 606, 615 (D.N.J. 2016). “Thus,
the Court limits its inquiry to objective job qualifications in evaluating the plaintiff’s prima facie
case, and leaves the determination of whether an employee possesses a subjective quality, such as
leadership or management skills, to a later stage.” Id.
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The District’s argument on this element fails. Whether Plaintiff met the District’s
“legitimate expectations” was decided by his year-end summative evaluation, the score for which
was determined by Principal Giddins’ and Supervisor Geyer’s observations. While the summative
evaluation provides a rubric showing how the total score was arrived at, it is nonetheless a
“subjective test,” as it is based on personal viewpoint rather than measurable, objective criteria. In
fact, the only truly “objective” criteria in the evaluation is the “student growth objective” that
shows the percentage of students meeting the goals set – here, Plaintiff received a 4/4 score. (Doc.
19-19.) The remainder of the evaluation is based on subjective qualities, evaluations of which the
Third Circuit have noted are “more susceptible of abuse and more likely to mask pretext.” See
Weldon v. Kraft, Inc., 896 F.2d 793, 798–799 (3d Cir. 1990) (stating, “to deny the plaintiff an
opportunity to move beyond the initial stage of establishing a prima facie case because he has
failed to introduce evidence showing he possesses certain subjective qualities would improperly
prevent the court from examining the criteria to determine whether their use was mere pretext”).
Whether the District sought someone to perform Plaintiff’s job duties
Finally, the District argues that Plaintiff fails to meet the last element of a prima facie case,
because he cannot show that it hired “anyone to perform the job duties of Plaintiff after he was
non-renewed.” (Def. Mot. at 25.) Plaintiff argues in response that, while no new individual was
hired to replace him, other members of the English Department were nonetheless used to
“complete Plaintiff’s teaching tasks.” (Pl. Opp. at 23.)
Here, as the District states, “it is uncontroverted that no one was hired to take Plaintiff’s
position and the English Department for the District operated with one less teacher the next school
year.” (Def. Reply at 8.) However, Plaintiff’s prima facie case is not defeated simply because the
District did not hire a new worker. In Ferren v. Foulke Mgmt. Corp., Civ. No. 15-3721, 2017 WL
15
634511 (D.N.J. Feb. 16, 2017), the court found that although a plaintiff claiming NJLAD disability
discrimination was not replaced with a new employee after being terminated, he had “carried his
burden at summary judgment” by showing that a previously existing employee had taken on the
plaintiff’s work after his termination. See also Taha v. TBC Corp., Civ. No. 14-3377, 2016 WL
1644330, at *5 (D.N.J. Apr. 26, 2016) (finding that, “[a]s all discrimination claims are highly fact
intensive,” showing that a defendant hired a new individual as a replacement “is not the only
manner in which a plaintiff might demonstrate an inference of discrimination”); Glenn v.
Lawrence Twp. Police Dep’t, Civ. No. 10-3121, 2012 WL 933335, at *5 (D.N.J. Mar. 20, 2012)
(stating, “we consider it unwise to require a plaintiff to establish unfailingly as part of the prima
facie case that plaintiff was replaced by an individual outside the plaintiff's protected class” (citing
Williams v. Pemberton Twp. Pub. Sch., 323 N.J. Super. 490, 733 A.2d 571, 578 (N.J. Super. Ct.
App. Div. 1999)).
Accordingly, the Court declines to grant summary judgment on the basis that Plaintiff has
not made out a prima facie case of NJLAD disability discrimination; the District’s motion on this
claim is denied.
ii.
Failure to Accommodate
The NJLAD requires employers to “reasonably accommodate an employee’s disability,
and the related limitations of an employee, unless the employer can demonstrate that the
accommodation would impose an undue hardship on the operation of its business.” Hennessey v.
Winslow Twp., 368 N.J. Super. 443, 452, 847 A.2d 1, 6 (App. Div. 2004), aff’d, 183 N.J. 593, 875
A.2d 240 (2005). To prevail on a claim for failure to accommodate under the NJLAD, a plaintiff
must establish: “(1) he was disabled and his employer knew it; (2) he requested an accommodation
or assistance; (3) his employer did not make a good faith effort to assist; and (4) he could have
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been reasonably accommodated.” McQuillan v. Petco Animal Supplies Stores, Inc., Civ. No. 13–
5773, 2014 WL 1669962, at *6 (D.N.J. Apr.28, 2014).
Plaintiff’s Complaint states that he “requested a reasonable accommodation for his
Disability in that he sought periodic leave related to same,” but “Defendant failed to engage in the
interactive process to determine what accommodation it could offer to Plaintiff.” (Compl. ¶¶56–
57.) The District argues that Plaintiff never made it aware that he had a disability, “never made a
request for an accommodation, and never displayed any signs a reasonable accommodation was
even necessary.” (Def. Mot. at 26.) Plaintiff argues in response that his notice of request for FMLA
leave also constituted a request for accommodation under the NJLAD. (Pl. Opp. at 24.) He claims
that, upon notice, the District should have engaged in the interactive process, yet failed to do so.
(Id.)
As stated earlier, a reasonable jury could find that the District knew of Plaintiff’s disability;
thus, the first element is met. The second element—whether Plaintiff requested an
accommodation—is the only other factor the parties dispute here.
In seeking accommodation, “New Jersey law places the duty on the employee to initiate a
request for an accommodation. Although there is no specific formula and the request need not
formally invoke the magic words ‘reasonable accommodation,’ the plaintiff must nonetheless
make clear that the employee wants assistance for his or her disability.” Fitzgerald v. Shore Mem’l
Hosp., 92 F. Supp. 3d 214, 238 (D.N.J. 2015). While a request for a reasonable accommodation
need not “be in writing or even use the phrase ‘reasonable accommodation,’” the employee “must
make clear that. . . assistance [is desired] for his or her disability.” Id. (quoting Jones v. United
Parcel Service, 214 F.3d 402, 408 (3d Cir. 2000)). “Once such a request is made, both parties have
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a duty to assist in the search for appropriate reasonable accommodation and to act in good faith.”
McQuillan, 2014 WL 1669962 at 6.
Plaintiff attempts to rely on Dinardo v. Medco Health Sols., Inc., Civ. No. 14-5716, 2016
WL 2994092 (D.N.J. May 24, 2016) in arguing that “a request for leave of absence under the
FMLA sufficiently constitutes a request for accommodation under the NJLAD.” (Pl. Opp. at 24.)
However, Dinardo differs from the present case: there, the plaintiff took leaves of absence “in
excess” of what his employer’s leave policies permitted and provided “doctor’s notes related to
his subsequent absences.” Id. at *5. The Dinardo court held that a reasonable jury could find that
the excessive leaves and presentation of doctor’s notes were a “clear request for an
accommodation,” and the employer’s failure to communicate with the plaintiff about whether he
was making a request before terminating him “was a bad faith response.” Id.
Further, Plaintiff’s argument that a request for leave under the FMLA automatically
constitutes a request for accommodation is misguided. In Fitzgerald v. Shore Memorial Hospital,
92 F.Supp.3d 312 (D.N.J. 2015), the court denied the defendant’s motion for summary judgment
as to the plaintiff’s FMLA interference claim, finding that an issue of fact existed as to whether
the plaintiff gave notice sufficient for FMLA purposes. However, the Court simultaneously
granted summary judgment for the defendant on the plaintiff’s NJLAD accommodation claim,
finding that the plaintiff did not actually request an accommodation. Id. at 239. Similarly here,
while Plaintiff may have given the minimal notice required for FMLA purposes, the record does
not support his contention that he requested an accommodation under the NJLAD.
In Linton v. L’Oreal USA, Civ. No. 06-5080, 2009 WL 838766 (D.N.J. Mar. 27, 2009), a
plaintiff provided his employer with doctor’s notes in seeking to “extend his medical leave
accommodation.” The Court found that simply providing the doctor’s notes was not enough; he
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needed to actually make some kind of request. See Linton, 2009 WL 838766 at *4 (“Under
Plaintiff's theory, every employer with knowledge that an employee was out with an injury such
as a sprained ankle, would be forced to engage in the interactive process even in the absence of a
clear request for assistance, or possibly even any request at all.”) As the Linton court stated,
“[s]omething more is required of an employee under the NJLAD than merely apprising her
employer that she is still injured to start the interactive process for seeking an accommodation; the
employee must at least arguably seek assistance to survive summary judgment.” Id. at 6.
Here, although the District was aware that Plaintiff had pancreatitis and that he underwent
surgery at a later point in the school year, there is no support for Plaintiff’s contention that he
actually requested accommodation. Plaintiff did not provide doctor’s notes or take leave in excess
of what he was provided by the District. Plaintiff’s absences were all covered by his provided sick
days. Accordingly, Defendant’s motion for summary judgment as to this count is granted.
iii.
Retaliation
To establish a prima facie case of retaliation under the NJLAD, a plaintiff must show that:
(1) he was in a protected class; (2) he was engaged in protected activity known to the employer;
(3) he was thereafter subjected to an adverse employment consequence; and (4) there is a causal
link between the protected activity and the adverse employment consequence. Victor v. State of
New Jersey, 4 A.3d 126, 141 (N.J.2010).
Plaintiff’s Complaint states that he “requested reasonable accommodations to treat his
Medical Condition,” which is “clearly a protected activity under the NJLAD,” and that the District
“fired Plaintiff, in part, because he requested the aforementioned accommodation.” Plaintiff is
correct in his assertion that a request for a reasonable accommodation is a protected activity under
the NJLAD. However, the Court has found Plaintiff has failed to show that he requested an
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accommodation. As such, this claim must also fail, because Plaintiff cannot show that he engaged
in protected activity, or that the District was aware he engaged in protected activity. See Fitzgerald,
92 F.Supp.3d at 239 (finding that the plaintiff’s NJLAD retaliation claim, which was based on the
defendant’s failure to accommodate, failed because the plaintiff could not actually show failure to
accommodate). Accordingly, summary judgment is granted for the District on this claim.
C. Punitive Damages
Finally, the District moves to strike Plaintiff’s request for punitive damages. (Def. Mot. at
27.) The NJLAD permits recovery of punitive damages in cases where two elements are met: “the
offending conduct must be especially egregious; and there must be actual participation in or willful
indifference to the wrongful conduct on the part of upper management.”Kancherla v. Lincoln Tech.
Inst., Inc., Civ. No. 14-7784, 2018 WL 922126, at *18 (D.N.J. Feb. 15, 2018) (internal quotations
omitted).
Whether punitive damages should be awarded is “a fact question which should be decided
by a jury.” Kancherla, 2018 WL 922126 (denying a motion to strike punitive damages on an
NJLAD claim, stating that the “fact-sensitive issue” of punitive damages “is not suitable for
resolution on summary judgment”); see also Rojas v. Acuity Brands Lighting, Inc., Civ. No. 122220, 2014 WL 2926510, at *16 (D.N.J. June 27, 2014) (denying the defendant’s request to strike
punitive damages on summary judgment after emphasizing “the fact-sensitive nature of the
determination whether punitive damages were warranted”).
Here, Plaintiff’s claim for disability discrimination under the NJLAD survives summary
judgment; as such, his demand for punitive damages under the NJLAD survives as well. The
District’s motion to strike punitive damages is denied.
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IV.
CONCLUSION
For the foregoing reasons, the District’s motion for summary judgment is DENIED as to
Plaintiff’s FMLA claims (Counts I and II) and his NJLAD disability discrimination claim (Count
III), as well as to Plaintiff’s demand for punitive damages on his NJLAD claim. The District’s
motion for summary judgment is GRANTED as to Plaintiff’s NJLAD claims for failure to
accommodate and retaliation (Counts IV and V). An accompanying Order shall issue.
Dated:
11/15/2019
/s Robert B. Kugler
ROBERT B. KUGLER
United States District Judge
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