Callari v. Blackman Plumbing Supply, Inc. et al
Filing
125
ORDER granting 116 Motion for Discovery. SEE ATTACHED ORDER for details. Ordered by Magistrate Judge A. Kathleen Tomlinson on 3/31/2016. (Roman, Joshua)
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF NEW YORK
---------------------------------------------------------X
MICHAEL CALLARI, individually and on
behalf of other persons similarly situated who
were employed by BLACKMAN PLUMBING
SUPPLY, INC., and/or any other entities
affiliated with or controlled by BLACKMAN
PLUMBING SUPPLY, INC.,
Plaintiffs,
- against -
MEMORANDUM
AND ORDER
CV 11-3655 (ADS) (AKT)
BLACKMAN PLUMBING SUPPLY, INC.,
ROBERT MANNHEIMER, as Co-Executor
of the Estate of Richard Blackman, and
ROBERT A. TEPEDINO, as the co-Executor
of the Estate of Richard Blackman, and JOHN
DOES #1-10,
Defendants.
---------------------------------------------------------X
I.
PRELIMINARY STATEMENT
Michael Callari (“Plaintiff”) brings this wage and hour action, individually and on behalf of
other persons similarly situated, against Defendants Blackman Plumbing Supply, Inc. (“BPS”),
Robert Manheimer, as co-executor of the Estate of Richard Blackman, and Robert A. Tepedino, as
co-executor of the Estate of Richard Blackman, and John Does #1-10 (collectively, the
“Defendants”), pursuant to the Fair Labor Standards Act (“FLSA”), 29 U.S.C. §§ 207 and 216, New
York Labor Law (“NYLL”) Article 19 § 663, NYLL Article 6 §§ 190 et seq. and 12 New York
Codes, Rules and Regulations (“NYCRR”) § 142-2.2. Specifically, Plaintiff alleges that he and
similarly situated employees were misclassified by the Defendants as exempt employees under the
FLSA and were thus unlawfully deprived of overtime compensation. See generally Complaint
[DE 1].
Presently before the Court is Defendants’ letter motion seeking to: (1) re-open discovery
for the limited purpose of permitting Defendants to conduct fact discovery with respect to each
opt-in plaintiff who joins this action; and (2) further amend the Amended Joint Pre-Trial Order to
add nine additional trial witnesses whom Defendants may seek to call when this case goes to
trial. See DE 116. Plaintiffs have not filed any opposition to Defendants’ letter motion. For the
reasons that follow, Defendants’ motion to (1) re-open discovery and (2) to amend the Joint PreTrial Order are hereby GRANTED.
II.
RELEVANT PROCEDURAL HISTORY
Plaintiff filed his Complaint on July 29, 2011. See Compl.1 On September 28, 2011,
Defendants interposed their Answer. See Answer [DE 4].
On September 28, 2012, George Ruggiero (“Ruggiero”) opted-in as a plaintiff and is the sole
opt-in plaintiff in this action to date. See DE 26. Thereafter, on June 21, 2013, following the death of
Richard Blackman, the parties entered into a stipulation substituting Robert Manheimer
(“Manheimer”) and Robert A. Tepedino (“Tepedino”), Co-Executors of the Estate of Blackman, as
defendants in this action, in place of Richard Blackman. See DE 57. The Court “so ordered” this
stipulation on June 24, 2013. See DE 58.
Following the January 28, 2013 discovery deadline, see December 21, 2012 Electronic Order,
Defendants moved for summary judgment on August 22, 2013, seeking dismissal of the Complaint in
its entirety. See DE 61. On December 19, 2013, Judge Spatt issued a Memorandum of Decision and
Order granting, in part, and denying, in part, Defendants’ motion. See DE 78. In particular, Judge
Spatt granted summary judgment dismissing opt-in Plaintiff George Ruggiero “because he waived
The Court has previously summarized the facts of this case in its Memorandum and
Order adjudicating Plaintiff’s collective action certification motion and therefore directs the
reader to that decision for a discussion of the underlying facts of this case. See DE 114.
2
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his right to sue under the FLSA” by executing a WH-58 Form and accepting payment of a settlement
following a U.S. Department of Labor investigation into Defendants’ wage and hour practices. Id. at
24-25, 37. However, Judge Spatt held that Ruggiero may proceed with his NYLL claims because the
waiver was limited to his claims under the FLSA. Id. at 26, 37.
Simultaneously, Judge Spatt denied Defendants’ motion for summary judgment regarding the
named-Plaintiff Michael Callari, holding that Plaintiff is “permitted to proceed with his FLSA claim
and may move to certify a collective action and/or class action pursuant to Fed. R. Civ. P. 23.” Id. at
37. In pertinent part, Judge Spatt found that Plaintiff is not precluded from moving for conditional
certification even though discovery has been completed. Id. at 37. Judge Spatt also found that
Plaintiff’s claims are subject to the FLSA’s two-year statute of limitations because Plaintiff had
offered no evidence that the Defendants either knew or recklessly disregarded FLSA requirements
when it classified him as an exempt employee. Id. at 29-31. Moreover, Judge Spatt held that “[a]s to
the Defendants other contentions, such as that the Plaintiff is not similarly situated to other
prospective class members, the Court shall address these issues when the Plaintiff makes his motion
for certification of a collective action and/or class pursuant to Fed. R. Civ. P. 23.” Id.
Subsequently, on January 8, 2014, Plaintiffs filed a motion for reconsideration of Judge
Spatt’s December 13, 2013 Memorandum of Decision and Order, pursuant to Local Civil Rule 6.3.
See DE 81. Specifically, Plaintiffs took issue with the finding that opt-in Plaintiff Ruggiero waived
his right to sue under the FLSA and, secondly, that the two-year, and not three-year, statute of
limitations should apply in this case. Plaintiffs also moved to strike from the record a portion of the
declaration of Defendants’ witness Mark Schneider which was submitted in support of Defendants’
reply on the summary judgment motion, asserting that the declaration contradicted Schneider’s
deposition testimony. See DE 81.
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While Plaintiffs’ motion for reconsideration was under review by Judge Spatt, Plaintiffs filed
a motion seeking collective action certification on April 17, 2014. See DE 99. On April 28, 2014,
Judge Spatt issued a Memorandum Decision and Order concerning Plaintiffs’ motion for
reconsideration and motion to strike, finding that the Court did not overlook controlling law and/or
facts in issuing its December 19, 2013 summary judgment decision. See DE 100. Consequently,
Judge Spatt denied Plaintiffs’ motion for reconsideration in its entirety. Id. Further, Judge Spatt
found moot Plaintiffs’ motion to strike the Schneider reply declaration. Id. at 12. Judge Spatt
explained that even if he were to strike the challenged portions of Schneider’s reply declaration,
Ruggiero had nonetheless waived his right to pursue an FLSA action against the Defendants based on
the explicit language of the WH-58 Form which Ruggiero signed. Id. at 12. Thereafter, on March 27,
2015, this Court granted Plaintiffs’ collective action certification motion. See DE 114. Defendants
filed the instant letter motion on April 10, 2015, seeking to re-open discovery and to further amend
the Joint Pre-Trial Order on that basis. See DE 116.
III.
DISCUSSION
A.
Motion to Re-Open Discovery
In their letter motion, Defendants request that the Court re-open discovery in light of the
Court’s decision granting Plaintiffs’ motion for collective action certification. See DE 116 at 1.
Specifically, Defendants assert that based on the current posture of this action — i.e. now a
collective action with the potential for multiple members versus one brought solely on behalf of
Plaintiff Callari and Opt-in Plaintiff Ruggiero — Defendants “need to depose and/or obtain
written discovery from each opt-in who joins the case (if any) in order to properly assess their
claims and defend against them.” Id. Further, Defendants state that they would be “significantly
prejudiced if they do not get the opportunity to conduct discovery in this regard” but that in
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granting this request, no prejudice would inure to the Plaintiffs if discovery is re-opened since
“the trial of this matter has not yet been set and plaintiffs will have a sufficient amount of time to
conduct their own due diligence regarding the opt-in plaintiffs who join the case.” Id. In
addition, Defendants maintain the position that it was “unforeseeable that such additional
discovery was needed until the Memorandum and Order of the Court was filed on March 27,
2015” and that the information Defendants seek is relevant since it goes directly to the issue of
“whether the opt-ins are similarly situated to either plaintiff.” Id. at 2. In support of their
position, Defendants cite this Court’s decision in Spencer v. Int’l Shoppes, Inc., No. CV 06-2637,
2011 WL 3625582 (E.D.N.Y. Aug. 16, 2011) and assert that Defendants in the instant action
have “shown that each of the six factors [as enumerated in Spencer] weigh in favor [of reopening discovery].” Id.
1.
Applicable Law
The decision whether to re-open discovery is within a district court’s discretion. See
Krawec v. Kiewit Constructors Inc., No. 11-CV-123, 2013 WL 1104414, at *8 (S.D.N.Y. Mar. 1,
2013); Shapard v. Attea, No. 08-CV-6146, 2015 WL 866892, at *2 (W.D.N.Y. Mar. 2, 2015);
see generally Wills v. Amerada Hess Corp., 379 F.3d 32, 41 (2d Cir. 2004) (stating that a district
court has “broad discretion to direct and manage the pre-trial discovery process.”). “As a general
rule, discovery should only be re-opened for good cause, depending on the diligence of the
moving party.” Krawec, 2013 WL 1104414, at *8 (citing Grochowski v. Phoenix Constr., 318
F.3d 80, 86 (2d Cir. 2003)); see, e.g., Jacobs v. New York City Dept. of Educ., No. 11-CV-5058,
2015 WL 7568642, at *4 (E.D.N.Y. Nov. 24, 2015) (“A party seeking to reopen discovery bears
the burden of establishing good cause.”); Bakalar v. Vavra, 851 F. Supp. 2d 489, 493 (S.D.N.Y.
2011) (“In deciding whether to reopen discovery, courts consider whether good cause exists.”)
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(citing Gray v. Town of Darien, 927 F.2d 69 (2d Cir. 1991)); see Marshall v. Starbucks Corp.,
No. 11-CV-02521, 2013 WL 123763, at *2 (S.D.N.Y. Jan. 8, 2013) (same). Courts consider the
following six factors in determining whether good cause exists to re-open discovery:
(1) whether trial is imminent; (2) whether the request is opposed; (3)
whether the non-moving party would be prejudiced; (4) whether the
moving party was diligent in obtaining discovery within the guidelines
established by the court; (5) the foreseeability of the need for
additional discovery in light of the time allowed for discovery by the
district court; and (6) the likelihood that the discovery will lead to
relevant evidence.
Thieriot v. Jaspan Schlesinger Hoffman, LLP, No. 07-CV-5315, 2010 WL 4038765, at *6
(E.D.N.Y. Sept. 30, 2010) (quoting Pharmacy, Inc. v. Am. Pharm. Partners, Inc., No. 05-CV776, 2008 WL 4415263, at *3 (E.D.N.Y. Sept. 24, 2008)); see, e.g., Krawec, 2013 WL 1104414,
at *8; Marshall, 2013 WL 123763, at *2; Bakalar, 851 F. Supp. 2d at 493; Spencer v. Int’l
Shoppes, Inc., No. 06-CV-2637, 2011 WL 3625582, at *2 (E.D.N.Y. Aug. 16, 2011). The Court
now addresses these principles as they apply to the specific facts of the instant case
2.
The Factors Considered
i.
Whether Trial is Imminent
Although this case has been pending for almost 5 years, no trial date has yet been set. As
noted in Section II supra, after the close of discovery, Defendants moved for summary judgment,
which was ultimately granted, in part, and denied, in part, on December 19, 2013. See DE 78.
Thereafter, during the pendency of Plaintiffs’ motion for reconsideration of Judge Spatt’s
summary judgment decision, Plaintiffs filed their motion for collective action certification
[DE 99] which was decided by this Court on March 27, 2015. See DE 114. Thus, in light of the
current procedural posture of this case, trial is not imminent and this factor weighs in favor of
Defendants’ application.
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ii.
Whether Plaintiff and Opt-In Plaintiff Oppose the Motion
Plaintiffs have not filed any opposition to Defendants’ letter motion. In addition, the
docket reflects that Plaintiffs never filed a motion seeking an extension of time to file any
opposition. As such, the Court treats Defendants’ motion as unopposed. See Pierre v. Archcare,
Inc., No. 1:13-CV-7499, 2015 WL 144167, at *1 (S.D.N.Y. Jan. 10, 2015) (“Having received no
response from plaintiff as of the date of this opinion and order, the Court treats defendant’s
motion as unopposed.”). Thus, this factor weighs in favor of Defendants’ position.
iii.
Prejudice to Plaintiff
In the instant case, Plaintiffs did not file their motion for collective action certification
until after discovery had closed and the case had been certified as ready for trial. Although
Plaintiffs’ counsel may have operated under the assumption that because the Complaint sought
collective action status for the FLSA claims that the case would automatically proceed as a
collective, this assumption was misplaced. “The certification [of a collective action] is not
automatic.” McGlone v. Contract Callers, Inc., 867 F. Supp. 2d 438, 443 (S.D.N.Y. 2012); see
Jenkins v. TJX Companies Inc., 853 F. Supp. 2d 317, 322 (E.D.N.Y. 2012) (same). Indeed,
simply seeking designation of an action as a collective in the Complaint is insufficient to enable
the Court to determine whether such certification is appropriate. “It is axiomatic that, even at
th[e] preliminary stage, the Court must find “some identifiable factual nexus which binds the
named plaintiffs and potential class members together as victims’ of a particular practice.” Id. at
222. Thus, in order to make this determination, the party seeking certification must file a formal
motion, at which time the Court examines the pleadings and any affidavits submitted in
conjunction with the motion papers and renders a decision. See Fasanelli v. Heartland Brewery,
7
Inc., 516 F. Supp. 2d 317, 321 (S.D.N.Y. 2007) (recognizing that initial motion for conditional
class certification triggers the court’s conditional certification inquiry).
Moreover, despite the fact that Defendants could be said to have been on notice that
Plaintiffs brought this action with the intent to proceed as a collective given the notification in
the Complaint, at the time the Amended Joint Pre-Trial Order was filed, Plaintiffs had not yet
filed a formal motion seeking collective action status. Indeed, Defendants interposed this
circumstance in the Joint Pre-Trial Order stating “[t]he collective action allegations in the
complaint should be dismissed because plaintiffs never filed for certification or conditional
certification. . . .” See DE 69, Amended Joint Pre-Trial Order at 3. As such, in light of the
timing of Plaintiffs’ motion and the fact that Defendants could not have reasonably engaged in
any opt-in discovery prior to the Court certifying the collective — which itself required that the
Plaintiffs first file a motion seeking such certification — the Court does not find that there is any
prejudice to Plaintiffs at this juncture in re-opening discovery in order to ensure that Defendants
are able to gather information from potential opt-in plaintiffs that may prove pertinent to
defending against Plaintiffs’ collective action claims.
iv.
Diligence of Defendants in Seeking Discovery and
Foreseeability of the Need for Discovery
As noted, Plaintiffs did not file their motion seeking collective action certification until
after submission of the Amended Joint Pre-Trial Order. Consequently, the collective status of
the case was not a foregone conclusion. Although this case was ultimately certified as a
collective action, it was not unreasonable for Defendants to have refrained from expending the
time and resources necessary to engage in discovery based on the assumption that a collective
action would ultimately be brought when that did not happen for some16 months after the case
8
was certified to Judge Spatt as trial-ready. See November 13, 2013 Electronic Order (accepting
the Amended Joint Pre-Trial Order and certifying case as trial ready); DE 99 (Plaintiff’s Motion
for Collective Action Certification filed on April 17, 2014); DE 114 (the Court’s March 27, 2015
Memorandum and Order granting collective action certification). In addition, Defendants could
not have engaged in discovery regarding opt-ins without first being apprised of the identities of
the potential opt-in plaintiffs which has not yet occurred.2 In short, “material events have
occurred since the last discovery period, which justice requires that the parties have an
opportunity to develop through discovery.” Geneva Pharm. Tech. Corp. v. Barr Labs., Inc., No.
98 CIV. 861, 2005 WL 2132438, at *5 (S.D.N.Y. Sept. 6, 2005). As such, this factor weighs in
favor of Defendants.
v.
Likelihood that Discovery Will Lead to Relevant Evidence
Discovery related to potential opt-in plaintiffs is likely to lead to relevant evidence
whether Plaintiff in fact similarly situated to any potential opt-in plaintiffs. Further, in
conditionally certifying the collective, this Court rendered a decision only as to the first-step of
the process which encompasses a relatively liberal evidentiary standard. See DE 114. However,
upon the close of discovery, the Court engages in a more probing analysis at the second-step.
That analysis could result in a finding that Plaintiffs have not met their burden and Defendants
would have the opportunity to move for class decertification. Therefore, the discovery
Defendants’ seek is relevant here. See Puglisi v. TD Bank, N.A., 998 F. Supp. 2d 95, 100
The Court acknowledges that both Plaintiff and Defendants have filed separate proposed
Notices of Pendency. See DE 117, 118. Further, Defendants have lodged objections to the
proposed Notice filed by Plaintiff after the required meet-and-confer proved unsuccessful. See
DE 119. The Court will review both submissions as well as Defendants’ objections and
determine the Notice’s final form after which Plaintiff will be authorized to send out the Notice
to potential opt-in plaintiffs.
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2
(E.D.N.Y. 2014) (“At the second step, after discovery, a court examines the record and again
makes a factual finding regarding the similarly situated requirement; [i]f the claimants are
similarly situated, the collective action proceeds to trial, but if they are not, the class is
decertified, the claims of the opt-in plaintiffs are dismissed without prejudice, and the class
representative[s] may proceed on [their] own claims.”) (internal quotations and citation omitted).
Indeed, information gleaned from any potential opt-ins — such as overall hours worked, dates of
employment, positions held, manner and amount of pay as well as individual job duties and
responsibilities — all bear on collective action status and ultimately potential trial issues. As
such, this factor weighs in favor of Defendants’ request for relief.
In light of the above discussion, the Court finds that the Defendants have established the
requisite “good cause” for re-opening discovery to gather information concerning potential optin plaintiffs. Their motion to re-open discovery for this purpose is GRANTED.3
B.
Motion to Amend the Joint Pre-Trial Order
Defendants next seek to request leave to further amend the Joint Pre-Trial Order filed on
November 12, 2013, see DE 69, to add nine additional witnesses: Edward Hoffman, Daniel
O’Neill, Anthony Alborano, Vasilios Taris, Michael voulo, John Donlon, Louis Peppe, Theodore
Sexton and Jane Donaghy. See DE 116 at 2. As a rationale for this request, Defendants assert
that since “the Court conditionally certified the case as a collective [] on March 27, 2015, the
focus of defendants’ case has shifted from potentially defending at trial the individual claims of
[Callari and Ruggiero] . . . to potentially having to defend at trial the claims of what may be a
Based upon the Court’s definition of the collective in this case, it may be necessary for
the Court to limit Defendants’ discovery with respect to potential opt-ins to a “sampling.”
However, in light of the fact that Notice of Pendency still needs to be finalized, approved by the
Court, and disseminated, this question is for another day.
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3
class of people as defined by the Court in its Order and allegations of improper company-wide
policies and procedures[.]” Id. Defendants further state that the proposed additional witnesses
“provided declarations used by defendants in their opposition to plaintiff’s motion to certify the
case [as a collective] . . . [and] [t]hese witnesses have also been included in defendants’
Amended FRCP Rule 26(a)(1) Initial Disclosures dated April 9, 2015.”4 Id. Defendants claim
that each of these witnesses has personal knowledge concerning the policies and practices of the
Defendants as well as the job functions of both the Assistant Branch Manager role as well as that
of the Inside Salesperson position and would testify concerning their knowledge of these areas.
Id.
In addition, Defendants state that “[t]he need for these witnesses was not known to the
defendants at the time of the pre-trial conference and did not arise until the case was
conditionally certified so there was no reason to include them in the Amended Joint Pre-Trial
Order.” Id. at 3. Similarly, Defendants maintain that the inclusion of these witnesses for trial
purposes “has become critical to defendants’ position” and that, in any event, “Plaintiff would
suffer no prejudice or surprise” since no trial date has been set and Plaintiff “has the time it needs
to conduct its own due diligence on the information the witnesses already disclosed in their
[previous] declarations.” Id.
1.
Applicable Law
A motion to amend a pre-trial order is governed by Rule 16(e) of the Federal Rules of
Civil Procedure which states, in pertinent part, that “[t]he court may modify the [pre-trial] order
issued after a final pretrial conference only to prevent manifest injustice.” Fed. R. Civ. P. 16(e).
The Court assumes these witnesses were not included in Defendants’ initial Rule 26(a)
disclosures.
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4
Despite this seemingly inflexible standard, Second Circuit precedent makes clear that in fact “a
district court has significant discretion in determining how to apply [the terms of Rule 16(e)].”
Helena Assocs., LLC v. EFCO Corp., No. 06 Civ. 086, 2009 WL 2355811, at *2 (S.D.N.Y. July
29, 2009); see, e.g., Henry v. Department of Transp., 69 Fed. App’x 478, 481 (2d Cir. 2003)
(“The decision to permit amendment of the proposed Joint Pre-Trial Order rests within the
discretion of the Court and should be granted when ‘the interests of justice make such a course
desirable.’ ”) (quoting Madison Consultants v. Federal Deposit Ins. Corp., 710 F.2d 57, 62 n. 3
(2d Cir. 1983)); HBE Leasing Corp. v. Frank, 22 F.3d 41, 45 (2d Cir. 1994) (“A trial court is
given broad discretion in managing a trial, and this discretion includes a certain amount of
latitude to deviate from the terms of the pretrial order.” (internal citations omitted)); Clark v.
Pennsylvania R.R. Co., 328 F.2d 591, 594 (2d Cir. 1964) (“[I]t is a fundamental principle of
pretrial that this procedure be flexible, with power reserved to the trial judge to amend the order
or permit a departure from strict adherence to the pre-trial statements of either party, when the
interests of justice make such a course desirable.”); Santrayll v. Burrell, No. 91 Civ. 3166, 1998
WL 24375, at *3, (S.D.N.Y. Jan. 22, 1998) (“‘Motions to reopen or to modify a pretrial order are
addressed to the sound discretion of the trial judge.’”) (quoting Bradford Trust Co. v. Merrill
Lynch, Pierce, Fenner, and Smith, Inc., 805 F.2d 49, 52 (2d Cir. 1986)).
In rendering a decision concerning the amendment of a pre-trial order, “a court should
balance ‘the need for doing justice on the merits between the parties (in spite of the errors and
oversights of their attorneys) against the need for maintaining orderly and efficient procedural
arrangements.’” Eberle v. Town of Southampton, 305 F.R.D. 32, 34 (E.D.N.Y. 2015) (quoting
Laguna v. Am. Export Isbrandtsen Lines, Inc., 439 F.2d 97, 101 (2d Cir. 1971)). In that regard,
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relevant factors to be considered in determining whether a pre-trial order may be amended
include:
(1) the prejudice or surprise in fact to the opposing party; (2) the ability of the
party to cure the prejudice; (3) the extent of disruption of the orderly and efficient
trial of the case; and (4) the bad faith or willfulness of the non-compliant party.
Prejudice to the party seeking amendment or modification of the order is also
relevant, as a trial court should not refuse to modify a pre-trial order where
manifest injustice will result.
Potthast v. Metro–North R.R. Co., 400 F.3d 143, 153 (2d Cir. 2005) (citing Rapco, Inc. v.
Comm’r, 85 F.3d 950, 953 (2d Cir. 1996)); see Mhany Mgmt. Inc. v. Incorporated Village of
Garden City, No. 05-CV-2301, 2013 WL 1821113, at *3 (E.D.N.Y. Apr. 29, 2013) (enumerating
factors).
In analyzing whether prejudice will inure to the party opposing the amendment of the
pretrial order, “the Court must consider ‘whether the amendment is sought in the midst of trial or
on the eve of trial.’” Eberle, 305 F.R.D. at 34 (quoting Finnish Fur Sales Co. Ltd. v. Furs
Unlimited, Inc., No. 89 Civ. 6284, 1992 WL 47372, at *1 (S.D.N.Y. Mar. 4, 1992)). “However,
because the primary purpose of Rule 16 is to minimize prejudicial surprise during trial . . . even
an amendment sought at the last minute due to the movant’s lack of diligence may be allowed if
it does not significantly prejudice the opposing party.” Helena, 2009 WL 2355811, at *3; see
e.g., Finnish Fur., 1992 WL 47372, at *2. Indeed, “[t]he overarching principle in this regard is
that ‘Rule 16 was not intended to function as an inflexible straitjacket on the conduct of litigation
or to produce an abstract, perfect equivalence between the pretrial papers and the course of
litigation; instead, it was intended to insure the efficient resolution of cases and, most
importantly, minimize prejudicial surprise.’” Mhany Mgmt. Inc., 2013 WL 1821113, at *3
(quoting Lamborn v. Dittmer, 873 F.2d 522, 527 (2d Cir. 1989)); see Fed. R. Civ. P. 16(e)
13
Advisory Committee Notes (“By not imposing any limitation on the ability to modify a pretrial
order, the rule reflects the reality that in any process of continuous management, what is done at
one conference may have to be altered at the next. . . .”). As such, an amendment of the pretrial
order will usually result where “no substantial injury will be occasioned to the opposing party,
the refusal to allow the amendment might result in injustice to the movant, and the inconvenience
to the court is slight.” Mhany Mgmt. Inc., 2013 WL 1821113, at *4.
2.
Amendment in the Current Context
“A party to a federal civil lawsuit must at the outset of the litigation disclose to its
opponent the name of and contact information for ‘each individual likely to have discoverable
information that the disclosing party may use to support its claims. . . .’” Alfano v. Nat’l
Geographic Channel, No. CV 06-3511, 2007 WL 2982757, at *1 (E.D.N.Y. Oct. 5, 2007)
(quoting Fed. R. Civ. P. 26(a)(1)(A)). The disclosures required must be based on “information
then reasonably available” to the disclosing party, regardless of whether that party has yet to
complete its investigation of the case. Fed. R. Civ. P. 26(a)(1)(E). A party is also under an
affirmative duty to supplement incomplete or incorrect disclosures with later-acquired
information that has not otherwise been made known to its opponent during discovery. Fed. R.
Civ. P. 26(a)(2)(E). Generally, a party’s failure to satisfy these obligations precludes it from
using the withheld information as evidence at trial. See Fed. R. Civ. P. 37(c)(1); Stover v.
Northland Group, Inc., 2007 WL 1969724, at *2-*3 (W.D.N.Y. July 6, 2007) (precluding
testimony of witness where party failed to include witness in Rule 26(a) disclosures or to identify
witness in response to opponent’s interrogatories); Design Strategies, Inc. v. Davis, 367 F. Supp.
2d 630, 634 (S.D.N.Y. 2005).
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Although the Court is mindful that the nine potential witnesses whom Defendants seek to
add were not disclosed in Defendants’ Rule 26(a) Initial Disclosures, Defendants have since
supplemented their disclosures as of April 10, 2015, see DE 116-1. These supplemental
disclosures, which identify these nine additional witnesses, were made promptly following this
Court’s decision to grant Plaintiff’s motion for conditional certification of its FLSA claims.
Further, since this case was not certified as a collective action until March 27, 2015, there is at
least some basis for Defendants’ omission of these potential witnesses in earlier disclosures
made pursuant to Rule 26(a) where prior to the certification of this matter as a collective action,
the Defendants were proceeding solely against Callari and Ruggiero individually. Thus, it is at
least plausible that Defendants operated under the belief that these nine individuals did not
possess discoverable information relevant to the claims or defenses which would otherwise
warrant such disclosure.
As such, Plaintiffs have had adequate notice, at least as of the date of Defendants’
supplemental disclosures, of Defendants’ intention to potentially utilize these witnesses at trial.
Any prejudice or surprise to Plaintiffs is thus minimal, especially since a trial date has not yet
been set and the fact that Plaintiffs have been on notice as to these potential witnesses for just
under a year. See Mhany Mgmt. Inc., 2013 WL 1821113, at *5 (finding “no real prejudice” in
permitting amendment of pre-trial order to add four witnesses where the trial was seven weeks
away and the opposing party had been on notice as to these additional witnesses “for several
years, and thus their inclusion on a list of potential witnesses should come as no surprise. . . .”).
Further, Plaintiffs have not opposed Defendants’ letter motion seeking to amend the Joint PreTrial Order in this case despite having had proper notice and an ample opportunity to respond
thus further mitigating any inherent prejudice to Plaintiffs.
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As to the potential for any significant disruption to the orderly and efficient progression
of this case, the Court finds that based upon the relatively recent change in the procedural
posture of this case (i.e. individual claims versus a certified collective) and the fact that no trial
date has been set at this juncture, there is little potential, if any, for disruption which would
necessitate denying Defendants’ request. See, e.g., Mandarino v. Mandarino, 408 Fed. App’x
428, 432 (2d Cir. 2011) (“This is not a case in which Appellant was presented with proposed
defense witnesses on the eve of trial; to the contrary, the district court permitted the Defendants’
amendment of the pretrial order more than three and a half months prior to the hearing”);
Giannone v. Deutsche Bank Secs., Inc., No. 03 Civ. 9665, 2005 WL 3577134, at *2 (S.D.N.Y.
Dec. 30, 2005) (granting leave to amend a pre-trial order to include an additional witness and
additional exhibits, and “[i]n so doing, ... not[ing] that there is ample time before trial for
Giannone to cure any minimal prejudice that may inure to her as a result of such an
amendment.”); Mhany Mgmt. Inc., 2013 WL 1821113, at *5 (recognizing that there would be
“no disruption to the case” where request to amend the pre-trial order was made approximately
three and a half months prior to the trial).
Likewise, the Court finds no indication in the record that Defendants are acting in bad
faith. Thus, although a party’s bad faith or willful failure can support the denial of a motion to
amend a pretrial order, “the Court sees no reason to doubt the [Defendants’] good faith in
seeking this amendment.” Mhany Mgmt. Inc., 2013 WL 1821113, at *5.
With respect to any potential prejudice to Defendants if the Court were to deny their
request to amend the Joint Pre-Trial Order, the Court finds that the potential issues involved in
defending this action have changed. As such, the nine potential witnesses identified by
Defendants may possess information relevant to the Defendants’ defense of the collective action
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claims. To deny Defendants the opportunity to present these witnesses at trial would, indeed,
amount to significant prejudice and is contrary to the notion that the parties should enjoy a level
playing field at trial. See Fields-D’Arpino v. Rest. Associates, Inc., 39 F. Supp. 2d 412, 418
(S.D.N.Y. 1999) (employing “prophylactic measures
. . . to level the playing field in this action
and ensure that plaintiff’s claims will be fairly adjudicated.”); Mhany Mgmt. Inc., 2013 WL
1821113, at *6 (“To allow th[e] amendment [of the pre-trial order] will . . . ensur[e] parity
between the parties at trial and ensur[e] that the Court, as fact-finder, receives as full, balanced,
and complete a factual picture as possible.”).
In light of the above analysis, the Defendants’ motion to further amend the Joint Pre-Trial
Order to add Edward Hoffman, Daniel O’Neill, Anthony Alborano, Vasilios Taris, Michael
Voulo, John Donlon, Louis Peppe, Theodore Sexton and Jane Donaghy as potential witnesses is
GRANTED.
IV.
CONCLUSION
For the reasons stated in the foregoing discussion, Defendants’ motion to (1) re-open
discovery and (2) to amend the Joint Pre-Trial Order are hereby GRANTED.
The Court is scheduling a telephone conference with counsel for April 11, 2016 at 1:30
p.m. Plaintiffs’ counsel is directed to initiate the call to Chambers.
SO ORDERED.
Dated: Central Islip, New York
March 31, 2016
/s/_A. Kathleen Tomlinson
A. KATHLEEN TOMLINSON
United States Magistrate Judge
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