BOONE v. BOARD OF GOVERNORS OF THE UNIVERSITY OF NORTH CAROLINA
Filing
43
MEMORANDUM OPINION AND ORDER signed by JUDGE LORETTA C. BIGGS on 6/17/2019. Defendant's Motion to Seal (ECF No. 35 ) is GRANTED. The documents initially filed under seal (ECF Nos. 37 -1 to 37 -4) shall be per manently sealed. FURTHER that Defendant's Motion for Summary Judgment (ECF No. 33 ) is GRANTED and Plaintiff's remaining claims against Defendant are DISMISSED WITH PREJUDICE. A Judgment dismissing this action will be entered contemporaneously with this Order. (Daniel, J)
IN THE UNITED STATES DISTRICT COURT
FOR THE MIDDLE DISTRICT OF NORTH CAROLINA
ANNIE BOONE,
)
)
Plaintiff,
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v.
)
)
)
BOARD OF GOVERNORS OF THE
)
UNIVERSITY OF NORTH CAROLINA, )
)
Defendant.
)
1:17CV113
MEMORANDUM OPINION AND ORDER
LORETTA C. BIGGS, District Judge.
Plaintiff, Annie Boone, initiated this action against Defendant, the Board of Governors
of the University of North Carolina (“UNC”), alleging four claims: (1) failure to accommodate
under Title II of the Americans with Disabilities Act (“ADA”), 42 U.S.C. § 12131 et seq.; (2)
failure to accommodate under the Rehabilitation Act, 29 U.S.C. § 794 et seq.; (3) retaliation
under the Family and Medical Leave Act (“FMLA”), 29 U.S.C. § 2601 et seq.; and, as an
alternative to her first and second claims, (4) interference under the FMLA, 29 U.S.C. § 2601
et seq. (ECF No. 1.) On March 30, 2018, this Court entered a Memorandum Opinion and
Order (“2018 Order”) dismissing Plaintiff’s first and fourth claims, leaving only Plaintiff’s
Rehabilitation Act claim and Plaintiff’s FMLA retaliation claim. (ECF No. 15 at 16.) Before
the Court are Defendant’s Motion for Summary Judgment with respect to the two remaining
claims, (ECF No. 33), and Defendant’s Motion to Seal, (ECF No. 35). For the reasons
outlined below, the Court will grant both motions.
I.
BACKGROUND
Plaintiff applied for a position as a police officer at UNC in March 2012 and started
working shortly thereafter. (See ECF No. 40-1.) Her job duties included patrolling UNC’s
Chapel Hill campus, responding to service calls, investigating criminal activity, making arrests,
and training other officers in the field. (ECF No. 34-1 at 18–21.) She also carried a variety of
weapons as part of her job, including a 40-caliber SIG SAUER pistol, a taser, a shotgun, and
a rifle. (Id. at 19–20.)
In May 2015, Boone spent a weekend in South Carolina with a male friend. (Id. at 44–
45.) Plaintiff states that, during that weekend, the man raped her. (Id.) Although Plaintiff
received treatment in an emergency room a day later, (id. at 47–48), she did not report the rape
to law enforcement or to her primary physician because she “just wanted to deal with it in
[her] way and move on,” (id. at 50–51).
In August 2015, Plaintiff attended a Highway Safety Symposium in Concord, North
Carolina with several co-workers from UNC. (Id. at 56–57.) One night during the multi-day
conference, Plaintiff became very intoxicated and missed the morning session the following
day. (Id. at 59, 61.) The day after she returned from the conference, Plaintiff confided in a
co-worker that she “was having some concerns about [her] ability to do [her] job with the
mindset that [she] was in.” (Id. at 63.) Approximately one week later, on August 28, 2015,
Plaintiff was placed on a 30-day Investigatory Status with Pay to investigate Plaintiff’s absence
from the symposium and “[t]o allow time to receive [a] Fitness for Duty assessment.” (Id. at
68; ECF No. 34-2 at 41.)
2
Plaintiff was directed to complete a Fitness for Duty Evaluation (“FFDE”) with the
FMRT Group (“FMRT”) on September 1, 2015. (ECF No. 34-2 at 42.) FMRT evaluators
are doctoral-level psychologists and advanced-practice medical providers who are trained in
providing “medical and psychological evaluations for safety-sensitive employers, such as law
enforcement, corrections, and juvenile justice departments.” (ECF No. 34-11 ¶ 4(a).) During
Plaintiff’s September 1, 2015 FFDE, after she told the psychologist administering the exam
about her May 2015 sexual assault, the evaluation determined that she was “not fit for duty”
due to her being “in the beginning stages of dealing with a traumatic event that has left her
emotionally distraught.” (Id. at 42–44.)
Plaintiff remained on leave and on October 16, 2015, saw her healthcare provider,
Karen McCain, N.P.1 (ECF No. 34-1 at 74.) At that visit, Nurse McCain recorded that
Plaintiff was experiencing “[m]oderate depression” along with “crying episodes, extreme
fatigue and [loss of] energy and was socially withdrawn.” (ECF No. 34-5 at 14–15.) Plaintiff
had lost ten to fifteen pounds, and her hair was thinning. (Id. at 17.) Plaintiff did not tell
Nurse McCain about her sexual assault during that appointment, nor at any time before this
litigation. (ECF No. 34-1 at 78; see ECF No. 34-5 at 16, 24.) As a result of the appointment,
Nurse McCain recommended that Plaintiff seek “specialized” and “intensive” therapy, in
addition to telephonic counseling sessions every two weeks with Nurse McCain. (ECF No.
34-5 at 18, 20.) Nurse McCain also completed the necessary forms for Plaintiff to be awarded
FMLA leave retroactively starting September 28, 2015, when her paid investigative leave
ended, to December 18, 2015. (See ECF No. 34-2 at 48.)
1
Nurse McCain practiced under the supervision of Dr. Steven Prakken, M.D. (ECF No. 34-5 at 3.)
3
Plaintiff was granted some additional unpaid leave, and on January 6, 2016, she was
again seen by Nurse McCain. (Id. at 54; ECF No. 34-7 ¶ 26.) As a result of that appointment,
Nurse McCain found that Plaintiff “ha[d] recovered back to baseline, and [was] acceptable to
return to work without any physical limitations or restrictions.” (ECF No. 34-2 at 54.)
Before she could return to work, however, UNC asked that Plaintiff sit for another
FFDE. (ECF No. 34-7 ¶ 27.) Plaintiff’s January 8, 2016 follow-up FFDE found that she was
again “not fit for duty.” (ECF No. 34-11 at 48–50.) During the FFDE, Plaintiff reflected that
her sexual assault makes her “feel[ ] guarded, avoid[ ] situations that make her feel vulnerable,
and that she now has ‘a hole in [her] armor.’” (Id. at 49.) Boone reported that, since her first
FFDE in September, she had only seen her healthcare provider, Nurse McCain, twice and that
she had not otherwise received any psychotherapy from a licensed practitioner.2 (Id. at 48–49;
see also ECF No. 34-5 at 22–23.) In arriving at her conclusion that Plaintiff was “not fit for
duty,” the evaluating psychologist determined, after witnessing Plaintiff’s continuing distress
during the evaluation, that Plaintiff had not accessed the appropriate degree of treatment.
(ECF No. 34-11 at 49–50.) Further, the evaluating psychologist “strongly encouraged”
Plaintiff to “initiate treatment with a licensed mental health professional with expertise in
treating trauma.” (Id. at 50.) As a result of her being found to be not fit for duty, Plaintiff was
not allowed to return to work. (ECF No. 34-7 ¶¶ 28, 30.)
2
Plaintiff had sought counseling from a Cindy Lassiter, a “care pastor” who provides “faith-based
support and guidance,” approximately “five or six times” in the period from October 2015 to
December 2015. (ECF No. 34-4 ¶ 4; ECF No. 34-1 at 25.) Ms. Lassiter’s “typical practice was to
guide [her parishioners] to scripture teaching the healing power of prayer.” (ECF No. 34-4 ¶ 5.) Ms.
Lassiter states that she has never held herself out to be a licensed psychologist or counselor. (Id. ¶ 3.)
4
On January 28, 2016, Plaintiff submitted forms entitled “Voluntary Self-Identification
of Disability,” “Health Care Provider—Medical Information Release Form,” and
“Accommodation Request Form” to UNC. (ECF No. 40-9.) As part of her request for an
accommodation, Plaintiff was required to submit a “Documentation of Disability” form,
signed by an authorized healthcare provider, that includes “a description of [her] disability[,]
any related limitations[,] and recommendations for accommodation(s) and/or service(s).” (Id.
at 7.) Plaintiff did not submit such documentation; instead, she asked that the psychologist
who conducted Plaintiff’s second FFDE complete the form, “as [that doctor] was the only
one saying [Plaintiff] was not fit to return to duty.” (ECF No. 40-10.) After Plaintiff told
UNC that her healthcare provider would not be completing the “Documentation of
Disability” form, UNC terminated Plaintiff’s employment, effective March 4, 2016. (ECF No.
40-11 at 2.)
II.
MOTION TO SEAL
Defendant filed four documents under seal along with its Motion to Seal. (See ECF
Nos. 37-1 to 37-4.) Those sealed documents include Plaintiff’s medical records from various
doctor visits and Plaintiff’s “medical history statement” given when she applied to UNC in
March 2012. (See id.) Both Defendant and Plaintiff filed briefs supporting the Motion to Seal.
(ECF Nos. 36, 38.)
“When presented with a request to seal judicial records or documents, a district court
must comply with certain substantive and procedural requirements.” Va. Dep’t of State Police v.
Wash. Post, 386 F.3d 567, 576 (4th Cir. 2004). Substantively, a district court must “first
‘determine the source of the right of access with respect to each document.’” Doe v. Pub.
5
Citizen, 749 F.3d 246, 266 (4th Cir. 2014) (quoting Va. Dep’t of State Police, 386 F.3d at 576).
The Fourth Circuit has “squarely held that the First Amendment right of access attaches to
materials filed in connection with a summary judgment motion.” Id. at 267. Therefore, the
First Amendment right of access applies in this case, as the documents that Defendant wishes
to seal were filed in support of, or in opposition to, Defendant’s summary judgment motion.
Procedurally, a district court presented with a sealing request must:
(1) provide public notice of the sealing request and a reasonable
opportunity for the public to voice objections to the motion; (2)
consider less drastic alternatives to closure; and (3) if it
determines that full access is not necessary, it must state its
reasons—with specific findings—supporting closure and its
rejections of less drastic alternatives.
Id. at 272. Local Rule 5.4 outlines similar requirements.3 LR 5.4. The burden rests on the
party seeking to keep information sealed. Va. Dep’t of State Police, 386 F.3d at 575.
First, the Court notes that the motion to seal has been publicly docketed since its date
of filing on February 11, 2019. (ECF No. 35.) “Any interested party therefore has had
sufficient time to seek intervention to contest any sealing order, but the docket reflects no
such action.” Cochran v. Volvo Grp. N. Am., LLC, 931 F. Supp. 2d 725, 728 (M.D.N.C. 2013).
Accordingly, the Court concludes that the “public notice” requirement has been satisfied. See
id. (concluding that a motion to seal docketed less than one month before the entry of the
order to seal provided sufficient public notice).
3
These requirements are: (1) stating “the reasons why sealing is necessary”; (2) explaining “why less
drastic alternatives to sealing will not afford adequate protection”; (3) “[a]ddress[ing] the factors
governing sealing of documents reflected in governing case law”; and (4) stating “whether permanent
sealing is sought and, if not, stat[ing] how long the document should remain under seal and how the
document should be handled upon unsealing.” LR 5.4(b).
6
Next, Defendant and Plaintiff have demonstrated a sufficiently compelling interest in
preserving the confidentiality of some of Plaintiff’s sensitive medical information. “If the
request is narrowly tailored, sensitive medical information may be sealed.” Bell v. Shinseki, No.
1:12CV57, 2013 WL 3157569, at *9 (M.D.N.C. June 20, 2013), aff’d, 584 F. App’x 42 (4th Cir.
2014). The motion to seal is narrowly tailored to only include Plaintiff’s medical records which
summarize Plaintiff’s medical visits or medication or treatment history. (See ECF Nos. 37-1
to 37-4.) The parties have filed, unsealed, other relevant medical records and information,
such as Plaintiff’s FFDE reports and excerpts of Plaintiff’s and Nurse McCain’s depositions.
(See ECF Nos. 40-6, 40-8, 34-1, 34-5.) Further, because simply redacting portions of Plaintiff’s
medical records would be insufficient to protect the confidentiality of these materials, the
Court finds it appropriate for the entirety of these documents to be filed under seal. See Bell,
2013 WL 3157569, at *9.
Because Plaintiff’s interests in preserving the confidentiality of the documents in
question overcome the First Amendment presumption of public access to court documents,
Defendant’s motion to seal will be granted.
III.
SUMMARY JUDGMENT
A. Standard of Review
Summary judgment is appropriate when “the movant shows that there is no genuine
dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed.
R. Civ. P. 56(a). A dispute is “genuine” if the evidence would permit a reasonable jury to find
for the nonmoving party, and “[a] fact is material if it might affect the outcome” of the
litigation. Jacobs v. N.C. Admin. Office of the Courts, 780 F.3d 562, 568 (4th Cir. 2015) (internal
7
quotation marks omitted). The role of the court is not “to weigh the evidence and determine
the truth of the matter” but rather “to determine whether there is a genuine issue for trial.”
Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 249 (1986). When reviewing a motion for summary
judgment, the court must view the evidence and “resolve all factual disputes and any
competing, rational inferences in the light most favorable” to the nonmoving party. Rossignol
v. Voorhaar, 316 F.3d 516, 523 (4th Cir. 2003) (quoting Wightman v. Springfield Terminal Ry. Co.,
100 F.3d 228, 230 (1st Cir. 1996)).
In cases where the nonmovant will bear the burden of proof at trial, the party seeking
summary judgment bears the initial burden of “pointing out to the district court . . . that there
is an absence of evidence to support the nonmoving party’s case.” Celotex Corp. v. Catrett, 477
U.S. 317, 325 (1986). If the moving party carries this burden, then the burden shifts to the
nonmoving party to point out “specific facts showing that there is a genuine issue for trial.”
Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 587 (1986) (quoting Fed. R. Civ.
P. 56(e) (emphasis omitted)). In so doing, “the nonmoving party must rely on more than
conclusory allegations, mere speculation, the building of one inference upon another, or the
mere existence of a scintilla of evidence.” Dash v. Mayweather, 731 F.3d 303, 311 (4th Cir.
2013). The nonmoving party must support its assertions by citing to particular parts of the
record, or by showing that the materials cited do not establish the absence of a genuine dispute.
Fed. R. Civ. P. 56(c)(1); see Celotex, 477 U.S. at 324. The judicial inquiry on summary judgment
“thus scrutinizes the plaintiff’s case to determine whether the plaintiff has proffered sufficient
proof, in the form of admissible evidence, that could carry the burden of proof of his claim at
trial.” Mitchell v. Data Gen. Corp., 12 F.3d 1310, 1316 (4th Cir. 1993).
8
Plaintiff has two remaining claims pending against Defendant: a violation of the
Rehabilitation Act for a failure to accommodate, and a violation of the FMLA for retaliation.
(See ECF No. 34 at 2.) Both counts will be addressed in turn.
B. Rehabilitation Act
1. Statute of Limitations
Defendant first argues that Plaintiff’s Rehabilitation Act claim is barred by the statute
of limitations. Plaintiff filed this action on February 9, 2017, (ECF No. 1), approximately
eleven months after she was terminated on March 4, 2016, (ECF No. 40-11). Defendant
argues that the six-month limitations period from North Carolina’s Persons with Disabilities
Protection Act (“PDPA”) should apply, (ECF No. 34 at 16–17), while Plaintiff argues for
either the four-year limitations period from the Civil Justice Reform Act (“CJRA”) or a twoyear limitations period from a different section of the PDPA, (ECF No. 40 at 11–14).
“The Rehabilitation Act, like many civil rights statutes, does not contain a specific
limitations period.” McCullough v. Branch Banking & Tr. Co., 35 F.3d 127, 129 (4th Cir. 1994).
“When Congress has not established a time limitation for a federal cause of action, the settled
practice has been to adopt a local time limitation as federal law if it is not inconsistent with
federal law or policy to do so.” Wilson v. Garcia, 471 U.S. 261, 266–67 (1985), partially superseded
by statute as stated in Jones v. R.R. Donnelley & Sons Co., 541 U.S. 369, 377–80 (2004); see also A
Soc’y Without A Name v. Virginia, 655 F.3d 342, 347 (4th Cir. 2011) (“We therefore borrow the
state statute of limitations that applies to the most analogous state-law claim.”). In McCullough
v. BB&T, the Fourth Circuit held that the statute of limitations in the PDPA applies to
Rehabilitation Act claims brought in North Carolina. 35 F.3d at 132.
9
In 1990, however, Congress enacted the CJRA, Pub. L. No. 101-650, 104 Stat. 5089,
which created a catch-all statute of limitations of four years for any “civil action arising under
an Act of Congress enacted after [December 1, 1990],” id. § 313, 104 Stat. at 5115 (codified as
amended at 28 U.S.C. § 1658). Included in the CJRA’s catch-all statute of limitations are
federal causes of action that existed before December 1, 1990, but were amended after
December 1, 1990, “if the plaintiff’s claim against the defendant was made possible by a post–
1990 enactment.” Jones, 541 U.S. at 382–83.
In this case, the Rehabilitation Act was enacted on September 26, 1973. Rehabilitation
Act of 1973, Pub. L. No. 93-112, 87 Stat. 355. Congress amended the Rehabilitation Act on
September 25, 2008, when it enacted the ADA Amendments Act of 2008 (“ADAAA”), Pub.
L. No. 110-325, 122 Stat. 3553, which revised the definition of “disability” for the
Rehabilitation Act, see id. § 4, 122 Stat. at 3555; id. § 7, 122 Stat. at 3558. Therefore, under the
Supreme Court’s decision in Jones v. R.R. Donnelley & Sons Co., the statute of limitations that
applies to Plaintiff’s Rehabilitation Act claim turns on whether her claim was “made possible”
by the ADAAA’s revised definition of disability. See Jones, 541 U.S. at 382–83; see also Dickinson
v. Univ. of N.C., 91 F. Supp. 3d 755, 763–66 (M.D.N.C. 2015) (concluding that the CJRA’s
four-year limitations period applies because the plaintiff would not have been considered
disabled without the ADAAA’s revisions).
The parties do not dispute that Plaintiff was disabled under the ADAAA. (See ECF
No. 34 at 17–23; ECF No. 40 at 15.) Defendant argues, however, that the CJRA statute of
limitations does not apply because Plaintiff would have been considered “disabled” under the
old definition of “disabled,” before the ADAAA. (ECF No. 42 at 6–7.) Plaintiff argues in
10
response that she would not have been considered “disabled” before the ADAAA and that
her claim was “made possible” by the ADAAA’s revisions. (ECF No. 40 at 13–14.)
The Rehabilitation Act and ADA, before the ADAAA’s revisions, had a “demanding
standard for qualifying as disabled.” Toyota Motor Mfg., Kentucky, Inc. v. Williams, 534 U.S. 184,
197 (2002), abrogated by statute, Pub. L. 110-325, 122 Stat. 3553. The pre-ADAAA definition
of “disability” was “a physical or mental impairment that substantially limits one or more of
the major life activities of such individual.” 42 U.S.C. § 12102(2)(A) (2007); 29 U.S.C.
§ 705(20) (2007) (stating that the Rehabilitation Act uses the same definition of “disability” as
the ADA). To determine whether an impairment was “substantially limiting,” courts would
consider “the ‘nature and severity of the impairment,’ the ‘duration or expected duration of
the impairment,’ and the ‘permanent or long term impact’ of the impairment.” Pollard v. High’s
of Balt., Inc., 281 F.3d 462, 467–68 (4th Cir. 2002) (quoting 29 C.F.R. § 1630.2(j)(2)). Courts
routinely found that impairments that were not “permanent or long term” did not qualify as
disabilities. See, e.g., Toyota Motor Mfg., 534 U.S. at 198 (“The impairment’s impact must also be
permanent or long term.”); Halperin v. Abacus Tech. Corp., 128 F.3d 191, 199 (4th Cir. 1997)
(“[I]t is evident that the term ‘disability’ does not include temporary medical conditions, . . .
even if those conditions require extended leaves of absence from work.” (internal citation
omitted)), overruled on other grounds, Baird ex rel. Baird v. Rose, 192 F.3d 462, 469 n.8 (4th Cir.
1999); Peeples v. Coastal Office Prods., Inc., 203 F. Supp. 2d 432, 458 n.16 (D. Md. 2002) (“[E]ven
assuming that [the plaintiff’s] depression was a major or clinical depression, nevertheless, it
clearly was a temporary condition, and his condition was thought to be temporary at all
relevant times. Accordingly, [the plaintiff’s] depression does not qualify as a ‘disability.’”
11
(emphasis omitted)), aff’d, 64 F. App’x 860 (4th Cir. 2003).
Although there was a
“presumption” that temporary impairments did not qualify as disabilities under the ADA,
“temporary conditions still require[d] a case-by-case evaluation . . . [because] at some point the
duration of an impairment could be so long that it cannot properly be characterized as
temporary.” Pollard, 281 F.3d at 468–69 (internal citation omitted).
In the present case, Plaintiff was first granted leave on August 28, 2015, and was later
cleared by her healthcare provider, Nurse McCain, to return to work on January 6, 2016. (ECF
No. 34-2 at 41, 54.) When Nurse McCain saw Plaintiff in October 2015, Nurse McCain noted
that Plaintiff’s depressive symptoms had worsened so that Plaintiff was having trouble with
“getting out of bed and . . . day-to-day grooming and hygiene.” (ECF No. 34-5 at 14–15.)
Nurse McCain also noted that Plaintiff had lost ten to fifteen pounds and that Plaintiff
experienced “thinning hair . . . and some nausea.” (Id. at 17.) When Nurse McCain saw
Plaintiff on January 6, 2016, however, less than three months later, she concluded that Plaintiff
had “recovered back to baseline” and that she could return to work. (ECF No. 34-2 at 54.)
Although Defendant argues that Plaintiff was “nearly catatonic for months,” (ECF No.
42 at 6), Plaintiff’s major symptoms were only a temporary condition. Plaintiff’s major
symptoms appear to have only lasted approximately four and one-half months, from August
28, 2015 until January 6, 2016. (See ECF No. 34-2 at 41, 54.) Four and one-half months is
not long enough to be considered “permanent or long-term” under the pre-ADAAA
framework. See Pollard, 281 F.3d at 469 (holding that the plaintiff’s nine-month absence as a
result of a back injury was not a “permanent or long-term impairment,” and, thus, not a
12
disability).4 After January 2016, Plaintiff had apparently “returned back to baseline.” (ECF
No. 34-2 at 54.)
Because Plaintiff would have not been considered “disabled” under the pre-ADAAA
definition of “disability,” her present claim has been “made possible” by the ADAAA’s revised
definition of “disability.” See Jones, 541 U.S. at 382–83. Plaintiff is therefore entitled to the
four-year statute of limitations in the CJRA. See id. Accordingly, because Plaintiff filed her
complaint in the present case approximately eleven months after she was terminated, (see ECF
Nos. 1, 40-11), her Rehabilitation Act claim is not barred by the statute of limitations.
2. Discussion
The Court will next examine the merits of Plaintiff’s failure to accommodate claim
under the Rehabilitation Act. “Disability discrimination may be proven through direct and
indirect evidence or through the McDonnell Douglas5 burden-shifting framework.” Jacobs, 780
F.3d at 572 (footnote added). Plaintiff does not appear to point to any direct or indirect
evidence of discrimination in her brief, instead opting to address the factors of her prima facie
case. (ECF No. 40 at 15.) Therefore, the Court will address Plaintiff’s claim under the
McDonnell Douglas framework.
4
Further, to the extent that Defendant argues that Plaintiff was substantially limited in the major life
activity of working, Plaintiff found another job at UPS approximately nine months after she was
terminated by Defendant. (See ECF No. 40-2 at 7.) At the time of Plaintiff’s deposition, she had
worked at UPS for over two years and had been promoted twice. (Id. at 7–10.) This shows that,
under the pre-ADAAA definition of disability, Plaintiff was not substantially limited in the major life
activity of “working,” see Pollard, 281 F.3d at 471 (“In order to be substantially limited in the major life
activity of working, ‘one must be precluded from more than one type of job, a specialized job, or a
particular job of choice.’ . . . An individual must demonstrate that she is unable to work in a broad
range of jobs.” (quoting Sutton v. United Air Lines, 527 U.S. 471, 491–92 (1999))).
5
McDonnell Douglas Corp. v. Green, 411 U.S. 792 (1973).
13
Under the McDonnell Douglas burden-shifting framework, the plaintiff has the initial
burden of proving, by a preponderance of the evidence, a prima facie case of discrimination.
Ennis v. Nat’l Ass’n of Bus. & Educ. Radio, Inc., 53 F.3d 55, 58 (4th Cir. 1995). If the plaintiff
succeeds, “the burden shifts to the defendant to articulate some legitimate, nondiscriminatory
explanation which, if believed by the trier of fact, would support a finding that unlawful
discrimination was not the cause of the employment action.” Id. Should the defendant satisfy
its burden of production, the plaintiff has the final burden to persuade the factfinder that “the
legitimate reasons offered by the defendant were not its true reasons, but were a pretext for
discrimination.” Tex. Dep’t of Cmty. Affairs v. Burdine, 450 U.S. 248, 253 (1981).
Employment discrimination claims for failure to accommodate brought under the
Rehabilitation Act are evaluated using the same standards as those applied under Title I of the
ADA. Reyazuddin v. Montgomery Cty., 789 F.3d 407, 413 (4th Cir. 2015). To establish a prima
facie case for a failure to accommodate claim, a plaintiff must show “(1) that [s]he was an
individual who had a disability within the meaning of the statute; (2) that the [employer] had
notice of [her] disability; (3) that with reasonable accommodation [s]he could perform the
essential functions of the position . . . ; and (4) that the [employer] refused to make such
accommodations.” Wilson v. Dollar Gen. Corp., 717 F.3d 337, 345 (4th Cir. 2013) (second, fifth,
and sixth alterations in original) (quoting Rhoads v. Fed. Deposit Ins. Corp., 257 F.3d 373, 387
n.11 (4th Cir. 2001)). The burden of establishing a prima facie case of discrimination based
on disability is “not onerous.” Ennis, 53 F.3d at 59 (quoting Burdine, 450 U.S. at 253).
Defendant argues that Plaintiff cannot show the final two factors of the prima facie
case. (ECF No. 34 at 18–23.) Specifically, Defendant argues that “Plaintiff refused to engage
14
in the interactive process” to identify a reasonable accommodation and that “Plaintiff cannot
show that any reasonable accommodation would have allowed her to perform the essential
functions of her job.” (Id. at 18, 21.) Plaintiff argues in response that Defendant was at fault
for the breakdown in the interactive process to identify a reasonable accommodation and that
Plaintiff had identified two reasonable accommodations that would have allowed her to return
to work. (ECF No. 40 at 15, 17.)
a. Breakdown in the Interactive Process
“The duty to engage in an interactive process to identify a reasonable accommodation
is generally triggered when an employee communicates to [her] employer [her] disability and
[her] desire for an accommodation for that disability.” Wilson, 717 F.3d at 346–47. “This
process should identify the precise limitations resulting from the disability and potential
reasonable accommodations that could overcome those limitations.” 29 C.F.R. § 1630.2(o)(3).
For the interactive process to be effective, it requires “bilateral cooperation, open
communication, and good faith.” Allen v. City of Raleigh, 140 F. Supp. 3d 470, 483 (E.D.N.C.
2015). As the Fourth Circuit has noted:
[N]either party should be able to cause a breakdown in the
process for the purpose of either avoiding or inflicting liability.
Rather, courts should look for signs of failure to participate in
good faith or failure by one of the parties to make reasonable
efforts to help the other party determine what specific
accommodations are necessary. A party that obstructs or delays
the interactive process is not acting in good faith. A party that
fails to communicate, by way of initiation or response, may also
be acting in bad faith. In essence, courts should attempt to isolate
the cause of the breakdown and then assign responsibility.
Crabill v. Charlotte Mecklenburg Bd. of Educ., 423 F. App’x 314, 323 (4th Cir. 2011) (quoting Beck
v. Univ. of Wis. Bd. of Regents, 75 F.3d 1130, 1135–36 (7th Cir. 1996)).
15
“During the interactive process, an employer may request and require that the
employee provide sufficient medical documentation.” Allen, 140 F. Supp. 3d at 485 (internal
quotation marks omitted). An employer may ask for documentation that “(1) describes the
nature, severity, and duration of the employee’s impairment, the activity or activities that the
impairment limits, and the extent to which the impairment limits the employee’s ability to
perform the activity or activities; and, (2) substantiates why the requested reasonable
accommodation is needed.” U.S. Equal Emp’t Opportunity Comm’n, EEOC Notice No.
915.002, Enforcement Guidance: Disability-Related Inquiries and Medical Examinations of
Employees under the Americans with Disabilities Act (ADA), 2000 WL 33407181, at *10 (July
27, 2000) [hereinafter “EEOC Guidance”].
In this case, Plaintiff learned on January 22, 2016, that her second FFDE found that
she was “not fit for duty.” (ECF No. 34-7 ¶ 30; ECF No. 34-2 at 52.) In a phone conversation
that day with Chief Jeffrey McCracken, Chief McCracken suggested that Plaintiff “contact [the
Office of Human Resources] to discuss her available options, including short-term disability
or a work accommodation under the [ADA].” (ECF No. 34-7 ¶ 30.) Pursuant to Defendant’s
instructions, Plaintiff completed and sent to Defendant on January 28, 2016, forms entitled
“Voluntary Self-Identification of Disability,” “Health Care Provider—Medical Information
Release Form,” and “Accommodation Request Form.” (ECF No. 40-9.) When she submitted
those forms, she wrote that she would “have the medical form returned to you as soon as the
doctor makes available after the appointment on Tuesday.” (Id. at 1.) Plaintiff never submitted
her medical documentation of disability. (ECF No. 34-1 at 85.) Instead, Plaintiff requested
that Dr. Sara Marcus, the FMRT psychologist who conducted her second FFDE, complete
16
her documentation of disability “[b]ecause she is the one who said [Plaintiff] was not fit to
return to work and claimed that [Plaintiff] needed further . . . treatment.” (Id.) Following
Plaintiff’s refusal to provide documentation of her disability from her healthcare provider,
Defendant terminated Plaintiff effective March 4, 2016. (ECF No. 40-11 at 2.)
Defendant was entitled to request that Plaintiff provide additional medical
documentation of her disability, beyond the FFDE report and her physician’s note that
purported to allow her to return to work. See Allen, 140 F. Supp. 3d at 485; EEOC Guidance,
at *10. The FFDE process “is limited to whether the employee is fit for duty as of the date
of evaluation,” and “does not . . . endeavor to precisely predict when and under what
conditions the employee might be fit for full duty.” (ECF No. 34-11 ¶ 5(d).) Further, the
FFDE process does not create a “doctor-patient” relationship, and the forms that Plaintiff
signed before both FFDE’s acknowledged that fact. (Id. at 41, 47.) Because of its limited
scope, Plaintiff’s FFDE report did not contain information regarding the “nature, severity,
and duration of the employee’s impairment.” EEOC Guidance at *10. Therefore, Defendant
was entitled to request that Plaintiff provide such additional information to ascertain whether
a reasonable accommodation would allow Plaintiff to return to work. See id.
Plaintiff appears to conflate being found “not fit for duty” with a determination that
she is disabled, under the ADA and Rehabilitation Act. (See ECF No. 40 at 17.) While there
may be some overlap in these considerations, they are not the same. A FFDE focuses on the
narrow question of whether the employee is fit for duty for the specific job in question. (ECF
No. 34-11 ¶ 5(h); see id. ¶ 7.) In contrast, an employee is considered “disabled” if she is
“substantially limit[ed] [in] one or more major life activities.” 42 U.S.C. § 12102(1)(A).
17
Therefore, it is entirely possible that an employee may be considered “not fit for duty” while,
at the same time, not be considered “disabled,” especially for such a physically and
psychologically demanding position as police officer. See Boitnott v. Corning Inc., 669 F.3d 172,
175 (4th Cir. 2012) (“[T]he inability to perform a single, particular job does not constitute a
substantial limitation in the major life activity of working.” (internal quotation marks omitted)).
This disconnect between the FFDE findings and whether an employee is considered
“disabled” under the Rehabilitation Act further underscores the need for Plaintiff to provide
independent medical documentation of her disability.
Plaintiff also appears to shift the burden of gathering the necessary medical information
onto Defendant, arguing, “Defendant, who had the ability to speak to either the FMRT Group
or Boone’s doctor, refused to speak to either.” (ECF No. 40 at 17.) Plaintiff does not point
to any authority that places the burden to gather information regarding the “nature, severity,
and duration of the employee’s impairment” on the defendant. (See id. at 16–17.) Instead,
Plaintiff criticizes Defendant for “following the Second FMRT Report over Boone’s doctor
in disallowing Boone to return to work.” (Id. at 17.) Plaintiff does not, however, reconcile
the fact that she neither informed her healthcare provider, Nurse McCain, about her sexual
assault nor sought treatment from a licensed mental health practitioner to address her trauma,
as recommended by Nurse McCain and her second FMRT evaluator. (See ECF No. 34-1 at
50; ECF No. 34-5 at 18, 22–23; ECF No. 34-11 at 50.) Thus, at the time of her termination
by UNC, more than nine months had passed from the date of her trauma without any
treatment by a licensed psychologist. (ECF No. 34-1 at 44–45; ECF No. 40-11.)
18
In conclusion, the evidence, taken in the light most favorable to Plaintiff, fails to
establish that Defendant was responsible for the breakdown in the interactive process when it
requested Plaintiff to provide medical information that would allow it to determine whether
an accommodation would allow Plaintiff to return to work. Rather, based on the evidence in
the record, it was Plaintiff’s failure to adequately address her trauma and provide the required
documents to Defendant that lead to the breakdown in the interactive process. Accordingly,
Plaintiff has failed to establish that Defendant “refused to provide” an accommodation, an
essential element of her prima facie case. See Wilson, 717 F.3d at 346–47.
b. Reasonable Accommodation
Although the interactive process broke down before the parties could ascertain
whether a reasonable accommodation existed, Defendant argues that no reasonable
accommodation would have allowed Plaintiff to perform the essential functions of her
position.
(ECF No. 34 at 21.)
Plaintiff argues that she suggested two reasonable
accommodations, leave or light duty, which would have allowed her to perform the essential
functions of her position. (ECF No. 40 at 18.)
“[T]he interactive process is not an end in itself,” and an employer who interfered in
the interactive process “will not be held liable if the employee cannot identify a reasonable
accommodation that would have been possible.” Wilson, 717 F.3d at 347 (internal quotation
marks omitted). The plaintiff bears the burden of identifying an accommodation that would
allow her to perform the essential functions of her position, as well as “the ultimate burden of
persuasion with respect to demonstrating that such an accommodation is reasonable.” Shin v.
Univ. of Md. Med. Sys. Corp., 369 F. App’x 472, 481 (4th Cir. 2010). Indefinite leave is not
19
considered a “reasonable accommodation” under the ADA or Rehabilitation Act. See Wilson,
717 F.3d at 346 n.8 (“In leave cases, the accommodation must be for a finite period of leave.”
(emphasis omitted)); Halpern v. Wake Forest Univ. Health Sci., 669 F.3d 454, 465 (4th Cir. 2012)
(“[T]he Rehabilitation Act and ADA do not require an employer to give a disabled employee
‘an indefinite period of time to correct [a] disabling condition’ that renders him unqualified.”
(second alteration in original) (quoting Myers v. Hose, 50 F.3d 278, 280 (4th Cir. 1995))).
Further, “permanent light duty” is not a reasonable accommodation, especially when it would
require the employer to “reallocate job duties in order to change the essential functions of a
job” or “hire an additional person to perform an essential function of a disabled employee’s
position.” Shin, 369 F. App’x at 482; see also Crabill, 423 F. App’x at 323.
Plaintiff has failed to point to particular parts of the record that would indicate that any
reasonable accommodation would have allowed her to perform the essential functions of her
position. Plaintiff never identified a length of leave that would have allowed her to return to
perform the essential functions of her position. When she was terminated on March 4, 2016,
Plaintiff had already received eleven weeks of unpaid leave, in addition to her FMLA leave,
which expired on December 18, 2015. (ECF No. 34-2 at 48; ECF No. 40-11.) Instead, she
places the blame on Defendant, arguing that “a deeper involvement in the interactive process
by Defendant would have likely resulted in a date certain for her return from light duty or
leave.” (ECF No. 40 at 18.) Other than Plaintiff’s opinion that the parties would have found
a date that she could return from leave, Plaintiff points to no other portion of the record that
shows that any period of leave would have allowed her to return to her position as an active
duty police officer. Although Plaintiff points to her work history since her termination, her
20
current position of working part-time at UPS does not provide any support to her contention
that she would have been able to return to her old position as a police officer at UNC at any
specific time. (See ECF No. 40-2 at 7–10.) Therefore, Plaintiff has failed to point to sufficient
evidence showing that any period of leave would have been a reasonable accommodation.
Further, light duty would not have been a reasonable accommodation for Plaintiff.
Much like her suggestion for leave, Plaintiff did not provide a prospective end date for her
light duty. (See ECF No. 40-5 at 13–14.) Nor would assigning Plaintiff to permanent light
duty serve as a reasonable accommodation, because it would have forced Defendant to hire
another worker to fulfill Plaintiff’s essential duties. (See ECF No. 34-8 at 7–8.) Specifically,
Chief McCracken stated:
Q. Is it a particular hardship to the department to have an officer
on light duty?
A. So it is a strain on the staff, certainly. So if an officer is taken
out of the lineup, so to speak, to work light duty, there could be
times when we would have to have an officer work on their day
off to cover what they would ordinarily be doing on a regular
shift.
Q. Is it a manageable variety of strain?
A. So, you know, I guess that’s a relative term. That depends on
the length of time, what other impact that individual’s particular
working that might already be undergoing, it could certainly vary.
(Id.) In light of Chief McCracken’s testimony that having Plaintiff on permanent light duty
would be a “strain on the staff,” Defendant is not required to offer permanent light duty as a
reasonable accommodation. See Shin, 369 F. App’x at 482. Therefore, Plaintiff has failed to
show that she proposed a reasonable accommodation that would have allowed her to perform
21
the essential functions of her position, and thus she has failed to establish another element of
her prima facie case of disability discrimination. See Wilson, 717 F.3d at 345.
Plaintiff has therefore failed to establish two essential elements of her prima facie case
of failure to accommodate under the Rehabilitation Act. Accordingly, there is no genuine
dispute of material fact with respect to her claim, and Defendant is entitled to judgment as a
matter of law.
C. FMLA Retaliation
Defendant also argues that it is entitled to summary judgment on Plaintiff’s claim for
FMLA retaliation. (ECF No. 34 at 23–26.) FMLA retaliation claims are similar to those under
Title VII and are analyzed under the McDonnell Douglas burden-shifting framework. Yashenko
v. Harrah’s NC Casino Co., 446 F.3d 541, 550–51 (4th Cir. 2006). To establish her retaliation
claim, Plaintiff must first demonstrate a prima facie case showing that “[s]he engaged in
protected activity, that the employer took adverse action against [her], and that the adverse
action was causally connected to the plaintiff’s protected activity.” Id. at 551 (quoting Cline v.
Wal-Mart Stores, Inc., 144 F.3d 294, 301 (4th Cir. 1998)). If Plaintiff succeeds in showing a
prima facie case and Defendant “offers a non-discriminatory explanation” for the adverse
action, then Plaintiff “bears the burden of establishing that the employer’s proffered
explanation is pretext for FMLA retaliation.” Id. (quoting Nichols v. Ashland Hosp. Corp., 251
F.3d 496, 502 (4th Cir. 2001)).
Defendant argues that Plaintiff cannot show any causal connection between her
protected activity of taking FMLA leave and the adverse action taken, when Plaintiff was
terminated. (ECF No. 34 at 23–26.) Plaintiff argues in response that she satisfies the causation
22
element of the prima facie case by temporal proximity between her protected activity and the
adverse action taken against her. (ECF No. 40 at 19–20.)
While close temporal proximity “far from conclusively establishes the requisite causal
connection, it certainly satisfies the less onerous burden of making a prima facie case of
causality.” Mercer v. Arc of Prince Georges Cty, Inc., 532 F. App’x 392, 398 (4th Cir. 2013) (quoting
Yashenko, 446 F.3d at 551); see also Carter v. Ball, 33 F.3d 450, 460 (4th Cir. 1994) (discussing
that close temporal proximity may be “strongly suggestive of retaliatory motive and thus
indirect proof of causation”). Although neither the Supreme Court nor the Fourth Circuit has
“adopted a bright temporal line,” courts have held that an adverse action taken ten weeks after
a protected activity is not close enough in time to support a finding of causation, absent
additional evidence of retaliation. Perry v. Kappos, 489 F. App’x 637, 643 (4th Cir. 2012); see also
Clark Cty. Sch. Dist. v. Breeden, 532 U.S. 268, 273–74 (2001) (citing cases holding that a threemonth period is insufficient to show causation); but see King v. Rumsfeld, 328 F.3d 145, 151 n.5
(4th Cir. 2003) (holding that a two-month and two-week period would typically “weaken
significantly the inference of causation,” but did not in that case given the “particular
employment situation”). If the protected activity and the adverse employment action are not
sufficiently close in time, then a plaintiff must introduce “additional evidence of retaliation”
to demonstrate causation. Perry, 489 F. App’x at 643.
In her brief opposing Defendant’s motion for summary judgment, Plaintiff, for the
first time, appears to argue that her second FFDE, which occurred on January 8, 2016, (ECF
No. 34-11 at 48), was the “adverse action” that this Court should consider in evaluating her
FMLA retaliation claim. (ECF No. 40 at 20.) However, in Plaintiff’s complaint and in her
23
deposition, Plaintiff had argued that her termination, which occurred on March 4, 2016, was
the “adverse action.” (ECF No. 1 ¶ 60; ECF No. 42-1 at 2.)
Assuming Plaintiff’s second FFDE were considered the “adverse action,” then the
temporal proximity between the expiration of her FMLA leave on December 18, 2015, and
the FFDE on January 8, 2016, would certainly be sufficient for Plaintiff’s prima facie case. See
Mercer, 532 F. App’x at 394, 398. If, on the other hand, Plaintiff’s termination is considered
the “adverse action,” then the approximately eleven weeks between the expiration of her
FMLA leave and her termination would be insufficient, without additional evidence, to satisfy
Plaintiff’s prima facie case. See Perry, 489 F. App’x at 643; (ECF No. 34-2 at 48; ECF No. 4011).
Nevertheless, regardless of whether the “adverse action” is the second FFDE6 or
Plaintiff’s termination, Plaintiff must also show that Defendant’s proffered nondiscriminatory
reason for its actions is pretext for FMLA retaliation. See Yashenko, 446 F.3d at 551. The
plaintiff bears the “ultimate burden of persuading the court that [she] has been the victim of
intentional [retaliation].” Foster v. Univ. of Md.-E. Shore, 787 F.3d 243, 252 (4th Cir. 2015)
(alterations in original) (quoting Hill v. Lockheed Martin Logistics Mgmt., Inc., 354 F.3d 277, 285
(4th Cir. 2004)).
6
This is also assuming, without deciding, that the second FFDE could be considered an “adverse
action.” For retaliation claims, an “adverse action” is one that “would have been materially adverse
to a reasonable employee.” Adams v. Anne Arundel Cty. Pub. Sch., 789 F.3d 422, 431 (4th Cir. 2015)
(quoting Burlington N. & Santa Fe Ry. Co. v. White, 548 U.S. 53, 57 (2006)); see also Honor v. Booz-Allen
& Hamilton, Inc., 383 F.3d 180, 188 (4th Cir. 2004) (“Adverse employment actions include any
retaliatory act . . . if that act . . . results in an adverse effect on the terms, conditions, or benefits of
employment.”).
24
For purposes of the FFDE, Plaintiff cannot show that Defendant required Plaintiff to
submit to a FFDE for any retaliatory purpose. Under the ADA, employers are permitted to
ask employees to provide certification that they are medically fit for duty. See Porter v. U.S.
Alumoweld Co., 125 F.3d 243, 246 (4th Cir. 1997) (interpreting 42 U.S.C. § 12112(d)(4)).
Defendant’s stated reason for requiring that Plaintiff undergo a second FFDE was because
“FMRT had previously found her to be psychologically unfit for duty.” (ECF No. 34-7 ¶ 27.)
Plaintiff points to no other evidence in the record that would indicate that Defendant’s request
that Plaintiff complete a second FFDE was in retaliation to Plaintiff’s exercise of her FMLA
leave.
Further, Defendant’s stated reason for ultimately terminating Plaintiff was “[h]er
unavailability” and not because she exercised FMLA leave. (ECF No. 40-4 at 7–8.) Before
Plaintiff was terminated, she was given one month of paid leave and approximately eleven
weeks of unpaid leave, in addition to her required amount of FMLA leave. (See ECF No. 342 at 41, 48; ECF No. 40-11.) In that time, as stated above, Plaintiff did not submit the
requested medical information to allow the parties to determine whether a reasonable
accommodation existed that would allow her to return to her position. (See ECF No. 40-11
at 2.)
Plaintiff’s arguments for her FMLA retaliation claim essentially re-hash her arguments
for discrimination under the Rehabilitation Act, arguing that Defendant’s “manufactured
reason for termination indicates an ulterior motive and shows that Defendant intended to
terminate Plaintiff rather than allowing her to return from her FMLA leave.” (ECF No. 40 at
22.) Plaintiff does not otherwise point to any evidence for a reasonable juror to find that
25
Defendant’s non-retaliatory reasons for terminating Plaintiff or requiring her to complete a
second FFDE were pretext for retaliation. (See id.) At the summary judgment stage, Plaintiff
“cannot rely upon ‘mere speculation or the building of one inference upon another’ to
establish that [s]he was fired in retaliation for taking FMLA leave.” Sharif v. United Airlines,
Inc., 841 F.3d 199, 204 (4th Cir. 2016) (quoting Othentec Ltd. v. Phelan, 526 F.3d 135, 140 (4th
Cir. 2008)). Because Plaintiff provides nothing but “mere speculation” regarding Defendant’s
retaliatory intent, Defendant is entitled to summary judgment regarding Plaintiff’s FMLA
retaliation claim.
IV.
CONCLUSION
Plaintiff’s motion to seal will be granted. Further, the Court finds that although
Plaintiff’s Rehabilitation Act claim is not barred by the statute of limitations, Defendant is
entitled to summary judgment on that claim. Defendant is also entitled to summary judgment
on Plaintiff’s FMLA retaliation claim.
[ORDER TO FOLLOW ON NEXT PAGE]
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For the reasons outlined herein, the Court enters the following:
ORDER
IT IS THEREFORE ORDERED that Defendant’s Motion to Seal, (ECF No. 35), is
GRANTED. The documents initially filed under seal, (ECF Nos. 37-1 to 37-4), shall be
permanently sealed.
IT IS FURTHER ORDERED that Defendant’s Motion for Summary Judgment, (ECF
No. 33), is GRANTED, and Plaintiff’s remaining claims against Defendant are hereby
DISMISSED WITH PREJUDICE.
A Judgment dismissing this action will be entered contemporaneously with this Order.
This, the 17th day of June 2019.
/s/ Loretta C. Biggs
United States District Judge
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