Martin v. Felbry College, LLC et al
Filing
76
OPINION AND ORDER DENYING Defendants' 66 Motion for Summary Judgment. Defendants' Counterclaim 15 is dismissed. Signed by Judge Sarah D. Morrison on 9/3/2020. (tb)
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UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF OHIO
EASTERN DIVISION
MICHAEL MARTIN,
Plaintiff,
:
Case No. 2:18-cv-404
-vs-
Judge Sarah D. Morrison
Magistrate Judge Chelsey M. Vascura
FELBRY COLLEGE, LLC, et al.,
:
Defendants.
OPINION AND ORDER
This matter is before the Court on Defendants Felbry College, LLC, and Feyisayo
Tolani’s Motion for Summary Judgment (ECF No. 66), Plaintiff Michael Martin’s Memorandum
in Opposition (ECF No. 72), and Defendants’ Reply (ECF No. 74). For the reasons stated herein,
Defendants’ Motion is DENIED.
I.
RELEVANT BACKGROUND
Plaintiff Michael Martin worked for Defendant Felbry College, LLC (“Felbry”), from
July 2017 through February 2018 as the Clinical Coordinator. (Martin Decl., ¶ 4, ECF No. 72-2.)
Felbry is an accredited nursing college located in Ohio. (Tolani Decl., ¶ 4, ECF No. 67-1.)
Defendant Feyisayo Tolani is the founder, sole owner, and Chief Executive Officer of Felbry.
(Tolani Decl., ¶ 1; Tolani Depo., 42, 67, ECF Nos. 61, 62.)
According to Mr. Martin, he signed a document near the beginning of his tenure that
accurately illustrates his job duties as Clinical Coordinator. (Martin Depo., 28, ECF No. 63.) The
“Job Summary” in that document provides:
The Clinical Coordinator serves as a liaison between Felbry College and all clinical
partners, is responsible for maintaining correspondence between clinical agencies,
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working with the Director of Nursing and Program Administrator to ensure clinical
compliance with all regulatory and accrediting bodies.
(Defs. Ex. B, ECF No. 66-6.) The “Job Responsibilities” are listed as:
Clinical Partners
• Establishes and maintains positive working relationships with clinical agency
management and staff
• Works with the Director of Nursing to secure appropriate clinical sites
• Prepares reports and documents for clinical partners as needed
Compliance
• Reviews and tracks student files for compliance with state board of nursing
and clinical agency requirements. Collaborates with students and faculty to
resolve discrepancies and reports results to the Director of Nursing
• Ensures all immunization and medical documents are filed/scanned and
monitored as needed, with assistance from the Director of Nursing for
interpretation as needed
Orientation
• Provides basic site orientation to new clinical faculty, arranges additional
orientation with facility staff as needed
Scheduling
• Works with Registrar and Director of Nursing to create and manage student
clinical assignments
Administrative
• Attends all administrative meetings as required
• Maintains confidentiality of student records at all times
• Attends and participates in new student orientations
• Performs other duties as requested
(Id.) Mr. Martin explained that the allocation of his days at Felbry were approximately two hours
meeting with students and six hours scheduling and following up with student files and clinical
sites. (Martin Depo., 38.)
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During Mr. Martin’s employment at Felbry, Camden Seal was his direct supervisor; she
was the Director of Nursing, and later took on the title of Program Administrator. (Tolani Depo.,
76; Martin Depo., 22, 58.) Ms. Seal described Mr. Martin’s job responsibilities as facilitating
new clinical affiliates, developing partnerships with clinical groups, assisting in scheduling,
assisting with clinical compliance, being available to meet with students, and scheduling clinical
assignments. (Seal Depo., 24, 86.) Mr. Martin was also responsible for making sure each
student’s health records were up to date. (Id. at 27.) On a day-to-day basis, Mr. Martin was to
maintain the clinical schedule, audit student files for clinical compliance, make phone calls and
site visits to clinical facilities, and ensure staffing was in place. (Id. at 33.) According to Ms.
Seal, Mr. Martin did not have any job duty that was primary or more important than another. (Id.
at 32.) However, Mr. Martin stated that his primary duty was to “audit students’ clinical files for
completeness and compliance.” (Martin Decl., ¶ 8.)
Since Mr. Martin had no prior clinical coordination experience, if there was an issue at a
clinical site, he would work with Ms. Seal to resolve it; the goal being that eventually he could
handle it on his own. (Seal Depo., 34.) Ms. Seal assisted him with a few initial site visits and
after that “he was the one developing those relationships.” (Id. at 35–36.) That included,
scheduling a time to meet with the director of nursing at the site, taking literature, and
completing contract paperwork—that Ms. Seal prepared and signed— when applicable. (Id. at
35–38.) Ms. Seal and Mr. Martin disagree on whether Mr. Martin picked out clinical sites to
visit, they picked out clinical sites for Mr. Martin to visit together, or Ms. Seal selected those on
her own. (Id. at 36–37; Martin Decl., ¶ 12.) Ms. Seal also stated that Ms. Tolani would
occasionally offer input on what clinical sites to select. (Seal Depo., 37.) But there is no dispute
that Mr. Martin could not finalize or modify a clinical site contract without approval from Ms.
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Seal. (Id. at 39; Martin Decl., ¶¶ 13, 16.) Ms. Seal believes that Plaintiff procured one clinical
site contract on his own before he was terminated. (Seal Depo., 37.)
According to Ms. Seal, she helped Mr. Martin develop step-by-step instructions and
checklists for how to accomplish certain job responsibilities, including making sure student files
met the accreditation standards. (Id. at 26, 42.) Mr. Martin claims he had no input in making or
modifying such checklists. (Martin Decl., ¶¶ 9–10.) If a student file was not compliant or missing
something, Mr. Martin would confer with Ms. Seal or the administrative office to determine next
steps. (Seal Depo., 43–44.) Ms. Seal acknowledged that to some degree, “there was a set group
of policies and procedures that [were] already established” that Mr. Martin was to follow. (Id. at
39–40.) She explained that “[Mr. Martin] didn’t always do what I asked. Often, he would tell me
that, well, that just doesn’t make any sense, and this is how I did it. So it would be kind of a
circular argument of, but there’s a reason I asked for it this way.” (Id. at 26.) She would then try
to “redirect [him] back to what had been set forth for him.” (Id. at 26–27.)
Ms. Tolani claims that at the end of his employment, Mr. Martin gave a student a copy of
his entire student record. (Tolani Depo., 202, 205.) This was a violation of Felbry policy because
students were required to go to the registrar’s office to request anything they needed from their
student file. (Id. at 203.) This usually required filling out a form, depending on the request. (Seal
Depo., 45.) Ms. Seal also believes that Mr. Martin turned over an entire student file. (Id. at 50–
51.) Mr. Martin told Ms. Seal it was the student’s file, “and he has every damn right to it that he
wants.” (Id. at 76.)
On the other side, Mr. Martin says he could not have given a student his entire file
because he only had access to the clinical portions of the student files, not the administrative
portions. (Martin Depo., 22, 160–61.) This was confirmed by Ms. Seal. (Seal Depo., 46.) Mr.
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Martin did acknowledge that he provided a student with a copy of his Federal Bureau of
Investigation (“FBI”) and Bureau of Criminal Investigation (“BCI”) background check. (Martin
Depo., 160–61.) He points to a dissemination log that he claims he had the student sign in order
to obtain these records. (Martin Decl., ¶¶ 22–24, 26; Pl. Ex. W, ECF No. 73.) However,
according to Ms. Seal, Felbry did not provide students with copies of their BCI or FBI
background checks because they could request those on their own through the agency websites.
(Seal Depo., 48–49.)
Mr. Martin was terminated from Felbry because he “couldn’t follow policy, couldn’t
follow direction.” (Id. at 98.)
On April 27, 2018, Plaintiff filed a Complaint alleging two counts of failure to pay, in
violation of 29 U.S.C. § 207 (the “Fair Labor Standards Act”) and Ohio Revised Code § 4111.3
(the “Ohio Minimum Fair Wage Standards Act”), and one count of untimely payment of wages,
in violation of Ohio Revised Code § 4113.15 (the “Prompt Pay Act”). (ECF No. 1.) On July 11,
Defendants filed an Answer and Counterclaim, alleging that Plaintiff violated the Ohio Uniform
Trade Secrets Act. (ECF No. 15.)
II.
STANDARD OF REVIEW
Summary judgment is appropriate when “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). The
movant has the burden of “identifying those parts of the record that demonstrate an absence of
any genuine issue of material fact.” Moldowan v. City of Warren, 578 F.3d 351, 374 (6th Cir.
2009); Celotex Corp. v. Catrett, 477 U.S. 317, 322–23 (1986). The burden then shifts to the
nonmoving party to “‘set forth specific facts showing that there is a genuine issue for trial.’”
Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 250 (1986) (quoting Fed. R. Civ. P. 56). The non-
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moving party “may not rest upon its mere allegations or denials of the adverse party’s pleadings,
but rather must set forth specific facts showing that there is a genuine issue for trial.” Moldowan,
578 F.3d at 374.
When evaluating a motion for summary judgment, the evidence must be viewed in the
light most favorable to the non-moving party. Adickes v. S.H. Kress & Co., 398 U.S. 144, 157
(1970). A genuine issue exists if the nonmoving party can present “significant probative
evidence” to show that “there is [more than] some metaphysical doubt as to the material facts.”
Moore v. Philip Morris Cos., 8 F.3d 335, 339–40 (6th Cir. 1993). In other words, “the evidence
is such that a reasonable jury could return a verdict for the nonmoving party.” Anderson, 477
U.S. at 248; see also Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 587
(1986) (concluding that summary judgment is appropriate when the evidence could not lead the
trier of fact to find for the non-moving party).
III.
ANALYSIS
A.
Administrative Exemption
Defendants argue that Mr. Martin’s claims fail because the Clinical Coordinator position
at Felbry College meets the criteria for the administrative exemption under the Fair Labor
Standards Act (“FLSA”) and the analogous Ohio statutes. 1 Mr. Martin responds that Defendants
waived the administrative exemption defense because they failed to raise it in their Answer, and
even if they did not, the exemption does not apply to him.
1.
Waiver
The administrative exemption is an affirmative defense, and as such, Fed. R. Civ. P. 8(c)
1
The analysis for whether the administrative exemption applies under the FLSA and
Ohio law are the same.
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generally requires that it be raised in the first responsive pleading or it is deemed waived. Orton
v. Johnny’s Lunch Franchise, LLC, 668 F.3d 843, 846 (6th Cir. 2012). However, the “failure to
raise an affirmative defense by responsive pleading does not always result in waiver of the
defense—such as, when the plaintiff receives notice of the affirmative defense by some other
means.” Seals v. General Motors Corp., 546 F.3d 766, 770 (6th Cir. 2008).
The Court recognizes that Defendants failed to raise the administrative exemption as an
affirmative defense in their Answer. While not advisable, in this instance it is not fatal. In
reviewing the depositions filed and the exhibits attached in support of and in opposition to
Defendants’ Motion for Summary Judgment (See ECF Nos. 61–65, 66-6, 72-2), Mr. Martin was
clearly on notice that Defendants’ theory of the case relied heavily, if not solely, on the
administrative exemption defense. See Dybowski v. VCE Company LLC, 654 F’Appx 210, 216
(6th Cir. 2016). Thus, the Court finds that the administrative exemption defense is not waived
and will consider the substantive arguments on its application.
2.
Application
The FLSA requires employers to pay certain employees time-and-a-half for hours worked
in excess of 40 hours a week. 29 U.S.C. § 207. However, the FLSA exempts from this
requirement, employees who are “bona fide executive, administrative, or professional capacity”
employees. Orton, 668 F.3d at 846 (internal quotations omitted). The operative Department of
Labor regulation provides that an “employee employed in a bona fide administrative capacity” is
one who is:
(1) Compensated . . . at a rate of not less than $684 per week . . . ;
(2) Whose primary duty is the performance of office or non-manual work directly
related to the management of general business operations of the employer or the
employer’s customers; and
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(3) Whose primary duty includes the exercise of discretion or independent
judgment with respect to matters of significance.
29 C.F.R. § 541.200(a). “The exemption is to be narrowly construed against the employer, and
the employer bears the burden of proving each element by a preponderance of the evidence.”
Perry v. Randstad General Partner (US) LLC, 876 F.3d 191, 196 (6th Cir. 2017) (internal
quotations omitted). Here, Plaintiff only contests the third element.
“In general, the exercise of discretion and independent judgment involves the
comparison and the evaluation of possible courses of conduct, and acting or making a decision
after the various possibilities have been considered.” 29 C.F.R. § 541.202(a). This consideration
must be determined “in the light of all the facts involved in the particular employment situation
in which the question arises.” Id. § 541.202(b). Additionally, “[t]he exercise of discretion and
independent judgment implies that the employee has authority to make an independent choice,
free from immediate direction or supervision. However, employees can exercise discretion and
independent judgment even if their decisions or recommendations are reviewed at a higher
level.” Id. § 541.202(c). On the other hand, “[t]he exercise of discretion and independent
judgment must be more than the use of skill in applying well-established techniques, procedures
or specific standards described in manuals or other sources.” Id. § 541.202(e).“The exercise of
discretion and independent judgment also does not include clerical or secretarial work, recording
or tabulating data, or performing other mechanical, repetitive, recurrent or routine work.” Id.
Plaintiff’s “primary duty” is what matters for purposes of the administrative exemption.
Id. § 541.200(a)(3).
The term “primary duty” means the principal, main, major or most important duty
that the employee performs. Determination of an employee’s primary duty must be
based on all the facts in a particular case, with the major emphasis on the character
of the employee’s job as a whole. Factors to consider when determining the primary
duty of an employee include, but are not limited to, the relative importance of the
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exempt duties as compared with other types of duties; the amount of time spent
performing exempt work; the employee’s relative freedom from direct supervision;
and the relationship between the employee’s salary and the wages paid to other
employees for the kind of nonexempt work performed by the employee.
Id. § 541.700(a). “[D]etermining what an employee’s primary duties are and whether they are
covered by an administrative exemption is a fact-intensive inquiry.” Perry, 876 F.3d at 200.
Defendants primarily rely on the assertion that Mr. Martin went on his own to visit
prospective clinical sites that he developed without input from Ms. Seal as evidence of his
independent judgment and discretion. (Motion, 13, ECF No. 66 (citing Defs. Ex. 14, ECF No.
66-4).) Yet, evidence in the record suggests several other possibilities: Ms. Seal and Mr. Martin
picked out clinical sites together for Mr. Martin to visit; Ms. Seal actually selected which sites
Mr. Martin would visit on her own; and Ms. Tolani helped select clinical sites. (Seal Depo., 36–
37; Martin Decl. ¶ 12.) According to Ms. Seal, Mr. Martin only procured one clinical site
contract on his own during his time at Felbry. (Seal Depo., 37); see Schaefer v. Indiana Michigan
Power Co., 358 F.3d 394, 403 (6th Cir. 2004) (explaining that the defendant must prove that the
plaintiff “customarily and regularly exercised discretion and independent judgment in the
performance of his primary duty” rather than “occasional exercises of discretion and independent
judgment”). Even then, there is no dispute that Mr. Martin could not modify or finalize that
clinical site contract without approval by Ms. Seal. (Seal Depo., 39; Martin Decl., ¶¶ 13, 16.)
There is also a discrepancy in the record as to what Mr. Martin’s primary duty as Clinical
Coordinator entailed. While Ms. Seal testified that Mr. Martin did not have one primary duty, he
testified that his primary duty was to “audit students’ clinical files for completeness and
compliance” not select and visit prospective clinical sites. (Seal Depo., 32; Martin Decl., ¶ 8.)
Ms. Seal acknowledged that with regard to this task, Mr. Martin was to use step-by-step
instructions and checklists to ensure student files met accreditation standards. (Seal Depo., 26,
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42; Martin Decl. ¶ 8.) If a student file was not compliant or missing something, Mr. Martin
would confer with Ms. Seal or the administrative office to determine next steps. (Seal Depo., 43–
44.) A reasonable trier of fact could find this to be illustrative of Mr. Martin’s “application of
skill or knowledge rather than the exercise of discretion or independent judgment.” Schaefer, 348
F.3d at 405. To the extent these instructions and checklists did contemplate “independent
judgment calls or allow[ed] for deviations,” Defendants fail to point to evidence demonstrating
such. Renfro v. Indiana Michigan Power Co., 497 F.3d 573, 577 (6th Cir. 2007).
Finally, the Court is mindful that Mr. Martin started the position with no previous
experience and thus required training and supervision in the first instance. However, Ms. Seal
acknowledged that to her dismay, Mr. Martin would regularly do things his own way, requiring
her to redirect him back to what she had set forth for him. (Seal Depo., 26–27.) When he did not
do as instructed, Ms. Seal corrected him because there was a reason she asked for things to be
done a certain way. (Id. at 26.) In the light most favorable to Mr. Martin, a reasonable juror could
find that Mr. Martin did not have authority to make independent choices, free from immediate
direction and supervision. 29 C.F.R. § 541.202(c).
There is a genuine issue of material fact both as to what Mr. Martin’s primary duty was
as Clinical Coordinator and whether this primary duty involved the exercise of discretion and
independent judgment. Accordingly, Defendants’ Motion is DENIED as to Plaintiff’s
Complaint.
B.
Ohio Uniform Trade Secrets Act
Defendants also move for summary judgment on their Counterclaim, alleging that
Plaintiff violated the Ohio Uniform Trade Secrets Act (“Ohio UTSA”) when he released a
student’s record without authorization. In order to prevail on a misappropriation-of-trade-secret
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claim, Defendants must prove: “(1) the existence of a trade secret; (2) the acquisition of a trade
secret as a result of a confidential relationship; (3) the unauthorized use of a trade secret.”
Heartland Home Fin., Inc. v. Allied Home Mortg. Capital Corp., 258 F’Appx 860, 861 (6th Cir.
2008).
Mr. Martin argues that Defendants do not have standing to bring an Ohio UTSA claim.
Constitutional standing consists of three elements:
“First, the plaintiff must have suffered an injury in fact—an invasion of a legally
protected interest which is (a) concrete and particularized, and (b) actual or
imminent, not conjectural or hypothetical. Second, there must be a causal
connection between the injury and the conduct complained of . . . . Third, it must
be likely, as opposed to merely speculative, that the injury will be redressed by a
favorable decision.”
Bench Billboard Co. v. City of Cincinnati, 675 F.3d 974, 983 (6th Cir. 2012) (quoting Lujan v.
Defenders of Wildlife, 504 U.S. 560–61 (1992)). Each element of standing must be supported in
the same way as any other matter on which a party bears the burden of proof. McKay v.
Federspiel, 823 F.3d 862, 867 (6th Cir. 2016). Here, Defendants, as the counterclaimants, bear
the burden of showing that they have standing for each type of relief sought. Id. They have not
met their burden.
Defendants complain that Mr. Martin gave a student a copy of his student file without
authorization. Even assuming that Mr. Martin violated the Ohio USTA, Defendants have
provided no evidence that they suffered any concrete injury as a result. There is no evidence that
Mr. Martin’s alleged actions interfered with Felbry’s credentialing or nursing board approval.
Rather, Defendants concede in their Motion that “[t]he impact on Felbry’s business and
credentialing is yet to be seen.” (Motion, 17–18.) Instead, they argue that this alleged violation
“could have, and arguably may still, have a significant adverse impact on Felbry.” (Id. at 17.)
However, “threatened injury must be certainly impending to constitute injury in fact, . . .
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allegations of possible future injury are not sufficient.” Clapper v. Amnesty Intern. USA, 568
U.S. 398, 409 (2013) (emphasis in original) (internal quotations omitted) .
There is no evidence of any other financial impact that Plaintiff’s actions had on Felbry.
Neither Ms. Tolani nor Ms. Seal could specify what economic damage was caused by Mr.
Martin’s alleged violation of Felbry’s policy regarding releasing student records. (Tolani Depo.,
205; Seal Depo., 76.) There is also no evidence that Mr. Martin currently possesses the student
file at issue for the Court to “enjoin[] Plaintiff . . . from misappropriating, using or disseminating
in any manner Defendant’s trade secrets.” (Answer and Counterclaim, ¶ 27, ECF No. 15; Tolani
Depo., 205 (“The student record was given to the student.”).) To the extent that Defendants
allege in their Counterclaim that Plaintiff took other business documents with him when he was
terminated, that argument has since been abandoned. (Motion, 17, (“The question for this Court
is . . . whether the disclosure of the student records was a violation.”).)
Accordingly, Defendants lack standing to bring their Ohio USTA claim, and the Court
lacks subject matter jurisdiction to consider it. Defendants’ Counterclaim 2 is DISMISSED.
IV.
CONCLUSION
For the foregoing reasons, the Court DENIES Defendants’ Motion for Summary
Judgment. (ECF No. 66.) Defendants’ Counterclaim is DISMISSED. (ECF No. 15.)
IT IS SO ORDERED.
/s/ Sarah D. Morrison
SARAH D. MORRISON
UNITED STATES DISTRICT JUDGE
2
Although Defendants fashion their Counterclaim as two counts, the first count is merely
asking for injunctive relief to address the violation in the second count. Both counts are
dismissed.
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