Vesper v. Independent School District No 89 of Oklahoma City et al
Filing
58
ORDER denying 29 Motion to Dismiss to the extent these three Defendants seek dismissal of Count VIII of the Third Amended Complaint; granting motion to the extent it seeks dismissal of Counts IX and X and dismissing DISMISSES with prejudice Counts IX and X of the Third Amended Complaint as to all Defendants. Signed by Honorable Charles Goodwin on 11/20/2018. (jb)
UNITED STATES DISTRICT COURT
FOR THE WESTERN DISTRICT OF OKLAHOMA
JENNIFER VESPER,
Plaintiff,
v.
INDEPENDENT SCHOOL
DISTRICT NO. 89 OF OKLAHOMA
CITY et al.,
Defendants.
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Case No. CIV-17-1165-G
ORDER
Now before the Court is the motion of Defendants Aurora Lora, Eduardo Sindaco,
and Janis Perrault, who are sued in their individual capacities (referred to herein, as the
“Individual Defendants”), to dismiss certain common law claims asserted against them in
Plaintiff’s Third Amended Complaint.1 See Defs.’ Mot. (Doc. No. 29). Plaintiff Jennifer
Vesper has responded in opposition (Doc. No. 32), and the Individual Defendants have
replied. The motion is granted in part and denied in part.
1
At the time the events occurred in this lawsuit, Lora was the acting superintendent or
superintendent for co-defendant Independent School District No. 89 of Oklahoma City
(“District”), see Third Am. Compl. ¶ 3; Sindaco was an Instructional Leadership Director
for the District, responsible for supervising building administrators, see id. ¶¶ 4, 76; and
Perrault was the District’s Director of Human Services, see id. ¶ 5. The Court adheres to
the identification of the District set forth in Plaintiff’s operative pleading, namely:
“Independent School District No. 89 of Oklahoma City, a public school district within
Oklahoma County, Oklahoma.” Third Am. Compl. ¶ 2. It is noted, however, that in its
Notice of Removal this defendant identified itself as “Independent School District No. 89
of Oklahoma County, Oklahoma.” Doc. No. 1 at 1; see also Third Am. Comp. Ex. 4 (Doc.
No. 27-4) (employment contract for Plaintiff, identifying employer as “Independent School
District No. 89 of Oklahoma County, Oklahoma”).
STANDARD OF REVIEW
Defendants assert that Counts VIII, IX, and X of the Third Amended Complaint fail
to state a claim upon which relief may be granted and, therefore, those claims should be
dismissed pursuant to Rule 12(b)(6) of the Federal Rules of Civil Procedure.2
In Bell Atlantic Corp. v. Twombly, 550 U.S. 544, 556 (2007), the Supreme Court
held that, pursuant to Federal Rule of Civil Procedure 8, a complaint need not contain
“detailed factual allegations,” id. at 555 (citations omitted), but it must contain “enough
facts to state a claim to relief that is plausible on its face,” id. at 570. That is, the federal
pleading rules impose a “burden . . . on the plaintiff to frame a ‘complaint with enough
factual matter (taken as true) to suggest’ that . . . she is entitled to relief.” Robbins v.
Oklahoma, 519 F.3d 1242, 1247 (10th Cir. 2008) (quoting Twombly, 550 U.S. at 556). The
allegations in the operative complaint must “be enough that, if assumed to be true, the
plaintiff plausibly (not just speculatively) has a claim for relief [against the defendants].”
Id. (footnote omitted).
The Court’s task at this stage, therefore, is to determine whether “there are wellpleaded factual allegations” in the challenged pleading and, if so, “assume their veracity
and then determine whether they plausibly give rise to an entitlement to relief.” Ashcroft
A summary of Plaintiff’s allegations in the Third Amended Complaint is set forth in the
Court’s separate order, entered contemporaneously herewith, on the District’s motion to
dismiss. In the instant Order, the Court has addressed only Plaintiff’s arguments as to
Counts VIII, IX, and X of the Third Amended Complaint. Because Plaintiff seeks relief
under state common law in these counts, the Court has not considered Defendants’
argument that they are qualifiedly immune from liability in connection with Plaintiff’s
federal law claims set forth in Counts III, IV, and V. That affirmative defense is addressed
in the separate order.
2
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v. Iqbal, 556 U.S. 662, 679 (2009). “A claim has facial plausibility when the plaintiff
pleads factual content that allows the [C]ourt to draw the reasonable inference that the
defendant[s] [are] . . . liable for the misconduct alleged.” Id. at 678 (citation omitted). As
the Tenth Circuit has recognized, Twombly and Iqbal do not change Rule 8’s fair notice
requirement3 or Rule 12(b)(6)’s requirement that a complaint state a legally recognized
claim for relief; these decisions only add the “requirement of plausibility [that] serves . . .
to weed out claims that do not (in the absence of additional allegations) have a reasonable
prospect of success.” Robbins, 519 F.3d at 1248.
This “requirement of plausibility” therefore obligates Plaintiff to set forth in the
Third Amended Complaint “‘either direct or inferential allegations respecting all the
material elements necessary to sustain a recovery under some viable legal theory.’” Bryson
v. Gonzales, 534 F.3d 1282, 1286 (10th Cir. 2008) (quotation and further citation omitted).
And, while “[t]he nature and specificity of the allegations required to state a plausible claim
will vary based on context,” Kan. Penn Gaming, LLC v. Collins, 656 F.3d 1210, 1215 (10th
Cir. 2011) (citations omitted), neither “‘naked assertion[s]’ devoid of ‘further factual
enhancement[,]’” Iqbal, 556 U.S. at 678 (quoting Twombly, 550 U.S. at 557), nor
“[t]hreadbare recitals of the elements of a cause of action, supported by mere conclusory
statements, [will] . . . suffice,” id. (citation omitted). If a pleading’s factual allegations “are
‘merely consistent with’ a defendant’s liability,” id. at 678 (quotation omitted), or “do not
Rule 8 requires that a complaint “contain[ ] sufficient information to give the defendants
fair notice of . . . [the] claims against each of them.” Gray v. Geo Group, Inc., 727 F.
App’x 940, 944 n.2 (10th Cir. 2018) (citation omitted).
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permit the [C]ourt to infer more than the mere possibility of misconduct,” id. at 679, the
plaintiff “has not ‘show[n]’ . . . ‘that [she] . . . is entitled to relief,’” id. (quotation omitted).
Applying the foregoing standards to Counts VIII, IX, and X of the Third Amended
Complaint, the Court has construed all well-pled allegations in Plaintiff’s favor to
determine whether she has met her “obligation to provide the ‘grounds’ of [her] . . .
‘entitle[ment] to relief.’” Twombly, 550 U.S. at 555 (citation omitted). And while mindful
that Rule 12(b)(6) “does not require that [Plaintiff] establish a prima facie case,” the Court
has examined the essential “elements of each alleged cause of action” in order to better
“determine whether [she] has set forth a plausible claim.” Khalik v. United Air Lines, 671
F.3d 1188, 1192 (10th Cir. 2012) (citations omitted); see also Burnett v. Mortg. Elec.
Registration Sys., Inc., 706 F.3d 1231, 1236 (10th Cir. 2013) (stating that “[p]leadings that
do not allow for at least a ‘reasonable inference’ of the legally relevant facts are
insufficient” (citation omitted)).
ANALYSIS
A. Whether the Oklahoma Governmental Tort Claims Act Precludes Plaintiff’s Count
VIII Against the Individual Defendants
The Individual Defendants first argue that they are entitled to dismissal of Count
VIII because their actions about which Plaintiff has complained were “necessary and usual
to accomplish the work of being a superintendent, human resources officer, and leadership
director and are part of the normal and customary actions for an educational setting.”
Defs.’ Mot. at 3.4 Contending that their actions were therefore “for a bona fide business
4
References to filings use the page numbers assigned by the Court’s CM/ECF system.
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purpose and/or were actions within the scope of [their] employment,” id., the Individual
Defendants assert that the Oklahoma Governmental Tort Claims Act (“OGTCA” or “Act”),
Okla. Stat. tit. 51, § 151 et seq., precludes their being found liable in tort.
The OGTCA provides “the exclusive remedy for an injured plaintiff to recover
against a governmental entity in tort [in Oklahoma].” Tuffy’s, Inc. v. City of Oklahoma
City, 212 P.3d 1158, 1163 (Okla. 2009) (footnote omitted); e.g., Okla. Stat. tit. 51, §
153(B). Through the OGTCA, the state’s political subdivisions—which by statutory
definition include school districts, see id. § 152(11)(b)5—have waived their sovereign
immunity but “only to the extent and in the manner provided in th[e] [A]ct.” Id. § 152.1(B).
Under the OGTCA, if an employee of a state political subdivision commits a tort
while acting within the scope of his or her employment, the state employer may be held
liable but the employee may not. See id. § 153(A), (C); see, e.g., Crouch v. Daley, 581 F.
App’x 701, 705 (10th Cir. 2014) (holding that state employee acting within scope of
employment is immune from tort liability under OGTCA and responsibility for any loss
incurred because of that employee’s torts shifts to political subdivision).
If a state
employee commits a tort while acting outside the scope of his or her employment, however,
the OGTCA authorizes suit to proceed against the individual. Okla. Stat. tit. 51, § 153(C).
Therefore, the Court is required to determine whether Plaintiff has plausibly alleged
that any of the Individual Defendants was acting outside the scope of his or her employment
as to the conduct Plaintiff alleged in Count VIII to be tortious. See Martin, 975 P.2d at 895
5
See Martin v. Johnson, 975 P.2d 889, 895 (Okla. 1998) (tort liability of school district is
subject to provisions of OGTCA).
5
(footnote omitted). The term “scope of employment” for purposes of the OGTCA “means
performance by an employee acting in good faith within the duties of the employee’s office
or employment or of tasks lawfully assigned by a competent authority.” Okla. Stat. tit. 51,
§ 152(12). If Lora, Sindaco, and Perrault were acting within the scope of their employment
in connection with the actions complained of in Count VIII, the only proper defendant to
that claim is the District. On the other hand, if the well-pled allegations show that Lora,
Sindaco, and Perrault were acting outside the scope of their employment relevant to those
claims, then these Defendants may be held individually liable.
In Count VIII, Plaintiff asserts that the Individual Defendants tortiously interfered
with her employment contract with the District, see Third Am. Compl. Ex. 4 (Doc. No. 274), and with the Oklahoma City Building Administrators’ (“OCBA”) Collective
Bargaining Agreement (“CBA”), see Third Am. Compl. Ex. 1 (Doc. No. 27-1). In Mac
Adjustment, Inc. v. Property Loss Research Bureau, 595 P.2d 427 (Okla. 1979), the
Oklahoma Supreme Court outlined the elements of a cause of action for tortious
interference with contract. The state court held that to prevail in such an action, a plaintiff
must plead and ultimately prove:
1. That . . . she had a . . . contractual right that was interfered with [by the
defendant].
2. That the [defendant’s] interference was malicious and wrongful, and that
such interference was neither justified, privileged nor excusable.
3. That damage was proximately sustained as a result of the complained-of
interference.
Mac Adjustment, 595 P.2d at 428.
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The Oklahoma Supreme Court has recognized that the second element of the tort of
interference with contract “requires a showing of bad faith and thus cannot be committed
within the scope of employment by an employee of a political subdivision.” Tuffy’s, 212
P.3d at 1166. Thus, if Plaintiff has plausibly alleged that any of the Individual Defendants
acted in bad faith, her claim against that Defendant may proceed. See Martin, 975 P.2d at
896-97 (stating that if employee acts in bad faith and contrary to the interests of employer
in tampering with a third party’s contract with employer, employee is not exempt from tort
claim for interference with contract).
Plaintiff alleges that she had “[a] valid and binding . . . [e]mployment [c]ontract,”
Third Am. Compl. (Doc. No. 27) ¶ 218, which together with the CBA “delineate[d] the
terms and conditions of [her] . . . employment,” id. ¶ 219. She further alleges that
Individual Defendants Lora, Sindaco, and Perrault “maliciously, willfully, and materially
interfere[d] with . . . her . . . employment contract and the CBA, by arbitrarily altering the
[Reduction in Force (‘RIF’)] Procedure in their bad faith, unsuccessful effort to terminate
. . . [her].” Id. ¶ 220. Plaintiff summarizes these Defendants’ alleged actions in her
response:
[They] (i) changed the RIF process after receiving the scores; (ii) pen-andinked her score in a private meeting, (iii) made her the only person of 79
assistant principals whose score was altered to the extent that she was made
subject to the RIF after her initial score made her not subject to the RIF, (iv)
altered the RIF letter setting forth the process; (v) reneged on the process
they negotiated with the union, (vi) changed the criteria of those subject to
the RIF; (vii) refused to call witnesses named in the RIF procedure; (viii)
altered the testimonial evidence against [her] . . . in between the interview of
Sindaco and the hearing in such a way as to indicate untruthfulness, and
perhaps calculated untruthfulness; (ix) refused a request that the
Superintendent encourage certain individuals to respond to [her] . . . request
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to be a witness for her, and to provide personal assurance that the witnesses
will suffer no retaliation for their testimony; (x) compounded this by
“reminding” Principal [Shelly] Deas that she did not have to testify; (xi)
changed the RIF procedure in the Findings of Fact to reflect what
[d]efendants did[;] and (xii) misstated and misrepresented the RIF Policy and
Implementing Regulation in the Findings of Fact and Conclusions . . . to
reflect what the [d]efendants did[.]
Pl.’s Resp. (Doc. No. 32) at 1-2 (footnote omitted).6 Plaintiff has alleged that the Individual
Defendants’ interference caused both “damage . . . to her reputation in the greater
Oklahoma City teaching community through the wrongfully administered RIF Procedure,
and falsely procured RIF rubric results, which now disparagingly appear[ ] on [her]
record,” Third Am. Compl. ¶ 221, and “the loss of prospective future employment and/or
advancement,” id. Plaintiff asserts that these Defendants’ interference also caused her to
incur “legal fees and costs” in order to “overturn[ ] the . . . District[’s] wrongful and
unsuccessful attempt to terminate her.” Id.
The Court finds that these allegations and those of the remainder of the Third
Amended Complaint set forth sufficient facts to support a plausible claim that Defendants
Lora, Sindaco, and Perrault each intentionally committed a malicious and wrongful act that
interfered with Plaintiff’s employment contract with the District.7 See Mac Adjustment,
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Plaintiff is ADVISED that no later than the dispositive motion stage she will be required
to separately identify the allegedly wrongful acts committed by each defendant so that it
may be determined whether there is a genuine issue of material fact as to whether each
particular defendant tortiously interfered with her employment contract.
7
The Court notes that many of these actions occurred after the RIF Procedure was
implemented and “wrongfully administered,” Third Am. Compl. ¶ 221, and after the rubric
score was “falsely procured,” id. Such actions were not considered in determining whether
the Individual Defendants acted intentionally, maliciously, and wrongfully.
8
595 P.2d at 428; Schonwald v. Ragains, 122 P. 203, 210 (Okla. 1912) (“By the term
‘malicious’ we do not mean that defendants were actuated by motives of ill will against
[plaintiff] personally, but . . . an unreasonable and wrongful act done intentionally, without
just cause or excuse.”).8 Therefore, the Individual Defendants are not entitled to dismissal
of Count VIII.9
B. Whether Plaintiff in Count IX States a Claim for Retaliation in Violation of
Oklahoma Public Policy
The Individual Defendants argue that Count IX of the Third Amended Complaint,
titled “Retaliation,” does not state a claim recognized under Oklahoma law. See Third Am.
Compl. at 40.
In support of this claim, Plaintiff has alleged:
(1) “[a]s an experienced and respected long term teacher and administrator,
[she] had a valid business expectancy in advancing her education career
either with the . . . District, or some other [s]chool [d]istrict in the greater
Oklahoma City area,” id. at 40-41, ¶ 225;
The Court is mindful that “Oklahoma courts have held that governmental employees who
made termination decisions in violation of law or policy were nevertheless acting within
the scope of their employment.” Muhammad v. Hall, 674 F. App’x 810, 815 (10th Cir.
2017) (citing Shephard v. CompSource Okla., 209 P.3d 288, 293-94 (Okla. 2009); Wilson
v. City of Tulsa, 91 P.3d 673, 679 (Okla. App. 2004)). In such cases, “the governmental
employers ratified the employees’ actions, thereby establishing that the employees acted
within the scope of their employment.” Id. (citing Shephard, 209 P.3d at 290, 293; Wilson,
91 P.3d at 678). In the instant case, Defendants’ “recommendation of termination,” Third
Am. Compl. ¶ 135, was—per Plaintiff’s allegations—not followed because the Board
determined that “the RIF process was applied differently [to her] . . . .” Id.
8
The District, however, is immune from liability on Plaintiff’s tortious interference claim.
When a state employee tortiously interferes with a contract, and thus necessarily acts in
bad faith, the relevant “political subdivision is not liable for malicious interference . . .
because bad faith actions are specifically excluded from the [O]GTCA’s definition of the
scope of employment.” Tuffy’s, 212 P.3d at 1165.
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(2) “[r]egardless of . . . Lora, . . . Perrault and . . . Sindaco’s perception of
[Hillcrest Elementary School (‘Hillcrest’), at which she (Vesper) was
employed as the assistant principal, [she] was entitled to provide truthful
information to . . . Sindaco about [Hillcrest] Principal [Barbara] Walling
without being pressured, threatened, or retaliated against,” id. at 41, ¶ 226;10
(3) moreover, she “was entitled to notify the . . . District that it had not
followed the RIF [P]rocedure, and contest the same,” id. ¶ 227; and
(4) “[b]ecause [she] . . . declined to provide untruthful derogatory
information about Principal Walling and because she contested the RIF
Procedure, the . . . District, [together with the Individual Defendants,] . . .
retaliated against [her] . . . by engaging in . . . wrongful acts relating to the
RIF Procedure . . . and [by] wrongfully, intentionally, willfully or recklessly
interfer[ing] with [her] . . . valid business expectancy and education career,
[which] . . . irreparably damag[ed] her reputation . . . , thereby limiting [her]
. . . chances for future advancement and employment,” id. ¶ 228.
In her response to Defendants’ Motion,11 Plaintiff states that her claim for relief is
“retaliation based on public policy.” Pl.’s Resp. at 4. Plaintiff cites no applicable statutory
authority for such a claim.12 Nor does she cite any Oklahoma decisional law recognizing
10
Specifically to this point, Plaintiff has alleged
(1) that Walling was principal at Hillcrest during the first semester of the
2015-2016 school year and that both Lora and Sindaco “had issues with . . .
Walling,” Third Am. Compl. at 12, ¶ 77;
(2) that Sindaco “urg[ed] Plaintiff to tell him derogatory information about .
. . Walling,” id. ¶ 78;
(3) that “Sindaco stated[,] . . . ‘I won’t help you unless you talk to me,’” id.
¶ 79; and
(4) that she “responded truthfully that she did not have any derogatory
information regarding . . . Walling,” id. ¶ 80.
11
The District has adopted the arguments and authorities advanced by the Individual
Defendants, see Doc. No. 28 at 8, and has joined in their request for dismissal of this count.
12
In identifying the elements of this claim for relief, Plaintiff has relied on Campbell v.
Gambro Healthcare, Inc., 478 F.3d 1282 (10th Cir. 2007), in which the plaintiff sought
relief for the defendant’s alleged interference with, and retaliation for, the plaintiff taking
leave covered by the Family and Medical Leave Act (FMLA). That federal statute has no
direct applicability to the facts alleged by Plaintiff. Nor does Plaintiff explain how the
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such a claim. Plaintiff expressly denies that she is attempting to assert an Oklahoma
common law tort based on Burk v. K-Mart Corp., 770 P.2d 24 (Okla. 1989) (recognizing a
common law claim for wrongful discharge of an at-will employee in violation of Oklahoma
public policy). See id.
Plaintiff has not pointed the Court to any legal authority for her claim of “retaliation
based on public policy.” Accordingly, the Individual Defendants as well as the District are
entitled to dismissal of Count IX.
C. Whether Plaintiff’s Count X Malicious Prosecution Claim is Barred by the Statute
of Limitations
Finally, the Individual Defendants argue that Plaintiff’s claim for malicious
prosecution in Count X is barred by the applicable statute of limitations. In Count X,
Plaintiff asserts that Individual Defendants Lora, Sindaco and Perrault “acted outside the
scope of their employment by improperly initiating and prosecuting the RIF Procedure
against [her], . . . arbitrar[ily] and groundless[ly] . . . [and in] conflict with the written
procedure they published.” Third Am. Compl. ¶ 233.13
The Court previously found this claim was time-barred. See Order of April 12, 2018
(Doc. No. 22) (West, J.) at 21-22. Upon review of the allegations in the Third Amended
FMLA’s statutory provision of a cause of action for retaliation, see 29 U.S.C. § 2615,
would support a state common law claim for “retaliation based on public policy.” Pl.’s
Resp. at 4.
13
Plaintiff has sought relief, in the alternative, against the District in Count X. See Third
Am. Compl. ¶ 232 (“District, acting by and through . . . Lora, . . . Perrault and . . . Sindaco,
improperly initiated and prosecuted the RIF Procedure against Plaintiff, for arbitrary and
groundless rationale at conflict with the written procedure [it] published.”).
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Complaint, and considering the arguments and authorities submitted in Plaintiff’s
Response to Defendants’ Motion, the Court concludes for the reasons previously explained
by Judge West that the claims in Count X are time-barred. Accordingly, the Individual
Defendants as well as the District are entitled to dismissal of Count X.
CONCLUSION
Based on the foregoing, the Court
(1) DENIES the Motion to Dismiss Plaintiff’s Third Amended Complaint (Doc. No.
29) filed by Individual Defendants Lora, Sindaco, and Perrault on May 17, 2018, to the
extent these three Defendants seek dismissal of Count VIII of the Third Amended
Complaint;
(2) GRANTS said motion to the extent it seeks dismissal of Counts IX and X; and
(3) DISMISSES with prejudice Counts IX and X of the Third Amended Complaint
as to all Defendants.
IT IS SO ORDERED this 20th day of November, 2018.
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