SCHUTZEUS v. PENNSYLVANIA BOARD OF PROBATION AND PAROLE et al
Filing
110
OPINION re 88 MOTION for Leave to File Amended Partial Summary Judgment filed by TODD SCHUTZEUS, 76 MOTION for Partial Summary Judgment filed by TODD SCHUTZEUS, 79 MOTION for Summary Judgment filed by MCCOY, ROBERT GILMORE, TRACY SHAWLEY, JOHN WETZEL, PENNSYLVANIA DEPARTMENT OF CORRECTIONS, JENKINS, RICHARD NOVACK, PENNSYLVANIA BOARD OF PROBATION AND PAROLE, STEVEN CUBBERLY, TRACEY OHARA, ROBERTA TROY, JOE TUTTLE. Signed by Judge J. Nicholas Ranjan on 4/20/2020. (av)
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 1 of 38
IN THE UNITED STATES DISTRICT COURT
FOR THE WESTERN DISTRICT OF PENNSYLVANIA
TODD SCHUTZEUS,
Plaintiff,
v.
PENNSYLVANIA BOARD OF
PROBATION and PAROLE, et al.,
Defendants.
)
)
) 2:17-cv-412-NR
)
)
)
)
)
)
)
)
)
OPINION
J. Nicholas Ranjan, United States District Judge
Pro se Plaintiff Todd Schutzeus was convicted in Pennsylvania state
court of rape and other sexual-deviant crimes involving minors.
He was
sentenced to seven years’ imprisonment, plus a period of probation. He served
his seven years and was released. While on probation, he visited his minor
nieces, which he claimed was an innocent mistake. The trial judge didn’t think
so. That judge found that this violated his terms of probation. He sentenced
Mr. Schutzeus to up to 50 years in prison and told him to take it up on appeal
if he didn’t like it. So Mr. Schutzeus did. And the Pennsylvania Superior Court
reversed the sentence. The trial judge then re-sentenced him to up to 37 years
in prison. The Superior Court reversed again. The trial judge re-sentenced
him to up to 13 years in prison. The Superior Court remained “frustrated” with
the trial judge, but upheld the sentence because of a technical waiver
argument.
But a few years later, on a post-conviction petition, the Superior Court
took a closer look. In 2015, that court held that the trial court actually never
originally imposed a “no contact with minors” condition as a term of probation.
The trial judge had delegated to the probation office the job of coming up with
-1-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 2 of 38
the terms of probation; because that violated a state statute, it invalidated the
sentence.
In other words, Mr. Schutzeus had been serving a sentence for a crime
that he didn’t commit. So the Superior Court vacated the conviction and
sentence for probation violation. Mr. Schutzeus was released from prison. In
the end, he served an extra nine years for an invalid probation-violation
sentence.
After all this happened, Mr. Schutzeus came here, and filed a federal
civil-rights lawsuit, taking aim at the state probation office and probationoffice employees. The crux of his claim is that these probation officers provided
the state trial court with the wrong probation condition (“no contact with
minors”), and then when Mr. Schutzeus violated that condition, these officers
wrongly caused his detention and then recommended to the judge that
probation be revoked. From this core factual assertion, Mr. Schutzeus brings
a wide array of constitutional and state-law claims.
Mr. Schutzeus, no doubt, was wronged. He served nine years in prison
for a violation that really wasn’t one. But even where there is a wrong, there
sometimes isn’t a remedy. That is the situation here. Most of the federal
claims, and all of the state-tort claims, are barred by principles of sovereign
immunity and Eleventh Amendment immunity.
And all of the probation
officers here enjoy qualified immunity, since Mr. Schutzeus can point to no
constitutional right or “clearly established” federal right that they violated. A
violation of a state statute does not count.
Additionally, the claims fail here because there is insufficient evidence
to support many of them. Indeed, Mr. Schutzeus filed no written response to
Defendants’ 201-paragraph concise statement of material facts and he
provided no deposition testimony, responses to interrogatories, admissions, or
-2-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 3 of 38
documents in response to Defendants’ motion. While the Court acknowledges
that Mr. Schutzeus has been representing himself, that does not excuse the
evidentiary burden he must meet to resist summary judgment. Simply relying
on arguments or allegations in the complaint (many of which are thin to begin
with), as well as bald speculation, cannot defeat summary judgment.
For these reasons, the Court will enter judgment for Defendants.
BACKGROUND
I.
Factual background.
A.
The trial court sentences Mr. Schutzeus in 2001.
In 2001, Mr. Schutzeus pleaded guilty in Pennsylvania state court to
rape and other sexual-deviant crimes involving minors. [ECF 82-14, p. 2]. On
October 9, 2001, the state trial court sentenced Mr. Schutzeus to up to seven
years in prison and seven years of probation. [ECF 82-14, p. 2]. At the time of
sentencing, the trial court delegated to the probation office or parole officer the
duty of creating the probation terms and conditions. [ECF 82-3, pp. 16-17 (The
Court: “ . . . plus, seven years probation, terms and conditions to be set by the
Probation Office or Parole Officer, whoever is going to do that.”)]. Importantly,
the trial court never included in the sentence or specifically ordered that a
condition of Mr. Schutzeus’s probation be no contact with children.
B.
The trial court revokes Mr. Schutzeus’s probation in 2007.
Mr. Schutzeus was released from prison on August 12, 2006 [ECF 82-6],
having served the maximum seven-year sentence; he then began the sevenyear probation sentence. [ECF 82-14, p. 2]. A few days into his probation,
probation officer Tracey O’Hara drafted “special conditions of parole,” which
Mr. Schutzeus signed off on and which included a prohibition on Mr. Schutzeus
having any contact with minor children of his extended family, including
nieces. [ECF 92-1, p. 4; ECF 82-12, pp. 53-54].
-3-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 4 of 38
Less than six months into his probation term, Mr. Schutzeus supposedly
violated his probation by having contact with his young nieces. [ECF 82-14, p.
2].
After finding out about Mr. Schutzeus’s contact with his nieces, several
probation-office employees, including probation officer Richard Novak and a
supervisor, Steven Cubberly, were involved in drafting and signing a “special
field report” that was submitted to the trial court on January 28, 2007. [ECF
82-6]. This report included as a condition a “[p]rohibition on having any
contact with children under the age of 18 years old.” [ECF 82-6]. The trial
court signed off on the report. [ECF 82-6].
Mr. Novak and another supervisor, Roberta Troy, investigated Mr.
Schutzeus’s conduct, and Ms. Troy recommended Mr. Schutzeus’s arrest. [ECF
92, p. 2]. Mr. Novak arrested Mr. Schutzeus on January 31, 2007 for violating
the “no contact with minors” special condition in the special field report. See
[ECF 82-12, p. 9]. A “technical violation sheet” was then filed by either Mr.
Novak or Ms. O’Hara (there is no signature block) with the trial court on
February 11, 2007, which included a sentencing recommendation for a
violation of the condition of “no contact w/ minors.” [ECF 82-7].
The trial court conducted a probation-revocation hearing on May 1, 2007,
where Mr. Novak testified on behalf of the probation office. [ECF 82-8, p. 3].
At the hearing, the trial court found Mr. Schutzeus in violation of his probation
and sentenced him to term of incarceration of up to 50 years. [ECF 82-14, p.
2].
-4-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 5 of 38
C.
Mr. Schutzeus files various appeals, and the Pennsylvania
Superior Court declares his sentence to be invalid in 2015.
After he was sentenced for violating his probation, Mr. Schutzeus
appealed, and the Superior Court vacated the sentence.
Pennsylvania v.
Schutzeus, No. 1009 WDA 2007, 981 A.2d 933 (Pa. Super. Ct. 2009).
The trial court conducted a new sentencing hearing on February 9, 2010,
and sentenced Mr. Schutzeus to another term of incarceration, this time for up
to 37 years. [ECF 82-14, p. 3]. Mr. Schutzeus appealed again, and the Superior
Court again vacated the sentence. Pennsylvania v. Schutzeus, No. 526 WDA
2010, 26 A.3d 1212 (Pa. Super. Ct. 2011).
The trial court held a third sentencing hearing on June 28, 2011, and
imposed a sentence of a term of incarceration, this time of up to 13 years. [ECF
82-14, p. 3]. Mr. Schutzeus appealed; and the Superior Court upheld the
sentence because of a technical waiver argument. The Pennsylvania Supreme
Court denied review. See Pennsylvania v. Schutzeus, No. 1219 WDA 2011, 54
A.3d 86, 88–89 (Pa. Super. Ct. 2012), appeal denied, 67 A.3d 796 (Pa. 2013).
In 2015, on a post-conviction petition, the Superior Court examined Mr.
Schutzeus’s sentence, this time through the lens of ineffective assistance of
counsel. The Superior Court held that the trial court never originally imposed
a “no contact with minors” condition as a term of probation. The probation
conditions were only proposed to the court in the special field report prepared
by probation-office employees years later. That was improper because a state
statute requires the trial judge to impose a sentence, including any probation
conditions; he was not allowed to delegate that job to probation officers.
Pennsylvania v. Schutzeus, No. 1895 WDA 2013, 2015 WL 6467693, at *6 (Pa.
Super. Ct. Oct. 7, 2015) (“The field report was nothing more than a summary
of appellant’s conditions of supervision, as contrasted with conditions of
-5-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 6 of 38
probation, which are required to be imposed by the court.”).
Thus, Mr.
Schutzeus never violated his probation at all, and the Superior Court found
that his counsel was ineffective for failing to object to the trial court’s errors
during his original sentencing in 2001. Id.
Importantly, the Superior Court found the delegation to be, specifically,
a violation of 42 Pa. Cons. Stat. § 9754(b), which states in relevant part that
“[t]he court shall attach . . . reasonable conditions” of probation “as it deems
necessary to ensure or assist the defendant in leading a law-abiding life.” In
reaching this conclusion, the Superior Court relied on Pennsylvania v. Vilsaint,
893 A.2d 753 (Pa. Super. Ct. 2006), and Pennsylvania v. MacGregor, 912 A.2d
315 (Pa. Super. Ct. 2006), which also examined Section 9754 and effectively
held that trial courts cannot delegate the imposition of probation conditions to
probation officers under this statute. See Schutzeus, 2015 WL 6467693, at *56.
The Superior Court reversed the trial court and vacated Mr. Schutzeus’s
revocation sentence. It remanded to the trial court to make a determination
on Mr. Schutzeus’s discharge from custody. Id. at *7.
On May 10, 2016, the trial court vacated the prior sentences and reimposed the original sentence from 2001.
[ECF 82-15].
It ordered Mr.
Schutzeus’s release from custody. [ECF 82-15]. He was released on May 11,
2016, having served an additional nine years in prison for a probation violation
that was not actually a violation. [ECF 82-25].
II.
Procedural background.
After his ordeal in state court, Mr. Schutzeus came to federal court to
seek relief. He filed his original complaint on April 18, 2017 [ECF 3] and an
amended one on March 20, 2018 [ECF 30], alleging various federal and statelaw claims against the Pennsylvania Department of Corrections, several DOC
-6-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 7 of 38
employees, the Pennsylvania Board of Probation and Parole (which is the
statewide probation office and which is referred to in this opinion as “probation
office”), and probation-office employees Joe Tuttle, Roberta Troy, Richard
Novak, Steven Cubberly, and Tracey O’Hara.
On June 21, 2019, Mr. Schutzeus moved for leave to file a second
amended complaint, which the Court has granted contemporaneously with this
opinion. [ECF 85]. That second amended complaint withdraws all claims
against the DOC, DOC employees, and one probation-office employee, Mr.
Tuttle.1 It also adds a cause of action for abuse of process. [ECF 85-2; ECF
93].2
Thus, Mr. Schutzeus alleges the following causes of action against the
following Defendants: (1) civil conspiracy against Ms. Troy, Mr. Novak, Mr.
Cubberly, and Ms. O’Hara predicated on federal and state due-process
violations; (2) a Monell claim against the probation office; (3) Fourth
Amendment and Fifth/Fourteenth Amendment unlawful seizure/false arrest
and due-process claims against Ms. Troy, Mr. Novak, Mr. Cubberly, and Ms.
O’Hara; (4) state-law malicious prosecution against all Defendants; (5) statelaw intentional infliction of emotional distress against all Defendants; (6)
state-law false imprisonment against Ms. Troy, Mr. Novak, and Mr. Cubberly;
Generally, Mr. Schutzeus’s claims against the DOC and its employees were
that they failed to timely alert him to the 2015 Superior Court decision, which
allegedly resulted in him spending seven extra months in prison. [ECF 30, p.
9, ¶¶ 33-35].
1
Mr. Schutzeus filed two versions of his second amended complaint, which
have a few slight differences. See [ECF 85-2; ECF 93]. For example, one
version of his complaint has a claim for false imprisonment, and the other does
not. Because Mr. Schutzeus is proceeding pro se, the Court will construe the
two versions together and take an expansive view of his claims.
2
-7-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 8 of 38
and (7) state-law abuse of process against Ms. Troy, Mr. Novak, and Mr.
Cubberly. [ECF 85-2; ECF 93].
Discovery has concluded, and both sides filed dispositive motions. Mr.
Schutzeus filed a summary-judgment motion on April 30, 2019 [ECF 76],
including a 15-page brief, an 8-paragraph concise statement of material facts,
and three exhibits. See [ECF 78; ECF 77; ECF 78-1; ECF 78-2; ECF 78-3]. On
July 1, 2019, he moved to amend his summary-judgment motion [ECF 88],
which included a similar 15-brief, similar 8-paragraph concise statement of
material facts, and a supplemental appendix of two exhibits. See [ECF 89;
ECF 90; ECF 92; and ECF 92-1].
Mr. Schutzeus argues that the principle of offensive collateral estoppel
applies such that the Court must find that Defendants arrested and detained
him unlawfully and without probable cause. [ECF 89, pp. 3-5, ¶¶ 7-11]. In
support of this argument, Mr. Schutzeus relies on the 2015 Superior Court
decision, and argues that that decision conclusively established the absence of
probable cause for Defendants here in detaining him and charging him with a
probation violation.
Defendants filed a motion for summary judgment on June 6, 2019 [ECF
79], appending a 38-page brief, a 201-paragraph concise statement of material
facts, and an appendix of 25 exhibits. [ECF 80, 81, 82]. The general bases for
Defendants’ motion are that several immunity doctrines bar Mr. Schutzeus’s
claims and that there is insufficient evidence of personal involvement by the
various probation officers for Mr. Schutzeus’s claims to withstand summary
judgment. [ECF 80]. Mr. Schutzeus responded to Defendants’ motion with an
18-page brief, but no competing evidence.
[ECF 91]. He filed no written
response to Defendants’ 201-paragraph concise statement of material facts and
provided no deposition testimony, responses to interrogatories, admissions, or
-8-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 9 of 38
documents in response to Defendants’ motion, aside from the two exhibits he
attached to his amended summary judgment motion. [ECF 92].
The motions are fully briefed, and will be adjudicated based on the claims
and allegations of the second amended complaint.
III.
The material evidence on summary judgment.
While the Court has carefully reviewed and considered all evidence
submitted, it appears that the key, material evidence that is at issue is: (1)
Mr. Schutzeus’s deposition transcript [ECF 82-12]; (2) the August 2006 special
conditions of parole [ECF 92-1]; (3) the January 28, 2007, special field report
[ECF 82-6]; (4) the February 11, 2007, technical violation sheet [ECF 82-7]; (5)
the February 16, 2007, technical violation arrest report [ECF 92, p. 2]; and (6)
the October 2015 Superior Court opinion. [ECF 82-14].
LEGAL STANDARD
Summary judgment is warranted “if 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). At summary judgment, the inquiry
is whether the evidence presents “a sufficient disagreement to require
submission to the jury or whether it is so one-sided that one party must prevail
as a matter of law.” Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 251-52
(1986). In making this determination, a court must “consider all evidence in
the light most favorable to the party opposing the motion.” A.W. v. Jersey City
Pub. Schs., 486 F.3d 791, 794 (3d Cir. 2007).
If the moving party shows a lack of genuine issue of material fact, “the
non-moving party must rebut the motion with facts in the record and cannot
rest solely on assertions made in the pleadings, legal memoranda, or oral
argument.” Berckeley Inv. Grp. Ltd. v. Colkitt, 455 F.3d 195, 201 (3d Cir. 2006)
(citation omitted). If the non-moving party “fails to make a showing sufficient
-9-
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 10 of 38
to establish the existence of an element essential to that party’s case, and on
which that party will bear the burden at trial,” summary judgment is
warranted. Celotext Corp. v. Catrett, 477 U.S. 317, 324 (1986).
Further, the local rules for the Western District of Pennsylvania
expressly require that the party opposing a motion for summary judgment file
a responsive concise statement of material facts, which specifies whether the
other party’s statement of facts is admitted or denied, and sets forth, in
separately numbered paragraphs, the basis for such denial with citation to the
record. See Local Rule 56.1(C)(1). When a party fails to specifically deny or
controvert alleged facts in a separate concise statement, with proper citations
to the record, those facts are deemed to be admitted. See Holman v. Hogue,
No. 11–1269, 2013 WL 941801, at *1 (W.D. Pa. Feb. 15, 2013) (Eddy, J.)
(“Plaintiff did not file any concise counter statement of facts; nor did he
specifically dispute Defendants’ Statement of Facts with any citations to record
evidence.
Consequently, in accordance with our Local Rules, all factual
averments contained in the Defendants’ CSMFs will be deemed admitted for
purposes of summary judgment.”); accord Enigh v. Miller, No. 08–1726, 2010
WL 2926213, at *4 (W.D. Pa. July 23, 2010) (Fischer, J.) (collecting cases).
DISCUSSION & ANALYSIS
I.
Mr. Schutzeus has withdrawn his Department of Corrections
claims and claims against Defendant Joe Tuttle.
As discussed above, Mr. Schutzeus’s second amended complaint
withdraws certain claims, including all claims against the Pennsylvania
Department of Corrections, DOC employees, and probation-office employee,
Joe Tuttle. [ECF 93; ECF 85-2]. Thus, judgment will be entered in favor of
those Defendants and on those causes of action.
- 10 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 11 of 38
The second amended complaint adds a cause of action for abuse of
process [ECF 93, p. 4, ¶¶ 38-39; ECF 85-2, p. 10, ¶¶ 38-39], which means that
seven causes of action remain as against five Defendants. See [ECF 93, ECF
85-2]. The remaining claims and relevant Defendants are as follows:
• Abuse of process: Defendants Troy, Novak, and Cubberly
• False imprisonment: Defendants Troy, Novak, and Cubberly
• Malicious prosecution: All Defendants
• Intentional infliction of emotional distress: All Defendants
• Civil conspiracy: Defendants Troy, Novak, Cubberly, and O’Hara
• Monell: Pennsylvania Board of Probation and Parole
• Unlawful seizure/false arrest: Defendants Troy, Novak, Cubberly, and
O’Hara
II.
The four state-law claims are barred by sovereign immunity
and the Eleventh Amendment.
Mr. Schutzeus’s four state-law claims are barred by sovereign immunity
and the Eleventh Amendment. Thus, his claims for abuse of process, false
imprisonment, malicious prosecution, and intentional infliction of emotional
distress are barred.
A.
Sovereign immunity bars all state-law claims.
Pennsylvania has a comprehensive tort claims act that provides
sovereign immunity for “the Commonwealth and its officials and employees
acting within the scope of their duties.” 1 Pa. Cons. Stat. Ann. § 2310. “The
probation department is an arm of the state, and its employees are state actors,
making them subject to sovereign immunity.” Clark v. Conahan, 737 F. Supp.
2d 239, 258 (M.D. Pa. 2010). This immunity applies even to intentional torts
committed by Commonwealth defendants acting in their individual capacity.
See Balsam v. Sec’y of N.J., 607 F. App’x 177, 183 (3d Cir. 2015) (“[S]tate
- 11 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 12 of 38
officials are immune from suits in federal court based on violations of state law,
including suits for prospective injunctive relief under state law, unless the
state waives sovereign immunity.”) (citation omitted); Talley v. Pillai, No. 2:18cv-1060, 2019 WL 6701346, at *4 (W.D. Pa. Dec. 9, 2019) (Eddy, J.) (“Unless
otherwise waived, the Commonwealth of Pennsylvania, its agencies, and its
employees acting within the scope of their employment enjoy sovereign
immunity. There is no waiver of sovereign immunity for intentional torts.”).
In determining whether sovereign immunity applies, the analysis is twofold—first, the Court examines whether the claims fall within one of the
statutory exceptions; and second, the Court examines whether the officials’
conduct occurred within the scope of their employment.
First, none of the claims here are covered by a statutory exception. There
are nine exceptions to sovereign immunity, and none of them apply here. See
42 Pa. Cons. Stat. Ann. § 8522(b)(1)-(9) (exceptions are in motor vehicle
operation, medical malpractice, care of personal property, dangerous
conditions of real estate, dangerous conditions of highways, care of animals,
liquor store sales, the activities of the National Guard, and the administration,
manufacture, and use of a toxoid or vaccine). Indeed, courts in this Circuit
frequently dismiss claims for abuse of process, false imprisonment, malicious
prosecution, and intentional infliction of emotional distress, as being barred by
sovereign immunity. See, e.g., Gregg v. Pettit, No. 07–1544, 2009 WL 57118,
at *7 (W.D. Pa. Jan. 8, 2009) (McVerry, J.) (“As for Defendants McElhaney and
Leary, they enjoy sovereign immunity from the state law claims of abuse of
process, malicious prosecution, false arrest and intentional infliction of
emotional distress.”); Becker v. Godboldte, No. 1:10–CV–2066, 2011 WL
2015213, at *8 (M.D. Pa. May 24, 2011) (“Because the grant of sovereign
immunity covers Defendant’s actions at all relevant times, Counts III–V
- 12 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 13 of 38
[Malicious Prosecution, Abuse of Process and IIED], to the extent they are
asserting state law claims, are dismissed.”); Tingey v. Gardner, No. 17-827,
2019 WL 6828638, at *3 (E.D. Pa. Dec. 13, 2019) (“Defendants argue that
plaintiff’s state law claim for false imprisonment . . . is barred by
Pennsylvania’s sovereign immunity
statute.
The Court agrees with
defendants.”) (citation omitted).
Second, all alleged acts committed by the probation officers—
Defendants Troy, Novak, Cubberly, and O’Hara—occurred within the scope of
their employment as probation-office officials (to the extent that any acts are
alleged at all). “Under Pennsylvania law, an action falls within the scope of
employment if it: (1) is the kind that the employee is employed to perform; (2)
occurs substantially within the job’s authorized time and space limits; (3) is
motivated at least in part by a desire to serve the employer; and (4) if force was
used by the employee against another, the use of force is not unexpectable by
the employer.” Mitchell v. Luckenbill, 680 F. Supp. 2d 672, 682 (M.D. Pa. 2010)
(citation omitted). The first of these three factors are relevant to this case, and
applying them here, the Court finds that Defendants acted within the scope of
their employment.
Under the first part of the test, the conduct at issue was of the kind that
probation officials perform. That is, the conduct here concerned probation
officers monitoring and enforcing the terms of probation.
The probation
officers carried out that conduct by submitting documents, such as a special
field report, violation report, and arrest report. All of these documents are on
what appear to be probation-office forms. See [ECF 82-6; ECF 82-7; ECF 92,
p. 2]. The probation officers’ actions of advising the state trial court on terms
of probation, supervising those terms, arresting a defendant for violating a
term, and then participating in a hearing to enforce that term are all conduct
- 13 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 14 of 38
of a “kind” expected from probation officers. See, e.g., McBride v. Cahoone, 820
F. Supp. 2d 623, 637 (E.D. Pa. 2011) (describing probation officer functions
such as investigating allegations of probation violations and crimes, typing and
signing warrants for arrests, and recommending whether to revoke probation);
Breslin v. Brainard, No. 01–CV–7269, 2002 WL 31513425, at *7 n.10 (E.D. Pa.
Nov. 1, 2002) (same).
Under the second part of the test, the drafting and imposition of
probation terms occurred “substantially within the job’s authorized time and
space limits.” Mitchell, 680 F. Supp. 2d at 682. Mr. Schutzeus does not argue
otherwise.
Under the third part of the test, the actions of the probation officers were
motivated at least in part by a desire to serve their “employer.”
Under
Pennsylvania law, probation officers can wear different hats, and can serve
different “employers” depending on the job they are doing. For example, they
can serve law enforcement, they can serve county probation officials, and they
can serve victims.
42 Pa. Cons. Stat. Ann. § 8332.7.
As relevant here,
probation officers can also serve at the direction of trial courts. As the Third
Circuit has recognized, state and county probation officers are Commonwealth
employees and provide assistance to Pennsylvania’s unified court system
under the direction of a common employer—the Commonwealth.
See
Haybarger v. Lawrence Cty. Adult Prob. & Parole, 551 F.3d 193, 198 (3d Cir.
2008) (“We have held that Pennsylvania’s judicial districts, including their
probation and parole departments,” are “part of the Commonwealth
government[.]”).
The evidence in this case establishes that the probation
officers were acting here to serve their “employers”—i.e., the probation office
and, more directly, the state trial court.
- 14 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 15 of 38
Mr. Schutzeus argues, or at least hints at the argument, that the
probation officers were not acting within their scope of employment because of
what the Superior Court found in 2015 in his case. That is, the Superior Court
held that trial judges, under a state statute, must impose a sentence of
probation; they cannot delegate that task to probation officers. From this
holding, Mr. Schutzeus infers that the probation officers here were performing
“extra-judicial” functions and could not have been acting within the scope of
their employment. [ECF 89, p. 13, ¶ 47]. This argument misses the mark for
two reasons.
First, that the trial court lacked actual authority to delegate sentencing
to the probation officers does not mean that the probation officers were acting
outside of their scope of employment. The “scope” issue is based on agency law,
and as the Third Circuit has recognized, Pennsylvania courts look to the
Restatement of Agency to determine whether a servant (employee) is working
at the direction of his master (employer). See Brumfield v. Sanders, 232 F.3d
376, 380 (3d Cir. 2000).
Under the Restatement, a master can be liable for a servant’s conduct if
the servant is acting not only with actual authority from his master, but also
“apparent authority.” “Apparent authority results from a manifestation by a
person that another is his agent[.]”
Restatement (Second) of Agency § 8
(Apparent Authority), cmt. a.
Here, it was clear and reasonable for the probation officers and all
involved to understand that the trial court had authority to delegate its
sentencing decision to probation officers—indeed, the trial court said as much
as part of the sentence, expressly authorizing the probation officers to impose
terms of probation. See [ECF 82-3, pp. 16-17 (The Court: “ . . . plus, seven years
probation, terms and conditions to be set by the Probation Office or Parole
- 15 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 16 of 38
Officer, whoever is going to do that.”)]. Thus, the probation officers here were
acting on behalf of and to serve the trial court. It does not matter that the trial
court ultimately lacked the authority it delegated; what matters is that it was
delegated.
The flaw in Mr. Schutzeus’s argument is illustrated by a more common
application of agency law, which involves assessing liability. The principles of
agency law are oftentimes applied to determine whether the conduct of a
servant is binding on the master so as to impute liability to the master for the
servant’s conduct. If a servant is doing something that the master does not
authorize him to do, then the master would argue that he should not be liable
for the misdeeds of the servant. But where the master claims to have authority
and expressly delegates that authority to a servant, there is no doubt that the
master would be liable for the conduct of his servants. See Restatement (Third)
of Agency § 7.03 (Principal’s Liability—In General).
That’s what makes Mr. Schutzeus’s argument ill-fitting. A master that
delegates authority that he does not have is a consideration that is irrelevant
to the scope issue.
In the liability context, he cannot avoid any imputed
liability by claiming that he delegated a right he was not permitted to delegate.
So long as the servant is acting at the direction of a master, based on either
that master’s actual or apparent authority, the servant acts within the scope
of duties that are traced back to the master. See id. So too here. Because the
probation officers were acting at the direction of the apparent authority of the
trial court, they were acting within their scope of delegation.
Second, even if there were some doubt over the scope of what the trial
court authorized the probation officers here to do, under Pennsylvania law,
“even unauthorized acts may be within the scope of employment ‘if they are
clearly incidental to the master’s business.’” See Brumfield, 232 F.3d at 381
- 16 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 17 of 38
(“Brumfield’s complaint asserts that during the course of the investigation, the
individual defendants were encouraged to come forward and asked to and did
sign affidavits which he alleged contained false facts about him. Thus, even
assuming the statements were false, plaintiff’s allegation squarely makes the
individual defendants’ conduct incidental to BOP’s business[.]”); Aliota v.
Graham, 984 F.2d 1350, 1359 (3d Cir. 1993) (even false statements in a
defamation case may be considered as conduct within an employee’s scope of
employment).
All of the probation-office Defendants’ conduct was, at a minimum,
“clearly incidental” to the duties of the probation office and the trial court’s
commands.
As noted above, the conduct involved imposing conditions of
probation, monitoring those conditions, enforcing those conditions, and
prosecuting those conditions. Every act was clearly incidental to well-defined
duties of the probation office and the trial court. As such, the probation officers
were operating within the scope of their employment.
In sum, because Mr. Schutzeus’s state-law claims do not fall within a
statutory exception and concerned conduct within the probation officers’ scope
of employment, the claims are barred by sovereign immunity.
B.
The Eleventh Amendment bars certain state-law claims.
Some of Mr. Schutzeus’s state-law claims are against the probation office
itself, and some against the probation officers in their “official capacities.”
Both categories of claims are barred by the Eleventh Amendment. Unless the
state consents, the Eleventh Amendment bars suits against a state in federal
court either for damages or injunctive relief. See Pennhurst State Sch. & Hosp.
v. Halderman, 465 U.S. 89, 100-01 (1984). This is true whether suit is brought
under federal law or state law. Id. at 117. Thus, “the Eleventh Amendment
strictly bars suits in federal court against state agencies or state officials for
- 17 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 18 of 38
violations of state law[.]” Larsen v. State Emps.’ Ret. Sys., 553 F. Supp. 2d 403,
420 (M.D. Pa. 2008) (citing Pennhurst, 465 U.S. at 105-06). To the extent that
state-law claims are brought against the probation office and the individual
Defendants in their official capacity, those claims are barred. See Dill v.
Oslick, No. Civ. A. 97–6753, 1999 WL 508675, at *3 (E.D. Pa. July 19, 1999)
(“The Pennsylvania Board of Probation and Parole and its employees in their
official capacities are an arm of the Commonwealth entitled to Eleventh
Amendment immunity.”).
Accordingly, due to the application of sovereign immunity and the
Eleventh Amendment, judgment will be entered in favor of Defendants on all
of Mr. Schutzeus’s state-law tort claims. All that remains, then, are the three
federal claims for civil conspiracy, Monell liability, and unlawful seizure/false
arrest under the Fourth and Fifth/Fourteenth Amendments.
III.
The federal conspiracy and Monell claims fail for lack of
evidence.
The conspiracy and Monell claims fail for lack of evidence. Indeed, based
on the operative complaint and the thin evidentiary record as presented to this
Court, the following appears to be the only involvement of the individual
Defendants in revoking Mr. Schutzeus’s probation:
(1)
The trial court inappropriately delegated to Ms. O’Hara the task
of creating probation terms when Mr. Schutzeus was released
from prison, and that is where a no-contact probation term
originated. [ECF 82-3, pp. 16-17; ECF 92-1, p. 4; ECF 82-12, pp.
53-54].
(2)
Upon learning of Mr. Schutzeus’s contact with his nieces, Messrs.
Novak and Cubberly filled out and signed the January 28, 2007,
special field report, which included the “no contact with minors”
- 18 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 19 of 38
probation term. They gave this document to the trial court, who
signed it. [ECF 82-6].
(3)
Ms. Troy and Mr. Novak investigated, and Ms. Troy made the
recommendation to arrest Mr. Schutzeus. Mr. Novak arrested Mr.
Schutzeus. See [ECF 92, p. 2; ECF 82-12, p. 9].
(4)
A technical violation sheet was filed by the probation office,
seemingly by Ms. O’Hara or Mr. Novak, with the trial court on
February 11, 2007, which included a sentence recommendation for
a violation of “no contact w/ minors.” [ECF 82-7].
(5)
The court held a probation revocation hearing on May 1, 2007,
where Mr. Novak testified for the probation office, establishing a
violation. [ECF 82-8, p. 3].
With this being the only established conduct at issue, the conspiracy and
Monell claims simply cannot survive. Put differently, Mr. Schutzeus has not
set forth sufficient evidence supporting his claims to resist summary judgment.
A.
The conspiracy claim fails for lack of evidence.
For conspiracy, Mr. Schutzeus has put forward no evidence of an
agreement between the probation-office employee Defendants.
That’s a
problem. “To prevail on a conspiracy claim, the plaintiff must present evidence
of an agreement—the sine qua non of a conspiracy, as it is not enough that the
end result of the parties’ independent conduct caused plaintiff harm or even
that the alleged perpetrators of the harm acted in conscious parallelism.”
Eichelman v. Lancaster Cnty., 510 F. Supp. 2d 377, 392-393 (E.D. Pa. 2007)
(cleaned up).
Mr. Schutzeus alleges that Defendants “conspired to have Plaintiff
imprisoned by producing a Special Field Report containing ‘extra-judicial
probation sanctions’, using an unlawful process for a lawful purpose, as the
- 19 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 20 of 38
vehicle for finding a violation of probation and imprisoning him.” [ECF 85-2,
p. 6, ¶ 21]. However, Mr. Schutzeus provides no evidence of an agreement
among the probation officers to do anything.
At his own deposition, Mr.
Schutzeus could only describe the individual conduct of each Defendant, and
could not describe how or when the Defendants conspired. See [ECF 82-12, p.
51 (Q. “What evidence of a conspiracy do you have for Defendants Richard
Novack, Roberta Troy, . . . Tracey O’Hara and Steven Cubberly in your case?”
A. “Well, Richard Novack was the field agent who detained me. Tracey O’Hara
was also my PO, who was a field agent. Roberta Troy was a supervisor. . . . and
I believe Steven Cubberly is also an administrative personnel from the
Department of Probation and Parole.”)].
Indeed, Mr. Schutzeus only succeeds at tying two probation officers
(Messrs. Novak and Cubberly) to the special field report, and that is because
their signatures are on the face of the document. [ECF 82-6]. Mr. Schutzeus
has no additional evidence of conspiracy. See [ECF 82-12, p. 54 (Q. “Are you
aware of any actions that Mr. Cubberly took personally related to your case?”
A. “No, ma’am.”)]. Two signatures on a document simply is not evidence of a
larger agreement among all four individuals to violate Mr. Schutzeus’s
constitutional rights.
To be clear, to show a conspiracy, a plaintiff doesn’t have to show direct
evidence. The Third Circuit has stated that for a Section 1983 conspiracy
claim, the plaintiff need not prove an actual agreement through direct
evidence—he can rely on circumstantial evidence of an agreement. In the
absence of direct proof, a “meeting of the minds” or “understanding or
agreement to conspire” can be inferred from circumstantial evidence.
Jutrowski v. Twp. of Riverdale, 904 F.3d 280, 295 (3d Cir. 2018).
“Such
circumstantial evidence may include that the alleged conspirators did or said
- 20 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 21 of 38
something to create an understanding, the approximate time when the
agreement was made, the specific parties to the agreement, the period of the
conspiracy, or the object of the conspiracy.” Id. (cleaned up).
Even so, Mr. Schutzeus points to no circumstantial evidence to show an
agreement. He has not even provided evidence that the probation officers
spoke or met at any time about his case, or even whether they all knew each
other or worked together. He only has the documents that are evidence of his
probation conditions and his arrest— i.e., the forms that the probation-officers
filled out and submitted to the trial court. He has not provided deposition
testimony or written discovery responses of the officers to build any sort of
circumstantial case of an agreement. He has not even argued or articulated a
theory that would tie these probation officers together in any way. While the
Court is sympathetic to the fact that Mr. Schutzeus is representing himself in
this case, his pro se status does not excuse him from the obligation to conduct
discovery or otherwise muster evidence to support his claims. See Holman,
2013 WL 941801, at *1 n.1 (“While pro se litigants may be entitled to some
latitude when dealing with sophisticated legal issues, acknowledging their lack
of formal training, there is no cause for extending this margin to
straightforward procedural requirements that a layperson can comprehend as
easily as a lawyer.”) (citation and quotation marks omitted). And without
evidence of an agreement (direct or circumstantial), Mr. Schutzeus cannot
establish a claim for civil conspiracy that survives summary judgment.
B.
The Monell claim fails for lack of evidence (and would also
be barred by the Eleventh Amendment).
The Monell claim must also be dismissed, since to sustain such a claim,
a plaintiff must establish: (1) the existence of a local government custom or
policy; and (2) that the governmental employees violated the plaintiff's civil
- 21 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 22 of 38
rights while acting under this custom or policy. See Monell v. N.Y. City Dep’t
of Soc. Servs., 436 U.S. 658, 694 (1978).
Here, Mr. Schutzeus merely makes bald assertions in his complaint that
the probation office enforced “policies, practices and/or customs” that added
“extra-judicial sanctions to the period of time he was to serve on probation.”
[ECF 85-2, p. 6, ¶ 23]. However, he has provided no evidence on what those
policies or customs were, where they are found, or how they were enforced. A
plaintiff simply cannot rely on conclusory statements to oppose a motion for
summary judgment, but must rely on evidence. See Craig v. Collins, No. 131873, 2013 WL 5271521, at *9 (E.D. Pa. Sept. 17, 2013) (defendants were
entitled to summary judgment because plaintiff “produced no evidence to
support his conclusory claim of Monell liability”); Sanders v. City of Phila., 209
F. Supp. 2d 439, 442 (E.D. Pa. 2002) (“The plaintiff has failed to meet the
standards of Monell . . . because no evidence has been offered by a City of
Philadelphia policymaker which shows that [plainiff’s] injuries were a result
of the City’s ‘policy’ or ‘custom.’”).
The crux of Mr. Schutzeus’s argument is that the Superior Court
decisions in Vilsaint, MacGregor, and his own case are “evidence” of the official
policy to add extra-judicial sanctions. [ECF 89, pp. 11-13, ¶¶ 37-45]. In its
2015 opinion, the Superior Court cited Vilsaint and MacGregor, which are two
2006 Superior Court decisions that effectively held that trial courts could not
delegate the imposition of probation conditions to probation officers. Thus,
according to Mr. Schutzeus, the imposition of probation conditions in his case
(which happened in late 2006 and early 2007), and these two other 2006 cases,
demonstrate a pattern or a policy of misconduct.
Simply citing MacGregor and Vilsaint, with nothing more, is insufficient
to prove any type of policy or custom. From a review of these cases, it is unclear
- 22 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 23 of 38
what exactly happened, and if probation officers were acting under the same
alleged policies that would apply to Mr. Schutzeus’s case. For example, in
Vilsaint, it is unclear whether the probation officer was a Pennsylvania Board
of Probation and Parole official or a county official. In fact, in that case, it
appears that the condition of probation was imposed by a Franklin Countyspecific form or policy, not a statewide probation-office policy. See Vilsaint, 893
A.2d at 756 (“[W]e question why Franklin County has gone to the trouble and
expense of pre-printing that information on a court order.”). Without actual
evidence from those cases of the policies, Mr. Schutzeus cannot meet his
burden of proof at this stage.
But even if Mr. Schutzeus could meet his evidentiary burden to resist
summary judgment, the Monell claim fails because the probation office is
entitled to Eleventh Amendment immunity. The claim is only against the
probation office, which is an arm of the Commonwealth, not a municipality or
local government. See Hafer v. Melo, 502 U.S. 21, 25-27 (1991); Harris v.
Zappan, No. Civ. A. 97-4957, 1999 WL 360203, at *2 (E.D. Pa. May 28, 1999)
(“The Pennsylvania Board of Probation and Parole is an arm of the
Commonwealth of Pennsylvania entitled to assert the Eleventh Amendment.”);
Wood v. Pa. Bd. of Prob. & Parole, No. 08-76J, 2009 WL 1913301, at *3 (W.D.
Pa. 2009) (Gibson, J.) (same). State entities, such as the probation office, are
immune from Monell liability. See Will v. Michigan Dep’t of State Police, 491
U.S. 58, 70 (1989) (“States are protected by the Eleventh Amendment while
municipalities are not, and we consequently limited our holding in Monell to
local government units which are not considered part of the State for Eleventh
Amendment purposes.”).
Mr. Schutzeus attempts to get around this line of authority by arguing
that Eleventh Amendment immunity does not apply because he is seeking
- 23 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 24 of 38
injunctive relief to enjoin the probation office from enacting its alleged policy.
See [ECF 91, p. 8].
Initially, there is no evidence in the record that the probation office, to
the extent that it once had an official policy of imposing conditions of probation,
still has one now. Recall, Mr. Schutzeus’s “evidence” of any policy is embedded
in his own criminal case in 2006 and 2007 and two other 2006 cases that the
Superior Court cited in its decision. But there is no evidence of an existing
policy. This is important, because if the policy does not currently exist, then
there is nothing to prospectively enjoin.
But even if Mr. Schutzeus could claim an entitlement to prospective
injunctive relief, that doesn’t save this claim. It is true that an exception to
Eleventh Amendment immunity exists in specific circumstances permitting
injunctive or declaratory relief against Commonwealth officials. See Ex parte
Young, 209 U.S. 123, 188–89 (1908); Pennhurst, 465 U.S. at 102–03; Pa. Fed’n
of Sportsmen’s Clubs, Inc. v. Hess, 297 F.3d 310, 323 (3d Cir. 2002). However,
this exception does not apply to a federal claim against the probation office,
since the probation office is not a Commonwealth official.
It is the
Commonwealth itself. See Fenton v. Pa. Dep’t of Corr., No. 18-5484, 2019 WL
398929, at *4 n.2 (E.D. Pa. Jan. 31, 2019) (refusing to apply Eleventh
Amendment exception as against probation office, DOC, or state prison since
plaintiff “has not named any individuals as defendants in this action”).
Injunctive relief is not a loophole to skirt the Eleventh Amendment. The claim
is barred.
IV.
The remaining “unreasonable seizure, false arrest” claim fails.
As discussed above, judgment will be entered in favor of Defendants on
the state-law claims and the federal conspiracy and Monell claims. Thus, at
this point, the only claim that remains is the one for “unreasonable seizure,
- 24 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 25 of 38
false arrest.” [ECF 85-2, pp. 7-8, ¶¶ 26-29]. This claim refers to both the
Fourth Amendment and Fifth/Fourteenth Amendments, and it appears to be
the underlying claim for Mr. Schutzeus’s conspiracy claim, discussed above.
Construing this claim as liberally as possible, the Court will construe
this as a claim for violation of the Fourth Amendment (for unlawful seizure)
and Fifth Amendment/Fourteenth Amendment (for violation of procedural due
process). It appears that Mr. Schutzeus alleges that the probation officers
violated his Fourth Amendment rights by arresting him without probable
cause, because the probation violation turned out to be invalid. And he alleges
that the officers did not afford him due process because they, not the trial court,
effectively imposed a condition of probation, denying him due process at his
original sentencing hearing in 2001 to challenge the conditions.
The Court finds that this claim is barred based on qualified immunity.
That is, Mr. Schutzeus cannot establish that the probation officers violated his
constitutional rights, and cannot show that they violated a “clearly
established” federal right. A violation of a state statute—which is what the
Superior Court found in his case—is not tantamount to a violation of a federal
right. This entitles the probation officers to qualified immunity.
A.
Qualified immunity bars the “unreasonable seizure, false
arrest” claim as to the individual Defendants.
Under
the
qualified-immunity
doctrine,
“government
officials
performing discretionary functions generally are shielded from liability for
civil damages insofar as their conduct does not violate clearly established
[federal] statutory or constitutional rights of which a reasonable person would
have known.” McBride v. Cahoone, 820 F. Supp. 2d 623, 637 (E.D. Pa. 2011)
(quoting Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982)).
To determine
whether defendants are entitled to qualified immunity, courts apply the
- 25 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 26 of 38
familiar two-part test in Saucier v. Katz, 533 U.S. 194 (2001), which asks: (1)
whether the state actor violated a constitutional right, and (2) whether the
right was clearly established. See id. at 202.
The individual Defendants here meet both prongs since they did not
violate
Mr.
Schutzeus’s
Fourth
Amendment
(unlawful
seizure)
or
Fifth/Fourteenth Amendment (procedural due process) constitutional rights,
and neither of the rights were clearly established at the time that the conduct
occurred in late 2006 and early 2007.3
i.
Defendants did not violate Mr. Schutzeus’s Fourth or
Fifth/Fourteenth Amendment rights.
Mr. Schutzeus claims that the state officials violated his Fourth
Amendment right by arresting and detaining him for a violation of an invalid
probation condition. A claim under Section 1983 for false arrest is grounded
in the Fourth Amendment guarantee against unreasonable seizures. Garcia
v. Cnty. of Bucks, 155 F. Supp. 2d 259, 265 (E.D. Pa. 2001) (citing Groman v.
Twp. of Manalapan, 47 F.3d 628, 636 (3d Cir. 1995)). To maintain a false
arrest claim, “a plaintiff must show that the arresting officer lacked probable
In addition to qualified immunity, Ms. O’Hara would be entitled to absolute
immunity since her role in drafting probation terms was purely adjudicatory.
See Harper v. Jeffries, 808 F.2d 281, 284 (3d Cir. 1986) (probation and parole
officers enjoy quasi-judicial immunity when engaged in “adjudicatory” duties).
Ms. Schutzeus’s theory against her is that the trial court improperly delegated
to her the duty of coming up with the terms of probation, which she did. [ECF
82-12, p. 53 (A: “Tracey O’Hara, being that she was my original PO and she set
forth special conditions, you know when I was originally on probation, that is
why she is listed here because she is at fault for what is that Section 9754, I
believe.”)]. That is clearly a quasi-judicial, adjudicatory function, since it
should have been carried out by the trial court itself. There is some uncertainty
as to whether absolute immunity would apply to the other individual
Defendants, given their roles in drafting the special field report and arresting
Mr. Schutzeus.
3
- 26 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 27 of 38
cause to make the arrest.” Id. “Probable cause exists when the totality of facts
and circumstances are sufficient to warrant an ordinary prudent officer to
believe that the party charged has committed an offense.” Id.; James v. City of
Wilkes–Barre, 700 F.3d 675, 680, 683 (3d Cir. 2012) (noting that lack of
probable cause is an element of a Fourth Amendment false arrest claim).
Here, Mr. Schutzeus says there was no probable cause because his
sentence turned out to be invalid. But probable cause is based on an objective
standard based on all information available to the probation officers at the
time. At the time of the arrest, it would have been objectively reasonable for
the probation officers to detain Mr. Schutzeus for violating a term of his
probation. That the sentence was later deemed to be invalid does not change
the analysis; probable cause exists even if it later turns out that the
information relied on was inaccurate. See Wright v. City of Phila., 409 F.3d
595, 603 (3d Cir. 2005) (“The probable cause inquiry looks to the totality of
circumstances; the standard does not require that officers correctly resolve
conflicting evidence or that their determinations of credibility were, in
retrospect, accurate.”); Kis v. Cnty. of Schuylkill, 866 F. Supp. 1462, 1469 (E.D.
Pa. 2001) (“It is well-settled that probable cause to arrest generally exists when
a police officer makes an arrest pursuant to a warrant that meets the
requirements of the Fourth Amendment.”) (citations omitted).
Mr. Schutzeus has put forth no evidence that the probation officers
lacked probable cause for the arrest in 2007 when he was alleged to have
violated his probation. By contrast, the evidence put forward by Defendants
establishes probable cause. By the time of his arrest, Mr. Schutzeus had had
a Megan’s Law hearing, where he was found to be a sexually violent predator
[ECF 82-4, p. 2]; indeed, he is still subject to lifetime Megan’s Law registration
requirements. [ECF 82-15]. This means that, at the time of his arrest, Mr.
- 27 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 28 of 38
Schutzeus should have been prohibited from any contact with minors, as
agreed to by the trial court that signed off on the special field report including
the “no contact with minors” condition. [ECF 82-6]. It took the Superior Court
nine years after Mr. Schutzeus’s arrest to conclude that no probation violation
had occurred, and in the interim it even found that his sentence for the
supposed violation was not unlawful. See Schutzeus, 54 A.3d 86, 88–89 (Pa.
Super. Ct. 2012), appeal denied, 67 A.3d 796 (Pa. 2013).
Based on the totality of these circumstances at the time of the incident,
probable cause existed for Mr. Schutzeus’s arrest.
Mr. Schutzeus cannot
demonstrate a Fourth Amendment violation.
Additionally, Mr. Schutzeus brings a Fifth Amendment/Fourteenth
Amendment claim for lack of procedural due process. He does not explain the
basis for this claim, other than to cite the Fifth and Fourteenth Amendments.
See [ECF 85-2, p. 8, ¶ 29].
However, construing Mr. Schutzeus’s claim
liberally, he appears to be alleging that he was denied due process at his
original sentencing hearing in 2001. That is, when he was sentenced in 2001,
the trial court was required to impose specific terms of probation at that time
as part of the sentence; the trial court’s decision to delegate that aspect of the
sentence to the probation office denied Mr. Schutzeus an opportunity to be
heard on that aspect of the sentence.
The Court will analyze Mr. Schutzeus’s due-process claims under the
Fourteenth Amendment because the Fifth Amendment’s protections only
apply to actions of the federal government, and Defendants here are state
governmental officials. Rittenhouse Entertm’t, Inc. v. City of Wilkes–Barre, 861
F. Supp. 2d 470, 485–86 (M.D. Pa. 2012).
Fourteenth Amendment procedural due process creates a “guarantee of
fair procedure” where an individual can assert that he was deprived of a life,
- 28 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 29 of 38
liberty, or property interest without due process of law. Zinermon v. Burch,
494 U.S. 113, 125 (1990). To prevail on a procedural due-process claim, a
litigant must show: (1) that the state deprived him of a protected interest in
life, liberty, or property; and (2) that the deprivation occurred without due
process of law. See Ky. Dep’t of Corr. v. Thompson, 490 U.S. 454, 460 (1989);
Reynolds v. Wagner, 128 F.3d 166, 179 (3d Cir.1997).
Here, even assuming without deciding that Mr. Schutzeus had a
protected liberty interest, he has failed to show how he was denied due process.
At his original sentencing in 2001, Mr. Schutzeus was represented by counsel,
who could have objected to the trial court’s decision to delegate the conditions
of probation. United States v. Ausburn, 502 F.3d 313, 322 (3d Cir. 2007) (“[D]ue
process in criminal sentencing requires that a defendant receive notice of, and
a reasonable opportunity to comment on, (a) the alleged factual predicate for
his sentence, and (b) the potential punishments which may be imposed at
sentence.”). And in 2007, when Mr. Schutzeus had his probation-revocation
hearing, his counsel could have objected to the imposition of the sentence in
resisting revocation. United States v. Barnhart, 980 F.2d 219, 222 (3d Cir.
1992) (recognizing that revocation of probation is subject only to “minimum
requirements of due process.”). Indeed, the Superior Court later decided that
his counsel was ineffective for failing to raise such objections. Schutzeus, 2015
WL 6467693, at *6. Mr. Schutzeus fails to show how the procedures in place
did not comport with due process. See [ECF 85-2, p. 8, ¶ 29; ECF 91, pp. 1213, ¶¶ 30-32].
Even setting this aside, there is no evidence that the individual
Defendants were the ones that denied Mr. Schutzeus due process. If anything,
Mr. Schutzeus’s claim is that the trial judge deprived him of due process when
he improperly delegated the probation terms and then later revoked his
- 29 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 30 of 38
probation and sentenced him—not the probation officers who drafted the
probation terms, arrested him, and imposed the terms of a sentence as
instructed by the trial judge.
Thus, there was no violation of any constitutional right, meaning that
the individual Defendants are entitled to qualified immunity under the first
prong of the Saucier test.
ii.
Defendants did not violate a “clearly established”
federal right.
Under the second Saucier prong, the probation officers are further
entitled to qualified immunity because they did not violate a “clearly
established” federal right.4
A right is clearly established if “it would be clear to a reasonable officer
that his conduct was unlawful in the situation he confronted.” Saucier, 533
U.S. at 201. The court must consider “the state of the existing law at the time
of the alleged violation and the specific circumstances confronting the officer.”
The Court notes that the judge-made doctrine of qualified immunity has, in
recent years, faced a groundswell of increased scrutiny and criticism in the
courts. See, e.g., Ventura v. Rutledge, 398 F. Supp. 3d 682, 697 n.6 (E.D. Cal.
2019) (“[T]his judge joins with those who have endorsed a complete reexamination of the doctrine which, as it is currently applied, mandates
illogical, unjust, and puzzling results in many cases.”); Manzanares v.
Roosevelt Cty. Adult Det. Ctr., 331 F. Supp. 3d 1260, 1294 n.10 (D.N.M. 2018)
(“Judges and scholars alike have thus increasingly arrived at the conclusion
that the contemporary doctrine of qualified immunity is unmoored from any
lawful justification.”) (citation and quotation marks omitted); Zadeh v.
Robinson, 928 F.3d 457, 480-81 (5th Cir. 2019) (Willet, J., concurring-in-part
and dissenting-in-part) (“Indeed, it’s curious how this entrenched, judgecreated doctrine excuses constitutional violations by limiting the statute
Congress passed to redress constitutional violations.”). The Court shares many
of the same concerns. Nevertheless, unless and until the Supreme Court
reconsiders its approach, this Court is bound by its view of the doctrine. See
D.C. v. Wesby, 138 S. Ct. 577, 591 (2018); Stanton v. Sims, 571 U.S. 3, 6 (2013).
This case is resolved by its straightforward application.
4
- 30 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 31 of 38
Kelly v. Borough of Carlisle, 622 F.3d 248, 253 (3d Cir. 2010) (cleaned up). If
the state officer’s “conduct does not violate clearly established statutory or
constitutional rights of which a reasonable person would have known,” he is
shielded from liability. Harlow, 457 U.S. at 818.
Importantly, the law is only “clearly established” when “the contours of
the right are sufficiently clear that a reasonable official would understand that
his conduct violates that right.” Anderson v. Creighton, 483 U.S. 635, 649
(1987) (cleaned up). This means that “there must be sufficient precedent at
the time of action, factually similar to the plaintiff’s allegations, to put
defendant on notice that his or her conduct is constitutionally prohibited.”
McLaughlin v. Watson, 271 F.3d 566, 572 (3d Cir. 2001). The Supreme Court
has emphasized that “existing precedent must have placed the statutory or
constitutional question beyond debate.” Stanton v. Sims, 571 U.S. 3, 6 (2013)
(cleaned up). Courts look first for applicable Supreme Court precedent, but if
none exists, they may rely on a “robust consensus of cases of persuasive
authority” in the Courts of Appeals. Taylor v. Barkes, 135 S. Ct. 2042, 2044
(2015) (cleaned up). Here, there was no “clearly established” right for at least
four reasons.
First, while Mr. Schutzeus relies only on state-court opinions to
demonstrate a clearly established right, it is unclear whether the Court can
even examine state-court opinions for that purpose. Mr. Schutzeus points to
the Superior Court’s decision in his own case—and, more specifically, to the
two 2006 Superior Court decisions cited in that decision (MacGregor and
Vilsaint) to show that there was a right in 2006, which those decisions clearly
established. But there is a circuit split on whether state-court opinions bear
on the qualified-immunity analysis.
- 31 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 32 of 38
For instance, the Eighth and Ninth Circuits look to all decisional law,
including state-court opinions, for determining clearly established rights. See
Hayes v. Long, 72 F.3d 70, 73–74 (8th Cir. 1995); Tribble v. Gardner, 860 F.2d
321, 324 (9th Cir. 1988). By contrast, the Fourth, Tenth, and Eleventh Circuits
allow courts to examine decisions of the highest state courts, but seemingly not
to intermediate state-appellate courts. See, e.g., Anaya v. Crossroads Managed
Care Sys., Inc., 195 F.3d 584, 594 (10th Cir. 1999); Edwards v. City of
Goldsboro, 178 F.3d 231, 251 (4th Cir. 1999); Jenkins by Hall v. Talladega City
Bd. of Educ., 115 F.3d 821, 826 n. 4 (11th Cir. 1997). And the Sixth Circuit
has held that a district court must find binding precedent from the Supreme
Court or from itself—it does not look to state-court opinions at all. See Ohio
Civil Serv. Emps. Ass’n v. Seiter, 858 F.2d 1171, 1177 (6th Cir. 1988).
This Court, of course, is bound by the Third Circuit, but the Third
Circuit’s opinions are somewhat unclear on this point, or have, at least, never
directly spoken to this issue. The Third Circuit has mostly instructed district
courts to use federal decisions, but the Court has also affirmed district courts’
analyses predicated on an analysis of state law. See, e.g., Spiker v. Whittaker,
553 F. App’x 275, 277 (3d Cir. 2014); Egolf v. Witmer, 526 F.3d 104, 109–11 (3d
Cir. 2008). In an opinion concurring in part and dissenting in part, Judge
Garth interpreted Doe v. Delie, 257 F.3d 309 (3d Cir. 2001), as outlawing the
use of state-law decisions in determining what qualifies as clearly established.
See Brown v. Muhlenberg Twp., 269 F.3d 205, 221 (3d Cir. 2001) (“In
determining whether a legal principle is ‘clearly established,’ if we cannot look
to state law, as we cannot, see Doe v. Delie, 257 F.3d 309, 2001 WL 817680 (3d
Cir. July 19, 2001) (‘officials do not forfeit qualified immunity from suit for
violation of a federal constitutional right because they failed to comply with a
clear state statute.’) . . . .”). But Delie appears to focus on a different (albeit
- 32 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 33 of 38
related) issue—that is, whether violation of a state statute can serve as a
violation of a clearly established federal right, not necessarily whether a
district court can look to state-court decisions. See Delie, 257 F.3d at 319
(holding that “state statute cannot ‘clearly establish’ [a] federal right for
qualified immunity purposes,” unless that state statute creates a federally
protected property interest).
Second, assuming that this Court could consider intermediate statecourt decisions, the state-court decisions here fail to establish a violation of a
clearly established federal right. On this point, the Third Circuit is clear. In
Delie, the Third Circuit held that violations of a state statute do not count. See
id. (the clearly established right “must be the federal right on which the claim
for relief is based.”). And that is all that MacGregor and Vilsaint establish—a
trial court’s delegation to probation officers to set conditions is a violation of a
state statute, 42 Pa. Cons. Stat. § 9754, not a federal statutory or constitutional
right. Those decisions would not place a probation officer in Defendants’ shoes
in 2006 or 2007 on notice that this conduct would violate a federal right. And
even if the officer should have known that his conduct would violate a statestatutory right, that does not translate into knowledge that his conduct was a
violation of federal law.5
There is one notable exception to this rule. If a federal constitutional violation
depends on a right created by state law, then a violation of state law may be
relevant to the analysis. See Bd. of Regents v. Roth, 408 U.S. 564, 577 (1972);
cf. Burella ex rel. Burella v. City of Phila., No. Civ.A. 00–884, 2003 WL
23469295, at *8 (E.D. Pa. 2003) (finding that the Pennsylvania Protection from
Abuse Act and protection from abuse orders were sources of a clearly
established Fourteenth Amendment due-process right to police protection).
This usually is the case for due-process claims involving deprivation of a
property right, where the property right is defined by state law. This principle
does not apply here, because 42 Pa. Cons. Stat. § 9754 is not a source of any
federal constitutional right.
5
- 33 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 34 of 38
The federal constitutional issues at play here are unlike the state-law
issues heard by the Superior Court in Vilsaint and MacGregor.
Indeed,
Mr. Schutzeus’s own summary-judgment motion illustrates this very point. As
discussed below, Mr. Schutzeus argues that offensive collateral estoppel
applies based on the 2015 Superior Court ruling in his case and proves a
constitutional violation. [ECF 89, pp. 3-4, ¶¶ 7-11]. But collateral estoppel
cannot apply, in part, because the issues are not identical. The issue before
the Superior Court in his case, and also in Vilsaint and MacGregor, was
whether the judge in each instance violated 42 Pa. Cons. Stat. § 9754 by
sentencing the defendant for violating probation terms imposed by probation
or parole officers. The issue was never whether probation officers violated a
federal right, let alone a clearly established federal right, by arresting and
detaining defendants for violating improperly imposed probation terms.
Third, even if Vilsaint and MacGregor defined something expansive
enough to be considered a federally protected right, they do not do so with
enough precision. Courts must exercise care “not to define clearly established
law at a high level of generality.” Ashcroft v. al-Kidd, 563 U.S. 731, 742 (2011).
Instead, courts “must define the right allegedly violated at the appropriate
level of specificity.” Sharp v. Johnson, 669 F.3d 144, 159 (3d Cir. 2012). Here,
Vilsaint and MacGregor speak about an error in delegation. Those cases,
interpreting 42 Pa. Cons. Stat. § 9754, tell trial courts what they can and
cannot do when imposing a sentence of probation. They say nothing about
what probation officers can and cannot do in arresting or detaining defendants
under an improperly delegated sentence, or what process the probation officers
must afford in such circumstances. That is the main focus of the conduct at
issue, and Vilsaint and MacGregor do not specifically speak to it. They
certainly don’t speak to it in a way that would guide the conduct of probation
- 34 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 35 of 38
officers— which is the very purpose of the qualified-immunity standards. Hope
v. Pelzer, 536 U.S. 730, 739 (2002) (“Qualified immunity operates to ensure
that before they are subjected to suit, officers are on notice their conduct is
unlawful.”) (cleaned up).
Fourth, while Mr. Schutzeus has not pointed the Court to any federal
law on this issue, federal cases concerning improper delegation by a sentencing
judge exist. But those are inapposite. They hold that federal judges may not
delegate sentencing to probation officials, but are based on Article III’s
requirement that federal judges cannot delegate their authority to decide
“cases and controversies” to probation. See, e.g., United States v. Pruden, 398
F.3d 241, 250 (3d Cir. 2005); United States v. Bernardine, 237 F.3d 1279, 1283
(11th Cir. 2001); United States v. Kent, 209 F.3d 1073, 1078-79 (8th Cir. 2000);
United States v. Johnson, 48 F.3d 806, 808-09 (4th Cir. 1995). Article III does
not apply to state courts. So these cases, too, do not create a clearly established
federal violation that would apply here.
For all of these reasons, the individual Defendants are entitled to
qualified immunity from Mr. Schutzeus’s unlawful seizure/false arrest claim
(as well as all of the federal claims asserted against them).
V.
Mr. Schutzeus’s motion for summary judgment must be denied.
Finally, the Court will deny Mr. Schutzeus’s motion for summary
judgment.
Mr. Schutzeus’s motion asks for a declaration that offensive
collateral estoppel applies. Mr. Schutzeus is asking the Court to find that,
based on the Superior Court’s 2015 decision in his case, there was no “lawful
basis for arresting and prosecuting” Mr. Schutzeus “for violating terms of his
probation.”
[ECF 89, p. 3, ¶ 7].
He makes this argument in order to
conclusively establish the existence of a constitutional violation. [ECF 89, p.
4, ¶ 11].
- 35 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 36 of 38
To determine the application of collateral estoppel with respect to statecourt decisions, the Court must apply state-law principles. See Del. River Port
Auth. v. Fraternal Order of Police, 290 F.3d 567, 573 (3rd Cir. 2002) (“A federal
court looks to the law of the adjudicating state to determine [a state-court
decision’s] preclusive effect.”).
The legal standard for collateral estoppel under Pennsylvania law is: (1)
the issue decided in the prior case must be identical to the one presented in the
later case; (2) there was a final judgment on the merits in the prior action; (3)
the party against whom collateral estoppel is asserted was a party to the prior
action, or is in privity with a party to the prior action; and (4) the party against
whom collateral estoppel is asserted had a full and fair opportunity to litigate
the issue in the prior action. See Rue v. K–Mart Corp., 713 A.2d 82, 84 (Pa.
1998).
Pennsylvania law is “not inconsistent” with federal decisions on
collateral estoppel and privity, and courts in this Circuit consider federal
“precedent to be persuasive in addressing collateral estoppel questions arising
under Pennsylvania law.”
Nationwide Mut. Fire Ins. Co. v. George V.
Hamilton, Inc., 571 F.3d 299, 310 (3d Cir. 2009).
Collateral estoppel cannot apply in Mr. Schutzeus’s favor for at least two
reasons.
First, there is no identity of issues between the Superior Court case and
this one. The issues must be identical, not just similar. See Smith v. Holtz,
210 F.3d 186, 196 (3d Cir. 2010) (finding that although the issues in Smith’s
state case and in his Section 1983 case were “tightly tethered,” they were not
identical for the purpose of collateral estoppel; the Section 1983 case presented
the issue of whether a failure to disclose Brady material violated his dueprocess right to a fair trial, whereas the state court had “not address[ed] the
due-process component” of the Brady violation); Sarin v. McGee, 284 F. Supp.
- 36 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 37 of 38
3d 736, 743 (E.D. Pa. 2018) (“Because the record raises the question of whether
the Troopers had reasonable suspicion, but the State Judgment decided only
that they lacked probable cause, the issues here and in the state case are not
identical.”).
As described above, the Superior Court simply found that Mr.
Schutzeus’s sentence was invalid because the trial court had violated 42 Pa.
Cons. Stat. § 9754 by delegating the probation terms to the probation office. It
did not find that individual probation officers acted unlawfully in arresting and
prosecuting him, in violation of federal law or state-tort law.
Second, the Court cannot apply collateral estoppel because there is no
privity of parties. Estoppel is limited by the due-process principle that a
“judgment or decree among parties to a lawsuit resolves issues as among them,
but it does not conclude the rights of strangers to those proceedings.” Richards
v. Jefferson Cnty., Ala., 517 U.S. 793, 798 (1996) (citation omitted). There is
generally a bar against applying collateral estoppel to those who were not
parties in the prior litigation.
The individual Defendants were not parties to the state-court
proceedings that culminated in the Superior Court’s decision. Rather, that was
a criminal case in which only the Commonwealth and Mr. Schutzeus were
parties. The probation officers are not in privity with the Commonwealth so
that collateral estoppel could apply against them. See Smith, 210 F.3d at 199
n.4 (“Smith’s civil action is against the defendants in their individual
capacities, but they are not in privity with the government in a prior criminal
prosecution when sued in their individual capacities.”); Padilla v. Miller, 143
F. Supp. 2d 453, 466 (M.D. Pa. 1999) (“It is clear that Trooper Miller was not a
party to the criminal prosecution.
Plaintiffs contend that Trooper Miller
should be deemed ‘in privity’ with the Commonwealth of Pennsylvania, which
- 37 -
Case 2:17-cv-00412-NR Document 110 Filed 04/20/20 Page 38 of 38
was a party to the criminal prosecution. Plaintiffs, however, cite no authority
that supports this proposition.
As noted above, a number of courts have
concluded that police officers are not in privity with the state for purposes of
offensive collateral estoppel.”).
Thus, the Court will deny Mr. Schutzeus’s motion for summary judgment
for failing to meet the elements for collateral estoppel.
CONCLUSION
For all these reasons, Defendants’ motion for summary judgment is
GRANTED, and Mr. Schutzeus’s motion for summary judgment is DENIED.
Judgment will be entered in favor of Defendants on all counts of Mr.
Schutzeus’s second amended complaint. An appropriate order follows.
DATED this 20th day of April, 2020.
BY THE COURT:
/s/ J. Nicholas Ranjan
United States District Judge
- 38 -
Disclaimer: Justia Dockets & Filings provides public litigation records from the federal appellate and district courts. These filings and docket sheets should not be considered findings of fact or liability, nor do they necessarily reflect the view of Justia.
Why Is My Information Online?