Armstrong v. Burdette Tomlin Memorial Hospital , 438 F.3d 240 ( 2006 )


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  •                                                                                                                            Opinions of the United
    2006 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    1-30-2006
    Armstrong v. Burdette Tomlin
    Precedential or Non-Precedential: Precedential
    Docket No. 03-3553
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    PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    No. 03-3553
    ARNIE ARMSTRONG,
    Appellant
    v.
    BURDETTE TOMLIN MEMORIAL HOSPITAL;
    RICHARD KRAUS, Individually and in his
    capacity as employee of Defendant Burdette
    Tomlin Memorial Hospital; EDWARD L. MOYLETT,
    Individually and in his capacity as employee of
    Defendant Burdette Tomlin Memorial Hospital
    On Appeal from the United States District Court
    for the District of New Jersey
    (D.C. Civil Action No. 00-cv-03441)
    District Judge: Honorable Stanley S. Brotman
    Argued September 15, 2004
    Before: ALITO, AMBRO and FISHER, Circuit Judges
    (Filed January 30, 2006)
    William B. Hildebrand, Esquire (Argued)
    Feldman & Hildebrand
    1040 North Kings Highway
    Suite 601
    Cherry Hill, NJ 08034
    Attorney for Appellant
    Timothy M, Crammer, Esquire (Argued)
    Crammer & Bishop
    508 New Jersey Avenue
    Suit B-3
    Absecon, NJ 08201
    Attorney for Appellees
    OPINION OF THE COURT
    AMBRO, Circuit Judge
    Arnie Armstrong appeals from an order of the United
    States District Court for the District of New Jersey denying his
    motion for a new trial on his claims of failure to accommodate
    his disability, as well as age discrimination and disability
    discrimination. Armstrong contends that the District Court erred
    2
    in charging the jury regarding the elements of his claims and the
    parties’ respective burdens of proof, and in approving jury
    interrogatories. He also challenges the Court’s refusal to grant
    a retrial on his claims brought under the Fair Labor Standards
    Act. Although we are not persuaded by all of Armstrong’s
    arguments, we reverse the District Court insofar as it denied his
    motion for a new trial on his failure to accommodate and
    disability discrimination claims, and remand for a new trial.
    I. Factual Backgroud
    Armstrong began working at Burdette-Tomlin Memorial
    Hospital (the “Hospital”)1 in 1980, following several years of
    unemployment due to an earlier neck and back injury.2 Within
    a year, Armstrong became a full-time shipping and receiving
    clerk.3   Richard Kraus became Armstrong’s immediate
    1
    There are three appellees in this case: the Hospital,
    Armstrong’s employer; Richard Kraus, Armstrong’s supervisor;
    and Edward Moylett, the Hospital’s Human Resources Director.
    Unless specifically named, the appellees hereafter will
    collectively be referred to simply as the “Defendants.”
    2
    Armstrong’s injury stemmed from an on-the-job fall at
    a previous employer.
    3
    His most recent job title was “distribution stock clerk.”
    This position appears to be nearly identical or the same as
    “shipping and receiving clerk.”
    3
    supervisor beginning in 1983 or 1984, and remained his
    supervisor for the duration of Armstrong’s employment at the
    Hospital.
    Armstrong alleges that he took the clerk position because
    it did not involve heavy lifting that would exacerbate his back
    and neck problems. The position required placing supplies on
    carts, pushing the carts and putting the supplies away.
    According to the Defendants, the position required clerks to be
    able to lift items weighing up to 150 pounds.4 Armstrong
    received satisfactory or better evaluations and regular raises
    throughout his tenure at the Hospital. In 1998, his last full year
    there, he received a perfect attendance award.
    A.     Missed Work
    Because of recurring back and neck pain, Armstrong
    missed work for several extended periods during his
    employment. He was out on disability for more than a month in
    1993 (and his grievance challenging increased workloads
    failed). He had allegedly told his union representative that he
    could not physically perform the work. When he returned to
    work a month later, a doctor’s note read that he could perform
    only “light duty” functions. Because the stock clerk’s position
    was not a “light duty” job, the Hospital said Armstrong would
    4
    It is unclear whether this lifting is actually required to
    perform the job, or is just part of the official job description.
    4
    either have to bid on other jobs or return to his stock clerk
    position with all the duties required of the position. Armstrong
    chose to return to his stock clerk position and its full duties.
    Armstrong missed work again for several weeks after he
    re-injured his back and neck during an unsuccessful attempt to
    jump from a shelf onto a shaky stool in July 1996. Although
    Armstrong claims the injury resulted from this fall, the
    Defendants say that Armstrong continued to work without
    complaint until October 17, 1996, three months after the fall,
    and that Armstrong’s sworn application for disability benefits
    revealed that he injured himself while working on his farm. Just
    as he did following the 1993 injury, Armstrong again returned
    to work with a doctor’s note stating that he could not perform
    heavy lifting, pulling, or bending. But, when told by the
    Hospital that a distribution stock clerk was not a “light duty”
    position, and that he could therefore not return to his distribution
    stock clerk job, Armstrong produced a new note saying that he
    could work without restriction.
    B.      Alleged Harassment
    Armstrong alleges that he was harassed by Kraus and
    other Hospital workers following his return to work. Kraus,
    Armstrong contends, told him that he worked too slowly and
    should consider retirement or find another, less demanding, job.
    He allegedly told Armstrong, “[Y]ou’re getting old, we need to
    have some young blood in the [H]ospital,” and he could not
    5
    have a “cripple” working in his department. Armstrong further
    claims that Kraus singled him out by increasing his workload
    and assigning another employee to check and document his
    work. Kraus denies these allegations and notes that Armstrong
    never complained to Kraus’s supervisor of any harassment.5
    In addition to the claimed harassment by his immediate
    supervisor, Armstrong asserts that Ed Moylett (to repeat, the
    Hospital’s Human Resources Director) told Armstrong that he
    (Moylett) would continually retaliate against Armstrong until he
    could be fired. This threat allegedly occurred after Armstrong
    refused to take early retirement. Moylett denies making these
    comments.
    C.     Linen Distribution
    Beginning in 1997, the Hospital created a full-time
    position for a linen distribution clerk after it ended a contract
    with a private vendor. A linen distribution clerk injured his
    back in November 1998, creating an opening in his department.
    According to Armstrong, the linen job is considerably more
    strenuous than his stock clerk job because it requires employees
    repeatedly to bend down and pick up 20 to 30 pound bundles of
    5
    The Defendants also claim that Armstrong had
    previously testified that the disparate treatment stemmed from
    his refusal to “testify” about another employee’s poor work, and
    not his age or disability.
    6
    linen from a five-foot-deep cart. The Defendants dispute
    Armstrong’s claim that the linen job is more strenuous, noting
    that the lifting required for that job—up to 50 pounds—is
    considerably less than the 150 pounds required of distribution
    clerks, and that the linen cart has a low-cut front, 30 inches from
    the floor, so that short workers can easily reach the bundles.
    Kraus posted the linen job opening for several weeks, but
    no one applied. Believing that he might be assigned to this job,
    Armstrong sent several letters to Kraus in December 1998,
    reminding Kraus about his chronic back problems and urging his
    supervisor not to assign him to linen work. The Hospital
    decided, however, that distribution stock clerks would share the
    linen clerk’s functions when no linen clerk was on-duty, and
    Armstrong’s union agreed, even after Armstrong filed a
    grievance to prevent transfer of these duties. Armstrong was
    told by Kraus that he would be required to perform the linen job
    for at least six months.6
    6
    There is a technical factual dispute concerning the use
    of the word “job.” Armstrong’s brief refers to his distribution
    clerk position as his “old job” and the linen job as a separate
    position. On the other hand, the Defendants do not consider the
    linen work to be a different “job” from the distribution work, but
    rather a function added to the distribution clerk’s job
    responsibilities. How “job” is understood is important for a
    jury’s consideration of what reasonable accommodations were
    or were not available, since getting Armstrong’s “old job” back
    7
    D.     Requested Accommodation
    Armstrong attempted to do the linen job, but after two
    weeks he required emergency room treatment. Armstrong
    brought a doctor’s note back to work, stating that he could not
    perform excessive lifting, bending, pushing, or pulling because
    it was “aggravating an old condition.” Armstrong claimed that
    the main problem was that the linen cart had tall sides, and
    reaching over the sides to lift the linen bundles re-aggravated his
    condition. Although witnesses for the Defendants testified that
    there is a low-cut front making it easier to remove linens,
    Armstrong disputes this contention.
    According to Moylett, he advised Armstrong that he must
    be capable of delivering linen in order to perform the essential
    functions of the distribution stock clerk position. If he could
    not, Armstrong could apply for other Hospital jobs. Moylett
    contends that Armstrong never applied for other positions, and
    that Armstrong also declined an option to switch to the night
    would suggest a job transfer as an accommodation to
    Armstrong’s disability, while if “job” is construed to mean
    focusing on a position’s functions, it would suggest substituting,
    replacing, or eliminating one of many position responsibilities
    as an accommodation.
    8
    shift.7  Moylett further claims that he had Armstrong
    demonstrate the duties he performed to determine the particular
    problems he had delivering linen, and concluded that the only
    problem appeared to be that Armstrong did not want to do this
    work.8
    Armstrong says that he asked for his “old job” back
    because he could perform all of those duties without injury, but
    his request was refused. When Armstrong produced an
    additional doctor’s note stating that he could not do excessive
    bending, lifting, pulling, or pushing, Moylett determined that
    Armstrong could not perform any essential function of a
    distribution stock clerk, even though Armstrong claimed the
    only task he could not perform was linen distribution, as the
    distribution stock clerk position required heavier lifting and
    more strenuous activity than the functions performed by a linen
    clerk.
    7
    Presumably the linen functions do not need to be
    performed during the night shift, but the Defendants did not say
    this. Armstrong also did not mention this offer, and did not
    acknowledge any open positions available for transfer.
    8
    At the heart of the dispute in this case is whether
    Armstrong is genuinely unable to perform his work. The
    Defendants appear to believe that Armstrong used the claim of
    a handicap to avoid doing the jobs he did not wish to do.
    9
    On February 2, 1999, Moylett sent Armstrong a letter
    acknowledging that he had received the doctor’s note, and that
    because Armstrong could not “perform the basic job functions
    of your Distribution Clerk position,” Armstrong could: “1.
    Transfer to a mutually agreed upon position in the hospital that
    you will be able to satisfactorily perform, taking into account
    your physical limitations. This option was offered to you in
    May 1998 then again in January 1999. 2. Apply for temporary
    disability insurance or 3. Resign from the [H]ospital.”
    Armstrong was given until February 8, 1999 to make a decision,
    after which he would be removed from the payroll based upon
    his “inability to perform the job functions of your position.”
    According to Armstrong, because no other jobs were
    available and since he could not have his “old job” back, he had
    no choice but to go out on disability. Moylett says that he met
    with Armstrong several times during the year that he was out on
    disability to discuss possible job options with him. But when
    Armstrong did not return to work within a year capable of
    performing the distribution stock clerk duties (including the
    linen clerk functions), he was formally terminated.
    II. Procedural History
    Armstrong filed suit against the Defendants in July 2000
    for uncompensated overtime under the Fair Labor Standards Act
    (“FLSA”), 29 U.S.C. § 201, et seq., and employment
    discrimination under the New Jersey Law Against
    10
    Discrimination (“LAD”), N.J.S.A. § 10:5-1, et seq. In April
    2002, he won a $50,000 verdict for emotional distress and loss
    of enjoyment of life based upon the LAD hostile work
    environment claim against the Hospital and Kraus.9 They filed
    a motion for a new trial. The Court granted the motion in
    August 2002 without restrictions or limitations on the scope of
    the new trial.10
    At the second trial, Armstrong filed written objections to
    the proposed charge and jury interrogatories. After they were
    denied, the jury found in favor of the Defendants on all claims.
    Armstrong now appeals.11
    III. Standard of Review
    Generally, we review jury instructions for abuse of
    discretion. United States v. McLaughlin, 
    386 F.3d 547
    , 551-52
    (3d Cir. 2004). However, our review is plenary when the issue
    9
    The FLSA claim was dismissed on an unopposed
    Federal Rule of Civil Procedure 50 motion at the close of
    Armstrong’s case.
    10
    Prior to jury selection in the second trial, the Court
    reaffirmed its dismissal of the FLSA claim because it had been
    dismissed prior to jury submission at the first trial.
    11
    We have jurisdiction over this appeal under 28 U.S.C.
    § 1291.
    11
    is whether the instructions misstated the law. 
    Id. at 552.
    We
    must consider “whether the charge, ‘taken as a whole, properly
    apprise[d] the jury of the issues and the applicable law.’” Smith
    v. Borough of Wilkinsburg, 
    147 F.3d 272
    , 275 (3d Cir. 1998)
    (quoting Limbach Co. v. Sheet Metal Workers Int’l Ass’n, 
    949 F.2d 1241
    , 1259 n.15 (3d Cir. 1991)). Harmless errors in parts
    of a jury charge that do not prejudice the complaining party are
    not sufficient grounds on which to vacate a judgment and order
    a new trial. Watson v. S.E. Penn. Transp. Auth., 
    207 F.3d 207
    ,
    221-22 (3d Cir. 2000).
    We review a Court’s formulation of jury interrogatories
    for abuse of discretion. Armstrong v. Dwyer, 
    155 F.3d 211
    , 214
    (3d Cir. 1998). “The only limitation [on this discretion] is that
    the questions asked of the jury be adequate to determine the
    factual issues essential to the judgment.” 
    Id. at 216
    (citations
    omitted). We also review for abuse of discretion a Court’s
    determination of issues and claims to be re-tried following the
    grant of a new trial. Vizzini v. Ford Motor Co., 
    569 F.2d 754
    ,
    760 (3d Cir. 1977).
    IV. Discussion
    In order to prevail on his failure to accommodate claim
    under the LAD, Armstrong had to establish four elements: (1)
    he was disabled and his employer knew it; (2) he requested an
    accommodation or assistance; (3) his employer did not make a
    good faith effort to assist; and (4) he could have been
    12
    reasonably accommodated. See Taylor v Phoenixville Sch.
    Dist., 
    184 F.3d 296
    , 317-320 (3d Cir. 1999); Tynan v. Vicinage
    13, 
    798 A.2d 648
    , 657, 659 (N.J. Super. 2002).12
    Armstrong established the first element, as the jury
    explicitly decided in response to an interrogatory that he was
    disabled, and the Defendants acknowledge that Armstrong
    informed the Hospital of his condition. Armstrong also
    satisfied the second element, as it is undisputed that he
    expressed the need for accommodation. However, the jury
    never got to decide whether Armstrong satisfied the third and
    forth elements because it first found that he had not satisfied an
    additional element: that he requested a particular
    accommodation. Unfortunately, although the District Court
    required Armstrong to show this extra element, he was not
    required by law to do so. As Armstrong’s failure to
    accommodate claim was denied because he was erroneously
    forced to demonstrate an element that New Jersey law does not
    require, and because (as will be shown) but for this error a
    reasonable jury could have found in favor of Armstrong, we
    reverse and remand for a new trial on Armstrong’s failure to
    accommodate claim.
    12
    The requirements for failure to accommodate claims
    under New Jersey’s LAD have been interpreted in accordance
    with the Americans with Disabilities Act (“ADA”), 42 U.S.C.
    § 12101, et seq. Tynan, 
    798 A.2d 648
    , 657 (citing 
    Taylor, 184 F.3d at 319-20
    ).
    13
    A.     Specific Reasonable           Accommodation
    Requirement
    In Taylor, we held that if an employer has adequate
    notice of an employee’s disability, and the employee requests
    accommodations for the disability, it becomes the responsibility
    of the employer to “engage the employee in the interactive
    process of finding 
    accommodations.” 184 F.3d at 319
    . If an
    “employee could have been reasonably accommodated but for
    the employer’s lack of good faith,” the employee will win on his
    failure to accommodate claim. 
    Id. at 319-20.
    Taylor alleged that her employer failed to accommodate
    reasonably her bipolar disorder after successfully performing
    the duties of a school principal’s secretary for twenty years.
    Upon her return to work, after being hospitalized for her mental
    condition, Taylor’s employer increased the number of her job
    responsibilities, changed her job description, and began
    documenting Taylor’s errors. 
    Id. at 302-05.
    Taylor’s request
    for transfer was denied.
    The trial court concluded that, if Taylor’s disorder
    qualified as a disability under the ADA, the “only
    accommodation that she specifically requested, transfer to
    another position, was not possible, and consequently, she was
    not an otherwise qualified individual with a disability.” 
    Id. at 302.
    On appeal, we determined that the trial court incorrectly
    placed the entire burden to request a specific reasonable
    14
    accommodation on Taylor without placing any duty on the
    employer to help her find a reasonable accommodation. 
    Id. at 311.
    We explained that “[o]nce the employer knows of the
    disability and the employee’s desire for an accommodation, it
    makes sense to place the burden on the employer to request
    additional information” to determine whether a reasonable
    accommodation is available. 
    Id. at 315.
    In that case, Taylor
    presented evidence that her employer failed to make genuine
    attempts to accommodate her disability, and had even hindered
    attempts to find a reasonable accommodation. 
    Id. at 320.
    Applying the four-part failure to accommodate claim
    test, we reversed, as “a reasonable jury could conclude” that
    Taylor (1) had a disability that the employer knew about, that
    she had “(2) requested accommodations, (3) that the school
    district made no effort to help Taylor find accommodations and
    was responsible for the breakdown in the process, and (4) that
    there were accommodations that the school district could have
    provided that would have made Taylor able to perform the
    essential functions of her job.” 
    Id. Because there
    existed a
    genuine factual dispute whether reasonable accommodations
    existed, a jury had to determine if Taylor’s employer engaged
    in a good faith effort to find a reasonable accommodation.
    In Tynan, the Superior Court of New Jersey rejected the
    employer’s claim that it had no duty to provide an
    accommodation because Tynan had never requested the specific
    accommodation she 
    sought. 798 A.2d at 656
    . Handicapped by
    15
    post-traumatic stress disorder and migraine headaches, Tynan
    had specifically requested that she report to a different
    supervisor and have her personnel records purged of warnings.
    The Court determined that it was not important that her
    requested accommodation may have been unreasonable, but
    only that she had “requested assistance.” 
    Id. at 657.
    Following our decision in Taylor, the Superior Court
    held that Tynan had the burden only to “make clear that . . .
    assistance . . . for . . . her disability” was desired. 
    Id. at 657.
    Once the request is made, “it is the employer who must make
    the reasonable effort to determine the appropriate
    accommodation.” 
    Id. (citing Taylor
    , 184 F.3d at 311). “By
    failing to initiate the interactive process, and forcing Tynan to
    return without any accommodation” once she made her
    handicap known and announced her desire for assistance, her
    employer improperly “forced the termination.” 
    Id. at 658.
    The
    Court pointed out that certain reasonable accommodations were
    likely available and remanded for a determination of whether
    the employer acted in bad faith. 
    Id. at 659.
    In Armstrong’s case, he lost on his failure to
    accommodate claim because the jury answered “No.” to the
    following interrogatory (C-3): “Do you find that the plaintiff
    proved by a preponderance of the evidence that he requested
    and was denied a reasonable accommodation by the
    defendants?” (Emphases added.) Thus, the District Court
    required that Armstrong show that he requested a reasonable
    16
    accommodation. Furthermore, the jury was instructed that
    “[Armstrong] has the initial burden of proposing a reasonable
    accommodation and the proposal must be reasonably specific
    and compatible with the workplace. Accordingly, the plaintiff
    must prove that some reasonable accommodation was available
    and that he requested it.” (Emphases added.)
    In light of these instructions, there is a substantial
    likelihood that the jury incorrectly thought Armstrong had the
    burden of identifying and requesting from the Hospital a
    specific reasonable accommodation when, in fact, he only had
    to show he requested an accommodation in order to satisfy the
    second prong of his failure to accommodate claim. As
    Armstrong’s failure to accommodate claim was denied because
    he was erroneously forced to demonstrate an element that he did
    not need to prove, we must reverse and remand unless this error
    was harmless. In other words, the Defendants could still prevail
    if we conclude that Armstrong could not establish either the
    third or fourth elements of his case — his employer did not
    make a good faith effort to assist, or he could have been
    reasonably accommodated.
    As for the third element, Armstrong contends that the
    Defendants were never genuinely interested in accommodating
    him, but simply wanted him to leave. He asserts that there were
    no other job openings available, despite the Defendants’
    suggestion that he apply for other jobs. Armstrong also points
    to testimony by Moylett suggesting that the Defendants did not
    17
    attempt to accommodate him, but instead made a unilateral
    decision that he either do the linen functions of the distribution
    clerk’s job or he no longer would be employed. See Moylett’s
    Testimony, quoted at pp. 27-29 of Appellant’s Brief (“Q. ‘[S]o
    long as . . . Armstrong felt that he could not do the linen aspect
    of the job he didn’t have a place, he didn’t have a job as a
    distribution clerk at [the Hospital]?’ A. ‘[T]hat’s correct.’ Q.
    ‘[Y]ou either do it or you can’t do the job, period?’ A. ‘That’s
    correct.’”). Thus a reasonable jury could find that Armstrong’s
    employer did not make a good faith effort to assist.
    Turning to the fourth element (whether Armstrong could
    have been reasonably accommodated), this may “include job
    restructuring, part-time or modified work schedules,
    reassignment to a vacant position, acquisition or modification
    of equipment or devices, . . . and other similar accommodations
    for individuals with disabilities.” 
    Taylor, 184 F.3d at 319
    (internal quotation marks omitted). Armstrong contends that he
    could still perform all of the essential functions of his “old job,”
    the distribution clerk position, but that he could not do the
    bending required of the linen job. He complained specifically
    about the effect of the linen cart on his handicap. If a jury
    believed Armstrong, a new cart, better suited to his condition,
    could potentially accommodate the handicap. Or, if more than
    one clerk is on duty during the same shift, perhaps Armstrong
    could take over some of the second clerk’s distribution
    18
    responsibilities in exchange for relief from his linen functions.13
    Furthermore, the Defendants acknowledged that reasonable
    accommodations may have existed.14 Finally, the jury’s finding
    that Armstrong “was qualified to perform the essential functions
    of the job with or without accommodation” is consistent with
    the conclusion that Armstrong could have been reasonably
    accommodated.
    In this context, we cannot conclude the erroneous
    interrogatory and jury instruction were harmless.15
    13
    Moylett testified that there were five to six distribution
    clerks in February 1999, all of whom were cross-trained to
    perform linen clerk functions two days a week.
    14
    They argue, for example, that a “kitchen job” was
    available to Armstrong if he wanted it.
    15
    In this case, we determine that a reasonable jury could
    have concluded that the Defendants did not make a good faith
    effort to engage in the interactive process. As a result, we need
    not address at this stage of the proceedings Armstrong’s
    participation in the interactive process. We note, however, our
    statement in Taylor that, once an employer engages in the
    interactive process, both parties have an obligation to take part
    in the process in good faith.
    Participation [in the interactive
    process] is the obligation of both
    parties, . . . so an employer cannot
    19
    B.     Age and Disability Discrimination Claims
    The discrimination inquiry under the LAD (applicable to
    both Armstrong’s age and disability discrimination claims)
    proceeds in three stages, and is borrowed from from McDonnell
    Douglas Corp. v. Green, 
    411 U.S. 792
    (1973). Gerety v.
    Atlantic City Hilton Casino Resort, 
    877 A.2d 1233
    , 1237 (N.J.
    2005).
    To prove a prima facie case of discrimination
    [under the LAD], the plaintiff must demonstrate
    that he or she (1) belongs to a protected class; (2)
    . . . held a position for which he or she was
    objectively qualified; (3) . . . was terminated from
    that position; and (4) the employer sought to, or
    did[,] fill the position with a similarly-qualified
    person. The burden then shifts to the employer to
    be faulted if after conferring with
    the employee to find possible
    accommodations, the employee
    then fails to supply information that
    the employer needs or does not
    answer the employer’s request for
    more detailed proposals.
    
    Taylor, 184 F.3d at 317
    (emphasis added).
    20
    prove a legitimate, non-discriminatory reason for
    the employment action. Plaintiff can respond by
    showing the employer’s proffered reason was
    merely pretext for the discrimination.
    
    Id. (citations omitted).
    1.      Issues Common to Both the Age and the
    Disability Discrimination Claims
    a.    McDonnell Douglas Analysis
    We have noted that “[i]nstructions . . . explain[ing] the
    subtleties of the McDonnell Douglas framework are generally
    inappropriate when jurors are being asked to determine whether
    intentional discrimination has occurred.”           Pivirotto v.
    Innovative Sys., 
    191 F.3d 344
    , 347 n.1 (3d Cir. 1999).
    Sometimes, elements of the framework may be given as part of
    the instructions, but “judges should present them in a manner
    that is free of legalistic jargon.” 
    Id. The New
    Jersey courts agree, and have held, that the
    McDonnell Douglas test should not generally be laid out
    because the “prima facie case and the shifting burdens confuse
    lawyers and judges, much less juries, who do not have the
    benefit of extensive study of the law on the subject.” Mogull v.
    Commercial Real Estate, 
    744 A.2d 1186
    , 1199 (N.J. 2000).
    New Jersey’s Supreme Court recently approved Model Jury
    21
    Charges that “remove from the jury’s consideration the issues
    of whether the plaintiff and the defendant have met the first and
    second stages, respectively, of the McDonnell Douglas test,”
    supporting instead their consideration by motion for judgment
    at the end of the plaintiff’s case. New Jersey Model Jury
    C h arg es, “In t r o d u c t o r y N o t e t o t h e C o u rt,”
    http://www.judiciary.state.nj.us/charges/civil/221.htm.
    Even though a district court should not generally include
    language on the burden shifting analysis or require a jury to
    decide whether a prima facie case has been established, these,
    by themselves, are insufficient to vacate a judgment. In Watson
    v. Southeastern Pennsylvania Transportation Authority, we
    concluded that harmless error in parts of a jury charge that do
    not prejudice the complaining party are not grounds to order a
    new trial. 
    207 F.3d 207
    , 221-22 (3d Cir. 2000). In
    Armstrong’s case, the District Court did use legal jargon to
    describe the McDonnell Douglas burden-shifting analysis,
    required the jury to consider whether Armstrong established a
    “prima facie” case of age or disability discrimination, and
    instructed that the jury had to determine whether the Hospital’s
    suggested reason for its actions was not a “pretext.”16
    Nonetheless, we believe each instruction contained an
    explanation that a reasonable juror could likely understand. As
    16
    The District Court’s relevant instructions on the
    McDonnell Douglas burden-shifting framework are reprinted in
    the Appendix that is attached to this opinion.
    22
    a result, though the District Court should not have instructed the
    jury on the entire McDonnell Douglas burden-shifting analysis
    and should have avoided sporadic use of “legalese,” these were
    harmless errors.
    b.      Absence of Rebuttable
    Presumption Instruction
    Armstrong claims that the District Court erred by failing
    to instruct the jury that establishing his prima facie case gives
    rise to an inference or rebuttable presumption of discrimination.
    An instruction should have appeared, he asserts, that stated that
    the establishment of a prima facie case may give rise to an
    inference of discrimination if the jury disbelieves the
    employer’s explanation for its discharge decision. Smith v.
    Wilkinsburg, 
    147 F.3d 272
    , 280 (3d Cir. 1998). However, the
    exclusion of the instruction was harmless because the jurors
    never reached the point where they would have been permitted
    to infer discrimination for either of Armstrong’s discrimination
    claims because: (1) as to Armstrong’s age discrimination claim,
    the jury believed the Defendants’ explanation for the discharge
    decision; and (2) as to Armstrong’s disability discrimination
    claim, the jury found that Armstrong did not establish his prima
    facie case.
    c.      The Interrogatories
    Armstrong argues that the use of language in the
    23
    interrogatories such as “pretext,” and requiring the jurors to
    answer interrogatories related to establishing a “prima facie”
    case of discrimination and whether a legitimate reason for
    discharge was proven, confused them. Although the word
    “pretext” was used in two interrogatories,17 the corresponding
    instructions, as noted, contained an explanation that a
    reasonable juror could likely understand. Further, Armstrong’s
    claim is incorrect that the jury should not have been asked to
    decide whether the Defendants’ legitimate business reason was
    pretext. There existed genuine factual disputes in this regard,
    and the Judge appropriately presented this question for the jury.
    Armstrong also argues that the focus on his “discharge”
    in the interrogatories, as the adverse employment action at issue,
    was improper because his claims focused not on the “discharge”
    occurring a year after he had gone out on disability, but on the
    events that he alleges “forced” him to leave the Hospital’s
    employ. However, Armstrong offers no evidence to suggest
    that the jury was confused about the use of the term
    “discharge.” The entire case revolved around the events
    leading up to Armstrong’s leaving work, and there is no reason
    17
    Interrogatory A-4 asked whether the jury found, by a
    preponderance of the evidence, that “the plaintiff proved that
    defendant’s legitimate business reason [for dismissing
    Armstrong] was a pretext for [age] discrimination?”
    Interrogatory B-6 asked the same question with respect to
    disability discrimination.
    24
    to believe that the jury considered the subsequent “discharge”
    to be a separate event.
    2.     Issue Specific to Armstrong’s Age
    Discrimination Claim — Incorrect
    Instruction on Reason for Discharge
    Armstrong contends that the District Court’s instruction
    on his age discrimination claim incorrectly stated the legitimate,
    nondiscriminatory reason for firing him that the Defendants
    gave at trial. The District Court instructed the jury that the
    reason the Defendants gave for discharge was that Armstrong
    was “unable to perform the essential functions of his job.”
    Armstrong asserts that the reason the Defendants actually gave
    for discharging him was that he was able but unwilling to
    perform the essential functions of his job.
    The Defendants acknowledge this, but claim that the
    Judge’s description of the reason was hardly incorrect, as
    “[t]here was no confusion on anyone’s part during the trial what
    the [D]efendants’ position was: If . . . [Armstrong] could, as he
    always maintained, lift all of the items that a stock clerk must
    lift except bundles of linen, then he was ‘unable’ to perform the
    functions of the job because he refused to perform them and not
    because he had any handicap or disability that prevented him
    from doing so.”
    25
    We need not determine which reason the jury thought the
    Defendants gave, however, because the jury found in its
    answers to interrogatories that (1) they articulated a legitimate
    business reason for discharging Armstrong, and (2) the reason
    they gave was not a pretext for age discrimination. Thus, the
    jury found that Armstrong was discharged either because he
    was unwilling or unable to do his job and that he was not
    discharged because of age discrimination.
    As the jury found the Defendants’ legitimate business
    reason was not a pretext for age discrimination, we may not
    reverse the verdict against Armstrong on this claim on the basis
    of the District Court’s erroneous description of the Defendants ’
    proffered reason for discharge. Further, as we are not
    persuaded by Armstrong’s other (previously addressed)
    arguments related to his age discrimination claim, we affirm the
    jury’s verdict against him on this claim.
    3.     Issues Specific to Armstrong’s
    Disability Discrimination Claim
    a.     Requirement that Armstrong
    Show He was Discharged
    Because of His Handicap
    The District Court instructed the jury that, to establish a
    prima facie case on his disability discrimination claim,
    Armstrong had to show that “he was discharged because of
    26
    [his] handicap.” (Emphasis added.) Armstrong only needed to
    show he was discharged, however, and did not need to show it
    was because of his handicap, to establish his prima facie case.
    Nonetheless, because Armstrong did not raise this issue to the
    District Court in his objections to the instructions and
    interrogatories, and also did not raise the issue on appeal, it is
    waived.
    b.      Incorrect Instruction on Reason
    for Discharge
    As previously discussed in the age discrimination context
    (see Part IV.B.2 above), Armstrong argues that the District
    Court’s instruction on his disability discrimination claim
    incorrectly stated the asserted legitimate, nondiscriminatory
    reason for firing Armstrong that the Defendants gave at trial.
    We know from the jury’s answers to the disability
    discrimination interrogatories and age discrimination
    interrogatories (which show, inter alia, that the jury found that
    Armstrong was discharged and that the Defendants sought
    someone to perform the same work after he left) that: (1)
    Armstrong established a prima facie case for disability
    discrimination; (2) the Defendants articulated a legitimate
    reason for discharging Armstrong; and (3) that reason was not
    a pretext for discrimination. Thus, assuming the jury
    understood the Judge’s instructions to mean what they plainly
    27
    and literally mean,18 the jury found that the Defendants
    discharged Armstrong because he was unable to do the essential
    functions of the job and not because of discrimination. The
    problem is that was not enough for the Defendants to prevail.
    The jury instructions stated that the legitimate business
    reason the Defendants gave for discharging Armstrong was the
    belief that Armstrong could not physically perform the essential
    functions of the job assigned to him because of his handicap.
    In this context, the burden should have shifted to the
    Defendants . See Jansen v. Food Circus Supermarkets, Inc., 
    541 A.2d 682
    (N.J. 1988) (explaining that when “the employer
    defends [after the establishment of a prima facie case] by
    asserting . . . that the handicap prevented the employee from
    working, the burden of proof . . . shifts to the employer to prove
    that it reasonably concluded that the employee’s handicap
    18
    The Defendants assert that the District Court’s
    description of the reason was not incorrect, and (as noted above)
    that “[t]here was no confusion on anyone’s part during the trial
    what the [D]efendants’ position was: If . . . [Armstrong] could,
    as he always maintained, lift all of the items that a stock clerk
    must lift except bundles of linen, then he was ‘unable’ to
    perform the functions of the job because he refused to perform
    them and not because he had any handicap or disability that
    prevented him from doing so.” We are unwilling to assume,
    however, that when the Court said “unable” the jury knew he
    really meant something close to the opposite, i.e., “able but
    unwilling.”
    28
    precluded performance of the job”); see also Ensslin v. Twp. of
    N. Bergen, 
    646 A.2d 452
    , 457 (N.J. Super. App. Div. 1994)
    (“Where, as here, an employer maintains that it has reasonably
    concluded that the employee’s handicap precluded performance
    of the job, and has terminated the employee for that reason, the
    burden of proof is on the employer.”). Because the District
    Court did not require the Defendants to satisfy this burden —
    and therefore the jury was not properly instructed that the
    Defendants ’ belief that Armstrong could not do the job because
    of his physical limitations had to be reasonable and that the
    burden of proving this was on the Defendants — we reverse and
    remand for a new trial of Armstrong’s disability discrimination
    claim.19
    C.     Denial of Retrial of Armstrong’s FLSA Claim
    We review for abuse of discretion determinations of
    issues and claims to be retried following the grant of a new trial.
    
    Vizzini, 569 F.2d at 760
    . Under Federal Rule of Civil
    Procedure 59(a), a partial new trial is appropriate if the issue
    being “retried is so distinct and separable from the others that
    a trial of it alone may be had without injustice.” Gasoline
    19
    We note that, on remand, the burden should only shift
    to the Defendants if they assert that they discharged Armstrong
    because his handicap prevented him from working, but not if
    they assert that they discharged him for a legitimate
    nondiscriminatory reason.
    29
    Products Co. v. Caplin Refining Co., 
    283 U.S. 494
    , 500 (1931);
    see also Stanton by Brooks v. Astra Pharm. Prods., 
    718 F.2d 553
    , 576 (3d Cir. 1983).
    Here, the FLSA was dismissed on an unopposed Federal
    Rule of Civil Procedure 50 motion before the first case went to
    the jury and after Armstrong had agreed that there was no
    evidence to support the claim. As such, it is difficult to
    understand how the FLSA claim could be so closely intertwined
    with the LAD claims to require its retrial if both parties agreed
    that no support existed for the FLSA claim, and yet sufficient
    evidence existed to send the separate LAD claims to the jury.
    Thus, the District Court did not abuse its discretion by ordering
    a new trial on the LAD claims that were decided by the jury
    while denying retrial on an issue previously dismissed for lack
    of evidence.
    V. Conclusion
    In this context we: (1) reverse and remand for a new trial
    Armstrong’s failure to accommodate claim; (2) affirm the
    verdict against Armstrong on his age discrimination claim; (3)
    reverse and remand for a new trial Armstrong’s disability
    discrimination claim; and (4) affirm the District Court’s
    decision to deny retrial of Armstrong’s FLSA claim.
    30
    APPENDIX
    District Court’s Jury Instructions Regarding the
    McDonnell Douglas Framework
    [I.] INTENTIONAL AGE DISCRIMINATION CLAIM
    The plaintiff contends that the defendants took adverse
    action against him because of his age in violation of the LAD.
    Specifically, the plaintiff contends that the defendants with
    discriminatory intent treated him differently from other
    employees, transferred him to a position he could not perform,
    and further forced him to take a leave of absence and,
    ultimately, discharged him from his position as a distribution
    stock clerk either because of or on account of his age. In order
    to prevail on a disparate treatment age discrimination claim, the
    plaintiff must show that the defendants acted with
    discriminatory intent.
    Briefly summarized, your analysis will proceed in three
    stages. First, you must evaluate whether the plaintiff establishes
    a prima facie, or initial, case of discrimination. If the plaintiff
    succeeds in establishing a prima facie case, the burden shifts to
    the defendants “to articulate some legitimate, nondiscriminatory
    reason for the adverse employment action.” Finally, should the
    defendants carry this burden, the plaintiff must then have an
    opportunity to prove by a preponderance of the evidence that the
    31
    legitimate reasons offered by the defendants were not the true
    reasons, but were a pretext for discrimination.
    A. PLAINTIFF’S PRIMA FACIE CASE
    The plaintiff’s prima face case is established if he shows,
    by the preponderance of the evidence, that:
    (1)     he is member of a class protected by the anti-
    discrimination law;
    (2)     he was performing his job at a level that met his
    employer’s legitimate expectations;
    (3)     he was discharged; and
    (4)     the employer sought someone to perform the same
    work after he left.
    I charge you that the plaintiff was 58 years old at the time
    of the alleged adverse employment action and, as such, he was
    a member of a protected class. Therefore, the first element of
    the plaintiff’s prima facie case is satisfied. If you find that the
    plaintiff has not proven the last three elements by a
    preponderance of the evidence, however, you must decide in
    favor of the defendants on the plaintiff’s claim for intentional
    age discrimination in violation of the LAD.
    32
    B. DEFENDANTS’ REBUTTAL
    If you find that the plaintiff has proven his initial case,
    the defendants must articulate a legitimate, nondiscriminatory
    reason for its [sic] decision. The defendants are not required to
    prove the validity of its [sic] reason by a preponderance of the
    evidence, but need only articulate facts or produce evidence
    sufficient to raise a genuine question as to whether the plaintiff
    was discriminated against because of his age. Here, the
    defendants maintain that they discharged him because he was
    unable to perform the essential functions of his job.
    Nevertheless, the plaintiff may still prevail on his claim if he has
    proven that the reason the defendants present is merely a pretext
    for age discrimination.
    C. PRETEXT
    To prove pretext, the plaintiff must show by a
    preponderance of the evidence that the defendants’ reason is not
    worthy of belief or that, more likely than not, it is not the true
    reason or not the only true reason for its action.
    If you find that the plaintiff has not satisfied his burden
    of proving that the defendants’ reason is pretext, then you must
    return a verdict in favor of the defendants. If the plaintiff
    demonstrates that more likely than not, age discrimination was
    at least one reason for his discharge, then you must also decide
    33
    whether the consideration of age was a determinative factor in
    the decision.
    D. DETERMINATIVE FACTOR
    To succeed on his intentional age discrimination claim,
    the plaintiff must prove not only that his age was a factor in the
    defendant’s decision, but that his age was a determinative factor
    in the challenged treatment. The plaintiff need not prove that
    his age was the defendant’s sole or exclusive consideration, but
    that his age made a difference in the decision to discharge him.
    If you find that the plaintiff’s age was not a determinative factor
    in the defendants’ employment decision, you must find in favor
    of the defendants. If you find that the plaintiff’s age was a
    determinative factor in the defendant’s employment decision,
    you must find in favor of the plaintiff.
    Remember that the plaintiff bears the ultimate burden of
    proving that more likely than not, the defendants practiced
    intentional age discrimination against him. Even if you
    determine that the defendants’ stated reason was pretext or a
    cover-up, you may or may not conclude that the plaintiff was,
    more likely than not, a victim of intentional age discrimination.
    Furthermore, you should note that you are to consider the
    totality of the circumstances and all the relevant, credible
    evidence presented during the trial in making your determination
    as to whether the defendants more likely than not discriminated
    against the plaintiff because of his age in violation of the LAD.
    34
    [II.] INTENTIONAL DISABILITY DISCRIMINATION
    CLAIM
    The plaintiff contends that the defendants took adverse
    action against him because of his disability in violation of the
    LAD. Specifically, the plaintiff contends that the defendants
    with discriminatory intent treated him differently from other
    employees, transferred him to a position he could not perform,
    and further forced him to take a leave of absence and,
    ultimately, discharged him from his position as a distribution
    stock clerk either because of or on account of his disability. In
    order to prevail on a disparate treatment disability discrimination
    claim, the plaintiff must show that the defendants acted with
    discriminatory intent.
    Briefly summarized, your analysis will proceed in three
    stages. First, you must evaluate whether the plaintiff establishes
    a prima facie, or initial, case of discrimination. If the plaintiff
    succeeds in establishing a prima facie case, the burden shifts to
    the defendants “to articulate some legitimate, nondiscriminatory
    reason for the adverse employment action.” Finally, should the
    defendants carry this burden, the plaintiff must then have an
    opportunity to prove by a preponderance of the evidence that the
    legitimate reasons offered by the defendants were not the true
    reasons, but were a pretext for discrimination.
    35
    A. PLAINTIFF’S PRIMA FACIE CASE
    The plaintiff’s prima facie case is established if he shows,
    by the preponderance of the evidence, that:
    (1)    he was handicapped within the meaning of the
    statute;
    (2)    he was performing his job at a level that met his
    employer’s legitimate expectations;
    (3)    he was discharged because of the handicap; and
    (4)    the defendants sought someone to perform the
    same work after he left.
    To establish the first of these elements, plaintiff must
    prove that he suffered from a handicap. “Handicapped” means
    suffering from physical disability, infirmity, malformation or
    disfigurement which is caused by bodily injury, birth defect or
    illness including epilepsy, and which shall include, but not be
    limited to, any degree of paralysis, amputation, lack of physical
    coordination, blindness or visual impediment, deafness or
    hearing impediment, muteness of speech impediment or physical
    reliance on a service or guide dog, wheelchair, or other remedial
    appliance or device, or from any mental, psychological or
    developmental disability resulting from anatomical,
    psychological, physiological or neurological conditions which
    36
    prevents the normal exercise of any bodily or mental functions
    or is demonstrable, medically or psychologically, by accepted
    clinical or laboratory diagnostic techniques. In addition,
    “handicapped” also includes someone who is perceived to be
    handicapped or has a record of such impairment. It makes no
    difference whether the disability is work related or not.
    It is the plaintiff’s initial burden to prove these four
    elements by a preponderance of the evidence. If you find that
    the plaintiff has not proven these elements by a preponderance
    of the evidence, you must decide in favor of the defendants on
    the plaintiff’s claim for intentional disability discrimination in
    violation of the LAD.
    B. DEFENDANTS’ REBUTTAL
    If you find that the plaintiff has proven his initial case,
    the defendants must articulate a legitimate, nondiscriminatory
    reason for its [sic] decision. The defendants are not required to
    prove the validity of its [sic] reason by a preponderance of the
    evidence, but need only articulate facts or produce evidence
    sufficient to raise a genuine question as to whether the plaintiff
    was discriminated against because of his disability. Here, the
    defendants maintain that they discharged him because he was
    unable to perform the essential functions of his job.
    Nevertheless, the plaintiff may still prevail on his claim if he has
    proven that the reason the defendants present is merely a pretext
    for disability discrimination.
    37
    C. PRETEXT
    To prove pretext, the plaintiff must show by a
    preponderance of the evidence that the defendants’ reason is not
    worthy of belief or that, more likely than not, it is not the true
    reason or not the only true reason for its action.
    If you find that the plaintiff has not satisfied his burden
    of proving that the defendants’ reason is pretext, then you must
    return a verdict in favor of the defendants. If the plaintiff
    demonstrates that more likely than not, disability discrimination
    was at least one reason for his discharge, then you must also
    decide whether the consideration of disability was a
    determinative factor in that decision.
    D. DETERMINATIVE FACTOR
    To succeed on his intentional disability discrimination
    claim, the plaintiff must prove not only that his disability was a
    factor in the defendant’s decision, but that his disability was a
    determinative factor in the challenged treatment. The plaintiff
    need not prove that his disability was the defendant’s sole or
    exclusive consideration, but that his disability made a difference
    in the decision to discharge him. If you find that the plaintiff’s
    disability was not a determinative factor in the defendants’
    employment decision, you must find in favor of the defendants.
    If you find that the plaintiff’s disability was a determinative
    38
    factor in the defendants’ employment decision, you must find in
    favor of the plaintiff.
    Remember that the plaintiff bears the ultimate burden of
    proving that more likely than not, the defendants practiced
    intentional disability discrimination against him. Even if you
    determine that the defendants’ stated reason was pretext or a
    cover-up, you may or may not conclude that the plaintiff was,
    more likely than not, a victim of intentional disability
    discrimination. Furthermore, you should note that you are to
    consider the totality of the circumstances and all the relevant,
    credible evidence presented during the trial in making your
    determination as to whether the defendants more likely than not
    discriminated against the plaintiff because of his disability in
    violation of the LAD.
    39