Bullock v. Donohoe ( 2016 )


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  •                             UNITED STATES DISTRICT COURT
    FOR THE DISTRICT OF COLUMBIA
    )
    ERIC L. BULLOCK,                              )
    )
    Plaintiff,                      )
    )
    v.                                      )       Civil Action No. 13-1543 (RDM)
    )
    MEGAN BRENNAN,                                )
    POSTMASTER GENERAL,                           )
    )
    Defendant.                      )
    )
    MEMORANDUM OPINION
    Plaintiff Eric L. Bullock is a former United States Postal Service mail carrier. As
    relevant here, Plaintiff’s pro se complaint, construed liberally, alleges discrimination and
    retaliation claims against the Postmaster General 1 under Section 501 of the Rehabilitation Act of
    1973, 
    29 U.S.C. § 701
     et seq., which prohibits federal employers from discriminating on the
    basis of disability or retaliating against employees who engage in protected conduct. Plaintiff
    alleges that after he broke his left ankle in 2000, he was “targeted for removal” and ultimately
    fired in 2010 because he “could no longer deliver [his] route in the timely manner that was
    expected of [him].” Dkt. 1 at 3. He also alleges that he was terminated in retaliation for having
    filed numerous Equal Employment Opportunity (“EEO”) complaints against various Postal
    Service supervisors over the years. 
    Id.
     at 3–4. Defendant responds that she fired Plaintiff
    because he was incarcerated for 45 days and “tried to cover it up” by submitting “two fraudulent
    1
    Current Postmaster General Megan Brennan is substituted for former Postmaster General
    Patrick R. Donohoe pursuant to Fed. R. Civ. P. 25(d).
    1
    medical notes to cover his absence,” and that Plaintiff’s termination was not based on disability
    or prior EEO activity. Dkt. 33 at 18.
    The matter is currently before the Court on Defendant’s Motion to Dismiss and for
    Summary Judgment. Dkt. 33. Defendant seeks: (1) dismissal based on Plaintiff’s conduct
    during discovery, Dkt. 33 at 12; (2) dismissal of the complaint as untimely, 
    id.
     at 7–8; and (3)
    summary judgment on the merits, 
    id.
     at 12–24. For the reasons explained below, Defendant’s
    motion to dismiss is DENIED, and her motion for summary judgment is GRANTED.
    I. BACKGROUND
    A. Disability and Prior EEO Activity
    Plaintiff was employed as a letter carrier from February 1985 until his termination in July
    2010. Dkt. 33-21 at 7. Most recently, he worked at the Postal Service’s Ward Place Station in
    the District of Columbia. Dkt. 33-18 at 2 (Hubbard Decl. ¶ 3). It is undisputed that Plaintiff
    injured his ankle on the job in 2000, but the supervisors at Ward Place who were directly
    involved in the events leading to his termination—his immediate supervisor, Todd Dickens, and
    his second-level supervisors, Acting Customer Services Manager Bryant Hubbard and Customer
    Services Manager Ricky Rucker—all aver that they lacked any knowledge that this injury
    continued to affect Plaintiff in 2009 and 2010 or that there were any medical restrictions on his
    work during that period. Dkt. 33-19 at 3 (Dickens Decl. I ¶¶ 7–8); Dkt. 33-18 at 2 (Hubbard
    Decl. ¶¶ 2–4); Dkt. 33-20 at 1–2 (Rucker Decl. I ¶¶ 2, 7). Plaintiff responds with unsworn
    assertions that at least some supervisors were aware of his medical problems. Dkt. 35 at 17, 22–
    25.
    From 2003 to 2009, prior to the removal decision at issue in this case, Plaintiff filed
    eleven EEO complaints. Dkt. 33-3. The record lacks information about the substance of those
    complaints, but it does reflect that Hubbard was aware that Plaintiff had filed complaints against
    2
    him, including naming Hubbard as a responsible official in an EEO complaint as recently as
    February 2009. Dkt. 33-18 at 2 (Hubbard Decl. ¶ 5). Dickens and Rucker, however, aver that
    until the filing of the complaint in this case, they were unaware of Plaintiff’s prior EEO activity.
    Dkt. 33-19 at 3 (Dickens Decl. I ¶ 9); Dkt. 33-20 at 2 (Rucker Decl. I ¶ 6). There is no evidence
    in the record, moreover, that Plaintiff filed an EEO complaint at any time in the year and a half
    between February 2009, e.g., Dkt. 33-18 at 2 (Hubbard Decl. ¶ 5), and May 10, 2010, when he
    was issued a notice of removal, Dkt. 33-3 at 1; Dkt. 33-6 at 1.
    B. Incarceration and Purported Medical Excuse
    In 2008, Plaintiff was convicted of driving under the influence (“DUI”) and sentenced by
    the Circuit Court of Maryland for Baltimore City to a one-year suspended sentence and eighteen
    months’ probation. Dkt. 33-4 at 21. On July 3, 2009, Plaintiff was charged with possession of
    marijuana, Dkt. 33-4 at 22, and although Plaintiff states that he was ultimately found not guilty
    of that charge, Dkt. 33-9 at 2, the Circuit Court revoked his probation on October 23, 2009, and
    sentenced him to 90 days’ incarceration for the DUI conviction, beginning immediately. Dkt.
    33-4 at 24.
    On October 23, 2009, Plaintiff informed a supervisor at the Ward Place Station that he
    would be absent for the next month. Dkt. 33-18 at 2 (Hubbard Decl. ¶ 7). The same day, “[t]he
    Ward Place Station received a faxed medical document stating that [Plaintiff] would not return to
    work until November 23, 2009, because he had reinjured his ankle.” 
    Id.
     The medical excuse
    was sent by “Dr. G.K. Bharati, M.D., P.A.,” and listed an address in Essex, Maryland. Dk. 33-4
    at 10. Dr. Bharati reported that Plaintiff “was seen in my office today,” that Plaintiff had “re-
    injured his left ankle and will be out of work from October 23 through November 23, 2009,” and
    that a “follow-up appointment [was] scheduled for November.” 
    Id.
     Hence, “plaintiff’s absences
    3
    were marked as sick leave, and he was expected to return on November 23, 2009.” Dkt. 33-18 at
    3 (Hubbard Decl. ¶ 8).
    Plaintiff did not return to work on November 23. In late November or early December
    2009, Plaintiff and Hubbard spoke on the telephone. According to Plaintiff, the conversation
    occurred just before Thanksgiving, and Plaintiff called work from another inmate’s illegal cell
    phone and informed Hubbard that he was incarcerated and that he would be released on
    December 12, 2009. Dkt. 1 at 3; Dkt. 35 at 100. In Plaintiff’s telling, Hubbard responded that
    he “would deal with [Plaintiff] when [he] came back to work.” Dkt. 1 at 3; Dkt. 35 at 100.
    According to Hubbard, however, the conversation occurred on or about December 2, 2009, and
    Plaintiff did not mention being incarcerated. Dkt. 33-18 at 3–4 (Hubbard Decl. ¶¶ 11–13).
    Rather, Plaintiff told Hubbard that he would return to work on December 14 and agreed to
    provide documentation supporting his absence. 
    Id.
     Hubbard nonetheless “suspect[ed]” that
    Plaintiff was incarcerated “based on the combination of (1) the commotion in the background
    during [their] phone conversation and (2) [Plaintiff’s] previous comments about [being on]
    probation.” 
    Id.
     (Hubbard Decl. ¶ 12). Hubbard e-mailed the Postal Service’s Office of Inspector
    General (“OIG”) on December 2, 2009, and asked Special Agent Joyce Younce to investigate
    Plaintiff’s whereabouts. 
    Id. at 4
     (Hubbard Decl. ¶ 14).
    On December 3, 2009, the Ward Place Station received another medical excuse by fax,
    purportedly sent by Dr. Bharati from Johns Hopkins University. Dkt. 33-4 at 11; Dkt. 33-18 at 4
    (Hubbard Decl. ¶ 15). In that letter, which was dated November 23, 2009, Dr. Bharati reported
    that Plaintiff “was seen in my office today for a follow-up appointment” and was advised “to
    continue physical therapy and return to work December 14, 2009 with no restrictions.” Dkt. 33-
    4 at 11. Around December 14, 2009, Plaintiff returned to work. Dkt. 33-18 at 4 (Hubbard Decl.
    ¶ 17).
    4
    C. OIG Investigation
    The OIG investigated from December 8, 2009 to January 29, 2010. Dkt. 33-4 at 1. In a
    report issued on February 9, 2010, it confirmed that Plaintiff was in fact incarcerated from
    October 23, 2009 to December 10, 2009. 
    Id. at 3
    . The report also recounts the OIG’s
    unsuccessful attempts to locate Dr. Bharati. Special Agent Younce searched the Postal Service’s
    address locator for the address listed on the faxed medical excuses, but found no such address in
    Essex, Maryland. 
    Id. at 4
    . Younce then drove to locations in Baltimore and Middle River,
    Maryland with the same street name and house number as the listed address, but did not find a
    doctor’s office. 
    Id.
     OIG staff also tried, unsuccessfully, to locate Dr. Bharati via Google, the
    doctors’ directory at Johns Hopkins Medical Center, the American Medical Association, and a
    telephone number database, www.anywho.com. 
    Id.
    A memorandum prepared by another OIG investigator states that in an interview
    conducted on January 27, 2010, Plaintiff maintained that he was “out sick October 23 to
    December 10, 2009.” Dkt. 33-4 at 31. According to the memorandum, Plaintiff declined to
    discuss any specifics about his “medical problems” in the interview, but stated that since 2000 he
    had an ongoing problem with his ankle and that he had reinjured it by twisting it on the job. 
    Id. at 31
    . The memorandum also explains that although Plaintiff “was uncooperative,” he agreed to
    have his doctor contact Hubbard and to provide the doctor’s name, telephone number, and
    address by January 29, 2010. 
    Id. at 32
    .
    In February 2010, Hubbard informed OIG that he had not received any information from
    Plaintiff about Dr. Bharati. Dkt. 33-18 at 4 (Hubbard Decl. ¶ 18). Hubbard “was waiting for
    further news from the OIG before initiating any disciplinary action” against Plaintiff, but
    Hubbard was reassigned to a different postal station around March 2010. 
    Id.
     at 4–5 (Hubbard
    Decl. ¶¶ 19–20). Consequently, Hubbard “played no role in issuing discipline to” Plaintiff, but
    5
    he later “learned that the OIG confirmed [his] suspicion that [Plaintiff] was incarcerated.” 
    Id. at 5
     (Hubbard Decl. ¶¶ 21-22).
    D. Pre-Termination Proceedings
    Supervisor Dickens received a copy of the OIG report in February 2010. Dkt. 33-19 at 4
    (Dickens Decl. I ¶ 12). Dickens viewed Plaintiff’s conduct described in the report as
    “egregious” and initiated disciplinary proceedings. 
    Id.
     (Dickens Decl. I ¶ 16). In accordance
    with the collective bargaining agreement, Dickens conducted a “pre-disciplinary interview” on
    April 21, 2010, at which he asked Plaintiff “about his whereabouts between October 23 and
    December 10, 2009, and . . . provided an opportunity [for him] to explain his absence.” 
    Id. at 5
    (Dickens Decl. I ¶¶ 17–19). According to Dickens, Plaintiff “stated that he [had] provided
    doctor’s notes stating he had reinjured his ankle,” and “never mentioned that he was
    incarcerated.” 
    Id.
     (Dickens Decl. I ¶¶ 21, 23). Plaintiff “then stated that [Dickens] had no need
    to ask him anything about his absence,” and he “refused to provide [Dickens] any additional
    information.” 
    Id.
     (Dickens Decl. I ¶ 22). For Dickens, the “interview confirmed that [Plaintiff]
    had submitted fraudulent medical documentation, and his absence was unexcused.” 
    Id.
     (Dickens
    Decl. I ¶ 24). Dickens therefore decided to issue a notice of removal to Plaintiff. 
    Id. at 6
    (Dickens Decl. I ¶ 25).
    After reviewing the OIG report, Plaintiff’s second-line supervisor, Rucker, concurred
    with Dickens’ decision to remove Plaintiff. Dkt. 33-20 at 2–3 (Rucker Decl. I ¶¶ 8–10.)
    According to Rucker, “[w]hile any one of [Plaintiff’s] actions ([Absent Without Leave
    (“AWOL”)], fraudulent medical documentation, or incarceration) would have been sufficient for
    removal, the combination of all three made my decision to concur with the removal simple.” 
    Id. at 3
     (Rucker Decl. I ¶ 10).
    6
    On May 10, 2010, the Postal Service issued a Notice of Removal charging Plaintiff with
    (1) “Unacceptable Conduct” and (2) “Unacceptable Attendance/AWOL.” Dkt. 33-6 at 1. The
    first charge was based on Plaintiff’s failure to notify management about his arrest and
    incarceration from October 23, 2009 through December 10, 2009, and his submission of
    “fraudulent medical documentation” to support his absence. 
    Id.
     The second charge stated that
    Plaintiff had failed to provide an acceptable reason for missing work in light of the results of the
    OIG’s investigation and his pre-disciplinary interview. 
    Id. at 2
    . Plaintiff was found to have
    violated several sections of the Employee and Labor Relations Manual, including those
    proscribing unacceptable, unscheduled absences and “criminal, dishonest, notoriously
    disgraceful, immoral, or other conduct prejudicial to the Postal Service.” 
    Id.
     The latter section
    states that “[c]onviction for a violation of any criminal statute may be grounds for disciplinary
    action . . . , including removal of the employee, in addition to any other penalty imposed.” 
    Id.
    In a written response to the removal notice, Plaintiff asserted that he had told Hubbard
    and others at the post office that he was on probation, that he had to go to court on October 23,
    2009, and that he might get incarcerated at that time. Dkt. 33-9 at 2–3. According to Plaintiff,
    he notified his supervisor and station manager “every time [he] had a legal problem,” including
    “when [he] was arrested,” they were “aware of [his] situation,” and he “did not try to hide
    anything.” 
    Id. at 3
    . In addition, Plaintiff stated that he twisted his left ankle on October 22,
    2009, after he returned from delivering mail. 
    Id.
     Notwithstanding his scheduled court
    appearance the next day, Plaintiff expected to return to work the following Monday and, thus,
    “was going to get a doctor’s excuse that would cover [him] until 10/26/09.” 
    Id.
     According to
    Plaintiff, a friend told him that he could call Dr. Bharati if he needed a doctor’s excuse in a
    hurry. 
    Id. at 4
    . Although “unsure about using a doctor” that he had “never met,” Plaintiff knew
    that his two regular doctors “would have insisted that [he] come to see them before giv[ing]
    7
    [him] an [ex]cuse,” but with Dr. Bharati, [Plaintiff] did not have to make an appointment.” 
    Id.
    Plaintiff claimed that that he was initially marked down as on sick leave because “Supervisor
    Dickens said he had to write something down,” and that Plaintiff later told Hubbard that he was
    in fact incarcerated. Dkt. 33-9 at 5–6.
    The National Association of Letter Carriers (“NALC”) pursued a grievance on Plaintiff’s
    behalf. On July 12, 2010, the Dispute Resolution Team issued a decision “concur[ring] that
    Management did have Just Cause to remove [Plaintiff] from the USPS.” Dkt. 33-7 at 3. The
    Team found that “Management has provided convincing evidence that the [Plaintiff] acted as
    charged in submitting fraudulent medical documentation” and that “[t]his action justifies the
    severity of the discipline issued.” 
    Id.
     As a result, the Plaintiff was “removed from the USPS
    effective the date of this decision.” 
    Id. at 1
    .
    Rucker received a copy of the Team’s decision on July 22, 2010. Dkt. 33-20 at 3
    (Rucker Decl. I ¶ 13). He then escorted Plaintiff off the premises. 
    Id. at 4
     (Rucker Decl. I ¶ 15).
    E. Subsequent Proceedings
    Plaintiff pursued an administrative complaint alleging that he had been terminated on the
    basis of disability and in reprisal for prior EEO activity. Dkt. 33-10 at 1. The Equal
    Employment Opportunity Commission (“EEOC”) rendered a final decision on May 9, 2013, in
    which it affirmed the holding of an EEOC Administrative Judge that (1) the Postal Service
    articulated legitimate, nondiscriminatory reasons for Plaintiff’s termination and (2) Plaintiff
    failed to show that his termination was motivated by discrimination. 
    Id. at 3
    .
    The parties hotly dispute the date on which the instant action commenced. Plaintiff
    mailed the Court a letter on July 29, 2013, which Defendant contends improperly failed to
    contain the word “Complaint” in any caption. Dkt. 33 at 47; Dkt. 33-11 at 9–16; Dkt. 33-22 at 8.
    On August 29, 2013, the Clerk of the District Court for the District of Columbia received a
    8
    “complaint” listing the caption of the case and an application to proceed in forma pauperis. Dkt.
    1 at 200–201. On September 9, 2013, Plaintiff was notified that his documents were being
    returned as non-compliant with the Federal Rules of Civil Procedure and the Local Rules of this
    Court. 
    Id. at 199
    . On September 20, 2013, the Clerk of Court received a complete complaint
    from Plaintiff, which included a caption and the allegations. Dkt. 1. The case was formally filed
    and docketed on October 8, 2013, upon the granting of Plaintiff’s in forma pauperis application,
    which was dated September 19, 2013. Dkts. 1–2.
    On October 14, 2014, the Court dismissed as untimely any potential claim brought under
    Section 301 of the Labor Management Relations Act. See Bullock v. Donohoe, 
    71 F. Supp. 3d 31
    , 34 (D.D.C. 2014). At the same time, the Court denied Defendant’s motion for dismissal of
    Plaintiff’s Rehabilitation Act claims on timeliness grounds and ordered limited discovery on
    whether the claims were timely. 
    Id.
     The Court now addresses Defendant’s Motion to Dismiss
    and for Summary Judgment on the Rehabilitation Act claims. Dkt. 33.
    II. DISCUSSION
    A. Motion to Dismiss
    Defendant first contends that Plaintiff’s claims should be dismissed because he failed
    properly to file a complaint (as distinguished from the letter sent to the Court on July 29, 2013)
    within 90 days of receiving a right-to-sue notice from the EEOC. Dkt. 33 at 7–11. The 90-day
    time limit is not a jurisdictional requirement, and thus the Court need not address whether
    Plaintiff has complied with it before turning to the substance of his claims. See Colbert v. Potter,
    
    471 F.3d 158
    , 167 (D.C. Cir. 2006) (explaining that the 90-day limit imposed by Title VII, 42
    U.S.C. § 2000e-16(c), is not jurisdictional); 29 U.S.C. § 794a(a)(1) (applying Title VII remedies,
    procedures, and rights, including the provisions of 42 U.S.C. § 2000e-16, to claims under § 501
    9
    of the Rehabilitation Act). 2 In light of the factual dispute between the parties regarding the filing
    of the complaint, and because the Court concludes that, in any event, Defendant is entitled to
    summary judgment on the merits of Plaintiff’s claims, see infra Section II.B., the Court declines
    to reach the timeliness issue.
    Second, Defendant contends that the Court should dismiss this action as a discovery
    sanction. Dkt. 33 at 11–12. “[T]he extreme sanction of dismissal is warranted only when (1) the
    other party has been so prejudiced by the misconduct that it would be unfair to require [the party]
    to proceed further in the case, (2) the party’s misconduct has put an intolerable burden on the
    court by requiring the court to modify its own docket and operations in order to accommodate
    the delay, or (3) the court finds it necessary to sanction conduct that is disrespectful to the court
    and to deter similar misconduct in the future.” Davis v. D.C. Child & Family Servs. Agency, 
    304 F.R.D. 51
    , 61 (D.D.C. 2014) (alterations in original) (internal quotation marks omitted); see also
    Webb v. Dist. of Columbia, 
    146 F.3d 964
    , 971 (D.C. Cir. 1998). Defendant points to Plaintiff’s
    delay in responding to a supplemental interrogatory, his “repeated refusal to provide timely
    discovery,” and his alleged “penchant for prevarication” as grounds for dismissal, Dkt. 33 at 11–
    12, 3 but the Court concludes that even if Plaintiff engaged in such conduct, it is insufficient to
    warrant such an extreme measure. Defendant has not asserted that Plaintiff’s conduct resulted in
    any prejudice to it, nor did Plaintiff’s conduct result in significant delay or “an intolerable burden
    2
    By contrast, administrative exhaustion is a jurisdictional prerequisite to a Rehabilitation Act
    claim. See Spinelli v. Goss, 
    446 F.3d 159
    , 162 (D.C. Cir. 2006). Here, there is no dispute that
    that requirement is met—that there has been a “‘final disposition of [an administrative]
    complaint.’ 29 U.S.C. § 794a(a)(1).” Id. (alteration in original).
    3
    Plaintiff, for example, denied during his deposition that he had consumed alcohol “prior to
    coming here,” Dkt. 33-21 at 38, but later acknowledged that “did drink a little beer earlier that
    day,” Dkt. 33-15 at 5.
    10
    on the court.” Davis, 304 F.R.D. at 62. Consistent with the “judicial system’s strong
    presumption in favor of adjudications on the merits,” Shepherd v. Am. Broad. Cos., Inc., 
    62 F.3d 1469
    , 1475 (D.C. Cir. 1995), the Court declines to dismiss this case as a sanction for Plaintiff’s
    conduct during discovery.
    B. Motion for Summary Judgment
    Turning to the merits, Defendant contends that she is entitled to summary judgment
    because “Plaintiff cannot establish a prima facie case of retaliation,” Dkt. 33 at 16, and because
    Plaintiff has failed to put forth any evidence rebutting Defendant’s legitimate, nondiscriminatory
    explanation for Plaintiff’s termination, Dkt. 33 at 18. Summary judgment is appropriate when
    “the movant shows that there is no genuine dispute as to any material fact and the movant is
    entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a); see Anderson v. Liberty Lobby,
    Inc., 
    477 U.S. 242
    , 247–48 (1986). “A fact is material if it ‘might affect the outcome of the suit
    under the governing law,’ and a dispute about a material fact is genuine ‘if the evidence is such
    that a reasonable jury could return a verdict for the nonmoving party.’” Steele v. Schafer, 
    535 F.3d 689
    , 692 (D.C. Cir. 2008) (quoting Liberty Lobby, 
    477 U.S. at 248
    ). “[W]hile summary
    judgment must be approached with special caution in discrimination cases, a plaintiff is not
    relieved of [the] obligation to support [his] allegations by affidavits or other competent evidence
    showing that there is a genuine issue for trial.” Stewart v. White, 
    61 F. Supp. 3d 118
    , 128
    (D.D.C. 2014) (internal quotation marks omitted) (second alteration in original).
    “Rehabilitation Act section 501 prohibits federal agencies from engaging in employment
    discrimination against disabled individuals” and “instructs courts to use the same standards
    employed in cases arising under the Americans with Disabilities Act [(“ADA”)]” to adjudicate
    such claims. Adams v. Rice, 
    531 F.3d 936
    , 942–43 (D.C. Cir. 2008). The Rehabilitation Act
    also “provides a cause of action for retaliation pursuant to its incorporation of § 12203(a) of the
    11
    ADA, 
    42 U.S.C. § 12203
    (a), which prohibits employers from retaliating against an employee
    because he or she has opposed an unlawful employment practice or made a charge or
    participated in an EEO investigation or proceeding.” Marshall v. Potter, 
    634 F. Supp. 2d 66
    , 73
    (D.D.C. 2009). “Where, as here, a claim of discrimination or retaliation is based upon
    circumstantial evidence, we analyze the claim under the burden-shifting framework set out in
    McDonnell Douglas Corp. v. Green, 
    411 U.S. 792
    , 802–05 (1973).” Kersey v. Washington
    Metro. Area Transit Auth., 
    586 F.3d 13
    , 16 (D.C. Cir. 2009); see also Woodruff v. Peters, 
    482 F.3d 521
    , 528–29 (D.C. Cir. 2007) (“[W]e apply Title VII’s McDonnell Douglas burden-shifting
    framework to retaliation claims under the Rehabilitation Act when employers assert non-
    retaliatory grounds for adverse employment actions.”); Barth v. Gelb, 
    2 F.3d 1180
    , 1186 (D.C.
    Cir. 1993) (explaining that McDonnell Douglas framework applies to claims under § 501 of the
    Rehabilitation Act where the “employing agency asserts that it . . . discharged [the employee] for
    reasons unrelated to the person’s handicap”). Under that framework,
    [I]t is the plaintiff’s burden to establish a prima facie case of discrimination by a
    preponderance of the evidence. If the plaintiff establishes a prima facie case, the
    employer must then articulate a legitimate, nondiscriminatory reason for its
    actions. The plaintiff must then demonstrate that the employer’s stated reason
    was pretextual and that the true reason was discriminatory.
    Stella v. Mineta, 
    284 F.3d 135
    , 144 (D.C. Cir. 2002) (internal citations omitted).
    In cases, like this one, where the defendant comes forward with a legitimate, non-
    discriminatory or non-retaliatory reason for the adverse employment action, consideration of the
    prima facie case is pretermitted. See Morales v. Gotbaum, 
    42 F. Supp. 3d 175
    , 187 (D.D.C.
    2014). As the D.C. Circuit has admonished in the analogous context of Title VII disparate-
    treatment litigation, where “an employer has asserted a legitimate, non-discriminatory reason for
    [its] decision, the district court need not—and should not—decide whether the plaintiff actually
    made out a prima facie case under McDonnell Douglas.” Brady v. Office of the Sergeant at
    12
    Arms, 
    520 F.3d 490
    , 494 (D.C. Cir. 2008) (emphasis in original). Rather, the Court considers
    only whether Plaintiff has “produced evidence sufficient for a reasonable jury to find that the
    employer’s asserted non-discriminatory reason was not the actual reason and that the employer
    intentionally discriminated against [him] on a prohibited basis,” such as disability or retaliatory
    motive. Adeyemi v. District of Columbia, 
    525 F.3d 1222
    , 1226 (D.C. Cir. 2008); see also Jones
    v. Bernanke, 
    557 F.3d 670
    , 678 (D.C. Cir. 2009) (“[T]hese principles apply equally to retaliation
    claims . . . .”). The Court considers “all the evidence, which includes not only the prima facie
    case but also the evidence the plaintiff offers ‘to attack the employer’s proffered explanation for
    its action.’” Jones, 
    557 F.3d at 677
     (quoting Carter v. George Wash. Univ., 
    387 F.3d 872
    , 878
    (D.C. Cir. 2004)).
    Here, Defendant has asserted a legitimate, non-discriminatory and non-retaliatory reason
    for her termination of Plaintiff’s employment. Indeed, she has asserted two reasons, either of
    which alone would have been sufficient to support Plaintiff’s discharge under the Postal
    Service’s Employee and Labor Relations Manual: (1) Plaintiff engaged in “unacceptable
    conduct” by failing “to notify management of [his] arrest and incarceration on October 23, 2009
    through December 10, 2009,” and by submitting “fraudulent medical documentation to [his]
    supervisor for this time period”; and (2) Plaintiff had an “unacceptable” absence during the
    period of time he was incarcerated. Dkt. 33-6 at 1 (Notice of Removal). The Notice of Removal
    also notes that the Employee and Labor Relations Manual provides that “[c]onviction for a
    violation of any criminal statute may be grounds for . . . removal”; that employees “must not
    engage in . . . dishonest . . . or other conduct prejudicial to the Postal Service”; “that [e]mployees
    are expected to maintain their assigned schedule,” and “must provide acceptable evidence for
    absences when required”; that “[f]ailure to be regular in attendance may result in . . . removal”;
    and that “employees who fail to report on scheduled days . . . are considered absent without leave
    13
    except in cases where actual emergencies prevent them from obtaining permission in advance”
    and that “evidence of the emergency must be furnished later.” 
    Id.
     at 2–3. In considering these
    asserted justifications, the central “question is not whether the underlying [misconduct]
    occurred,” but rather “whether the employer honestly and reasonably believed that the
    underlying [misconduct] occurred.” Brady, 
    520 F.3d at 496
     (emphasis in original).
    Defendant has martialed a wealth of supporting evidence that Plaintiff’s termination was
    in fact based on the honest and reasonable belief of the deciding officials that Plaintiff committed
    egregious violations of Postal Service policies regarding standards of conduct and unexcused
    absences. She has submitted, inter alia, declarations from the two supervisors who were
    involved in the termination decision (Dickens and Rucker), a declaration from Plaintiff’s prior
    supervisor (Hubbard), the state court records of Plaintiff’s incarceration, the medical excuses
    submitted by Dr. Bharati during the time of Plaintiff’s incarceration, records pertaining to OIG’s
    investigation of Plaintiff’s absence and its failed attempts to locate Dr. Bharati, and the pertinent
    provisions of its Employee and Labor Relations Manual. Plaintiff, by contrast, has not produced
    any competent evidence that could lead a reasonable jury to disbelieve the Defendant’s
    legitimate, nondiscriminatory reasons for firing Plaintiff.
    Plaintiff’s memorandum in opposition to Defendant’s motion for summary judgment
    makes three arguments that this case should proceed to trial, none of which establishes a genuine
    issue of material fact. First, Plaintiff asserts that Hubbard was aware that Plaintiff had filed EEO
    complaints against him in the past and that he had also previously filed an EEO complaint
    against someone named Jackie Cooks, who was Rucker’s girlfriend at the time. Dkt. 35 at 14–
    16. The prior EEO activity against Hubbard is immaterial. Although Hubbard acknowledges in
    his declaration that he was aware of Plaintiff’s prior complaints against him, Hubbard was, at
    most, indirectly involved in the termination of Plaintiff’s employment because he left the Ward
    14
    Place Station shortly after the OIG finished its report but before Plaintiff’s pre-disciplinary
    interview. Dkt. 33-18 at 2–5 (Hubbard Decl. ¶¶ 5, 18–20). Hubbard’s uncontroverted
    declaration, moreover, states in categorical terms that he “played no role in issuing discipline to
    Mr. Bullock.” Id. at 5 (Hubbard Decl. ¶ 22). That assertion is unrebutted.
    As for the EEO activity against Cooks, no reasonable jury could find for Plaintiff on the
    retaliation claim based solely on the speculative assertion that this EEO complaint somehow
    affected the decision to fire Plaintiff. Defendant offers uncontroverted evidence that any EEO
    activity involving Cooks would have occurred no later than 2005 when Plaintiff last worked
    under her supervision (five years before Plaintiff was fired), Dkt. 38-3 at 2 (Cooks Decl. ¶¶ 6-7);
    that Rucker’s personal relationship with Cooks ended in 2006 (four years before Plaintiff was
    fired); and that, prior to this litigation, Rucker was unaware of any EEO complaints filed against
    Cooks (or indeed, of any of Plaintiff’s prior EEO activity), Dkt. 38-1 at 2–3 (Rucker Decl. II
    ¶¶ 3–10). Moreover, Rucker’s role in the decision to terminate Plaintiff’s employment was
    limited to concurring in Dickens’s decision to issue a notice of removal, a decision that was also
    later ratified by Plaintiff’s union. Dkt. 33-20 at 2–3 (Rucker Decl. I ¶¶ 8–9); Dkt. 33-7 at 1. And
    Cooks herself played no role at all. Dkt. 38-3 at 2 (Cooks Decl. ¶ 6). If such a remote
    connection between the filing of an EEO complaint and a subsequent termination decision were
    alone sufficient to create a material dispute of fact, it is difficult to conceive of any case in which
    the mere filing of an EEO complaint would not permit a plaintiff alleging retaliation
    “automatically [to] obtain a jury trial.” Brady, 
    520 F.3d at 496
     (emphasis in original).
    Next, Plaintiff claims that he did not personally submit the fraudulent medical
    documentation or fail to inform his employer about his incarceration, contrary to statements in
    the notice of removal. Dkt. 35 at 17; Dkt. 33-6 at 1. Plaintiff concedes, however, that he was
    incarcerated from October 23, 2009 to December 14, 2009, and that he did not visit Dr. Bharati.
    15
    Dkt. 25 at 27. Plaintiff blames the fraudulent medical submissions on an unidentified friend
    whose “intentions were [honorable],” Dkt. 35 at 73, and explains: “Yes I was going to get a
    doctor slip from Dr. Bharati, who I thought was a real certified doctor[,] . . . for only two days.
    When a friend found out that I was incarcerated, the friend took upon himself to fax the two
    doctors’ notes to my job without my knowledge,” id. at 27. Plaintiff also states that he notified
    Hubbard that he was incarcerated in November. Dkt. 35 at 20–21.
    These arguments miss the point. The question is not whether Petitioner actually engaged
    in the asserted misconduct, but whether those who made the decision to fire him “honestly and
    reasonably believe that” he did. Brady, 
    520 F.3d at 496
    . As to that controlling question, the
    record is uncontroverted. Todd Dickens, Plaintiff’s direct supervisor, has offered uncontroverted
    testimony that he issued the Notice of Removal based on “Plaintiff’s incarceration and fraudulent
    medical documentation” and his “extended absence without leave.” Dkt. 33-19 at 6 (Dickens
    Decl. I ¶ 27). He has further explained that “[a]ny one of the Plaintiff’s actions (the 45 days of
    AWOL, submission of fraudulent medical documentation, or the incarceration) would have
    constituted sufficient grounds for his removal,” 
    id.
     (Dickens Decl. I ¶ 28), and that, “[b]ecause of
    the severe nature of Plaintiff’s misconduct, [he] felt that removal was the only reasonable
    penalty,” id. at 7 (Dickens Decl. I ¶ 33). And, he provided uncontroverted testimony that he
    “had no reason to believe that Mr. Bullock was not responsible for submitting the medical
    documentation.” Id. (Dickens Decl. I ¶ 32). Ricky Rucker, Plaintiff’s second-line supervisor,
    concurred in Dickens’ decision to fire Plaintiff. As he explained in his declaration, although any
    one of the charges against Plaintiff would have been sufficient, “the combination of all three
    made [his] decision to concur with removal simple.” Dkt. 33-20 at 3 (Rucker Decl. I ¶ 10).
    Accordingly, even assuming that Plaintiff disclosed his incarceration to Hubbard and that
    Plaintiff did not personally submit or solicit the submission of the fraudulent medical excuses—
    16
    assertions that are without competent evidentiary support—this would not constitute a basis on
    which a jury could reasonably conclude that Defendant had a discriminatory or retaliatory
    motive for firing Plaintiff. Plaintiff has failed to identify any basis to doubt that Dickens and
    Rucker honestly and with good reason believed that Plaintiff engaged in criminal misconduct,
    was absent from work without leave, and submitted fraudulent medical documentation relating to
    his absence. Indeed, in responding to Defendant’s assertion of undisputed fact that “the Postal
    Service decision makers believed that Plaintiff had caused the October 23, 2009 note purporting
    to come from Dr. Bharati to be submitted to the Postal Service on his behalf,” Dkt. 33 at 38
    (SUMF ¶ 70) (emphasis added), Plaintiff candidly acknowledges that “I cannot dispute what the
    Postal Service decision makers believed,” Dkt. 35 at 73 (Response to SUMF ¶ 70) (emphasis
    added). It is that belief, however, that matters, and it is not the role of the Court to “‘second-
    guess an employer’s personnel decision absent demonstrably discriminatory [or retaliatory]
    motive.’” Fischbach v. D.C. Dep’t of Corr., 
    86 F.3d 1180
    , 1183 (D.C. Cir. 1996) (quoting
    Milton v. Weinberger, 
    696 F.2d 94
    , 100 (D.C. Cir. 1982)). “[T]he issue is not the correctness or
    desirability of the reasons offered [by the employer] . . . but whether the employer honestly
    believes in the reasons it offers.” 
    Id.
     (internal quotation marks and brackets omitted). Thus,
    regardless of whether Plaintiff actually engaged in the asserted misconduct, he has not provided
    any evidence that even remotely suggests that Defendant’s stated reasons for firing him were
    pretextual.
    Finally, Plaintiff contends that “there were three others who worked at Ward [Place]
    Station who were incarcerated . . . at one time or another” who were not terminated. Dkt. 35 at
    26. Plaintiff has not, however, produced any evidence to show that those individuals were
    similarly situated. In contrast, Dickens and Rucker, both long-term Postal Service supervisors,
    aver that they were aware of no other employee who had missed 45 days of work due to
    17
    incarceration and submitted fraudulent medical excuses to conceal his or her whereabouts. Dkt.
    33-19 at 6 (Dickens Decl. I ¶ 30); Dkt. 33-20 at 3 (Rucker Decl. I ¶ 9). Ruckers and Dickens
    also aver that during their tenures as supervisors at Ward Place Station, the three employees
    specifically named by Plaintiff never missed over a month of work without permission, never
    submitted false medical documentation, and, as far as they know, were never incarcerated. Dkt.
    38-1 at 1 (Rucker Decl. II ¶ 2); Dkt. 38-2 at 1–2 (Dickens Decl. II ¶¶ 1–10).
    In sum, the Court concludes that Plaintiff has produced nothing to rebut the
    overwhelming evidence that Defendant had a legitimate, non-pretextual reason to fire Plaintiff.
    CONCLUSION
    For the foregoing reasons, the Court concludes that Defendant is entitled to judgment as a
    matter law. A separate order accompanies this Memorandum Opinion.
    /s/ Randolph D. Moss
    RANDOLPH D. MOSS
    United States District Judge
    Date: January 8, 2016
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