Mullins v. Evans , 2021 IL App (1st) 191962 ( 2021 )


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    2021 IL App (1st) 191962
    No. 1-19-1962
    Fourth Division
    March 31, 2021
    ______________________________________________________________________________
    IN THE
    APPELLATE COURT OF ILLINOIS
    FIRST DISTRICT
    ______________________________________________________________________________
    )
    FITZGERALD MULLINS and JOHN DOYLE,                     ) Appeal from the Circuit Court
    ) of Cook County.
    Plaintiffs-Appellants,                         )
    ) Nos. 2017 L 012175
    v.                                                     )        2018 L 004059
    )        (cons.)
    TIMOTHY C. EVANS, Individually and as Chief Judge )
    of the Circuit Court and Administrator of the Juvenile ) The Honorable
    Temporary Detention Center of Cook County, Illinois; )   Moira S. Johnson,
    BRUCE BURGER; LEONARD B. DIXON; and                    ) Judge Presiding.
    DIANE McGHEE,                                          )
    )
    Defendants-Appellees.                          )
    ______________________________________________________________________________
    PRESIDING JUSTICE GORDON delivered the judgment of the court, with opinion.
    Justices Delort and Hyman concurred in the judgment and opinion.
    OPINION
    ¶1        Plaintiffs Fitzgerald Mullins and John Doyle, both employees of the Cook County Juvenile
    Temporary Detention Center (JTDC), were disciplined for reporting to the sheriff’s office that
    they had observed what appeared to be a gun in a bag passing through the X-ray scanner at the
    entrance of the JTDC. Each plaintiff filed a lawsuit, which was later consolidated with the
    other, naming as defendants Leonard Dixon, the JTDC superintendent; Diane McGhee, the
    JTDC deputy superintendent; Bruce Burger, the JTDC hearing officer (collectively, the JTDC
    defendants); and Timothy Evans, administrator of the JTDC and chief judge of the circuit court
    No. 1-19-1962
    of Cook County (chief judge). The complaints contained five counts, including both
    constitutional and statutory claims, as well as a count for civil conspiracy against the JTDC
    defendants. All defendants filed motions to dismiss, and the trial court dismissed all claims
    against the chief judge and the constitutional and conspiracy claims against the JTDC
    defendants, leaving only the statutory claims. Plaintiffs now appeal the dismissal of each of
    the counts, and for the reasons that follow, we affirm.
    ¶2                                         BACKGROUND
    ¶3         As noted, plaintiffs each individually filed suit against defendants, and the suits were
    ultimately consolidated on July 5, 2018. Each plaintiff amended his complaint several times,
    and it is Doyle’s second amended complaint and Mullins’ third amended complaint, both filed
    March 28, 2019, that were the subjects of the motions to dismiss at issue. As these complaints
    are largely identical, we discuss them together, unless circumstances require otherwise.
    Additionally, as the complaints were dismissed pursuant to a motion to dismiss, all facts are
    taken from the complaints and the exhibits attached thereto, unless otherwise noted.
    ¶4         Plaintiff Doyle is a “ ‘Security Specialist,’ ” employed at the JTDC, while plaintiff Mullins
    is Doyle’s direct supervisor and “supervisor-in-charge (‘SIC’) of the JTDC security unit.”
    Doyle is a member of a union, and his employment is subject to a collective bargaining
    agreement, while Mullins has been a career service employee of the JTDC since 1992.
    According to Doyle’s complaint, “DOYLE was responsible for the JTDC’s security unit, and
    responsible for JTDC compliance with all laws, ordinances, and rules. The safety and security
    of both the children placed there and that of the JTDC’s employees is one of the primary
    purposes of DOYLE’s job and of the JTDC.” Specifically, on October 7, 2017, the date of the
    incident in question, “DOYLE’s assignment included securing the JTDC against persons
    2
    No. 1-19-1962
    unlawfully bringing in firearms to the facility including its residential areas.” Similarly,
    Mullins’ complaint alleged that on October 7, 2017, “MULLINS’ duties included among other
    things, the duty to secure the safety of the JTDC.”
    ¶5         On October 7, 2017, Doyle was working the X-ray scanning machine at the entrance to the
    JTDC, which was used by security employees to examine all bags and garments for contraband
    for all persons entering the facility, including staff. Like all the JTDC security staff, Doyle was
    not armed and did not possess police powers. Therefore, he could not stop someone with a gun
    but could report it to his supervisors and, under certain circumstances, to the deputy sheriff. At
    approximately 6:45 a.m., a JTDC senior supervisor entered the JTDC building and proceeded
    through the X-ray screening machine, placing her handbag on the belt for scanning. As the bag
    went through the scanner, the scanner “buzzed and lit up.” According to Doyle’s complaint,
    the image on the scanner “showed the outline of a handgun and of an official badge or star in
    the purse.” Doyle went to Mullins, his supervisor, and gave him a copy of the scan. The senior
    supervisor was asked whether she was bringing a firearm into the facility, “and she answered
    ‘no’ and left the area.” A different security officer went from the scanning area to the senior
    supervisor’s office and asked her to return to the screening area with her handbag. After a delay
    of at least seven minutes, the senior supervisor returned and again placed her handbag on the
    belt to be scanned. However, the new image no longer showed either a firearm shape or a star
    shape. She then left the screening area and later exited the building.
    ¶6         Doyle’s complaint alleged that deputy sheriffs provide armed security and have
    responsibility for all law enforcement within the JTDC. Doyle’s complaint further alleged that
    “JTDC General Work Rule 8 required DOYLE, among other things, to report ‘all unusual
    incidents to his/her immediate supervisor.’ ” After the second scan, “[f]ollowing JTDC
    3
    No. 1-19-1962
    policy,” Doyle informed Mullins of the differences he observed between the two images
    produced by the scanner and further informed Mullins that he believed that the senior
    supervisor had improperly and unlawfully carried a gun into the JTDC. Mullins obtained the
    copies of the two scans from Doyle and agreed that the first scan showed the image of a gun.
    He notified the sheriff’s office, at which time a deputy sheriff completed a “law enforcement
    report” that included a notation that a firearm had been illegally brought into the JTDC.
    ¶7         At approximately the same time, defendant Dixon personally intervened and took over the
    JTDC’s investigation, stating that he had concluded that the image in the original scan was of
    a sunglass case. Normally, there were several JTDC employees—not including Dixon—who
    would work with Mullins, the on-duty security officer in charge, and Doyle to conduct an
    investigation. However, in this case, Dixon conducted an investigation alone, and no other
    employees were involved in the investigation. Additionally, normally, there were certain
    investigatory steps that should have been taken to corroborate Dixon’s conclusion that the
    image was a sunglass case, not a gun, including (1) inventorying the sunglass case, (2) taking
    a photo of it, or (3) “reproducing an x-ray scan substantiating that the sunglass case’s image in
    the x-ray was not, in fact, a firearm.” This evidence would be kept in an investigation file
    maintained by the JTDC. However, Dixon did not follow any of these investigation steps.
    ¶8         The complaints further alleged that, as security officer in charge on October 7, 2017,
    protocol required Mullins and his security team to participate in all aspects of the investigation
    begun when Mullins reported the incident. However, Mullins and Doyle were excluded from
    all aspects of the investigation. Additionally, the complaints alleged that, “[a]bsent good cause
    and acting so as to obstruct justice,” Dixon or one of his deputies informed the sheriff’s office
    that a sunglass case, not a firearm, had been brought into the JTDC and further made the
    4
    No. 1-19-1962
    “unusual request” that the sheriff’s office not investigate Mullins and Doyle’s initial statements
    or even make a report. Dixon also demanded that Mullins communicate to the staff that the
    item in the scan was a sunglass case, not a firearm, and Mullins did so “under duress, to avoid
    facing a claim of insubordination.”
    ¶9           Doyle’s complaint alleged that Dixon initiated disciplinary proceedings against Doyle and
    Mullins, charging Doyle for violations of “ ‘General Work Rules’ and ‘Employee Safety.’ ” 1
    He also subsequently approved a 20-day suspension without pay for Doyle, “despite knowing
    that DOYLE had properly performed his duties and was protected by law in both his actions
    and his communications.” Doyle’s complaint alleged that Dixon’s actions were done in
    retaliation “for embarrassing DIXON’s leadership at the JTDC, since DIXON and his
    executive staff viewed DOYLE as a political ally of SIC Mullins, who was a competitor of
    DIXON’s for the Superintendent’s position.” Doyle’s complaint further alleged that Dixon was
    also motivated to retaliate against Doyle “from a desire to deter DOYLE and others from future
    whistleblowing and to undermine DOYLE’s credibility and to prevent the incident from
    becoming public knowledge or reaching independent law enforcement.” Doyle’s complaint
    alleged that “DIXON was upset and angry that word had gotten out about the gun and
    misconduct at the JTDC to the law enforcement community at the facility and ordered that
    DOYLE be charged with rule violations so DOYLE could be publicly punished.”
    ¶ 10         Doyle’s complaint also alleged that a “ ‘pre-disciplinary’ hearing” was set before defendant
    Burger on October 19, 2017, with defendant McGhee’s approval, which was when he also
    received notice of the charges against him. Doyle’s complaint alleged that Burger’s conduct in
    other proceedings had been found to “fail to provide even minimal due process and to be
    1
    The record does not contain any further explanation of these rules.
    5
    No. 1-19-1962
    nothing but a rubber stamp for the JTDC administration.” Doyle’s complaint further alleged
    that it was the chief judge’s policy and practice to allow Dixon, his appointee, through Burger,
    “to hold rump court arbitration and disciplinary hearings” and that the chief judge knew or
    should have known that, under Dixon, the JTDC was not providing its employees with
    constitutionally appropriate hearings. Specifically, in his hearing, Doyle’s complaint alleged
    that Doyle had no right (1) to confront the witnesses against him, (2) to receive a list of charges
    or supporting evidence, (3) to conduct discovery, (4) to call witnesses, (5) to an attorney, (6) to
    cross-examine witnesses, or (7) to subpoena witnesses on his own behalf. Doyle’s complaint
    alleged that both Burger and McGhee had the opportunity to view the X-ray scans “and knew
    the images were physical evidence corroborating Mullins’ and DOYLE’s beliefs in good faith
    that a gun had unlawfully entered the JTDC and such evidence fully justified DOYLE and
    Mullins’ actions that day and thereafter were appropriate and not deserving of any discipline.”
    ¶ 11         Mullins’ complaint contained similar allegations, alleging that Dixon initiated disciplinary
    proceedings against him and subsequently approved a one-day suspension without pay. As in
    Doyle’s complaint, Mullins’ complaint alleged that Dixon did so in retaliation for embarrassing
    JTDC leadership and to undermine Mullins’ credibility and that the hearing did not afford
    Mullins numerous rights. Mullins’ complaint further alleged that Dixon “has continued to
    initiate further disciplinary action against MULLINS in retaliation for MULLINS’ making a
    law enforcement report, the latest act to date occurring on January 23, 2019, a 15-day
    suspension without pay.”
    ¶ 12         Each complaint contained five counts. Count I was against all defendants, for violation of
    plaintiffs’ first amendment rights. Count II was against all defendants, for violation of
    plaintiffs’ due process rights. Count III was against the JTDC defendants, for civil conspiracy.
    6
    No. 1-19-1962
    Count IV was against all defendants, for violation of the State Officials and Employees Ethics
    Act (Ethics Act) (5 ILCS 430/1-1 et seq. (West 2016)). Count V was against all defendants,
    for violation of the Whistleblower Act (740 ILCS 174/1 et seq. (West 2016)).
    ¶ 13         Attached to the complaints were several exhibits. First, there was a series of three
    photographs. The first appears to depict a sign on a door showing that guns are not permitted.
    The second purports to be an image of the first scan of the senior supervisor’s bag. The image,
    which is in color, shows the outline of a bag, with a number of items contained within the bag.
    In the bottom righthand corner of the bag appears to be a dark object. The object appears to be
    in the shape of a capital “T,” with the vertical bar located slightly to the right of center and
    with the vertical bar being slightly shorter than the horizontal bar. Underneath the dark object
    is a lighter-colored object that is partially obstructed by the dark object but appears to have
    several star-shaped points. The third photograph, which purports to be an image of the second
    scan of the senior supervisor’s bag, does not appear to contain the dark “T-shaped” object, nor
    does it appear to contain an object that has star-shaped points.
    ¶ 14         Also attached to the complaints were several orders from arbitration hearings and hearings
    before the state panel of the Illinois Labor Relations Board concerning the JTDC’s disciplinary
    procedures in other situations, as well as the first pages of two newspaper articles about the
    October 7, 2017, incident and the first page of a collective bargaining agreement between the
    office of the chief judge and Teamsters Local Union No. 700.
    ¶ 15         On May 13, 2019, the chief judge filed a combined motion to dismiss both complaints
    under section 2-619.1 of the Code of Civil Procedure (Code) (735 ILCS 5/2-619.1 (West
    2018)). The chief judge claimed that counts I and II should be dismissed under section 2-615
    7
    No. 1-19-1962
    of the Code (735 ILCS 5/2-615 (West 2018)) because they failed to state a cause of action. 2
    Specifically, the chief judge claimed that count I should be dismissed because plaintiffs did
    not allege that their reports were made in their capacity as private citizens, and that count II
    should be dismissed because plaintiffs failed to allege that they had a protected property
    interest in continued employment at the JTDC. Additionally, the chief judge claimed that
    counts II through V should be dismissed under section 2-619 of the Code (735 ILCS 5/2-619
    (West 2018)). Specifically, the chief judge claimed that count II should be dismissed on the
    basis of sovereign immunity, count IV should be dismissed because plaintiffs were not “ ‘State
    employees’ ” as defined by the Ethics Act, and count V should be dismissed because it was
    barred under the State Lawsuit Immunity Act (745 ILCS 5/0.01 et seq. (West 2016)). 3
    ¶ 16           On the same day, the JTDC defendants also filed a combined motion to dismiss both
    complaints under section 2-619.1 of the Code, raising substantially similar arguments as
    contained in the chief judge’s motion to dismiss. Specifically, the JTDC defendants claimed
    that counts I, II, III, and V should be dismissed under section 2-615 because plaintiffs failed to
    allege that their reports were made in their capacity as private citizens rather than as part of
    their ordinary work duties (count I), because plaintiffs had no property interest in their
    continued employment (count II), because plaintiffs failed to plead sufficient facts to establish
    a conspiracy (count III), and because plaintiffs failed to plead facts to support a violation of
    the Whistleblower Act (count V). Additionally, the JTDC defendants claimed that counts I, II,
    and IV should be dismissed under section 2-619. The JTDC defendants claimed that counts I
    2
    The chief judge also claimed that count III should be dismissed under section 2-615 of the Code,
    but this count was not directed at the chief judge.
    3
    Again, the chief judge also claimed that count III should be dismissed under section 2-619 of the
    Code, but this count was not directed at the chief judge.
    8
    No. 1-19-1962
    and II should be dismissed on the basis of sovereign immunity, and that count IV should be
    dismissed because plaintiffs cannot sue judicial employees under the Ethics Act.
    ¶ 17           In response, plaintiffs claimed that the chief judge was not acting in a judicial capacity
    when acting as the administrator of the JTDC but was acting as a county official exercising
    nonjudicial power and, consequently, he and the employees of the JTDC were county, not state
    employees. Accordingly, plaintiffs claimed that sovereign immunity was not applicable and
    that the Ethics Act applied to defendants’ conduct. Moreover, if defendants were state
    employees, plaintiffs claimed that the legislature waived sovereign immunity with respect to
    the Ethics Act. Plaintiffs also claimed that their reports were made in their capacity as private
    citizens, not as part of their work, and that they had protectable property interests in their
    continued employment—Doyle through the collective bargaining agreement and Mullins by
    virtue of his long-standing employment. Plaintiffs further claimed that the Ethics Act itself
    provided them with a protectable property interest in their employment through its prohibition
    against retaliation. Plaintiffs also claimed that the State Lawsuit Immunity Act did not bar their
    Whistleblower Act claims against the chief judge. Finally, plaintiffs claimed that they had
    alleged sufficient facts to support each of their claims and that, without discovery, plaintiffs
    could not provide more specific details establishing a conspiracy.
    ¶ 18           Attached to plaintiffs’ response were a number of documents, 4 including the transcript of
    an April 23, 2018, interview conducted by plaintiffs’ attorney of Jacqueline McCoy, a quality
    4
    We note that the exhibits attached to the response may only be considered in the context of
    dismissal under section 2-619 of the Code. See 735 ILCS 5/2-619(c) (West 2018) (the nonmovant may
    present “affidavits or other proof denying the facts alleged or establishing facts obviating the grounds of
    defect” in response to a section 2-619 motion to dismiss). However, as these exhibits are not attached to
    plaintiffs’ complaints, they are not properly considered in evaluating a motion to dismiss under section 2-
    615. See Cwikla v. Sheir, 
    345 Ill. App. 3d 23
    , 29 (2003) (in ruling on a section 2-615 motion to dismiss,
    “the court may not consider affidavits, products of discovery, documentary evidence not incorporated into
    the pleadings as exhibits, or other evidentiary materials”).
    9
    No. 1-19-1962
    assurance and compliance analyst at the JTDC. McCoy stated that she “[did not] have a lot of
    confidence in the process” for hearings at the JTDC because they did not afford the employees
    due process and the superintendent and assistant superintendent “probably have more influence
    than they should” on the process. McCoy further stated that, on one occasion, Dixon came into
    her office and, during the course of their conversation, made derogatory comments concerning
    Mullins, which McCoy found “shock[ing].”
    ¶ 19         Also attached to the response was an arbitrator’s ruling, in a different case, sustaining a
    grievance as to a JTDC employee’s termination, in which the arbitrator found that Burger’s
    determination that there was just cause to discipline the employee was erroneous, as well as
    documents concerning a different arbitration, in which an employee was found to have been
    subject to disciplinary actions due to retaliation. Plaintiffs also attached a statement of
    contributions, showing the sum held in the County Employees’ and Officers’ Annuity and
    Benefit Fund of Cook County on behalf of Mullins, and a paystub for Doyle.
    ¶ 20         Plaintiffs also later supplemented their response with another exhibit, consisting of the
    sworn statement of James Wrightsell Jr., which was taken by plaintiff’s counsel on August 1,
    2019. Wrightsell, who was employed by the JTDC in the office of professional standards and
    responsibilities (OPR), stated that, normally, OPR would have investigated plaintiffs’ report
    but that, in this case, Dixon conducted his own investigation and OPR was not involved until
    several weeks later. Wrightsell stated that, in his opinion, the object in the X-ray scan appeared
    to be a gun and that, if OPR was conducting the investigation, they would have inventoried the
    sunglass case and taken photos of it, which was not done. Wrightsell further stated that he was
    familiar with both Mullins and Doyle; Mullins had a reputation of being a “straight shooter,”
    while Wrightsell found Doyle to be forthcoming and truthful when he interviewed him after
    10
    No. 1-19-1962
    the incident. Wrightsell also stated that it was “common knowledge” that Mullins was
    interested in becoming JTDC superintendent.
    ¶ 21         On September 9, 2019, the trial court entered an order granting in part and denying in part
    the motions to dismiss, as follows: (1) the court dismissed all counts against the chief judge
    with prejudice, with counts I and II being dismissed pursuant to section 2-615 of the Code and
    counts IV and V being dismissed pursuant to section 2-619 of the Code, (2) the court dismissed
    counts I, II, and III against the JTDC defendants with prejudice pursuant to section 2-615 of
    the Code, and (3) the court denied the JTDC defendants’ motion to dismiss with respect to
    counts IV and V. The court also found that there was no just reason for denying enforcement
    or appeal of its order. This appeal follows.
    ¶ 22                                            ANALYSIS
    ¶ 23         On appeal, plaintiffs challenge the dismissal of their entire complaints against the chief
    judge, as well as the dismissal of counts I, II, and III against the JTDC defendants. In the case
    at bar, defendants filed combined motions to dismiss pursuant to section 2-619.1 of the Code,
    which permits a party to file a motion to dismiss based on both section 2-615 and section 2-
    619 of the Code. 735 ILCS 5/2-619.1 (West 2018). We take the same approach to our analysis
    as the trial court below did: we first address dismissal under section 2-615 for each count, then
    proceed, as necessary, to considering dismissal under section 2-619.
    ¶ 24                                          I. Section 2-615
    ¶ 25         In the case at bar, the trial court dismissed counts I, II, and III of plaintiffs’ complaints
    pursuant to section 2-615 of the Code. A motion to dismiss under section 2-615 of the Code
    challenges the legal sufficiency of the complaint by alleging defects on its face. Young v. Bryco
    Arms, 
    213 Ill. 2d 433
    , 440 (2004); Wakulich v. Mraz, 
    203 Ill. 2d 223
    , 228 (2003). The critical
    11
    No. 1-19-1962
    inquiry is whether the allegations in the complaint are sufficient to state a cause of action upon
    which relief may be granted. Wakulich, 
    203 Ill. 2d at 228
    . In making this determination, all
    well-pleaded facts in the complaint and all reasonable inferences that may be drawn from those
    facts are taken as true. Young, 
    213 Ill. 2d at 441
    . In addition, we construe the allegations in the
    complaint in the light most favorable to the plaintiff. Young, 
    213 Ill. 2d at 441
    . We review
    de novo an order granting a section 2-615 motion to dismiss. Young, 
    213 Ill. 2d at 440
    ;
    Wakulich, 
    203 Ill. 2d at 228
    . De novo consideration means we perform the same analysis that
    a trial judge would perform. Khan v. BDO Seidman, LLP, 
    408 Ill. App. 3d 564
    , 578 (2011).
    We may affirm on any basis appearing in the record, whether or not the trial court relied on
    that basis or its reasoning was correct. Ray Dancer, Inc. v. DMC Corp., 
    230 Ill. App. 3d 40
    , 50
    (1992).
    ¶ 26                                   A. Count I—First Amendment
    ¶ 27         Count I of the complaints, against all defendants, was for violations of the first amendment
    and alleged that defendants impermissibly retaliated against plaintiffs’ exercising their right to
    freedom of speech in reporting the incident to the sheriff’s office. The United States Supreme
    Court has made clear that public employees do not surrender all of their first amendment rights
    by reason of their employment. Garcetti v. Ceballos, 
    547 U.S. 410
    , 417 (2006). Instead, “the
    First Amendment protects a public employee’s right, in certain circumstances, to speak as a
    citizen addressing matters of public concern.” Garcetti, 
    547 U.S. at 417
    .
    ¶ 28         Recognizing that there is a tension between promoting the individual and societal interests
    that are served when employees speak as citizens on matter of public concern on the one hand,
    and respecting the needs of governmental employers attempting to perform their important
    public functions on the other, the Supreme Court has established a framework to be applied in
    12
    No. 1-19-1962
    such cases. Garcetti, 
    547 U.S. at 420
    ; Lane v. Franks, 
    573 U.S. 228
    , 236 (2014). This consists
    of “two inquiries to guide interpretation of the constitutional protections accorded to public
    employee speech.” Garcetti, 
    547 U.S. at 418
    .
    “The first requires determining whether the employee spoke as a citizen on a matter of
    public concern. [Citation.] If the answer is no, the employee has no First Amendment
    cause of action based on his or her employer’s reaction to the speech. [Citation.] If the
    answer is yes, then the possibility of a First Amendment claim arises. The question
    becomes whether the relevant government entity had an adequate justification for
    treating the employee differently from any other member of the general public.
    [Citation.]” Garcetti, 
    547 U.S. at 418
    .
    See also Lane, 573 U.S. at 237 (discussing same two questions).
    ¶ 29         In the case at bar, the trial court found that plaintiffs failed to allege sufficient facts to
    support a first amendment claim, and we agree. As noted, the first step in the first amendment
    analysis is to determine whether the employee spoke as a private citizen on a matter of public
    concern. Garcetti, 
    547 U.S. at 418
    . Here, the allegations of plaintiffs’ complaints establish that
    their conduct in reporting the suspicious X-ray scan was done in the course of their
    employment, not as private citizens. “[W]hen public employees make statements pursuant to
    their official duties, the employees are not speaking as citizens for First Amendment purposes,
    and the Constitution does not insulate their communications from employer discipline.”
    Garcetti, 
    547 U.S. at 421
    .
    ¶ 30         With respect to Doyle, it is inescapably clear that his report was made in the course of his
    official duties. Doyle was working the scanner, observed a suspicious object, and reported it
    to Mullins, his supervisor. According to Doyle’s complaint, “DOYLE was responsible for the
    13
    No. 1-19-1962
    JTDC’s security unit, and responsible for JTDC compliance with all laws, ordinances, and
    rules. The safety and security of both the children placed there and that of the JTDC’s
    employees is one of the primary purposes of DOYLE’s job and of the JTDC.” Specifically, on
    October 7, 2007, the date of the incident in question, “DOYLE’s assignment included securing
    the JTDC against persons unlawfully bringing in firearms to the facility including its residential
    areas.” Doyle’s complaint further alleged that “JTDC General Work Rule 8 required DOYLE,
    among other things, to report ‘all unusual incidents to his/her immediate supervisor’ ” and that,
    after the second scan, “[f]ollowing JTDC policy,” Doyle informed Mullins of the differences
    he observed between the two images produced by the scanner and further informed Mullins
    that he believed that the senior supervisor had improperly and unlawfully carried a gun into
    the JTDC. There is no indication that Doyle’s conduct in reporting what he observed was
    anything other than a report made in the course of his official duties.
    ¶ 31         Similarly, Mullins’ conduct consisted of his reporting Doyle’s findings to a deputy sheriff.
    Mullins’ complaint alleged that on October 7, 2017, “MULLINS’ duties included among other
    things, the duty to secure the safety of the JTDC.” Reporting a possible security breach to the
    sheriff’s office—the agency that was responsible for providing all law enforcement within the
    JTDC, according to Doyle’s complaint—falls squarely within that duty, regardless of whether
    the sheriff’s office was technically a separate agency. We thus cannot find that Mullins’ report
    was made in his capacity as a private citizen, but instead we must conclude that it was made
    pursuant to his responsibilities as supervisor in charge at the JTDC.
    ¶ 32         We do not find plaintiffs’ arguments to the contrary to be persuasive. First, plaintiffs claim
    that the “Garcetti defense” is an affirmative defense that defendants have the burden to prove.
    It is true that a defendant has the burden to plead and prove its affirmative defenses. See
    14
    No. 1-19-1962
    Monson v. City of Danville, 
    2018 IL 122486
    , ¶ 23. However, plaintiffs have provided no
    authority for the proposition that the law set forth in Garcetti is in the nature of an affirmative
    defense, and we cannot find that it is. Rather, Garcetti sets forth the fundamental elements of
    a first amendment claim in the context of public employee speech—indeed, the Garcetti Court
    made clear that, if the employee did not speak as a citizen on a matter of public concern, “the
    employee has no First Amendment cause of action based on his or her employer’s reaction to
    the speech.” Garcetti, 
    547 U.S. at 418
    ; see also Eng v. Cooley, 
    552 F.3d 1062
    , 1071 (9th Cir.
    2009) (“the plaintiff bears the burden of showing the speech was spoken in the capacity of a
    private citizen and not a public employee”).
    ¶ 33         Next, plaintiffs attempt to use the exhibits attached to their response to the motions to
    dismiss in support of their claim that their reports were made as private citizens, not as
    employees. However, as noted above, a section 2-615 motion is limited to the pleadings, and
    we may not consider any evidentiary materials not attached to the pleadings themselves. See
    Cwikla, 345 Ill. App. 3d at 29 (in ruling on a section 2-615 motion to dismiss, “the court may
    not consider affidavits, products of discovery, documentary evidence not incorporated into the
    pleadings as exhibits, or other evidentiary materials”). Accordingly, we cannot consider any
    such materials, including the statements of McCoy and Wrightsell, in considering dismissal
    under section 2-615. Moreover, plaintiffs’ use of these exhibits conflates Doyle’s report and
    Mullins’ when, as discussed above, their conduct was distinct—Doyle reported the incident to
    Mullins, while Mullins reported it to the sheriff. Thus, even if plaintiffs’ exhibits were relevant
    to the scope of Mullins’ duties, they would not apply to Doyle, who reported the problem to
    his direct supervisor and who alleged that he did so “[f]ollowing JTDC policy.”
    15
    No. 1-19-1962
    ¶ 34          Finally, we find no similarities between the instant case and the cases cited by plaintiffs.
    Plaintiffs suggest that their conduct is similar to those of cases in which public employees were
    found to have engaged in constitutionally protected speech. However, none of those cases
    presents a situation remotely comparable to the conduct at issue in the case at bar. For instance,
    in Kristofek v. Village of Orland Hills, 
    832 F.3d 785
    , 793 (7th Cir. 2016), a part-time police
    officer whose duties involved traffic enforcement and placing calls for public service and
    officer back-up was found to be speaking as a private citizen when he reported concerns about
    superior officers voiding certain citations to other officers and to the FBI. The Seventh Circuit
    in that case noted that “[t]he fact that [the officer’s] statements bore some relation to the subject
    matter of his job” was not dispositive. Kristofek, 832 F.3d at 793. Instead, the court looked to
    whether the officer was responsible for pursuing or voiding citations, or for determining when
    and under what circumstances arrestees could be released, and whether the officer had a duty
    to report his concerns. Kristofek, 832 F.3d at 793. Similarly, in Chrzanowski v. Bianchi, 
    725 F.3d 734
    , 740 (7th Cir. 2013), an assistant state’s attorney was found to be speaking as a private
    citizen when he testified under subpoena regarding potential wrongdoing by his supervisor.
    Again, the Seventh Circuit focused on the duties of his employment, finding that “[t]he
    McHenry County State’s Attorney’s Office does not pay [the assistant state’s attorney] to
    witness crimes and then testify about them; it pays him to prosecute crimes.” Chrzanowski,
    725 F.3d at 740.
    ¶ 35          In the case at bar, unlike in the cases cited by plaintiffs, plaintiffs’ conduct did not merely
    “[bear] some relation to the subject matter of [their] job” (Kristofek, 832 F.3d at 793), but
    instead was central to their essential work duties. Both plaintiffs alleged that their duties
    involved securing the safety of the JTDC and, as noted, Doyle’s complaint specifically alleged
    16
    No. 1-19-1962
    that JTDC policy required him to report “ ‘all unusual incidents to his/her immediate
    supervisor,’ ” and he reported the suspicious scan to Mullins “[f]ollowing JTDC policy.”
    Additionally, when presented with an apparent breach of the building’s security, Mullins
    reported it to the entity responsible for law enforcement within the building—the sheriff’s
    office. Thus, plaintiffs’ conduct was entirely unlike that present in Kristofek or in
    Chrzanowski. 5 Accordingly, because plaintiffs were not speaking in their capacity as private
    citizens, the trial court properly dismissed count I pursuant to section 2-615 of the Code.
    ¶ 36                                        B. Count II—Due Process
    ¶ 37           Count II of the complaints, against all defendants, alleged that plaintiffs’ due process rights
    were violated when they were not provided with an adequate hearing on the disciplinary
    charges. Specifically, the complaints alleged that, during their hearings, plaintiffs were
    afforded no right (1) to confront the witnesses against them, (2) to receive a list of charges or
    supporting evidence, (3) to conduct discovery, (4) to call witnesses, (5) to an attorney, (6) to
    cross-examine witnesses, or (7) to subpoena witnesses on their own behalf.
    ¶ 38           To plead a procedural due-process claim, a plaintiff must allege (1) a cognizable property
    interest, (2) a deprivation of that interest, and (3) a denial of due process. Palka v. Shelton, 
    623 F.3d 447
    , 452 (7th Cir. 2010). In the case at bar, defendants claim that plaintiffs cannot state a
    cause of action for due-process violations because they did not plead facts showing that
    plaintiffs had a cognizable property interest in their continued employment at the JTDC.
    Accordingly, to determine whether plaintiffs have stated a cause of action for due-process
    violations, we first consider whether they had any property right subject to protection. If
    5
    Plaintiffs also cite several unreported cases, including an unreported federal district court case,
    which we do not discuss.
    17
    No. 1-19-1962
    plaintiffs have failed to allege a cognizable property interest, as defendants contend, then
    plaintiffs cannot state a cause of action, and we have no need to consider the sufficiency of the
    hearings that they were afforded.
    ¶ 39         Illinois is an employment-at-will state. Harris v. Eckersall, 
    331 Ill. App. 3d 930
    , 934
    (2002) (citing Barr v. Kelso-Burnett Co., 
    106 Ill. 2d 520
    , 525 (1985)). “It is settled that, absent
    legislative, administrative or contractual provisions to the contrary, a public employee in
    Illinois holds his office at the pleasure of the appointing power, which may remove him at any
    time.” Willecke v. Bingham, 
    278 Ill. App. 3d 4
    , 10 (1996) (citing Levin v. Civil Service
    Comm’n, 
    52 Ill. 2d 516
    , 521 (1972)). Accordingly, generally, “the public employee has no
    property interest in continued employment so as to trigger Federal or State due process
    protections.” Willecke, 278 Ill. App. 3d at 10; Harris, 331 Ill. App. 3d at 934.
    ¶ 40         Due-process claims in the context of public employment “require an entitlement to
    continued employment; more specifically, the plaintiff must have a legitimate claim of
    entitlement not to lose a valuable governmental benefit except for cause.” (Internal quotation
    marks omitted.) Palka, 
    623 F.3d at 452
    . A property interest in continued employment can be
    created in one of two ways: (1) “by an independent source such as state law securing certain
    benefits” or (2) “by a clearly implied promise of continued employment.” (Internal quotation
    marks omitted.) Phelan v. City of Chicago, 
    347 F.3d 679
    , 681 (7th Cir. 2003). A plaintiff
    alleging a due process violation bears the burden of demonstrating that he had a property
    interest in his job, arising either out of a statute or regulation or from a contract with a public
    entity. Krieg v. Seybold, 
    481 F.3d 512
    , 519 (7th Cir. 2007).
    ¶ 41         In the case at bar, plaintiffs argue that both Doyle and Mullins have protectable property
    interests in their continued employment. With respect to Doyle, he claims that he has a property
    18
    No. 1-19-1962
    right in his employment because he is a union member protected by a collective bargaining
    agreement. A collective bargaining agreement can create an employment contract and, thus, a
    promise of continued employment in some cases. Palka, 
    623 F.3d at 452
    . However, plaintiffs’
    contention that “[t]he CBA contract alone constitutes a protectible property interest” is overly
    broad, and neither of the cases plaintiffs cite in support of that proposition even involves a
    collective bargaining agreement. See Cleveland Board of Education v. Loudermill, 
    470 U.S. 532
    , 535 (1985) (plaintiff was a “ ‘classified civil servant’ ” and thereby entitled to certain
    protections pursuant to Ohio law (quoting 
    Ohio Rev. Code Ann. § 124.11
     (1984)); Slochower
    v. Board of Higher Education of New York City, 
    350 U.S. 551
    , 554 (1956) (plaintiff was
    entitled to tenure under New York law and, therefore, entitled to certain protections). Instead,
    whether the collective bargaining agreement gave Doyle a property interest in continued
    employment turns on the language of the agreement itself. See Minch v. City of Chicago, 
    486 F.3d 294
    , 302 (7th Cir. 2007) (“Whether indeed the plaintiffs had a protected interest in
    working beyond the age of 63 is a question that, as both sides agree, turns on the language of
    the CBA.”); Krieg, 
    481 F.3d at 520
     (even in the presence of a collective bargaining agreement,
    where the agreement did not provide that employees may be discharged only for just cause,
    the plaintiff was an at-will employee who did not have a property interest in his job).
    ¶ 42         The problem in this case, however, is that Doyle has not identified any language in the
    collective bargaining agreement that gives him a property interest in his continued employment
    at the JTDC. “When a plaintiff alleges that the due-process entitlement arises from a collective-
    bargaining agreement, he must identify specific terms of the agreement that contained a
    promise of continued employment.” Palka, 
    623 F.3d at 452
    . Doyle did plead that his
    employment was subject to a collective bargaining agreement, but he did not identify any
    19
    No. 1-19-1962
    provision within the agreement that could give rise to a property interest in his continued
    employment. Indeed, Doyle did not even attach the entire collective bargaining agreement to
    his complaint 6 but included only the first page, so we cannot even review the terms of the
    agreement ourselves to determine if such a provision appears. Consequently, we cannot find
    that Doyle has adequately alleged that the collective bargaining agreement provided Doyle
    with a protectable property interest in his continued employment.
    ¶ 43           With respect to Mullins, who was not a union member, he claims that he has a protectable
    property interest in his employment by virtue of his long-standing employment with the JTDC.
    His claims are based on the United States Supreme Court’s decision in Perry v. Sindermann,
    
    408 U.S. 593
    , 601 (1972), in which the Supreme Court held that the absence of an employment
    contract did not necessarily foreclose the possibility that an employee has a property interest
    in employment. However, that case is entirely dissimilar to the situation present here.
    ¶ 44           In that case, the plaintiff had taught in the state college system in Texas for 10 years, under
    a series of one-year contracts. Perry, 
    408 U.S. at 594
    . The plaintiff filed suit after he was not
    offered a new contract for the next academic year, without being offered a statement of the
    reasons for the nonrenewal or an opportunity for a hearing to challenge the basis of the
    nonrenewal. Perry, 
    408 U.S. at 595
    . The Court found that the plaintiff’s lack of formal
    contractual or tenured security in continued employment was “highly relevant” to his
    procedural due process claim but was not dispositive. Perry, 
    408 U.S. at 599
    . The Court noted
    that the plaintiff alleged that his interest in continued employment, “though not secured by a
    formal contractual tenure provision, was secured by a no less binding understanding fostered
    6
    While we are restricted to considering only the pleadings on a section 2-615 motion, we note
    that the entire collective bargaining agreement appears nowhere in the record on appeal but that excerpts
    are attached to plaintiffs’ response to the motion to dismiss.
    20
    No. 1-19-1962
    by the college administration.” Perry, 
    408 U.S. at 599
    . Specifically, the plaintiff pointed to a
    “de facto tenure program” at the college, set forth in its faculty guide, which provided that the
    college had no formal tenure system but “ ‘wishes the faculty member to feel that he has
    permanent tenure as long as his teaching services are satisfactory and as long as he displays a
    cooperative attitude toward his co-workers and his superiors, and as long as he is happy in his
    work.’ ” Perry, 
    408 U.S. at 600
    . The plaintiff also pointed to guidelines promulgated by the
    Coordinating Board of the Texas College and University System, which provided that a person
    employed as a teacher in the college and university system for seven years or more had some
    form of job tenure. Perry, 
    408 U.S. at 600
    .
    ¶ 45         The Perry Court noted that property interests subject to procedural due process protections
    were not limited to rigid definitions but that “[a] person’s interest in a benefit is a ‘property’
    interest for due process purposes if there are such rules or mutually explicit understandings
    that support his claim of entitlement to the benefit and that he may invoke at a hearing.” Perry,
    
    408 U.S. at 601
    . The Court continued:
    “A written contract with an explicit tenure provision clearly is evidence of a formal
    understanding that supports a teacher’s claim of entitlement to continued employment
    unless sufficient ‘cause’ is shown. Yet absence of such an explicit contractual provision
    may not always foreclose the possibility that a teacher has a ‘property’ interest in
    reemployment. For example, the law of contracts in most, if not all, jurisdictions long
    has employed a process by which agreements, though not formalized in writing, may
    be ‘implied.’ [Citation.] Explicit contractual provisions may be supplemented by other
    agreements implied from ‘the promisor’s words and conduct in the light of the
    surrounding circumstances.’ [Citation.] And, ‘[t]he meaning of [the promisor’s] words
    21
    No. 1-19-1962
    and acts is found by relating them to the usage of the past.’ [Citation.]” Perry, 
    408 U.S. at 601-02
    .
    In the case before it, the Court found that a teacher, like the plaintiff, who had held his position
    for a number of years “might be able to show from the circumstances of this service—and from
    other relevant facts—that he has a legitimate claim of entitlement to job tenure.” Perry, 
    408 U.S. at 602
    . The Court noted that there could be an “unwritten ‘common law’ ” in a particular
    university that certain employees would have the equivalent of tenure and that that this was
    particularly likely in a college or university that had no explicit tenure system, such as in the
    college at which the plaintiff was employed. Perry, 
    408 U.S. at 602
    . Thus, the Court found
    that, “[i]n this case, the respondent has alleged the existence of rules and understandings,
    promulgated and fostered by state officials, that may justify his legitimate claim of entitlement
    to continued employment absent ‘sufficient cause,’ ” and reversed the grant of summary
    judgment in favor of the school. Perry, 
    408 U.S. at 602-03
    .
    ¶ 46          In the case at bar, unlike in Perry, Mullins did not allege any “rules or understandings” that
    justify a claim of entitlement to continued employment with the JTDC. His claims are based
    merely on his long-standing employment and on the fact that he pays into the pension system.
    However, neither of these facts is remotely similar to the types of facts found relevant in Perry,
    such that they would entitle him to a property interest in his continued employment.
    Accordingly, we cannot find that Mullins has a property interest in his employment merely by
    virtue of the length of his service.
    ¶ 47          Plaintiffs also raise a number of other sources that they claim give rise to protectable
    property interests in their continued employment. First, they claim that the Ethics Act created
    a protected property interest due to its prohibition against retaliatory action in certain
    22
    No. 1-19-1962
    circumstances. See 5 ILCS 430/15-10 (West 2018). However, nothing in the Ethics Act
    suggests that an employee is afforded a protectable property interest in continued employment
    due to the provisions of the statute, and we cannot create such a property interest.
    ¶ 48         Additionally, plaintiffs claim that they are entitled to due process under the Cook County
    Code of Ordinances (the Cook County Code). We note that this requires us to first determine
    whether plaintiffs are governed by the Cook County Code at all. This is not an obvious
    question, as the County Shelter Care and Detention Home Act (Detention Home Act) (55 ILCS
    75/1 et seq. (West 2018)) provides for an unusual structure for operation of the JTDC. Section
    1 of the Detention Home Act gives the county the authority to establish and maintain a
    detention home for the care and custody of delinquent minors. 55 ILCS 75/1(a) (West 2018).
    However, with respect to the JTDC, section 3 of the Detention Home Act provides the chief
    judge with administrative control over the JTDC’s budget, subject to the approval of the county
    board. 55 ILCS 75/3(c) (West 2018). Section 3 further gives the power of appointing the JTDC
    superintendent and all other necessary JTDC personnel to the chief judge. 55 ILCS 75/3(b)
    (West 2018). However, salaries of these officials, as well as bills for supplies and repairs
    necessary to maintain the JTDC, are paid by the county board. 55 ILCS 75/3(a), (d) (West
    2018). In other words, the county has the authority to establish the JTDC and financially
    supports it, but the chief judge has the power to control the budget and appoint its personnel.
    The question, then, is whether employees of the JTDC, such as plaintiffs in the case at bar, are
    governed by the county’s personnel rules or by rules dictated by the chief judge’s office. We
    cannot definitively answer this question at this early stage in the proceedings, as it involves
    numerous factual issues that cannot be decided on the basis of the pleadings. However, we note
    that, in his complaint, Mullins alleges that Cook County continues to pay the salaries and
    23
    No. 1-19-1962
    benefits for JTDC employees, identifies JTDC employees as county employees for purposes
    of its pension plan, and makes contributions on JTDC employees’ behalf to the pension fund
    from their county wages. Accordingly, for the purposes of determining whether plaintiffs have
    stated a cause of action for due process violations, we find that plaintiffs have adequately
    alleged that they are subject to the Cook County Code. 7
    ¶ 49           We turn, then, to considering whether the Cook County Code provides plaintiffs with a
    protectable property interest in their continued employment. Plaintiffs rely on two provisions.
    The first, section 44-50 of chapter 2, article II, provides for appeals for career service
    employees who are not members of a union and who have been discharged, demoted, or
    suspended for a period of more than 10 days. Cook County Ordinance No. 00-O-08, art. I(6)
    (amended Apr. 5, 2000). However, this provision is not applicable to either plaintiff—Doyle
    is a member of a union, and Mullins was suspended for only one day. Moreover, even if we
    conclude that Mullins is covered due to the later 15-day suspension that Mullins claims was
    also in retaliation for his report, the fact that an employee is entitled to an appeal does not
    suggest that the employee has a property interest in his or her continued employment.
    ¶ 50           The other section, section 44-51 of chapter 2, article II, provides that “[t]he Chief of Human
    Resources shall prescribe uniform procedures for pursuing grievances for career service
    employees where such grievance procedures are not provided in a collective bargaining
    agreement, including provisional employees.” Cook County Ordinance No. 00-O-08, art. I(7)
    (amended Apr. 5, 2000). However, again, as a union employee, Doyle is not covered by any
    7
    We note that this conclusion does not impact our analysis as to the Ethics Code or the
    Whistleblower Act, as discussed later in our analysis. Our conclusion here is simply that plaintiffs have
    alleged sufficient facts to bring them within the Cook County Code.
    24
    No. 1-19-1962
    grievance procedures set forth by section 44-51, by its express terms. Accordingly, any rights
    provided by the county ordinance would apply solely to Mullins.
    ¶ 51           As noted, section 44-51 provides that the Chief of Human Resources shall provide
    procedures for pursuing grievances, and these rules appear on the Cook County Bureau of
    Human Resources’ website. 8 See Cook County Gov’t, Personnel Rules & Policies,
    https://www.cookcountyil.gov/service/county-cook-personnel-rules (last visited Mar. 24,
    2021) [https://perma.cc/2ZK8-3LHU]. The disciplinary procedures set forth in the personnel
    rules do provide that all discipline shall be given only for just cause and, more specifically,
    that “[d]ischarge is invoked for just cause.” This language would support plaintiffs’ argument
    as to a property right in continued employment with the JTDC. However, the personnel rules
    contain a disclaimer, which expressly provides:
    “Please be advised that these Rules do not constitute a contract, and the language used
    in these Rules is not intended to be construed as a contract or promise of continued
    employment.” Cook County Personnel Rules, https://www.cookcountyil.gov/file/
    7792/download?token=x5eYnLYn (last visited Mar. 24, 2021 [https://perma.cc/5H7Q-
    AVQK].
    Accordingly, to the extent that the language in the disciplinary process could be construed to
    provide a property right in continued employment, the express language of the disclaimer
    makes clear that no such right is intended. Consequently, we cannot interpret the language in
    such a way and must conclude that neither plaintiff has a protectable property interest in
    continued employment with the JTDC. Since neither plaintiff has a protectable property
    8
    We note that, while plaintiffs raise the Cook County Code as the source of their property
    interest, none of the parties discuss the actual personnel rules promulgated pursuant to the ordinance.
    25
    No. 1-19-1962
    interest in continued employment with the JTDC, plaintiffs cannot state a cause of action for
    violations of due process, and we have no need to consider plaintiffs’ arguments as to whether
    the hearings they were provided were constitutionally adequate. Therefore, the trial court
    properly dismissed count II under section 2-615 of the Code.
    ¶ 52          As a final matter, plaintiffs claim that they had liberty interests, including their interests in
    their good names, that necessitated a postdisciplinary hearing. However, to allege a violation
    of an employee’s interest in occupational liberty, a plaintiff must allege that (1) the defendant
    made stigmatizing comments against him, (2) those comments were publicly disclosed, and
    (3) he suffered a tangible loss of other employment opportunities as a result of the public
    disclosure. Palka, 
    623 F.3d at 454
    . The public-disclosure element requires that the defendant
    actually disseminate the stigmatizing comments in a way that would reach potential future
    employers or the community at large. Palka, 
    623 F.3d at 454
    . Plaintiffs have failed to allege
    any of these elements, and accordingly, there is no basis for their claim concerning their liberty
    interests.
    ¶ 53                                   C. Count III—Civil Conspiracy
    ¶ 54          Count III of the complaints, against the JTDC defendants, alleged that the JTDC defendants
    engaged in a conspiracy against plaintiffs. “The elements of a civil conspiracy are: (1) a
    combination of two or more persons, (2) for the purpose of accomplishing by some concerted
    action either an unlawful purpose or a lawful purpose by unlawful means, (3) in the furtherance
    of which one of the conspirators committed an overt tortious or unlawful act.” Fritz v.
    Johnston, 
    209 Ill. 2d 302
    , 317 (2004) (citing Adcock v. Brakegate, Ltd., 
    164 Ill. 2d 54
    , 62-63
    (1994)). A conspiracy is “almost never susceptible to direct proof.” McClure v. Owens Corning
    Fiberglas Corp., 
    188 Ill. 2d 102
    , 134 (1999). Instead, it is usually established “ ‘from
    26
    No. 1-19-1962
    circumstantial evidence and inferences drawn from evidence, coupled with common-sense
    knowledge of the behavior of persons in similar circumstances.’ ” McClure, 
    188 Ill. 2d at 134
    (quoting Adcock, 
    164 Ill. 2d at 66
    ). However, where a conspiracy is established by
    circumstantial evidence, “that evidence must be clear and convincing.” McClure, 
    188 Ill. 2d at 134
    .
    ¶ 55          In the case at bar, count III of the complaints is not entirely clear as to what conduct
    plaintiffs allege to be the purpose of the conspiracy as opposed to the act committed in
    furtherance of the conspiracy. For instance, Doyle’s complaint alleges, in various places, that
    (1) the JTDC defendants conspired to cover up the unlawful carrying of a firearm into the
    JTDC; (2) the JTDC defendants conspired to violate Doyle’s rights; (3) the JTDC defendants
    conspired to damage Doyle’s “reputation, finances, emotional well-being and standing in the
    community”; and (4) the JTDC defendants conspired to impose retaliatory discipline and loss
    of pay and benefits. However, based on their briefs, plaintiffs appear to be alleging that the
    JTDC defendants conspired to punish plaintiffs for investigating the possible security breach
    and did so by imposing unlawful discipline.
    ¶ 56          We cannot find, however, that these allegations are sufficient to state a cause of action for
    civil conspiracy. Plaintiffs fail to establish any connection between Dixon, Burger, and
    McGhee to support their theory that they conspired to punish plaintiffs. We recognize, as
    plaintiffs contend, that at this stage of the proceedings, they have not been entitled to discovery,
    making it difficult to provide specific details. However, plaintiffs are required to provide more
    than bald allegations that the three defendants were acting in concert. See Fritz, 
    209 Ill. 2d at 318
    . Furthermore, as explained above in our analysis concerning plaintiffs’ first amendment
    claims in count I, plaintiffs are not able to establish that their discipline was unlawful, meaning
    27
    No. 1-19-1962
    that they are unable to show that the JTDC defendants committed a tortious or unlawful act in
    furtherance of any conspiracy. Accordingly, the trial court properly dismissed count III of
    plaintiffs’ complaint under section 2-615 of the Code.
    ¶ 57                                          II. Section 2-619
    ¶ 58         As noted, defendants in the case at bar filed motions to dismiss under both section 2-615
    and section 2-619 of the Code. We have discussed counts I through III above, and since we
    have determined that each of those counts was properly dismissed under section 2-615, we
    have no need to consider whether they were also subject to dismissal under section 2-619.
    Additionally, the trial court below dismissed counts IV and V against the chief judge alone and
    denied the motion to dismiss with respect to the JTDC defendants. Consequently, our analysis
    here concerns only the claims against the chief judge and does not reflect any findings as to
    the merits of the claims against the JTDC defendants.
    ¶ 59         A motion to dismiss under section 2-619 admits the legal sufficiency of all well-pleaded
    facts but allows for the dismissal of claims barred by an affirmative matter defeating those
    claims or avoiding their legal effect. Janda v. United States Cellular Corp., 
    2011 IL App (1st) 103552
    , ¶ 83 (citing DeLuna v. Burciaga, 
    223 Ill. 2d 49
    , 59 (2006)). When reviewing a motion
    to dismiss under section 2-619, “a court must accept as true all well-pleaded facts in plaintiffs’
    complaint and all inferences that can reasonably be drawn in plaintiffs’ favor.” Morr-Fitz, Inc.
    v. Blagojevich, 
    231 Ill. 2d 474
    , 488 (2008). Additionally, a cause of action should not be
    dismissed under section 2-619 unless it is clearly apparent that no set of facts can be proved
    that would entitle the plaintiff to relief. Feltmeier v. Feltmeier, 
    207 Ill. 2d 263
    , 277-78 (2003).
    As with a section 2-615 motion, for a section 2-619 dismissal, our standard of review is
    de novo. Solaia Technology, LLC v. Specialty Publishing Co., 
    221 Ill. 2d 558
    , 579 (2006);
    28
    No. 1-19-1962
    Morr-Fitz, Inc., 
    231 Ill. 2d at 488
    . As noted, de novo consideration means we perform the same
    analysis that a trial judge would perform. Khan, 408 Ill. App. 3d at 578. Additionally, as with
    a section 2-615 dismissal, even if the trial court dismissed on an improper ground, a reviewing
    court may affirm the dismissal if the record supports a proper ground for dismissal. See
    Raintree Homes, Inc. v. Village of Long Grove, 
    209 Ill. 2d 248
    , 261 (2004) (when reviewing a
    section 2-619 dismissal, we can affirm “on any basis present in the record”); In re Marriage of
    Gary, 
    384 Ill. App. 3d 979
    , 987 (2008) (“we may affirm on any basis supported by the record,
    regardless of whether the trial court based its decision on the proper ground”).
    ¶ 60                                       A. Count IV—Ethics Act
    ¶ 61         Count IV of the complaints was for violation of the Ethics Act, and it alleged that the chief
    judge, through his appointees at the JTDC, engaged in retaliatory action due to plaintiffs’
    reporting misconduct to law enforcement. Section 10-15 of the Ethics Act provides:
    “An officer, a member, a State employee, or a State agency shall not take any retaliatory
    action against a State employee because the State employee does any of the following:
    (1) Discloses or threatens to disclose to a supervisor or to a public body an activity,
    policy, or practice of any officer, member, State agency, or other State employee that
    the State employee reasonably believes is in violation of a law, rule, or regulation.
    (2) Provides information to or testifies before any public body conducting an
    investigation, hearing, or inquiry into any violation of a law, rule, or regulation by any
    officer, member, State agency, or other State employee.
    (3) Assists or participates in a proceeding to enforce the provisions of this Act.” 5
    ILCS 430/15-10 (West 2018).
    29
    No. 1-19-1962
    ¶ 62         The chief judge claims that this section does not apply to him because he is not an “officer,
    a member, a State employee, or a State agency” (5 ILCS 430/15-10 (West 2018)). The
    definition of “State agency” set forth in section 1-5 of the Ethics Act is expansive, but it
    expressly provides that “ ‘State agency’ does not include the judicial branch.” 5 ILCS 430/1-5
    (West 2018). The chief judge claims that, as a part of the judicial branch, he is excluded from
    section 15-10 by its express terms. We agree.
    ¶ 63         While plaintiffs contend that the chief judge is acting in a nonjudicial capacity when he
    administers the JTDC, there can be no dispute that his position as administrator is a direct result
    of his status as chief judge. See 55 ILCS 75/3(b), (c) (West 2018). While we make no comment
    on the JTDC defendants’ contention that the entire JTDC is part of the judicial branch, it is
    nevertheless clear that the chief judge himself does not lose his status as an officer of the
    judicial branch simply because the legislature has chosen to vest in him administrative control
    of the JTDC. It is well settled that, when the language of a statute is plain and unambiguous,
    the statute must be applied as written and the court may not depart from the plain language by
    reading into it exceptions, limitations, or conditions the legislature did not express. People
    ex rel. Madigan v. Kinzer, 
    232 Ill. 2d 179
    , 184-85 (2009). Section 15-10 of the Ethics Act, by
    its express terms, does not apply to members of the judicial branch and, therefore, does not
    apply to the chief judge.
    ¶ 64         We do not find persuasive plaintiffs’ attempts to circumvent the language of section 15-10
    by reading it to apply more broadly to all “public bodies.” It is true that section 15-5 of the
    Ethics Act (the definitions section of the antiretaliation portion of the statute) defines a “public
    body” to include the judiciary. 5 ILCS 430/15-5 (West 2018). However, as set forth above,
    section 15-10 does not provide that employees of “public bodies” are prohibited from
    30
    No. 1-19-1962
    retaliating—it provides that “State employee[s]” are prohibited from retaliating. (Emphasis
    added.) 5 ILCS 430/15-10 (West 2018). “State employee” has a specific meaning defined
    within the Ethics Act, and the judiciary is not included in that definition. 9 The only reference
    to “public bodies” in the antiretaliation provision occurs in the context of what disclosure is
    protected—section 15-10 provides that a State employee is protected from retaliation for,
    inter alia, disclosing to a public body any wrongdoing. 5 ILCS 430/15-10(1) (West 2018). If
    the legislature had intended for all public bodies to be subject to the provisions of section 15-
    10, it certainly could have said so. Instead, it specifically excluded the judiciary from that
    provision, and we must apply the statute as written. Consequently, as section 15-10 does not
    apply to the chief judge, the trial court properly dismissed count IV against him.
    ¶ 65                                    B. Count V—Whistleblower Act
    ¶ 66           Finally, count V of the complaints was for violation of the Whistleblower Act and, like the
    Ethics Act count, alleged that plaintiffs were retaliated against for reporting wrongdoing to a
    law enforcement agency. Section 20 of the Whistleblower Act provides:
    “An employer may not retaliate against an employee for refusing to participate in an
    activity that would result in a violation of a State or federal law, rule, or regulation,
    including, but not limited to, violations of the Freedom of Information Act.” 740 ILCS
    174/20 (West 2018).
    We note that it does not appear that any state court has considered whether the State itself is
    subject to the provisions of the Whistleblower Act. See Harris v. Illinois, 
    753 F. Supp. 2d 734
    ,
    742 (N.D. Ill. 2010) (noting that, while at least two federal district courts have concluded,
    9
    Plaintiffs also suggest that the definition of a “State employee” is not limited to employees of a
    State agency. However, the Ethics Act specifically provides that a “ ‘State employee’ means any
    employee of a State agency.” 5 ILCS 430/1-5 (West 2018).
    31
    No. 1-19-1962
    without discussion, that the State is an employer under the Whistleblower Act, no state court
    has addressed the issue). However, the chief judge does not claim that he is not considered an
    “employer” under the Whistleblower Act but instead argues that the claim against him is barred
    by sovereign immunity. Accordingly, we consider the issue raised by the parties and leave to
    another day the question of the applicability of the Whistleblower Act to State entities.
    ¶ 67          The State Lawsuit Immunity Act provides that, “[e]xcept as provided in the Illinois Public
    Labor Relations Act [(5 ILCS 315/1 et seq. (West 2018))], the Court of Claims Act [(705 ILCS
    505/1 et seq. (West 2018))], the State Officials and Employees Ethics Act, and Section 1.5 of
    this Act, the State of Illinois shall not be made a defendant or party in any court.” 745 ILCS
    5/1 (West 2018). “The determination of whether an action is in fact a suit against the State
    turns upon an analysis of the issues involved and the relief sought, rather than the formal
    designation of the parties.” Currie v. Lao, 
    148 Ill. 2d 151
    , 158 (1992); Jinkins v. Lee, 
    209 Ill. 2d 320
    , 330 (2004). An action brought against a State employee in his individual capacity will
    be found to be a claim against the State “where a judgment for the plaintiff could operate to
    control the actions of the State or subject it to liability.” Currie, 
    148 Ill. 2d at 158
    .
    ¶ 68          Our supreme court has cautioned that the determination of whether an action against a State
    employee is properly characterized as an action against the State itself does not depend simply
    on whether the employee was acting within the scope of his employment when he committed
    the act in question. Fritz, 
    209 Ill. 2d at 310
    . “Rather, the applicability of sovereign immunity
    turns on the source of the duty with the breach of which the employee is charged.” (Emphasis
    in original.) Fritz, 
    209 Ill. 2d at
    310 (citing Currie, 
    148 Ill. 2d at 159
    ). If the duty is imposed
    simply by virtue of the individual’s employment with the State, sovereign immunity attaches,
    and the Court of Claims has exclusive jurisdiction over the claim. Fritz, 
    209 Ill. 2d at 310-11
    .
    32
    No. 1-19-1962
    By contrast, where the duty exists independently of State employment, the individual is subject
    to suit in circuit court. Fritz, 
    209 Ill. 2d at 311
    .
    In the case at bar, we agree with the chief judge that sovereign immunity bars plaintiffs’
    claims against him under the Whistleblower Act. We note that plaintiffs’ complaints do not
    allege that the chief judge himself participated in any aspect of their discipline. Instead, his
    involvement in the lawsuit is vicarious, resulting from his appointment of Dixon, a power he
    has only by virtue of his position as chief judge. In other words, any duties he has arise from
    his State employment, not from any independent source. Therefore, we agree with the trial
    court that sovereign immunity bars plaintiffs’ claims against the chief judge and that count V
    was properly dismissed under section 2-619 of the Code.
    ¶ 69                                             CONCLUSION
    ¶ 70          For the reasons set forth above, the trial court’s judgment is affirmed. The trial court
    properly dismissed counts I, II, and III pursuant to section 2-615 of the Code, and it properly
    dismissed counts IV and V against the chief judge pursuant to section 2-619 of the Code.
    ¶ 71          Affirmed.
    33
    No. 1-19-1962
    No. 1-19-1962
    Cite as:                 Mullins v. Evans, 
    2021 IL App (1st) 191962
    Decision Under Review:   Appeal from the Circuit Court of Cook County, Nos. 2017-L-
    012175, 2018-L-004059; the Hon. Moira S. Johnson, Judge,
    presiding.
    Attorneys                John T. Moran Jr., of Moran Law Group, and Ivan M.
    for                      Rittenberg, of Saks, Robinson, & Rittenberg, Ltd., both of
    Appellant:               Chicago, for appellants.
    Attorneys                Kwame Raoul, Attorney General, of Chicago (Jane Elinor Notz,
    for                      Solicitor General, and Christina T. Hansen and Frank H.
    Appellee:                Bieszczat, Assistant Attorneys General, of counsel), for appellee
    Timothy C. Evans.
    Kimberly M. Foxx, State’s Attorney, of Chicago (Lyle K.
    Henretty and Patrick D. Morris, Assistant State’s Attorneys, of
    counsel), for other appellees.
    34