Vania Minor, Individually and as Mother, Natural Guardian and Next Best Friend of D.A. v. State of Iowa, Becky Grabe, Individually and Cleo Hester, Individually , 2012 Iowa Sup. LEXIS 64 ( 2012 )


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  •                IN THE SUPREME COURT OF IOWA
    No. 09–1010
    Filed June 15, 2012
    VANIA MINOR, Individually and as
    Mother, Natural Guardian and Next
    Best Friend of D.A.,
    Appellant,
    vs.
    STATE OF IOWA, BECKY GRABE,
    Individually and CLEO HESTER,
    Individually,
    Appellees.
    Appeal from the Iowa District Court for Linn County, Nancy A.
    Baumgartner, Judge.
    Plaintiff appeals a district court order granting the defendants’
    motion for summary judgment. AFFIRMED.
    Jeffrey R. Tronvold and Matthew J. Reilly of Eells & Tronvold Law
    Offices, P.L.C., Cedar Rapids, for appellant.
    Thomas J. Miller, Attorney General and Jeffrey S. Thompson and
    Anne E. Updegraff, Assistant Attorneys General, for appellee.
    2
    WIGGINS, Justice.
    The State filed a child in need of assistance (CINA) petition. The
    juvenile court issued a temporary removal order, removing the child from
    her mother’s custody and placing her in foster care.       After the CINA
    proceeding was dismissed, the mother sued the State of Iowa and two
    employees of the Iowa Department of Human Services (DHS), under
    42 U.S.C. § 1983 (2000) and Iowa Code chapter 669 (2005), the Iowa Tort
    Claims Act (ITCA), alleging the DHS social workers wrongfully removed
    the child from her custody and negligently failed to protect the child from
    abuse by a foster parent. The State and its employees sought summary
    judgment, which the district court granted.
    On appeal, we conclude a social worker is entitled to absolute
    immunity when the social worker functions in the role of a prosecutor,
    such as when the social worker files a petition to initiate a CINA
    proceeding.    Further, a social worker is entitled to absolute immunity
    when the social worker functions in the role of an ordinary witness, such
    as when the social worker files an affidavit after the initiation of CINA
    proceedings.     Additionally, a social worker is entitled to qualified
    immunity when he or she acts in the role of a complaining witness, such
    as when the social worker files an affidavit in support of a CINA petition.
    Similarly, a social worker is entitled to qualified immunity for his or her
    investigatory acts. Moreover, the alleged injured parties cannot maintain
    an action against a social worker under the ITCA where the alleged
    injured parties fail to exhaust the available administrative remedy prior
    to filing the action in court. Finally, the alleged injured parties cannot
    maintain an action against a state social worker under the ITCA where
    the basis of the complaint is that the social worker engaged in conduct
    3
    functionally equivalent to misrepresentation or deceit. Accordingly, we
    affirm the decision of the district court.
    I. Background Facts and Proceedings.
    A reasonable fact finder viewing the summary judgment record in
    the light most favorable to the plaintiffs could find the following facts.
    Vania Minor is the mother of D.A.         Between April 2002 and January
    2005, DHS conducted several child abuse assessments involving Minor
    and D.A.
    Becky Grabe, a social worker supervisor employed by DHS,
    completed one such assessment on January 18, 2005, after DHS
    received a report alleging D.A. had been exposed to an escort service run
    by Minor out of their home.      Grabe could not confirm the report, but
    found that Minor allowed troubled adolescents to stay in her home and
    frequently left D.A. with various caretakers. Believing Minor had placed
    D.A. in an environment that was unpredictable and, at times, unsafe,
    Grabe required Minor to sign a safety plan.
    In February, Minor and D.A. were on a trip to Arizona with Minor’s
    friend, Angel Pena, and her children. Pena testified that, at the time of
    the Arizona trip, her children were the subjects of an ongoing CINA
    proceeding and that she was not supposed to leave Iowa with them.
    While in Arizona, Pena received a call from an unidentified DHS
    employee. Pena testified the caller informed her that DHS was coming to
    get her children.    Pena also testified the caller promised that if she
    cooperated she would not be in trouble and would get her kids back
    when she returned to Iowa.
    The caller asked Pena about D.A. Pena informed the caller that
    D.A. needed to use the restroom while they were driving on the turnpike
    and that, because they were not near a restroom, D.A. put on a pull-up
    4
    diaper and wet herself. 1 The caller then asked Pena to say that Minor
    forced Pena to go on the trip from Iowa to Arizona. Because Minor had
    not forced Pena to go to Arizona, Pena stopped cooperating with the
    caller and did not tell her that Minor forced her to go on the trip. When
    Pena returned to Iowa, she received another call from an unidentified
    DHS employee who she believes to be the same person who called her in
    Arizona. During this call, the unidentified DHS employee asked Pena if
    Minor had a prostitution business.
    Sometime following the conversations between the unidentified
    caller and Pena, Grabe had a discussion with her supervisor concerning
    a report DHS allegedly received on February 24 from an unidentified
    reporter.    The reporter suggested Minor was not providing D.A. with
    proper supervision or adequate healthcare.             In particular, the reporter
    indicated that Minor had not taken D.A. to the doctor even though she
    had been sick with a cough for two months, that D.A. was still wearing
    pull-ups, and that Minor did not permit D.A. to use the restroom, which
    contributed to D.A.’s inability to be fully toilet trained at the age of seven.
    DHS did not perform a new assessment because of the cumulative
    nature of the report. Instead, Grabe’s supervisor instructed her to refer
    the case to the county attorney for possible CINA action.                The county
    attorney recommended that Grabe prepare an affidavit to file with the
    CINA petition because of a concern that Minor had fled the State with
    D.A. On April 5, the county attorney filed a CINA petition and attached
    Grabe’s affidavit.       Grabe’s affidavit included all of the allegations
    provided by the February 24 reporter. It also included allegations based
    on previous reports and DHS assessments, including allegations that
    1Ina deposition, Minor admitted to giving D.A. a pull-up while they were driving
    because they were not near any restrooms.
    5
    Minor exposed D.A. to a prostitution business, that D.A. displayed
    inappropriate sexualized behavior, and that Minor had left D.A. with
    inappropriate caregivers.
    The county sheriff could not serve Minor with a summons and
    notice because she was no longer living at her listed address and did not
    leave a forwarding address. At the time, Minor and D.A. were living in
    Las Vegas.     On May 5, the day set for the pretrial hearing, Grabe
    provided the juvenile court with another affidavit asking the court to
    place D.A. in temporary DHS custody. This affidavit indicated that Minor
    exposed D.A. to her prostitution business, that Minor denied D.A.
    contact with extended family members, that D.A. displayed sexualized
    behavior, that D.A. was left with unsuitable caretakers, that Minor
    exhibits behavior suggestive of mental illness and drug abuse, and that
    Grabe believed Minor intentionally took D.A. out of the state in order to
    flee the juvenile court and DHS systems. The court issued a temporary
    removal order on the basis that Minor had left the state with D.A. after
    the filing of the CINA petition and that Minor had allegedly exposed D.A.
    to prostitution. After learning about the CINA petition, Minor voluntarily
    returned D.A. to Iowa on May 7.
    Grabe assigned D.A.’s case to Cleo Hester, another DHS social
    worker.    Upon her removal, DHS first placed D.A. with her paternal
    grandmother,    but   the   placement   was   discontinued   because   the
    grandmother’s    retirement   community   prohibited   long-term   guests.
    Minor proposed that DHS place D.A. with Rebecca Stutzman, a family
    friend. However, DHS next placed D.A. with Cathy Techau, a licensed
    foster parent, on May 31.     That same day, the court ordered DHS “to
    complete a Home Study of any proposed alternate placement for the
    child.”   Hester, who was responsible for conducting any home study
    6
    pertaining to D.A.’s placement, admitted in his affidavit that he did not
    consider the home study a priority because Minor had informed him she
    was comfortable with Techau caring for D.A.        Minor, who visited with
    D.A. at least twice after DHS placed D.A. at Techau’s, admitted she did
    not have any concerns about the placement prior to June 6.
    While in Techau’s care, D.A. spent the weekdays in a daytime
    program at a nonprofit agency that, among other things, helps children
    with behavioral issues. Techau communicated concerns to the agency
    about D.A.’s behavior. The agency’s employees indicated D.A. struggled
    with social interactions with other children her age.           When D.A.
    misbehaved at the agency, she would receive discipline in the form of
    short time outs, during which she would be prohibited from participating
    in activities with the other children or be prohibited from earning certain
    privileges. D.A. testified she received this type of discipline for more than
    twenty consecutive days. According to D.A., Techau would send her to
    her room after dinner on each day she was disciplined at the agency.
    D.A. believed the door was locked.       D.A. further testified she was not
    permitted to leave her room and sometimes wet herself.         She testified
    that, although she did not know how to bathe properly, she took a bath
    every other day while at Techau’s, but that Techau did not assist her.
    While in Techau’s care, D.A. contracted an E. coli urinary tract
    infection.   Techau took D.A. to see a physician on June 22.             The
    physician diagnosed D.A. with the infection and prescribed antibiotics.
    The physician opined an E. coli urinary tract infection is often caused by
    poor personal bathroom hygiene. A follow-up visit revealed the infection
    had cleared.
    After learning about D.A.’s E. coli infection, Minor expressed
    dissatisfaction with the quality of foster care provided by Techau to DHS.
    7
    This prompted an unannounced visit by another DHS social worker to
    Techau’s home on June 28. A post-visit report indicated Techau’s home
    was clean and not a health or safety hazard.      Although D.A. was not
    present during the visit, the report indicated the children, day care
    center, and foster home “appeared to be well taken care of.”
    Minor brought her concerns about the quality of Techau’s care to
    the attention of the juvenile court on June 29 in an application to modify
    D.A.’s placement conditions.   In addition to noting D.A. contracted an
    E. coli urinary tract infection, the application alleged that while in
    Techau’s care D.A. was neglected, improperly supervised and disciplined,
    locked in her room for long periods of time, denied basic grooming and
    hygienic care, and not provided with proper medication. Minor urged the
    court to remove D.A. from Techau’s home and order DHS to complete a
    home study of Stuzman’s residence.
    On June 30, the court ordered DHS to obtain a home study of the
    Stutzman residence.    Hester completed the Stutzman home study on
    July 13, and DHS placed D.A. with Stutzman on July 15. On August 3,
    the parties agreed to the dismissal of the CINA proceeding and the
    juvenile court dismissed the case. D.A. returned to Minor’s care.
    On May 4, 2007, Minor filed claims on behalf of herself and D.A.
    with the state appeal board against Grabe.        Minor asserted claims
    against Grabe for intentional infliction of emotional distress, outrageous
    conduct, and tortious interference with the parent–child relationship.
    Minor did not file a claim against Hester with the state appeal board.
    On May 7, Minor, acting individually and as D.A.’s next friend,
    filed suit against the State of Iowa, Grabe, and Hester, asserting claims
    under 42 U.S.C. § 1983 for violations of the Fourth and Fourteenth
    Amendments of the United States Constitution, for improperly removing
    8
    D.A. from Minor’s care, custody, and control, and for failing to meet the
    affirmative duty to protect D.A. once she was placed in foster care. On
    June 3, the state appeal board denied Minor’s state tort claims. Minor
    then filed an amended and substituted petition in the district court,
    which, in addition to the federal law claims, asserted state tort law
    claims, including intentional infliction of emotional distress, outrageous
    conduct, 2 and tortious interference with the parent–child relationship.
    Specifically, Minor alleged that Grabe was the unidentified DHS
    employee who called Pena, that Grabe used bribery and extortion to
    obtain information regarding Minor and D.A., and that Grabe filed false
    affidavits to remove D.A. from Minor’s care, custody, and control. Minor
    further contended Grabe and Hester refused to comply in a timely
    manner with the court orders directing DHS to conduct the Stutzman
    home study.        Finally, Minor alleged that, while in the care of Techau,
    D.A. was denied adequate medical care, subjected to unclean and
    hazardous       conditions,     physically       and   verbally   abused,     neglected,
    improperly supervised, and locked in a room.
    The State, Grabe, and Hester moved for summary judgment,
    asserting various defenses based on immunity.                      The district court
    granted summary judgment, holding (1) Minor may not assert a claim
    against the State of Iowa under § 1983; 3 (2) Grabe and Hester are
    entitled to absolute immunity from the claims pursuant to § 1983
    because they were acting in the role of prosecutors; (3) Hester is entitled
    to discretionary function immunity from the state tort claims pursuant to
    2Minor   later withdrew the claim for outrageous conduct in the district court.
    3Minor  and D.A. do not appeal the district court’s determination that a plaintiff
    may not state a claim under § 1983 against the State of Iowa. Therefore, the appeal
    involving federal civil rights claims under § 1983 does not involve the State.
    9
    Iowa Code section 669.14(1); (4) Grabe is entitled to immunity from the
    state tort claims pursuant to Iowa Code section 669.14(4), which bars
    claims arising out of misrepresentation or deceit; and (5) the State of
    Iowa does not recognize a cause of action for tortious interference with a
    parent–child relationship. Minor appeals.
    II. Issues.
    The issue in this appeal is whether a genuine issue of material fact
    exists that would justify allowing the federal civil rights claims and state
    tort claims to proceed to trial.     Because the district court granted
    summary judgment based on immunity, we must determine whether and
    what kind of immunity state social workers are entitled to under § 1983
    in the face of claims that they violated a parent’s right to the care,
    custody, and control of her child and a child’s right to adequate medical
    care, protection, and supervision.       We must also determine whether
    these state social workers are entitled to immunity from state tort claims
    brought pursuant to the ITCA.
    III. Scope of Review.
    We review an order granting summary judgment for correction of
    errors at law.   Robinson v. Fremont Cnty., 
    744 N.W.2d 323
    , 325 (Iowa
    2008). The district court correctly enters a summary judgment when the
    moving party demonstrates that there is no genuine issue of material fact
    and that he or she is entitled to judgment as a matter of law. Iowa R.
    Civ. P. 1.981(3). To determine whether the moving party met his or her
    burden, we examine the record in the light most favorable to the party
    opposing the motion for summary judgment.           Rants v. Vilsack, 
    684 N.W.2d 193
    , 199 (Iowa 2004). We review “the record before the district
    court and determine whether there was a material fact in dispute and if
    10
    not, whether the district court correctly applied the law.” Robinson, 744
    N.W.2d at 325.
    IV. Federal Civil Rights Claims.
    42 U.S.C. § 1983 enables those individuals whose constitutional
    rights were deprived by persons acting under color of state law to seek
    redress for their grievances. Dickerson v. Mertz, 
    547 N.W.2d 208
    , 214
    (Iowa 1996).     To prevail on a claim under § 1983, a plaintiff must
    establish
    (1) that the defendant deprived the plaintiff of a right secured
    by the [C]onstitution and laws of the United States, (2) that
    the defendant acted under color of state law, (3) that the
    conduct was a proximate cause of the plaintiff’s damage, and
    (4) the amount of damages.
    Leydens v. City of Des Moines, 
    484 N.W.2d 594
    , 596 (Iowa 1992). While
    § 1983 does not recognize the defense of immunity on its face, the United
    States Supreme Court has held government employees have absolute
    immunity from suit in some circumstances and qualified immunity from
    suit in others. See Buckley v. Fitzsimmons, 
    509 U.S. 259
    , 268–69, 113 S.
    Ct. 2606, 2613, 
    125 L. Ed. 2d 209
    , 223 (1993) (stating that while
    qualified immunity is usually sufficient to protect government officials,
    some officials deserve absolute protection).
    The district court concluded there was a genuine issue of material
    fact as to whether Minor’s substantive due process rights and D.A.’s
    Fourth Amendment right to be free from unreasonable seizure were
    violated. However, the district court nonetheless granted the motion for
    summary judgment, finding absolute immunity barred the claims
    because Grabe’s actions in helping to initiate the CINA action and
    Hester’s actions in making a recommendation for the placement of D.A.
    were the functional equivalent of actions performed by a prosecutor.
    11
    A. Absolute Immunity. Section 1983 provides, in pertinent part:
    Every person who, under color of any statute, ordinance,
    regulation, custom, or usage, of any State or Territory or the
    District of Columbia, subjects, or causes to be subjected,
    any citizen of the United States or other person within the
    jurisdiction thereof to the deprivation of any rights,
    privileges, or immunities secured by the Constitution and
    laws, shall be liable to the party injured in an action at law,
    suit in equity, or other proper proceeding for redress.
    42 U.S.C. § 1983. Despite its broad language, the Supreme Court has
    consistently held § 1983 did not abolish long-standing common law
    immunities enjoyed by government officials in civil suits when Congress
    enacted it in 1871. See Buckley, 509 U.S. at 268, 113 S. Ct. at 2612–13,
    125 L. Ed. 2d at 222–23; Burns v. Reed, 
    500 U.S. 478
    , 484, 
    111 S. Ct. 1934
    , 1938, 
    114 L. Ed. 2d 547
    , 557 (1991); Imbler v. Pachtman, 
    424 U.S. 409
    , 417–18, 
    96 S. Ct. 984
    , 989, 
    47 L. Ed. 2d 128
    , 136 (1976). When
    faced with a question of whether a government official has absolute
    immunity from civil liability resulting from his or her acts, we employ a
    “functional approach” to determine whether those actions “fit within a
    common-law tradition of absolute immunity.” Buckley, 509 U.S. at 269,
    113 S. Ct. at 2613, 125 L. Ed. 2d at 223; see also Beck v. Phillips, 
    685 N.W.2d 637
    , 642 (Iowa 2004).
    Under this “functional approach,” we do not look to the identity of
    the government actor, but instead to “the nature of the function
    performed.” Forrester v. White, 
    484 U.S. 219
    , 229, 
    108 S. Ct. 538
    , 545,
    
    98 L. Ed. 2d 555
    , 566 (1988). We only grant absolute immunity for those
    governmental functions that were historically viewed as so
    important and vulnerable to interference by means of
    litigation that some form of absolute immunity from civil
    liability was needed to ensure that they are performed “ ‘with
    independence and without fear of consequences.’ ”
    12
    Rehberg v. Paulk, 
    566 U.S.
    ___, ___, 
    132 S. Ct. 1497
    , 1503, 
    182 L. Ed. 2d 593
    , 601 (2012) (quoting Pierson v. Ray, 
    386 U.S. 547
    , 554, 
    87 S. Ct. 1213
    , 1218, 
    18 L. Ed. 2d 288
    , 294 (1967)). A government official may be
    entitled to absolute immunity where the official performs a function
    analogous to that of a government official who was immune at common
    law. See Butz v. Economou, 
    438 U.S. 478
    , 513–15, 
    98 S. Ct. 2894
    , 2914–
    15, 
    57 L. Ed. 2d 895
    , 920–21 (1978) (holding an administrative agency’s
    officials who perform functions analogous to those of a prosecutor or
    judge are entitled to absolute immunity).
    After determining the nature of the function, we evaluate “the effect
    that exposure to particular forms of liability would likely have on the
    appropriate exercise of those functions.” Forrester, 484 U.S. at 224, 108
    S. Ct. at 542, 98 L. Ed. 2d at 563.      In particular, we must examine
    whether absolute immunity for the particular official performing this
    particular function will “free the judicial process from the harassment
    and intimidation associated with litigation.” Burns, 500 U.S. at 494, 111
    S. Ct. at 1943, 114 L. Ed. 2d at 563; see also Butz, 438 U.S. at 512, 98
    S. Ct. at 2913, 57 L. Ed. 2d at 919 (“Absolute immunity is thus
    necessary to assure that judges, advocates, and witnesses can perform
    their respective functions without harassment or intimidation.”).      The
    official seeking absolute immunity bears the burden of justifying such
    immunity. Beck, 685 N.W.2d at 643; see also Burns, 500 U.S. at 486,
    111 S. Ct. at 1939, 114 L. Ed. 2d at 558.      “The presumption is that
    qualified rather than absolute immunity is sufficient to protect
    government officials in the exercise of their duties.” Burns, 500 U.S. at
    486–87, 111 S. Ct. at 1939, 114 L. Ed. 2d at 558. Therefore, we must
    “be sparing in our recognition of absolute immunity.” Beck, 685 N.W.2d
    at 643.
    13
    For example, prosecutors are entitled to absolute immunity from
    civil liability when they perform functions “intimately associated with the
    judicial phase of the criminal process.” Imbler, 424 U.S. at 430, 96 S. Ct.
    at 995, 47 L. Ed. 2d at 143.       As such, a prosecutor has absolute
    immunity “in initiating a prosecution and in presenting the State’s case.”
    Id. at 431, 96 S. Ct. at 995, 47 L. Ed. 2d at 144. Acts falling within this
    function include the preparing and filing of trial information and
    motions. Kalina v. Fletcher, 
    522 U.S. 118
    , 129, 
    118 S. Ct. 502
    , 509, 
    139 L. Ed. 2d 471
    , 480–81 (1997); see also Burr v. City of Cedar Rapids, 
    286 N.W.2d 393
    , 396 (Iowa 1979) (holding a prosecutor has absolute
    immunity for signing and filing a complaint or information containing
    false statements); Blanton v. Barrick, 
    258 N.W.2d 306
    , 310–11 (Iowa
    1977) (holding a prosecutor has absolute immunity for initiating a
    prosecution). Such acts also include decisions not to prosecute, Beck,
    685 N.W.2d at 644, decisions to defer prosecution, recommendations
    that criminal defendants pay court costs when prosecutions are
    dismissed or deferred, and for the training, supervision, and control of
    another prosecutor, Hike v. Hall, 
    427 N.W.2d 158
    , 160–62 (Iowa 1988).
    Prosecutors, however, do not have absolute immunity when they
    perform investigatory acts before probable cause to arrest arises because
    police traditionally perform this function. Buckley, 509 U.S. at 274–76,
    113 S. Ct. at 2616–17, 125 L. Ed. 2d at 226–28; McGhee v.
    Pottawattamie Cnty., 
    547 F.3d 922
    , 933 (8th Cir. 2008) (“[I]mmunity does
    not extend to the actions of a County Attorney who violates a person’s
    substantive due process rights by obtaining, manufacturing, coercing
    and fabricating evidence before filing formal charges, because this is not
    a ‘distinctly prosecutorial function.’ ”). For example, prosecutors do not
    have absolute immunity when they give advice to the police to aid them
    14
    in obtaining a confession. Burns, 500 U.S. at 496, 111 S. Ct. at 1944–
    45, 114 L. Ed. 2d at 564–65.                Moreover, prosecutors do not have
    absolute immunity when they perform administrative acts. See Buckley,
    509 U.S. at 277–78, 113 S. Ct. at 2617–18, 125 L. Ed. 2d at 228–29
    (holding a prosecutor’s act of holding a press conference was an
    administrative act not entitled to absolute immunity because it did “not
    involve the initiation of a prosecution, the presentation of the state’s case
    in court, or actions preparatory for these functions”); Beck, 685 N.W.2d
    at 645 (concluding a prosecutor’s act of writing letters to the police
    department and mayor is not “intimately associated with the judicial
    phase of the criminal process” (internal citation and quotation marks
    omitted)).
    Finally, absolute immunity does not shield a prosecutor who
    prepares and files a sworn affidavit to accompany a motion for an arrest
    warrant. Kalina, 522 U.S. at 130–31, 118 S. Ct. at 510, 139 L. Ed. 2d at
    482.   This is because, in doing so, the prosecutor is “perform[ing] the
    function of a complaining witness,” 4 not that of an advocate. Kalina, 522
    U.S. at 131, 118 S. Ct. at 510, 139 L. Ed. 2d at 482; see also Malley v.
    Briggs, 
    475 U.S. 335
    , 343–45, 
    106 S. Ct. 1092
    , 1097–98, 
    89 L. Ed. 2d 271
    , 280–81 (1986) (holding absolute immunity does not protect a police
    officer who files an affidavit in support of an arrest warrant and receives
    4When    Congress enacted § 1983 as part of the Civil Rights Act of 1871, private
    parties frequently prosecuted criminal cases. Rehberg v. Paulk, 
    566 U.S.
    ___, ___, 
    132 S. Ct. 1497
    , 1503, 
    182 L. Ed. 2d 593
    , 602 (2012). Although these private individuals
    did not necessarily give testimony at trial, they were called “complaining witnesses.” Id.
    at ___, 132 S. Ct. at 1507, 
    182 L. Ed. 2d
     at 606. “Complaining witnesses” were not
    absolutely immune from civil liability at common law. Malley v. Briggs, 
    475 U.S. 335
    ,
    340, 
    106 S. Ct. 1092
    , 1096, 
    89 L. Ed. 2d 271
    , 278 (1986). Public officials increasingly
    assumed the prosecutorial function after Congress passed the Civil Rights Act of 1871.
    Rehberg, 
    566 U.S.
    at ___, 132 S. Ct. at 1504, 
    182 L. Ed. 2d
     at 603. Unlike private
    prosecutors, public prosecutors were absolutely immune from tort claims at common
    law to protect them from harassing litigation. Id.
    15
    the arrest warrant even though he lacks probable cause to arrest).
    Complaining witnesses are distinguishable from witnesses at trial,
    ordinary witnesses, who are absolutely immune from any claim arising
    from their testimony. Rehberg, 
    566 U.S.
    at ___, 132 S. Ct. at 1505, 
    182 L. Ed. 2d
     at 604; see also Briscoe v. LaHue, 
    460 U.S. 325
    , 335–36, 
    103 S. Ct. 1108
    , 1115–16, 
    75 L. Ed. 2d 96
    , 108 (1983) (holding a police
    officer is entitled to absolute immunity when he gives perjured testimony
    during a criminal trial).
    The Supreme Court has never considered whether social workers
    are entitled to absolute immunity, but many other jurisdictions have.
    Some federal circuit courts grant social workers absolute immunity on
    the basis that their functions are “quasi-judicial,” like those of
    prosecutors. See Ernst v. Child & Youth Servs., 
    108 F.3d 486
    , 495 (3d
    Cir. 1997); Thomason v. SCAN Volunteer Servs., Inc., 
    85 F.3d 1365
    , 1373
    (8th Cir. 1996); Millspaugh v. Cnty. Dep’t of Pub. Welfare, 
    937 F.2d 1172
    ,
    1176 (7th Cir. 1991); Vosburg v. Dep’t of Soc. Servs., 
    884 F.2d 133
    , 135
    (4th Cir. 1989); Salyer v. Patrick, 
    874 F.2d 374
    , 378 (6th Cir. 1989);
    Meyers v. Contra Costa Dep’t of Soc. Servs., 
    812 F.2d 1154
    , 1157 (9th
    Cir. 1987).    These courts hold a social worker performs a function
    analogous to that of a prosecutor when the social worker prepares for,
    initiates, or prosecutes child dependency proceedings. See, e.g., Ernst,
    108 F.3d at 495; see also Meyers, 812 F.2d at 1157 (denying a social
    worker’s claim of absolute immunity where, prior to the initiation of
    dependency proceedings, the social worker ordered a father to stay away
    from his home until after a hearing before the juvenile court).     These
    courts reason social workers must exercise independent judgment in
    determining when to bring such proceedings and note dependency
    proceedings incorporate measures to safeguard citizens from the
    16
    unconstitutional acts of social workers. See Ernst, 108 F.3d at 495. As
    the Ninth Circuit explained,
    Although child services workers do not initiate
    criminal proceedings, their responsibility for bringing
    dependency proceedings, and their responsibility to exercise
    independent judgment in determining when to bring such
    proceedings, is not very different from the responsibility of a
    criminal prosecutor. The social worker must make a quick
    decision based on perhaps incomplete information as to
    whether to commence investigations and initiate proceedings
    against parents who may have abused their children. The
    social worker’s independence, like that of a prosecutor,
    would be compromised were the social worker constantly in
    fear that a mistake could result in a time-consuming and
    financially devastating civil suit.
    Meyers, 812 F.2d at 1157.           Conversely, courts have denied social
    workers absolute immunity in cases in which they characterized the
    social workers’ conduct in removing children from their home without a
    court order, see Hodorowski v. Ray, 
    844 F.2d 1210
    , 1216 (5th Cir. 1988);
    Robison v. Via, 
    821 F.2d 913
    , 919–20 (2d Cir. 1987), or in ordering a
    father to stay away from his home until after a hearing before the
    juvenile court, Meyers, 812 F.2d at 1157, as investigatory or other
    conduct taking place prior to the initiation of dependency proceedings.
    Courts have arrived at varying results in suits involving allegations
    social      workers     included     false   statements      or    intentional
    misrepresentations in sworn affidavits submitted to the court.             Some
    courts have declined to grant social workers absolute immunity in these
    cases on the basis the social workers were performing functions
    analogous to complaining witnesses. See Beltran v. Santa Clara Cnty.,
    
    514 F.3d 906
    , 908 (9th Cir. 2008) (holding social workers are not entitled
    to absolute immunity from claims that they made false statements in a
    sworn affidavit accompanying a child dependency petition); Austin v.
    Borel, 
    830 F.2d 1356
    , 1363 (5th Cir. 1987) (holding social workers are
    17
    not entitled to absolute immunity in the face of claims they filed a sworn
    statement containing allegedly false statements). Other courts, however,
    have granted social workers absolute immunity in these situations. See
    Pittman v. Cuyahoga Cnty. Dep’t of Children & Family Servs., 
    640 F.3d 716
    , 725–26 (6th Cir. 2011) (holding a caseworker who allegedly made
    intentional misrepresentations in affidavits was entitled to absolute
    immunity); Thomason, 85 F.3d at 1373 (“To the extent [the caseworker is]
    sued because [the caseworker] made arguably false statements in her
    affidavit in her role as a witness before the state court, the doctrine of
    absolute witness immunity applies.”).
    These latter cases reason that advocacy is the key to prosecutorial
    immunity and that social workers are entitled to absolute immunity
    when they act as an advocate before the court, which includes the act of
    filing    an   affidavit   reflecting    the    social   worker’s   opinions   and
    recommendations as to what is in the best interests of the child. See
    Pittman, 640 F.3d at 725, Thomason, 85 F.3d at 1373; see also Holloway
    v. Brush, 
    220 F.3d 767
    , 776 (6th Cir. 2000) (“[A]bsolute immunity
    extends to social workers only when they are acting in the capacity of
    legal advocates.      It is apparent that Ohio law does not envision a
    caseworker’s principal function as that of an advocate, although at a
    certain stage in custody proceedings a caseworker might be called by the
    prosecutor     to   present    reports     or    make    recommendations       that,
    functionally, constitute advocacy.”).
    We believe an appropriate application of the functional analysis
    prohibits us from making a broad decision about the type of immunity
    available to social workers when they file an affidavit allegedly containing
    false statements or misrepresentations. Accordingly, if the social worker
    is acting as a complaining witness, then the social worker is not entitled
    18
    to absolute immunity because complaining witnesses were not absolutely
    immune at common law. See Rehberg, 
    566 U.S.
    at ___, ___, 132 S. Ct. at
    1504, 1507, 
    182 L. Ed. 2d
     at 606.       However, if the social worker is
    functioning as an ordinary witness, then the social worker is entitled to
    absolute immunity. See Briscoe, 460 U.S. at 332–34, 103 S. Ct. at 1114–
    15, 75 L. Ed. 2d at 106–07.
    1. Whether Grabe is entitled to absolute immunity. Although the
    district court found that Grabe’s actions generally constituted the
    initiation of CINA proceedings, we must narrow the scope in which we
    view her actions. The claim against Grabe is predicated on allegations
    that she manufactured, coerced, and fabricated evidence and then used
    such evidence to remove D.A. from Minor’s care, custody, and control.
    Minor and D.A. claim Grabe bribed and extorted Pena and attempted to
    suborn perjury in order to cause the county attorney to file a CINA
    petition. They also claim Grabe used this information in two affidavits,
    which resulted in D.A.’s removal. Therefore, we need to evaluate whether
    Grabe is immune from liability potentially stemming from three separate
    acts—procuring evidence by coercing Pena to provide information and
    false testimony, causing the county attorney to file a CINA petition, and
    filing two sworn affidavits.
    Minor and D.A. first complain Grabe’s procurement of evidence
    violated her constitutional rights. Assuming Minor and D.A.’s account of
    the facts is correct, Grabe was the DHS employee who called Pena
    seeking information about Minor and D.A.          Grabe then included
    information acquired during this call in the affidavit she provided with
    the CINA petition.      The procurement of evidence, no matter how
    accomplished, constitutes an investigatory act. See Buckley, 509 U.S. at
    274–76, 113 S. Ct. at 2616–17, 125 L. Ed. 2d at 226–28.        Although
    19
    Grabe’s investigation ultimately led to the initiation of a CINA action, we
    conclude Grabe is not entitled to absolute immunity for her investigatory
    acts.    Because the Supreme Court has refused to apply such an
    expansive interpretation of absolute immunity to prosecutors serving an
    investigatory function, we believe absolute immunity cannot shield a
    social worker from liability for his or her investigatory acts.
    Second, Minor and D.A. allege Grabe violated her rights by causing
    the county attorney to file a CINA petition. Once DHS determines the
    best interests of the child or safety concerns necessitate juvenile court
    action, DHS must “act appropriately to initiate [a CINA] action.”     Iowa
    Code § 232.71C(1). By statute, only DHS, a juvenile court officer, or a
    county attorney may file a CINA petition. Id. § 232.87(2). Regardless,
    however, of whether the county attorney or a DHS social worker files the
    petition, the county attorney represents DHS in CINA proceedings. Id.
    § 232.90(1).
    Minor and D.A. argued in their resistance to the motion for
    summary judgment that DHS social workers perform a function more
    akin to police than to prosecutors. Following the reasoning of the federal
    circuits granting absolute immunity to social workers, Grabe would be
    entitled to absolute immunity if she had filed the petition on her own. It
    would be perverse to deny Grabe absolute immunity for the act of filing
    the petition on the basis she sought the advice of the county attorney,
    who in fact filed the petition.     The presence of the county attorney
    provides an additional layer of protection to the public against a social
    worker abusing his or her authority.
    Further, we have stated a county attorney has a duty to advocate
    for the position of DHS and may not “ ‘assert his [independent] vision of
    the state interest.’ ”   In re A.W., 
    741 N.W.2d 793
    , 803 (Iowa 2007)
    20
    (citation omitted); see also Iowa Code § 232.90(2).      In that case, we
    considered whether a county attorney could appeal a juvenile court’s
    ruling on his own while, at the same time, the Iowa Attorney General
    moved to dismiss the appeal. In re A.W., 741 N.W.2d at 800. We did not
    consider that case in the context of whether a county attorney must
    follow DHS’s recommendation of filing a CINA petition.           However,
    because we strive to afford the greatest possible protection to victims and
    potential victims of child abuse, see Iowa Code § 232.67, when a social
    worker presents an assessment indicating child abuse to a county
    attorney and the social worker recommends the initiation of CINA
    proceedings, we believe the social worker is performing a function akin to
    that of a prosecutor. The CINA hearing will provide additional protection
    to the people of Iowa from social workers who abuse their authority.
    Therefore, when a DHS social worker refers a case to the county
    attorney for possible CINA action and the county attorney files the CINA
    petition, the social worker is performing a function analogous to that of a
    prosecutor and should be afforded comparable immunity. Consequently,
    Grabe has absolute immunity from liability stemming from the act of
    referring the case to the county attorney for possible CINA action and the
    county attorney’s act of filing of the CINA petition.
    Finally, Minor and D.A. complain Grabe violated their rights by
    filing two affidavits—one filed with the CINA petition requesting the
    juvenile court adjudicate D.A. pursuant to the CINA section of the Iowa
    Code and one presented at a hearing regarding the CINA proceeding
    recommending the court place D.A. in temporary DHS custody.             By
    statute, a CINA petition must be supported by an affidavit setting forth
    the information and beliefs upon which the petition is based. Iowa Code
    § 232.36(2). We believe a social worker who files an affidavit along with a
    21
    CINA petition acts as a complaining witness.          Just as prosecutors,
    Kalina, 522 U.S. at 130–31, 118 S. Ct. at 510, 139 L. Ed. 2d at 482, and
    police officers, Malley, 475 U.S. at 343–45, 106 S. Ct. at 1097–98, 89
    L. Ed. 2d at 280–81, are not afforded absolute immunity for the act of
    preparing and filing a sworn affidavit to accompany a motion or
    application for an arrest warrant, social workers should not be afforded
    absolute immunity for this act either. Therefore, Grabe does not have
    absolute immunity for the filing of the affidavit attached to the petition.
    The filing of an affidavit after the CINA proceeding starts is more
    complicated. The purpose of the affidavit is not to initiate a proceeding,
    but rather, to testify before the court with testimony during the course of
    the proceeding to provide a basis to temporarily remove the child from
    the present custodian. See Iowa Code § 232.78(7)(a). In other words, the
    social worker is nothing more than an ordinary witness at this point in
    the proceeding, providing his or her testimony by affidavit, rather than in
    person.    As a social worker’s testimony and recommendations may be
    vitally important, the social worker should be able to present his or her
    testimony and recommendations in court without fear of liability arising
    from such testimony and recommendations.          See Briscoe, 460 U.S. at
    335–36, 103 S. Ct. at 1115–16, 75 L. Ed. 2d at 108. Therefore, Grabe
    has absolute immunity for the filing of the affidavit regarding temporary
    custody.
    2.   Whether Hester is entitled to absolute immunity.     The § 1983
    claim against Hester is that he failed to ensure D.A. was provided
    adequate medical care, protection, and supervision while in the care of
    Techau through his refusal, despite a court order, to timely conduct the
    Stutzman home study. This alleged conduct is not protected by absolute
    immunity because it is not an integral part of the judicial process.
    22
    The district court held Hester’s role in the court action was to
    “make a recommendation for placement of D.A.”               The court then held
    that, based on Thomason, Hester was entitled to absolute immunity
    because     witness    immunity     applies      to   providing    reports   and
    recommendations to the court. See Thomason, 85 F.3d at 1373. Hester
    ultimately filed an investigative report—the Stutzman home study—as
    ordered. However, the claims of Minor and D.A. are not based on the
    content of that report. The claims against Hester are instead based on
    the allegation that he failed to timely conduct his investigation and make
    his report, in violation of a court order, and failed to provide adequate
    medication, protection, and supervision to D.A. Hester is not entitled to
    absolute immunity for liability stemming from investigatory conduct,
    such as this.
    Further, the district court’s reasoning is directly at odds with
    federal case law denying social workers qualified immunity where they
    fail to meet their obligation to provide adequate medical care, protection,
    and supervision to children placed in the custody of the state. See, e.g.,
    Norfleet v. Ark. Dep’t of Human Servs., 
    989 F.2d 289
    , 293 (8th Cir. 1993).
    Accordingly, we conclude absolute immunity does not shield Hester for
    his actions in this case.
    B.   Qualified Immunity. Because the district court held Grabe
    and Hester are entitled to absolute immunity, the court did not
    determine whether Grabe is entitled to qualified immunity for her
    investigative acts or for the act of filing as a complaining witness. The
    court also did not address whether Hester is entitled to qualified
    immunity for his actions in allegedly failing to timely conduct the
    Stutzman home study and in failing to investigate D.A.’s placement. We
    have   stated   that   we   will,   “in    the   interest   of    sound   judicial
    23
    administration,” decide an issue the parties raised below and fully
    briefed and argued in this court even if the district court did not reach
    the issue because it was “deemed unnecessary to the decision under the
    rationale it elected to invoke.” Chauffeurs, Teamsters & Helpers, Local
    Union No. 238 v. Iowa Civil Rights Comm’n, 
    394 N.W.2d 375
    , 378 (Iowa
    1986) (internal citation and quotation marks omitted). Here, the parties
    raised the issue of qualified immunity before the district court. They also
    raised and argued it in their briefs before this court, and we choose to
    address it.
    Even if absolute immunity does not shield an official from liability,
    “the doctrine of qualified immunity protects government officials ‘from
    liability for civil damages insofar as their conduct does not violate clearly
    established statutory or constitutional rights of which a reasonable
    person would have known.’ ” Pearson v. Callahan, 
    555 U.S. 223
    , 231,
    
    129 S. Ct. 808
    , 815, 
    172 L. Ed. 2d 565
    , 573 (2009) (quoting Harlow v.
    Fitzgerald, 
    457 U.S. 800
    , 818, 
    102 S. Ct. 2727
    , 2738, 
    73 L. Ed. 2d 396
    ,
    410 (1982)); see also Leydens, 484 N.W.2d at 597. Qualified immunity
    balances two important competing interests—“the need to hold public
    officials accountable when they exercise power irresponsibly and the
    need to shield officials from harassment, distraction, and liability when
    they perform their duties reasonably.”      Pearson, 555 U.S. at 231, 129
    S. Ct. at 815, 172 L. Ed. 2d at 573.
    In addressing the defendants’ claim of qualified immunity, we
    consider, in any order, whether the facts alleged by the plaintiff “make
    out a violation of a constitutional right” and whether that right was
    “ ‘clearly established’ at the time of defendant’s alleged misconduct.”
    Pearson, 555 U.S. at 232, 236, 129 S. Ct. at 815–16, 818, 172 L. Ed. 2d
    at 573, 576.    A constitutional right is clearly established when “[t]he
    24
    contours of the right [are] sufficiently clear that a reasonable official
    would understand that what he [or she] is doing violates that right.”
    Anderson v. Creighton, 
    483 U.S. 635
    , 640, 
    107 S. Ct. 3034
    , 3039, 
    97 L. Ed. 2d 523
    , 531 (1987).          “In other words, ‘existing precedent must
    have placed the statutory or constitutional question beyond debate.’ ”
    Reichle v. Howards, 
    566 U.S.
    ___, ___, 
    132 S. Ct. 2088
    , 2093, 
    182 L. Ed. 2d
     985, 992 (2012) (quoting Ashcroft v. al-Kidd, 
    563 U.S.
    ___, ___, 131 S.
    Ct. 2074, 2083, 
    179 L. Ed. 2d 1149
    , 1159 (2011)). Therefore, if the law
    at the time of the alleged conduct did not clearly establish that the
    government official’s conduct would violate the Constitution, the
    government official is entitled to qualified immunity.                   Brosseau v.
    Haugen, 
    543 U.S. 194
    , 198, 
    125 S. Ct. 596
    , 599, 
    160 L. Ed. 2d 583
    , 589
    (2004).
    1. Whether Grabe violated clearly established constitutional rights
    of Minor or D.A.        Minor and D.A. assert Grabe violated her clearly
    established     constitutional     rights    by   bribing    and     extorting    Pena,
    attempting to suborn perjury, and filing an affidavit containing perjured
    testimony. Although the district court found a genuine issue of material
    fact as to whether Grabe’s actions violated Minor’s interest in the care,
    custody, and control of D.A. 5 and D.A.’s Fourth Amendment right to be
    free from unreasonable search and seizure, we need not decide whether
    Grabe’s conduct violated these constitutional rights.
    Minor and D.A. argue it was clearly established in 2005 that a
    DHS employee could not bribe or extort a witness or suborn perjury. In
    5The Due Process Clause of the Fourteenth Amendment to the United States
    Constitution protects this right. See Troxel v. Granville, 
    530 U.S. 57
    , 65–66, 
    120 S. Ct. 2054
    , 2060, 
    147 L. Ed. 2d 49
    , 56–57 (2000); see also In re K.M., 
    653 N.W.2d 602
     (Iowa
    2002) (“Normally, there is no justification for the State’s interference in the private
    relations of a family . . . because a parent’s . . . right to the companionship, care,
    custody, and management of his or her children is an important interest . . . .”).
    25
    support of this proposition, they point to sections of the Iowa Code
    criminalizing extortion, bribery of a witness, and suborning perjury.
    Even assuming Grabe engaged in this illegal conduct, Minor and D.A.
    have not pointed to any judicial opinion existing at the time of the alleged
    conduct holding a social worker violates the constitutional rights of a
    parent or child by engaging in such conduct. While Minor and D.A. need
    not point to a case holding this conduct violates constitutional rights per
    se, they must nonetheless point to authority sufficiently analogous to
    make the violation of the constitutional right apparent. See Anderson,
    483 U.S. at 640, 107 S. Ct. at 3039, 97 L. Ed. 2d at 531; see also
    Costanich v. Dep’t of Soc. & Health Servs., 
    627 F.3d 1101
    , 1115 (9th Cir.
    2010) (holding the deliberate falsification of evidence in a child abuse
    investigation and the inclusion of false evidentiary statements in an
    affidavit violates constitutional rights where a deprivation of liberty or
    property interests occurs, but that this rule only applies in future cases
    in the circuit and not to the case at bar).
    Minor and D.A. also allege Grabe committed perjury by submitting
    an affidavit as a complaining witness containing falsified evidence.
    Again, Minor and D.A. have failed to identify authority existing at the
    time of the alleged conduct that demonstrated a social worker violates
    the constitutional rights of a parent or child by filing an affidavit
    containing false statements.      Even if Minor had identified such an
    authority, see, e.g., Costanich, 627 F.3d at 1115, the facts viewed in the
    light most favorable to them do not demonstrate Grabe was successful in
    fabricating evidence or coercing false evidence. At most, the facts viewed
    in the light most favorable to Minor and D.A. support an allegation that
    Grabe attempted unsuccessfully to coerce false evidence from Pena.
    Even if Grabe suborned perjury, the record does not support a finding
    26
    that Pena supplied false evidence to Grabe or that false evidence
    appeared in Grabe’s affidavit. All of the evidence in Grabe’s affidavit can
    be traced to truthful information provided by Pena or information
    obtained during previous investigations conducted in good faith. Minor
    and D.A. do not assert the previous DHS investigations were not
    conducted in good faith.       Had the affidavit contained information
    obtained through the subornation of perjury, then a genuine issue of
    material fact may have existed to defeat summary judgment.
    Therefore, Minor and D.A. have not presented a genuine issue of
    material fact regarding whether Grabe violated their clearly established
    constitutional rights through her investigatory acts or by submitting an
    affidavit as a complaining witness to the court.     Accordingly, Grabe is
    entitled to qualified immunity as a matter of law for these alleged actions.
    2.   Whether Hester violated the clearly established constitutional
    rights of Minor or D.A. Minor and D.A. argue Hester deliberately failed to
    conduct the Stutzman home study and failed to investigate D.A.’s
    placement after Minor raised concerns about the conditions in Techau’s
    home, which violated D.A.’s right to adequate medical care, protection,
    and supervision. Hester acknowledges children who have been removed
    from the care of their parents and placed in foster care have a clearly
    established constitutional right to adequate medical care, protection, and
    supervision.   See Burton v. Richmond, 
    276 F.3d 973
    , 979–80 (8th Cir.
    2002) (finding social workers are not entitled to qualified immunity under
    § 1983 for a claim based on a failure to provide for basic human needs
    and reasonable safety of children in foster care by failing to supervise
    their foster care placement, to conduct a criminal history check on the
    foster parent, and to investigate or remove the children after numerous
    complaints of sexual abuse and discovery of a foster parent’s criminal
    27
    history of sexual abuse); Norfleet, 989 F.2d at 293 (finding social workers
    were not entitled to qualified immunity where a child with severe asthma
    died after he was placed with foster parent who ignored his medical
    needs). Hester argues, however, that he is entitled to qualified immunity
    because Minor and D.A. failed to raise a genuine issue of material fact as
    to whether he violated D.A.’s clearly established constitutional right
    under the particular facts presented in the summary judgment record.
    Although federal circuit courts have recognized the right of a foster
    child to adequate care, they have expressed some disagreement regarding
    the proper standard for determining whether a social worker violated
    those rights. Some apply a standard adopted by the Supreme Court in
    Youngberg v. Romeo, 
    457 U.S. 307
    , 
    102 S. Ct. 2452
    , 
    73 L. Ed. 2d 28
    (1982), which addressed the rights of an involuntarily institutionalized
    and mentally handicapped plaintiff who was injured while in state care.
    Under Youngberg, a state actor is liable for his conduct if it amounts to
    “such a substantial departure from accepted professional judgment,
    practice, or standards as to demonstrate that the person responsible
    actually did not base the decision on such a judgment.” Id. at 323, 102
    S. Ct. at 2462, 73 L. Ed. 2d at 42. The Tenth Circuit expressly adopted
    the Youngberg standard, explaining that
    [t]o the extent there is a difference in the standards, we agree
    with the Seventh Circuit that the Youngberg standard
    applies. The compelling appeal of the argument for the
    professional judgment standard is that foster children, like
    involuntarily committed patients, are “entitled to more
    considerate treatment and conditions” than criminals. These
    are young children, taken by the state from their parents for
    reasons that generally are not the fault of the children
    themselves.
    Yvonne L. v. N.M. Dep’t of Human Servs., 
    959 F.2d 883
    , 894 (10th Cir.
    1992) (quoting Youngberg, 457 U.S. at 321–22, 102 S. Ct. at 2461, 
    73 Lans. Ch. 28
    Ed. 2d at 41); see also K.H. ex rel. Murphy v. Morgan, 
    914 F.2d 846
    , 854
    (7th Cir. 1990) (explaining social workers expose themselves to liability if
    they place a child “in hands they know to be dangerous or otherwise
    unfit”    without   a   justification   based   on   financial   constraints   or
    “considerations of professional judgment”).
    Other circuits apply a deliberate indifference standard, first
    articulated by the Supreme Court in Estelle v. Gamble, 
    429 U.S. 97
    , 
    97 S. Ct. 285
    , 
    50 L. Ed. 2d 251
     (1976), and originally applied to challenges
    by prisoners under the Eighth Amendment. See Taylor ex rel. Walker v.
    Ledbetter, 
    818 F.2d 791
    , 796–97 (11th Cir. 1987); Doe v. N.Y.C. Dep’t of
    Soc. Servs., 
    649 F.2d 134
    , 145 (2d Cir. 1981).           Under this standard,
    social workers may be liable under § 1983 if they “exhibited deliberate
    indifference to a known injury, a known risk, or a specific duty and their
    failure to perform the duty or act to ameliorate the risk of injury was a
    proximate cause of plaintiff’s deprivation of rights.”       Doe, 649 F.2d at
    145; see also Burton, 276 F.3d at 980 (finding the record could
    demonstrate that social workers were not entitled to qualified immunity
    because they exhibited a “grossly deliberate indifference” where they
    ignored numerous allegations of sexual abuse).
    However, we need not decide whether to adopt the Youngberg or
    deliberate indifference standard.        Irrespective of which standard we
    adopt, we hold Minor and D.A. failed to raise a genuine issue of material
    fact as to whether Hester violated their clearly established constitutional
    rights.
    In this case, the duration of D.A.’s placement with Techau was
    from May 31 until July 15, a relatively short time. To determine whether
    Hester substantially departed from accepted professional judgment,
    practice, or standards or exhibited deliberate indifference to known risks,
    29
    we must examine the nature of the concerns Minor expressed to DHS,
    when Minor informed DHS of her concerns, and DHS’s response. Minor
    fails to provide any affidavit or testimony stating the exact complaints
    she made to DHS or the date on which she made them. Some of the
    concerns about Techau’s care for D.A. appear to relate to improper
    discipline of D.A. Techau would report to the agency where D.A. spent
    her days that D.A. had misbehaved in the foster home and had to stay in
    her room. The agency would then discipline D.A. by preventing her from
    participating in activities.   Then, when the agency reported to Techau
    that D.A. had been disciplined, Techau would allegedly lock D.A. in her
    bedroom after dinner, thereby perpetuating the cycle.      Examining the
    record in the light most favorable to Minor, the record does not indicate
    whether Minor informed DHS of her concerns about D.A.’s discipline.
    The concerns about D.A.’s care also relate to an E. coli urinary
    tract infection.   Minor alleges the infection developed because Techau
    denied D.A. appropriate access to bathroom facilities. D.A. testified by
    deposition that she sometimes wet the bed when she was allegedly
    locked in her room. D.A.’s occasional bed-wetting prompted Techau to
    get pull-up diapers for D.A.     D.A. also testified that she bathed every
    other day, but that Techau did not help her and she did not know how to
    clean herself properly.    It is uncontested that Techau took D.A. to a
    doctor shortly after symptoms of the infection manifested, that the
    infection is common in young girls, and that the infection cleared up in
    the expected time after D.A. took medication.
    Although it is undisputed Minor raised concerns about the quality
    of Techau’s foster care, the exact date she raised those concerns is
    unknown.     Minor admitted in her deposition that she did not have
    concerns about the placement prior to June 6 at the earliest. Further,
    30
    Minor indicated she did not become concerned about D.A.’s health until
    she learned that D.A. had an E. coli infection.     Although Minor knew
    D.A. was going to see a doctor, she could not have known about the
    doctor’s diagnosis until June 22, the date Techau took D.A. to see the
    doctor. Hester’s affidavit confirms Minor did not raise her concerns until
    at least this date because it states that Minor initially informed him she
    was comfortable with Techau caring for D.A. and that Minor did not raise
    concerns about the quality of Techau’s care until late June.
    Once Minor expressed concerns to DHS about the foster care, a
    DHS social worker made an unannounced visit to investigate the Techau
    home on June 28. At most, the unannounced visit took place on the
    fourth business day following D.A.’s visit to the doctor. A subsequent
    report indicated no problems with Techau’s home or the care she was
    providing.
    Moreover, Techau is a state-licensed foster parent. Licensed foster
    parents are subject to at least one unannounced inspection each year.
    See Iowa Code § 237.7.       There is nothing in the record indicating
    Techau’s foster home had any previous problems, complaints, health
    risks, or safety risks prior to the time Minor raised her concerns.
    Therefore, Hester did not ignore the concerns Minor raised about
    the quality of Techau’s foster care because DHS conducted an
    unannounced assessment of the Techau home after Minor raised her
    concerns. Additionally, as we have already noted, Techau took D.A. to
    the doctor when the symptoms of an infection arose and the doctor
    testified the infection resolved within the expected time after a doctor
    prescribed medication.
    Finally, although the court ordered DHS “to complete a Home
    Study of any proposed alternate placement for the child” on May 31,
    31
    Minor originally informed Hester that she was comfortable with Techau
    caring for Minor and did not raise any concerns to DHS or the court
    about Techau’s care until the end of June. The court ordered Hester to
    complete the Stutzman home study on June 30. Hester completed the
    study on July 13. There is no factual basis in this record supporting a
    finding that thirteen days was an unreasonable length of time to
    complete the home study given that the recently completed DHS report of
    the conditions within the Techau home produced no evidence of a poor
    environment.
    Accordingly, there is no genuine issue of material fact that Hester
    deliberately allowed D.A. to continue a foster care placement that he
    knew “to be dangerous or otherwise unfit” because the unannounced
    visit did not reveal any health or safety concerns with Techau’s home.
    See K.H., 914 F.2d at 854.      Similarly, there is no genuine issue of
    material fact that Hester demonstrated “a grossly deliberate indifference”
    to D.A.’s welfare.   See Burton, 276 F.3d at 980.    Hester responded to
    concerns about the foster care placement based on his professional
    judgment informed by the recent unremarkable results of the worker’s
    visit to the Techau home and thereafter followed through on the
    Stutzman home study within a reasonable amount of time after the court
    ordered him to do so.      Consequently, we find no genuine issue of
    material fact on the issue of whether Hester violated the clearly
    established constitutional rights of Minor or D.A. and Hester is entitled
    to qualified immunity as a matter of law.
    C. State Tort Claims. Minor’s amended and substituted petition
    alleges two state law claims against Grabe, Hester, and the State of Iowa.
    Specifically, Minor claims intentional infliction of emotional distress and
    tortious interference with the parent–child relationship. Minor brought
    32
    these claims pursuant to the ITCA, codified in Iowa Code chapter 669.6
    As a preliminary note, there is some debate as to whether Iowa
    recognizes a cause of action for tortious interference with the parent–
    child relationship. We express no opinion as to whether Iowa recognizes
    this cause of action and any references to a claim for tortious
    interference with the parent–child relationship are solely for the purpose
    of discussing the district court’s grant of summary judgment.
    The ITCA waives sovereign immunity for tort claims against the
    State with certain exceptions. Feltes v. State, 
    385 N.W.2d 544
    , 545 (Iowa
    1986); see also Iowa Code § 669.4.               While the ITCA does not create a
    cause of action, it “recognizes and provides a remedy for a cause of
    action already existing which would have otherwise been without remedy
    because of common law immunity.” Engstrom v. State, 
    461 N.W.2d 309
    ,
    314 (Iowa 1990).
    1.   Claims against Hester under the ITCA.             Although the district
    court granted summary judgment in favor of Hester, finding that Hester
    was entitled to immunity pursuant to Iowa Code section 669.14(1), the
    discretionary function exception, we affirm because the court lacks
    subject matter jurisdiction to hear any claims against Hester under the
    ITCA.
    Hester argues the district court lacked subject matter jurisdiction
    to hear the state tort claims brought against him because Minor did not
    file a claim against him with the state appeal board as required by
    statute. 7 Iowa Code section 669.5 precludes the filing of a suit under the
    6Prior   to 1993, Iowa Code chapter 25A contained the ITCA.
    7Even if Hester had failed to raise this argument, we may examine the grounds
    for subject matter jurisdiction on our own motion regardless of whether a party raised
    the issue. See In re Jorgensen, 
    627 N.W.2d 550
    , 554–55 (Iowa 2001).
    33
    ITCA “unless the state appeal board has made final disposition of the
    claim.” Iowa Code § 669.5. 8 Section 669.13 provides, “[e]very claim and
    suit permitted under this chapter shall be forever barred, unless within
    two years after such claim accrued, the claim is made in writing to the
    state appeal board under this chapter.” Id. § 669.13. 9
    We have interpreted these provisions to mean that the state appeal
    board has exclusive jurisdiction over all tort claims against the state.
    Swanger v. State, 
    445 N.W.2d 344
    , 347 (Iowa 1989).                      Therefore, a
    plaintiff must present his or her claim under the ITCA to the state appeal
    board before filing a petition in the district court. Drahaus v. State, 
    584 N.W.2d 270
    , 272–73 (Iowa 1998); In re Estate of Voss, 
    553 N.W.2d 878
    ,
    880 (Iowa 1996). “Improper presentment of a claim, or not presenting
    one at all, has been considered a failure to exhaust one’s administrative
    remedies, depriving the district court of subject matter jurisdiction.”
    Voss, 553 N.W.2d at 880. If a court lacks jurisdiction when a suit is
    filed, then the court must dismiss the suit. Feltes, 385 N.W.2d at 549.
    Minor and D.A. did not file a claim against Hester with the state
    appeal board. At best, Minor and D.A. raised their claims against Hester
    for the first time in the district court. Thus, Minor and D.A. failed to
    exhaust the administrative remedy available to them.                Accordingly, we
    must affirm the granting of summary judgment in favor of Hester on the
    state tort claims because the court lacks jurisdiction to hear them.
    8The  legislature amended section 669.5 in 2006 to preclude the filing of a suit
    until the attorney general has the opportunity to make a final disposition of the claim.
    2006 Iowa Acts ch. 1185, § 107.
    9The legislature also amended section 669.13 in 2006 to provide that a party
    must submit his or her claim or suit in writing to the director of the department of
    management within two years. Id. § 108.
    34
    2. Whether Grabe is entitled to immunity under the intentional tort
    exception.   Minor and D.A. assert claims against Grabe for intentional
    infliction of emotional distress and tortious interference with the parent–
    child relationship, for which Minor maintains our prior decisions have
    recognized a cause of action. The district court determined Grabe was
    immune from these claims based on Iowa Code section 669.14(4), which
    provides an exception to state tort liability for claims arising out of
    certain intentional torts. We conclude the district court was correct.
    On appeal, Minor and D.A. assert for the first time that Grabe did
    not raise section 669.14(4) as a defense more than sixty days before the
    date set for trial, as required by Iowa Rule of Civil Procedure 1.981.
    Minor and D.A. also claim for the first time on appeal that, because
    Grabe first raised the argument in a reply brief filed in the district court,
    her due process rights were violated because she did not have the
    opportunity to respond to the argument. Minor and D.A., however, did
    not raise these arguments in the district court.      Therefore, we cannot
    evaluate these arguments because it is unfair for us to consider an
    argument the trial court did not have an opportunity to consider. See
    DeVoss v. State, 
    648 N.W.2d 56
    , 60 (Iowa 2002).
    Section 669.14(4), commonly referred to as the intentional tort
    exception, provides that the State’s waiver of sovereign immunity from
    tort claims does not apply to “[a]ny claim arising out of assault, battery,
    false imprisonment, false arrest, malicious prosecution, abuse of process,
    libel, slander, misrepresentation, deceit, or interference with contract
    rights.” Iowa Code § 669.14(4). We construe this exception narrowly.
    Walker v. State, 
    801 N.W.2d 548
    , 567 (Iowa 2011). Further, because the
    legislature intended the ITCA to have the same effect as the Federal Tort
    35
    Claims Act (FTCA), we give great weight to relevant federal decisions
    interpreting the FTCA. 10 Feltes, 385 N.W.2d at 547.
    We have interpreted this section as a list of “excluded claims in
    terms of the type of wrong inflicted.” Greene v. Friend of Ct., Polk Cnty.,
    
    406 N.W.2d 433
    , 436 (Iowa 1987); accord Hawkeye By-Prods., Inc. v.
    State, 
    419 N.W.2d 410
    , 411 (Iowa 1988). Therefore, where the basis of
    the plaintiff’s claim is the functional equivalent of a cause of action listed
    in section 669.14(4), the government official is immune.                   Trobaugh v.
    Sondag, 
    668 N.W.2d 577
    , 584 (Iowa 2003); JBP Acquisitions, LP v. U.S. ex
    rel. F.D.I.C., 
    224 F.3d 1260
    , 1264 (11th Cir. 2000) (“ ‘It is the substance
    of the claim and not the language used in stating it which controls’
    whether the claim is barred by an FTCA exception.” (citation omitted)).
    There must be more than “[a] mere conceivable similarity” in order to
    establish “the nexus of functional equivalency” between the claimed tort
    and the type of wrong listed under section 669.14(4).                   Trobaugh, 668
    N.W.2d at 585.         Consequently, a defendant may successfully assert
    section 669.14(4) as a defense even though the tort complained of is not
    itself listed in section 669.14(4).
    Although we held in Dickerson that state employees are not entitled
    to an exception to the waiver of sovereign immunity under section 669.14
    when the plaintiff asserts a claim for intentional infliction of emotional
    distress, we nonetheless noted the defendants did not argue the
    10The  analogous section of the Federal Tort Claims Act provides: “Any claim
    arising out of assault, battery, false imprisonment, false arrest, malicious prosecution,
    abuse of process, libel, slander, misrepresentation, deceit, or interference with contract
    rights: Provided, That, with regard to acts or omissions of investigative or law
    enforcement officers of the United States Government, the provisions of this chapter
    and section 1346(b) of this title shall apply to any claim arising, on or after the date of
    the enactment of this proviso, out of assault, battery, false imprisonment, false arrest,
    abuse of process, or malicious prosecution.” 28 U.S.C. § 2680(h) (2000).
    36
    exceptions listed in section 669.14(4) included intentional infliction of
    emotional distress.      547 N.W.2d at 213–14.        Here, Grabe argues the
    alleged conduct underlying Minor’s claims for intentional infliction of
    emotional distress and tortious interference with the parent–child
    relationship, if true, would amount to conduct listed in section 669.14(4),
    specifically misrepresentation and deceit.        Therefore, we need to
    determine whether the basis of Minor and D.A.’s claims of intentional
    infliction of emotional distress and tortious interference with the parent–
    child relationship is the functional equivalent of misrepresentation or
    deceit.
    We have examined the deceit exception before. In Saxton v. State,
    
    206 N.W.2d 85
     (Iowa 1973), we found the basis of the plaintiff’s
    complaint was functionally equivalent to deceit where the complaint
    alleged the department of agriculture intentionally concealed a veterinary
    diagnosis from the plaintiff. 206 N.W.2d at 86. In Hawkeye By-Products,
    we determined the basis of the plaintiff’s complaint was the functional
    equivalent of misrepresentation, deceit, and interference with contract
    rights because the complaint alleged the department of agriculture either
    recklessly or negligently made assurances to the plaintiff “in a manner
    calculated to produce detrimental reliance on their part.” 419 N.W.2d at
    411.
    We have also examined the misrepresentation exception.                In
    Hubbard    v.   State,   
    163 N.W.2d 904
       (Iowa    1969),   we   held   the
    misrepresentation exception barred a plaintiff’s claim that the State
    negligently diagnosed the plaintiff’s herd with a disease even though they
    were not so infected.      163 N.W.2d at 905, 912.        In Adam v. Mount
    Pleasant Bank & Trust Co., 
    340 N.W.2d 251
     (Iowa 1983), where farmers
    alleged they lost grain because the Iowa State Commerce Commission
    37
    negligently licensed an insolvent grain company, we determined the
    misrepresentation exception applies if the alleged damages were caused
    by a negligent communication of information. 340 N.W.2d at 251, 253.
    In doing so, we stated, “ ‘the essence of an action for misrepresentation,
    whether negligent or intentional, is the communication of misinformation
    on which the recipient relies.’ ” Id. (quoting Block v. Neal, 
    460 U.S. 289
    ,
    296, 
    103 S. Ct. 1089
    , 1093, 
    75 L. Ed. 2d 67
    , 74 (1983)).
    In this case, Minor and D.A. allege Grabe was the unidentified DHS
    employee who called Pena and coerced her to give information on Minor
    and D.A. in exchange for favorable treatment.          They allege Grabe
    included the information obtained through coercion in her affidavits.
    Further, Minor and D.A. claim the information in Grabe’s affidavits was
    false. All of this, Minor and D.A. allege, led to the removal order placing
    D.A. in a foster home where D.A. was allegedly abused, neglected,
    improperly supervised, subjected to unsanitary conditions, and denied
    proper medical care. Minor and D.A. contend Grabe intentionally took
    these actions in order to investigate Minor to remove D.A. from Minor’s
    care, custody, and control. In other words, the basis of their claim is
    that, to intentionally inflict emotional distress and interfere with their
    parent–child relationship, Grabe obtained false information from Pena,
    communicated the false information to the district court, and the district
    court relied on it in deciding to remove D.A. from Minor’s custody. The
    district court concluded this fell within the deceit and misrepresentation
    categories of section 669.14(4). We agree.
    In all of the cases above, the misrepresentation or deceit exception
    applied because the government provided misleading information to or
    concealed information from the plaintiff. This situation differs from the
    other cases because Minor was not the party alleged to have been
    38
    deceived or the recipient of misleading information.             However, in
    interpreting the FTCA’s misrepresentation exception, federal circuits
    have held it does not matter whether the misrepresentation giving rise to
    a plaintiff’s claim was made to the plaintiff or a third party. See, e.g.,
    JBP Acquisitions, 224 F.3d at 1266; see also Schneider v. United States,
    
    936 F.2d 956
    , 960 (7th Cir. 1991) (holding the misrepresentation
    exception    barred    plaintiffs’   claims   based   on   the   government’s
    misrepresentation to a private builder from whom the plaintiffs
    purchased their homes); Baroni v. United States, 
    662 F.2d 287
    , 288–89
    (5th Cir. 1981) (holding the misrepresentation exception barred plaintiffs’
    claims where the government made a misrepresentation to a real estate
    developer and not to the plaintiffs). This principle makes sense because
    the basis of Minor’s claims would not exist but for Grabe’s alleged
    misrepresentation to the juvenile court. Further, we find the reasoning
    underlying this principle equally applicable to the deceit exception.
    Therefore, we hold the district court correctly granted summary
    judgment in favor of Grabe because the basis of her complaint is the
    functional equivalent of misrepresentation and deceit.
    V. Disposition.
    We conclude Grabe is entitled to absolute immunity from liability
    under 42 U.S.C. § 1983 for her involvement in causing the county
    attorney to file the CINA petition and when she acted as an ordinary
    witness in filing an affidavit requesting the court grant temporary
    custody to DHS.       Grabe is not entitled to absolute immunity for her
    investigatory acts or the act of filing of the affidavit as a complaining
    witness.    Likewise, Hester is not entitled to absolute immunity under
    § 1983. However, Grabe is entitled to qualified immunity under § 1983
    for her investigatory acts and the filing of the affidavit as a complaining
    39
    witness and Hester is entitled to qualified immunity under § 1983 for his
    acts because Minor and D.A. have failed to present a genuine issue of
    material fact as to whether either violated their clearly established
    constitutional rights.    Moreover, the court lacks subject matter
    jurisdiction to hear state tort claims against Hester under the ITCA.
    Finally, the plaintiffs cannot maintain an action against Grabe under the
    ITCA because the basis of the complaint against Grabe is the functional
    equivalent of misrepresentation and deceit.    Therefore, we affirm the
    entry of summary judgment by the district court.
    AFFIRMED.