Tamara Williams v. Department of Veterans Affairs ( 2023 )


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  •                            UNITED STATES OF AMERICA
    MERIT SYSTEMS PROTECTION BOARD
    TAMARA WILLIAMS,                                DOCKET NUMBER
    Appellant,                         DC-1221-16-0475-W-2
    v.
    DEPARTMENT OF VETERANS                          DATE: September 8, 2023
    AFFAIRS,
    Agency.
    THIS ORDER IS NONPRECEDENTIAL 1
    Michelle F. Bercovici, Esquire, Washington, D.C., for the appellant.
    David R. Scruggs, Washington, D.C., for the agency.
    BEFORE
    Cathy A. Harris, Vice Chairman
    Raymond A. Limon, Member
    REMAND ORDER
    ¶1         The appellant has filed a petition for review of the initial decision, which
    dismissed her individual right of action (IRA) appeal for lack of jurisdiction . For
    the reasons discussed below, we GRANT the petition for review , VACATE the
    1
    A nonprecedential order is one that the Board has determined does not add
    significantly to the body of MSPB case law. Parties may cite nonprecedential orders,
    but such orders have no precedential value; the Board and administrative judges are not
    required to follow or distinguish them in any future decisions. In contrast, a
    precedential decision issued as an Opinion and Order has been identified by the Board
    as significantly contributing to the Board’s case law. See 
    5 C.F.R. § 1201.117
    (c).
    2
    initial decision, and REMAND the case to the Washington Regional Office for
    further adjudication in accordance with this Remand Order.
    BACKGROUND
    ¶2         The appellant was a GS-14 Contract Specialist for the agency who resigned
    effective December 31, 2015. Williams v. Department of Veterans Affairs, MSPB
    Docket No. DC-1221-16-0475-W-2, Appeal File (W-2 AF), Tab 10 at 8.                  On
    April 6, 2016, the appellant filed an IRA appeal and requested a hearing.
    Williams v. Department of Veterans Affairs, MSPB Docket No. DC-1221-16-
    0475-W-1, Initial Appeal File (IAF), Tab 1 at 2, 6-11. The administrative judge
    ordered the appellant to list the protected disclosures and personnel actions that
    she was claiming and identify the specific places in her Office of Special Counsel
    (OSC) complaint in which she raised these issues.         W-2 AF, Tabs 35-36. He
    instructed her to produce the lists in a particular format, specified the information
    that she was to include, and emphasized the need for brevity. W-2 AF, Tab 35.
    The appellant responded with a seven-page document setting forth 12 disclosures
    and 17 personnel actions. 2 W-2 AF, Tab 41 at 5-11. She included nearly 900
    pages of exhibits. W-2 AF, Tab 41 at 12-327, Tabs 42-46.
    ¶3         The case was subsequently reassigned to a different administrative judge,
    who issued an initial decision dismissing the appeal for lack of jurisdiction
    because the appellant failed to make a nonfrivolous allegation that she made a
    protected disclosure. W-2 AF, Tab 50, Tab 51, Initial Decision (ID) at 1, 10.
    The administrative judge did not address the list of personnel actions that the
    appellant submitted in response to the jurisdictional order. Instead, he addressed
    the appellant’s original OSC complaint in which she raised several alleged
    disclosures of improprieties in the agency’s handling of contracts. ID at 5-6. The
    2
    The appellant raised some of these alleged personnel actions as part of a hostile work
    environment claim, rather than as individual personnel actions in their own right.
    W-2 AF, Tab 41 at 10-11.
    3
    administrative judge analyzed these claims and concluded that the appellant failed
    to raise a nonfrivolous allegation that she made an y protected disclosures. ID
    at 6-10.
    ¶4         The appellant has filed a petition for review stating that the initial decision
    was in error and requesting that the Board hold the processing of her petition in
    abeyance pending the outcome of her equal employment opportunity complaints.
    Petition for Review (PFR) File, Tab 1at 4-7. She requests, alternatively, a 30-day
    extension to file a brief in support of her petition. 
    Id. at 6
    . The agency has filed
    a response. PFR File, Tab 3.
    ANALYSIS
    The appellant’s request to hold the processing of her claim in abeyance is denied .
    ¶5         In her petition for review, the appellant requests that the Board refrain from
    ruling on her petition until the Equal Employment Opportunity Commission
    (EEOC) has issued a final decision in a related case. PFR File, Tab 1 at 6. She
    asserts that the resolution of her claims before the EEOC may render moot or
    resolve the issues in the instant appeal.       
    Id.
       We disagree.     Although the
    appellant’s equal employment opportunity complaint may pertain to the same
    personnel actions at issue in her IRA appeal, the EEOC lacks ju risdiction over
    whistleblower claims, Ron W. v. Department of Veterans Affairs, EEOC Appeal
    No. 0120161855, 
    2016 WL 6156255
    , *3 (Oct. 11, 2016), and so the issues to be
    decided by the Board and the EEOC are necessarily distinct. Considering the
    Board’s statutory mandate to expedite the proceedings before it, 
    5 U.S.C. § 7701
    (i)(4), we find insufficient basis to grant the appellant’s request.
    Accordingly, her request is denied. The appellant’s request for an extension to
    file a supplemental briefing is also denied.          See 
    5 C.F.R. § 1201.114
    (b)
    (explaining that a petition for review must state a party’s objection to the initial
    decision, including all of the party’s factual and legal arguments).
    4
    The appellant has established jurisdiction over her appeal.
    ¶6        The Board has jurisdiction over an IRA appeal if the appellant exhausts her
    administrative remedies before OSC and makes nonfrivolous allegation s that:
    (1) she engaged in activity protected under 
    5 U.S.C. § 2302
    (b)(8) or (b)(9)(A)(i),
    (B), (C), or (D); and (2) the activity was a contributing factor in the agency ’s
    decision to take, fail to take, or threaten to take a personnel action as defined by
    
    5 U.S.C. § 2302
    (a).    Linder v. Department of Justice, 
    122 M.S.P.R. 14
    , ¶ 6
    (2014). Once an appellant has established Board jurisdiction over her appeal, she
    is entitled to a hearing on the merits in which she will have the opportunity to
    prove her claim by preponderant evidence. Iyer v. Department of the Treasury,
    
    95 M.S.P.R. 239
    , ¶ 6 (2003), aff’d, 
    104 F. App’x 159
     (Fed. Cir. 2004).
    ¶7        A nonfrivolous allegation of a protected disclosure is an allegation of facts
    that, if proven, would show that the appellant disclosed a matter that a reasonable
    person in her position would believe evidenced one of the categories of
    wrongdoing specified in 
    5 U.S.C. § 2302
    (b)(8).      Salerno v. Department of the
    Interior, 
    123 M.S.P.R. 230
    , ¶ 6 (2016).        To satisfy the contributing factor
    criterion at the jurisdictional stage, an appellant only need raise a nonfrivolous
    allegation that the fact of, or content of, the protected disclosure or activity was
    one factor that tended to affect the personnel action in any way. 
    Id., ¶ 13
    . Under
    the knowledge/timing test, an appellant may nonfrivolously allege that the
    disclosure or activity was a contributing factor in a personnel action through
    circumstantial evidence, such as evidence that the official who took the personnel
    action knew of the disclosure or activity and that the personnel action occurred
    within a period of time such that a reasonable person could conclude that the
    disclosure or activity was a contributing factor in the personnel action.       See
    
    5 U.S.C. § 1221
    (e)(1); Salerno, 
    123 M.S.P.R. 230
    , ¶ 13.         In addition to the
    knowledge/timing test, there are other possible ways for an appellant to satisfy
    the contributing factor criterion.    See Dorney v. Department of the Army,
    
    117 M.S.P.R. 480
    , ¶¶ 14-15 (2012) (explaining that other evidence relevant to the
    5
    contributing factor criterion includes the strength or weakness of the agency’s
    reasons for taking the personnel action, whether the whistle blowing was
    personally directed at the proposing or deciding officials, and whether those
    officials had a desire or motive to retaliate).
    ¶8         On review, the appellant asserts, without explanation, that the initial
    decision is based on an erroneous interpretation of the law and contains erroneous
    findings of material fact. PFR File, Tab 1 at 4-6. The appellant’s bare assertion
    fails to meet the Board’s requirements for the content of a petition for review.
    See 
    5 C.F.R. § 1201.114
    (b).      It constitutes mere disagreement with the initial
    decision and therefore provides no basis for us to disturb it.      See Weaver v.
    Department of the Navy, 
    2 M.S.P.R. 129
    , 133-34 (1980), review denied per
    curiam, 
    669 F.2d 613
     (9th Cir. 1982).              Nevertheless, under     
    5 C.F.R. § 1201.115
    (e), notwithstanding the sufficiency of a petition for review, the Board
    reserves the authority to consider any issue in an appeal before it. Based on our
    review of the record in this case, we find that the appellant has, in fact,
    established jurisdiction over her appeal and that a remand is warranted.        See
    Stoglin v. Department of the Air Force, 
    123 M.S.P.R. 163
    , ¶ 7 (2015) (finding
    that the issue of jurisdiction is always before the Board and may be raised at any
    time), aff’d, 
    640 F. App’x 864
     (Fed. Cir. 2016).
    ¶9         In his initial decision, the administrative judge remarked on the appellant’s
    voluminous jurisdictional filings and stated that the Board is not obliged to pore
    through them to make sense of her claims, and that one whose submissions lack
    clarity runs the risk of being found not to have met her burden. ID at 5 & n.2.
    Although we agree with the administrative judge’s remarks in principle, he
    appears to have overlooked the listing of disclosures and personnel actions that
    the appellant filed in response to the jurisdictional order.     W-2 AF, Tab 41
    at 5-11. We find that the appellant prepared these lists in accordance with the
    administrative judge’s instructions and that they clearly set forth all the elements
    6
    of her claims as necessary for us to make a jurisdictional determination. 3
    W-2 AF, Tabs 35-36, Tab 41 at 5-11.
    Disclosure 1
    ¶10         The appellant alleges that she made a protected disclosure several times
    between March 22 and May 9, 2013, concerning work on expired construction
    contracts. W-2 AF, Tab 41 at 5, Tab 44 at 6-7. Specifically, she claims she
    disclosed that the agency “improperly ordered to open 20 expired contracts, make
    modifications to the original scope of work, and extend the period of performance
    dates.” W-2 AF, Tab 41 at 5. According to the appellant, the agency’s actions
    violated, among other things, the “bona fide needs rule” of 
    31 U.S.C. § 1502
    ,
    which provides that “[t]he balance of an appropriation or fund limited for
    obligation to a definite period is available only for payment of expenses properly
    incurred during the period of availability . . . .” 
    Id.
     at 5 & n.2. In other words,
    “[f]iscal year appropriations may properly be obligated only for bona fide needs
    actually existing within the fiscal year sought to be charged.” 
    33 Comp. Gen. 90
    (Aug. 20, 1953). The appellant explains that, if the agency uses expired funds to
    pay for additional work not required in the original contracts, it may violate the
    3
    Although our review of this case is at the jurisdictional stage, we note that certain of
    the appellant’s disclosures appear to reflect her belief that, if she had followed some of
    the agency’s instructions, she would have had to violate a law, rule, or regulation. At
    the time that the appellant filed this appeal, 
    5 U.S.C. § 2302
    (b)(9)(D) made it a
    prohibited personnel practice to take an action against an employee for “refusing to
    obey an order that would require the individual to violate a law.” The U.S. Court of
    Appeals for the Federal Circuit considered this provision and held that “law” only
    included statutes, and not rules and regulations. See Rainey v. Merit Systems Protection
    Board, 
    824 F.3d 1359
    , 1364-65 (Fed. Cir. 2016). However, on June 14, 2017, the
    President signed the Follow the Rules Act into law. Pub. L. No. 115 -40, 
    131 Stat. 861
    (2017). The Act amends section 2302(b)(9)(D) to provide whistleblower protection for
    individuals who refuse to obey an order that would require the violation of a law, rule ,
    or regulation. Nevertheless, the Board has determined that this expansion does not
    apply retroactively to cases pending at the time the Act was enacted, and so it does not
    change the analysis in this case. Fisher v. Department of the Interior, 
    2023 MSPB 11
    ,
    ¶¶ 12-19.
    7
    bona fide needs rule. W-2 AF, Tab 41 at 5 n.2. We find that the appellant has
    made a nonfrivolous allegation that she reasonably believed that she disclosed a
    violation of law. 4
    Disclosure 2
    ¶11         The appellant alleges that on June 25 and 26, 2013, she disclosed that an
    agency official signed and issued a notice to proceed for contactors to perform
    additional work even though this official lacked delegated contracting authority.
    W-2 AF, Tab 41 at 5. She claims that the official’s actions violated 
    48 C.F.R. § 1.602-3
    (a), defining “unauthorized commitment” as an agreement that i s not
    binding solely because the Government representative who made it lacked the
    authority to do so. 
    Id.
     However, we find that this subsection is definitional in
    nature and is therefore not capable of being violated. Furthermore, as set forth in
    the following subsection, there is no prohibition against creating unauthorized
    commitments. 
    48 C.F.R. § 1.602-3
    (b). Therefore, the appellant has not made a
    nonfrivolous allegation that she reasonably believed the agency committed any
    wrongdoing with respect to an unauthorized commitment.                   Nevertheless,
    construing the appellant’s allegation generously, it appears that she may be
    alleging a violation of 
    48 C.F.R. § 836.213-70
    (a), 5 which provides that a notice to
    proceed must be provided by the “contracting officer” for construction
    contractors to begin work. A contracting officer is a person with the authority to
    enter into, administer, or terminate contracts and to make related determinations
    and findings.    
    48 C.F.R. § 2.101
    .     The appellant asserts that the official who
    4
    The appellant also alleges that the agency’s actions violated other unspecified
    “principles,” including unspecified Federal Acquisition Regulations (codified in
    relevant part at 48 C.F.R. chapters 1, 8). W-2 AF, Tab 41 at 5. This vague, conclusory
    allegation, even read in conjunction with the supporting materials that the appellant
    cites, does not rise to the level of a nonfrivolous allegation. See El v. Department of
    Commerce, 
    123 M.S.P.R. 76
    , ¶ 6 (2015), aff’d, 
    663 F. App’x 921
     (Fed. Cir. 2016).
    5
    See 
    73 Fed. Reg. 2712
    -01, 2760 (Jan. 15, 2008). This regulation is no longer in effect.
    See 
    84 Fed. Reg. 9968
    -01, 9972 (Mar. 19, 2019).
    8
    issued the notice to proceed was not a contracting officer and lacked delegated
    authority to act as one.          W-2 AF, Tab 41 at 5.      We therefore find that the
    appellant made a nonfrivolous allegation that she disclosed what she reasonably
    believed to be a violation of 
    48 C.F.R. § 836.213-70
    (a). See Kalil v. Department
    of Agriculture, 
    96 M.S.P.R. 77
    , ¶ 16 (2004) (finding that it is not always
    necessary to identify a specific law, rule, or regulation to make a nonfrivolous
    allegation of a protected disclosure concerning a violation of the same).
    Disclosure 3
    ¶12           The appellant alleges that on July 31 and August 1, 2013, she filed a hotline
    complaint with the agency’s Office of Inspector General, alleging various acts of
    agency malfeasance.        W-2 AF, Tab 41 at 6. Under 
    5 U.S.C. § 2302
    (b)(9)(C),
    disclosing information to an Inspector General, in accordance with applicable
    provisions of law, constitutes protected activity without regard to the contents of
    the disclosure.       We therefore find that the appellant made a nonfrivolous
    allegation that she engaged in protected activity under 
    5 U.S.C. § 2302
    (b)(9)(C).
    Disclosure 4
    ¶13           The appellant alleges that, on August 6 and 23, 2013, she disclosed that two
    officials were serving in GS-13 contractor positions, and were acting as managers
    or     supervisors,     without    the   required   credentials   (Federal   Acquisition
    Certifications in Contracting).          W-2 AF, Tab 41 at 6.         According to the
    appellant’s complaint to OSC, this violates 
    41 U.S.C. § 433
    , 6 which authorizes
    the Office of Federal Procurement Policy (OFPP) to establish requirements for
    jobs in the 1102 occupational series. 
    Id. at 6, 18
    . We find that the law that the
    appellant cites merely authorizes the OFPP to establish qualifications for t he
    1102 job series, and could therefore not have been violated as she alleges.
    Furthermore, we have reviewed OFPP’s related materials, but we were not able to
    6
    Section 433 of Title 41 of the United States Code is now at 
    41 U.S.C. § 1703
    .
    9
    locate a requirement that these GS-13 positions require the certifications in
    question. Office of Management and Budget, OFPP Letter 05-01, ¶ 8(b)(1)-(2)
    (Apr. 15, 2005), https://obamawhitehouse.archives.gov/omb/procurement_policy_
    letter_05-01 (last visited Sept. 7, 2023). We therefore find that the appellant has
    failed to make a nonfrivolous allegation that she reasonably believed that this
    disclosure evidenced a violation of law or any other categ ory of Government
    wrongdoing under 
    5 U.S.C. § 2302
    (b)(8)(A).
    Disclosure 5
    ¶14        The appellant alleges that on September 24 and October 3, 2013, she
    disclosed that the agency was ordering her to sign a contract for a procurement
    that had not been conducted in accordance with the Federal Acquisition
    Regulations and in accordance with a recent audit from the Office of Inspector
    General.   W-2 AF, Tab 41 at 6. She alleges that this disclosure evidenced a
    violation of 
    48 C.F.R. §§ 1.602-1
    (b), 803.104-7(a), 803.602, 7 and Department of
    Veterans Affairs, Veterans Health Administration (VHA) Handbook 1002.02,
    Minor Construction Program. 8      W-2 AF, Tab 41 at 6-7.        According to the
    appellant, the agency attempted to coerce her into signing a contract that was
    missing eight required pieces of information. W-2 AF, Tab 45 at 26. The record
    does not appear to contain adequate information for us to determine whether the
    contract in question actually required these eight pieces of information, or if they
    were in fact missing, as the appellant alleges.     However, the appellant is not
    required to prove her claim at the jurisdictional stag e—only to make a
    7
    Sections 803.104-7(a), 803.602 of Title 48 of the Code of Federal Regulations, see
    
    73 Fed. Reg. 2712
    -01, 2731 (Jan 15, 2008), are no longer in effect, see 
    83 Fed. Reg. 16206
    -01, 16208 (Apr. 16, 2018).
    8
    The VHA has since rescinded the November 8, 2012 version of the Handbook in effect
    at the time of the appellant’s alleged disclosures. VHA Directive 1002.02, VHA Minor
    Construction Program at 1 (Aug. 23, 2022), https://www.va.gov/vhapublications/ViewP
    ublication.asp?pub_ID=9917 (last visited Sept. 7, 2023).
    10
    nonfrivolous allegation thereof. Smart v. Department of the Army, 
    98 M.S.P.R. 566
    , ¶ 9, aff’d, 
    157 F. App’x 260
     (Fed. Cir. 2005); 
    5 C.F.R. § 1201.57
    . We find
    that if the facts that the appellant alleges are true, she could reasonably have
    concluded that the agency was ordering her to violate at least 
    48 C.F.R. §§ 1.602-1
    (b), which provides that no contract shall be entered into unless the
    contracting officer ensures that all legal requirements and other applicable
    procedures have been met. See Reid v. Merit Systems Protection Board, 
    508 F.3d 674
    , 677 (Fed. Cir. 2007) (finding that protected disclosures may relate to
    imminent violations of law not yet carried out).
    Disclosure 6
    ¶15        The appellant alleges that between October 8 and 11, 2013, she disclosed
    that she was issued a performance appraisal for a period of less than 90 days.
    W-2 AF, Tab 41 at 7. She claims that the agency’s actions violated 
    5 U.S.C. § 2302
    (b)(12), the applicable collective bargaining agreement, and provisions of
    VA Directive 5013. 
    Id.
     It is not clear to us how the appellant’s allegations, even
    if true, could evidence a violation of 
    5 U.S.C. § 2302
    (b)(12), which prohibits
    personnel actions that violate laws concerning the merit syst em principles of
    
    5 U.S.C. § 2301
    (b). However, we find that the appellant might have reasonably
    believed that the agency’s actions were in violation of VA Directive 5013/8, Pt. I,
    § 7(a), https://www.va.gov/vapubs/viewPublication.asp?Pub_ID=211 (last visited
    Sept. 7, 2023), which provides that “[t]he minimum appraisal period is
    90 calendar days under a performance plan.” The record seems to show that the
    agency issued the appellant two interim performance appraisals for periods of less
    than 90 days. W-2 AF, Tab 41 at 294, 297. Although the Directive appears to
    apply the 90-day minimum appraisal period only to final appraisals, we find that
    the appellant, who is presumably not well versed in Federal personnel law, could
    nevertheless have reasonably understood the requirement to apply to interim
    11
    appraisals as well. 9 See Mithen v. Department of Veterans Affairs, 
    122 M.S.P.R. 489
    , ¶ 24 (2015) (finding that a disclosure that does not identify any actual
    wrongdoing under 
    5 U.S.C. § 2302
    (b)(8) is nevertheless protected if the appellant
    reasonably believed that it did), aff’d, 
    652 F. App’x 971
     (Fed. Cir. 2016). We
    therefore find that the appellant has made a nonfrivolous allegation of a protected
    disclosure based on her belief that the agency had violated VA Directive 5013/8,
    Pt. I, § 7(a).
    Disclosure 7
    ¶16         The appellant alleges that on October 31 and November 1, 2013, she
    disclosed various acts of agency malfeasance to the Office of Inspector General.
    W-2 AF, Tab 41 at 7. We find that the appellant’s disclosure of information to an
    Inspector    General   would    constitute   protected   activity   under    
    5 U.S.C. § 2302
    (b)(9)(C). 10 We therefore find that she has made a nonfrivolous allegation
    that these communications with the Inspector General constituted protected
    activity.
    Disclosure 8
    ¶17         The appellant alleges that on January 16, 2014, she disclosed to agency
    officials that an agency employee had been acting outside the scope of her
    authority and misrepresenting herself as a contract ing officer before the U.S.
    Civilian Board of Contract Appeals. W-2 AF, Tab 41 at 8. She alleges that, in
    this same disclosure, she reported that her reviewing official had downgraded her
    9
    Our finding is supported by the absence of any clear indication on the performance
    appraisal documents that they constituted interim ratings. W-2 AF, Tab 41 at 292-98.
    Furthermore, when the appellant raised her concerns to her superior, the Director of
    Contracting, it appears that he was unable to provide her an answer without assistance
    from Human Resources. W-2 AF, Tab 46 at 490-91.
    10
    The language of 
    5 U.S.C. § 2302
    (b)(9)(C) was expanded by the National Defense
    Authorization Act of 2018, 
    Pub. L. No. 115-91, 131
     Stat. 1238 (2017). This expansion,
    however, does not affect the analysis here.
    12
    performance evaluation based on the improper “unacceptable” rating given by her
    rating official. 
    Id.
     The appellant explained in her OSC complaint that the rating
    official’s mid-year rating had been retracted, but the reviewing official relied
    upon it despite that fact. 
    Id. at 18
    .
    ¶18         Regarding the first of these allegations, we find that, if an agency official
    had misrepresented her position to the U.S. Civilian Board of Contract Appeals,
    the appellant could reasonably conclude that some law, rule, or regulation had
    been violated. Kalil, 
    96 M.S.P.R. 77
    , ¶ 16. We therefore find that she has made
    a nonfrivolous allegation of the same.
    ¶19         As to the second allegation, it appears that the gravamen of this claim is
    that the appellant believed that her performance rating was the product of
    whistleblower retaliation. W-2 AF, Tab 46 at 21. In other words, she is alleging
    that she disclosed a violation of 
    5 U.S.C. § 2302
    (b)(8). Whether the appellant
    can prove that she had a reasonable belief of this may depend largely on whether
    she can prove by preponderant evidence that she reasonably believed that any of
    the activities or disclosures discussed above were protected. In any event, we
    find that she has alleged sufficient facts at this stage to support a nonfrivolous
    allegation.
    Disclosure 9
    ¶20         The appellant alleges that between May 21 and 28, 2014, she disclosed that
    the Director of Contracting assigned her to take over the responsibilities of two
    positions—supervisor of the Washington, D.C. Commodities Team and supervisor
    of the Martinsburg, West Virginia Commodities Team. W-2 AF, Tab 41 at 8.
    She claims that this action was improper because the Director failed to provide
    her with “adequate resources or compensation” and failed to document the action
    officially via a Standard Form 50 or 52. 
    Id.
     She also asserts that the Director’s
    actions were contrary to Office of Personnel Management (OPM) requirements
    and were in retaliation for protected whistleblowing. 
    Id.
     The appellant has not
    cited to any law, rule, regulation, or practice that would prohibit the agency from
    13
    assigning her additional employees to supervise without additional compensat ion.
    Nor has she explained what OPM “requirements” were violated or why she
    believes that the agency’s action required additional documentation.            The
    appellant has given us no reason to doubt that assigning her this additional work
    was, in itself, within the agency’s sound discretion and lawful authority.
    Nevertheless, to the extent that the appellant reasonably believed that the
    assignment of additional duties was retaliatory under 
    5 U.S.C. § 2302
    (b)(8), and
    she actually disclosed this belief, her disclosure may have been protected. We
    therefore find that she has raised a nonfrivolous allegation in connection with this
    disclosure.
    Disclosure 10
    ¶21         The appellant alleges that on June 16, 2014, she disclosed that the Director
    would be violating the agency’s whistleblower protection policy by issuing a
    letter of counseling to a Junior Contract Specialist because she believed the letter
    to be retaliatory or otherwise improper. W-2 AF, Tab 41 at 8. The Director had
    ordered the appellant to prepare the letter based on that Contract Specialist’s
    alleged failure to follow instructions.    W-2 AF, Tab 46 at 56.     The appellant
    prepared the letter and returned it to the Director for his signature , but the
    Director replied that the appellant would be the one signing the letter. 
    Id. at 53-55
    . The appellant refused to sign the letter, stating that she had no direct
    involvement in the matter, she was unsure that the Contract Specialist actually
    had committed any wrongdoing, and issuing the letter would violate the
    Whistleblower Protection Act. 
    Id. at 53
    .
    ¶22         Having reviewed the information that the appellant had at the time the
    Director ordered her to execute the letter of counseling, we find that she has
    failed to make a nonfrivolous allegation that she reasonably believed that the
    agency was committing any type of wrongdoing covered under 
    5 U.S.C. § 2302
    (b)(8)(A). Specifically, the Contract Specialist in que stion approached a
    contractor at the Washington, D.C. VA Medical Center and questioned the
    14
    contractor’s presence in the facility, demanding to see the contract that authorized
    him to be there. 
    Id. at 62-63
    . Word of this encounter reached the Director, wh o
    emailed the Contract Specialist and told him that they needed to speak about it.
    The Contract Specialist replied, with copies to several Senior Executive Service
    (SES) officials and others, explaining his side of the story. 
    Id. at 61-62
    . The
    Director responded, assuring the Contract Specialist that there was a contract
    authorizing the contractor to perform his duties at the Medical Center. 
    Id. at 60
    .
    He instructed the Contract Specialist to utilize his chain of command and asserted
    that there was no need to include the SES officials in his previous email. 
    Id.
     The
    Director stated that the Contract Specialist had been repeatedly warned about this
    issue and that any future infractions would be met with an official counseling. 
    Id.
    The Contract Specialist nevertheless replied to the Director, with copies to the
    SES officials, complaining about the way the Director was handling the matter
    and attempting to justify his own actions. 
    Id. at 59
    . It was then that the Director
    ordered the appellant to issue the letter of counseling.     
    Id. at 58-59
    .   Having
    reviewed all this evidence, we find nothing in the Contract Specialist’s last
    email—the one for which he was to be counseled—that could reasonably be
    construed as a protected disclosure. 
    Id. at 59
    . Furthermore, it is clear that the
    Contract Specialist ignored the Director’s stern warning and blatantly violated his
    explicit order not an hour after he had received it. 
    Id. at 59-60
    . We therefore
    find no reasonable basis to conclude that issuing the Contract Specialist a letter of
    counseling would be, in any way, improper. The appellant has failed to make a
    nonfrivolous allegation that Disclosure 10 was protected.
    Disclosure 11
    ¶23         The appellant alleges that on several dates between June and October, 2014,
    she disclosed to agency officials and entities that she was being retaliated against
    for whistleblowing activities. W-2 AF, Tab 41 at 9. She claims that she reported
    retaliation in the form of a reprimand, a proposed suspension, designation of
    certain absences as absence without leave (AWOL), and various other actions.
    15
    
    Id.
     Again, the appellant’s ability to prove by preponderant evidence that this
    disclosure was protected may depend on her ability to prove that the disclosures
    and activities above were protected. However, at the jurisdictional stage, we find
    that she has met her burden of making a nonfrivolous allegation that she
    reasonably believed she was disclosing retaliation for her prior whistleblowing .
    Disclosure 12
    ¶24         The appellant alleges that at some point in 2013 or 2014, agency
    management received a report of an external audit that uncovered serious
    problems with contracts in the Washington, D.C.-area, including a list of 16
    expired purchase orders totaling $38,000,000.      W-2 AF, Tab 41 at 9, Tab 46
    at 65. She states that her superiors knew that she was interviewed in connection
    with this audit and perceived her to be a source of information to the auditor.
    W-2 AF, Tab 41 at 9. Given the nature of what the appellant alleged that the
    audit uncovered, we find that she has made a nonfrivolous allegation that she was
    perceived as a whistleblower. See generally King v. Department of the Army,
    
    116 M.S.P.R. 689
    , ¶ 8 (2011) (explaining the standard for establishing
    jurisdiction as a perceived whistleblower).
    Personnel Actions and Contributing Factor
    ¶25         The appellant alleges that the agency took multiple personnel actions
    against her in retaliation for her alleged protected activity.    W-2 AF, Tab 41
    at 10-11. Considering the appellant’s allegations as a whole, we find that she
    made a nonfrivolous allegation that the agency subjected her to nine personnel
    actions, and, as discussed below, that one or more of her disclosures and/or her
    protected activity was a contributing factor in those actions.
    ¶26         The appellant alleges that on July 11, 2013, the Director failed to select her
    for a Supervisory Contract Specialist position in retaliation for Disclosures 1
    and 2. 
    Id. at 10
    . Because the appellant alleges that she made Disclosures 1 and 2
    within a few months of her nonselection for promotion, and that the Director
    16
    knew about these disclosures, we find that she has made a nonfrivolous allegation
    under the knowledge/timing test of 
    5 U.S.C. § 1221
    (e)(1) that they were a
    contributing factor in her nonselection, which is a personnel action under
    
    5 U.S.C. § 2302
    (a)(2)(A)(ii).       W-2 AF, Tab 41 at 5-6; see Mastrullo v.
    Department of Labor, 
    123 M.S.P.R. 110
    , ¶ 21 (2015) (finding that a period of 1 to
    2 years between a disclosure and a personnel action is sufficient t o satisfy the
    timing component of the knowledge/timing test). 11
    ¶27         The appellant alleges that on August 7, 2013, the Construction Team
    Manager issued her a mid-point performance evaluation with a rating of
    “unacceptable” in retaliation for Disclosures/protected activity 1, 2, and 3.
    W-2 AF, Tab 41 at 5-6, 10. However, we find that this mid-point review does
    not, in itself, constitute a “personnel action” under 
    5 U.S.C. § 2302
    (a)(1)(A).
    W-2 AF, Tab 42 at 87-89; see King v. Department of Health and Human Services,
    
    133 F.3d 1450
    , 1452-53 (Fed. Cir. 1998).          Therefore, we will not consider it
    further except in connection with the appellant’s hostile work environment claim.
    See infra ¶ 35.
    ¶28         The appellant alleges that on October 16, 2013, the Deputy Director
    charged her retroactively with 91 hours of AWOL, pursuant to the Director’s
    orders, in retaliation for Disclosures/protected activity 1-3 and 5. 12         W-2 AF,
    Tab 3 at 51-52, Tab 5 at 4, Tab 41 at 5-7, 10. The appellant asserts that the
    Director and Deputy Director were aware of these disclosures, including
    11
    All of the personnel actions the appellant alleges were taken, threatened, or not taken
    in retaliation for her disclosures/protected activity occurred less than 2 years after the
    disclosures. Accordingly, we need not discuss the “timing” aspect of the
    knowledge/timing test with regard to each of the actions.
    12
    The appellant also alleges that Disclosure 4 was a contributing factor in her AWOL.
    W-2 AF, Tab 41 at 10. However, because the appellant has failed to make a
    nonfrivolous allegation that Disclosure 4 was protected, we need not consider whether
    it may have been a contributing factor in this or any other alleged personnel action.
    The Director ended up sustaining most, but not all, of the AWOL. IAF, I -2, Tab 5
    at 22.
    17
    Disclosure 3, which was made to the Inspector General. W-2 AF, Tab 41 at 5-7,
    10. The Board has found that a charge of AWOL is a decision concerning pay
    and therefore constitutes a personnel action under 
    5 U.S.C. § 2302
    (a)(2)(A)(ix).
    Mc Corcle v. Department of Agriculture, 
    98 M.S.P.R. 363
    , ¶ 16 (2005). We find
    that the appellant has made a nonfrivolous allegation, under the knowledge/timing
    test, that Disclosures/protected activity 1-3 and 5 were a contributing factor in
    this personnel action.
    ¶29         The appellant alleges that on October 16, 2013, the Deputy Director issued
    her a proposed letter of reprimand for AWOL in retaliation for Disclosures 1-3
    and 5, and the Director upheld the reprimand on February 3, 2014, 13 in retaliation
    for Disclosures/protected activity 1-8. W-2 AF, Tab 41 at 10-11. We find that
    the reprimand constituted a personnel action under 
    5 U.S.C. § 2302
    (a)(2)(A)(iii)
    because the agency made it a part of the appellant’s official personnel file and
    informed her that it could be considered in any future disciplinary actions and
    that she had the right to grieve it.     
    Id. at 22-23
    ; see Rice v. Department of
    Agriculture, 
    97 M.S.P.R. 501
    , ¶ 15 (2004). The proposed reprimand was a threat
    to take a personnel action, and it is therefore also a personnel action covered
    under the statute. Finally, we also find that the appellant made a nonfrivolous
    allegation, under the knowledge/timing test, that Disclosures /protected activity
    1-3 and 5 were a contributing factor in the proposed reprimand, and, since the
    appellant alleges that the Director was aware of Disclosures/protected activity 1-3
    and 5-8, that these were a contributing factor in his decision to uphold and effect
    the reprimand. W-2 AF, Tab 41 at 5-7, 10.
    ¶30         The appellant alleges that on October 16, 2013, the Deputy Director
    revoked her telework privileges on orders from the Director, and that this was in
    retaliation for Disclosures/protected activity 1-3 and 5.     W-2 AF, Tab 5 at 7,
    13
    The Director appears to have actually issued the letter of reprimand on January 29,
    2014. W-2 AF, Tab 5 at 22-23.
    18
    Tab 41 at 10. The appellant also alleges that on March 24, 2014, the Director
    denied    her   request    to   reinstate      her   telework     in   retaliation   for
    Disclosures/protected activity 1-8. W-2 AF, Tab 41 at 11. The Board has found
    that cancellation of a telework agreement can be a personnel action under
    
    5 U.S.C. § 2302
    (a)(2)(A)(xii) to the extent that it constitutes a significant change
    in working conditions. Rumsey v. Department of Justice, 
    120 M.S.P.R. 259
    , ¶ 23
    (2013). We further find that the Director’s denial of the appellant’s request to
    reinstate her telework privileges was also a personnel action, in that it was a
    failure to approve a significant change in duties. 
    5 U.S.C. §§ 2302
    (b)(8), (b)(9)
    (prohibiting a failure to take a personnel action in retaliation for a protected
    disclosure or protected activity).    The appellant has alleged that the Deputy
    Director and Director were aware of the disclosures/protected activity at issue
    with respect to these actions, and we therefore find that the appellant has made a
    nonfrivolous allegation that Disclosures/protected activity 1-3 and 5 were a
    contributing factor in the revocation of the appellant’s approval to telework and
    that Disclosures/protected activity 1-3 and 5-8 were a contributing factor in the
    denial of the request to reinstate telework.
    ¶31         The appellant alleges that on December 5, 2013, the Construction Team
    Manager (her rating official) issued her a final rating for fiscal year 2013 of
    “fully successful” with numerous negative comments.             W-2 AF, Tab 41 at 10,
    292-97. She further alleges that on January 16, 2014, the Director (h er reviewing
    official) refused to revise the performance evaluation.         W-2 AF, Tab 41 at 10,
    Tab 46 at 14-26. The appellant claims that these actions were in retaliation for
    Disclosures/protected activity 1-3 and 5-7. W-2 AF, Tab 41 at 10. The issuance
    of a final performance evaluation is a personnel action under 
    5 U.S.C. § 2302
    (a)(2)(A)(viii).    The appellant has alleged that either the Construction
    Team Manager or the Director, or both, were aware of the disclosures in question,
    
    id. at 5-8, 10
    , and we therefore find that she has made a nonfrivolous allegation,
    19
    under the knowledge/timing test, that they were a contributing factor in her final
    performance evaluation.
    ¶32           The appellant contends that on June 1, 2014, the Director ordered her to
    take     on   the     duties   of   two     full-time   positions   in   retaliation   for
    Disclosures/protected activity 1-3 and 5-8. 
    Id. at 11
    . Specifically, it appears that
    the appellant was previously responsible for supervising one team of six
    contracting officials for the agency’s Washington, D.C. VA Medical Center, and
    on June 1, 2014, she became responsible for the Martinsburg, West Virginia VA
    Medical Center as well, with an additional five contracting officials added to her
    team.     
    Id. at 76-77, 87
    .     On its face, this appears to represent a significant
    increase in the appellant’s workload, and we therefore find that she has made a
    nonfrivolous allegation that the agency significantly changed her duties and
    responsibilities—a personnel action under 
    5 U.S.C. § 2302
    (a)(2)(A)(xii).               As
    noted above, the appellant has alleged that the Director was aware of
    Disclosures/protected activity 1-3 and 5-8, and thus, we find that the appellant
    has made a nonfrivolous allegation, under the knowledge/timing test, that these
    disclosures/protected activity were a contributing factor in this alleged personnel
    action. 
    Id. at 5-9
    .
    ¶33           The appellant alleges that, on June 24, 2014, the Deputy Director denied her
    request for sick leave and charged her with 1 hour of AWOL in retaliation for
    Disclosures/protected activity 1-3 and 5-9. 
    Id. at 11, 54-55
    . However, it appears
    that the Deputy Director approved the request retroactively on July 28, 2014. 
    Id. at 51
    . Because the agency completely rescinded this personnel action before the
    appellant filed her OSC complaint, we find that we lack jurisdiction to consider it
    as a separate personnel action.           W-2 AF, Tab 3 at 14, Tab 41 at 12.           Cf.
    Lachenmyer v. Federal Election Commission, 
    92 M.S.P.R. 80
    , ¶ 7 (2002).
    Nevertheless, we find that this matter is still relevant for consideration in the
    context of the appellant’s claim of a hostile work environment, discussed below.
    20
    ¶34         The appellant alleges that on September 24, 2014, the Director and Deputy
    Director      proposed   to   suspend    her   for    10   days    in   retaliation   for
    Disclosures/protected activity 1-3, 5-9, and 11. 14 W-2 AF, Tab 41 at 11, 32-43.
    A proposed 10-day suspension is a threatened personnel action under 
    5 U.S.C. § 2302
    (a)(2)(A)(iii), and, since the appellant has alleged that the Director or
    Deputy Director, or both, were aware of the disclosures/protected activity she
    raised with respect to this claim we find that the appellant made a nonfrivolous
    allegation, under the knowledge/timing test, that Disclosures /protected activity
    1-3, 5-9, and 11 were a contributing factor in the proposed suspension. 
    Id. at 5-9
    .
    ¶35         The appellant alleges that on December 16, 2014, the Director included a
    negative memorandum and progress report in her fiscal year 2014 performance
    evaluation in retaliation for Disclosures/protected activity 1-3, 5-9, and 11-12. 15
    
    Id. at 11, 264-76
    .       This performance evaluation is a personnel action under
    
    5 U.S.C. § 2302
    (a)(2)(A)(viii), and as the appellant has alleged that the Director
    was aware of the disclosures/protected activity, the appellant has made a
    nonfrivolous allegation of contributing factor under the knowledge/timing test.
    
    Id. at 5-9
    .
    ¶36         Finally, the appellant alleges that the agency created a hostile work
    environment in retaliation for her protected activity. W-2 AF, Tab 41 at 10-11.
    The Board has found that the creation of a hostile work environment may
    constitute a personnel action under 
    5 U.S.C. § 2302
    (a)(2)(A)(xii) to the extent
    that it represents a significant change in duties, responsibilities, or working
    14
    The appellant also alleges that Disclosure 10 was a contributing factor in the
    proposed suspension. W-2 AF, Tab 41 at 11. However, because the appellant has
    failed to make a nonfrivolous allegation that Disclosure 10 was protected, we need not
    consider whether it may have been a contributing factor in this or any other alleged
    personnel action.
    15
    To the extent that the appellant is claiming the progress report as a separate personnel
    action, we find that it is not. W-2 AF, Tab 41 at 11; see King, 
    133 F.3d at 1452-53
    .
    21
    conditions. Savage v. Department of the Army, 
    122 M.S.P.R. 612
    , ¶ 23 (2015),
    overruled in part by Pridgen v. Office of Management and Budget, 
    2022 MSPB 31
    , ¶¶ 23-25. To meet this standard, an agency’s actions must, “individually or
    collectively, have practical and significant effects on the overall nature and
    quality of an employee’s working conditions, duties, or responsibilities .”
    Skarada v. Department of Veterans Affairs, 
    2022 MSPB 17
    , ¶ 16. In determining
    whether a hostile work environment is present, the Board will consider the
    totality of the circumstances, including agency actions that may not individually
    rise to the level of a personnel action. Id., ¶ 18.
    ¶37         In this case, the appellant claims that a hostile work environment was
    created through the cumulative effect of numerous agency actions, including most
    of the personnel actions discussed above, as well as various other actions ,
    including verbal berating, an investigation into her computer usage, a change in
    office space, exclusion from meetings, and exclusion from the agency’s student
    loan repayment and tuition reimbursement programs. W-2 AF, Tab 41 at 10-11.
    We find that the appellant has made a nonfrivolous allegation that these
    circumstances comprised a hostile work environment for purposes of a pers onnel
    action under 
    5 U.S.C. § 2302
    (a)(2)(A)(xii). Moreover, because she alleges that
    the individuals in her chain of command were aware of her disclosures/protected
    activity and took, threatened, or failed to take the actions that created the hostile
    work environment, we find that she also has made a nonfrivolous allegation of
    contributing factor under the knowledge/timing test. 
    Id. at 5-9
    .
    Exhaustion
    ¶38         The appellant filed her OSC complaint on July 16, 2014, and supplemented
    it with amendments and additional information several times over the ensuing
    18 months. W-2 AF, Tab 3 at 39-121, Tab 41 at 12-327, Tabs 42-46. We find
    that she raised before OSC all of the disclosures/protected activity and personnel
    actions that she now raises in this IRA appeal, and she provided OSC with a
    sufficient basis to pursue an investigation.     W-2 AF, Tab 3 at 39-121, Tab 41
    22
    at 12-327, Tabs 42-46; see Chambers v. Department of Homeland Security,
    
    2022 MSPB 8
    , ¶ 10. The record also contains a copy of OSC’s February 1, 2016
    close-out letter, informing the appellant that it was closing its investigation into
    her complaint and notifying her of her right to file an IRA appeal with the Board.
    W-2 AF, Tab 10 at 5-6.      We therefore find that the appellant has proven by
    preponderant evidence that she exhausted her administrative remedies.
    Conclusion
    ¶39        For the reasons explained above, we find that the appellant has exhausted
    her administrative remedies and made nonfrivolous allegations that the agency
    subjected her to numerous personnel actions in retaliation for a number of
    protected disclosures and for her communications with the Inspector General,
    which were protected activity. Therefore, she has established jurisdiction over
    her appeal and is entitled to the merits hearing she requested.       See Salerno,
    
    123 M.S.P.R. 230
    , ¶ 5.
    ¶40        The issues on remand will include whether the appellant can prove by
    preponderant evidence that Disclosures/protected activity 1-3, 5-9, and 11-12
    were protected under the statute. The appellant also will need to show that she
    did, in fact, suffer the nine personnel actions discussed above, and that her
    disclosures/protected activity were a contributing factor therein. If the appellant
    proves her case, then the agency will have the opportunity to prove by clear and
    convincing evidence that it would have taken the same personnel actions
    notwithstanding the protected activity. 
    Id.
    23
    ORDER
    ¶41        For the reasons discussed above, we remand this case to the Washington
    Regional Office for further adjudication in accordance with this Remand Order.
    FOR THE BOARD:                                  /s/ for
    Jennifer Everling
    Acting Clerk of the Board
    Washington, D.C.
    

Document Info

Docket Number: DC-1221-16-0475-W-2

Filed Date: 9/8/2023

Precedential Status: Non-Precedential

Modified Date: 9/11/2023