Beverly A. Cluff-Landry v. Roman Catholic Bishop of Manchester , 169 N.H. 670 ( 2017 )


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    THE SUPREME COURT OF NEW HAMPSHIRE
    ___________________________
    Hillsborough-southern judicial district
    No. 2016-0122
    BEVERLY A. CLUFF-LANDRY
    v.
    ROMAN CATHOLIC BISHOP OF MANCHESTER
    Argued: November 16, 2016
    Opinion Issued: February 24, 2017
    Law Office of Leslie H. Johnson, PLLC, of Center Sandwich (Leslie H.
    Johnson on the brief and orally), and Purcell Law Office, PLLC, of Portsmouth
    (Ellen Purcell on the brief), for the plaintiff.
    Preti, Flaherty, Beliveau & Pachios, PLLP, of Concord (Peter G. Callaghan
    and Gregory L. Silverman on the brief, and Mr. Callaghan orally), for the
    defendant.
    CONBOY, J. The plaintiff, Beverly A. Cluff-Landry, appeals an order of
    the Superior Court (Garfunkel, J.) granting the motion to dismiss of the
    defendant, Roman Catholic Bishop of Manchester d/b/a St. Christopher
    School (the school). We affirm.
    I. Background
    We assume the following facts, as alleged in the plaintiff’s complaint, to
    be true. In 2008, the plaintiff was hired by the school’s former principal to
    work at the school for the 2008-2009 academic year as a pre-kindergarten (Pre-
    K) teacher and a teacher of visual arts. Her teaching contract was renewed
    annually in 2009, 2010, and 2011. The principal left the school at the end of
    the 2010-2011 school year, and in August 2011, the school hired a new
    principal.
    Two new students enrolled in the Pre-K program at the beginning of the
    2011-2012 academic year, each of whom exhibited defiant behaviors, including
    “daily kicking, hitting, slapping, punching, spitting, biting, screaming, throwing
    things, and verbal abuse.” One of these students left the school in October
    2011, but the other student remained in the Pre-K program.
    In November 2011, the plaintiff reported to the principal “her concerns
    that the school was not adequately set up to handle [the student] due to his
    unsafe behaviors and the school’s inability to keep the other students safe, and
    that the behavior was in violation of the student-parent handbook.” In
    response to the plaintiff’s concerns, the principal “simply laughed.” The
    plaintiff continued to complain to the principal about the student, but the
    principal took no action. The principal “insisted that the defiant student was
    just very young and simply needed to repeat Pre-K.”
    Thereafter, the principal began taking actions that the plaintiff
    characterizes as retaliation against her. For example, the plaintiff describes a
    January 27, 2012 incident, when the principal entered the plaintiff’s classroom
    approximately 45 minutes before the start of the school day, while the plaintiff
    was readying the room, and “began talking in a very loud voice” about an
    incident that occurred the previous day involving the defiant student. Despite
    the plaintiff telling the principal that she was not present for the incident, the
    principal “continued to talk in a loud voice” to the plaintiff repeating, “I’ve got
    to get to the bottom of this.” (Quotations omitted.) The plaintiff left and went
    to sit in her car; upon returning to the classroom at the time she would
    normally report to work, she was told that the principal had called a substitute
    teacher to replace her for the day.
    Later that month, after the parents of a student complained that the
    defiant student was bullying their daughter, the principal expelled the defiant
    student. Thereafter, the principal’s alleged retaliation toward the plaintiff
    “escalated.” On February 3, the principal issued the plaintiff a “letter of
    insubordination” for the events on January 27. On February 22, the principal
    placed the plaintiff on a “Teacher Improvement Plan.” In March, the principal
    began observing the plaintiff teach in the classroom. On April 13, the principal
    gave the plaintiff her “Lesson Observation” report in which she stated that the
    2
    plaintiff: “needs to work on her ability to develop strategies for student
    behavior issues,” “must take responsibility for what happens in her classroom,
    as far as student behavior,” and “has difficulty working with other teachers and
    teacher aids when they are in her classroom.” (Quotations omitted.)
    On April 15, the principal sent the plaintiff a letter that stated: “Please
    be advised that I am unable to offer you a teaching position at St. Christopher
    School for the school year 2012-2013. Accordingly, any and all mutual
    contractual teaching obligations will expire on or before June 30, 2012.” The
    plaintiff continued to work for the remainder of the 2011-2012 academic year.
    Her last day of work was on June 15, 2012.
    Thereafter, “concerned [the school] was giving her a bad reference when
    [she] was applying for jobs,” the plaintiff hired a “reference company,” Allison &
    Taylor, Inc. (A&T), “to do a reference check.” On August 5, 2014, A&T
    contacted the principal. During the conversation, the principal told A&T that
    the plaintiff: “didn’t really leave on good terms,” “didn’t get along with her
    peers and had trouble in the classroom,” “was put on a plan in the end” and
    her contract was not renewed. (Quotations omitted.)
    In May 2015, the plaintiff sued the school, alleging: (1) a violation of the
    New Hampshire Whistleblowers’ Protection Act, RSA chapter 275-E:2 (2010 &
    Supp. 2016) (Act), by failing to renew her contract after she reported violations
    of school and public policies; (2) wrongful discharge, for failing to renew her
    contract; and (3) slander, based upon the principal’s comments to A&T. The
    school moved to dismiss, arguing that: (1) the plaintiff’s factual allegations are
    insufficient to support a violation of the Act; (2) the wrongful discharge claim is
    barred by the statute of limitations, and also fails because the plaintiff’s
    employment was governed by a one-year contract; and (3) the alleged
    defamatory statements are not actionable because the plaintiff consented to
    their publication. Following a hearing, the trial court granted the school’s
    motion. The plaintiff unsuccessfully sought reconsideration, and this appeal
    followed.
    II. Standard of Review
    In reviewing a trial court’s grant of a motion to dismiss, we consider
    “whether the allegations in the plaintiff’s pleadings are reasonably susceptible
    of a construction that would permit recovery.” Sanguedolce v. Wolfe, 
    164 N.H. 644
    , 645 (2013). We assume the plaintiff’s pleadings to be true and construe
    all reasonable inferences in the light most favorable to her. 
    Id. However, we
    need not assume the truth of statements in the plaintiff’s pleadings that are
    merely conclusions of law. 
    Id. We then
    engage in a threshold inquiry that
    tests the facts in the complaint against the applicable law, and if the
    allegations constitute a basis for legal relief, we must hold that it was improper
    to grant the motion to dismiss. 
    Id. 3 III.
    Whistleblowers’ Protection Act
    The plaintiff first argues that the trial court erred in dismissing her
    whistleblower claim under the Act. The plaintiff asserts that she “sufficiently
    alleged violations” of the Act because she “reported assaults of students and
    teachers, an unsafe workplace that was unsafe for students,” and that the Act
    “covers such reports, particularly where the Defendant has a duty to step in
    and prevent assaults, bullying, and injuries to staff.” (Bolding omitted.) The
    school counters that, in her complaint, the plaintiff “made no mention of any
    law or rule but focused solely on the school’s policies,” and that “[t]here was no
    . . . allegation . . . suggesting that the Plaintiff believed any actual law or rule
    was violated by the four-year-old or the school.”
    The Act provides in pertinent part:
    No employer shall harass, abuse, intimidate, discharge,
    threaten, or otherwise discriminate against any employee regarding
    compensation, terms, conditions, location, or privileges of
    employment because:
    (a) The employee, in good faith, reports or causes to be
    reported, verbally or in writing, what the employee has reasonable
    cause to believe is a violation of any law or rule adopted under the
    laws of this state, a political subdivision of this state, or the United
    States.
    RSA 275-E:2, I(a) (emphasis added).
    To survive the motion to dismiss, the plaintiff must have alleged facts in
    her complaint that show that: (1) she “engaged in an act protected by” the Act;
    (2) she “suffered an employment action proscribed by” the Act; and (3) “there
    was a causal connection between the protected [conduct] and the proscribed
    employment action.” Appeal of Seacoast Fire Equip. Co., 
    146 N.H. 605
    , 608
    (2001). RSA 275-E:2 “does not require an actual violation of a law or rule but
    only that an employee reasonably believe that such a violation has occurred.”
    Appeal of Smithfield Dodge, 
    145 N.H. 23
    , 26 (2000). “Whether an employee
    had ‘reasonable cause to believe’ is an objective question; namely, whether a
    reasonable person might have believed that the employer was acting
    unlawfully.” Appeal of Osram Sylvania, 
    142 N.H. 612
    , 618 (1998) (quotation
    omitted).
    A private employer’s internal policies or procedures do not constitute a
    “law or rule” adopted under the laws of a state or the United States for
    purposes of a whistleblower claim. See, e.g., Nichols v. Metro. Center for
    Independent Living, 
    50 F.3d 514
    , 517 (8th Cir. 1995) (explaining that an
    employee’s complaint concerned a change in her employer’s management
    4
    policies, not a violation of the law within the meaning of Minnesota’s
    whistleblower retaliatory discharge statute; “the public does not have an
    interest in a business’s internal management problems” (quotation and
    brackets omitted)); University of Houston v. Barth, 
    403 S.W.3d 851
    , 856 (Tex.
    2013) (holding that a university’s internal administrative policies cannot form
    the basis for a report of a violation of law because they are not “rules adopted
    under a statute” as required by the Texas Whistleblower Act (quotation and
    brackets omitted)); Mullins v. Dallas Independent School Dist., 
    357 S.W.3d 182
    , 188 (Tex. App. 2012) (stating that complaints alleging violations of an
    employer’s internal procedures and policies will not support a claim under the
    state’s statute); cf. Frevert v. Ford Motor Co., 
    614 F.3d 466
    , 474 (8th Cir. 2010)
    (explaining that employee’s allegations in his writ of “violations of Company
    policy” were insufficient to establish a common law claim for wrongful
    termination against public policy).
    The plaintiff’s complaint alleges that she “reasonably believed” that she
    reported violations of the “school’s policies and procedures” and violations of
    “other public policies such as assault.” According to her allegations, in
    November 2011, the plaintiff reported to the principal “her concerns that the
    school was not adequately set up to handle [the defiant student] due to his
    unsafe behaviors and the school’s inability to keep the other students safe, and
    that the behavior was in violation of the student-parent handbook.” The
    complaint further alleges that the plaintiff “continued to complain to [the
    principal] about the disruption in the classroom and the unsafe environment
    due to the defiant student’s behavior.”
    We agree with the trial court that, to the extent the plaintiff’s
    whistleblower claim is based upon her reports of violations of the school’s
    internal policies, such as the school’s student-parent handbook, she has failed
    to allege facts that show that she engaged in an act protected by the Act. Cf.
    Appeal of Seacoast Fire Equip. 
    Co., 146 N.H. at 606-07
    (employee reported
    illegal dumping of fire extinguisher residue and wage law violations); Appeal of
    Fred Fuller Oil Co., 
    144 N.H. 607
    , 609 (2000) (employee reported employer’s
    violation of statutes and regulations limiting the number of hours a commercial
    driver may work); Appeal of Osram 
    Sylvania, 142 N.H. at 614-15
    (employee
    filed a safety complaint that temperatures at the employer’s production plant
    were excessive in violation of the federal Occupational Safety and Health Act).
    We also agree with the trial court that, to the extent the plaintiff’s claim
    is based upon her report of an “assault,” a reasonable employer would not have
    understood her complaint to constitute a “report” that the child had violated
    the simple assault statute, RSA 631:2-a (2016). See Appeal of Fred Fuller Oil
    
    Co., 144 N.H. at 611
    (we consider a “report” under the Act to have been made
    “if a reasonable employer would have understood from an employee’s complaint
    that the employee was reciting a violation of law”). As the trial court reasoned,
    5
    [t]he disruptive student at issue in this case was four years old.
    The complaint does not suggest in any way that the plaintiff made
    clear to [the principal] that she believed the four-year old’s conduct
    was a violation of a criminal statute. Simply put, a reasonable
    principal would not believe that an experienced teacher’s
    complaints of a four-year-old student’s disruptive behavior should
    be construed as a report of a violation of the law. In fact, in the
    complaint, the plaintiff states that she only referenced the student-
    parent handbook and the school’s internal policies—and not the
    criminal code—when she made the complaints.
    The plaintiff further asserts that because, “[w]hen reporting an alleged
    violation, an employee is not required to expressly identify the law allegedly
    violated,” her “reports should reasonably have been understood” by the school
    to encompass violations of “Department of Education regulations,” the Pupil
    Safety and Violence Prevention statute, see RSA ch. 193-F (2008 & Supp.
    2016), and the Workers’ Compensation Law, see RSA ch. 281-A (2010 & Supp.
    2016). (Bolding omitted.) Although the plaintiff concedes that RSA chapter
    193-F applies only to public schools, she contends that “New Hampshire Board
    of Education rules” require non-public accredited schools “to adopt grievance
    policies” concerning bullying, citing, specifically, New Hampshire
    Administrative Rules, Ed 403.01(a)(2)(o)(1). (Bolding omitted.) However, that
    rule simply requires that, as part of the application for initial approval as a
    non-public school for attendance purposes, an applicant must provide a letter
    of intent that includes, among other things, a “copy of the school’s grievance
    policy including . . . procedures to address complaints” concerning bullying.
    N.H. Admin. R., Ed 403.01(a)(2)(o)(1). Even assuming that rule applies in this
    case, the plaintiff does not argue that the school failed to comply with it.
    We, likewise, reject the plaintiff’s contention that she reasonably believed
    she was reporting a violation of the Workers’ Compensation Law. RSA 281-
    A:64, I, requires that employers provide employees with “safe employment,”
    including “furnishing personal protective equipment, safety appliances and
    safeguards” and “adopting work methods and procedures which will protect the
    life, health, and safety of the employees.” RSA 281-A:64, I (Supp. 2016). The
    trial court explained that “[t]he general purpose of RSA 281-A:64, I[,] is to force
    employers to provide employees with proper equipment and attire, as well as to
    create safety protocols to combat inherently unsafe working conditions.” The
    trial court correctly reasoned that it “cannot infer from the face of her
    complaint that the plaintiff believed she was reporting a violation of the
    Workers’ Compensation Statute,” that the plaintiff did not allege in her
    complaint that “the four-year-old student’s ‘assaults’ jeopardized her safety or
    the safety of other employees,” and that “under the pleaded facts, no
    reasonable employer would believe that the plaintiff was complaining of a
    violation of the Workers’ Compensation Statute.”
    6
    The plaintiff did not plead any facts in her complaint to support her
    argument that a reasonable employer would have understood that she was
    reporting a violation of anything other than the school’s “policies and
    procedures” and “other public policies such as assault.” At most, the plaintiff
    has alleged issues related to internal management matters. The trial court
    gave the plaintiff an opportunity to amend her complaint “to clarify [her] claims
    or to correct deficiencies before dismissal has preclusive effect,” but she
    declined to do so. Accordingly, limiting our review to the well-pleaded
    allegations of fact in the plaintiff’s complaint, and construing all reasonable
    inferences from them in her favor, see Ojo v. Lorenzo, 
    164 N.H. 717
    , 724
    (2013), we conclude that the facts she alleged do not, as a matter of law,
    establish that she “engaged in an act protected by” the Act. Appeal of Seacoast
    Fire Equip. 
    Co., 146 N.H. at 608
    .
    IV. Wrongful Discharge
    The plaintiff next argues that the trial court erred in granting the school’s
    motion to dismiss her wrongful discharge claim because it is barred by the
    three-year statute of limitations. See RSA 508:4, I (2010) (“all personal actions
    . . . may be brought only within 3 years of the act or omission complained of”).
    She asserts that her cause of action “did not begin to accrue until at least June
    15, 2012 when she was separated from work, and therefore she timely filed her
    claim on May 13, 2015.”
    “Statutes of limitation place a limit on the time in which a plaintiff may
    bring suit after a cause of action accrues.” Beane v. Dana S. Beane & Co., 
    160 N.H. 708
    , 712 (2010) (quotation and ellipsis omitted). A cause of action arises,
    thereby triggering the running of the three-year period, once all of the elements
    necessary for that claim are present. 
    Id. The plaintiff’s
    complaint alleges that she was wrongfully discharged by
    the school because her “teaching contract should have been renewed for the
    following academic year and into the future,” but that “[a]s a result of [her]
    actions, and refusals to act contrary to policy and law, [she] was non-renewed
    (i.e. discharged) from her employment on or about June 30, 2012.” The trial
    court, in dismissing her claim, reasoned that
    [i]n this case, the plaintiff’s wrongful discharge claim is premised
    on the School’s decision not to renew her contract. The plaintiff
    was notified on April 15, 2012, that her contract would not be
    renewed for the 2012-2013 school year. On that date, she also
    knew, or, based upon her complaint, had reason to believe, that
    the School’s decision was in bad-faith and was based on her
    decision to report the behavior of the disruptive student. Thus, on
    April 15, [2012], the plaintiff’s wrongful discharge claim, to the
    extent she ever had one, accrued.
    7
    We agree. The plaintiff’s claim, as framed in her complaint, is based upon her
    contract being “non-renewed” by the school. Her cause of action, therefore,
    accrued on April 15, 2012, when all of the elements necessary for the claim
    were present. See 
    Beane, 160 N.H. at 712
    . We are not persuaded by her
    characterization of her claim as one for wrongful termination. See Jeffery v.
    City of Nashua, 
    163 N.H. 683
    , 688 (2012) (noting in dicta that, in contrast to a
    constructive discharge claim as to which the cause of action accrues when the
    employee tenders his or her resignation, in a wrongful termination action, the
    claim accrues upon the employee’s separation from employment). Because the
    plaintiff did not initiate her action until May 13, 2015, approximately one
    month after the limitations period had run, the trial court correctly concluded
    that her claim was time-barred.
    V. Slander
    Finally, the plaintiff argues that the trial court erred in granting the
    school’s motion to dismiss her slander claim on the basis that she “invited the
    slander by hiring a reference company to find out what the [school] was stating
    about her,” because, according to the plaintiff, “[t]here is no exception for
    ‘invited’ slander in New Hampshire law.” (Bolding omitted.) “To survive the
    motion to dismiss, the plaintiff must have alleged facts that would show that
    the defendant failed to exercise reasonable care in publishing a false and
    defamatory statement of fact about [her] to a third party.” 
    Sanguedolce, 164 N.H. at 645-46
    (quotation omitted).
    The plaintiff alleges in her complaint that she “hired . . . [A&T] to do a
    reference check” and that A&T spoke with the principal, who stated that the
    plaintiff “didn’t really leave on good terms,” “didn’t get along with her peers and
    had trouble in the classroom,” “was put on a plan in the end” and her contract
    was not renewed. (Quotations omitted.) These allegedly defamatory
    statements were, she claims, “made to one or more third parties, who
    understood the statements’ defamatory meaning.”
    The trial court dismissed the plaintiff’s claim, explaining that “[i]t is
    axiomatic that ‘invited defamation,’ or the issuance of a defamatory statement
    wherein the injured party precipitated the statement’s release, is not
    actionable.” (Quotation omitted.) The court reasoned that, “in this case, the
    plaintiff admits in her complaint that she hired A&T to ‘do a reference check’,”
    and, “[a]lthough not explicitly stated in the complaint, one can infer from it
    that the plaintiff directed A&T to contact the school.” Thus, the trial court
    concluded that “any statements made by [the principal] to A&T are not
    actionable as slander because they were invited by the plaintiff.”
    The school argues that the plaintiff “[does] not cite to one decision
    supporting her position that she should be permitted to bring an action when
    she procures statements made to her agent that she considers defamatory.” As
    8
    the school correctly states, the trial court’s decision is supported by “decisions
    from state and federal courts across the country uniformly holding a plaintiff
    may not bring a claim for slander when she invites or procures the very
    statements that form the basis of the claim.” See, e.g., Kelewae v. Jim Meagher
    Chevrolet, Inc., 
    952 F.2d 1052
    , 1054, 1055 (8th Cir. 1992) (holding that when
    plaintiff requested his stepson and a friend each telephone the defendant
    posing as a prospective employer, the defendant’s “allegedly defamatory
    statements . . . cannot form the basis of a defamation suit because the
    statements were solicited by agents of the plaintiff”); Litman v. Massachusetts
    Mut. Life Ins. Co., 
    739 F.2d 1549
    , 1560 (11th Cir. 1984) (when the plaintiff
    invited the alleged defamation, the statement is not a “publication” under
    Florida law); Long v. Quorum Health Resources, LLC, No. 2:13-CV-189, 
    2014 WL 1795156
    , at *7 (D. Vt. 2014) (explaining that “‘invited defamation,’ or the
    issuance of a defamatory statement wherein the injured party precipitated the
    statement’s release, is not actionable” (quotation omitted)), aff’d, 590 F. App’x
    103 (2d Cir. 2015); Martinez v. New England Medical Center Hospitals, 307 F.
    Supp. 2d 257, 263, 269 (D. Mass. 2004) (granting summary judgment to the
    defendant on plaintiff’s defamation claim in part because she invited the
    defendant’s statements by having a friend pose as a prospective employer
    seeking references); Beck v. Tribert, 
    711 A.2d 951
    , 959-60 (N.J. Super. Ct. App.
    Div. 1998) (concluding that the trial court did not erroneously dismiss
    plaintiff’s slander claim when plaintiff’s friends posed as prospective employers;
    “plaintiff should not be permitted to sue for the injury he . . . invited”
    (quotation and brackets omitted)); Georgia Power Co. v. Busbin, 
    289 S.E.2d 514
    , 515 (Ga. 1982) (holding that there can be no recovery for invited libel; “[i]t
    is enough that the complainant requests or consents to the presence of a third
    party and solicits the publication of matter which he knows or has reasonable
    cause to suspect will be unfavorable to him”); Pressley v. Continental Can Co.,
    Inc., 
    250 S.E.2d 676
    , 678 (N.C. Ct. App. 1979) (stating that “[a] publication of a
    libel, procured or invited by the plaintiff, is not sufficient to support an action
    for defamation”).
    We agree with these authorities and conclude that, because the
    principal’s allegedly defamatory statements were invited by the plaintiff in that,
    as she admits in her complaint, she hired A&T to obtain them, the trial court
    properly dismissed her slander claim.
    The plaintiff also argues that the trial court erred when it “failed to draw
    the inference, based on facts [she] alleged,” that it was “likely that [the
    principal] made similar statements to others.” (Capitalization and bolding
    omitted.) The trial court rejected this argument, explaining that “[i]n
    evaluating the sufficiency of claims of slander, courts have required that the
    complaint adequately identify the allegedly defamatory statements, the person
    who made the statements, the time when the statements were made, and the
    third parties to whom the statements were published.” (Quotation and
    brackets omitted.) Here, because “[t]he complaint only makes sufficiently
    9
    specific allegations with regard to the statements made to A&T,” the trial court
    concluded that the plaintiff’s claim that it was “likely” the principal made
    “similar statements to others,” “is pure speculation not accompanied by
    sufficiently pleaded facts.” See Knox v. Cnty. of Ulster, No. 1:11-CV-0112
    (GTS/CFH), 
    2013 WL 286282
    , at *15 (N.D.N.Y. Jan. 24, 2013) (granting
    defendants’ motion to dismiss plaintiff’s slander claim where plaintiff failed to
    specifically identify who made the statement, to whom the statement was made
    or when it was made); Doug Grant, Inc. v. Greate Bay Casino Corp., 
    3 F. Supp. 2d
    518, 538 (D.N.J. 1998) (explaining that, in a complaint charging
    defamation, plaintiff must plead facts sufficient to identify the allegedly
    defamatory words, their utterer and the fact of their publication; a “vague
    conclusory allegation is not enough” (quotation omitted)), aff’d as modified, 
    232 F.3d 173
    (3d Cir. 2000); McGuire v. Adkins, 
    226 So. 2d 659
    , 661 (Ala. 1969)
    (concluding that a slander claim is insufficient where the complaint fails to
    state where and to whom the slander was published).
    The plaintiff’s complaint fails to identify any specific statement made by
    the defendant about her to any specific third parties other than A&T. Without
    any facts in her complaint identifying who the “others” were, when the
    statements were made, or the substance of the statements, the plaintiff has
    failed to “allege[ ] facts that would show that the defendant failed to exercise
    reasonable care in publishing a false and defamatory statement of fact about
    [her] to a third party.” 
    Sanguedolce, 164 N.H. at 645-46
    (quotation omitted).
    Accordingly, we affirm the trial court’s finding that, to the extent the plaintiff’s
    slander claim is premised upon the statements made to parties other than
    A&T, the complaint fails to sufficiently state a claim.
    Affirmed.
    DALIANIS, C.J., and HICKS, LYNN, and BASSETT, JJ., concurred.
    10