Strayer v. Barnett , 94 N.E.3d 156 ( 2017 )


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  • [Cite as Strayer v. Barnett, 2017-Ohio-5617.]
    IN THE COURT OF APPEALS OF OHIO
    SECOND APPELLATE DISTRICT
    CLARK COUNTY
    BRANDON M. STRAYER, et al.                          :
    :
    Plaintiffs-Appellants                       :   C.A. CASE NO. 2016-CA-19
    :
    v.                                                  :   T.C. NO. 14CV300
    :
    WESLEY R. BARNETT, et al.                           :   (Civil Appeal from
    :    Common Pleas Court)
    Defendants-Appellees                        :
    :
    ...........
    OPINION
    Rendered on the ____30th            _ day of _____June_____, 2017.
    ...........
    VALERIE JUERGENS WILT, Atty. Reg. No. 0040413, 333 N. Limestone Street, Suite
    202A, Springfield, Ohio 45503
    Attorney for Plaintiffs-Appellants
    MARK LANDES, Atty. Reg. No. 0027227 and ANDREW N. YOSOWITZ, Atty. Reg. No.
    0075306, 2 Miranova Place, Suite 700, Columbus, Ohio 43215
    Attorneys for Defendants-Appellees
    .............
    FROELICH, J.
    {¶ 1} Plaintiffs Brandon Strayer, Amber Strayer, E.S. (“E.”), and A.H. (collectively,
    “the Strayers”) appeal from a judgment of the Clark County Court of Common Pleas,
    which granted summary judgment to the Clark County Commissioners, Clark County
    Board of Developmental Disabilities (“CCDD”), and CCDD’s employees Heather Garrett,
    Rodney Willis, and Matt Horvath (collectively, “the Clark County Defendants”). For the
    -2-
    following reasons, the trial court’s judgment will be affirmed.
    I. Factual and Procedural History
    {¶ 2} Wesley Barnett is a young adult who has been diagnosed with autism, is
    nonverbal, and has moderate mental disabilities; he has also been diagnosed with
    obsessive-compulsive disorder and bipolar disorder. In June 2012, Barnett was twenty
    years old.
    {¶ 3} From June 2006 to May 25, 2012, Barnett resided at the Indiana
    Developmental Training Center (“IDTC”) in Indiana, where he received behavioral
    assessments, psychological assessments, and treatment.            Barnett had a behavioral
    support plan with goals to improve his anger management, impulse control, inappropriate
    toileting, and compliance with rules and instructions. Barnett was generally unable to
    “process the cause and effect of his decisions.” (Garrett Depo. at 42.)
    {¶ 4} Barnett’s aggressive behaviors included biting, kicking, scratching, head
    butting, slapping, and hitting. Barnett’s parents had reported to IDTC that Barnett would
    often behave aggressively when hungry, when others were in his space, or when
    something was not as he anticipated it to be. IDTC’s August 2011 Life Skills Assessment
    noted that Barnett “[w]ill bite others when angry/upset.” However, IDTC’s February 2012
    monthly progress report indicated that Barnett “displays these [aggressive] behaviors
    infrequently”; during the six-month period between August 2011 and January 2012,
    Barnett displayed physical aggression toward his peers on three occasions and was not
    physically aggressive toward staff. IDTC’s Biannual Treatment Plan Review, dated April
    13, 2012, stated that Barnett was physically aggressive with his peers twice in February
    2012 and twice in March 2012.
    -3-
    {¶ 5} On February 28, 2012, IDTC notified CCDD that it would no longer be able
    to serve Barnett.   CCDD employees investigated and discussed several placement
    options with Barnett’s parents, who were Barnett’s legal guardians.       The actions of
    specific CCDD employees will be discussed in more detail below.
    {¶ 6} The Barnetts selected a home in Springfield that was owned and operated
    by Housing Connections, an independent housing corporation that rents solely to
    individuals that are eligible for services with a board of developmental disabilities.
    Barnett moved to the home on May 25, 2012, and he received “24 hour/seven day per
    week” care by employees of Self Reliance, Inc. (“SRI”), a provider licensed by the Ohio
    Department of Development Disabilities to provide direct services to individuals with
    developmental disabilities. Barnett had one roommate, Dale, at the house.
    {¶ 7} The Housing Connections home was located on the same street as the
    Strayer family’s residence.   On June 21, 2012, Barnett went for a walk with Dale,
    supervised by Joy Wells, an SRI employee. During the walk, the three passed the
    Strayers’ home. Two-year-old E. was playing in his front yard with a girl. According to
    Wells, the girl sprayed E. in the back with a hose, causing E. to scream loudly. Barnett
    then ran behind Wells and over to E. Barnett bent down, bit E.’s upper arm, and pushed
    E. to the ground. E.’s nine-year-old sister witnessed the assault.
    {¶ 8} In December 2012, the Strayers brought suit against Barnett, SRI, Clark
    County, various County and SRI employees, and others, based on the assault on E.
    Strayer v. Barnett, Clark C.P. No. 12CV1276. The Stayers voluntarily dismissed the
    action, without prejudice, on December 19, 2013.
    {¶ 9} On May 13, 2014, the Strayers refiled the lawsuit (the present action), naming
    -4-
    as defendants Barnett, SRI, Wells, the Ohio Department of Job and Family Services
    (“ODJFS”), and the Clark County Defendants. The State of Ohio filed a cross-claim
    against the other defendants for medical payments made on behalf of E. due to the
    incident. The Strayers reached a settlement with the SRI Defendants and voluntarily
    dismissed their claims against the SRI Defendants in January 2016.
    {¶ 10} The Strayers’ claims against the Clark County Defendants were based on
    the CCDD’s employees’ alleged reckless failure to provide appropriate “service and
    support administration” to Barnett. The crux of their claims was that the Clark County
    Defendants failed to provide an updated individual plan (IP) and behavior support plan
    for Wesley to SRI, and thus SRI employees did not have the guidance documents they
    needed to prevent aggressive actions by Barnett.
    {¶ 11} On December 23, 2015, the Clark County Defendants moved for summary
    judgment on the Strayers’ claims, raising four arguments: (1) they owed no duty of care
    to the Strayers, because they had no “special relationship” with Barnett; (2) CCDD was
    entitled to sovereign immunity under R.C. Chapter 2744; (3) CCDD was entitled to
    immunity under R.C. 2305.51, which provides immunity, under certain circumstances, to
    mental health providers and organizations for the violent behavior of their clients; and
    (4) Willis, Garrett, and Horvath, as employees of CCDD, were entitled to immunity under
    R.C. Chapter 2744. The Strayers opposed the motion.
    {¶ 12} On March 11, 2016, the trial court granted the Clark County Defendants’
    motion for summary judgment.      The court’s ruling stated, in its entirety, that it had
    reviewed the case file, pleadings, and memoranda of counsel, and “[a]dopting the
    reasoning as set out in defendants’ memorandum, the Court finds the Clark County
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    Defendants owed no duty to the plaintiffs and they are entitled to statutory immunity under
    R.C. 2305.51 and R.C. Chapter 2744.         Further, Plaintiff has failed to provide any
    evidence that Wesley Barnett’s conduct proximately caused the harm to [E.S.].”1 The
    trial court determined that its ruling was a final appealable order and that there was no
    just reason for delay, in accordance with Civ.R. 54(B).
    {¶ 13} The Strayers appeal from the trial court’s grant of summary judgment to the
    Clark County Defendants.      They raise four assignments of error: (1) that the Clark
    County Defendants were not entitled to immunity under R.C. 2305.51; (2) that the Clark
    County Defendants were not entitled to immunity under R.C. Chapter 2744; (3) that the
    Clark County Defendants had a duty to Barnett and the community and that the harm was
    foreseeable; and (4) that the CCDD employees’ conduct rose to the level of recklessness
    and they were not entitled to immunity.
    {¶ 14} As discussed below, we conclude that the trial court properly granted
    summary judgment to the Clark County Defendants under R.C. Chapter 2744.
    Accordingly, we need not address the Strayers’ first and third assignments of error, and
    those assignments of error are overruled as moot.
    II. Summary Judgment Standard
    {¶ 15} Pursuant to Civ.R. 56(C), summary judgment is proper when (1) there is no
    genuine issue as to any material fact, (2) the moving party is entitled to judgment as a
    matter of law, and (3) reasonable minds, after construing the evidence most strongly in
    1
    We question whether the trial court meant to say “Wesley Barnett’s conduct,” as
    opposed to the Clark County Defendants’ conduct. It appears undisputed that Wesley
    Barnett bit and pushed E. The parties dispute, however, whether the Clark County
    Defendants are liable for E.’s injuries.
    -6-
    favor of the nonmoving party, can only conclude adversely to that party. Zivich v. Mentor
    Soccer Club, Inc., 
    82 Ohio St. 3d 367
    , 369-370, 
    696 N.E.2d 201
    (1998). The moving
    party carries the initial burden of affirmatively demonstrating that no genuine issue of
    material fact remains to be litigated. Mitseff v. Wheeler, 
    38 Ohio St. 3d 112
    , 115, 
    526 N.E.2d 798
    (1988). To this end, the movant must be able to point to evidentiary materials
    of the type listed in Civ.R. 56(C) that a court is to consider in rendering summary
    judgment. Dresher v. Burt, 
    75 Ohio St. 3d 280
    , 292–293, 
    662 N.E.2d 264
    (1996).
    {¶ 16} Once the moving party satisfies its burden, the nonmoving party may not
    rest upon the mere allegations or denials of the party’s pleadings. Dresher at 293; Civ.R.
    56(E). Rather, the burden then shifts to the nonmoving party to respond, with affidavits
    or as otherwise permitted by Civ.R. 56, setting forth specific facts that show that there is
    a genuine issue of material fact for trial.     
    Id. Throughout, the
    evidence must be
    construed in favor of the nonmoving party. 
    Id. {¶ 17}
    We review the trial court’s grant of a motion for summary judgment de novo.
    Schroeder v. Henness, 2d Dist. Miami No. 2012 CA 18, 2013-Ohio-2767, ¶ 42. De novo
    review means that this court uses the same standard that the trial court should have used,
    and we examine the evidence, without deference to the trial court, to determine whether,
    as a matter of law, no genuine issues exist for trial. Ward v. Bond, 2d Dist. Champaign
    No. 2015-CA-2, 2015-Ohio-4297, ¶ 8.
    III. Sovereign Immunity: Political Subdivisions
    {¶ 18} CCDD serves individuals with developmental disabilities in Clark County.
    At CCDD, the service and support administrators are called Path Coordinators. Their
    duties include: (1) assessment of the individual’s need for services; (2) build a team to
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    support the individual, facilitate the development of and write an “Individual Plan,” and
    authorize services; (3) coordinate services; (4) monitor implementation of the IP by
    providers, modify the plan as needed; (5) ensure actions are completed as necessary to
    maintain eligibility for all Ohio Department of Developmental Disabilities-administered
    waiver programs; and (6) provide crisis intervention.       (Willis Ex. 21, Description of
    Services: Path Coordination)
    {¶ 19} In general, political subdivisions are immune from liability for personal
    injuries caused by any act of the political subdivision or its employees. R.C.
    2744.02(A)(1). It is undisputed that CCDD is a political subdivision, as defined by R.C.
    2744.01(F).
    {¶ 20} R.C. 2744.02(B) sets forth five exceptions to this general rule. The first
    four exceptions impose liability on a political subdivision for certain negligent conduct of
    the political subdivision itself or of one of its employees, namely: (1) the negligent
    operation of any motor vehicle while within the scope of employment, (2) acts with respect
    to proprietary functions of the political subdivisions, (3) failure to keep public roads in
    repair and other negligent failure to remove obstructions from public roads, and (4)
    negligent acts that occur within or on the grounds of, and are due to physical defects
    within or on the grounds of, buildings that are used in connection with the performance of
    a governmental function. The fifth exception imposes liability when another section of
    the Revised Code expressly imposes liability.        R.C. 2744.02(B)(1)-(5).     See, e.g.,
    Crafton v. Shriner Building Co., L.L.C., 2d Dist. Montgomery No. 25748, 2013-Ohio-4236,
    ¶ 10. If one of the exceptions to immunity applies, the political subdivision may still be
    immune if one of the defenses in R.C. 2744.03 applies. Riffle v. Physicians & Surgeons
    -8-
    Ambulance Serv., Inc., 
    135 Ohio St. 3d 357
    , 2013-Ohio-989, 
    986 N.E.2d 983
    , ¶ 15.
    {¶ 21} The Strayers claim that CCDD is not immune pursuant to R.C.
    2744.02(B)(2), which states that political subdivisions are generally “liable for injury,
    death, or loss to person or property caused by the negligent performance of acts by their
    employees with respect to proprietary functions of the political subdivisions.”
    {¶ 22} Pursuant to R.C. 2744.01(C)(1), a governmental function is one specified in
    R.C. 2744.01(C)(2) or a function that either: (a) is imposed on the state as an obligation
    of sovereignty and is performed by a political subdivision voluntarily or pursuant to
    legislative requirement; (b) is for the common good of all citizens of the state; or (c)
    promotes or preserves the public peace, health, safety, or welfare, and involves activities
    not customarily engaged in by nongovernmental persons, and is not specified in R.C.
    2744.01(G)(2) as a proprietary function.
    {¶ 23} R.C. 2744.01(C)(2) provides a nonexhaustive list of 24 functions that qualify
    as governmental functions.      These include, for example, “[t]he operation of mental
    health facilities, developmental disabilities facilities, alcohol treatment and control
    centers, and children’s homes or agencies,” R.C. 2744.01(C)(2)(o); and “[a] function
    that the general assembly mandates a political subdivision to perform,” R.C.
    2744.01(C)(2)(x).
    {¶ 24} A “proprietary function” is defined as function of a political subdivision that
    is specified in R.C. 2744.01(G)(2) or that satisfies both of the following:
    (a) The function is not one described in division (C)(1)(a) or (b) of this
    section and is not one specified in division (C)(2) of this section;
    (b) The function is one that promotes or preserves the public peace, health,
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    safety, or welfare and that involves activities that are customarily engaged
    in by nongovernmental persons.
    {¶ 25} The Strayers claim that CCDD performed a proprietary function with respect
    to Barnett for four reasons. First, they assert that this action did not arise out of the
    operation of a developmental disabilities facility or out of an obligation that CCDD was
    required by law to perform. The Strayers argue that CCDD did not own the house where
    Barnett resided when the assault occurred, and it was not obligated by law to provide
    service and support administration to Barnett. Second, they claim that the provision of
    service and support administration “is not an obligation of Clark County’s sovereignty.”
    Third, they claim that “the function of the CCDD is not for the common good for all citizens
    of the state,” because it is “for only those developmentally disabled individuals who
    qualify.” Fourth, they assert that the type of service and support administration that
    CCDD provided to Barnett “is customarily engaged by non-governmental persons in a
    number of ways.” The primary thrust of their argument is that non-governmental entities
    can and do provide service and support administration, which renders that activity a
    proprietary function, not a governmental function.
    {¶ 26} Pursuant to R.C. 5126.02(A), each county must have its own county board
    of developmental disabilities.       The Revised Code requires county boards of
    developmental disabilities to “plan and set priorities” for the provision of “facilities,
    programs, and other services to meet the needs of county residents who are individuals
    with * * * developmental disabilities * * *.” R.C. 5126.04(A). Each county must “assess
    the facility and service needs of the individuals with * * * developmental disabilities,”
    require “individual habilitation or service plans for individuals with * * * developmental
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    disabilities who are being served or who have been determined eligible for services and
    are awaiting the provision of services,” and ensure that “methods of having their service
    needs evaluated are available.”2 
    Id. {¶ 27}
    R.C. 5126.05 sets forth the responsibilities of a county board of
    developmental disabilities. Those responsibilities include:
    (1) Administer and operate facilities, programs, and services as provided by
    this chapter and Chapter 3323. of the Revised Code and establish policies
    for their administration and operation;
    (2) Coordinate, monitor, and evaluate existing services and facilities
    available to individuals with * * * developmental disabilities;
    (3) Provide early childhood services, supportive home services, and adult
    services, according to the plan and priorities developed under section
    5126.04 of the Revised Code;
    (4) Provide or contract for special education services pursuant to Chapters
    3306., 3317. and 3323. of the Revised Code and ensure that related
    services, as defined in section 3323.01 of the Revised Code, are available
    according to the plan and priorities developed under section 5126.04 of the
    Revised Code;
    (5) Adopt a budget, authorize expenditures * * *, approve attendance of
    board members and employees at professional meetings and approve
    2
    At the time of the assault on E., R.C. Chapter 5126 addressed the needs of individuals
    with “mental retardation and other developmental disabilities.” The current version of the
    statute has eliminated the reference to “mental retardation” and refers to “individuals with
    developmental disabilities.”
    -11-
    expenditures for attendance, and exercise such powers and duties as are
    prescribed by the director;
    (6) Submit annual reports of its work and expenditures * * *;
    (7) Authorize all positions of employment, establish compensation,
    including but not limited to salary schedules and fringe benefits for all board
    employees, approve contracts of employment for management employees
    that are for a term of more than one year, employ legal counsel under
    section 309.10 of the Revised Code, and contract for employee benefits;
    (8) Provide service and support administration in accordance with section
    5126.15 of the Revised Code;
    (9) Certify respite care homes pursuant to rules adopted under section
    5123.171 of the Revised Code by the director of developmental disabilities.
    (Emphasis added.)3
    {¶ 28} Service and support administration is addressed in R.C. 5126.15. Under
    R.C. 5126.15(A), county boards of developmental disabilities are required to provide
    service and support administration to each individual three years of age or older who is
    eligible for service and support administration if the individual requests, or a person on
    the individual’s behalf requests, service and support administration.          “A board shall
    provide service and support administration to each individual receiving home and
    community-based services.”        
    Id. The county
    board of developmental disability may
    provide service and support administration “by directly employing service and support
    administrators or by contracting with entities for the performance of service and support
    3
    Two additional duties were added in Am.Sub.H.B. 59, effective September 29, 2013.
    -12-
    administration.” 
    Id. {¶ 29}
    R.C. 5126.15(B) identifies certain duties for individuals who are either
    employed by or under contact with a board to provide service and support administration.
    These duties include:
    (1) Establish an individual’s eligibility for the services of the county board of
    developmental disabilities;
    (2) Assess individual needs for services;
    (3) Develop individual service plans with the active participation of the
    individual to be served, other persons selected by the individual, and, when
    applicable, the provider selected by the individual, and recommend the
    plans for approval by the department of developmental disabilities when
    services included in the plans are funded through medicaid;
    (4) Establish budgets for services based on the individual’s assessed needs
    and preferred ways of meeting those needs;
    (5) Assist individuals in making selections from among the providers they
    have chosen;
    (6) Ensure that services are effectively coordinated and provided by
    appropriate providers;
    (7) Establish and implement an ongoing system of monitoring the
    implementation of individual service plans to achieve consistent
    implementation and the desired outcomes for the individual;
    (8) Perform quality assurance reviews as a distinct function of service and
    support administration;
    -13-
    (9) Incorporate the results of quality assurance reviews and identified trends
    and patterns of unusual incidents and major unusual incidents into
    amendments of an individual’s service plan for the purpose of improving
    and enhancing the quality and appropriateness of services rendered to the
    individual;
    (10) Ensure that each individual receiving services has a designated person
    who is responsible on a continuing basis for providing the individual with
    representation, advocacy, advice, and assistance related to the day-to-day
    coordination of services in accordance with the individual’s service plan.
    ***
    {¶ 30} In arguing that CCDD was not obligated by law to provide service and
    support administration, the Strayers emphasize the portion of R.C. 5126.15(A) that states,
    “A board may provide service and support administration by directly employing service
    and support administrators or by contracting with entities for the performance of service
    and support administration.” (Emphasis added.) They argue that a function that can be
    contracted out to a private entity “is the antithesis of a governmental function.”
    {¶ 31} We do not accept the Strayers’ assertion that the provision of service and
    support administration is not a governmental function merely because non-governmental
    entities also may engage in this activity. A political subdivision may use independent
    contractors to perform a governmental function without transforming the activity involved
    into a proprietary function. See Craycraft v. Simmons, 2d Dist. Montgomery No. 24313,
    2011-Ohio-3273, ¶ 22. In Craycraft, the plaintiff asserted that the provision of school
    security was a proprietary function, because independent contractors sometimes perform
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    the job. We rejected the assertion, stating:
    We do not dispute that a school may choose to contract with a private
    company to provide security. But this does not negate the fact that the
    nature of the work involved, providing security for public school students on
    school grounds, is a governmental function. Craycraft’s argument fails to
    recognize that a political subdivision may use independent contractors to
    perform a governmental function. See, e.g., Howell v. Canton, Stark App.
    No. 2007CA00035, 2008-Ohio-5558 (involving an independent contractor
    hired to perform a governmental function). He cites nothing to establish
    that doing so transforms the activity involved from a governmental function
    into a proprietary function.
    Craycraft at ¶ 22.
    {¶ 32} R.C. 5126.05 unambiguously requires the county board of developmental
    disabilities to provide service and support administration. By its plain language, R.C.
    5126.15(A) permits a county board to decide whether to provide service and support
    administration itself with county employees or to contract with an outside entity to provide
    those services. But, the ability of a county board to contract with an outside entity does
    not diminish the board’s statutory obligation to ensure that service and support
    administration is provided. And, in this case, CCDD elected to provide service and
    support administration itself, pursuant to R.C. 5126.15.
    {¶ 33} We reject the Strayers’ contention that CCDD’s provision of service and
    support administration is a proprietary function simply because CCDD services
    individuals with developmental disabilities, rather than the county population at large.
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    {¶ 34} In summary, R.C. Chapter 5126 requires each county to have a board of
    developmental disabilities, and the duties of a county board of developmental disabilities
    include the provision of service and support administration, in accordance with R.C.
    5126.15. Because the provision of service and support administration is a “function that
    the general assembly mandates a political subdivision to perform,” R.C.
    2744.01(C)(2)(x), the provision of service and support administration is a
    governmental function; none of the exceptions to sovereign immunity in R.C. 2744.02(B)
    applies.
    {¶ 35} CCDD and the Clark County Board of Commissioners were performing a
    governmental function, and the trial court properly granted them summary judgment on
    that ground that they were entitled to immunity under R.C. Chapter 2744.
    IV. Sovereign Immunity: Employees of CCDD
    {¶ 36} The Strayers claims that three CCDD employees – Horvath, Garrett, and
    Willis ̶ were reckless in their provision of service and support administration to Barnett,
    and consequently, they are not immune under R.C. 2744.03(A)(6). Garrett and Horvath
    were Path Coordinators for Barnett; Willis was the Path Coordinator supervisor.
    A. Standard for Immunity under R.C. 2744.03(A)(6)
    {¶ 37} R.C. 2744.03(A)(6) grants employees of political subdivisions immunity
    from liability, unless any of three exceptions to that immunity apply.       Anderson v.
    Massillon, 
    134 Ohio St. 3d 380
    , 2012-Ohio-5711, 
    983 N.E.2d 266
    , ¶ 21.                Those
    exceptions are (1) the employee’s acts or omissions were manifestly outside the scope
    of the employee’s employment or official responsibilities; (2) the employee’s acts or
    omissions were with malicious purpose, in bad faith, or in a wanton or reckless manner;
    -16-
    and (3) civil liability is expressly imposed upon the employee by a section of the Revised
    Code. R.C. 2744.03(A)(6)(a)-(c). Only the second exception is at issue here, and we
    confine our discussion to whether CCDD’s employees were wanton or reckless; there is
    no allegation, or any facts to support, that the CCDD employees’ actions were manifestly
    outside the scope of their employment or official responsibilities or that they acted with a
    malicious purpose or in bad faith.
    {¶ 38} The terms “wanton” and “reckless” describe different and distinct degrees
    of care and are not interchangeable. Anderson v. Massillon, 
    134 Ohio St. 3d 380
    , 2012-
    Ohio-5711, 
    983 N.E.2d 266
    , paragraph one of the syllabus.            They are sometimes
    described “as being on a continuum, i.e., willful conduct is more culpable than wanton,
    and wanton conduct is more culpable than reckless.”           
    Id. at ¶
    42 (Lanzinger, J.,
    concurring in judgment in part and dissenting in part).
    {¶ 39} Both “wanton” and “reckless” represent “rigorous standards that will in most
    circumstances be difficult to establish.” Argabrite v. Neer, 
    149 Ohio St. 3d 349
    , 2016-
    Ohio-8374, 
    75 N.E.3d 161
    , ¶ 8. “Wanton conduct” has been defined as “the failure to
    exercise any care toward those to whom a duty of care is owed in circumstances in
    which there is great probability that harm will result.” (Emphasis added.) Anderson
    at paragraph three of the syllabus; Argabrite at ¶ 8. “Reckless conduct is characterized
    by the conscious disregard of or indifference to a known or obvious risk of harm to another
    that is unreasonable under the circumstances and is substantially greater than negligent
    conduct.” Anderson at ¶ 34, adopting 2 Restatement of the Law 2d, Torts, Section 500
    (1965); Argabrite at ¶ 8.
    {¶ 40} Mere negligence in the performance of an employee’s duties is insufficient
    -17-
    to meet this high standard. See O’Toole v. Denihan, 
    118 Ohio St. 3d 374
    , 2008-Ohio-
    2574, 
    889 N.E.2d 505
    , ¶ 74. As stated by the Ohio Supreme Court, an individual’s
    conduct “ ‘is in reckless disregard of the safety of others if * * * such risk is substantially
    greater than that which is necessary to make his conduct negligent.’ ” Fabrey v. McDonald
    Village Police Dept., 
    70 Ohio St. 3d 351
    , 356, 
    639 N.E.2d 31
    (1994), quoting 2
    Restatement of the Law 2d, Torts, Section 500, at 587 (1965).
    B. Evidence Related to CCDD Employee Conduct
    {¶ 41} According to the record, the last Individual Plan (IP) in effect for Barnett prior
    to the June 21, 2012 incident was effective March 18, 2012. Barnett had a behavioral
    support plan with IDTC, which was updated periodically; Barnett’s most recent behavioral
    support plan prior to the assault was dated February 2012 and prepared by IDTC. That
    support plan was cancelled when Barnett returned to Ohio.
    {¶ 42} According to Garrett’s affidavit and deposition testimony, Garrett was a Path
    Coordinator with CCDD between September 2003 and March 29, 2012. She was the
    Path Coordinator for Barnett for many years.
    {¶ 43} Garrett completed an individual assessment for Barnett on February 9,
    2012, while Barnett was still at IDTC. (Willis Ex. 13) After CCDD was notified that IDTC
    would stop providing services for Barnett as of May 25, 2012, Garrett began working with
    Barnett’s parents and researched options on home living arrangements and the providers
    that could provide services for Barnett.      (Willis Depo. at 86.)     Barnett’s parents, as
    Barnett’s guardians, were responsible for selecting the service provider and housing
    location for Barnett.
    {¶ 44} Garrett stated that she immediately contacted Barnett’s parents to inform
    -18-
    them of IDTC’s decision and to “begin figuring out” what they would like to do regarding
    Barnett’s placement and schooling. (Garrett Aff. at ¶ 9.) Barnett’s mother told Garrett
    that she would like CCDD to investigate Consumer Support Services, Barnett’s former
    provider, as a placement option; Garrett spoke with April Grigsby of CSS, but there were
    no openings at CSS’s facility in Clark County. (
    Id. at ¶
    10-11.) Garrett discussed other
    possible housing options with Grigsby. (
    Id. at ¶
    12.)
    {¶ 45} On March 1, 2012, Garrett received a monthly status report from IDTC,
    which reported that Barnett had no aggressive incidents in January and that he had made
    progress on his home goals.       On March 5, she emailed other Path Coordinators,
    including Horvath, to see if Barnett would be a suitable roommate with any of their clients.
    On March 7, Garrett received a response from Horvath stating that Barnett might be a
    good match with Dale and that he (Horvath) would look into it further. Wendy Mahar of
    SRI also indicated that she thought that Barnett and Dale would be a good match.
    Garrett met with Barnett’s mother on March 8 to discuss options for Barnett, and on March
    9, Garrett worked on coordinating roommate visits for Barnett.
    {¶ 46} Garrett also investigated schooling options for Barnett.      She contacted
    Springfield City Schools, Summit Academy, Goodwill Easter Seals in Beavercreek, and
    Bittersweet Farms.
    {¶ 47} On several days, Garrett and Barnett’s mother toured potential housing
    opportunities and school options. On March 16, they toured a home on Delcourt and
    discussed visiting Dale’s residence. On March 19, Garrett, Barnett, and Barnett’s mother
    toured Quest, CCDD’s adult day habilitation program, and met with Dale, Horvath, and
    two of Dale’s staff from Dale’s residence. On March 22, Garrett and Barnett’s mother
    -19-
    took a tour of Goodwill Easter Seals in Beavercreek; they discussed the advantages and
    disadvantages of Goodwill versus Quest.
    {¶ 48} On March 22, Barnett’s mother chose to have Barnett live with Dale in a
    Housing Connections house, and Garrett e-mailed Mahar at SRI to inform her that
    Barnett’s mother wanted Barnett to live with Dale. Garrett also spoke with Horvath,
    Dale’s Path Coordinator, about his (Horvath’s) also being Barnett’s Path Coordinator
    since she (Garrett) would soon be leaving for a new job. Horvath agreed.
    {¶ 49} Garrett began to coordinate a time to discuss Barnett’s Individual Plan (IP),
    and a meeting was tentatively scheduled for April 3, 2012. On March 26, the IP meeting
    was rescheduled for April 4, 2012. Garrett e-mailed Mahar of SRI a copy of Barnett’s
    “most recent IP and Behavioral Support Plan. I explained in the email that there may be
    several changes as Wesley [Barnett] was coming out of a facility.” Mahar initially did not
    receive Garrett’s email with Barnett’s plans, so Garrett resent it. Elizabeth Crawford,
    CEO of SRI, confirmed that SRI had received Barnett’s IP and behavior support plan from
    IDTC, IDTC’s documentation that supported the behavior support plan, and a
    psychological evaluation of Barnett.
    {¶ 50} Garrett’s last day of employment with CCDD was March 29, 2012, and she
    had no further involvement with Barnett’s case.        Horvath became Barnett’s Path
    Coordinator after March 30, 2012, following Garrett’s departure from CCDD.
    {¶ 51} Horvath testified at his deposition that, once he became Barnett’s Path
    Coordinator, he read the information in Barnett’s file and began working on Barnett’s
    relocation. Horvath stated that Garrett had set up day programming in Beavercreek, so
    he (Horvath) visited the program with Sam Menier, the positive support specialist for
    -20-
    CCDD, and tried to arrange for transportation for Barnett. (Willis testified that Menier sits
    on teams and helps teams determine interventions; Menier also writes the formalized
    behavior support plans for CCDD. (Willis Depo. at 110.)) When Horvath could not solve
    the transportation problem, he began working on getting Barnett into Quest.
    {¶ 52} Horvath also testified that he worked on arrangements with SRI, and he
    included Menier in the planning for Barnett’s care. Horvath testified that Menier wrote a
    behavior support plan for Barnett. Horvath indicated that he completed everything he
    needed to do for Barnett’s transition, including Barnett’s bank account, medications,
    transportation, and training with the “residential folks and workshop folks.” He stated that
    the only thing that remained to do was “the final paperwork,” meaning the IP. (Horvath
    Depo. at 27.) Horvath stated that he had sent Mahar everything that he had received
    from IDTC, including the IP and behavior support plan. Menier drafted positive behavior
    supports for Barnett; however, a behavior support plan was not finalized. (Id. at 55-56,
    68.) (SRI received the positive support plan that Menier drafted, but it is unclear whether
    it was received before or after the June 21 incident.)         Horvath stated that Menier
    conducted training with SRI on Barnett’s treatments and behavior.
    {¶ 53} Horvath, Willis, Mahar, and Barnett’s parents each testified in their
    depositions that there were numerous meetings regarding Wesley.             Willis, the Path
    Coordinator supervisor, stated in his deposition that, once Barnett’s parents selected a
    residence and service provider for Barnett, the support team had numerous meetings to
    prepare for Barnett’s relocation.    The team consisted of Barnett’s Path Coordinator,
    Barnett’s parents, representatives of SRI, and Menier. When Barnett began adult day
    services at Quest, a representative of Quest joined the team. Horvath likewise stated
    -21-
    that there were “a ton of conversations and meetings about Wesley [Barnett] and Dale
    and setting up providers. * * * It was a huge undertaking.” (Horvath Depo. at 31.)
    {¶ 54} Wendy Mahar, associate director of SRI, testified in her deposition that
    there were “lots of meetings” during which they talked about Barnett (his likes, dislikes,
    etc.), and discussed what the Barnetts thought, what their (the parents’) wishes were, and
    what they wanted from SRI regarding services. When asked how many meetings were
    held before Barnett became a client, Mahar responded, “I couldn’t even guess. There
    were so many.” Mahar testified that she received from CCDD everything that CCDD had
    received from IDTC. Mahar stated that she did not feel that there was paperwork that
    she needed, but was not getting, regarding Barnett.
    {¶ 55} Garrett testified that the IP was required to be maintained at the residence
    of a CCDD client, as well as the behavior support plan, if the client had one. SRI would
    also have certain documentation, created by SRI, that it would need to keep at the
    residence, such as time sheets, log notes, and the like. (Garrett Depo. at 43-44.) Wells
    (the SRI employee who was with Barnett during the June 21 incident) testified that an IP
    for Barnett was at the house and that she had received additional information about
    Barnett from his mother; Wells used the IP to take care of Barnett. SRI’s answers to
    interrogatories also indicated that “[t]he staff had received training based on Wesley’s
    Individual Plan from his previous case provider while awaiting an updated Individual Plan
    from the Clark County Board of DD. The Individual Plan gave staff procedures to follow
    for all home, medical and community needs.”         SRI employees completed a “Daily
    Documentation” form, which contained similar guidelines as Barnett’s March 2012 IP.
    {¶ 56} Wells stated that she did not have a written behavior support plan for
    -22-
    Barnett. Crawford (CEO of SRI) stated in her deposition that Barnett did not have a
    behavior support plan from the beginning, “[b]ecause in our initial meetings and
    discussions, we felt that we should give him an opportunity to adjust to his new
    environment and his new home before placing possible unnecessary restrictions on him.
    Clark County is a leader in the state of Ohio in regards to behavior support. And we are
    very forward-thinking, as far as using the lowest level of restrictions possible for
    individuals.” (Crawford Depo. at 40.) Crawford stated that SRI staff had Barnett’s prior
    behavior support plan from IDTC “for informational purposes only for his history, not as a
    guideline for [SRI] staff”; the plan was used “as a training tool just so the staff would be
    aware of Wesley’s previous behaviors.” (Id. at 57.)
    {¶ 57} Crawford testified that SRI staff receive “Do The Right Thing” training within
    their first three to six months of employment. Crawford explained that Do The Right
    Thing training includes “teaching staff how to protect themselves if there are physical
    behaviors, how to protect others, how to protect the individual. It does teach some
    restraints, but [SRI] staff are not allowed to use any restraints unless it is specifically
    written in a behavior support plan.” (Crawford Depo. at 46.) Wells testified that she had
    received Do the Right Thing training.
    {¶ 58} Willis and Crawford also testified about the plan that was in place for
    Barnett’s transition back into the community upon his return to Ohio. Willis testified that
    the “team planned very well in advance” between the time that CCDD was notified of
    Barnett’s anticipated discharge from IDTC through June 21, 2012, but he indicated that
    there was a “paperwork issue.” He stated: “I mean, the new provider has copies of the
    current plan that was in place; it was just not updated with a change of provider. You
    -23-
    know, the whole team was on board.          It was just an accident.    We couldn’t have
    prevented it.” (Willis Depo. at 88-89.) Willis later reiterated, “The county board had a
    thorough up-to-date and current individual plan in place. As I had stated earlier, the only
    error that we had in that was that we didn’t change it to Self-Reliance as the provider, but
    nothing would have changed in the plan.” (Id. at 102.) Willis indicated that Sam Menier
    met with Barnett’s service providers and trained them on behaviors of concern.
    {¶ 59} Crawford testified:
    In our meetings and in our discussions, in our e-mails, in our phone calls
    and everything, in review of his other documents from the institution and all
    of that pre-stuff before he came to be with us, we all knew – when I say we,
    I mean, the County board path coordinator, myself, Wendy, our staff
    supervisor, we all were very clear on what the plan was, how that transition
    was going to work, what we needed to do in the home to help him transition
    smoothly. We all communicated that very effectively among each other
    and then we communicated that to our staff in the home.
    (Crawford Depo. at 67.)
    {¶ 60} Between May 25 (when Barnett moved into the home) and June 21 (the
    assault on E.), SRI filed ten “unusual incident” (UI) reports with CCDD, which were faxed
    to Horvath. Twice on May 30, a SRI staff member reported that Barnett was engaged in
    masturbation behaviors in the living room, which required redirection. On four different
    dates in June, Barnett tried to use milk from his roommate’s refrigerator.         At three
    different times on June 16, Barnett broke window treatments inside the house. On June
    15, SRI staff noticed a red mark on Barnett’s forehead. Willis testified that when CCDD
    -24-
    receives UIs “and it’s a pattern, then we have to – the team has to meet and they have to
    discuss what the prevention plan is as the full team.” In contrast, with a major usual
    incident (MUI), “you have to immediately put in prevention plans to assure health and
    safety.” (The assault on E. was considered a MUI.) On June 19, Quest staff reported
    that Barnett had bitten another consumer of their services.
    {¶ 61} The Stayers offered the deposition testimony of Dr. Terrance Kukor, Ph.D.,
    a clinical psychologist with a certification in forensic psychology by the American Board
    of Professional Psychology.    Dr. Kukor opined that CCDD and its employees were
    reckless, because they did not prepare a written IP and behavior support plan specific to
    Barnett’s residential circumstances. (Kukor Depo. at 65-67.) Dr. Kukor stated that,
    without a written plan, “you don’t have a map * * * that you can share across shifts, that
    you share across staff and say here’s the plan for Wesley.” (Id. at 71.) Dr. Kukor further
    explained:
    [I]t’s the plan that would tell me did they [CCDD] adequately account for
    what was known about his [Barnett’s] tendency to be violent. It’s one thing
    to say, sure we discussed it. There’s no documentation. I can’t tell what
    – how far that discussion went, if they were properly applying the
    information from a more restrictive level of care to a lower level of care[.] *
    * * [B]ut the problem with it is that the people that were responsible for
    providing day-to-day, hour-to-hour supervision and care for Wesley didn’t
    have a written plan that they could consult and use to make decisions about
    what they were going to do or not do with Wesley based on his behavior in
    the moment.
    -25-
    (Kukor Depo. at 102-103.) Dr. Kukor noted that the failure to create a revised IP for
    Barnett violated the Ohio Admin. Code 5123:2-1-11 (Service and Support Administration
    provisions).4
    C. Employees’ Entitlement to Immunity
    {¶ 62} Upon review of the evidence submitted by the parties, and viewing the
    evidence in the light most favorable to the Strayers, we find that there are no genuine
    issues of material fact and that, as a matter of law, the CCDD employees’ conduct did not
    constitute a “conscious disregard of or indifference to a known or obvious risk of harm to
    another that is unreasonable under the circumstances and is substantially greater than
    negligent conduct.”
    {¶ 63} Beginning with Garrett, Barnett’s long-time Path Coordinator, the evidence
    reflects that, after Garrett was notified that Barnett would be leaving IDTC and returning
    to Ohio, she began to investigate new placements and schooling for Barnett.          This
    involved numerous discussions with Barnett’s parents (his guardians), potential housing
    providers, and potential schooling options. Garrett left her employment with CCDD on
    March 29, 2012, nearly two months before Barnett returned to Ohio from Indiana.
    Although Garrett did not complete a new IP or behavior support plan for Barnett before
    she left her employment with CCDD, her provision of service and support administration
    to Barnett in February and March of 2012 cannot reasonably be categorized as reckless
    or wanton conduct.     The trial court properly granted summary judgment to Garrett
    4
    Ohio Admin. Code 5123:2-1-11, addressing county boards of “mental retardation” and
    developmental disabilities, has been revised, effective March 17, 2014. Among other
    changes, the current version renumbered some of the provisions, and an individual plan
    is now known as an individual service plan (ISP).
    -26-
    pursuant to R.C. 2744.03(A)(6).
    {¶ 64} Turning to Horvath, Garrett’s successor as Barnett’s Path Coordinator, the
    Strayers claim that Horvath’s placement of Barnett in a residential setting without an
    updated IP and behavior support plan amounted to reckless or wanton conduct, and that
    Willis (Garrett’s and Horvath’s supervisor) also was not immune from liability due to his
    failure to ensure that Barnett’s case was “properly managed and properly transitioned
    within the agency.”
    {¶ 65} There is no genuine issue of material fact that, prior to the June 21 incident,
    a revised IP was not prepared to specifically address Barnett’s relocation from IDTC to a
    residential setting. Both Willis and Horvath testified that there was a “paperwork” error,
    and Horvath indicated that, after the incident, he was put on administrative leave by
    CCDD because “the paperwork was not completed.”
    {¶ 66} However, upon review of all of the evidence, we find no genuine issue of
    material fact that the absence of the revised paperwork did not amount to recklessness.
    Both Garrett and Horvath sent documentation about Barnett, including Barnett’s most
    recent IP and behavior support plan for IDTC, to SRI prior to Barnett’s residential
    placement. The March 2012 IP indicated that Barnett “has a history of MUI’s involving
    physical intervention for physical aggression” and other inappropriate behaviors, such as
    inappropriate urination. With respect to alone time, it stated: “Wesley has no alone time.
    He must be within hearing distance at all times when in an enclosed area. When in an
    open area or around other people Wesley must be within vision at all times due to a
    tendency to elope or become aggressive.” Wells testified that an IP for Barnett was
    available in the residence, and that she used it as a reference for Barnett’s care. The
    -27-
    Daily Documentation form that SRI completed included the requirement that staff “monitor
    for inappropriate behaviors (physical aggression, inappropriate urination) and document
    as an Unusual Incident as they occur.        Refer to IP.”   Other Daily Documentation
    requirements, such as waking Barnett three times throughout the night to urinate and the
    “alone time” monitoring, mirrored Barnett’s prior IP.
    {¶ 67} The February 2012 behavior support plan indicated that Barnett’s physical
    aggression consisted of hitting, head butting, throwing objects at people, and biting, and
    it indicated potential triggers for those behaviors. In addition, during several “support
    team” meetings to prepare for Barnett’s transition to residential care, SRI was informed
    of and discussed Barnett’s aggressive behaviors and the potential triggers. In April
    2012, Menier prepared a positive behavior plan for Barnett, and although it was never
    formalized as a behavior support plan, Menier met with Barnett’s service providers and
    trained them on Barnett’s behaviors of concern. SRI staff were not permitted, by law, to
    use chemical and physical restraints, as provided in the IDTC behavior support plan, but
    all SRI staff had been trained in positive supports (Do The Right Thing) by SRI. Although
    Horvath perhaps should have provided updated documentation (IP and behavior support
    plan) to SRI prior to Barnett’s transition to residential care in Clark County, Horvath’s
    actions did not, as a matter of law, display a conscious disregard of or indifference to a
    known risk of harm to others. Stated simply, Horvath’s conduct was neither reckless nor
    wanton.
    {¶ 68} We recognize that Dr. Kukor testified in his deposition that the absence of
    a written plan was reckless because SRI did not have updated documentation, specific
    to Barnett’s residential placement, to consult and use to make decisions about Barnett
    -28-
    based on his behavior. Dr. Kukor indicated that an updated IP and behavior support plan
    should have accounted for changes in the amount of supervision that Barnett would have.
    Dr. Kukor indicated that, in the absence of updated documentation, he could not tell
    whether CCDD employees and SRI had a plan to manage Barnett’s care and the risk of
    aggression.   Willis testified that Barnett’s IP would have mirrored the IP that had
    previously been in place at IDTC, and that the only change at the beginning of Barnett’s
    residential placement would have been changing the name of the service provider from
    IDTC to SRI; the members of Barnett’s support team anticipated that a plan would be
    “tweeked” based on how Barnett adapted to residential placement. Considering the
    entirety of the evidence presented, including CCDD’s provision of and SRI’s use of
    Barnett’s prior IP and behavioral information regarding Barnett to inform Barnett’s care,
    Dr. Kukor’s testimony does not, by itself, create a genuine issue of material fact about the
    recklessness of Horvath’s provision of service and support administration for Barnett.
    {¶ 69} During the relevant time period, Willis was a Path Coordinator supervisor
    with CCDD. In that position, Willis supervised ten Path Coordinators, who served as the
    service and support administrators. Although no path coordinator prepared an updated
    IP and formalized a new behavior support plan for Barnett upon his transition to residential
    placement, we find nothing in the record to suggest that Willis’s supervision of Barnett’s
    Path Coordinators rose to the level of reckless or wanton conduct.
    {¶ 70} The trial court properly granted summary judgment to Garrett, Horvath, and
    Willis pursuant to R.C. 2744.03(A)(6).
    V. Conclusion
    {¶ 71} The trial court’s judgment will be affirmed.
    -29-
    .............
    HALL, P.J. and WELBAUM, J., concur.
    Copies mailed to:
    Valerie Juergens Wilt
    Mark Landes
    Andrew N. Yosowitz
    Robert Byrne
    Karen Clouse
    Wesley R. Barnett, c/o Carolyn Barnett or Michael Barnett, Guardians
    Hon. Douglas M. Rastatter
    

Document Info

Docket Number: NO. 2016–CA–19

Citation Numbers: 2017 Ohio 5617, 94 N.E.3d 156

Judges: Froelich

Filed Date: 6/30/2017

Precedential Status: Precedential

Modified Date: 10/19/2024