Candace Young v. Washington County, Tennessee ( 2012 )


Menu:
  •                    IN THE COURT OF APPEALS OF TENNESSEE
    AT KNOXVILLE
    July 11, 2012 Session
    CANDACE YOUNG v. WASHINGTON COUNTY, TENNESSEE
    Appeal from the Circuit Court for Washington County
    No. 10195C      Thomas J. Seeley, Jr., Judge
    No. E2011-02189-COA-R3-CV-FILED-OCTOBER 29, 2012
    The plaintiff, a probationer, charged Washington County with negligent oversight and
    supervision, after she was sexually assaulted and raped by a private entity’s probation officer.
    The trial court ruled in favor of the county, and the plaintiff appeals. We affirm the judgment
    of the trial court.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court
    Affirmed; Case Remanded
    J OHN W. M CC LARTY, J., delivered the opinion of the court, in which C HARLES D. S USANO,
    J R., and D. M ICHAEL S WINEY, JJ., joined.
    Tony Seaton and Robert Bales, Johnson City, Tennessee, for the appellant, Candace Young.
    John Rambo, Jonesborough, Tennessee, for the appellee, Washington County, Tennessee.
    OPINION
    I. BACKGROUND
    Michael Moore, currently 63 years of age, started his probation career in July 1997,
    with Mid South Court Services/Comprehensive Community Services (“CCS”). Moore
    worked for probation agencies in Washington County (“the County”) for twelve years prior
    to the incident at issue.1 In 2007, one of the general sessions judges in the County, the
    1
    According to the materials in the record, prior to becoming a probation officer, Moore was in the
    Air Force for 26 years. He retired as a Senior Master Sergeant/First Sergeant, 81st Security Police Forces,
    (continued...)
    Honorable James Nidiffer, purportedly encouraged Moore and another probation officer to
    start their own agency. Subsequently, Judge Nidiffer signed a written “Probation Proposal”
    prepared by Moore and his partner. Moore then retained an attorney to organize the
    company, Washington County Probation Agency, LLC (“WCPA”). Regarding WCPA,
    Moore testified in his deposition as follows:
    Q. Tell me what you did after you have the LLC Incorporated and did the
    appropriate legal documents like that?
    A. Well, this was, I, I remember asking [the attorney] once, once we got the
    paperwork back from, the Secretary of the State, if there was anything else that
    I had to do. And he said, no, this, this is it, you’re, you’re good to go. . . .
    On June 26, 2007, Judge Nidiffer sent a letter to all probation agencies in the County that he
    would exclusively assign all of the cases from his court to WCPA. The new agency started
    on July 1, 2007, and probation files previously assigned to Moore and his partner simply
    transferred from their prior private probation agency to WCPA. It is undisputed that no one
    associated with the County checked to see whether WCPA was licensed with the Tennessee
    Private Probation Council (“the Council”).
    In March 2008, the plaintiff, Candace Young, then 19 years old, pled guilty to
    misdemeanor shoplifting in Judge Nidiffer’s court. She was sentenced to probation services
    and assigned to WCPA. Moore became Young’s probation officer, and she began her
    monthly reporting to him in June 2008. After a probation meeting on January 22, 2009,
    Young alleged that she had been sexually assaulted and raped by Moore.
    In March 2009, Moore, on behalf of WCPA, petitioned the Council for licensure. The
    application was denied in June 2009.
    Young filed her complaint in this matter on June 8, 2009. She named as defendants
    1
    (...continued)
    Keesler Air Force Base, Mississippi. By deposition, Moore related that he has an Associate’s Degree in
    Administrative Management from the Community College of the Air Force and attended numerous schools
    while in the military. In paperwork associated with the probation agency, Moore asserted that he had over
    20 years experience working within the Military Justice System as a Supervisor, Superintendent, Instructor
    and First Sergeant. He noted that he is a graduate of the U.S. Air Force NCO Academy and U.S. Air Force
    First Sergeant Academy.
    -2-
    the County, Moore,2 and WCPA.
    In her complaint, Young alleged that the County’s immunity under the Governmental
    Tort Liability Act, Tennessee Code Annotated section 29-20-201, et seq., was removed for
    her injuries that were proximately caused by the negligent acts or omissions of Judge Nidiffer
    within the scope of his employment.3 She argued that the County failed in its duty “to
    protect probationers under the[ ] supervision” of the court, and that the County “knew or
    should have known that private probation services are required to be license[d] by the
    Tennessee Private Probation Services Coun[cil].” She claimed that Judge Nidiffer assigned
    her to the supervision of WCPA without knowledge or concern whether the agency was
    legally operating, and that her injuries were a foreseeable consequence of the County’s
    failure to investigate and supervise the private probation agencies operating in the County,
    resulting in her being subjected to the supervision of an unlicensed private probation agency
    where she was injured.
    The trial was conducted on August 8, 2011. Before the trial commenced, Young
    entered into an order of dismissal with prejudice as to Moore and WCPA. The County
    remained as a defendant.
    Testifying by deposition, Judge Nidiffer indicated that while he was aware there are
    certain guidelines that must be followed for private probation agencies, he was not aware the
    state had enacted regulations regarding licensure by the Council. In regard to the start up of
    WCPA, he related he told Moore “that he needed to get a lawyer, and see if it was possible
    for [Moore] to [start a probation agency] . . . .” Judge Nidiffer admitted that he never asked
    if WCPA was licensed, but opined that it was not his responsibility.
    At the time of trial, Donna W. Hancock served as the Executive Director of the
    Council, an agency within the Department of Commerce and Insurance of the State of
    Tennessee. Hancock observed that the Council serves to regulate private probation agencies,
    and has the authority to revoke the licenses of such agencies and to levy civil penalties. She
    testified that “[n]o private entity may provide probation services in this State unless it has
    registered with and is approved by the Council.” Hancock stated that the rules of the Council
    became effective in 2005. According to Hancock, it is the responsibility of those who assign
    2
    On May 15, 2009, Moore was criminally charged with one count of rape and one count of sexual
    battery. See State v. Michael Moore, No. 35288 (Washington County). According to Moore, he entered an
    Alford plea in the case on April 20, 2010.
    3
    Young noted she did not sue Judge Nidiffer in his individual or official capacity. We note that
    Tennessee Code Annotated section 40-35-302 does not give a judge of a sessions court the authority to
    contract for probation services.
    -3-
    cases to probation officers to ensure that they are licensed. Hancock related that the Council
    did not have any knowledge of WCPA’s existence until it received the agency’s application.
    Hancock testified that WCPA was denied a license because of a deficiency in Moore’s
    education and bond. She opined that Moore’s experience and his associate’s degree may
    have been sufficient to meet the requirement of the four-year degree requisite for a CEO,
    especially since past experience in an organization providing services in criminal justice or
    social work may be substituted for the bachelor’s degree. She noted that although WCPA’s
    bond was in the correct amount, it lacked an expiration date.
    As part of WCPA’s application, Moore had submitted his background check. As
    verified by the Tennessee Bureau of Investigation, it indicated no criminal history. Hancock
    testified that Moore’s credentials, at that point in time, qualified him to work as a probation
    officer. While the licensing process was pending, the Council learned from a media outlet
    of Moore’s indictment on charges of rape and sexual battery of a client. The Council
    subsequently directed the issuance of a cease and desist order to WCPA “for operating an
    unlicensed agency.” 4
    Hancock acknowledged that no rule or regulation specifically requires judges or
    counties to verify the licensing of private probationary agencies with the Council. She
    testified further that since her employment, no communication had been sent from the
    Council to the state’s trial judges alerting them of the requirement that private probation
    services be licensed and registered with the Council. She observed that the Council was
    concerned that judges in the state were not aware of the licensing requirements.5
    Additionally, she noted that her office does not solicit reports from the trial courts inquiring
    about private probation activity in the counties.
    At the close of Young’s case, the trial court granted the County’s motion for
    involuntary dismissal. In the final judgment entered on September 29, 2011, the trial court
    held “[t]he injuries suffered by Plaintiff, Candace Young, were not proximately caused by
    the Defendant, Washington County’s failure to follow or enforce the licensing process . . .
    .” The judgment incorporated the ruling from the bench:
    THE COURT: All right. Basically, this is a negligence case. . . . [T]he
    4
    It is unclear whether the letter was sent.
    5
    The minutes of the Council also note that “Judge Chris Craft asks that a letter be sent to all the
    General Sessions Judges in the State stating that it is illegal to assign cases to unlicensed private probation
    entities.”
    -4-
    question is to me -- was there a breach of duty and which proxima[te]ly caused
    injury to Ms. Young? And you -- you know we’re all familiar with the
    elements of negligence. There’s a duty, a breach, proximate cause, and now
    they say also legal cause, and then damages. And the key to proximate cause
    really is the question -- foreseeability. And the question in this case seems to
    me to be was it foreseeable to Judge Nidiffer that any failure on his part to
    determine that Michael Moore and his agency -- the Washington County
    Probation Agency -- was licensed, would result in Ms. Young or any other
    probationer being sexually assaulted by Mr. Moore. It’s another way of
    putting it -- is there anything in the licensing process that would have alerted
    Judge Nidiffer to the likelihood that Mr. Moore would sexually assault a
    probationer? And it really does come down to -- should Judge Nidiffer have
    known that Mr. Moore had some propensity or there was some real risk that
    Mr. Moore would sexually abuse a probationer, basically as a result of his not
    being licensed. We know that Mr. Moore worked for CCS -- a probation
    agency -- for some eleven years. There’s nothing in the record to indicate that
    he had any prior problems assaulting anybody, whether sexual or otherwise.
    There’s nothing that would indicate he had been guilty of any violent acts
    toward anyone or property prior to his being authorized by Judge Nidiffer to
    accept probationers. . . .
    In the record before this Court, there is nothing to indicate -- that would have
    indicated to Judge Nidiffer that Michael Moore had any propensity to sexually
    assault Ms. Young. There’s nothing that this Court could find that was in the
    licensing process . . . that would have alerted Judge Nidiffer to the likelihood
    that Mr. Moore would sexually assault a probationer. For all these reasons, the
    Court has to find in favor of the Defendant, Washington County. In addition,
    I am also of the opinion that Judge Nidiffer probably has judicial immunity in
    this. I was looking at judicial immunity, which was raised initially, but it also
    says with respect to that, “In determining whether or not there’s judicial
    immunity for an act of a Judge and the Judge therefore be given absolute
    immunity you generally consider four factors. (1) Whether the precise act
    complained of is a normal judicial function or whether the act is normally
    performed by a Judge.” Well, we know that the Judges decide who’s going to
    probation in their courts. “(2) Whether the act occurred in the courtroom or
    appropriate adjunct spaces such as the Judge’s chambers.” Well, basically he
    appointed Moore and his agency in the courtroom, and I don’t know where he
    actually signed the proposal, but that’s basically a judicial act. “(3) Whether
    the controversy centered around a case pending before the Court.” Well,
    we’ve got Ms. Young’s case. “(4) Whether the parties dealt with the Judge,
    -5-
    or the acts, or was directly out of visit with the Judge in his or her official
    capacity.” Well, we know that he met with Mr. Moore and talked to Mr.
    Moore about appointing him as a probation officer, and Judge Nidiffer was
    acting in his judicial capacity. So I think Judge Nidiffer in all likelihood
    enjoyed judicial immunity in this, even if he made a wrong decision or omitted
    to make a decision he should have made. But in any event, [Young] ha[s]
    failed to prove proximate cause that any action by Judge Nidiffer proximately
    caused the assault on Ms. Young. . . .
    Young filed a timely notice of appeal.
    II. ISSUES
    The issues raised by Young are restated as follows:
    1. Did the trial court err by finding that the County was not liable for its
    failure to investigate and supervise WCPA.
    2. Did the trial court err in finding that the County’s breach of its duty was not
    a proximate cause of Young’s injuries.
    3. Did the trial court err by limiting its holding only on the actions of Judge
    Nidiffer, rather than evaluating the negligence and failures of others in the
    County.
    4. Did the trial court err in applying a more restricted foreseeability test than
    what is required by case law in this state.
    III. STANDARD OF REVIEW
    In a civil case heard without a jury, we review the trial court’s factual findings de
    novo upon the record accompanied by a presumption of correctness unless the preponderance
    of the evidence is otherwise. See Tenn. R. App. P. 13(d). With respect to legal issues, this
    court’s review is de novo with no presumption of correctness. Graham v. Caples, 
    325 S.W.3d 578
    , 581 (Tenn. 2010). The construction of statutes and rules and regulations, along
    with their application to the facts, are questions of law reviewed by us without a presumption
    of correctness. Gautreaux v. Internal Med. Educ. Found., Inc., 
    336 S.W.3d 526
    , 531 (Tenn.
    2011).
    -6-
    This cause was dismissed after the close of Young’s case. The trial court granted a
    Rule 41.02 involuntary dismissal (“After the plaintiff in an action tried by the court without
    a jury has completed the presentation of plaintiff’s evidence, the defendant, without waiving
    the right to offer evidence in the event the motion is not granted, may move for dismissal on
    the ground that upon the facts and the law the plaintiff has shown no right to relief . . . If the
    court grants the motion for involuntary dismissal, the court shall find the facts specifically
    and shall state separately its conclusion of law and direct the entry of the appropriate
    judgment.”).
    Under a Rule 41.02(2) motion, “the trial judge must impartially weigh and evaluate
    the evidence in the same manner as though he were making findings of fact at the conclusion
    of all of the evidence for both parties, determine the facts of the case, apply the law to those
    facts, and, if the plaintiff’s case has not been made out by a preponderance of the evidence,
    a judgment may be rendered against the plaintiff on the merits.” City of Columbia v. C.F.W.
    Constr. Co., 
    557 S.W.2d 734
    , 740 (Tenn. 1977). “If a plaintiff’s case has not been
    established by a preponderance of the evidence, then the case should be dismissed if the
    plaintiff has shown no right to relief on the facts found and the applicable law.” Bldg.
    Materials Corp. v. Britt, 
    211 S.W.3d 706
    , 710-11 (Tenn. 2007).
    When the trial court has seen the witnesses and heard the testimony, especially when
    issues of credibility and the weight of testimony are involved, we must extend considerable
    deference to the trial court’s findings of fact. Houser v. Bi-Lo, Inc., 
    36 S.W.3d 68
    , 71 (Tenn.
    2001). However, we are in the same position as the trial judge in evaluating proof that is
    submitted by deposition, and may independently assess the weight and credibility of such
    testimony. Richards v. Liberty Mut. Ins. Co., 
    70 S.W.3d 729
    , 732 (Tenn. 2002).
    IV. DISCUSSION
    Young argues that the County was responsible for ensuring that the laws of this state
    regarding private probation agencies were satisfied. She contends that the County failed to
    determine whether WCPA had been approved by the Council and failed to investigate and
    supervise the entity. She asserts that as a direct and proximate result of the County’s breach,
    she was injured.
    An initial issue to address is whether the County is immune from suit pursuant to the
    discretionary function exception in the Tennessee Governmental Tort Liability Act (“the
    GTLA”).
    -7-
    TENNESSEE GOVERNMENTAL TORT LIABILITY ACT
    County liability is addressed in the GTLA, Tennessee Code Annotated sections 29-20-
    101, et seq. The GTLA removes county governmental immunity for certain negligent acts
    of its “employees.” The GTLA defines the term “employee” as follows: “Employee means
    and includes any official whether elected or appointed . . . of a governmental entity . . . .”
    Tenn. Code Ann. § 29-20-102(2). Thus, a general sessions judge would be an “employee”
    of his or her county within the meaning of the GTLA. See State ex rel. Winstead v. Moody,
    
    596 S.W.2d 811
    , 813-14 (Tenn. 1980).
    Pursuant to Tennessee Code Annotated section 29-20-201, governmental entities are
    immune from suit for injuries arising from activities “wherein such governmental entities are
    engaged in the exercise and discharge of any of their functions, governmental or proprietary.”
    Tennessee Code Annotated section 29-20-201 codifies the common law rule that “all
    governmental entities shall be immune from suit for any injury which may result from the
    activities of such governmental entities.” Thus, the GTLA forecloses suits against
    governmental entities that cause injury when exercising or discharging their duties.
    Exceptions are outlined at Tennessee Code Annotated section 29-20-205. The exceptions
    permit a suit against a governmental entity when an employee of that entity acting within the
    scope of his or her employment negligently causes injury to another. A governmental entity
    remains immune from suit, however, if the injury results from a discretionary act of the
    governmental entity regardless of whether that discretion was abused. Tenn. Code Ann. §
    29-20-205(1).
    In Moore v. Houston County Board of Education, 
    350 S.W.3d 612
     (Tenn. Ct. App.
    2011), a panel of this court recently addressed the case law on this issue:
    The TGTLA does not define the term “discretionary function.” See Lucas v.
    State, 
    141 S.W.3d 121
    , 128 (Tenn. Ct. App. 2004). However, our Supreme
    Court, in Bowers v. City of Chattanooga, 
    826 S.W.2d 427
     (Tenn. 1992),
    adopted the planning-operational test to assist courts in analyzing whether the
    negligent act or omission of a governmental entity is a discretionary function.
    Bowers, 826 S.W.2d at 430-31. Under the planning-operational test, courts are
    to distinguish governmental acts that are performed at the “planning” level
    from those performed at the “operational” level:
    decisions that rise to the level of planning or policy-making are
    considered discretionary acts which do not give rise to tort
    liability, while decisions that are merely operational are not
    considered discretionary acts and, therefore, do not give rise to
    -8-
    immunity.
    Bowers, 826 S.W.2d at 430.
    ***
    Our Supreme Court applied the planning-operational test in Limbaugh v.
    Coffee Medical Center, 
    59 S.W.3d 73
     (Tenn. 2001), to determine whether a
    nursing home’s failure to follow employee disciplinary guidelines was a
    discretionary function for which immunity was available under the TGTLA.
    In Limbaugh, a nursing assistant employed by a state nursing home physically
    assaulted and seriously injured Mrs. Limbaugh, a ninety-year-old resident at
    the facility. Prior to assaulting Mrs. Limbaugh, the employee had
    demonstrated a propensity for violence toward patients. The administrator of
    the nursing home testified that the home had standards for disciplining an
    employee who had exhibited combative behavior; the Court found that the
    standards were not followed in the case of the employee who assaulted Ms.
    Limbaugh. In analyzing whether the nursing home’s failure to implement its
    disciplinary policy was a discretionary function, the Court discussed the
    planning-operational test and noted:
    Decisions that rise to the level of planning or policy-making are
    considered to be discretionary acts requiring judicial restraint
    and are, therefore, not subject to tort liability. On the other
    hand, decisions that merely implement preexisting policies and
    regulations are considered to be operational in nature and
    require the decision-maker to act reasonably in implementing
    the established policy. If the policy, regulation, or other
    standard of procedure mandates specific conduct, then any
    employee reasonably complying with that direction will not
    abrogate the entity’s immunity if the action furthers the
    underlying policies of the regulation.
    Limbaugh v. Coffee Med. Ctr., 
    59 S.W.3d 73
    , 85 (Tenn. 2001) (citing Chase
    v. City of Memphis, 
    971 S.W.2d 380
    , 384 (Tenn. 1998)). The Court ultimately
    reasoned that because the nursing home “negligently failed to follow the
    guidelines designed to prescribe the proper disciplinary measures to impose,”
    the discretionary function did not bar recovery. Id. at 85-86.; see also Haney
    v. Bradley Cnty. Bd. of Educ., 
    160 S.W.3d 886
    , 900 (Tenn. Ct. App. 2004)
    (finding that the failure to implement an early-dismissal policy adopted by the
    -9-
    board of education was an operational decision not a discretionary decision).
    ...
    Moore, 358 S.W.3d at 616-617.
    In Giggers v. Memphis Housing Authority, 
    363 S.W.3d 500
     (2012), the Tennessee
    Supreme Court recently reviewed the planning-operational test:
    To determine whether a governmental entity is entitled to immunity for a
    discretionary decision, this Court applies the “planning-operational test.”
    Bowers v. City of Chattanooga, 
    826 S.W.2d 427
    , 430 (Tenn. 1992). A
    governmental entity is immune from suit for actions involving “planning or
    policy-making.” Helton v. Knox Cnty., 
    922 S.W.2d 877
    , 885 (Tenn. 1996)
    (quoting Bowers, 826 S.W.2d at 430). When the act is merely “operational,”
    the entity is not immune. Id.
    In Bowers, we determined that a planning decision usually involves
    consideration and debate regarding a particular course of action by those
    charged with formulating plans or policies. Bowers, 826 S.W.2d at 431; see
    also Helton, 922 S.W.2d at 885. A planning decision frequently requires a
    governmental entity to create policies or plans, formulate specifications or
    schedules, allocate resources, or determine priorities. Bowers, 826 S.W.2d at
    431. Planning or policy-making decisions are not subject to tort liability, and
    a review of these decisions requires judicial restraint. Limbaugh, 59 S.W.3d
    at 85.
    Operational decisions, however, implement “preexisting laws, regulations,
    policies, or standards” that are designed to guide the actions of the
    governmental entity. Bowers, 826 S.W.2d at 431. An operational decision
    requires that the decision-maker act reasonably when implementing preexisting
    policy. Limbaugh, 59 S.W.3d at 85. Unlike a planning or policy-making
    decision, an operational decision does not involve the formulation of new
    policy.”
    Id. at 507-08.
    This state’s legislature has spoken on the issue of private probation services. We find
    the legislation instructive.
    Pursuant to Tennessee Code Annotated section 40-35-302 (misdemeanor sentencing),
    -10-
    a court may order an eligible defendant placed on probation to be supervised by a private
    agency that has been established for the purpose of supervising defendants convicted of
    misdemeanors. Tenn. Code Ann. § 40-35-302(f). Under Tennessee Code Annotated section
    40-35-302(f), the judge clearly has the discretion to choose which agency will supervise a
    defendant.6 Subsection (g) of that statutory provision sets out the qualifications that an entity
    supervising misdemeanor probationers must meet. Tennessee Code Annotated section 40-
    35-302(g)(1)(A) states that a private entity providing probation services shall be required to
    perform all of the following:
    (i) Provide a report to the clerk of the criminal court and general sessions
    court in each judicial district in which the entity proposes to provide
    misdemeanor probation services on a quarterly basis in a form and manner as
    is specified by the clerk . . . ;
    (ii) Provide an application form to all of the criminal court and general
    sessions court judges in each judicial district in which the entity proposes to
    provide misdemeanor probation services. The application shall be on a form
    and in a manner specified by the judges and shall contain all of the information
    required by subdivision (g)(1)(E)
    ***
    Tennessee Code Annotated section 40-35-302(g)(1)(B) sets out
    [t]he following minimum education standards . . . required for certain
    employees of an entity established for the purpose of supervising misdemeanor
    probationers:
    (i) The chief executive officer of an entity offering probation
    supervision shall have a bachelor’s degree from an accredited
    university in any of the following fields: criminal justice,
    administration, social work or the behavioral sciences and two
    (2) years of experience in criminal justice or social work;
    6
    The Code of Judicial Conduct in Canon 3 provides that “referrals shall be made impartially and on
    the basis of merit” and that “[a] judge shall avoid . . . favoritism . . . .” Tenn. Sup. Ct. R. 10, Canon 3(C)(5).
    A 2008 opinion of the Tennessee Attorney General provides that “where a judge harbors a good-faith belief
    that one such service is superior to another, considerations of merit may result in some companies receiving
    more business than others. Disproportionate referrals based on simple favoritism, however, run counter to
    the Code of Judicial Conduct.” Opinion No. 08-175 (Nov. 18, 2008).
    -11-
    provided, that four (4) years of professional administrative
    experience with an organization providing services in criminal
    justice or social work may be substituted for the bachelor’s
    degree; and
    (ii)   An employee responsible for providing probation
    supervision and employed by an entity shall have at least four
    (4) years of experience in a criminal justice or a social services
    agency providing counseling services or shall have a bachelor’s
    degree or associate’s degree from an accredited college or
    university . . . .
    The implementing regulations of Tennessee Code Annotated section 16-3-909 set
    forth certain requirements that private entities must satisfy in order to provide probation
    services in this state. See Tenn. Comp. R. & Regs. 1177-1-.03. Within Title 16, Part 3,
    section 909, we find the duties of the Council outlined:
    (a) The purpose of the council is to ensure that uniform professional and
    contract standards are practiced and maintained by private corporations,
    enterprises and entities rendering general misdemeanor probation supervision,
    counseling and collection services to the courts. To such end, the council
    shall:
    (1) Provide oversight of private entities;
    (2) Promulgate uniform professional standards and uniform
    contract standards for private entities;
    (3) Establish forty (40) hours of orientation for new private
    probation officers and twenty (20) hours of annual continuing
    education;
    (4) Promulgate rules and regulations regarding noncompliance
    with the uniform professional standards and uniform contract
    standards;
    (5) Promulgate rules and regulations requiring periodic
    registration of all private entities;
    (6) Publish an annual summary report; and
    (7) Promulgate rules and regulations requiring criminal records
    checks of all private probation officers.
    (b) All rules and regulations promulgated pursuant to subsection (a) shall be
    promulgated in accordance with the Uniform Administrative Procedures Act
    -12-
    ....
    Tennessee Code Annotated section 16-3-910 provides that
    [t]he council has the power:
    (1) To establish fees sufficient to pay the annual expenses of the
    council; and
    (2) In a lawful proceeding under the Uniform Administrative
    Procedures Act . . . assess civil penalties, in accordance with
    rules adopted pursuant to the Uniform Administrative
    Procedures Act, for violations of statutes, rules or orders
    enforceable by the council.
    Pursuant to the statutory authority above, the Council has promulgated rules governing
    private probation agencies. Pursuant to Tenn. Comp. R. & Regs. 1177-1-.03(1), a private
    probation agency such as WCPA is required to register with the Council (“No private entity
    may provide probation services in this state unless it has registered with and is approved by
    the Council. . . .”). Tenn. Comp. R. & Regs. 1177-1-.05(1)(a) mandates that private
    probation entities
    [p]rovide an application form to all of the criminal court and general sessions
    court judges in each judicial district in which the entity proposes to provide
    misdemeanor probation services. Such application shall be on a form and in
    a manner specified by the criminal court and general sessions court clerk under
    the supervision of the judges and shall contain all of the following
    information:
    ***
    4. The names of the employees who will provide services, their
    credentials and their position with the entity;
    5. A sworn statement that the credentials of all employees meet
    the minimum standards listed in rule 1177-1-.06 of this chapter;
    ***
    9. Proof of current registration and approval by the Council
    to provide misdemeanor probation services.
    -13-
    (Emphasis added).7 Tenn. Comp. R & Regs. 1177-1-.05(b) notes that “[o]nce the private
    entity has been approved to provide services, the entity shall supply a quarterly report to the
    clerk of the criminal court and general sessions court in each judicial district in which the
    entity proposes to provide misdemeanor probation services on a quarterly basis in a form and
    manner specified by the clerk . . . .”
    Tenn. Comp. R. & Regs. 1177-1-.06 tracks Tennessee Code Annotated section 40-35-
    302 regarding the education and experience necessary for employees of a private probation
    entity that provides misdemeanor probation supervision:
    (a) The chief executive officer shall have a bachelor’s degree from an
    accredited university in any one (1) of the following fields: criminal justice,
    administration, social work or the behavioral sciences, and two (2) years
    experience in criminal justice or social work. Upon approval by the Council,
    four (4) years of professional administrative experience with an organization
    providing services in criminal justice or social work may be substituted for the
    bachelor’s degree; and
    (b) Each employee who is responsible for providing probation supervision
    shall have at least four (4) years of experience in a criminal justice or a social
    services agency providing counseling services or shall have a bachelor’s
    and/or an associate’s degree from an accredited college or university in any of
    the following fields: criminal justice, administration, social work, or the
    behavioral sciences.
    Tenn. Comp. R. & Regs. 1177-1-.07(1) provides that “[a] registration as a private entity
    expires one (1) year after the date of its issuance and becomes invalid unless renewed.”
    The provisions regarding private probation agencies clearly contemplate the
    involvement of county employees such as judges and court clerks.
    In Brown v. Hamilton County, 
    126 S.W.3d 43
     (Tenn. Ct. App. 2003), we held that
    “[i]t is well-settled that an act or omission is considered operational and immunity is removed
    when . . . the conduct deviates from an established plan or policy.” Id. at 48 (citing Chase
    v. City of Memphis, 
    971 S.W.2d 380
    , 384 (Tenn. 1998); Matthews v. Pickett Cnty., 
    996 S.W.2d 162
    , 164 (Tenn. 1999). In our view, like the nursing home administrators in
    Limbaugh, the County’s employees were charged with following the relevant statutes and
    7
    This provision tracks the language of Tennessee Code Annotated section 40-35-302, but adds the
    requirement that the entity notify the appropriate court that the entity has been approved by the Council.
    -14-
    rules and regulations regarding private probation services. The applicable provisions were
    not followed. We find that the actions by the County regarding WCPA were not policy
    decisions. Rather, the actions were operational in nature, not discretionary, and immunity
    was removed. See Limbaugh, 59 S.W.3d at 85; Haney v. Bradley Cnty. Bd. of Educ., 
    160 S.W.3d 886
    , 900 (Tenn. Ct. App. 2004)..
    With immunity removed, the issue becomes whether Young has proven the elements
    of a negligence claim.
    NEGLIGENCE
    The elements of negligence that must be proved to recover based on a claim of general
    negligence are as follows:
    In order to establish a prima facie claim of negligence, basically defined as the
    failure to exercise reasonable care, a plaintiff must establish the following
    essential elements: “(1) a duty of care owed by defendant to plaintiff; (2)
    conduct below the applicable standard of care that amounts to a breach of that
    duty; (3) an injury or loss; (4) cause in fact; and (5) proximate, or legal cause.
    Giggers v. Memphis Hous. Auth., 
    277 S.W.3d 359
    , 364 (Tenn. 2009) (quoting McCall v.
    Wilder, 
    913 S.W.2d 150
    , 153 (Tenn. 1995)).
    Causation, or cause in fact, means that the injury or harm would not have occurred
    “but for” the defendant’s negligent conduct. See Caldwell v. Ford Motor Co., 
    619 S.W.2d 534
    , 543 (Tenn. Ct. App. 1981). As noted in Kilpatrick v. Bryant, 
    868 S.W.2d 594
    , 598
    (Tenn. 1993), the Supreme Court has provided as follows:
    Causation and proximate cause are distinct elements of negligence, and both
    must be proven by the plaintiff by a preponderance of the evidence. Bradshaw
    [v. Daniel], 854 S.W.2d at 869; McClenahan v. Cooley, 
    806 S.W.2d 767
    , 774
    (Tenn. 1991); Smith v. Gore, 
    720 S.W.2d 738
    , 749 (Tenn. 1987). “Causation
    (or cause in fact) is a very different concept from that of proximate cause.
    Causation refers to the cause and effect relationship between the tortious
    conduct and the injury. The doctrine of proximate cause encompasses the
    whole panoply of rules that may deny liability for otherwise actionable causes
    of harm.” King, Causation, Valuation, and Chance in Personal Injury Torts
    Involving Preexisting Injuries and Future Consequences, 90 Yale L.J. 1353,
    1355 n. 7 (1981). Thus, proximate cause, or legal cause, concerns a
    determination of whether legal liability should be imposed where cause in fact
    -15-
    has been established. McKellips v. Saint Francis Hosp., 1987 Ok 69, 
    741 P.2d 467
     (Okl. 1987). “Cause in fact, on the other hand, deals with the ‘but for’
    consequences of an act. ‘The defendant’s conduct is a cause of the event if the
    event would not have occurred but for that conduct.’” Id. at 470 (quoting
    Prosser and Keeton, The Law of Torts 266 (5th ed. 1984)).
    Once it is established that a defendant’s negligent conduct was the actual cause of a
    plaintiff’s injury or harm, the question becomes whether the policy of the law will extend
    responsibility for that negligent conduct to the consequences that have occurred. “[L]egal
    responsibility must be limited to those causes which are so closely connected with the result
    and are of such significance that the law is justified in imposing liability. Doe v. Linder
    Constr. Co., 
    845 S.W.2d 173
    , 178 (Tenn. 1992). Proximate, or legal, cause is “a policy
    decision made by the legislature or the courts to deny liability for otherwise actionable
    conduct based on considerations of logic, common sense, policy, precedent and our more or
    less inadequately expressed ideas of what justice demands or of what is administratively
    possible and convenient.” White v. Lawrence, 
    975 S.W.2d 525
    , 529 (Tenn. 1998). A three-
    pronged test of proximate causation provides as follows:
    (1) the tortfeasor’s conduct must have been a “substantial factor” in bringing
    about the harm being complained of; and (2) there is no rule or policy that
    should relieve the wrongdoer from liability because of the manner in which the
    negligence has resulted in the harm; and (3) the harm giving rise to the action
    could have reasonably been foreseen or anticipated by a person of ordinary
    intelligence and prudence.
    McClenahan v. Cooley, 
    806 S.W.2d 767
    , 775 (Tenn. 1991) (citations omitted).
    The proximate cause of an injury is not required to “be the sole cause, the last act, or
    the one nearest to the injury provided it is a substantial factor in producing the end result.”
    Haynes v. Hamilton Cnty., 
    883 S.W.2d 606
    , 611-12 (Tenn. 1994). If the injury giving rise
    to a plaintiff’s cause of action was not reasonably foreseeable, then there is no proximate
    cause and no liability for negligence. Ray Carter, Inc. v. Edwards, 
    436 S.W.2d 864
    , 867
    (Tenn. 1969). However, “the foreseeability requirement is not so strict as to require the
    tortfeasor to foresee the exact manner in which the injury takes place, provided it is
    determined that the tortfeasor could foresee, or through the exercise of reasonable diligence
    should have foreseen, the general manner in which the injury or loss occurred.” Mason ex
    rel. Mason v. Metro. Gov’t of Nashville and Davidson Cnty., 
    189 S.W.3d 217
    , 222 (Tenn.
    Ct. App. 2005) (citing McClenahan, 806 S.W.2d at 775). It is sufficient that harm in the
    abstract could reasonably be foreseen. Shell Oil Co. v. Blanks, 
    330 S.W.2d 569
    , 572 (Tenn.
    Ct. App. 1959).
    -16-
    Young argues that if the County had investigated and supervised WCPA, it would
    have discerned that the agency was not licensed, she would not have been assigned to it for
    probationary services, and, accordingly, she would not have been injured by Moore. This
    argument, however -- that the injury would not have occurred but for her being assigned to
    WCPA -- is a “but for” argument addressing causation rather than proximate cause.
    As noted by the County, the assault suffered by Young was not caused by a judge
    failing to check on the standing of a license of a probation agency after a long-time probation
    officer had changed employers. The assault resulted from the intentional but unforeseeable
    actions of Moore. In this case, Moore had successfully served as a probation officer for
    twelve years and under four judges in the general sessions courts of the County. Young
    failed to produce any proof that prior to the incident with her, Moore had shown any
    propensity for conduct that would alert a reasonably prudent person that he represented a
    danger to others. The failure of WCPA to be licensed was not Moore’s lack of experience,
    propensity to hurt others, a criminal history, or any other element that made him unfit to serve
    as a probation officer. The application process with the Council would not have uncovered
    any warning sign to indicate Moore was likely to harm others. His criminal history was clear.
    Young cannot assert that Moore was unqualified to serve as a probation officer or that he had
    demonstrated any propensity for wrong doing that would have precluded him from working
    as a probation officer. She simply contends that the failure of Judge Nidiffer to verify a
    license for an agency leads to liability for the County for the intentional tort committed by
    Moore.
    In Doe v. Linder Constr. Co., 
    845 S.W.2d 173
    , 178 (Tenn. 1992), the Supreme Court
    observed: “The plaintiff must show that the injury was a reasonably foreseeable
    probability, not just a remote possibility . . . .” Id. (emphasis added.). The injuries to
    Young were not a reasonably foreseeable probability of the County’s failure to investigate
    and supervise and confirm the license for WCPA. Therefore, the injuries were not
    proximately caused by the County’s omission. We must affirm the trial court’s decision.
    V. CONCLUSION
    The judgment of the trial court is affirmed. This case is remanded, pursuant to
    applicable law, for such further proceedings as are necessary. Costs of the appeal are
    adjudged against the appellant, Candace Young.
    _________________________________
    JOHN W. McCLARTY, JUDGE
    -17-
    

Document Info

Docket Number: E2011-02189-COA-R3-CV

Judges: Judge John W. McClarty

Filed Date: 10/29/2012

Precedential Status: Precedential

Modified Date: 10/30/2014

Authorities (23)

Ray Carter, Inc. v. Edwards , 222 Tenn. 465 ( 1969 )

Caldwell v. Ford Motor Co. , 1981 Tenn. App. LEXIS 520 ( 1981 )

McKellips v. Saint Francis Hospital, Inc. , 1987 Okla. LEXIS 220 ( 1987 )

Chase v. City of Memphis , 971 S.W.2d 380 ( 1998 )

Shell Oil Company v. Blanks , 46 Tenn. App. 539 ( 1959 )

Brown v. Hamilton County , 2003 Tenn. App. LEXIS 580 ( 2003 )

Richards v. Liberty Mutual Insurance Co. , 2002 Tenn. LEXIS 149 ( 2002 )

GIGGERS v. Memphis Housing Authority , 2012 Tenn. LEXIS 216 ( 2012 )

Lucas v. State , 2004 Tenn. App. LEXIS 83 ( 2004 )

Helton v. Knox County, Tenn. , 1996 Tenn. LEXIS 310 ( 1996 )

McClenahan v. Cooley , 1991 Tenn. LEXIS 100 ( 1991 )

Graham v. Caples , 2010 Tenn. LEXIS 946 ( 2010 )

City of Columbia v. C.F.W. Construction Co. , 1977 Tenn. LEXIS 678 ( 1977 )

Bowers by Bowers v. City of Chattanooga , 1992 Tenn. LEXIS 131 ( 1992 )

Haynes v. Hamilton County , 1994 Tenn. LEXIS 260 ( 1994 )

McCall v. Wilder , 1995 Tenn. LEXIS 746 ( 1995 )

White Ex Rel. Estate of White v. Lawrence , 1998 Tenn. LEXIS 462 ( 1998 )

Matthews v. Pickett County , 1999 Tenn. LEXIS 300 ( 1999 )

Haney v. Bradley County Board of Education , 2004 Tenn. App. LEXIS 607 ( 2004 )

Gautreaux v. Internal Medicine Education Foundation, Inc. , 2011 Tenn. LEXIS 205 ( 2011 )

View All Authorities »