Tate Morris v. George Mason University ( 2022 )


Menu:
  •                                          COURT OF APPEALS OF VIRGINIA
    Present: Chief Judge Decker, Judges Ortiz and Causey
    PUBLISHED
    Argued at Fairfax, Virginia
    TATE MORRIS
    OPINION BY
    v.     Record No. 1130-21-4                          CHIEF JUDGE MARLA GRAFF DECKER
    APRIL 12, 2022
    GEORGE MASON UNIVERSITY
    FROM THE CIRCUIT COURT OF FAIRFAX COUNTY
    Robert J. Smith, Judge
    J. Caleb Jones (Simms Showers, LLP, on brief), for appellant.
    Eli S. Schlam, Assistant Attorney General, Associate University
    Counsel, for appellee.
    Tate Morris appeals his termination of employment with George Mason University
    (GMU). He contends that numerous errors were made below that require reversing the decision
    of the circuit court upholding his termination. He challenges the resolution of both factual and
    legal issues at the hearing-officer and agency-review levels, as well as various procedures
    followed by the circuit court in its subsequent review. For the reasons that follow, we affirm the
    decision.
    I. BACKGROUND 1
    The appellant worked as a law enforcement officer for GMU for over two years. That
    employment came to an end when he was terminated due to his failure to follow workplace
    safety protocols related to the COVID-19 pandemic.
    1 In reviewing this appeal, we are “bound by the hearing officer’s factual findings.”
    Taylor v. Va. Alcoholic Beverage Control Auth., 
    70 Va. App. 237
    , 246 (2019).
    The evidence established that in the summer of 2020, GMU adopted its “Safe Return to
    Campus Plan.” The new safety rules necessitated by the global pandemic required employees to
    complete an online daily COVID-19 health check. Any employee experiencing symptoms
    consistent with COVID-19 was required to test for the virus and not return to campus until
    cleared by a medical professional.
    While working a shift on October 3, 2020, the appellant “started feeling bad” and went
    home early. The next day, he completed the online COVID-19 health check. Based on his
    reported symptoms, the appellant received a “yellow” automated response instructing him to stay
    off campus until he had clearance from his healthcare provider, his symptoms had improved, and
    at least ten days had passed since the onset of the symptoms. The appellant did not go to work
    that day and informed a supervisor that he felt “super congested” and would take a COVID-19
    test.
    On October 5, 2020, the appellant reported to work for an overtime shift at one of GMU’s
    COVID-19 testing sites without taking a COVID-19 test or obtaining clearance from his
    healthcare provider. After he completed his shift, a supervisor found out that he had come to
    work after reporting symptoms and informed him that he could not be at work. She warned that
    he could not return until he received a negative test and had been cleared by his physician or,
    absent a test, after ten days had passed. The following day, the appellant took a COVID-19 test.
    He remained out of work while awaiting the result, which came back “positive” two days later.
    GMU issued a disciplinary action notice terminating the appellant’s employment. The
    appellant filed a grievance challenging the termination. A hearing officer with the Office of
    Employment Dispute Resolution (EDR), a division of the Department of Human Resources
    Management (DHRM), held the resulting hearing. The hearing officer found that the evidence
    supported GMU’s decision. Dissatisfied with this outcome, the appellant requested
    -2-
    administrative review by EDR. The office’s director upheld the hearing officer’s decision. The
    appellant then challenged the decision in the circuit court. The circuit court likewise affirmed
    the hearing officer’s decision. The appeal to this Court followed.
    II. ANALYSIS
    “[I]n conjunction with the Virginia Personnel Act, the General Assembly established a
    system for handling state employee complaints arising in the workplace by enacting the State
    Grievance Procedure.” Murphy v. Va. Dep’t of State Police, 
    68 Va. App. 716
    , 719 (2018)
    (citation omitted) (quoting Pound v. Dep’t of Game & Inland Fisheries, 
    40 Va. App. 59
    , 63-64
    (2003)); see Code §§ 2.2-3000 to -3008. This system to address grievances “creates a ‘tripartite
    review procedure’” that sets out the following responsibilities: “(1) the hearing officer is the
    finder of fact and final authority on factfinding; (2) DHRM and EDR determine whether the
    hearing officer’s ruling . . . compli[es] with personnel policy and grievance procedure[s]
    respectively; and (3) the [circuit and appellate] courts determine whether the grievance
    determination is ‘contradictory to law.’” Passaro v. Va. Dep’t of State Police, 
    67 Va. App. 357
    ,
    367 (2017) (quoting Va. Dep’t of State Police v. Barton, 
    39 Va. App. 439
    , 445 (2002)).
    Under this framework, in an appeal of a grievance proceeding, a reviewing court, whether
    it is a circuit or appellate court, may reverse or modify the decision only if it is “contradictory to
    law.” Osburn v. Va. Dep’t of Alcoholic Beverage Control, 
    295 Va. 10
    , 17 (2018) (quoting Va.
    Polytechnic Inst. & State Univ. v. Quesenberry, 
    277 Va. 420
    , 429 (2009)). In making this
    determination, the reviewing court is “limited to ascertaining compliance with constitutional
    provisions, statutes, regulations, and judicial decisions.” Taylor v. Va. Alcoholic Beverage
    Control Auth., 
    70 Va. App. 237
    , 253 (2019) (quoting Murphy, 68 Va. App. at 720). These
    “[q]uestions . . . are reviewed de novo.” Id. (quoting Osburn, 295 Va. at 17).
    -3-
    The appellant raises several challenges to the grievance decision. His arguments pertain
    to certain findings of fact, his due process rights, and the circuit court’s handling of the case.
    A. Findings of Fact
    The appellant’s arguments related to findings of fact concern both the hearing officer’s
    decision and the EDR administrative review.
    1. The Hearing Officer’s Decision
    The appellant contends that the hearing officer did not follow the law by “fail[ing] to
    address the material issues in the case.” He suggests that the hearing officer erred by not making
    a factual finding on every allegation of wrongdoing set out in the written notice. The appellant
    argues that the failure to resolve all factual questions prejudiced his administrative review and
    may adversely affect his future employment.
    The employer’s written notice to the appellant informed him that he had engaged in
    “Unbecoming/Unprofessional Conduct” and violated the “Safe Return to Campus procedures.”
    The notice also specifically provided that the appellant had:
    - failed “to take the mandatory GMU SRTC Training,”
    - failed “to familiarize himself with the relevant environmental
    health and safety policies and procedures related to work and/or
    activities on campus” and Covid-19 “protocols,”
    - failed “to remain off campus after receiving a yellow status after
    completing the GMU Covid-19 health check,” and
    - failed “to follow Covid-19 testing guidelines[, which required]
    utilizing the GMU Covid-19 testing after expressing symptoms.”
    In the written decision, the hearing officer identified one of the issues in the case as
    “[w]hether [the appellant] engaged in the behavior described in the [w]ritten [n]otice.” He found
    that the appellant had violated one of the employer’s COVID-19 safety rules by returning to
    campus in fewer than ten days after receiving “a yellow email,” thereby “creat[ing] a risk of
    bodily harm by possibly exposing others to COVID-19.” Based on this conclusion, the hearing
    -4-
    officer upheld GMU’s decision to terminate the appellant’s employment. He did not make
    findings on the other misconduct referenced in the notice.
    Code § 2.2-3005.1(C) requires that the hearing officer’s written decision “contain
    findings of fact as to the material issues in the case and the basis for those findings.” A material
    issue is “[a]n issue that must be decided in order to resolve a controversy.” Issue, Black’s Law
    Dictionary (11th ed. 2019). See generally Jones v. Commonwealth, 
    296 Va. 412
    , 415 (2018)
    (considering the standard dictionary definition of an undefined statutory term).
    The dispositive question here is whether, after the hearing officer concluded that the
    appellant’s termination was justified based on one violation, the other allegations of misconduct
    in the written notice were “material issues in the case” pursuant to Code § 2.2-3005.1(C). The
    clear answer is that, in light of the hearing officer’s conclusion that one basis for termination
    existed, it was no longer material for him to resolve whether other bases also supported the
    termination. See Va. Dep’t of Transp. v. Stevens, 
    53 Va. App. 654
    , 662 (2009) (holding that
    whether one of the employee’s two instances of alleged misconduct occurred was irrelevant to
    the disposition of the case because if one “incident warrant[ed] termination, it [did] not matter
    whether” the other incident also would). Consequently, the hearing officer complied with his
    statutory duty to make written findings that resolved the material issues in the case.
    2. EDR’s Administrative Review
    The appellant argues that EDR’s director, on administrative review, changed a finding of
    fact made by the hearing officer. Specifically, he contrasts the hearing officer’s conclusion that
    his actions created a “risk” of bodily harm to others with the director’s recitation that he created
    a “threat” of bodily harm to others. The appellant suggests that a “risk,” unlike a “threat,” does
    not justify terminating employment. Essentially, he believes that the director changed the
    -5-
    hearing officer’s factual finding of a risk to a threat in order to justify the termination. This
    claim must be reviewed in light of the hearing officer’s and the director’s entire opinions.
    The hearing officer found that the appellant’s return to campus in violation of safety
    protocols “created a risk of bodily harm by possibly exposing others to COVID-19” and
    therefore supported the termination. On administrative review, consistent with the hearing
    officer’s language, the director described the hearing officer’s finding as one that the appellant’s
    “behavior ‘created a risk of bodily harm.’” Elsewhere, the review opinion referenced that the
    appellant’s “conduct violated a safety rule and posed a threat of bodily harm to others.”
    Under DHRM policy, some “acts of misconduct” are of such a “serious nature” that an
    employer can discharge an employee for a single offense. See DHRM, Policies and Procedures
    Manual, policy 1.60 attach. A (2008 & 2012 rev.) (Group III offense). An example of such an
    offense is “violating safety rules (where threat of bodily harm exists).” 
    Id.
     The policy does not
    define “threat.” Determining the applicable definition of “threat” is a policy decision within the
    purview of the agency. See Passaro, 67 Va. App. at 370 (“Pursuant to the state employment
    grievance procedure, the General Assembly has vested review of policy issues involved in such
    cases in DHRM, and not in the courts.” (citing Code § 2.2-3006)).
    The terms “threat” and “risk” are both synonymous with “danger.” Roget’s International
    Thesaurus § 1006.01 (7th ed. 2010); see A.H. ex rel. C.H. v. Church of God in Christ, Inc., 
    297 Va. 604
    , 627 (2019) (using the phrases “threat of injury to others” and “risk of harm to others” to
    mean the same thing (quoting Se. Apts. Mgmt., Inc. v. Jackman, 
    257 Va. 256
    , 260 (1999))). A
    “threat,” as relevant here, is “[a] person or thing that might well cause harm.” Threat, Black’s,
    
    supra.
     Similarly, “risk” is defined in pertinent part as “the chance of injury . . . [,] esp[ecially]
    the existence and extent of the possibility of harm.” Risk, Black’s, 
    supra.
     By using both words,
    the director did not make a factual determination. Instead, he simply construed the definition of
    -6-
    “threat” of bodily harm under the policy to encompass a “risk” of bodily harm. The opinion of
    EDR on administrative review properly reflects the hearing officer’s factual findings.
    B. Due Process
    The appellant argues that the decision upholding his termination from employment
    violated his right to due process. He contends that he did not receive procedural due process
    because the written notice charged him with violating campus safety rules but, on administrative
    review, EDR upheld the termination for a violation of DHRM Policy 1.60.
    “[U]nder certain circumstances, public employees are vested with a constitutionally
    protected property interest in continued employment.” Va. Dep’t of Corr. v. Compton, 
    47 Va. App. 202
    , 219 (2005) (citing Cleveland Bd. of Educ. v. Loudermill, 
    470 U.S. 532
    , 538-39
    (1985)). When “a public employee has a property interest in continued employment, that
    employment may not be terminated without adequate procedural safeguards.” 2 Id. at 220.
    Procedural due process requirements are satisfied when a state employer provides notice of the
    charges and gives the employee a meaningful opportunity to respond. Id. at 221 (citing
    Loudermill, 
    470 U.S. at 546
    ). “To pass constitutional muster, the notice given ‘must be of such
    nature as to reasonably convey the required information.’” Id. at 222 (quoting Mullane v. Cent.
    Hanover Bank & Trust Co., 
    339 U.S. 306
    , 314 (1950)).
    Here, the written notice charged the appellant with several violations of campus rules and
    stated that his actions “put members of the community at severe risk.” The hearing officer
    concluded that the appellant’s violation of a university safety rule created a risk of bodily harm
    and justified the termination. On administrative review, the appellant argued that the employer
    2 In contrast, if the employment is at will, “the government may terminate the employee
    without being constrained by the requirements of procedural due process.” Compton, 47
    Va. App. at 220. In the case at hand, GMU does not contest that the appellant had a protected
    property interest in his continued employment.
    -7-
    could not terminate him for a single act of misconduct because university rules provided that
    disciplinary action could result only from repeated violations. EDR rejected this contention
    based on its holding that DHRM Policy 1.60, which allows termination for a single serious act of
    misconduct, controlled. See DHRM Manual, supra, policy 1.60.
    The appellant claims that on administrative review, EDR adopted a different basis for
    upholding the termination than the grounds set forth in the notice and that this change deprived
    him of a meaningful opportunity to respond to the allegations. His claim that he did not receive
    notice adequately informing him that the termination was based on a violation of state Policy
    1.60 is factually flawed. The appellant received a written notice dated November 13, 2020, titled
    “Due Process Notice.” It informed him of the university’s “intent to issue [him] a Group III
    Written Notice with termination of employment under State Personnel Policy 1.60, ‘Standards of
    Conduct.’” The notice further provided that “Group III offenses are acts of misconduct of such a
    severe nature that a first occurrence normally should warrant termination” and include “offenses
    that . . . endanger others in the workplace.” See DHRM Manual, supra, policy 1.60 attach. A.
    The appellant also received a second notice dated December 2, 2020, titled “Group III Written
    Notice.” 3 The hearing was held on April 8, 2021. Contrary to the appellant’s assertion, the
    record demonstrates that he was notified that his termination could be upheld for a single offense
    under DHRM Policy 1.60.
    3  That notice reiterated that “Group III offenses are acts of misconduct of such a severe
    nature that a first occurrence normally should warrant termination.”
    -8-
    C. Procedure in the Circuit Court
    The appellant asserts three complaints regarding the procedure followed by the circuit
    court: its refusal to take evidence, its limitation on the time allotted to hear argument, and its
    alleged failure to consider his specific legal arguments challenging the grievance decision.4
    1. Refusal to Take Evidence
    The appellant suggests that the circuit court erred by refusing to hold an evidentiary
    hearing to allow him to introduce the transcript of the grievance proceeding into evidence. He
    argues that it is error that the transcript was not made a part of the record in the circuit court. See
    generally Code § 2.2-3006(B) (requiring that the “grievance record” be transmitted to the circuit
    court and that the circuit court “hear the appeal on the record”).
    The appellant characterizes his argument as a challenge to the circuit court’s refusal to
    take evidence. However, on review of a grievance proceeding, the record shall be provided to
    the circuit court by the agency from which the grievance arose, not the employee who initiated
    the grievance. Code § 2.2-3006(B) (instructing the agency to “transmit a copy of the grievance
    record to the clerk of court” upon the filing of a notice of appeal “by either party”). Therefore,
    the court did not err by refusing to take evidence from the appellant.
    4  In support of these first two claims, the appellant’s brief cites only the notice of appeal.
    In support of the third one, he cites the final order, which he endorsed “seen and objected [to],”
    but he did not note any specific objections on the order. Rule 5A:20(c) requires the opening
    brief to include an “exact reference” to the portion of the record or appendix reflecting where the
    alleged error was preserved below. Cf. Brooks v. Commonwealth, 
    61 Va. App. 576
    , 580-81
    (2013) (en banc) (explaining that the purpose of the exact reference requirement is “to spare the
    Court from having to comb the entire record to determine whether and where the alleged error
    was preserved”). We assume without deciding that the appellant adequately preserved his
    arguments related to the circuit court proceeding and decide them on their merits. See McGinnis
    v. Commonwealth, 
    296 Va. 489
    , 501 (2018) (assuming without deciding that the issue was
    properly before the Court because addressing it on the merits provided the best and narrowest
    ground for resolution).
    -9-
    To the extent that the appellant complains that the record was incomplete because it did
    not contain a transcript, the audio recording of the grievance hearing was part of the record in the
    circuit court. A transcript would simply have presented the same material to the circuit court in a
    different form. Cf. Rules 1:14 (allowing authorization of “electronic . . . means” to preserve the
    record in a court), 5A:7(a)(7) (providing that when an authorized videorecording from a circuit
    court proceeding is in the record, this Court “may” also require a transcript). Therefore, the lack
    of a transcript in the record before the circuit court does not provide a valid basis for complaint.
    For these reasons, the circuit court acted appropriately by not taking evidence from the
    appellant in the form of a transcript of the audio recording of the proceeding that was already in
    the record.
    2. Time Allotted for Oral Argument
    The appellant complains that the circuit court limited his case review to only thirty
    minutes of the docket instead of his requested four hours.
    A “court has inherent authority to administer cases on its docket.” Shah v. Shah, 
    70 Va. App. 588
    , 593 (2019). Decisions related to the time allowed for argument are “within the
    sound discretion of the [circuit] court, the exercise of which will not be interfered with by an
    appellate court in the absence of a clear showing of prejudice to the substantial rights of the
    complaining party.” Brown v. Peters, 
    202 Va. 382
    , 391 (1961). In the instant case, the circuit
    court’s review was strictly limited to determining whether the grievance decision was
    “contradictory to law.” See Osburn, 295 Va. at 17 (quoting Quesenberry, 277 Va. at 429). The
    court heard oral argument and had the case record and the appellant’s written pleadings before it.
    Although the appellant argues that the time limit “seriously hampered” his presentation of his
    challenges, he has not made a “clear showing of prejudice” to his “substantial rights.” See
    - 10 -
    Brown, 
    202 Va. at 391
    . Consequently, the circuit court did not abuse its discretion by limiting
    the hearing to thirty minutes.
    3. Consideration of Arguments
    Finally, the appellant argues that the circuit court failed to review the legal challenges
    that he made to the grievance decision. He comes to this conclusion simply because the circuit
    court did not specifically outline them in its ruling.
    In denying the appeal, the circuit court stated that the case did not “fall into” the
    “extremely narrow” parameters of the “court’s role.” The appellant urges us to interpret this
    statement as an erroneous assertion that the court believed that it did not have the authority to
    consider any of his arguments.
    However, a ruling is entitled to a “presumption . . . [of] correct[ness],” and this Court
    presumes that a circuit court knew and properly applied the law, “[a]bsent clear evidence to the
    contrary.” Milam v. Milam, 
    65 Va. App. 439
    , 467 (2015) (quoting Yarborough v.
    Commonwealth, 
    217 Va. 971
    , 978 (1977)). The record does not demonstrate that the circuit
    court ignored the appellant’s arguments, and the law does not permit us to assume that it did so.
    To the contrary, we interpret the court’s statement as a reference to the standard of review that it
    could reverse or modify the grievance decision only if it was “contradictory to law” and, also, a
    determination that it was not. See Osburn, 295 Va. at 17 (quoting Quesenberry, 277 Va. at 429).
    Consequently, we presume that in deciding this case, the circuit court considered and rejected the
    arguments that the appellant presented. Cf. Robinson v. Robinson, 
    46 Va. App. 652
    , 667 (2005)
    (en banc) (inferring that a ruling contrary to a party’s argument demonstrated a rejection of that
    argument).
    - 11 -
    III. CONCLUSION
    For these reasons, we reject the appellant’s arguments. The hearing officer addressed the
    issues material to the case. On administrative review, EDR’s director did not change the hearing
    officer’s factual findings. The appellant received written notice that satisfied due process. The
    circuit court decided the case on the record and acted within its reasonable discretion in limiting
    argument to thirty minutes. Finally, the record does not demonstrate that the court refused to
    consider the appellant’s contentions. Consequently, we affirm the decision of the circuit court.
    Affirmed.
    - 12 -