SUPERIOR COURT OF NEW JERSEY
APPELLATE DIVISION
A-3116-00T5
SUSAN GERARD and DESMOND
GERARD, husband and wife,
Plaintiffs-Appellants,
v.
CAMDEN COUNTY HEALTH SERVICES
CENTER, A SUBDIVISION OF
CAMDEN COUNTY; ANITA GEIS,
ADMINISTRATOR OF LONG TERM CARE
NURSING; ANTHONY PETERS, CHIEF
EXECUTIVE OFFICER OF CAMDEN COUNTY
HEALTH SERVICES CENTER; RICHARD
DODSON, DIRECTOR OF HUMAN RESOURCES
OF CAMDEN COUNTY HEALTH SERVICES
CENTER; THOMAS LUCARINI, R.N.;
ROBERT HALL, DIRECTOR OF NURSING,
Defendants-Respondents.
___________________________________________
Argued February 21, 2002 _ Decided March 6, 2002
Before Judges Conley, A. A. Rodríguez and Lefelt.
On appeal from Superior Court of New Jersey,
Law Division, Camden County, L-5803-98.
Alan H. Schorr argued the cause for appellants.
Joseph M. Weinberg argued the cause for respondents
(Weinberg, McCormick, Chatzinoff & Zoll, attorneys;
Barry Chatzinoff and Mr. Weinberg, on the brief).
The opinion of the court was delivered by
CONLEY, J.A.D.
Plaintiff, former Assistant Director of Nurses at the Camden
County Health Services Center (CCHSC), appeals a summary judgment
in favor of CCHSC dismissing her suit brought pursuant to the
Conscientious Employee Protection Act (CEPA), N.J.S.A. 34:19-1 to
-8. The motion judge concluded the record was insufficient to
establish that the activity she engaged in, to which CCHSC
allegedly retaliated, was protected activity within the meaning of
CEPA. We reverse.
At the outset, as the appeal arises within the context of a
motion for summary judgment, we consider the motion record most
favorably for plaintiff and draw all inferences therefrom which a
reasonable fact-finder might draw. Brill v. Guardian Life Ins. Co.
of America,
142 N.J. 520, 540 (1995).See footnote 11 The impetus for the alleged
retaliatory activity was plaintiff's refusal to accede to a request
by CCHSC's hospital administrator, Anita Geis (Geis), to serve
disciplinary charges upon head nurse Georgiana Young (Young)
subjecting Young to a three-day suspension. The charges were based
upon five alleged errors in a patient form called "Minimum Data
Sets" (MDS).See footnote 22 Initially, Geis had directed another supervisor to
serve the charges upon Young. That supervisor refused for reasons
the record does not reflect.
Plaintiff, then, was directed to serve the charges. She first
investigated them. Accepting her version of what occurred, as we
must at this junction, she discovered that four of the five alleged
errors did not involve Young and the fifth apparently involved a
mistaken misdating that occurred during a training period on the
MDS forms. Another supervisor had previously checked the form and
had not noted the misdate as an error.
In addition to what plaintiff thought were substantially
unsupported charges against Young, there was a history behind them.
There is a dispute as to when plaintiff learned this, but the
motion record reflects that prior to what appeared to plaintiff to
be trumped up charges, Young had issued a written warning to a
certified nursing assistant for leaving his patients uncared for,
naked and soiled. The certified nursing assistant was a friend of
Geis and had left the patients to have a smoke with her. Shortly
after issuing the warning, Young was told by another nurse to
withdraw the warning or face disciplinary charges herself. Young
refused and, thus, the Geis charges _ at least that is the way the
motion record can be construed.
The obvious take on this, viewed favorably for plaintiff, is
that plaintiff refused to participate in retaliatory disciplinary
action that was, she believed, based upon substantially unfounded
allegations of MDS form errors against a nurse who had done no more
than sought to protect the patients by disciplining a friend of
Geis for leaving the patients unattended. So stated it seems
hardly to be questioned that, if these beliefs are objectively
reasonable, plaintiff was engaged in CEPA protected activity.See footnote 33
CEPA is remedial legislation. It is designed to protect
employees who reasonably believe, and take action consistent
therewith, that their employers or coemployees are engaged in
activity that either is illegal or constitutes improper patient
care where the plaintiff employee is a licensed or certified health
care professional, or is fraudulent or criminal, or is violative of
some real, discernable public policy impacting upon the public
health, safety, welfare, or environmental protection. N.J.S.A.
34:19-3c(1),(2),(3). The aim of the legislation is to encourage,
not thwart, "legitimate employee complaints." Estate of Roach v.
TRW, Inc.,
164 N.J. 598, 610 (2000).
N.J.S.A. 34:19-3 provides in pertinent part:
An employer shall not take any retaliatory
action against an employee because the
employee does any of the following:
. . . .
c. Objects to, or refuses to participate in
any activity, policy or practice which the
employee reasonably believes:
(1) is in violation of a law, or a rule or
regulation promulgated pursuant to law or, if
the employee is a licensed or certified health
care professional, constitutes improper
quality of patient care;
(2) is fraudulent or criminal; or
(3) is incompatible with a clear mandate of
public policy concerning the public health,
safety or welfare or protection of the
environment.
One of the elements a plaintiff must establish in a CEPA
action is whether he or she was engaged in "protected activity"
under CEPA to which the alleged retaliatory conduct was directed.
Mehlman v. Mobil Oil Corp.,
153 N.J. 163, 187 (1998). Some
expressions in our prior opinions may be read to include a
preliminary threshold burden of establishing facts which, if true,
would constitute employer or coemployee conduct that is violative
of a law, regulation, public policy, fraudulent, or criminal. In
Fineman v. New Jersey Dep't of Human Servs.,
272 N.J. Super. 606
(App. Div.), certif. denied,
138 N.J. 267 (1994), for instance, we
said:
Where, as here, action is brought under
N.J.S.A. 34:19- 3c(1) and (3), the judge must
first find and enunciate the specific terms of
a statute or regulation, or the clear
expression of public policy, which would be
violated if the facts as alleged are true.
When the judge has, as a matter of law,
identified such a statute, regulation, or
other clear source of expression of public
policy, the matter may then go to the jury for
determination of any disputed questions of
fact, and for a finding as to whether there
has been a retaliatory action against the
at-will employee for either objecting to or
refusing to participate in activity reasonably
and objectively believed (1) to violate a
statute or regulation or, (2) to be
incompatible with a "clear mandate of public
policy".
[Id. at 620 (emphasis added).]
We have recently repeated this language. Smith-Bozarth v.
Coalition Against Rape and Abuse, Inc.,
329 N.J. Super. 238, 245
(App. Div. 2000) ("Therefore, to determine whether a plaintiff has
presented a viable CEPA claim, a trial court 'must first find and
enunciate the specific terms of a statute or regulation, or the
clear expression of public policy, which would be violated if the
facts as alleged are true.'" (quoting Fineman v. New Jersey Dep't
of Human Servs., supra, 272 N.J. Super. at 620) (emphasis added));
Schechter v. Dep't of Law,
327 N.J. Super. 428, 432 (App. Div.
2000) (same).
It is, of course, the emphasized language "which would be
violated if the facts as alleged are true" that causes the problem.
This language has led at least one federal district court judge to
conclude a New Jersey CEPA plaintiff must establish employer or
coemployee conduct that is violative of a law, rule or regulation.
Blackburn v. United Parcel Serv., Inc.,
3 F. Supp.2d 504, 514
(D.N.J. 1998) (New Jersey CEPA law requires a court to decide,
before reaching the jury issue of a plaintiff's reasonable belief,
whether a law, rule or regulation, "would be violated" if the facts
asserted by plaintiff are true, a burden plaintiff failed to carry
because plaintiff presented not even "a scintilla of evidence" to
establish such a violation), questioned and aff'd on other grounds,
179 F.3d 81 (3d Cir. 1999).
To the extent these expressions in our prior opinions impose
a threshold obligation upon a CEPA plaintiff to establish that an
employer or coemployee in fact violated a law or regulation or
clear mandate of public policy or engaged in fraudulent or criminal
conduct, separate and apart from the plaintiff's objective
reasonable belief thereof, we disagree. Our Supreme Court has said
"[w]ith regard to section 3c(1), CEPA does not require that the
activity complained of . . . be an actual violation of law or
regulation, only that the employee 'reasonably believes' that to be
the case. The same holds true in respect of section 3c(2): the
statute affords protection to employees if they reasonably believe
that the activity complained of is 'fraudulent or criminal' even
when the activity does not rise to the level of an actual crime."
Estate of Roach v. TRW, Inc., supra, 164 N.J. at 613 (citing
Mehlman v. Mobil Oil Corp., supra, 153 N.J. at 193-94). See Mazza
v. George Yelland, Inc.,
161 F. Supp.2d 376, 379-80 (D.N.J. 2001).
As the Court said in Mehlman v. Mobil Oil Corp., supra, 153 N.J. at
193-94: "The object of CEPA is not to make lawyers out of
conscientious employees but rather to prevent retaliation against
those employees who object to . . . conduct that they reasonably
believe to be unlawful or indisputably dangerous to the public
health, safety or welfare." To be sure, there must be some
identifiable law, rule, public policy or fraudulent or criminal
activity to which a plaintiff is "whistle blowing", but a CEPA
plaintiff need not prove an actual violation thereof.
Here, then, in the context of the motion for summary judgment,
whether the conduct to which plaintiff objected was, in fact,
violative of a law, regulation, public policy, fraudulent or
criminal, is not dispositive. What must be determined is whether
a fact- finder could reasonably conclude that CCHSC's conduct, to
which the plaintiff was objecting, could objectively reasonably
have been believed by plaintiff to be so violative and that that
was what she was objecting to. See Hancock v. Borough of Oaklyn,
___ N.J. Super. ___, ___ (App. Div. 2002) (slip op. at 10-11)
(although affirming summary judgment in favor of defendant on the
basis of CEPA plaintiffs' failure to establish retaliatory conduct,
we observed that in addition to the necessary element of causally
related retaliatory conduct, a CEPA plaintiff's burden includes
only that he or she "reasonably believed" the prohibited employer
or coemployee conduct occurred, to which he or she objected.).
The motion judge saw the record as establishing, on the part
of Geis, nothing more than a discretionary disciplinary
determination, and, on the part of plaintiff, a disagreement over
the exercise of that disciplinary discretion. Were that all the
record could reasonably support, the motion would have been
properly granted. Young v. Schering,
275 N.J. Super. 221, 237
(App. Div. 1994), aff'd on other grounds,
41 N.J. 16 (1995).
But while plaintiff did assert her disagreement, from a
management perspective, over the decision to discipline Young, she
was clear that "it's more than that." She was not sure what
"particular violation" of law, rules or public policy was involved,
but she "just knew this was not right." She thought it might be a
violation of Young's "Civil Service rights." She did not think
what was being asked of her was criminal but she did think she was
being asked to participate in "fraudulent activity regarding the
false accusations" against Young. Moreover, during her deposition,
plaintiff was asked whether her view was only that "disciplining an
employee is meanspirited," i.e., bad management. Her response
reflects much more than a concern for bad management:
[Nurse Young] herself felt - and, again, I
only found this out later, there had been an
incident on her unit, she has - she had a
[nursing assistant], . . . , who routinely
left his patients wet, cold, unfinished,
untaken care of, if that's even a word, to go
down and have his smokes, to chat with Mrs.
Geis, to smoke with the gang down there, he
was engaged or intended - prepared to get
married to one of the LPNs, [Nurse Young]
wrote him up for leaving his patients. Now,
he had a history of this. She was told by
management you don't write him up.
Indulgently read, plaintiff's deposition testimony reveals, in
laymen's terms, an awareness that what occurred was not only not
"good management," but something more fundamental. She expressed
it as a violation of Young's Civil Service rights and as
fraudulent. That may or may not be so. The inquiry is whether
plaintiff had an objective, reasonable belief that employer conduct
within the scope of the CEPA protections was involved. And, in
this regard, we do not impose precise legal knowledge upon her.
Under the factual scenario posited by plaintiff, she could
have objectively reasonably believed the charges were fraudulent,
N.J.S.A. 34:19-3c(2), as four of them did not involve Young and the
remaining one was simply a misdate not, apparently, thought to be
an error by another supervisor.See footnote 44 She also could have objectively
reasonably believed the filing of charges that she believed were
substantially unfounded against Young was violative of proper
quality of patient care, N.J.S.A. 34:19-3c(1), as that is all Young
was attempting to accomplish when she issued the warning to Geis'
assistant nurse friend. Punishing Young for attempting to protect
the patients cannot be consistent with good patient care.
Similarly, if the facts are true, plaintiff could have objectively
reasonably believed the filing of the charges would violate a clear
mandate of public policy concerning public health. It cannot be in
the interest of patient care or public health to retaliate against
a health care employee validly concerned with patient care, and
then to retaliate against that employee's supervisor for refusing
to file substantially unfounded disciplinary charges against that
employee.
We add the following comments. CCHSC's response, aside from
the contention that trial counsel did not articulate the legal
contentions appellate counsel has, see infra n.1, is that the
history of the Young charges was not known to plaintiff at the time
of her refusal. We agree that knowledge of that history at that
time is critical to plaintiff's cause of action. Without it, her
refusal becomes a disagreement over whether disciplinary charges
should be brought upon dubious charges. Were that all there were,
the charged employee could pursue the disputed discipline through
the available grievance procedures. But we do not think CEPA would
clothe a protesting coemployee with additional protection for
refusing the supervisor's direction to serve the charges.
Nonetheless, here, viewed favorably to plaintiff, the motion
record raises a factual question as to when plaintiff learned of
the history behind the Young charges. To be sure, when describing
this history during her deposition, she said "I only found this out
later." But later as to when? After Young initiated her charges?
After plaintiff investigated Geis' charges against Young but before
she declined to serve them? Or sometime after she declined to do
so? If the latter, plaintiff cannot claim the protection of CEPA.
But if the former two, she can, assuming she can prove as well, the
objective reasonableness of her belief the charges were unfounded
and were in retaliation for a legitimate, patient care related
disciplinary action against the nursing assistant, and, of course,
that retaliatory action, in fact, ensued against plaintiff for
refusal to serve the charges.
Reversed.
Footnote: 1 1We note in this respect CCHSC's contention that the legal arguments presented to us by plaintiff's appellate counsel are somewhat different, at the least more focused, than those presented by trial counsel. Nonetheless, the factual support for those contentions was before the motion judge. We, therefore, will consider them, as the precise issue before us is, in any event, a matter of law and subject to our de novo review. Bello v. Lyndhurst Bd. of Educ., 344 N.J. Super. 187, 190 (App. Div. 2001). Footnote: 2 2CCHSC is a long-term care facility and psychiatric hospital. It receives federal funding and, thus, must comply with various federal standards. The MDS forms are intended to provide detailed assessments and care screening information for CCHSC's patients. The completeness and accuracy of these forms is an important factor considered by the federal auditors in determining whether CCHSC has complied with the federal standards. Footnote: 3 3Whether retaliatory actions ensued was not an aspect of the motion for summary judgment. Suffice it to say, plaintiff's allegations of what thereafter occurred would seem to evidence retaliation, at least viewed favorably for her. The following has been alleged by plaintiff. Shortly after the incident, Geis removed plaintiff as Assistant Director of Nurses. Thereafter, Geis prevented her from being hired as the new Director of Nursing, despite the fact that her Civil Service rating was excellent and she had seniority over persons hired from the outside for the position in 1995, and then again in 1997. Additionally, plaintiff was confronted by the Director of Nursing and Director of Human Resources with a memo containing over a dozen alleged failures on her part of goals that had been outlined for her by Geis. The Director of Nursing, "admitted to plaintiff that '[i]f you keep this position, you will be working in a hostile environment.'" Shortly thereafter, plaintiff was given another memo listing six more deficiencies, and "five arbitrary expectations with a deadline [that was nine days later] under the threat of suspension if the expectations were unmet." Plaintiff was suspended for three days for failure to comply with the deadline. Other alleged retaliatory conduct included a suspension for five days for allegedly failing "to produce an outline of a two-day orientation," which plaintiff claims she had completed and submitted. Thereafter she was demoted pursuant to an "economy and efficiency" action that she claims was pretextual and pursuant to which her former position was filled by an unqualified person. Plaintiff was next suspended when, she alleges, she mistakenly took home a resident's chart, which resembled her own binder. According to plaintiff, the suspension occurred despite the fact that the Board of Nursing had investigated the matter at the request of Geis but found no misconduct. Several other, assertedly unwarranted, suspensions occurred until, finally, plaintiff was terminated as a result of her failure to prove proficiency in e-mail procedures, despite the fact that, according to her, she reasonably had been unable to attend the e-mail training class. Footnote: 4 4We recognize that, in fact, all of the elements of actionable fraudulent conduct, e.g. Gennari v. Weichert Co. Realtors, 148 N.J. 582, 610 (1997), may not exist here. But the Legislature did not condition CEPA protection upon a law degree. The dictionary definition of fraudulent includes "deceitful." Webster's II New College Dictionary 445 (1999). At the least plaintiff could reasonably believe Geis' insistence that plaintiff serve the charges, despite the result of her investigation of them, as "deceitful" when coupled with the ulterior motivation plaintiff reasonably believed was behind the charges.