Mary D. Croce v. State of Rhode Island, Office of Adjutant General et al.
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Supreme Court
No. 2002-459-Appeal.
(PC 98-6341)
Mary D. Croce
:
v.
:
State of Rhode Island, Office of Adjutant
General et al.
:
NOTICE: This opinion is subject to formal revision before
publication in the Rhode Island Reporter. Readers are requested to
notify the Opinion Analyst, Supreme Court of Rhode Island, 250
Benefit Street, Providence, Rhode Island 02903, at Telephone 2223258 of any typographical or other formal errors in order that
corrections may be made before the opinion is published.
Supreme Court
No. 2002-459-Appeal.
(PC 98-6341)
Mary D. Croce
:
v.
:
State of Rhode Island, Office of Adjutant
General et al.
:
Present: Williams, C.J., Goldberg, Flaherty, Suttell, and Robinson, JJ.
OPINION
PER CURIAM. In this age discrimination case, the plaintiff, Mary D. Croce, appeals
from the Superior Court’s grant of summary judgment in favor of the defendants (viz., “the State
of Rhode Island, Office of Adjutant General” and “Major General Reginald Centracchio [as]
Adjutant General”). The plaintiff contends that the Superior Court erred in granting summary
judgment on statute of limitations grounds because (1) there was an allegedly continuing pattern
of discriminatory conduct and (2) at least one of the allegedly discriminatory acts purportedly
took place within the statute of limitations.
This case came before the Supreme Court for oral argument on February 1, 2005,
pursuant to an order directing the parties to appear and show cause why the issues raised in this
appeal should not be summarily decided. After hearing the arguments of counsel and examining
the memoranda submitted by the parties, we are of the opinion that cause has not been shown
and that this case should be summarily decided.
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Facts and Travel
On September 15, 1995, when plaintiff was seventy-two years old, she was notified that
she was to be laid off from her position as a fiscal clerk for the State of Rhode Island, Office of
Adjutant General. To avoid being laid off, plaintiff exercised her contractual right to “bump”
into another (albeit lower paying) position within the same department in the Adjutant General’s
office.
The plaintiff contends that a series of events that occurred after she assumed her new
position constituted a continuing pattern of discriminatory conduct that related back to the layoff
notice that she had received in September of 1995. According to plaintiff, from October 1995 to
February 14, 1996, she performed the same duties in her new position as she had performed
when she was a fiscal clerk, but she was compensated at a lower pay rate. She also alleges that it
was necessary for her to climb stairs due to the fact that she was relocated to a fourth-floor office
in a building that did not have an elevator. The plaintiff further points out that, on August 1,
1996, she was transferred to Camp Fogarty in East Greenwich, which transfer required her to
undertake a thirty-mile roundtrip daily commute. The plaintiff also alleges that, in March of
2000, she was not given a pay upgrade when the younger clerks in her department received one
and that, when her coworkers received new computers, she received only an old computer, which
was not installed. She further says that her coworkers were offered computer training, but that
she did not receive any such offer.
The plaintiff commenced the instant action by filing a complaint on December 22, 1998
(the original complaint).1
Count 1 of that complaint was brought under the federal Age
1
The plaintiff originally named only “the State of Rhode Island, Office of Adjutant
General” as defendant. She later amended her complaint, however, to add Major General
Reginald Centracchio, in his capacity as Adjutant General, as a named defendant.
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Discrimination in Employment Act (ADEA), 29 U.S.C. § 621 et seq.
Count 2 alleged that
plaintiff was a victim of age discrimination in violation of the Rhode Island Civil Rights Act of
1990 (RICRA). See G.L. 1956 chapter 112 of title 42. Count 3 contained an equal protection
claim brought pursuant to the Rhode Island Constitution.
On April 5, 2000, a motion justice granted the state’s motion to dismiss with respect to
counts 1 and 3 of the original complaint. In October 2000, the state moved for summary
judgment on count 2 of the original complaint.
On November 21, 2000 plaintiff’s motion to amend her complaint was granted. In her
amended complaint, plaintiff added Major General Reginald Centracchio in his official capacity
as a defendant, and she asserted an additional claim of age discrimination under the State Fair
Employment Practices Act (FEPA). See G.L. 1956 chapter 5 of title 28.
On January 23, 2001, a justice of the Superior Court conducted a hearing on the state’s
motion for summary judgment. The motion justice found that none of the events alleged to have
occurred after plaintiff received her layoff notice was facially discriminatory. She then granted
summary judgment in favor of the state with respect to the RICRA claim on the grounds that the
claim was barred by the statute of limitations.2
Thereafter, defendants filed another motion for summary judgment with respect to the
RICRA claim against Major General Centracchio and with respect to the FEPA claims against
both defendants.
In support of their motion for summary judgment, defendants submitted an affidavit
indicating that plaintiff’s entire unit had been transferred to Camp Fogarty to accommodate the
2
The Superior Court did not address the FEPA claim at that time because it was added
after the state had filed its motion for summary judgment; and, therefore, the state did not present
any argument concerning this issue at the hearing on January 23, 2001.
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space needs of the department.3 On the issue of plaintiff’s performance of her former duties,
defendants pointed out that, once it was learned that plaintiff had been continuing to perform her
old duties, those duties were reassigned.
The defendants also indicated that plaintiff had
admitted in her deposition testimony that her pursuit of a pay upgrade was not related to an
increase in job duties or responsibility, but rather was centered on her wanting to get her old job
back. With respect to computer usage, defendants pointed out that plaintiff had further admitted
in her deposition testimony that she had no problem finishing her work or having to share a
computer with another employee and that having the use of a computer for one or two hours a
day was sufficient. The defendants further indicated that plaintiff had received a new computer
and had been given computer training before she filed the amended complaint.
On June 21, 2002, a motion justice granted defendants’ motion for summary judgment in
its entirety. Judgment was entered on July 2, 2002, and plaintiff timely appealed.4
The plaintiff raises only one issue on appeal--namely, the appropriateness of the Superior
Court’s having granted summary judgment on statute of limitations grounds with respect to her
FEPA and RICRA claims.
Analysis
When we review the granting of summary judgment by the Superior Court, we do so on a
de novo basis. Kells v. Town of Lincoln, 874 A.2d 204, 209 (R.I. 2005). In conducting that
review, we adhere to the same criteria as did the motion justice in the Superior Court.
O’Sullivan v. Rhode Island Hospital, 874 A.2d 179, 182 (R.I. 2005). We will affirm the granting
3
In her deposition testimony, plaintiff acknowledged that her entire office, which was
composed of several employees, was transferred to Camp Fogarty at the same time as she was.
4
The judgment of July 2, 2002, from which plaintiff has appealed, expressly states that it
was “entered in accordance with the Decision rendered on June 21, 2002 * * *.”
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of summary judgment “only if, after reviewing the evidence in the light most favorable to the
nonmoving party, we conclude that no genuine issue of material fact exists and that the moving
party is entitled to judgment as a matter of law.” Tanner v. Town Council of East Greenwich,
No. 2002-667-A., slip.op. at 5 (R.I., filed July 18, 2005); see also O’Sullivan, 874 A.2d at 182.
At the same time, the party opposed to a motion for summary judgment has “the burden of
proving by competent evidence the existence of a disputed material issue of fact and cannot rest
on allegations or denials in the pleadings or on conclusions or legal opinions.” Accent Store
Design, Inc. v. Marathon House, Inc., 674 A.2d 1223, 1225 (R.I. 1996).
The plaintiff asserts that the motion justice erred in granting summary judgment in favor
of defendants. She asserts that her case was not time-barred because there was a pattern of
continuing discriminatory acts and that at least one of those discriminatory acts occurred within
statute of limitations period.5
The FEPA contains a one year statute of limitations. Section 28-5-17(a). See Roadway
Express, Inc. v. Rhode Island Commission for Human Rights, 416 A.2d 673 (R.I. 1980);
Ferguson Perforating and Wire Co. v. Rhode Island Commission for Human Rights, 415 A.2d
1055 (R.I. 1980).
However, with respect to the RICRA, we have never had occasion to hold what
limitations period is applicable. In the case of Rathbun v. Autozone, Inc., 361 F.3d 62, 70 (1st
Cir. 2004), the United States Court of Appeals for the First Circuit addressed the issue and held
that “RICRA actions are governed by Rhode Island’s three-year residual statute of limitations for
5
It is a basic principle in discrimination law that the “[p]laintiff bears the burden of
demonstrating that at least one discriminatory act occurred within the limitations period.”
Muniz-Cabrero v. Ruiz, 23 F.3d 607, 610 (1st Cir. 1994).
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injuries to the person, namely, R.I. Gen. Laws § 9-1-14(b).”6 Although the question of what
statute of limitations applies to RICRA actions is one of obvious importance to bench and bar, it
has not been briefed by the parties to this case and we will not pass upon this issue without
thorough briefing and argument. Therefore, since it will not affect the result in this particular
instance, for the purposes of this case, we have assumed the applicability of the three-year statute
of limitations, which the First Circuit concluded in Rathbun is the proper limitations period for
RICRA claims.
It is clear that the allegedly discriminatory act which lies at the core of plaintiff’s case
occurred, if at all, more than three years before plaintiff filed the complaint.
The layoff of September 1995 constituted a discrete act. The limitations period began to
run at that time, and plaintiff has failed to show why the continuing violation exception should
be available to her in this case. See Goldman v. Sears, Roebuck & Co., 607 F.2d 1014, 1018 (1st
Cir. 1979) (“A continuing violation is not stated if all that appears from the complaint is that the
plaintiff continues to suffer from the ongoing effects of some past act of discrimination.”); see
also Gilbert v. City of Cambridge, 932 F.2d 51, 58-59 (1st Cir. 1991) (distinguishing “between a
continuing act and a singular act that brings continuing consequences in its roiled wake.”); Altair
Corp. v. Pesquera de Busquets, 769 F.2d 30, 32 (1st Cir. 1985) (“[Plaintiff’s] argument
6
After acknowledging that this Court has not spoken on the subject of RICRA’s
limitations period, the First Circuit in Rathbun engaged in an extended analysis in an attempt to
determine what rule this Court most likely would adopt with respect to that subject. Rathbun v.
Autozone, Inc., 361 F.3d 62, 66-70 (1st. Cir. 2004).
While the First Circuit in Rathbun certainly presents cogent arguments in support of its
conclusion, we should note that the First Circuit in that case reversed a tightly reasoned opinion
by the United States District Court for the District of Rhode Island, which held that the
limitations period for RICRA claims should be one year. Rathbun v. Autozone, Inc., 253
F.Supp. 2d 226 (D.R.I. 2003). As we have indicated, in the case at bar we need not and do not
pass upon this difficult statute of limitations issue.
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concerning the continuing violation exception to the general rule confuses a continuing act with a
single act that has continuing consequences.”); Berry v. Board of Supervisors of L.S.U., 715
F.2d 971, 979 (5th Cir. 1983) (“[A plaintiff] may not employ the continuing violation theory ‘to
resurrect claims about discrimination concluded in the past, even though its effects persist.’”);
Adams v. Town of Burrillville, 249 F.Supp.2d 151, 154-55 (D.R.I. 2003); Fricker v. Town of
Foster, 596 F.Supp. 1353, 1359 (D.R.I. 1984); see generally Delaware State College v. Ricks,
449 U.S. 250 (1980); United Airlines, Inc. v. Evans, 431 U.S. 553 (1977).7
This case has distinct similarities with the First Circuit case of Jensen v. Frank, 912 F.2d
517 (1st Cir. 1990). The court there stated:
“It is beside the point that [plaintiff] continued to feel the
effects of the firing in 1984 and beyond. In general, Title VII’s
temporal restrictions are measured from the occurrence of a
triggering event; that the event’s sequelae linger does not
coterminously extend the limitation period. In the rather modest
garden where continuing violation jurisprudence may lawfully
flourish, courts must be careful to differentiate between
discriminatory acts and the ongoing injuries which are the natural,
if bitter, fruit of such acts.” Id. at 523.
In Jensen, Circuit Judge Seyla described at some length what a continuing violation is.
He noted that there are two types of continuing violation -- (1) a serial violation, which is
“composed of a number of discriminatory acts emanating from the same discriminatory animus,
each act constituting a separate wrong” id. at 522;8 and (2) a systemic violation, which relates to
7
It is widely recognized that statutes of limitations are “designed to keep stale claims out
of court.” Muniz-Cabrero, 23 F.3d at 611 n.6; see also Havens Realty Corp. v. Coleman, 455
U.S. 363, 380 (1982); Delaware State College v. Ricks, 449 U.S. 250, 256-57 (1980).
8
As an example of a serial violation, Judge Selya refers to an employee who is “passed
over several times for promotion, based on the same (actionable) animus.” Jensen v. Frank, 912
F.2d 517, 522 (1st Cir. 1990). Each act of discriminatory passing over the employee would be
separately actionable unless barred by the pertinent statute of limitations.
-7-
a continuing “discriminatory policy or practice,” id. at 523. The layoff of September 1995 was a
one-time event and therefore does not fall within the parameters of a serial violation. And
neither can one perceive in the record evidence of a “discriminatory policy or practice,” as is
required for there to be a systemic violation. It is clear to us that the layoff does not fall into
either category. It was a one-time administrative act -- not an act that was repeated over and
over, and it was not the product of a discriminatory policy or practice.
In our judgment, the layoff of September 1995 was no longer actionable when the
original complaint was filed in December of 1998. By that point, the statutes of limitations
pertaining to the allegedly discriminatory nature of the layoff had forever run -- and the
“continuing violation” exception may not properly be invoked by one who claims to have been
wronged by a one-time business decision such as a layoff.
The other acts to which plaintiff points (e.g., the fact that she and the other members of
her office were required to move from Providence to Camp Fogarty in East Greenwich)9 bear no
indicia of discriminatory animus.10
9
The plaintiff’s claim relative to the fact that her office unit was required to move from
their former location in Providence to Camp Fogarty in East Greenwich may be revelatory of
plaintiff’s misunderstanding of what the antidiscrimination statutes are meant to address.
Employers (including governmental employers) sometimes make decisions that cause
inconvenience or discomfort for employees, but those decisions are actionable only if plaintiff
can establish that they were motivated by a discriminatory animus.
The First Circuit well expressed this concept when it said: “Courts may not sit as super
personnel departments, assessing the merits--or even the rationality--of employers’
nondiscriminatory business decisions.” Mesnick v. General Electric Co., 950 F.2d 816, 825 (1st
Cir. 1991); see also Sullivan v. Liberty Mutual Insurance Co., 825 N.E. 2d 522, 541-42 (Mass.
2005).
10
We have reviewed the materials submitted in support of the defendants’ motion for
summary judgment, and we believe that the motion justice correctly granted summary judgment
with respect to the other allegedly discriminatory acts.
-8-
We emphasize that, even if plaintiff’s claims concerning the various purported acts of
discrimination that plaintiff alleges occurred within the statute of limitations were not properly
dismissed pursuant to a Super.R.Civ.P. 56 motion (and we have held that they were), they still
would not have served to revivify plaintiff’s claim with respect to the September 1995 layoff.
That claim ceased to be actionable no later than three years after the layoff -- whereas plaintiff
did not commence her legal action until December of 1998.
Conclusion
In view of the plaintiff’s failure to have established a basis for the application of the
“continuing violation” concept, we hold that the pertinent statutes of limitations control and that
this action is time-barred to the extent that it relates to the layoff of September 1995; and we also
hold that the non-time-barred counts alleging other discriminatory acts were properly dismissed
by summary judgment.
Accordingly, we affirm the judgment of the Superior Court. The record may be returned
to that court.
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