121 Wash. App. 544 | Wash. Ct. App. | 2004
The American Civil Liberties Union (ACLU) appeals a trial court decision that records it requested under the public disclosure act (Act), RCW 42.17.250-.348, were exempt from disclosure under the deliberative process exemption to the Act, and under the Open Public Meetings Act of 1971
FACTS
The Seattle Police Officers Guild (Guild) is a private labor union representing Seattle police officers on labor and employment issues. In November 2002, in anticipation of new contract negotiations with the City of Seattle, the Guild gave the City a list of issues it planned to address in the negotiations. In return, the City provided the Guild with its list of issues for negotiation. The ACLU requested a copy of both lists under the Act, chapter 42.17 RCW. The City refused to disclose the lists because it believed they were exempt from disclosure under the Act. The ACLU then filed a lawsuit to force the City to disclose the lists. Neither party requested in camera review of the documents, and the trial court did not review them. The trial court ruled in favor of the City, concluding that the lists were exempt from the Act because they were part of the deliberative process. It also ruled that the OPMA protected the documents from disclosure. The ACLU appeals.
ANALYSIS
I. Public Disclosure Act
“The public records portion of the public disclosure act.. . requires all state and local agencies to disclose any public record upon request, unless the record falls within certain very specific exemptions.”
RCW 42.17.310(l)(i) exempts from disclosure
[preliminary drafts, notes, recommendations, and intra-agency memorandums in which opinions are expressed or policies formulated or recommended except that a specific record shall not be exempt when publicly cited by an agency in connection with any agency action.
The purpose of this deliberative process exemption — protecting the give-and-take of deliberations that are necessary to formulate agency policy — severely limits the scope of the exemption.
an agency must show that [1] the records contain predecisional opinions or recommendations of subordinates expressed as part of a deliberative process; [2] that disclosure would be injurious to the deliberative or consultative function of the process; [3] that disclosure would inhibit the flow of recommendations, observations, and opinions; and [4] . .. that the materials covered by the exemption reflect policy recommendations and opinions and not the raw factual data on which a decision is based.[6]
An appellate court reviews de novo a trial court’s decision about whether documents or records fall under an exemption to the Act.
We must determine in this case whether the lists qualify as “predecisional opinions or recommendations . . .
The ACLU asserts that the issue lists in this case do not fall under the Act’s deliberative process exemption because they are not intra-agency records, nor were they prepared by a governmental agency or a “subordinate,” and the City has not shown that disclosure would be injurious to the
First, the statute does not limit the exemption to intra-agency documents prepared by a government agency. While the statute does exempt intra-agency documents, it also exempts “preliminary drafts, notes, [and] recommendations ... in which opinions are expressed or policies formulated or recommended.”
Nor does the statute require that exempt documents be prepared by subordinates. We recognize that the PAWS court recites that term in its articulation of the test,
The problem with the ACLU’s position on this issue is that it fails to recognize that labor negotiations are an ongoing process in which the City’s negotiators, like the Guild’s representatives, must respond to the ever-changing tableau of collective bargaining. The City’s negotiators are not free to adopt their own strategies and priorities for the
II. Open Public Meetings Act
Finally, we address the City’s argument that the documents are exempt by virtue of the OPMA. Under the Act, even if records are not included in a specific exemption listed in RCW 42.17.310 and 42.17.315, they may still be exempt if they are included in “[an]other statute which exempts or prohibits disclosure of specific information or records.”
[c]ollective bargaining sessions with employee organizations, including contract negotiations, grievance meetings, and discussions relating to the interpretation or application of a labor agreement; or (b) that portion of a meeting during which the governing body is planning or adopting the strategy or position*555 to be taken by the governing body during the course of any collective bargaining, professional negotiations, or grievance or mediation proceedings, or reviewing the proposals made in the negotiations or proceedings while in progress.[25 ]
The ACLU contends that the OPMA exempts only face-to-face meetings, not written materials. To rule that the OPMA translates into a blanket exemption for all records pertaining to labor negotiations, it argues, would require the court to imply an exception, which is forbidden under the Act. We agree. The OPMA does not expressly exempt written materials from disclosure, and we may not imply an exemption.
The OPMA exempts information exchanged during collective bargaining negotiations from the open meetings requirements. Specifically, it protects from disclosure information that is exchanged during “that portion of a meeting during which the governing body is planning or adopting the strategy or position to be taken by the governing body during the course of any collective bargaining. . . .”
In PAWS,
The court also discussed a statute which expressly states that anyone who is employed at a research facility where animals are used for research can “ ‘apply for injunctive relief to prevent.. . harassment.’ ”
The OPMA’s relation to the written materials created before and during collective bargaining negotiations is more analogous to the statute and documents discussed in Brouillet v. Cowles Publishing Co.
Grosse and Schindler, JJ., concur.
Progressive Animal Welfare Soc’y (PAWS) v. Univ. of Wash., 125 Wn.2d 243, 250, 884 P.2d 592 (1994).
RCW 42.17.251.
Id.
King County v. Sheehan, 114 Wn. App. 325, 336, 57 P.3d 307 (2002).
Hearst Corp. v. Hoppe, 90 Wn.2d 123, 133, 580 P.2d 246 (1978).
PAWS, 125 Wn.2d at 256.
Id. at 252.
Id. at 256.
See Limstrom v. Ladenburg, 136 Wn.2d 595, 615, 963 P.2d 869 (1998) (remanding for in camera review in a public disclosure case, stating that “ ‘the only way that [the] court can accurately determine what portions, if any, of the file are exempt from disclosure is by an in camera review of [the files].’ ”) (quoting Newman v. King County, 133 Wn.2d 565, 583, 947 P.2d 712 (1997) (Alexander, J., dissenting)).
For the same reason, we cannot determine whether the lists contain facts, rather than opinions, which would have to be disclosed under Brouillet v. Cowles Publishing Co., 114 Wn.2d 788, 791 P.2d 526 (1990).
RCW 42.17.310(1)(i).
Progressive Animal Welfare Soc’y (PAWS) v. Univ. of Wash., 125 Wn.2d 243, 884 P.2d 592 (1994).
Id. at 247.
Id. at 248.
Id.
Id. at 257. The court noted that once the proposal became funded, the policy is clearly implemented, so the “pink sheets” would become disclosable.
We reject the ACLU’s argument that because all the agencies in PAWS were government agencies, the “pink sheets” were intra-agency documents. “Agency” is defined in the Act as including “all state agencies and all local agencies.” RCW 42.17.020(1). The definition does not include federal agencies like the NIH.
PAWS, 125 Wn.2d at 256. The test articulated in PAWS was based on the Washington Supreme Court’s discussion in Hearst of the deliberative process exception in the Freedom of Information Act (FOIA). The FOIA provides that “inter-agency or intra-agency memorandums or letters which would not be available by law to a party other than an agency in litigation with the agency” are exempt. 5 U.S.C. § 552(b)(5). The court noted that the FOIA’s provision is parallel to Washington’s Act and helpful in interpreting Washington’s statute. But when strictly applied, the FOIA test is narrower than the Washington exemption, which does not require that the documents be created by “subordinates.” The language appears to have arisen out of facts specific to National Labor Relations Board v. Sears, Roebuck & Co., 421 U.S. 132, 136-37, 95 S. Ct. 1504, 44 L. Ed. 2d 29 (1975). And, as the City points out, although courts have stated the exemption applies to predeeisional opinions of subordinates, no court has held that the exemption is limited to documents written by subordinates.
PAWS, 125 Wn.2d at 257. The ACLU attempts to distinguish the pink sheets from the lists in this case because they involved scientific trade secrets. But the scientific information to which they refer would be exempt under the valuable research exemption. Id. at 254-55 (citing RCW 42.17.310(1)(h)). The part of the court’s opinion we discuss here includes only its decision that the pink sheets were exempt based on the deliberative process exception.
The declarations from city employees, union representatives, and the King County Labor Liaison establish that it would disrupt and politicize the bargaining process to prematurely publicize the proposals of parties in the bargaining process. Public scrutiny of contract issues discussed prior to completing negotiations might be misconstrued, and disclosure would hinder a vital part of the bargaining process — the free exchange of views, opinions, and proposals. In their amicus curiae brief, the Public Service and Industrial Employees and the Local 1239 Union mirror these concerns, stating, “Confidentiality during negotiations is essential to union members because it facilitates full and frank discussions between the parties . .. [and] [w]ithout a temporary period of nondisclosure, the confidentiality critical to collective bargaining would be extinguished.” In addition, amicus points out that if the lists were disclosed, public scrutiny of the issues, which would be taken out of context and distorted by the media, would impede negotiations.
Under the City of Seattle’s Charter, the city council must adopt the agreement before it becomes effective. Art. XVI, § 9.
RCW 42.17.260(1).
PAWS, 125 Wn.2d at 262 (quoting Cowles, 114 Wn.2d at 800).
RCW 42.30.030.
RCW 42.30.140(4)(a).
PAWS, 125 Wn.2d at 262.
RCW 42.30.140(4)(b) (emphasis added).
RCW 19.108.020(3). RCW 19.108.020 provides:
(1) Actual or threatened misappropriation may be enjoined. Upon application to the court, an injunction shall be terminated when the trade secret has ceased to exist, but the injunction may be continued for an additional reasonable period of time in order to eliminate commercial advantage that otherwise would be derived from the misappropriation.
(2) If the court determines that it would be unreasonable to prohibit future use, an injunction may condition future use upon payment of a reasonable royalty for no longer than the period of time the use could have been prohibited.
(3) In appropriate circumstances, affirmative acts to protect a trade secret may be compelled by court order.
PAWS, 125 Wn.2d at 263 (quoting RCW 4.24.580).
Id. at 264.
We recognize, as no doubt the trial court did, that the OMPA’s exemption for labor negotiations expresses the public policy we discussed above in the context of the Act — the need for privacy, albeit temporary, while negotiations are ongoing and the governmental agency is formulating its responses and policy positions. While this supports our conclusion that these are part of the deliberative process under the Act, the OPMA still does not exempt labor negotiation documents.
114 Wn.2d 788, 791 P.2d 526 (1990).
RCW 28A.58.455(2).
Cowles, 114 Wn.2d at 800.