MEMORANDUM OPINION
I. Introduction
This action involves a constitutional challenge to certain provisions of Pennsylvania’s Child Protective Services Law (“CPSL”) [23 Pa. Cons. Stat. § 6301 et seq.\ Pending before the Court is a motion to dismiss filed by the Defendants pursuant to Federal Rule of Civil Procedure 12(b), subsections (1) 1 and (6). 2 Docket No. 20. For the reasons that follow, the motion will be granted in part and denied in part.
II. Background 3
Plaintiff Melissa M. Burns (“Burns”) is an adult individual residing in North Fay *63 ette Township, Pennsylvania. Docket No. 17 at ¶ 1. She is the owner and operator of the Helping Hands Childcare and Learning Center (“Helping Hands”), which is a child-care facility located in Imperial, Pennsylvania. Id. at ¶ 2. Helping Hands earned a three-star rating from Pennsylvania’s Keystone STARS program prior to the events in question. 4 Id. To achieve such a rating, a facility must satisfy criteria exceeding the normal licensing requirements for all such facilities operating in Pennsylvania. Id. at ¶ 42. As a three-star facility, Helping Hands received grants to sustain additional educational programs. Id.
Defendant Gary D. Alexander (the “Secretary”) is Pennsylvania’s Acting Secretary of Public Welfare. 5 Id. at ¶ 3. At all times relevant to this case, Defendant Raymond S. Hart (“Hart”) was employed by Pennsylvania’s Department of Public Welfare (“DPW”) as a Regional Program Representative. Id. at ¶ 4. He worked out of the Western Regional Children, Youth and Families Office, which is located in Pittsburgh, Pennsylvania. Id.
The CPSL requires certain individuals to report known cases of child abuse to the DPW or the appropriate county agencies. 6 23 Pa. Cons. Stat. § 6311(a)-(b). In addition to those statutorily required to furnish such reports to the appropriate authorities, “any person may make such a report if that person has reasonable cause to suspect that a child is an abused child.” 23 Pa. Cons. Stat. § 6312. A report submitted by an individual having a statutory duty of disclosure “shall be made immediately by telephone and in writing within 48 hours after the oral report.” 7 23 Pa. Cons. *64 Stat. § 6313(a). Pursuant to the terms of the CPSL, the DPW maintains both a “Statewide central register” consisting of “founded and indicated reports” of child abuse and “a single Statewide toll-free telephone number that all persons, whether mandated by law or not, may use to report cases of suspected child abuse.” 23 Pa. Cons. Stat. §§ 6331(2), 6332(a).
After receiving a “report of suspected child abuse,” a county agency must “commence an appropriate investigation” and meet with the child alleged to have been abused within 24 hours. 23 Pa. Cons. Stat. § 6368(a). Before interviewing the alleged perpetrator of the abuse, the county agency is required to orally notify the accused individual of both the existence of the report and the rights that he or she enjoys under the CPSL. 23 Pa. Cons. Stat. § 6368(a). After providing such oral notice, the county agency has 72 hours to supply the alleged perpetrator with a written notice containing the same information. Id.
Once a “report of suspected child abuse” has been received, a county agency must determine within 60 days whether to classify the report as a “founded report,” an “indicated report,” or an “unfounded report.” 8 23 Pa. Cons. Stat. § 6368(c). A report constitutes a “founded report” where there has been a “judicial adjudication based on a finding that a child who is a subject of the report has been abused, including the entry of a plea of guilty or nolo contendere or a finding of guilt to a criminal charge involving the same factual circumstances involved in the allegation of child abuse.” 23 Pa. Cons. Stat. § 6303(a). A report constitutes an “indicated report” if an investigation'by the DPW or a county agency reveals that “substantial evidence of the alleged abuse exists” based on “[available medical evidence,” “[t]he child protective service investigation,” or “[a]n admission of the acts of abuse by the perpetrator.” Id. “Substantial evidence” is defined as “[ejvidence which outweighs inconsistent evidence and which a reasonable person would accept as adequate to support a conclusion.” Id. Where a report of suspected child abuse is neither a “founded report” nor an “indicated report,” it is automatically classified as an “unfounded report.” Id. The failure of a county agency to make a finding within the statutory 60-day period results in a determination that the relevant report is “unfounded.” 23 Pa. Cons. Stat. § 6337(b).
When it receives “a complaint of suspected child abuse,” the DPW is required to “maintain a record of the complaint ... in the pending complaint file.” 23 Pa. Cons.Stat. § 6334(c). The CPSL provides that “[w]hen a report of suspected child abuse ... is determined by the appropriate county agency to be a founded report or an indicated report, the information concerning that report ... shall be ex *65 punged immediately from the pending complaint file, and an appropriate entry shall be made in the Statewide central register.” 23 Pa. Cons.Stat. § 6338(a). Notice of such a determination must be given to the perpetrator of the abuse. Id. This notice must inform the individual that his or her “ability to obtain employment in a child-care facility or program ... may be adversely affected by [the] entry of the report in the Statewide central register.” Id.
“Any person named as a perpetrator ... in an indicated report of child abuse may, within 45 days of being notified of the status of the report,” request that the Secretary “amend or expunge” the report on the ground that it is “inaccurate.” 23 Pa. Cons. Stat. § 6341(a)(2). If the request is granted, the county agency may file an administrative appeal within 45 days. 23 Pa. Cons. Stat. § 6341(b). If the Secretary either denies the request or fails to act on it within 30 days, the alleged perpetrator has 45 days from the date of the letter denying the request to demand a hearing. 23 Pa. Cons. Stat. § 6341(c). At such a hearing, the “appropriate county agency” bears the burden of proving that “substantial evidence of the abuse exists.” 23 Pa. Cons. Stat. §§ 6303(a), 6341(c). In any case in which a report of child abuse is initially found to be an “indicated report,” the statutorily-required notice of the determination must inform the individual of his or her right to appeal the determination “within 45 days after being notified of the status of the report,” and of his or her “right to a hearing if the [appeal] is denied.” 23 Pa. Cons. Stat. § 6338(a).
An administrator of a “child-care service” must require each prospective employee to submit a “certification” from the DPW revealing whether he or she has been “named in the central register as the perpetrator of a founded report of child abuse,” or as the perpetrator of an “indicated report of child abuse,” within the preceding year. 23 Pa. Cons. Stat. § 6344(b)(2). An applicant who is “named in the central register as the perpetrator of a founded report of child abuse committed within the five-year period immediately preceding verification” may not be hired. 23 Pa. Cons. Stat. § 6344(c)(1). As the owner and operator of Helping Hands, Burns was required to comply with this statutory mandate. Docket No. 17 at ¶ 44; 23 Pa. Cons. Stat. § 6344(e), (f).
In May 2008, Helping Hands began to provide daily child-care and educational services to a three-year-old girl named “DM” and her five-year-old sister. 9 Id. at ¶ 46. Both of the girls had been placed in therapeutic foster care and were under the supervision of a foster family. Id. at ¶ 47. DM was known to be suffering from socialization problems and elevated levels of lead in her blood. Id. at ¶¶ 48-49.
At approximately 9:15 A.M. on November 17, 2008, DM and her sister were transported to Helping Hands by their foster father. Id. at ¶ 50. Fifteen minutes later, DM began to complain of pain in her arm. Id. at ¶ 51. These complaints persisted for over an hour. Id. Burns unsuccessfully tried to contact DM’s foster father at 10:30 A.M. Id. Shortly thereafter, DM started to engage in aggressive behavior. Id. at ¶ 52. She began to throw toys and fight with other children. Id. Burns responded by escorting DM into the facility’s kitchen and lifting her into a high chair. Id. at ¶ 55. A 30-foot wall separat *66 ed the kitchen from the area in which DM had been playing, making it impossible for the other children to view Burns’ interactions with DM. Id. at ¶ 54. DM did not cry or otherwise indicate that she was in distress. Id. at ¶ 55. She was not within the view of her sister, who was roughly 40 to 50 feet away. Id. at ¶ 57. DM was subsequently taken out of the high chair and allowed to resume her interactions with the other children. Id. at ¶ 58. At 11:30 A.M., DM’s foster father telephoned Helping Hands personnel and informed them that he would check her arm when he arrived to take her sister to a kindergarten class. Id. at ¶ 59. He arrived at Helping Hands 45 minutes later, at which point DM began to cry because of her inability to put on a coat. Id. at ¶ 60. DM’s foster father became agitated and tried to force her arm into the sleeve of the coat. Id. at ¶ 61. DM continued to cry. Id. Burns suggested that DM be permitted to stay at the facility longer in order to take a nap. Id. DM’s foster father agreed to this arrangement and left the facility with DM’s sister. Id. He later returned to pick DM up. Id. at ¶ 62. DM never went back to Helping Hands. Id.
On November 19, 2008, Hart sent Burns a letter informing her that she had been named as an alleged perpetrator of child abuse in connection with her treatment of DM. Id. at ¶ 63. The letter explained the three possible findings that could be made with respect to the report. Id. at ¶ 66. Although Burns was informed of the negative consequences that would befall her if the report were deemed to be a “founded report,” she was never warned of the negative implications of a determination that the report was an “indicated report.” Id. at ¶ 67. When Burns inquired as to whether she should be concerned about the investigation, she was told that it was “routine,” and that she had nothing to worry about. Id. at ¶ 70.
Hart interviewed DM and her sister eight days later. Id. at ¶ 71. He subsequently went to Helping Hands, where he interviewed Burns and three members of her staff. Id. at ¶ 78. Each interview lasted between 10 and 15 minutes. Id. The interviews were conducted in an office located approximately three feet inside of the entrance to Helping Hands. Id. at ¶ 77. Hart was told that DM had complained of pain prior to being escorted into the kitchen and lifted into the high chair. Id. at ¶ 79. The three staff members explained that they had not seen Burns lift DM into the high chair. Id. The placement of DM into the high chair, however, had apparently occurred in close proximity to one of the staff members, who indicated that DM had exhibited no signs of pain or distress while being lifted and transported by Burns. Id. After completing the interviews, Hart left Helping Hands without examining the area in which the abuse was alleged to have occurred. Id. at ¶ 80. He neither inspected the layout of the kitchen nor observed the place where DM’s sister had been at the time of the incident. Id.
After concluding his investigation, Hart determined that the report of abuse that had been made in connection with Burn’s treatment of DM was an “indicated report.” Id. at ¶ 82. Hart notified Burns of this determination on December 16, 2008. Id. at ¶ 83. Burns was informed that she had been listed as an “indicated” abuser in the central register. 10 Id. She was made *67 aware of this listing only after her name had already been added to the central register. Id. at ¶ 84. As a result of her status as an “indicated” child abuser, Burns was instructed to remove herself from Helping Hands and inform the parents of her students in writing about the situation. Id. at ¶ 85. Shortly thereafter, state authorities informed Burns that her operating license would not be renewed, and that she was required to display a notice to that effect at the entrance of Helping Hands. Id. at ¶ 86. Helping Hands was suspended from the Keystone STARS program and stripped of its three-star rating. Id. at ¶ 87. As a result of the suspension, Helping Hands lost over $30,000.00 in grant money and tuition support. Id. Notice of the suspension was published on Keystone STARS’ publicly-accessible website. Id.
Burns requested a copy of Hart’s investigative report. Id. at ¶ 89. She was provided only with a copy of the “CY-48” form that Hart had prepared in connection with his determination. Id. The form contained language indicating that Hart had made his determination based on “credible and convincing” information provided by DM and her sister, and on a medical report setting forth the specific nature of DM’s injury. Id. at ¶ 90. Although the injury was described on the form as an “elbow dislocation,” Burns alleges that it was actually a “radial head subluxation,” which is commonly referred to as “nursemaid’s elbow.” Id. at ¶ 91.
After learning of her status as an “indicated” child abuser, Burns requested an expunction hearing with the DPW. 11 Id. at ¶ 93. Although the hearing request was submitted to the DPW’s Division of Operations and Quality Control on January 7, 2009, it was not forwarded to the Bureau of Hearings and Appeals until January 30, 2009. Id. at ¶ 94. On February 19, 2009, a hearing was scheduled for April 8, 2009. Id. Six days later, the hearing was rescheduled for April 30, 2009. Id.
Burns was provided with a “Unified Pre-Hearing Filing Instruction Sheet,” which outlined her right to subpoena witnesses and documentary evidence by completing a “Unified Pre-Expunetion Hearing Document.” Id. at ¶ 95. The instruction sheet indicated that all subpoena requests needed to be submitted to the administrative law judge (“ALJ”) assigned to the case no later than 15 days before the hearing. Id. at ¶ 96. In accordance with the instructions, Burns submitted her subpoena requests to the ALJ in a timely manner. Id. at ¶ 95.
The CPSL contains provisions limiting the disclosure of information obtained by the DPW and county agencies during the *68 course of investigations. Section 6339 of the CPSL provides:
§ 6339. Confidentiality of reports
Except as otherwise provided in this subehapter, reports made pursuant to this chapter, including, but not limited to, report summaries of child abuse and written reports made pursuant to section 6313(b) and (c) (relating to reporting procedure) as well as any other information obtained, reports written or photographs or X-rays taken concerning alleged instances of child abuse in the possession of the department or a county agency shall be confidential.
23 Pa. Cons. Stat. § 6339. Section 6340(a)(5) permits reports specified in § 6339 to be made available to “[a] court of competent jurisdiction ... pursuant to [a] court order or subpoena in a criminal matter involving a charge of child abuse.... ” 23 Pa. Cons. Stat. § 6340(a)(5). Section 6340(b) provides that “a subject of a report” may, upon written request, receive a copy of “all information, except that prohibited from being disclosed by subsection (c), contained in the Statewide central register or in any report filed pursuant to [§ ] 6313....” 23 Pa. Cons. Stat. § 6340(b). An “alleged or actual perpetrator” of child abuse named in a report made to the DPW or a county agency qualifies as “a subject of a report” within the meaning of this statute. 23 Pa. Cons.Stat. § 6303(a). Subsections (b) and (c) of § 6313 govern the submission and receipt of reports of suspected child abuse supplied by outside individuals to county agencies. 23 Pa. Cons. Stat. § 6313(b)-(c). The specific information contained in the central register with respect to a particular report is governed by § 6336(a), which enumerates 13 specific types of information and provides that “[n]o information other than that permitted [thereunder] shall be retained in the Statewide central register.” 23 Pa. Cons. Stat. § 6336(a).
In
Dauphin County Social Services for Children & Youth v. Department of Public Welfare,
Although the ALJ granted all subpoena requests which had been made by the DPW, she declined to render a decision concerning Burns’ requests. Docket No. 17 at ¶ 97. The ALJ telephoned Burns’ counsel and stated that her discretion to grant or deny the subpoena requests was limited by the Commonwealth Court’s decision in Dauphin County. Id. at ¶ 97(a). Burns’ counsel responded by saying that Dauphin County could not control the disposition of the subpoena requests because Burns had a constitutional right to access the desired information. Id. at ¶ 97(b). *69 The ALJ indicated that she would rule on Burns’ requests before the passage of the discovery cut-off date, but she failed to follow through on that promise. Id. at ¶ 97(c). Fifteen days before the scheduled hearing, Burns’ subpoena requests were still pending, leaving her without an effective means to defend herself against the allegations which had been lodged against her. 12 Id. at ¶¶ 98-99.
On April 20, 2009, just 10 days before the scheduled hearing, the DPW notified both Burns and the ALJ that it would not be presenting a case or making an appearance at the hearing. Id. at ¶ 100. The ALJ responded by directing the DPW to remove Burns’ name from the central register. Id. at ¶ 101. The listing of Helping Hands as a suspended center on Keystone STARS’ website was not corrected until September 2009, at which point the prime enrollment season for child-care services had already ended. Id. at ¶ 102. Although Keystone STARS reinstated Helping Hands, Burns was informed that she would not be able to recover the $30,000.00 in grant money that she had lost. Id. at ¶ 103.
Burns commenced this action against the Secretary and Hart on April 24, 2010, alleging violations of the Fourteenth Amendment to the United States Constitution. Docket No. 1. An amended complaint was filed three days later. Docket No. 3. The Defendants filed a motion to dismiss on June 25, 2010, challenging the Court’s subject-matter jurisdiction to adjudicate the claims against the Secretary and contending that Hart was entitled to qualified immunity. Docket Nos. 8 & 9. Burns responded by filing a brief in opposition to the motion. Docket No. 14. The parties were afforded the opportunity to advance their respective positions during the course of an oral argument session conducted on September 28, 2010. Docket No. 15. At that time, Burns was given 30 days to amend her complaint. Id. On October 28, 2010, Burns filed her second amended complaint in accordance with the Court’s instructions, thereby rendering the Defendants’ motion to dismiss moot. Docket No. 17. The next day, the Court entered an order terminating the motion. The Defendants filed a renewed motion to dismiss on December 6, 2010, advancing the same arguments that they had raised in support of their earlier motion. Docket No. 20. That motion is the subject of this memorandum opinion.
III. Standards of Review
A motion to dismiss filed pursuant to Federal Rule of Civil Procedure 12(b)(1) challenges a court’s subject-matter jurisdiction over the plaintiffs’ claims. Fed. R. Civ. P. 12(b)(1). “At issue in a Rule 12(b)(1) motion is the court’s very power to hear the case.’ ”
Judkins v. HT Window Fashions Corp.,
In light of the United States Supreme Court’s decision in
Bell Atlantic Corp. v. Twombly,
In considering a motion to dismiss filed pursuant to Rule 12(b) (6), a court accepts all of the plaintiffs allegations as true and views all reasonable inferences drawn from those allegations in the light most favorable to the plaintiff.
Buck v. Hampton Township School District,
IV. Discussion
Burns brings her claims against the Secretary and Hart pursuant to 42 U.S.C. § 1983, which provides:
§ 1983. Civil action for deprivation of rights
Every person who, under color of any statute, ordinance, regulation, custom, or usage, of any State or Territory or the *71 District of Columbia, subjects, or causes to be subjected, any citizen of the United States or other person within the jurisdiction thereof to the deprivation of any rights, privileges, or immunities secured by the Constitution and laws, shall be liable to the party injured in an action at law, suit in equity, or other proper proceeding for redress, except that in any action brought against a judicial officer for an act or omission taken in such officer’s judicial capacity, injunctive relief shall not be granted unless a declaratory decree was violated or declaratory relief was unavailable. For the purposes of this section, any Act of Congress applicable exclusively to the District of Columbia shall be considered to be a statute of the District of Columbia.
42 U.S.C. § 1983. Section 1983 “does not create substantive rights,” but instead “provides a remedy for the violation of rights conferred by the Constitution or other statutes.”
Maher v. Gagne,
The first step in the Court’s analysis is to “identify the exact contours of the underlying right said to have been violated.”
County of Sacramento v. Lewis,
A. The Jurisdictional Challenge Concerning the Official-Capacity Claims
Burns seeks declaratory and injunctive relief against the Secretary. Docket No. 17 at ¶¶ 106-133, 156-157. The Secretary challenges the Court’s subject-matter jurisdiction to entertain Burns’ official-capacity claims against him on two separate grounds. Docket No. 21 at 3-11. First, he argues that the claims are barred by the Eleventh Amendment. Id. at 3-7. Second, he contends that there is no live “Case” or “Controversy” within the meaning of Article III insofar as Burns seeks prospective relief. Id. at 7-11. These arguments will be addressed in sequential order.
1. The Eleventh Amendment
The Eleventh Amendment to the United States Constitution provides that “[t]he Judicial power of the United States shall not be construed to extend to any suit in
*72
law or equity, commenced or prosecuted against one of the United States by Citizens of another State, or by Citizens or Subjects of any Foreign State.” U.S. Const., Amend. XI. Although its precise language is relatively narrow in scope, the Eleventh Amendment has been construed by the Supreme Court “to stand not so much for what it says, but for the presupposition of our constitutional structure which it confirms.”
Blatchford v. Native Village of Noatak,
Congress has the constitutional authority to enact legislation designed to “enforce” the substantive provisions of the Fourteenth Amendment. U.S. Const., Amend. XIV, § 5. When it validly invokes this power, Congress may abrogate the States’ Eleventh Amendment immunity and subject them to suits brought by private individuals.
Fitzpatrick v. Bitzer,
Apparently recognizing that the Secretary (in his official capacity) is not a “person” subject to suit for money damages under § 1983, Burns seeks only prospective relief against him. Docket No. 26 at 6. Strictly speaking, the form of relief sought by a plaintiff has no bearing on whether his or her action against a State is barred by the Eleventh Amendment.
Seminole Tribe of Florida v. Florida,
The act to be enforced is alleged to be unconstitutional, and if it be so, the use of the name of the State to enforce an unconstitutional act to the injury of complainants is a proceeding without the authority of and one which does not affect the State in its sovereign or governmental capacity. It is simply an illegal act upon the part of a state official in attempting by the use of the name of the State to enforce a legislative enactment which is void because unconstitutional. If the act which the state Attorney General seeks to enforce be a violation of the Federal Constitution, the officer in proceeding under such enactment comes into conflict with the superior authority of that Constitution, and he is in that case stripped of his official or representative character and is subjected in his person to the consequences of his individual conduct. The State has no power to impart to him any immunity from responsibility to the supreme authority of the United States.
Young,
In support of his motion to dismiss, the Secretary argues that Burns does not sufficiently allege an “ongoing violation of federal law” to invoke the rule established in
Young
and circumvent the immunity that he otherwise enjoys under the Eleventh Amendment. Docket No. 21 at 3-7. He evidently believes that the nature of the relief sought by a plaintiff somehow turns on the plaintiffs subjective motivations for bringing an action. The Secretary’s argument is based on a misunderstanding of the inquiry required under
Young.
In this context, the
only
relevant question is whether Burns’ second amended complaint “alleges an ongoing violation of federal law and seeks relief properly characterized as prospective.”
15
Verizon
*74
Maryland, Inc. v. Public Service Commission,
2. Standing
Like all other Article III tribunals established by Congress, this Court exercises “[t]he judicial Power of the United States.” U.S. Const., Art. Ill, § 1. This power is validly exercised only where a live “Case” or “Controversy” exists between the parties.
Id.
An action does not constitute a justiciable “Case” or “Controversy” unless the person bringing the action has the proper legal “standing” to do so.
Flast v. Cohen,
There is no question that Burns and the Secretary were involved in a live “Controversy” between the commencement of Hart’s investigation in November 2008 and the removal of Burns’ name from the central register in April 2009. The “case-or-controversy requirement” of Article III, however, “subsists through all stages of federal judicial proceedings.”
Lewis v. Continental Bank Corp.,
In response to the Secretary’s jurisdictional challenge, Burns argues that the Court has jurisdiction to adjudicate her official-capacity claims pursuant to an established exception to the mootness doctrine for disputes that are “capable of repetition” but nevertheless evade judicial review. Docket No. 26 at 6-9. This exception to the mootness doctrine “applies where (1) the challenged action is in its duration too short to be fully litigated pri- or to cessation or expiration; and (2) there is a reasonable expectation that the same complaining party will be subject to the same action again.’”
Federal Election Commission v. Wisconsin Right to Life, Inc.,
While some of Burns’ official-capacity claims relate to the investigatory period, others relate to statutory procedures which postdate that period. Docket No. 17 at ¶¶ 106-133. In any event, however, all of the claims involve challenges to procedures to which Burns was no longer being subjected when she commenced this action. Burns’ name was removed from the central register on April 20, 2009.
Id.
at ¶ 101. This action was not commenced until April 24, 2010. Docket No. 1. The Supreme Court has consistently held that the exception to the mootness doctrine invoked by Burns cannot be relied upon to revive a dispute that was already moot before the commencement of the action at
*76
issue.
Friends of the Earth, Inc. v. Laidlaw Environmental Services (TOC), Inc.,
... when sued in a complaint that alleges present or threatened injury” cannot be invoked “as a substitute for the allegation of present or threatened injury upon which initial standing must be based”);
Renne v. Geary,
In order to show that she has standing to seek prospective relief against the Secretary, Burns must show
both
that she is likely to find herself in the same or similar circumstances giving rise to the allegedly unconstitutional conduct
and
that she is likely to again be subjected to the allegedly unconstitutional conduct.
Travelers Social Club v. City of Pittsburgh,
It is the reality of the threat of repeated injury that is relevant to the standing inquiry, not the plaintiffs subjective apprehensions. The emotional consequences of a prior act simply are not a sufficient basis for an injunction absent a real and immediate threat of future injury by the defendant.
Lyons,
Burns alleges that she is likely to be the subject of additional child-abuse investigations in the future because she continues to own and operate Helping Hands and intends to remain in the childcare services profession. Docket No. 17 at ¶ 112. She posits no other basis for establishing her standing to seek prospective relief against the Secretary. Docket No. 26 at 6-9. Her status as the owner and operator of a child-care facility does not provide her with standing to seek the declaratory and injunctive relief that she seeks.
Mosby v. Ligon,
Burns does not have standing to seek declaratory and injunctive relief against the Secretary. Given this lack of standing, no “Case” or “Controversy” exists between Burns and the Secretary justifying the issuance of prospective relief. The Court is without jurisdiction to entertain Burns’ official-capacity claims.
Spencer,
B. The Merits of the Personal-Capacity Claims
Because the personal-capacity claims asserted against Hart seek monetary compensation for actual past injuries rather than prospective relief from speculative or conjectural future injuries, Burns clearly has standing to proceed with her personal-capacity claims.
Lyons,
The Due Process Clause of the Fourteenth Amendment provides that “[n]o State shall ... deprive any person of life, liberty, or property, without due process of law....” U.S. Const., Amend. XIV, § 1. This constitutional provision provides individuals with “both substantive and procedural rights.”
Albright v. Oliver,
Hart contends that he is entitled to qualified immunity from suit even if Burns properly alleges a violation of the Due Process Clause. Docket No. 21 at 11-20. The Supreme Court has determined that Congress would have expressly made common-law immunities inapplicable to actions brought under § 1983 if it had intended to do so.
Pierson v. Ray,
1. Procedural Due Process
“In any case involving a procedural due process claim, the first question for consideration is whether the plaintiff has been deprived’ of a constitutionally-protected liberty or property interest.”
Whittaker v. County of Lawrence,
Burns alleges that Hart’s “libelous accusation of suspected child abuse” deprived her of both a liberty interest in her reputation and a property interest in her operating license. Docket No. 17 at ¶ 110. She also avers that, independent of these interests, she had a constitutionally-protected property interest in receiving clearance to work in the child-care services profession. Id. at ¶¶ 44-45. Burns’ allegations are sufficient to establish, for purposes of the instant motion, that she was deprived of a constitutionally-protected liberty interest.
There is no question that the listing of Burns as an “indicated” child abuser called into question her “good name, reputation, honor, or integrity.”
Valmonte v. Bane,
The “plus” prong of the “stigma-plus” analysis typically presents a more difficult question. A property interest that independently enjoys due process protection constitutes a sufficient “plus” to bring one’s interest in preserving his or her “good name, reputation, honor, or integrity” within the ambit of the “liberty” protected by the Due Process Clause when a state-occasioned deprivation of that property interest is accompanied by governmental defamation.
Dee v. Borough of Dunmore,
Burns alleges that she had constitutionally-protected property interests in both her license to operate Helping Hands and her ability to receive clearance to work in other child-care positions. Docket No. 17 at ¶¶ 43-44. The Supreme Court has recognized “the right to hold specific private employment and to follow a chosen profession free from unreasonable governmental interference” as being within the categories of “liberty” and “property” entitled to constitutional protection.
Greene v. McElroy,
There is also a degree of uncertainty as to whether Burns had a concrete property interest in securing clearance to work in the child-care profession. Under the CPSL, a prospective “child-care services” employee must submit with his or her employment application “[a] certification from the [DPW] as to whether [he or she] is named in the central register as the perpetrator of a founded ... [or] indicated report of child abuse ----” 23 Pa. Cons. Stat. § 6344(c). “[P]ersons seeking to operate child-care services” are required to submit this information to the DPW for review. 23 Pa. Cons. Stat. § 6344(f). The CPSL specifically prohibits the hiring of an applicant who “is named in the central register as the perpetrator of a founded report of child abuse committed within the
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five-year period immediately preceding verification .... ” 23 Pa. Cons. Stat. § 6344(c)(1). In all candor, it is not clear to the Court why the listing of Burns as an “indicated” child abuser necessitated her immediate removal from Helping Hands and the subsequent nonrenewal of her operating license.
22
The statutory language directly speaks only to “founded” reports of child abuse, and the parties have not explained the causal relationship between the conclusion reached by Hart
(i.e.,
that Burns was an “indicated” child abuser) and the negative consequences suffered by Burns.
23
In any event, the Pennsylvania Supreme Court has recognized that the practical effect of listing an individual’s name in the central register is to deprive him or her of the ability to work in the child-care profession.
A.Y. v. Department of Public Welfare,
In
Valmonte v. Bane,
Valmonte alleges much more than a loss of employment flowing from the effects of simple defamation. The Central Register does not simply defame Valmonte, it places a tangible burden on her employment prospects. Valmonte has alleged that because of her inclusion on the Central Register, and because all child care providers must consult that list, she will not be able to get a job in the child-care field. In other words, by operation of law, her potential employers will be informed specifically about her inclusion on the Central Register and will therefore choose not to hire her. Moreover, if they do wish to hire her, those employers are required by law to explain the reasons why in writing.
This is not just the tangible deleterious effect that flows from a bad reputation. Rather, it is a specific deprivation of her opportunity to seek employment caused by a statutory impediment established by the state. Valmonte is not going to be refused employment because of her reputation; she will be refused employment simply because her inclusion on the list results in an added burden on employers who will therefore be reluctant to hire her.
Valmonte,
While it is not entirely clear whether Burns suffered the deprivation of a property interest entitled to independent constitutional protection, the allegations contained in the second amended complaint sufficiently allege the deprivation of a reputation-based liberty interest to implicate the protections of the Due Process Clause.
24
In this case, Burns relies not simply on the negative implications that Hart’s finding had on her employment prospects, but also on more tangible injuries such as her temporary removal from Helping Hands, the decision not to renew her operating license, Helping Hands’ suspension from the Keystone STARS program, and her loss of over $30,000.00 in grant money and tuition support. Docket No. 17 at ¶¶ 85-87. The reasoning employed in
Valmonte
and its progeny inevitably leads to the conclusion that Burns’ “good name, reputation, honor [and] integrity” were at stake
because of what the government was doing to her. Constantineau,
“Once it is determined that the Due Process Clause is implicated by a specific deprivation of liberty or property, the relevant question becomes what process is due’ under the particular circumstances.”
Whittaker,
*84 [0]ur prior decisions indicate that identification of the specific dictates of due process generally requires consideration of three distinct factors: First, the private interest that will be affected by the official action; second, the risk of an erroneous deprivation of such interest through the procedures used, and the probable value, if any, of additional or substitute procedural safeguards; and finally, the Government’s interest, including the function involved and the fiscal and administrative burdens that the additional or substitute procedural requirement would entail.
Mathews,
As an initial matter, Burns cannot allege a violation of the Fourteenth Amendment simply by averring that Hart violated Pennsylvania law. Burns alleges that Hart violated the CPSL in two respects. The CPSL requires a county agency to “orally notify” the “subject” of a child-abuse report of the existence of the report and all applicable statutory rights before proceeding to interview him or her. 23 Pa. Cons. Stat. § 6368(a). Burns claims that she never received this oral notification prior to her interview with Hart. Docket No. 17 at ¶ 65. The CPSL also requires the county agency to have an investigator meet with the child alleged to have been abused within 24 hours of its receipt of a report of suspected child abuse. 23 Pa. Cons. Stat. § 6368(a). Burns alleges that Hart first interviewed DM eight days after receiving the report concerning the incident of November 17, 2008. Docket No. 17 at ¶¶ 71-72. These
statutory
violations, however, did not render Hart’s alleged conduct
unconstitutional.
26
Archie v. Racine,
The Due Process Clause typically requires that a hearing be conducted
before
an individual is deprived of an important liberty or property interest.
Goldberg v. Kelly,
Once a “report of suspected child abuse” has been received, a county agency must determine within 60 days whether “substantial evidence of the alleged abuse exists.” 23 Pa. Cons. Stat. §§ 6303(a), 6368(c). Although the alleged perpetrator of the abuse may be interviewed as a part of the investigatory process, no adversarial hearing is available to him or her prior to a finding that he or she is an “indicated” child abuser and the listing of his or her name in the central register. 23 Pa. Cons. Stat. §§ 6338(a), 6368(a), (c). If the accused individual commences an administrative appeal within the ensuing 45-day period, the Secretary has 30 days to decide whether to “amend or expunge” the challenged information in the central register. 23 Pa. Cons. Stat. § 6341(a)(2), (c). If the Secretary either denies the appeal or fails to make a decision within 30 days, the accused individual may request an administrative hearing to challenge the listing of his or her name in the central register. 23 Pa. Cons. Stat. § 6341(c). Such a hearing request must be filed within 45 days of the Secretary’s action (or inaction) regarding the appeal. Id. When the hearing is ultimately conducted, “the appropriate county agency” bears the burden of proving the allegations of child abuse. Id. Nonetheless, the CPSL does not limit the amount of time that the DPW has to conduct a hearing after a hearing request is filed.
Burns avers that while she requested a hearing on January 7, 2009, she would have been forced to wait until April 30, 2009, to clear her name. Docket No. 17 at ¶ 94. Hart determined that Burns was an “indicated” child abuser on December 16, 2008, at which point her name was added to the central register. Id. at ¶ 83. Her name remained in the central register until April 20, 2009, when the ALJ was informed that the DPW was not prepared to proceed with the hearing. Id. at ¶ 100. Hart’s conclusion that “substantial evidence of the alleged abuse exist[ed]” resulted in the listing of Burns’ name in the central register for a period of four months. Had the allegations against Burns not been withdrawn, she would have been forced to wait an additional ten days for an opportunity to be heard.
Given the drastic consequences befalling a child-care professional whose name appears in the central register and the *86 amount of time that may pass before he or she is provided with a name-clearing hearing, Burns avers that the Due Process Clause requires a DPW employee such as Hart to properly apply the CPSL’s “substantial evidence” standard before finding that a report of suspected child abuse lodged against such a professional is an “indicated report.” Docket No. 17 at ¶¶ 134-155. She alleges that “Hart was grossly negligent in his application of the substantial evidence standard,” and that his “investigation was of such minimal quality and scope that he had no ability to properly apply [that] standard.” Id. at ¶¶ 149, 155. She characterizes Hart’s “gross negligence” as a violation of her procedural due process rights. 27 Id. at ¶ 154.
This type of procedural due process claim directly relates to the evidentiary burden that a State must meet before depriving an individual of a constitutionally-protected liberty or property interest. The evidentiary standard “that is applied most frequently in litigation between private parties” is the “preponderance of the evidence” standard.
Rivera v. Minnich,
Notwithstanding the constitutional validity of the “preponderance of the evidence” standard in various contexts, there are some instances in which the Due Process Clause requires a greater quantum of evidence before a State may deprive an individual of important liberty or property interests. The constitutional requirement that the State meet a heavier evidentiary burden when important private interests are at stake is rooted in the understanding that “[t]he individual should not be asked to share equally with society the risk of error when the possible injury to the individual is significantly greater than any possible harm to the [S]tate.”
Addington,
*87
On the other side of the spectrum are circumstances in which the Due Process Clause permits a state-occasioned deprivation to occur on the basis of evidence that falls short of the “preponderance of the evidence” standard. In
Superintendent, Massachusetts Correctional Institution v. Hill,
The CPSL defines the term “substantial evidence” as “[e]vidence which outweighs inconsistent evidence and which a reasonable person would accept as adequate to support a conclusion.” 23 Pa. Cons.Stat. § 6303(a). The plain language of this definition suggests that an investigator such as Hart must consider not only evidence which supports a finding of child abuse, but also any “inconsistent evidence” that may point toward a contrary conclusion. Burns alleges that Hart failed to consider “inconsistent evidence” in determining that she was an “indicated” child abuser. Docket No. 17 at ¶ 149. Specifically, Burns avers that Hart was “grossly negligent” in crediting DM’s account of the alleged abuse despite the fact that she was only three years old, and notwithstanding the fact that eight days had passed since the alleged incident; in crediting the account of the incident provided by DM’s five-year-old sister, who had not been in the kitchen when DM was lifted into the high chair; in failing to consider the statements from Helping Hands employees indicating that DM had complained of a sore elbow before being lifted into the high chair; in failing to consider the statements from Helping Hands employees suggesting that DM had exhibited no signs of distress while being lifted into the high chair; and in failing to view the layout of the facility for the purpose of determining whether *88 the accounts provided by DM and her sister were plausible. Id. Burns claims that the “CY-48” form completed by Hart listed no “inconsistent evidence,” and that only the statements given by DM and her sister and a medical report documenting DM’s elbow injury were actually considered as a part of Hart’s decisionmaking process. Id. at ¶ 90. The “CY-48” form was apparently the only piece of documentary evidence provided to Burns during the course of the administrative proceedings. Id. at ¶¶ 89,152.
Burns contends that Hart’s failure to properly apply the “substantial evidence” standard constituted a violation of her procedural due process rights. Docket No. 26 at 11. At this stage, the Court must assume that Burns’ allegations are true, and that Hart failed to properly consider evidence that was “inconsistent” with his finding that DM had been abused.
Buck,
In
Valmonte,
the United States Court of Appeals for the Second Circuit characterized the plaintiffs “private interest” as an interest in securing future employment in the child-care field without the “defamatory label” placed on her by the State.
Valmonte,
In
Dupuy v. Samuels,
We believe that the more rigorous interpretation of the “credible evidence” standard required by the district court’s order is an appropriate measure at the pre-indication stage. As understood by the district court, this standard requires that the investigator not simply identify some evidence that supports an indicated finding. It also requires that the investigator take into account all of the available evidence that tends to show that abuse or neglect did or did not occur. Only then may the investigator decide whether that totality of evidence would cause a reasonable individual to believe that a child was abused or neglected.
Dupuy,
Valmonte
and
Dupuy
both stand for the proposition that the Due Process Clause requires a State to consider both inculpatory and exculpatory evidence
before
classifying an accused individual as an “indicated” child abuser and listing his or her name in a “central register” accessible to potential employers. Regardless of whether the evidentiary standard is described as a “preponderance of the evidence,” “credible evidence” or “substantial evidence,” it is clear that the Constitution requires a State to weigh conflicting evidence before labeling a child-care professional as an abuser of children.
Valmonte,
The second amended complaint, when read in the light most favorable to Burns, clearly alleges that Hart’s investigation accounted only for evidence suggesting that DM had been abused, and that evidence suggesting the contrary was never considered. Docket No. 17 at ¶¶ 71-83, 149-155. Indeed, the factual support for Hart’s determination is alleged to have been so deficient that the DPW never bothered to present a case against Burns.
*90
Id.
at ¶ 100. Because the Due Process Clause required Hart to consider both inculpatory and exculpatory evidence
before
classifying Burns as an “indicated” child abuser, Burns will have an opportunity to demonstrate that no reasonable investigator in Hart’s position could have concluded, based on
all
of the available evidence, that she had abused DM.
Jackson v. Virginia,
The Supreme Court’s decisions in
Parratt v. Taylor,
The second amended complaint does not explain whether Pennsylvania provides Burns with a tort remedy to compensate her for the injuries allegedly caused by Hart’s misconduct. The question of whether such a remedy exists, however, is inconsequential under these circumstances. Burns’ allegations straddle the line between a facial attack on the CPSL’s “substantial evidence” standard and an “as applied” challenge to Hart’s application of that standard. Docket No. 17 at ¶¶ 15-17, 125, 147-149. Specifically, Burns alleges
both
that the CPSL provides no guidance as to how comprehensive an investigation must be to produce “substantial evidence” of abuse
and
that Hart failed to properly consider exculpatory evidence that was plainly available to him.
Id.
at ¶¶ 15-17, 125, 142-155. Although Burns’ procedural due process claim is premised, at least to some extent, on Hart’s alleged failure to follow proper statutory procedures, the Supreme Court’s decision in
Zinermon v. Burch,
The plaintiff in
Zinermon
alleged that the defendants had deprived him of liberty “without due process of law” by permitting him to “voluntarily” admit himself to a mental hospital in Florida for inpatient treatment even though his condition at the time of admission had rendered him incapable of giving “informed consent” to “voluntary” treatment.
Zinermon,
494 U.S. at
*91
115,
It may be permissible constitutionally for a State to have a statutory scheme like Florida’s, which gives state officials broad power and little guidance in admitting mental patients. But when those officials fail to provide constitutionally required procedural safeguards to a person whom they deprive of liberty, the state officials cannot then escape liability by invoking Parrott and Hudson. It is immaterial whether the due process violation Burch alleges is best described as arising from petitioner’s failure to comply with state procedures for admitting voluntary patients, or from the absence of a specific requirement that petitioners determine whether a patient is competent to consent to voluntary admission. Burch’s suit is neither an action challenging the facial adequacy of a State’s statutory procedures, nor an action based only on state officials’ random and unauthorized violation of state laws. Burch is not simply attempting to blame the State for misconduct by its employees. He seeks to hold state officials accountable for their abuse of their broadly delegated, uncircumscribed power to effect the deprivation at issue.
Id.
at 135-136,
The rationale articulated by the Supreme Court in
Zinermon
applies with equal force in this case. Although Burns alleges that Hart failed to properly comply with Pennsylvania’s statutory procedures, the “deprivation” at issue was affirmatively
authorized
by the provisions of the CPSL.
Id.
at 138,
2. Substantive Due Process
“In order to establish that the interest-depriving actions of a governmental entity or official constituted a substantive due process violation, a plaintiff must show
both
that the particular interest at issue was entitled to constitutional protection
and
that the government’s deprivation of that protected interest occurred in a conscience-shocking manner.”
Whittaker,
The standard for determining when an executive officer violates an individual’s substantive due process rights was articulated by the Supreme Court in
County of Sacramento v. Lewis,
As noted earlier, the listing of Burns’ name in the central register clearly implicated her “legitimate interest in pursuing her chosen occupation.”
Valmonte,
The second amended complaint, when read in the light most favorable to Burns, indicates that Hart had “the luxury of proceeding in a deliberate fashion.”
Miller,
If the applicability of the “deliberate indifference” standard was the sole factor relevant to whether Burns properly alleges a violation of her substantive due process rights, the inquiry would proceed no further. Burns alleges that Hart was “aware of the consequences of his investigation.”
35
Docket No. 17 at ¶ 146. The analysis in this case, however, must account for an additional factor. In
Lewis,
the Supreme Court was called upon to determine “whether a police officer violates the Fourteenth Amendment’s guarantee of substantive due process by causing death through deliberate or reckless indifference to life in a high-speed automobile chase aimed at apprehending a suspected offender.”
Lewis,
The inquiry in this case must account not only for the “harm” suffered by Burns as a result of her wrongful designation as an “indicated” child abuser, but also for the DPW’s interest in ensuring that children are protected from
actual
abusers.
Dupuy,
A singular focus on the mental state of a government official accused of violating the Due Process Clause presupposes that the official’s actions were somehow unjustified. Such a presupposition is sometimes appropriate. A government never has a legitimate interest in subjecting a woman to rape, United States v. Lanier,520 U.S. 259 , 261-272,117 S.Ct. 1219 ,137 L.Ed.2d 432 (1997), permitting a juvenile prison inmate to be physically assaulted by other inmates, A.M. v. Luzerne County Juvenile Detention Center,372 F.3d 572 , 579-588 (3d Cir.2004), or rendering an individual a quadriplegic, Ziccardi v. City of Philadelphia,288 F.3d 57 , 64-67 (3d Cir. 2002). When the harm caused by a government official’s conduct is unrelated to a legitimate interest within the purview of a sovereign’s police power, arbitrariness can be presumed from a showing that the official acted with a specific intent or purpose to inflict such *95 harm upon the aggrieved individual. County of Sacramento v. Lewis,523 U.S. 833 , 849,118 S.Ct. 1708 ,140 L.Ed.2d 1043 (1998) (describing “conduct intended to injure in some way unjustifiable by any government interest” as “the sort of official action most likely to rise to the conscience-shocking level”). On the other hand, when the “harm” intentionally caused by a governmental action is purely incidental to an exercise of the State’s police power, the challenged action can be characterized as “arbitrary” only if it is not rationally related to a legitimate state interest. Braun v. Ann Arbor Charter Township,519 F.3d 564 , 574 (6th Cir. 2008).
Whittaker,
If a substantive due process violation could be found solely on the basis of Hart’s alleged “deliberate indifference” to the “negative consequences” that Burns was about to suffer, without reference to the State’s competing interest in safeguarding the welfare of children, every erroneous finding of abuse made by an investigator would be actionable under the Fourteenth Amendment. “[S]uch a reading [of the Due Process Clause] would make of the Fourteenth Amendment a font of tort law to be superimposed upon whatever systems may already be administered by the States.”
Paul,
*96 3. Qualified Immunity
Since Burns properly alleges that Hart violated her procedural due process rights by failing to consider evidence suggesting that she had not abused DM, the Court must determine whether Hart is entitled to qualified immunity at this stage.
36
Mitchell,
Having carefully reviewed the state of the law at the time of Hart’s alleged actions, the Court is convinced that a reasonable investigator in his position would have known that the Due Process Clause prohibited a determination that Burns was an “indicated” child abuser based
solely
on inculpatory evidence, and without reference to the available exculpatory evidence. The decisions in
Valmonte
and
Dupuy,
both of which preceded Hart’s investigation, clearly explained that the Due Process Clause requires an investigator to “take into account
all
of the available evidence that tends to show that abuse or neglect did
or
did not occur”
before
classifying an accused individual as an “indicated” child abuser and listing his or her name in a “central register.”
Dupuy,
Burns may proceed with her claim that Hart violated her procedural due process rights. Hart remains free to raise the defense of qualified immunity at a later stage if the evidence obtained during the course of discovery does not support the allegations contained in the second amended complaint.
Behrens v. Pelletier,
V. Conclusion
For the foregoing reasons, the Defendants’ motion to dismiss will be granted with respect to Burns’ official-capacity claims against the Secretary and her substantive due process claim against Hart. The motion will be denied with respect to Burns’ procedural due process claim against Hart. Since Burns lacks standing to seek prospective relief, the Secretary will be dismissed as a party to this case. Burns remains free to demonstrate that she was deprived of concrete property interests in addition to the reputation-based liberty interest discussed earlier. Hart remains free to assert his entitlement to qualified immunity at a later stage in this litigation. An appropriate order follows.
Notes
. Federal Rule of Civil Procedure 12(b)(1) permits a defendant to move for the dismissal of a complaint on the ground that a federal court lacks subject-matter jurisdiction to adjudicate the case at issue. Fed. R. Civ. P. 12(b)(1).
. Federal Rule of Civil Procedure 12(b)(6) permits a defendant to move for the dismissal of a complaint on the ground that it fails “to state a claim upon which relief can be granted.” Fed. R. Civ. P. 12(b)(6).
.Given the procedural posture of this case, the allegations contained in the second amended complaint are assumed to be true.
Tellabs, Inc. v. Makor Issues & Rights, Ltd..,
*63
. Keystone STARS is an initiative launched by Pennsylvania's Department of Public Welfare ("DPW”) to facilitate early learning programs for children. Keystone STARS Information for Parents, http://www.dpw.state.pa.us/ forchildren/childcareearlyleaming/keystone starsinformationforparentslindex.htm (as visited on February 9, 2011). The acronym "STAR,” which typically appears in the plural form, stands for Standards, Training/Professional Development, Assistance and Resources. Id. An early learning program can earn a one-star, two-star, three-star or four-star rating based on the quality of its staff education, learning environment, leadership management and family/community partnerships. Id.
. When Burns commenced this action, Harriet Dichter (“Dichter”) was the Acting Secretary of Public Welfare. For this reason, Dichter was originally named as an official-capacity defendant in this action. Docket No. 17 at ¶ 3. Dichter resigned on September 15, 2010, and was replaced by Michael Nardone ("Nardone”). Pennsylvania Department of Public Welfare Secretary Harriet Dichter to resign,
http:/lwww.pennlive.com/midstatel index.ssf/2010/09/pennsylvania-department_ofpub.html
(as visited on February 7, 2011). Gary D. Alexander ("Alexander”) became the Acting Secretary of Public Welfare on January 18, 2011. Secretary of Public Welfare,
http:// www.dpw.state.pa.us/dpworganization/ secretaryofpublicwelfarelindex.htm
(as visited on February 7, 2011). Alexander automatically became the official-capacity defendant in this action when he assumed his current position. Fed. R. Civ. P. 25(d) (providing that "[t]he officer’s successor is automatically substituted as a party” under these circumstances);
Hafer v. Melo,
. Although a county agency is ordinarily "the sole civil agency responsible for receiving and investigating all reports of child abuse” made pursuant to the CPSL, the DPW assumes the role of the county agency "[w]hen the suspected abuse has been committed by the county agency or any of its agents or employees.” 23 Pa. Cons. Stat. § 6362(a)-(b).
. Written reports of suspected child abuse must include: (1) the name and address of *64 the child alleged to have been abused, along with the names of the child’s parents (or other persons responsible for the child’s care); (2) the location of the suspected child abuse; (3) the ages and sexes of the subjects of the report; (4) the nature and extent of the suspected child abuse, including any evidence of prior abuse to the child or to siblings of the child; (5) the name of the person allegedly responsible for causing the abuse, along with his or her relationship to the child, and any evidence of prior abuse allegedly perpetrated by that individual; (6) the composition of the family or families involved; (7) the source of the report; (8) the identity of the person making the report, along with information as to how he or she can be reached; (9) the actions taken by the reporting source in response to the abuse; and (10) any other information required under regulations promulgated by the DPW. 23 Pa. Cons. Stat. § 6313(c).
. Where a determination is not made within 30 days, the relevant county agency is required to document "the particular reasons for the delay.” 23 Pa. Cons. Stat. § 6368(c).
. Federal Rule of Civil Procedure 5.2(a)(3) provides that references to "the name of an individual known to be a minor” may normally include only "the minor's initials.” Fed. R. ely. P. 5.2(a)(3). In accordance with this mandate, the second amended complaint refers to the three-year-old girl as "DM.” Docket No. 17 at ¶ 46.
. The specific information that must be recorded in the central register in connection with a finding that child abuse has occurred is described at 23 Pa. Cons. Stat. § 6336(a). Such information includes: (1) the names, Social Security numbers, ages and sexes of the subjects of the report; (2) the date or dates, and the nature and extent, of the alleged instances of suspected child abuse; (3) the home addresses of the subjects of the *67 report; (4) the county in which the suspected abuse occurred; (5) the composition of the family or families involved; (6) the names of other persons named in the report, along with a description of their relationship with the abused child; (7) factors contributing to the abuse; (8) the source of the report; (9) services planned or provided in response to the report; (10) a specification as to whether the report has been deemed to be an "indicated report” or a "founded report”; (11) information obtained by the DPW in relation to a perpetrator's request to release, amend or expunge information retained by the DPW or a county agency; (12) the progress of any legal proceedings brought on the basis of the report of suspected child abuse; and (13) a statement as to whether a criminal investigation has been undertaken, along with information concerning the results of any such investigation and any resulting criminal prosecution. Id. No other information may be retained in the central register. Id.
. It is not clear whether Burns asked the Secretary to expunge the report on the ground of "inaccuracy” before requesting a hearing. 23 Pa. Cons. Stat. § 6341(a)(2).
. The Defendants suggest that the Commonwealth Court’s subsequent decision in
Northumberland. County Children & Youth Services v. Department of Public Welfare, 2
A.3d 794 (Pa.Commw.Ct.2010), would permit an accused individual to have access to information of the kind sought by Burns. Docket No. 21 at 5-6, n. 2. That decision, however, did not overrule
Dauphin County Social Services for Children & Youth v. Department of Public Welfare,
. The “plan of the convention” contemplated waivers of the States' sovereign immunity in certain instances. For example, "the States consented to suits brought by other States or by the Federal Government” when they ratified the Constitution.
Alden v. Maine,
. The distinction between an official-capacity suit and a personal-capacity suit turns on the capacity in which the named defendant has been
sued.
It does not turn on the capacity in which he or she has
acted.
A state official can be held
personally
liable under § 1983 for his or her
official
acts.
Hafer v.
*73
Melo,
. The Secretary mistakenly believes that Burns’ perceived lack of standing to seek prospective relief warrants a determination that
*74
her claims are barred by the Eleventh Amendment. Docket No. 21 at 7. Nonetheless, the question of whether the requested relief is barred by the Eleventh Amendment does not turn on whether Burns
herself
has standing to seek such relief.
Palomar Pomerado Health System v. Belshe,
. The Supreme Court also noted that "emotional upset is a relevant consideration in a damages action.”
City of Los Angeles v. Lyons,
. The Supreme Court has explained that the “past wrongs” suffered by a plaintiff constitute "evidence bearing on whether there is a real and immediate threat of repeated injury.”
O’Shea v. Littleton,
. The Declaratory Judgment Act provides, in pertinent part, that "[i]n a case of actual controversy within its jurisdiction ... any court of the United States, upon the filing of an appropriate pleading, may declare the rights and other legal relations of any interested party seeking such declaration, whether or not further relief is or could be sought.” 28 U.S.C. § 2201(a). A plaintiff wishing to obtain declaratory relief related to a past injury must ordinarily "demonstrate either continuing harm or a real and immediate threat of repeated injury in the future.”
Bauer v. Texas,
. Although the constitutional validity of Pennsylvania's statutory scheme as a whole is no longer at issue, the content of the challenged statutory provisions may still affect the Court’s consideration of Burns’ personal-capacity claims against Hart.
Reilly v. City of Atlantic City,
. Since Pennsylvania law requires prospective child-care employees named in the central register to disclose their status to potential employers, the listing of Burns' name in the central register most likely constituted a “publication” in and of itself. 23 Pa. Cons. Stat. § 6344(b)(2);
Dupuy v. Samuels,
. "State law may bear upon a claim under the Due Process Clause when the property interests protected by the Fourteenth Amendment are created by state law."
Davis v. Scherer,
. Burns avers that the Western Regional Children, Youth and Families Office provides documentation explaining that one’s classification as an "indicated” child abuser renders him or her unable to work as a licensed childcare provider. Docket No. 17 at ¶ 144. She does not directly explain the statutory or administrative reason why the designation of an individual as an "indicated” child abuser automatically results in such a drastic consequence. It is worth noting that while Hart's letter to Bums informing her of the report against her specified the negative consequences that would result from a finding that the allegations were "founded,” it allegedly failed to explain what would happen if she were deemed to be an "indicated” child abuser. Id. at ¶ 67.
. The parties should address this issue more clearly as the case progresses.
. Burns remains free to demonstrate, at a later stage in this litigation, that she was also deprived of more concrete property interests.
.
“A
liberty interest may arise from the Constitution itself, by reason of guarantees implicit in the word liberty,' or it may arise from an expectation or interest create by state laws or policies.”
Wilkinson v. Austin,
. Although Hart’s alleged failure to interview DM within the statutorily-prescribed 24-hour period did not alone render his actions violative of the Due Process Clause, the fact that eight days allegedly elapsed between the submission of the report of suspected child abuse and the interview with DM may have some bearing on whether an objectively reasonable person in Hart’s position could have found the three-year-old child's account of the week-old incident to be credible evidence of abuse.
. Even if Hart's alleged failure to properly apply the "substantial evidence” standard could be characterized simply as "negligence” rather than as “gross negligence,” Burns would still be able to show that she was "deprived” of a constitutionally-protected liberty interest. In
Daniels v. Williams,
. The "good time credits” at issue in
Superintendent, Massachusetts Correctional Institution
v.
Hill,
. Burns alleges that 67% of the accused individuals who administratively challenged their classifications in 2008 were ultimately exonerated. Docket No. 17 at ¶¶ 32-33.
. Although
Parratt v. Taylor,
. It is axiomatic that a completed federal constitutional violation is actionable under § 1983 regardless of whether a parallel remedy is available under state law.
Monroe v. Pape,
. Hart raises the defense of qualified immunity without specifically addressing whether Burns alleges a violation of the Due Process Clause. Docket No. 21 at 11-20. Nevertheless, the inquiry as to whether Hart is entitled to qualified immunity in this case largely turns on whether the averments contained in the second amended complaint are sufficient to establish an actionable violation of the Fourteenth Amendment.
Pearson v. Callahan,
. The "stigma-plus” test is not normally applied in the
substantive
due process context.
Doe v. Michigan Dept. of State Police,
.The Supreme Court has observed that a public employee "who can be discharged only for cause” has a constitutionally-protected property interest in his or her position and "cannot be fired without due process.”
Gilbert v. Homar,
. The United States Court of Appeals for the Third Circuit has not decided whether a showing of “deliberate indifference” always requires "subjective knowledge of a risk,” or whether "the obviousness of a risk can be sufficient for liability.”
Sanford v. Stiles,
. In
Ernst v. Child & Youth Services of Chester County,
. The Court expresses no opinion as to whether the "substantial evidence” standard is sufficient to satisfy the Constitution under the present circumstances. Since Burns alleges that Hart’s determination was not based on "substantial evidence” in any event, she alleges a violation of the Due Process Clause even if it is assumed that the Fourteenth Amendment does not require more than "substantial evidence” of abuse before an accused individual's name can be added to the central register. Docket No. 17 at ¶¶ 147-155.
