OPINION
In this consolidated appeal we consider whether named plaintiffs may appeal a district court order denying final certification of a collective action under the Fair Labor Standards Act (“FLSA”), 29 U.S.C. § 201 et seq. (2007). The named plaintiffs voluntarily dismissed their individual claims with prejudice but seek to pursue an appeal on behalf of others who opted into the litigation before the District Court. We conclude that the named plaintiffs lack final orders appealable under 28 U.S.C. § 1291. Thus, we will dismiss these appeals for lack of jurisdiction.
I.
“The FLSA establishes federal minimum-wage, maximum-hour, and overtime guarantees that cannot be modified by contract.” Genesis Healthcare Corp. v. Symczyk, — U.S. -,
Courts in our Circuit follow a two-step process for deciding whether an action may properly proceed as a collective action under the FLSA. Zavala v. Wal-Mart Stores Inc.,
It is under this framework that Appellants brought their actions.
II.
The first consolidated action was commenced on April 2, 2009, by Karen Camesi, Erin O’Connell, Dinah Baker, and Lori Shaffer (the “Camesi Named Plaintiffs”) against UPMC and multiple related entities (collectively, “UPMC”) in the United States District Court for the Western District of Pennsylvania on behalf of themselves and “similarly situated” individuals. (Camesi J.A. at A-40). They alleged that their employer, UPMC, violated the FLSA by failing to ensure that they were paid for time worked during meal breaks. Upon filing their complaint, the Camesi Named Plaintiffs moved for expedited conditional certification. (Id.) The motion was granted in May 2009, notice was directed to potential collective-action members, and 3,115 individuals opted into the lawsuit. (Camesi Br. Appellee at 5). After preliminary discovery, UPMC filed a motion to decertify the collective action and the Camesi Named Plaintiffs filed a motion for final certification. (Camesi J.A. at A-114-16). The District Court granted UPMC’s motion and denied the Camesi Named Plaintiffs’ motion on December 20, 2011, and dismissed the claims of the opt-in plaintiffs without prejudice. (Id. at A-l). The Camesi Named Plaintiffs did not ask the District Court to certify its interlocutory December 20, 2011 order for appeal, but, instead, moved under Federal Rule of Civil Procedure 41(a) for “voluntary dismissal of their claims with prejudice in order to secure a final judgment for purposes of appeal.” (Id. at A-1565). The District Court granted the unopposed motion on January 30, 2012, stating that “Plaintiffs’ remaining claim are hereby dismissed with prejudice in order to allow Plaintiffs to seek appellate review.” (Id. at A-96).
In the other consolidated action, Andrew Kuznyetsov, Charles Boal, and Marthann
Both sets of named plaintiffs now appeal. Because both cases raise the same issue, we have consolidated them before us.
III.
We begin by considering whether Appellants’ voluntary dismissal of their claims with prejudice under Rule 41(a) left them with a final order appealable under 28 U.S.C. § 1291. This question of first impression requires us to consider the scope of two strands of Third Circuit authority: Sullivan v. Pacific Indemnity Co.,
We have jurisdiction under 28 U.S.C. § 1291 to review “final decisions” of the district courts. Giles v. Campbell,
Generally, a dismissal with prejudice constitutes an appealable final order under § 1291. See, e.g., In re Merck & Co. Sec., Derivative & ERISA Litig.,
In Sullivan, the plaintiffs brought a class action under Rule 23.
We began our opinion by noting that a “class certification decision, per se, is not an appealable final order under 28 U.S.C. § 1291,” but rather is an interlocutory order. Id. We characterized the dismissal for failure to prosecute “as an attempt to avoid this [CJourt’s firm position against interlocutory appeals of class certification determinations.” Id. Such a “strategy,” this Court reasoned, was impermissible because “ ‘[i]f a litigant could refuse to proceed whenever a trial judge ruled against him, wait for the court to enter a dismissal for failure to prosecute, and then obtain review of the judge’s interlocutory decision, the policy against piecemeal litigation and review would be severely weakened.’ ” Id. at 445 (quoting Marshall v. Sielaff,
We believe that Sullivan is so similar to the cases before us as to be controlling. In the past, we have “looked to Rule 23 decisions by analogy in determining appealability” of orders in FLSA collective actions. Lusardi v. Lechner,
Like the plaintiffs in Sullivan, Appellants have attempted to short-circuit the procedure for appealing an interlocutory district court order that is separate from, and unrelated to, the merits of their case. Appellants could have obtained appellate review of the decertification order by proceeding to final judgment on the merits of their individual claims. Or, Appellants could have asked the District Courts to certify their interlocutory orders for appeal. But Appellants instead sought to convert an interlocutory order into a final appealable order by obtaining dismissal under Rule 41. If we were to allow such a procedural sleight-of-hand to bring about finality here, there is nothing to prevent
Appellants counter that Sullivan is in-apposite and we should instead follow the approach we followed in Fassett,
Appellants read Fassett and Trevino-Barton as establishing a rule that “a voluntary dismissal under Rule 41(a), sought to obtain appellate review, is a final appeal-able order.” (Appellants’ Resp. to Appel-lees’ Mot. to Dismiss the Appeal at 5). But neither case holds so broadly. Instead, we understand Fassett and Trevino-Barton to stand for the proposition that when a plaintiff has suffered an adverse judgment on the merit s as to claims or defendants A, B, and C, which would otherwise be final and appealable were it not for remaining claim or defendant D, he or she may elect to forgo D in order to obtain review of the order respecting A, B, and C. Neither case permits a plaintiff who has suffered an adverse decision collateral to the merits of A, B, C, and D to throw out his or her entire action to obtain review of that interlocutory ruling. That, of course, is exactly what happened here, where there was clearly no judgment on the merits. But even Fassett cautioned against this, stating that this Court “will not permit an indirect review of interlocutory rulings that may not be subject to direct review.”
IV.
Appellees urge an alternative bar to our exercise of jurisdiction over the review sought by Appellants, namely that, even if we were to find finality, Appellants’ voluntary relinquishment of their individual claims has rendered the cases moot.
Article III requires “that ‘an actual controversy must be extant at all stages of review, not merely at the time the complaint is filed.’” Symczyk,
We understand Appellants’ argument to be that they continue to maintain a personal stake in the outcome of the litigation because, as a result of (and notwithstanding) their dismissal of their claims with prejudice, “their individual claims are now tied to the outcome of this appeal.” (Kuznyetsov Resp. to West Penn Mot. 12-14). Appellants apparently believe that reversal of the District Courts’ decertification orders on appeal would resurrect their individual claims once again at the district court level. However, this reflects a fundamental misunderstanding of the nature of a dismissal with prejudice. The claims that Appellants dismissed with prejudice are gone forever—they are not reviewable by this Court and may not be recaptured at the district court level. See Fairley v. Andrews,
The question then becomes whether, in the absence of any individual claim, Appellants nonetheless retain a personal stake in the outcome of the litigation sufficient to prevent the entire action from being rendered moot because they claim an interest in representing others who have opted into the collective action.
We note that the issue of a named plaintiffs ability to maintain actions in a representative capacity in collective actions brought under the FLSA, as compared to Rule 23 class actions, is in a state of flux. The Supreme Court has recently reinforced its view that these procedural mechanisms are essentially different. See Symczyk,
Therefore, we will leave for another day the difficult question of whether an interest in representing opt-in collective-action plaintiffs alone may satisfy the personal-stake requirement of Article III.
y.
For the reasons discussed above, we will dismiss both appeals for lack of jurisdiction.
Notes
. Additionally, Appellees emphasize that the United States Courts of Appeals for the Sixth and Ninth Circuits have also concluded that plaintiffs may not appeal a dismissal for lack of prosecution where the plaintiffs caused that dismissal in order to appeal. See Huey v. Teledyne, Inc.,
. Appellants also invoke a slew of out-of-circuit precedent following a similar approach. Not only are these cases not binding in the Third Circuit, they are also clearly distinguishable. Compare Helm Fin. Corp. v. MNVA R.R.,
