MEMORANDUM OPINION
Plaintiff Jason M. Edwards brings this employment-discrimination suit against defendant the United States Environmental Protection Agency (“defendant,” “EPA,” or “Agency”). Edwards, who is Native American and African American, alleges that EPA violated Title VII of the Civil Rights Act of 1964, 42 U.S.C. § 2000e et seq., by discriminating against him on the basis of race, retaliating against him, and subjecting him to a hostile work environment, and also discriminated against him on the basis of disability in violation of the Rehabilitation Act, 29 U.S.C. § 791 et seq., 1 by denying his requests for reasonable accommodation. Presently before the Court is defendant’s motion for summary judgment. For the reasons set forth below, the Court will grant the motion and enter judgment in defendant’s favor.
BACKGROUND
The pertinent facts, which are largely undisputed,
2
chronicle plaintiffs tumultuous relationship with his supervisor in the National Center for Environmental Research (“NCER”), an office within EPA’s Office of Research and Development (“ORD”). Plaintiff, who identifies himself as Native American and African American, suffers from a variety of medical ailments. Compl. at 2, ¶ 3. Specifically, he remains partially paralyzed from a stroke that he suffered prior to working at EPA, and also suffers from Crohn’s disease/colitis, “a malady of the small intestine that can cause periodic episodes of obstruction and acute abdominal pain,”
United States v. Martin,
Plaintiff worked as a Program Analyst in the Environmental Sciences Research Division (“ESRD”) of NCER. Def.’s Stmt, at 4, ¶¶ 1-3. In that position, he managed research grant and fellowship programs, conducted occasional site visits, and served for a period as Special Emphasis Project Manager and Tribal Program Coordinator. Compl. at 5-6, ¶ 14; PL’s Exh. 8 at 249 (First Record of Investigation). His su *78 pervisor early in his tenure at EPA was David Kleffman. Def.’s Stmt, at 4, ¶ 5. According to plaintiff, Kleffman allowed him to work from home when weather conditions made it difficult for him to commute to work. Def.’s Exh. 17 at 138 (Edwards 2005 Depo.); Def.’s Exh. 38 at 3, ¶ 15 (Levinson Deck). Kleffman’s successor, Barbara Levinson, continued this informal arrangement, though the practice was never memorialized in writing. Def.’s Exh. 17 at 138; Def.’s Exh. 38 at 3, ¶ 15.
While Kleffman was still his supervisor, plaintiff filed his first EEO complaint with EPA’s Office of Civil Rights in March of 1999. Plaintiff alleged that Kleffman had retaliated against him by refusing to promote him to GS-9 and refusing to convert him from noncompetitive status to full-time, competitive status, which would have allowed him further career advancement. Def.’s Ex. 5 at 2-3. This complaint was resolved by a settlement agreement in June 2001, in which EPA agreed, among other things, to pay plaintiff a designated amount and to consider him for a promotion to GS-11. See Defs Stmt, at 5 n. 2.
Rebecca Clark became Acting Director of ESRD, and plaintiffs supervisor, shortly after the settlement agreement had been signed. Def.’s Stmt, at 4, ¶4. She had an introductory meeting with plaintiff on July 31, 2001. Compl. at 14, ¶ 14. During the meeting, which he described as “cordial,” Def.’s Exh. 17 at 71, plaintiff informed Clark about the settlement agreement and his expectation that he would be transferred out of NCER in the near future. Def.’s Stmt, at 9, ¶ 31; PL’s Exh. 8 at 249. Plaintiff expressed his willingness “to pull [his] own weight” while still in the division, but “made it clear” to Clark that his “first priority was to secure ... employment elsewhere.” Def.’s Exh. 17 at 72; Def.’s Exh. 3 at 124 (Clark 2005 Depo.). Clark captured these representations in her handwritten notes from the meeting, where she indicated, among other things, plaintiffs desire to relocate to Ohio, his “reluctance” to be assigned “new tasks,” his willingness to provide “some help with other things,” and that he had an economics degree. PL’s Exh. 8 at 249. After this “cordial” introductory meeting, however, plaintiffs relationship with Clark deteriorated rapidly, leading to the series of events that comprise the basis for this lawsuit. Those events can be divided into three categories: (1) plaintiffs workload and opportunity for training; (2) the Agency’s alleged failure to provide plaintiff with reasonable accommodations for his disability; and (3) a number of actions that Clark allegedly took in retaliation for plaintiffs filing of an EEO complaint.
1. Work and Training Opportunities under Clark
Plaintiff alleges in his complaint that his duties were reduced after he filed his first EEO complaint in the spring of 1999. Between that time and his transfer in 2003, he says, no major projects were assigned to him, and his workload dropped by 60%. Compl. at 4-5. In addition, supervisors prevented him from conducting unsupervised site visits and stripped him of his responsibilities as Tribal Program Coordinator and Special Emphasis Project Manager in July and September 2000, respectively. Id. Although acknowledging that this reduction in responsibilities took place before Clark’s tenure as Acting Division Director, plaintiff insists that the trend persisted under Clark’s leadership in so far as the management of new grant recipients continued to be assigned to others. PL’s Stmt, at 14.
Clark did, however, assign plaintiff a task outside the scope of his other day-today duties. Seizing on plaintiffs background in economics, Clark called several *79 colleagues, including her husband, Dr. Matthew Clark, to ask whether they had any economics-related work that plaintiff could perform. Def.’s Exh. 3 at 124-25. Dr. Clark, an economist in another division of EPA, agreed to provide an assignment. He asked plaintiff in late July 2001 to conduct a literature search in connection with a report being prepared by his office. Def.’s Exh. 19 at 24-25 (Dr. Clark 2004 Depo.); Def.’s Exh. 3 at 138-39.
On Sunday, October 21, 2001, plaintiff sent Clark an e-mail message informing her that his grandfather had passed away and that he would be missing work to attend the funeral in Cleveland. Def.’s Exh. 21 (Oct. 21, 2001 E-mail to Clark). That same evening, he left a draft of the assigned literature search on the chair of Dr. Clark, purportedly with a note in which he told Dr. Clark that he would be leaving for a funeral and asked to discuss his work product upon his return. Compl. at 9; Pl.’s Exh. 2 at 84-85 (Edwards 2006 Depo.). The draft consisted of what Dr. Clark described as “a printout of a single online search that may have taken 15 minutes or half an hour.” PL’s Exh. 4 at 37. Dr. Clark then reported to his wife that the work performed by plaintiff “was not adequate.” Def.’s Exh. 3 at 128.
During the period when he was supposedly working on the bibliography for Dr. Clark, plaintiff also sought out multiple offsite training opportunities. Def.’s Stmt, at 8, ¶25. In September 2001, for instance, Rebecca Clark authorized plaintiff to attend Applied Clear Air Act training in South Carolina. See id.; Def.’s Exh. 17 at 92. Plaintiff later sought permission-first verbally and then in writing—to attend an American Indian Science and Engineering Society (AISES) conference that was to be held Albuquerque, New Mexico in November 2001. Def.’s Stmt, at 8, ¶ 26; Def.’s Exh. 18. In plaintiffs view, attending the AISES conference was important to his “efforts to secure other employment” because the conference included a “fairly large career fair” that featured recruiters from both government agencies and the private sector. Def.’s Exh. 17 at 98-99. Clark did not permit plaintiff to attend the conference. Def.’s Stmt, at 9, ¶ 28. Between August 1, 2001 and April 30, 2002, she also declined to authorize out-of-town training for nine other employees, two of whom were African American. Def.’s Exh. 20 (Denied Requests for Training and/or Travel).
2. EPA’s Alleged Failure to Accommodate
In August 2001, plaintiff verbally requested permission to bring his 10-week-old puppy to the office. Plaintiff told Clark that his doctor had recommended that he bring the dog to work to ameliorate work-related stress. Def.’s Stmt, at 5, ¶ 12. Clark had discussions with other EPA personnel and with plaintiff, eventually inquiring whether the dog had been trained or had been certified as a service animal. Def.’s Exh. 10 (Timeline of Events). She then requested that plaintiff submit medical documentation and information on the dog’s training. See id. Plaintiff responded by submitting a memorandum detailing his medical condition and a note from his doctor, Kevin Geraci. Def.’s Stmt, at 6, ¶¶ 13-14. Geraci disclaimed expertise on the concrete benefits that the dog could confer, emphasizing that “[t]he need for the dog is beyond the realm of [his] discussion here,” but also expressed support for what he described “as a holistic and experimental approach.” Def.’s Exh. 15 (Nov. 16, 2001 Mem.); PL’s Stmt, at 5-6. Dr. Geraci concluded, “I would say ‘go for it!’ It certainly cannot hurt.” Id. After a second verbal request on November 2, 2001, plaintiff formally requested that the Agency make a final *80 decision. Def.’s Exh. 14 (Nov. 14, 2001. Mem. to Clark). Clark then officially rejected the request, explaining that the nature of plaintiffs medical condition, which she understood as “anxiety about commuting to work and interacting with [] coworkers,” did “not relate to any mobility, hearing, visual or other impairments which require use of a service animal.” Def.’s Exh. 15. Clark thus concluded that Dr. Geraci’s “perspective on [plaintiffs] use of a service animal was not based on an articulated medical need.” Id.
Plaintiff also maintains that Clark revoked the prior arrangement under which he could work from home when his disabilities made it difficult for him to commute to the office. Compl. at 11, ¶ 16; Def.’s Exh. 17 at 138. Plaintiffs previous supervisors had never required him to seek formal approval for this arrangement, in part because plaintiff “worked from home only infrequently and then usually for only a portion of the day.” Def.’s Exh. 38 at 3, ¶ 15. Clark asked Levinson, her immediate predecessor as the Acting Director of ESRD, whether plaintiff was eligible to work from home. Levinson told Clark that, to the best of her knowledge, plaintiff “had not submitted a formal request or been granted official authorization to work from home.” Id. at 3, ¶ 16. A review of plaintiffs personnel records confirmed that account. Def.’s Stmt, at 8, ¶ 24. Clark then told plaintiff that, if he wanted authorization to work from home, he would have to submit a formal request in accordance with EPA’s “Flexiplace” regulations. Id.; Def.’s Exh. 41 (EPA Flexiplace Policy). Plaintiff never did so. Def.’s Stmt, at 8, ¶ 24.
3. Alleged Retaliatory Acts
Following Clark’s refusal to authorize both the trip to the AISES conference and the request to bring a dog to the office, plaintiff filed an EEO complaint against her on November 28, 2001. Compl. at 11, ¶ 16. Clark first learned of the complaint when she was contacted by an EEO counselor on December 5, 2001. Id.; Def.’s Stmt, at 9, ¶ 30. On the day that he filed the complaint, plaintiff was supposed to be at NCER’s two-day offsite retreat. Employees had been advised at a staff meeting on November 15 that attendance at the retreat was mandatory, and a flyer distributed to them via e-mail said: “Everyone is expected.” Def.’s Exh. 24 at 176 (Clark 2002 EEO Interview); Def.’s Exh. 23 (Email with Flyer Attachment). When plaintiff did not show up on November 27, Clark returned to the office and left a note on his chair explaining that he was expected to be at the retreat and asking him why he was not there. Def.’s Exh. 24 at 176 (Clark 2002 EEO Interview). Plaintiff received the note but did not come to the retreat either that day or the next. Def.’s Stmt, at 11, ¶40; Def.’s Exh. 17 at 189.
Further confrontations between plaintiff and Clark followed. On December 13, 2001, Clark issued plaintiff an official reprimand for his absence from the offsite retreat. Def.’s Stmt, at 11, ¶ 42; Def.’s Exh. 26 (Letter of Reprimand). Four days later, in accordance with the settlement agreement, Clark conducted a performance review with plaintiff in order to determine whether he should be promoted to GS-11. Def.’s Stmt, at 17, ¶ 74. Clark had previously consulted with Barbara Levinson, plaintiffs supervisor during the first half of the year, regarding plaintiffs performance. Def.’s Exh. 38 at 3, ¶ 17. On December 17, Clark informed plaintiff that she would not recommend Mm for a promotion. Def.’s Exh. 24 at 179. After receiving plaintiffs written objections to the grounds that she had provided, Clark responded with documents that detailed the inadequacies in plaintiffs performance throughout the course of the year. Def.’s *81 Exh. 28 (Plaintiffs Objections); Def.’s Exh. 40 (Clark’s Dec. 19, 2001 Mem. to Plaintiff).
Plaintiffs attendance problems continued in early 2002. On January 28, he called the ESRD secretary, rather than Clark, to report that he would be out sick that day. Def.’s Stmt, at 12, ¶ 46. Clark had previously informed ESRD employees that they had to contact her directly when requesting leave. Def.’s Stmt, at 43; Def.’s Exh. 27 (Sept. 7, 2001 E-mail to Staff). The following day, Clark issued a memorandum charging plaintiff with being absent without leave (AWOL), a period of leave without pay. Def.’s Exh. 29 (January 29, 2002 Mem.). Her memorandum noted that she had previously warned plaintiff, in an e-mail message dated November 9, 2001, that further failures to comply with the leave policy would result in AWOL status. Id.; see Def.’s Exh. 27 at 243 (E-mail of Nov. 9, 2001).
In early March, plaintiff failed to attend large segments of the Quality Assurance Training that the Agency deemed mandatory. Def.’s Stmt, at 13, ¶¶ 49-55. Plaintiff had been advised of his obligation to attend the training in a series of e-mail messages, as well as at a staff meeting that he attended on March 7, 2002 (though plaintiff denies that he was so informed at the staff meeting). Id. at 14, ¶ 49; Def.’s Exh. 30 at 276-287 (E-mail exchanges); Def.’s Exh. 31 at 2 (Clark 2002 EEO Interview). He arrived late on March 11, 2002, the first day of training, did not attend the second day of training, and again arrived late on the third day because he was meeting with Jack Puzak, NCER’s Deputy Director, to complain about Clark’s supervision. Def.’s Stmt, at 14, ¶ 55; Def.’s Exh. 30 at 291 (March 14, 2002 E-mail from Edwards to Clark). Clark responded by proposing that plaintiff be suspended for five days. Def.’s Exh. 7 (May 28, 2002 Notice of Proposed Suspension). NCER Director Peter Preuss approved Clark’s recommendation, over plaintiffs objections, on August 5, 2002. Def.’s Exh. 33.
Plaintiff returned to ESRD in January 2003 after a one-month detail in the Office of the Inspector. Def.’s Stmt, at 15, ¶ 62. Clark then told plaintiff that he would be required to submit a weekly report detailing his activities and projects. Id. at 15, ¶ 63; Def.’s Exh. 17 at 268-69. Plaintiff failed to turn in the first weekly report, which was due on Friday, February 14, 2003. Def.’s Stmt, at 15, ¶ 65. Clark sent him a reminder that afternoon, and did so once again two weeks later when plaintiff still had not turned in a single report. Id. at 15, ¶¶ 65-66. Plaintiff explained to Clark during a meeting on March 5, 2003 that he had not completed any reports because he had nothing to say, he believed that Clark had imposed the report requirement only on him, and he was spending his time looking for a job outside of NCER (which he viewed as his highest priority). Def.’s Exh. 9 (May 12, 2003 Notice of Proposed Suspension). After consulting with the Office of Human Resources and her supervisors, Clark proposed that plaintiff be suspended for ten days. Id.; Def.’s Stmt, at 16, ¶ 70. Jack Puzak approved the suspension on July 1, 2003. Id. at 16, ¶ 72; Def.’s Exh. 36 (Decision on Proposed Suspension).
In response to the ten-day suspension, plaintiff filed a second EEO complaint in August 2003. Def.’s Stmt, at 4 n. 1. His two complaints were later consolidated in December 2004. Compl. at 3, ¶ 9. Plaintiff filed the instant suit when 180 days had passed since his request for a hearing before the Equal Employment Opportunity Commission. See 29 C.F.R. § 1614.407.
SUMMARY JUDGMENT STANDARD
Summary judgment is appropriate when the pleadings and the evidence demon
*82
strate that “there is no genuine issue as to any material fact and that the moving party is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(c). The party seeking summary judgment bears the initial responsibility of demonstrating the absence of a genuine dispute of material fact.
See Celotex Corp. v. Catrett,
In determining whether there exists a genuine issue of material fact sufficient to preclude summary judgment, the court must regard the non-movant’s statements as true and accept all evidence and make all inferences in the non-movant’s favor. See
Anderson v. Liberty Lobby, Inc.,
DISCUSSION
Plaintiff alleges in his one-count complaint that defendant EPA discriminated against him on the basis of race, retaliated against him for filing an EEO complaint, and denied him reasonable accommodations for his disabilities. EPA asserts that plaintiff has failed to make out a prima facie case on any of his allegations and that, even if he has, the Agency has proffered legitimate, nondiscriminatory reasons for its actions. The Court will address plaintiffs allegations in turn, beginning with the claims under Title VII.
I. Title VII
A. Legal framework
Disparate treatment and retaliation claims brought pursuant to Title VII are analyzed under the familiar burden-shifting framework established by the Supreme Court in
McDonnell Douglas Corp. v. Green,
Once the plaintiff establishes a pri-ma facie case, the burden then shifts to the employer to articulate a legitimate, nondiscriminatory reason for its actions.
McDonnell Douglas,
If the employer is successful, the burden shifts back to the plaintiff to show that the employer’s stated reason was a pretext for discrimination or retaliation.
Reeves v. Sanderson Plumbing Prods., Inc.,
Assuming then that the employer has met its burden of producing a nondiscriminatory reason for its actions, the focus of proceedings at trial (and at summary judgment) will be on whether the jury could infer discrimination from the combination of (1) the plaintiffs pri-ma facie case; (2) any evidence the plaintiff presents to attack the employer’s proffered explanation for its actions; and (3) any further evidence of discrimination that may be available to the plaintiff (such as independent evidence of discriminatory statements or attitudes on the part of the employer) or any contrary evidence that may be available to the employer (such as evidence of a strong track record in equal opportunity employment).
Aka v. Washington Hosp. Ctr.,
Although the “intermediate eviden-tiary burdens shift back and forth” under the
McDonnell Douglas
framework, “ ‘[t]he ultimate burden of persuading the trier of fact that the defendant intentional
*84
ly discriminated against the plaintiff remains at all times with the plaintiff.’ ”
Reeves,
A different standard applies to plaintiffs claim that he was subjected to a hostile work environment. “The workplace is ‘hostile’ for purposes of Title VII (and thus the Rehabilitation Act) only when the offensive conduct ‘permeates [the workplace] with discriminatory intimidation, ridicule, and insult, that is sufficiently severe or pervasive to alter the conditions of the victim’s employment and create an abusive working environment.’ ”
Bell v. Gonzales,
B. Disparate treatment
Plaintiffs sole allegation of race-based discrimination stems from Clark’s refusal to authorize him to attend the AISES conference in November 2001. Defendant concedes that Clark refused to authorize the trip and that, as a Native American, plaintiff has established the first element of the prima facie case under McDonnell Douglas. The parties dispute, however, whether the denial of a single networking opportunity constitutes an adverse employment action and whether, even if it does, plaintiff has offered competent proof to rebut the nondiscriminatory reason offered by EPA.
Plaintiff directs the Court to the D.C. Circuit’s decision in
Taylor v. F.D.I.C.,
The greater weight of authority suggests that the denial of a single training or travel opportunity does not constitute an adverse employment action unless the plaintiff can “tie the alleged discriminatory employment action to some actual, tangible adverse employment consequence.”
Nurriddin v. Goldin,
There is, however, one aspect of this case that, plaintiff contends, differentiates it from the authorities cited above. Specifically, plaintiff alleges that the principal benefit of attending the AISES conference was “to network with professionals of Native American descent,” thus increasing his opportunity to secure employment outside of NCER. Pl.’s Opp’n at 8; Def.’s
*86
Exh. 17 at 98-99. The D.C. Circuit in
Brody,
when refining the contours of the adverse-employment-action category in the context of lateral transfers, included within that category employment decisions that carry with them “materially adverse consequences affecting the terms, conditions, or privileges of [one]’s employment
or [one’s] future employment opportunities ...
The principal weakness in plaintiffs argument is that the “materially adverse consequences” that he alleges are purely speculative. There was no guarantee that attending the conference — and making the sought-after connections — would in fact have hastened plaintiffs departure from NCER and have led to concrete “future employment opportunities.” To accept plaintiffs argument, therefore, the Court would have to conclude that any constraint on the opportunity to seek out other employment opportunities is itself an adverse employment action. Such a holding would constitute a truly expansive reading of what the Brody court had in mind when it used the phrase “future employment opportunities.”
The Court instead believes that the rationale underlying its decision in
Nurriddin,
as well as the Ninth Circuit’s opinion in
Strother,
presents a more accurate picture of the type of “adverse consequences” to which the D.C. Circuit was referring in
Brody.
What those cases establish is that to be adverse, the denial of a travel or training opportunity must have a discernible, as opposed to a speculative, effect on the terms, conditions, or privileges of one’s employment. See
Nurrid-din,
C. Retaliation
The bulk of plaintiffs allegations focus on actions that Rebecca Clark and her superiors at EPA supposedly took in retaliation for plaintiffs filing of a second EEO complaint in November 2001. Plaintiff points to six allegedly retaliatory actions: (1) the erosion in his duties under Clark and her predecessors; (2) the letter of reprimand issued on December 13, 2001; (3) Clark’s refusal to promote him to the GS-11 level; (4) his designation as absent without leave (AWOL) in January 2002; (5) the five-day suspension approved in August 2002; and (6) the ten-day suspension imposed in July 2003. The Court will address each of these actions in turn.
1. Diminished duties
Plaintiff alleges that, since he filed his first EEO complaint in 1999, his duties at *87 NCER have eroded in that he was asked to manage fewer research grant programs and fewer fellowship students, he was no longer permitted to conduct site visits by himself, and he was stripped of his duties as Tribal Program Coordinator and Special Emphasis Program Manager. Compl. at 5-6. EPA argues that any reduction in plaintiffs workload did not constitute an adverse employment action and that, even if it did, the Agency had legitimate, nondiscriminatory reasons for decreasing plaintiffs responsibilities.
As an initial matter, the Court rejects EPA’s argument that the reduction in work assignments, as alleged, “did not rise to the level of an adverse employment action.” Def.’s Motion at 18. It is now clear that a significant change in an employee’s work assignments is “a classic and widely recognized example of forbidden retaliation.”
White,
Nonetheless, plaintiffs claim fails for two other independent reasons. To begin with, plaintiff has not pointed to any causal connection between his protected conduct—the EEO complaint filed in March of 1999—and the adverse employment actions that he claims to have suffered. Lacking, for example, is the temporal proximity that aggrieved employees (and plaintiff here with respect to other claims) often cite as evidence of causation.
See, e.g., Holcomb,
But even if plaintiff could establish the requisite causal connection, his claim would still fail because he has not offered any evidence to rebut the proffered legitimate, nondiscriminatory reasons. EPA, though not conceding that the actions were in fact adverse, maintains that any reduction in plaintiffs workload and responsibilities was attributable to three *88 interrelated causes. First, management decided to expand the number and types of employees responsible for overseeing research fellows. Def.’s Motion at 17 (citing Def.’s Exh. 38, ¶¶ 4-5). Second, the positions of Tribal Program Coordinator and Special Emphasis Program Manager were never designed to be permanent, and plaintiff was rotated out of them in due course. Def.’s Motion at 18. Third, with respect only to plaintiffs workload following the 2001 settlement agreement, plaintiff himself told Rebecca Clark during their initial meeting that, while he was willing to do some work, he was reluctant to take on new tasks. Id. at 17-18; Pl.’s Exh. 8 at 249. These justifications, EPA submits, satisfy its burden of production under McDonnell Douglas.
Plaintiffs one-paragraph response is unconvincing. According to plaintiff, the reasons offered by EPA do “not make sense,” “raise an inference that [plaintiff] was underutilized,” and “suggest that this unde-rutilization began after he initiated EEO activity.” PL’s Opp’n at 12. Outside of these conclusory assertions, however, plaintiff has provided no evidence to support his argument that the Agency’s proffered reasons are pretextual. For all these reasons, then, EPA is entitled to summary judgment on this aspect of plaintiffs retaliation claim.
2. Reprimand letter
The second allegedly retaliatory action identified by plaintiff is the issuance of a letter of reprimand on December 13, 2001. Compl. at 13-14, ¶ 17. Defendant disputes that a letter of reprimand, without more, can constitute an adverse employment action, and also provides what it contends are legitimate, nondiscriminatory reasons for issuing the reprimand. Although the Court ultimately concludes that EPA is entitled to summary judgment on this claim on other grounds, it will, for the sake of completeness, lay out the parties’ competing arguments on the adverse-employment-action question.
EPA argues that issuing a letter of reprimand is not an adverse employment action because plaintiff suffered no “material consequence[s],” such as a “diminution in pay, benefits or responsibility.” Def.’s Motion at 13. Plaintiff acknowledges that district courts in this circuit, including this Court, have consistently held that “[flor-mal letters of admonishment and disciplinary notices that have no effect on an employee’s grade or salary level, job title, duties, benefits or work hours ... do not constitute adverse actions.”
Runkle v. Gonzales,
The Court need not definitively resolve the question whether a letter of reprimand becomes an adverse employment action when the employer explicitly relies on that letter in denying a promotion. Once again, even if plaintiff satisfies the second *89 and third elements of the prima facie case, he has failed to rebut the legitimate, nondiscriminatory reasons for the reprimand that EPA has provided. EPA’s proffered reasons are as straightforward as they come — plaintiff did not show up for the first day of a mandatory two-day retreat in November 2001, was notified by his supervisor that he was expected to attend the second day, again declined to attend, and responded to his supervisor’s questions about his refusal to attend by telling her that, “if you’re expecting me to be at a certain place at a certain time, you’re going to be disappointed.” Def.’s Exh. 24 at 177 (Clark 2002 EEO Interview). Simply put, EPA maintains that plaintiff was disciplined because he openly defied a clear directive from his supervisor.
Plaintiff responds by disputing that attendance at the two-day retreat was in fact obligatory. Pl.’s Opp’n at 16-17. In so doing, plaintiff points out that the flyer distributed via email and posted around the office said “[e]veryone is expected” to attend, rather than that the retreat was “mandatory.” Def.’s Exh. 25 (Flyer). He then relies on the testimony of another employee, Nigel Fields, and of NCER Director Preuss as support for the notion that there is a difference between mandatory meetings and meetings that all employees are “expected to attend.” This argument defies commonsense and is in any event unsupported by the evidence in the record. Although acknowledging that he had seen the phrase “attendance is mandatory” used on other occasions, Preuss testified unequivocally that the word “mandatory” and the phrase “everyone is expected to attend” were “equivalent” and captured “the same intent.” Pl.’s Exh. 3 at 41-42. Even Fields, whose testimony is notably cautious, explained that management used terms like “encouraged to attend” or “expected to attend” when it was placing special emphasis on the importance of particular events. Pl.’s Exh. 5 at 31. Fields further testified that, when missing an event that his supervisors had encouraged or expected him to attend, he would contact a supervisor to let her know that he could not make it. Id. at 34. Plaintiff made no such contact with Clark. In short, plaintiff has introduced no evidence that undermines either the mandatory nature of the retreat or the seriousness with which management viewed his purposeful absence.
Plaintiffs remaining arguments are similarly unpersuasive. He asserts that a jury could infer pretext from the fact that other employees did not attend the two-day retreat but were not issued letters of reprimand. EPA, however, has never denied that other employees were given permission to miss all or part of the retreat, arguing instead that plaintiff was the only employee to skip the retreat without prior authorization. See Def.’s Exh. 24 at 177 (Clark 2002 EEO Interview). In pointing to an incomplete list of employees who he says did not attend the retreat — full names are given for only three of the five people, one of whom is NCER Director Preuss, see Pl.’s Exh. 8 at 130 — plaintiff does not respond to the Agency’s contention, backed by Clark’s statements in 2002, that other absences were authorized by management.
3. Refusal to promote
Plaintiffs next contention is that the denial of his requested promotion to GS-11 was also retaliatory. EPA again contests plaintiffs ability to establish a prima facie case of retaliation, and offers a legitimate, nondiscriminatory reason in case the Court concludes that the prima facie case has in fact been made. With respect to the adverse-employment-action element, EPA acknowledges “that failure to promote is an ‘adverse action’ for purposes of the
*90
prima facie case,”
Stella,
What significance, then, should the Court ascribe to the fact that EPA considered plaintiff for a promotion because it knew that it had to do so? The Court believes that this fact, rather than affecting the adverse-employment-action inquiry, helps to defeat plaintiffs contention that there is a causal connection between his protected activity and the Agency’s refusal to promote him. One of plaintiffs primary arguments is that the “close proximity” between the filing of his second complaint on December 5th and the denial of the promotion on December 17th suffices to establish a causal connection. That plaintiff should take this tack is not surprising, given the law in this circuit that “a close temporal relationship
may
alone establish the required causal connection.”
Singletary,
But once again, the Court need not make a definitive ruling on this issue because EPA is entitled to summary judgment even if plaintiff has made out a prima facie case. The Agency has presented abundant evidence documenting what it labels plaintiffs “performance inadequacies,” a series of deficiencies that, it says, objectively explain and justify EPA’s refusal to grant plaintiff a promotion to GS-11. Def.’s Motion at 14; Def.’s Exh. 40 (December 19, 2001 Memorandum to Edwards). An employee’s poor job performance is a well-established nondiscriminatory justification for an adverse employment action.
See, e.g., Waterhouse,
In response, plaintiff merely offers a series of excuses for each deficiency identified by Clark. But as one court of appeals has remarked, “it is not enough for a plaintiff to show that the employer’s decision was wrong or mistaken, because the issue is whether the employer acted with [retaliatory] animus.”
Abramson v. William Paterson College of New Jersey,
Plaintiffs final salvo is that EPA’s proffered justifications must be pretextual because EPA did not see fit to take “progressive” disciplinary actions against him at the time that each problem arose. Certainly, “an employer’s failure to follow its own internal employment procedures can constitute evidence of pretext,”
Rudin v. Lincoln Land Community College,
k. AWOL designation
The fourth allegedly retaliatory action identified by plaintiff is Clark’s decision to declare him “absent without leave,” or AWOL, for his absence on January 28, 2001. EPA does not dispute, though it might have, that being placed on AWOL status constitutes an adverse employment action.
Compare Ware v. Billington,
Plaintiff has introduced no direct evidence that the AWOL designation was prompted by his protected activity, and must consequently “rely on circumstantial evidence of the temporal proximity between his complaint of discrimination and [the adverse action]” in order to establish a causal connection.
See Nurriddin,
This borderline evidence of temporal proximity, however, remains plaintiffs only evidence of a causal connection. In a previous case, this Court granted summary judgment in favor of the employer where there was “nothing to support the causal inference between plaintiffs protected activity and adverse employment action other than the closeness of time,” and “there [was] evidence that tends to negate a causal connection.”
Nurriddin,
The same conclusion follows here. EPA has introduced competent evidence demonstrating that plaintiff had regularly violated attendance policies and that Clark had personally warned him that further violations could result in an AWOL designation.
See
Def.’s Exh. 27 at 243-244 (E-mails from Clark to Plaintiff on November 7 and November 9, 2001). Plaintiffs two-pronged response — that he believed the absence policy instituted by Clark violated the collective bargaining agreement (CBA) and that another habitually absent employee was not sanctioned — is unavailing. Plaintiff has neither identified how the requirement that ESRD employees contact Clark directly contravened the CBA, nor explained why his disagreement with the policy entitled him to violate it without consequence. Moreover, the testimony cited by plaintiff simply does not support his argument that another employee, Karen Hawthorne, had a similar history of infractions and was never sanctioned. Deputy Director Jack Puzak, when asked about the frequency of Hawthorne’s absences and whether she was ever suspended for her absenteeism, responded “I don’t know.” Pl.’s Exh. 8 at 38 (Puzak Dep.). Plaintiff has pointed to no other evidence in the record that would bolster his claim that Hawthorne was similarly situated to him but was treated more favorably.
See Waterhouse,
For the same reasons, the Court also concludes that plaintiff has not successfully rebutted the nonretaliatory reasons for the AWOL designation that EPA has proffered. Failure to comply with an employer’s attendance policy constitutes a nonretaliatory ground for an adverse employment decision.
See Lewis v. Holsurn of Fort Wayne, Inc.,
5. Five-day suspension
Plaintiffs final two allegations of retaliation center on two suspensions that were imposed in 2002 and 2003. The first was the five-day suspension imposed for plaintiffs failure to attend large parts of a Quality Assurance Training in March 2002. EPA concedes that the suspension comprises an adverse action, but argues that there was no causal connection and that plaintiff cannot rebut the nonretaliatory reasons for suspending him. The Court’s analysis with regard to causation from Part I.C.4 supra applies equally to this claim, where the adverse action occurred approximately six months after Clark learned of plaintiffs protected activity. See Def.’s Exh. 7 (May 28, 2002 Notice of *94 Proposed Suspension); Def.’s Exh. 33 (Aug. 5, 2002 Decision on Proposed Suspension).
But even assuming that plaintiff could establish a causal connection, he has not rebutted the reasons offered by EPA. Stated succinctly, EPA’s justification is that plaintiff was insubordinate in refusing to attend mandatory training sessions and in responding to his supervisor’s inquiries with scorn and ridicule. Def.’s Motion at 16-17. Insubordination is firmly established as a legitimate reason that satisfies an employer’s burden of production under the
McDonnell Douglas
framework.
See, e.g., Smith v. District of Columbia,
EPA having met its burden of production, plaintiff must now show that the asserted business justification is a pretext for allegedly retaliatory actions.
See Reeves,
6. Ten-day suspension
The Court’s analysis of the 2003 ten-day suspension is virtually identical— the only questions are whether plaintiff has established a causal connection and whether he has rebutted EPA’s legitimate, nonretalitory reasons for suspending him. Once again, in trying to prove a causal connection, plaintiff seeks to shorten the applicable interval by pointing to a later meeting between Clark and the EEO counselor. The Court has already rejected plaintiffs attempt in a different context,
see
Part I.C.4
supra,
and can do so here on even simpler grounds: plaintiff has his dates wrong. Clark’s third meeting with the EEO counselor took place on January 3, 2002,
not
January 3, 2003, as plaintiff asserts. PL’s Opp’n at 32. Hence, when plaintiff resumed working under Clark in January 2003, more than a year had passed since he filed his second EEO complaint.
5
Cf Broderick,
Moreover, EPA is entitled to summary judgment even if plaintiff has satisfied the elements of a prima facie case. EPA argues — and points to undisputed record evidence that shows — that plaintiff refused to comply with Clark’s request that he provide weekly reports of his activities. Plaintiff maintains that the credibility of EPA’s justification is undermined by his own statements (1) that none of his other supervisors had previously asked him to produce such reports, and (2) that he did not recall Clark having asked other employees to do the same. PL’s Opp’n at 35; Def.’s Exh. 17 at 270. This argument fails for reasons already discussed — plaintiff’s subjective view on the wisdom of the requirement does not change the undisputed fact that there was such a requirement and that he refused to comply with it.
Plaintiffs final contention is that a reasonable juror could infer pretext from conflicting testimony as to whether Clark ever told plaintiff that everyone in the division was required to provide weekly reports. PL’s Opp’n at 35. But this alleged conflict, assuming there is one, is immaterial to the dispositive issue, which is the legitimacy of EPA’s proffered reasons for issuing the suspension. Plaintiff focuses instead on Clark’s motivation for imposing the report requirement in the first place. Even if Clark did so out of distrust toward plaintiff, however, the fact remains that plaintiff openly disobeyed a straightforward request from a supervisor and he has offered no evidence to show that the ten-day suspension was anything but EPA’s direct response to that obvious insubordination.
See Santa Cruz v. Snow,
D. Hostile work environment
Plaintiffs claim that he was subjected to a hostile work environment in retaliation for his EEO activities likewise merits little discussion. In essence, this claim attempts to recast the series of allegedly retaliatory acts discussed above as an oppressive work atmosphere permeated by unlawful animus. This Court faced a similar “retaliation-based hostile work environment” claim in
Keeley v. Small,
The same conclusion follows here. Indeed, plaintiffs allegations are even weaker than those found insufficient in
Keeley.
Whereas the plaintiff in
Keeley
went beyond reasserting his retaliation claims by pointing to a few verbal insults and mentions of his protected activity, plaintiff here has not identified
any
instances in which he was subjected to verbal harassment. The sole occasion on which Clark allegedly raised her voice was when she supposedly “lost her temper” after plaintiffs absence on January 28, 2002 and threatened to suspend him. PL’s Opp’n at 50. And plaintiffs only evidence that Clark even did this is a report that plaintiff heard from an unidentified third party.
See
PL’s Exh. 8 at 156. While plaintiff may feel that Clark’s alleged outburst violated his “right to privacy,”
id.,
any indirect harm that he suffered was not “sufficiently severe or pervasive to alter the conditions of [his] employment and create an abusive working environment.”
Oncale v. Sun-downer Offshore Servs., Inc.,
Plaintiff does add one factor to the mix. He alleges that Clark attempted to sabotage his career, first by adding negative comments to a rating of his performance in 2002 and later by “forward[ing] Edwards’ disciplinary records to a prospective employer.” PL’s Opp’n at 52; Compl. at 24. Plaintiff is correct that an employer’s effort to sabotage the employment prospects of a current or former employee may constitute unlawful retaliation under Title VII.
See Passer v. American Chemical Soc.,
E. Concluding remarks
Having analyzed each of plaintiffs Title VII claims, the Court believes that some brief concluding marks are in order. Plaintiffs allegations amply demonstrate that he had a strained and often contentious working relationship with his supervisor. He acknowledged as much in a memorandum sent to NCER Director Preuss in June 2002, describing “the overarching issue between [him] and Clark” as “a personality conflict” attributable to their “different cultural backgrounds and experiences.” Def.’s Exh. 32 at 275 (June 3, 2002 Response by Plaintiff). The allegations, when construed in the light most favorable to him, also show that plaintiff suffered what he viewed as unjustified professional setbacks. What plaintiff has not come close to showing, however, is that any of the actions taken or decisions made by his employer were motivated by unlawful race-based animus or by his protected conduct, or that those actions subjected him to a hostile work environment. Hence, no reasonable juror could find that defendant violated plaintiffs rights under Title VII, EPA is entitled to prevail as a matter of law, and summary judgment will be entered in its favor on all of plaintiffs Title VII claims.
II. Rehabilitation Act
Plaintiffs one-count complaint also alleges that EPA discriminated against him on the basis of his disability in two ways: (1) by denying his request to bring his then ten-week-old dog to the office with him, and (2) by revoking his informal arrangement for occasionally working from home. The Court will address these allegations in turn.
A. Refusal to approve plaintiffs request to bring his dog to work
“To establish a prima facie case of discrimination under the Rehabilitation Act for failure to accommodate, a plaintiff must show (1) that [he] was an individual who had a disability within the meaning of the statute; (2) that the employer had notice of his disability; (3) that with reasonable accommodation [he] could perform the essential functions of the position; and (4) that the employer refused to make such accommodations.”
Thompson v. Rice,
EPA’s argument in this regard has three components. It first maintains that denying plaintiff permission to bring his dog to the office did not “intefere[] with [plaintiffs ability to perform his job.” Def.’s Motion at 22. According to EPA, “such interference is an implicit part of the ‘denied reasonable accommodation’ calculus” because if a requested accommodation would not make a difference for the dis *98 abled individual, “an employer’s failure to provide [it] would not be meaningful.” Id. Second, EPA contends that, even if refusing to allow plaintiff’s dog at the office did affect his work performance, plaintiff has not shown that such an accommodation would have been reasonable. Finally, EPA argues that the requested accommodation would have placed an “undue burden upon the Agency.” Id.
EPA’s arguments implicate two separate showings — that a requested accommodation was reasonable, and that the accommodation would constitute an undue hardship for the employer. Under the law of this circuit, plaintiff bears the burden of establishing the former by a preponderance of the evidence.
See Barth v. Gelb,
EPA’s central argument is that plaintiff has failed to show (1) that he needed the novel accommodation that he sought and (2) that the requested accommodation would actually have improved his ability to perform his job. As a consequence, EPA maintains, plaintiffs requested accommodation was not a reasonable one.
See Aka,
EPA’s contention that plaintiff did not actually need the dog in order to perform his duties has a strong factual basis in the record. Most revealing is the statement that plaintiff made to EEO counselor Patricia Wade soon after filing his second EEO complaint. Wade said that she asked plaintiff “if he could perform the duties of his job without the dog,” and that plaintiff responded that “he had a very easy job and could perform his duties without the dog, but he felt he could do a better job with the dog.” Def.’s Exh. 25 at 67. Indeed, even while advocating use of the “holistic and experimental approach” represented by the dog, plaintiffs doctor, Kevin Geraci, specifically stated that “[t]he need for the dog [was] beyond the realm of [his] discussion here.” Def.’s Exh. 15 (emphasis added). In sum, plaintiff did not present to EPA, or to this Court, any objective evidence that bringing his young puppy to the office would have ameliorated his stress and thus allowed him better to perform the duties of his job.
EPA’s necessity argument, however, is not as strongly supported by either the text of the statute and accompanying regulations or the case law in this area. EPA appears to recognize as much when it argues that a “clear nexus” between an employee’s performance difficulties and the requested accommodation is an “implicit part” of the reasonableness inquiry. Def.’s Motion at 22
&
n. 7. This Court recently explored the role of necessity and the existence of a “nexus” requirement in a slightly different context.
See Long v. Howard Univ.,
In adopting that position, the Court was dealing with a provision of the ADA that explicitly made necessity a part of the reasonableness inquiry. The provision of Title III at issue defines actionable disability discrimination as the “failure to make reasonable modifications in policies, practices, or procedures, when such modifications are necessary to afford such goods, services, facilities, privileges, advantages, or accommodations to individuals with disabilities.” 42 U.S.C. § 12182(b)(2)(A)(ii) (emphasis added). Under that plain language, then, a refusal to adopt proposed modifications constitutes unlawful discrimination only if those “modifications are necessary” to provide the disabled person the desired “goods, services, facilities, privileges, advantages, or accommodations.” See id. Hence, this Court’s reasoning in Long was based on the statutory text that unquestionably governed the inquiry into the reasonableness of the plaintiffs’ suggested modifications.
*100
But this specific statutory text, applied in Long to an entity covered by both Title III of the ADA and § 504 of the Rehabilitation Act, does not apply to plaintiffs claim here. Rather, because plaintiff is a federal employee, the exclusive statutory basis for suit lies in § 501 of the Rehabilitation Act.
See Taylor v. Small,
Whether the requested accommodation would be an
effective
means of responding to plaintiffs disability, in contrast, is a concept addressed by both the EEOC regulations and the case law. The three explanations of the term “reasonable accommodation” found at 29 C.F.R. § 1630.2(o) limit that term to those “[m’Jodifications or adjustments” that “enable” a disabled employee to be considered for another position, “to perform the essential functions of’ his or her current or desired position, or “to enjoy equal benefits and privileges of employment as are enjoyed by its other similarly situated employees without disabilities.” Hence, employers must make changes to their policies or practices so as to place disabled employees on the same footing as nondisabled ones. Changes that are not effective do not qualify as “reasonable accommodations.”
See Barnett,
Plaintiff has not presented objective evidence that bringing his untrained dog to work would have been an effective means of resolving his stress. Plaintiff relies ex-
*101
elusively on Dr. Geraci’s letter as “medical documentation” supporting the efficacy of his proposed accommodation. As was explained above, however, Dr. Geraci expressly disclaimed his ability to predict whether the dog would actually solve the problems of which plaintiff had complained. His closing words — “I would say ‘go for it!’ It certainly cannot hurt” — are anything but a ringing endorsement of the dog’s effectiveness as a remedy. Those words, along with the accompanying reference to plaintiffs plan as “a holistic and experimental approach,” signal only that Dr. Geraci was willing to support nontraditional means of addressing plaintiffs condition. Outside of Dr. Geraci’s letter and his own assertions, plaintiff has not presented evidence that bringing his puppy to work would have been an effective means of responding to his disability. Accordingly, the Court concludes that plaintiff has failed to carry his burden of showing that the proposed accommodation was a reasonable one.
See Reed,
This conclusion is consistent with the limited case law presenting similar facts, some of which was decided under the analogous reasonable-accommodation provision of the Fair Housing Act (“FHA”).
See Bronk v. Ineichen,
Finally, the Court finds noteworthy— though not surprising — the lack of authority holding that an employee is entitled to bring an untrained dog to work as a reasonable accommodation for stress caused by his or her disabilities. The absence of such authority likely stems from the disconnect between bringing a dog to work and stress-related discomfort, and also from the consequences that would flow from requiring employers to grant such accommodations. The Court does not, however, intend to demean the value of canine companionship. Indeed, the
Prindable
court recognized that it “may well be true” that dogs “possess the ability to give unconditional love, which simply makes people feel better.”
permits no identifiable stopping point: every person with a handicap or illness that caused or brought about feelings of *102 depression, anxiety or low self esteem would be entitled to the dog of their choice, without regard to individual training or ability. And if certain people liked cats, fish, reptiles or birds better than dogs, there would be no logical reason to deny an accommodation for these animals.
Id. The Court agrees with this analysis, and consequently declines to break new ground and start down the slippery slope implicated by plaintiffs claim.
B. Revocation of plaintiffs informal work-from-home arrangement
Plaintiff also alleges that EPA failed to accommodate his disability by revoking the informal arrangement by which previous supervisors allowed him occasionally to work from home. 8 Without conceding that such an arrangement actually existed, EPA maintains that Clark offered plaintiff the option of seeking permission to work from home under EPA’s official Flexiplace program — an option plaintiff never exercised. Hence, EPA contends, there was neither a proper request for accommodation nor the denial of such a request.
Athough plaintiff strains mightily to cast this case as one in which a previously granted accommodation has been revoked, the Court agrees with EPA that the dis-positive issue is whether he requested and was denied an accommodation. “An underlying assumption of any reasonable accommodation claim is that the plaintiff-employee has requested an accommodation which the defendant-employer has denied.”
Flemmings v. Howard Univ.,
But plaintiffs theory fails on factual, legal, and policy grounds. As for the facts, plaintiff testified that his “request” for an accommodation from Kleffman was a “conversation” that led to an “agreement” — a “verbal understanding” between the two men. PL’s Exh. 8 at 135, 138 (Edwards 2006 Depo.). The closest that he came to broaching the issue with Clark occurred when he called her from home when he was not feeling well and asked if he could work from home that day. Def.’s Exh. 32 at 174. Clark authorized plaintiff to work from home that day, but told him that if he wanted to do so in the future, he would have to submit the documentation required under EPA’s Flexiplace policy. Id. That policy requires employees who want “to work at a place other than the regularly assigned work site such as satellite locations or their residences” to complete an application “and obtain the appropriate approval signatures.” Def.’s Exh. 41 at 1, 11. Plaintiff acknowledges that he never did so. PL’s Stmt, at 10-11, ¶ 24. The evidence thus demonstrates that plaintiff did not file a request for an accommodation in accordance with EPA’s *103 procedures, which EPA thus never had a chance to grant or deny.
Plaintiffs failure to file a proper request dooms his claim under Flemmings,
The conclusion that an employee’s oral request cannot trump an employer’s established procedure for requesting and approving disability accommodations is supported by practical and persuasive policy justifications. Accepting plaintiffs view would call into question both the utility and the validity of Flexiplace policies. If a disabled employee could circumvent those procedures simply by making an unverifiable oral request for the same accommodation, then the employer would have no way of knowing which employees were working at home with proper authorization and which ones were simply absent. A onetime decision by an individual supervisor would effectively bind an employer that normally prefers for such decisions to be made as part of a centralized process. Hence, EPA is entitled to summary judgment on this claim on the ground that plaintiff never requested an accommodation that was denied.
See Flemmings,
CONCLUSION
For the foregoing reasons, EPA’s motion for summary judgment is granted. A *104 separate order has been posted on this date.
ORDER
Upon consideration of defendant’s motion for summary judgment, the opposition and reply thereto, and the entire record herein, and for the reasons stated in the Memorandum Opinion issued on this date, it is this 18th day of October, 2006, hereby
ORDERED that defendant’s motion is GRANTED, and judgment is entered in favor of defendant.
SO ORDERED.
Notes
. Although plaintiff attempts to bring his claim of disability discrimination under Title VII and does not cite to the Rehabilitation Act anywhere in his Complaint, defendant has construed the allegations as arising under the latter statute, and the Court will do the same.
. These facts are drawn primarily from defendant’s Statement of Material Facts Not in Genuine Dispute ("Def.'s Stmt.”) and the exhibits cited therein. Plaintiff has filed a Counter Statement of Material Facts Genuinely in Dispute ("PL's Stmt.”). That document, however, repeats the content of defendant's Statement, purports to admit or deny the facts as presented by defendant, and, when contesting in whole or part the defendant’s version of events, simply adds supplemental details or commentary favorable to plaintiff. E.g., PL's Stmt, at 15, ¶ 36.
. Similarly unpersuasive is plaintiffs contention that a reasonable juror could infer pretext from the fact that Dr. Clark provided substantive written criticism of plaintiff’s literature search only after plaintiff had challenged the grounds on which his promotion was denied. See PL's Opp'n at 23-24. The record contains a straightforward explanation: Dr. Clark provided an evaluation of plaintiff's performance because, in his December 19, 2001 memorandum challenging Rebecca Clark’s decision, plaintiff asserted that he had never received a "response” to his work product from Dr. Clark. Def.’s Exh. 28. Dr. Clark’s e-mail drafted later that day constituted just such a response. Def.'s Exh. 40 at 24.
. EPA’s proffered reasons are fully supported by the documentary evidence in the record, which includes the lists of employees who were "required” to attend the particular seminars. Def.'s Exh. 30 at 277. Those lists featured plaintiff's name. Id. at 276-79. In addition, what the Agency describes as plaintiff's "insolence,” Def.'s Motion at 16, is readily apparent from the email correspondence reproduced in the same exhibit. See id. at 290-94.
. Plaintiff attributes significance to two other EEO-related events in that time period — the issuance of the investigative report on his second complaint on February 14, 2003, and his request for a hearing before an Administrative Law Judge on March 11, 2003. PL’s Opp’n at 33. Both of these events, however, postdate plaintiff’s meeting with Clark in early 2003, the one at which, according to plaintiff, Clark singled him out by imposing the weekly-report requirement.
. Although both parties cite to
Mustafa v. Clark County Sch. Dist.,
. The regulation defining those protected by the ADA and the Rehabilitation Act provides an additional reason for the Court to proceed with caution. As the D.C. Circuit has explained, “an individual with handicaps is 'qualified' " for purposes of the statute “if she can perform the essential functions of her position with reasonable accommodation. If she can perform these functions
without
reasonable accommodation, so much the better—she is, of course, still qualified.”
Carr v. Reno,
. Although plaintiff’s Complaint describes this decision as retaliatory in nature, see Compl. at 11, his opposition to EPA’s motion recharac-terizes his claim as alleging that EPA refused to accommodate his disability. PL's Opp'n at 35, 39.
. Plaintiff's repeated contention that Clark did not require another employee, Sheila Ro-senthal, "to fill out paperwork to perpetuate her pre-existing Flexiplace” does not affect the Court’s analysis or conclusion on this point for two reasons. Pl.’s Opp'n at 46. First, plaintiff's contention rests upon a mis-characterization of Clark's testimony, which plainly demonstrates that Clark did not recall the details of Rosenthal's arrangement. PL's Exh. 1 at 206-210 (Clark Depo.). Second, the possibility that the application requirement was relaxed for another employee might show that plaintiff was singled out, but it does not show that plaintiff took the step that serves as a prerequisite to a reasonable accommodation claim: filing a request.
