This case, arising from the 1995 termination of Bruce Fant as an employee of New England Power Service Company (NEPSCO), poses a preemption issue under § 301 of the Labor Management Relations Act (LMRA), 29 U.S.C. § 185. Fant sought the support of his union, the International Brotherhood of Electrical Workers, Local 486 (IBEW), in challenging the termination, but it declined to represent him. Subsequently, Fant complained of discrimination by his employer and his un
I.
Background
Bruce Fant was employed by NEPSCO for eight years prior to his discharge on June 22, 1995. He worked much of this time as a first class utility worker in the Maintenance and Construction Department. In January 1993, Fant hurt his back at work, an injury covered by workers’ compensation. Though he returned to a reduced work schedule, he was laid off shortly thereafter, along with 62 other employees. Fant sought recall for a light-duty job (he could not be rehired for operation of heavy equipment because of his injury). Despite his seniority among those laid off, Fant was never recalled. The IBEW refused to pursue a grievance on his behalf. He was terminated from employment on June 22, 1995. In August 1995, the IBEW refused services for the last time, advising Fant that it no longer considered him a member of the union.
Pursuant to Massachusetts General Laws Chapter 151B, Fant filed a discrimination charge against his employer and the union with the MCAD on December 15, 1995, claiming discrimination based upon a speech impediment described as stuttering. Fant believed that the stutter defeated his candidacy for the light-duty positions he sought because of the communications skills required. Although the parties describe the proceedings before the MCAD differently, there is no record in this proceeding of the MCAD’s action. In his brief and at oral argument, Fant states that he “removed” the MCAD charge to the Superior Court prior to a final disposition by the MCAD. Defendant IBEW indicates in a footnote to its brief that Fant’s charge was investigated and dismissed by the MCAD on June 16, 1997 with a lack of probable cause finding, and that the full Commission affirmed the judgment after Fant appealed.
We do know, however, that on June 3, 199^, Fant filed a complaint in Worcester Superior Court alleging discrimination by the defendants and seeking relief on five counts: negligent infliction of emotional distress, intentional infliction of emotional distress, civil rights violations, interference with contractual relations, and interference with advantageous contractual relations. Six weeks later Fant amended his complaint by changing the previous complaint’s “General Averments” portion into a section titled “General Averments of Wrongdoing,” now labeled as “Count I.” Although these general averments do not refer to any provisions of Massachusetts law, Fant says they constitute his state law discrimination claim.
The IBEW removed the case to federal court under 28 U.S.C. § 1441, arguing that the action was governed by federal law, specifically § 301 of the LMRA, which provides a federal cause of action in “[sjuits for violations of contracts between an employer and a labor organization representing employees in an industry affecting commerce.” 29 U.S.C. § 185. Seeking summary judgment, NEPSCO and NEES argued successfully that the federal law preempted the state claims. The IBEW also prevailed in its contention that Fant failed to state a claim against it because the applicable statute of limitations had expired. These successes prompted this
II.
The state law discrimination claim
Before addressing the preemption question, we must determine the scope of Fant’s state law discrimination claim. Because of a troubling factual discrepancy in the parties’ accounts of proceedings before the MCAD, and uncertain drafting in Fant’s complaint, this is not a simple determination.
A. Speech impediment: Chapter 151B
On appeal, Fant insists that he has stated a claim under Chapter 151B, the Massachusetts omnibus anti-discrimination statute, on the basis of a stuttering disability. He relies for this contention on this allegation in his complaint: “plaintiff was terminated from his employment as a result of wrongful, illegal, unlawful and discriminatory actions of the employers and representatives, which actions were solely based upon the plaintiffs disabilities.” Fant says that the use of the term “disabilities” in this allegation includes discrimination based upon a stutter and a work-related back injury. However, only the work-related injury is specifically identified in the complaint.
A party who wants to file a civil action charging discrimination in employment under Chapter 151B must first file the charge with the MCAD. The purpose of mandatory submission to the MCAD process is to provide notice to the prospective defendant and to encourage conciliation and settlement of disputes.
See Stephenson v. State Street Bank & Trust Co.,
1. An MCAD decision
Although the “Charge of Discrimination” document Fant filed with the MCAD was not part of the record before the district court, Fant has included that document as an addendum to his brief on appeal. We consider that document for the limited purpose of evaluating Fant’s insistence that the state claim he filed in the Superior Court included a claim that he was discriminated against because of his speech disability.
In the “Charge of Discrimination” document, Fant states specifically that the disability at issue is “the speech impediment commonly referred to as stuttering.” He also states specifically that his job-related back injury “is not part of the claim filed with the Commission.” If Fant pursued his speech impediment claim to a final resolution by the MCAD, as the IBEW says he did, Fant’s access to the state Superior Court would be limited to judicial review of the administrative determination, not the original action Fant filed here. “By providing for judicial review of MCAD decisions, and by foreclosing agency action once a party has sought a judicial
2. Removal of the charge from the MCAD
Alternatively, accepting Fant’s insistence that he removed his speech impediment claim from the MCAD before a final resolution, we must assess whether the specifics of the MCAD charge inform the meaning of “disabilities” in Fant’s Superior Court complaint. It is appropriate for a court to consider the MCAD charge when the “charge is referenced in [the complaint] and its content determines the parameters of [the] civil complaint.”
Edwin v. Blenwood Assoc. Inc.,
However, Fant’s complaint does not reference the MCAD charge, nor does it even reference Chapter 151B, the state’s employment discrimination statute, which Fant says on appeal is the basis for his speech impediment claim. Yet Fant refers specifically to his work-related injury. Moreover, Fant’s complaint is not dependent on a previous charge filed with the MCAD because his claim under Chapter 152, § 75B, see infra, does not require a prior filing with the MCAD. 3 Under these circumstances, the mere plural reference to “disabilities” in Fant’s complaint does not provide fair notice that he is also claiming discrimination on the basis of a speech impediment.
B. Work-related injury: Chapter 152, § 75B
Chapter 152 of the Massachusetts General Laws is the state workers’ compensation law. Chapter 152, § 75B bars discrimination against qualified handicapped workers exercising their rights under the workers’ compensation law, which includes procedures for filing claims for injuries, receiving payments, and determining reemployment. The statute provides in pertinent part that “[n]o employer or duly authorized agent of an employer shall discharge, refuse to hire or in any other manner discriminate against an employee because the employee has exercised a right afforded by this chapter.” Mass. Gen. Laws ch. 152, § 75B(2). Although Fant’s complaint also fails to invoke specifically Chapter 152, § 75B, he alleges that he “suffered a work related injury and was seperated [sic] from his employment” based upon his “disabilities.”
Fant asserts a violation of § 75B because he was a qualified handicapped person capable of performing the essential functions of a particular job with reasonable accommodation, despite his work-related injury. 6 In his complaint, he cites his work-related injury, his separation from employment, and the subsequent refusals to rehire, “despite his seniority over other individuals who were re-employed by the defendant after his said seperation [sic] of service.” Fant also indicates that he sought the services of the IBEW in an effort to regain his employment, but it refused to represent him saying “that he was no longer considered a member of the union.” Given his specific reference to a work-related injury, the district court found that Fant alleged a § 75B claim under the state workers’ compensation law. We accept this reading.
In that claim, Fant asserts that his termination “was in violation of the Collective
Having found that the amended complaint alleged a claim under Chapter 152, § 75B, the district court also concluded that the state “law upon which Fant relies expressly states that the rights it creates are not independent of collective bargaining agreements.” Furthermore, “[d]eter-mining whether [the CBA] is consistent with the workers’ compensation law ... would require interpreting the collective bargaining agreement,” an analysis that the court could not pursue “because of the preemptive effect of the federal law governing relations between labor and management,” a reference to the LMRA.
III.
Preemption
As noted, § 301 of the LMRA allows a “[s]uit for violation of contracts between an employer and a labor organization representing employees in an industry affecting commerce.” 29 U.S.C. § 185(a)(1982). State law claims implicating rights and duties under a CBA may be preempted by § 301. “[T]he question which controls preemption disputes under section 301 is, simply, whether a state law action is based, in its essence, on a claim of rights or duties under a collective bargaining agreement.”
The Developing Labor Law,
1699 (Patrick Hardin et al. eds., 3d ed.1992) (1971). Employers have an obligation to comply with the terms of the CBA and unions have a corresponding duty of “fair representation,” meaning that they must not engage in “arbitrary or bad faith conduct” that evidences “hostility, discrimination, or dishonesty” toward an employee-union member.
Figueroa de Arroyo v. Sindicato de Trabajadores Packinghouse,
Fant does not assert a claim under the LMRA. Indeed, he disavows one. Nevertheless, his state law claim alleging discrimination by NEPSCO and NEES, and breach of representation duties by the IBEW, is tantamount to a hybrid cause of action governed by § 301 of the LMRA.
Hybrid claims involve alleged wrongdoing on the part of both the employer and the union with respect to the rights of employees. “If, in an action alleging a breach of the duty of fair representation, the employee seeks relief for a related breach of contract by the employer, the employee’s claim against the employer is ‘based upon’ a breach of the labor contract within the scope of section 301.”
The Developing Labor Law,
at 1418. In these hybrid cases, the court must resolve whether the union failed in fairly representing the employee and whether the employer acted in violation of the CBA terms. The Supreme Court has found these parallel claims against the parties to a CBA to be “inextricably interdependent.”
DelCostello v. International Brotherhood of Teamsters,
A state law claim may depend upon the meaning of the CBA if the conduct at issue constitutes a breach of duty under the CBA or resolution of the dispute hinges upon interpretation of the CBA.
See Flibotte v. Pennsylvania Truck Lines, Inc.,
In this case, the “Agreement as to Wages, Working Conditions and Seniority” establishes a procedure for laying off and rehiring workers:
When forces are reduced in any class of work, the last man hired into the class shall be furloughed first and so on.... When forces are increased in any class, preference for reemployment shall be given to furloughed employees defined as “regular employees” 8 ..., the last man furloughed to be the first rehired, if available for immediate reemployment and so on until the required force has been obtained or until all furloughed employees have been reemployed.
Article V. Fant’s entitlement to employment can only be resolved by referring to the terms of the CBA. Furthermore, Fant’s claim of failed representation by the union upon his termination is governed by Article VI of the CBA, which says, “Upon the written request of the Brotherhood ... the Company shall grant a hearing to the
The Brotherhood agrees ... not to hinder or interfere with the management of the Company ..., including the assignment of work, the direction of work forces, the right to hire, suspend, or discharge for proper cause, to transfer employees ... and to furlough employees ..., but, in the exercise of these responsibilities in management, the Company agrees that it will not discriminate against any member of the Brotherhood.
Article IX. A similar clause in
Martin
played a role in our decision that the plaintiffs claim was preempted because it could not be resolved without interpreting the CBA.
See
Fant virtually invited this preemption conclusion in his complaint, where he alleged that the treatment constituting the substance of his grievance “was in violation of the Collective Bargaining Agreement entered into by and between the defendants, NEPSCO and IBEW.” Moreover, given our precedents, the preemption conclusion is not surprising. We have dealt previously with claims under Chapter 152, § 75 and preemption.
See Martin,
As Fant himself acknowledges, his § 75B claims against his employer and union inescapably require resort to the CBA. Those claims are preempted by § 301 of the LMRA. 10
Affirmed.
Notes
. The district court disposed of the state law claims for emotional distress and tortious interference when it found them preempted by federal law. The state civil rights claim was deemed inadequate for failing to allege, among other things, "threats, intimidation, or coercion.” Fant has not appealed these determinations.
. Section 9 of Massachusetts General Laws, Chapter 15IB provides for removal of the matter from the MCAD prior to a final disposition. The statute reads: “Any person claiming to be aggrieved under [15 IB] ... may, at the expiration of ninety days after the filing of a complaint with the commission, or sooner if a commissioner assents in writing, but no later than three years after the alleged unlawful practice occurred, bring a civil action for damages or injuncLive relief or both in the superior or probate court for the county in which the alleged unlawful practice occurred .... The petitioner shall notify the commission of the filing of the action, and any complaint before the commission shall then be dismissed without prejudice.”
. We note one important caveat about the relevance of the MCAD charge. The Massachusetts cases make clear that the 15IB charge of employment discrimination that is filed before the MCAD establishes the parameters of the claim in a subsequent civil action in Superior Court.
See Edwin,
. By referencing the motion for reconsideration we do not suggest that Fant has perfected an appeal from the denial of that motion. Appellees assert correctly that Fant filed a notice of appeal after the entry of summaiy judgment, but prior to the court’s final disposition of the motion for reconsideration. According to Fed. R.App. P. 4(a)(4)(B)(ii), a notice of appeal must be amended to include review of such a ruling. Fant never amended his notice of appeal. Nevertheless, in our view, Fant could argue, pursuant to the notice of appeal from the district court's entry of summary judgment, that among the court’s errors was a failure to recognize a 15IB speech impediment claim. We discuss the motion for reconsideration only to emphasize the district court’s view that Fant failed to set forth a 15IB claim.
. Fant suggests, in the alternative, that the defendants brought the MCAD charge into the case when they referenced the MCAD proceedings in their affidavit and memorandum pertaining to the motion for summary judgment. However, the defendants merely recited the filing of an administrative complaint in describing the history of the case. That reference does not bring the substance of the MCAD charge into this case.
.Unlike a civil action for employment discrimination under Chapter 15IB, a civil action for discrimination under Chapter 152, § 75B does not have to be preceded by an administrative complaint before the MCAD. Pursuant to the statute, ”[a]ny person claiming to be aggrieved by a violation of this section may initiate proceedings in the superi- or court department of the trial court for the county in which the alleged violation occurred.” Mass. Gen. Laws ch. 152, § 75B(2).
. In cases alleging a violation of a state law without asserting a breach of the CBA, the action need not be preempted by federal law.
See Welch v. General Motors Corp.,
. The CBA defines a “regular employee” as “any employee who has been employed by the Company for a continuous period of one year preceding the date hereof or who may be employed by the Company for a continuous period of one year during the term of this agreement.” Article II.
. This statute gives an employee "preference in hiring by the employer for whom he worked at the time of compensable injury...." Mass. Gen. Laws ch. 152, § 75A.
. Because we find that Fant’s state law claim is preempted by federal law, and because Fant has not pursued a § 301 claim, we need not determine whether a § 301 fair representation claim against the union would be timely under the applicable statute of limitations.
