165 Wash. 2d 494 | Wash. | 2009
¶1 — Until 2007, the Washington Law Against Discrimination (WLAD), chapter 49.60 RCW, contained no definition of the term “disability.” In 2006, this court found that the meaning of “disability” as used in the WLAD was consistent with the definition found in the federal Americans with Disabilities Act of 1990 (ADA), 42 U.S.C. §§ 12101-12209. McClarty v. Totem Elec., 157 Wn.2d 214, 137 P.3d 844 (2006). In reaction, the legislature rejected the McClarty definition and amended the WLAD to provide a new statutory definition of “disability.” Being careful not to reverse McClarty, the legislature explicitly declared the new statutory definition applied retroactively to causes of action occurring the day before the McClarty opinion was filed and to causes of action occurring on or after the effective date of the amendment. We are asked to determine whether this retroactive amendment to a statute previously construed by this court violates separation of powers. We hold that under the facts of this case, it does not. We reverse the trial court and remand for further proceedings.
FACTS AND PROCEDURAL HISTORY
¶2 John Hale was hired by the Wellpinit School District in February 2002 to provide student support services at Wellpinit High School. In May 2002, Hale was transferred to Fort Simcoe, a satellite school being opened by Wellpinit in White Swan, Washington. Hale provided classroom support and helped with any software problems that arose at Fort Simcoe.
¶3 During his time with Wellpinit, Hale came to believe that some of his supervisors were aggravating a medical
¶4 On August 25, 2002, Hale sent a letter to Wellpinit Superintendent Reid Riedlinger informing Riedlinger that he was having problems with his supervisor and that those problems were having an adverse effect on his health. On January 3, 2003, Hale sent a letter to the Wellpinit School Board (Board) concerning Riedlinger’s failure to respond to the previous letter and outlining other issues he was concerned about at Fort Simcoe. Included with the letter to the Board was a December 20,2002, letter written by Hale’s physician, Dr. Robert Wigert, explaining that Hale suffered from an anxiety disorder and depression. Feeling that the work environment was exacerbating his condition and that he was receiving no help in trying to improve the situation, Hale left his position with Wellpinit on March 20, 2003.
¶5 In 2006, Hale filed suit in Stevens County Superior Court against his former employer, Wellpinit, alleging negligent infliction of emotional distress, breach of contract, and disability discrimination under the WLAD. The WLAD claim alleged that Hale was disabled and that Wellpinit had failed to accommodate his disability by failing to intervene and stop the abusive conduct Hale felt was exacerbating his anxiety disorder. Wellpinit filed a motion for partial summary judgment alleging that Hale had failed to establish that he was disabled under the WLAD. On March 30, 2007, the trial judge granted Wellpinit’s motion for partial summary judgment on the WLAD claim, finding that there was no issue of material fact regarding whether Hale was disabled as that term is defined under McClarty.
LEGISLATIVE BACKGROUND
¶7 Prior to the legislature’s most recent amendment, the WLAD itself contained no definition of the term “disability.” However, the Human Rights Commission (HRC) had earlier promulgated a definition, which stated in part that “a person will be considered to be disabled by a sensory, mental, or physical condition if he or she is discriminated against because of the condition and the condition is abnormal.” WAC 162-22-020(2). In 2000, we reviewed the HRC definition and held that it was circular and “unworkable when an employee’s claim is based upon an accommodation theory.” Pulcino v. Fed. Express Corp., 141 Wn.2d 629, 641, 9 P.3d 787 (2000). Instead we found that an accommodation
¶8 A closely divided court changed the definition of “disability” in 2006 in McClarty. There we rejected both the HRC definition and the definition we had adopted six years earlier in Pulcino in favor of the definition used by Congress in the ADA. McClarty, 157 Wn.2d at 228. Specifically, we found that the definition of “disability” employed by the ADA was better supported by the plain language of the WLAD’s text and the legislature’s intent. Id. Instead of requiring plaintiffs to prove they had an abnormality that substantially limited their ability to perform their job, we construed the WLAD as requiring that a plaintiff show he had “a physical or mental impairment that substantially limits one or more of his major life activities.” Id. The McClarty definition provided a single definition of “disability” to be applied throughout the WLAD.
¶9 The legislature responded to our decision in McClarty by enacting S.S.B. 5340 and statutorily defining the term “disability.” The legislature specifically rejected the definition of “disability” adopted in McClarty, stating:
The legislature finds that the supreme court, in its opinion in McClarty v. Totem Electric, 157 Wn.2d 214,137 P.3d 844 (2006), failed to recognize that the Law Against Discrimination affords to state residents protections that are wholly independent of*502 those afforded by the federal Americans with Disabilities Act of 1990, and that the law against discrimination has provided such protections for many years prior to passage of the federal act.
Laws of 2007, ch. 317, § 1. The legislature provided:
(a) “Disability” means the presence of a sensory, mental, or physical impairment that:
(i) Is medically cognizable or diagnosable; or
(ii) Exists as a record or history; or
(iii) Is perceived to exist whether or not it exists in fact.
Id. § 2(25) (codified at RCW 49.60.040(25)(a)). In addressing “impairment” as it relates to a reasonable accommodation claim under the WLAD, the statute now states:
(d) Only for the purposes of qualifying for reasonable accommodation in employment, an impairment must be known or shown through an interactive process to exist in fact and:
(i) The impairment must have a substantially limiting effect upon the individual’s ability to perform his or her job, the individual’s ability to apply or be considered for a job, or the individual’s access to equal benefits, privileges, or terms or conditions of employment.
RCW 49.60.040(25). The legislature also explicitly applied the new definition retroactively, stating, “[t]his act is remedial and retroactive, and applies to all causes of action occurring before July 6, 2006, and to all causes of action occurring on or after the effective date of this act.” Laws of 2007, ch. 317, § 3. McClarty was published on July 6, 2006. The effect of this provision was to carefully carve out a window of time during which claims would still be controlled by the definition of “disability” we announced in McClarty. The new definition, among other things, eliminated the requirement that the plaintiff demonstrate that the allegedly disabling condition limits “one of his major life activities.” It also broadens the meaning of disability and reinstates some of the language that was used in both the HRC definition and in Pulcino. The amendment applies the
STANDARD OF REVIEW
¶10 We are asked to determine if the retroactivity of RCW 49.60.040(25) violates the constitutional doctrine of separation of powers. We review all constitutional challenges de novo. State v. Jones, 159 Wn.2d 231, 237, 149 P.3d 636 (2006). We also review a grant of partial summary judgment de novo. Weyerhaeuser Co. v. Commercial Union Ins. Co., 142 Wn.2d 654, 665, 15 P.3d 115 (2000).
ANALYSIS
¶11 We begin our analysis by emphasizing that the only claim before us is Hale’s disability accommodation claim under the WLAD and the only issue raised is separation of powers. There are no claims that the legislation may have contravened other constitutional limits.
Separation of Powers
¶12 “The brilliance of our constitution is in its multiplicity of checks and balances.” State v. Evans, 154 Wn.2d 438, 445, 114 P.3d 627 (2005). “At least 26 distinct provisions of the federal constitution are founded on the separation of powers principle.” In re Salary of Juvenile Dir., 87 Wn.2d 232, 238, 552 P.2d 163 (1976). That the United States Constitution has endured since it was drafted in 1787 is a testament to the fact that its creators understood both the
¶13 In response to this desire for a stronger yet limited national government, the delegates adopted a plan based largely on the concept of separation of powers. They hoped to ensure liberty by defusing and limiting power. Separation of powers created a clear division of functions among each branch of government, and the power to interfere with the exercise of another’s functions was very limited. In re Juvenile Dir., 87 Wn.2d at 238; see also Carrick v. Locke, 125 Wn.2d 129, 134-35, 882 P.2d 173 (1994). The doctrine recognizes that each branch of government has its own appropriate sphere of activity. Philip A. Talmadge, Understanding the Limits of Power: Judicial Restraint in General Jurisdiction Court Systems, 22 Seattle U. L. Rev. 695 (1999). It ensures that the fundamental functions of each branch remain inviolate. Carrick, 125 Wn.2d at 135. However, separation of powers “does not depend on the branches of government being hermetically sealed off from one another.” Id. It recognizes that the separate branches must remain partially intertwined in order to “maintain an effective system of checks and balances, as well as an effective government.” Id.
¶15 The principle of separation of powers was incorporated into the Washington State Constitution in 1889. Consistent with the federal courts we have long held that “ ‘ “[i]t is emphatically the province and duty of the judicial department to say what the law is.” ’ ” Id. (alteration in original) (quoting United States v. Nixon, 418 U.S. 683, 703, 94 S. Ct. 3090, 41 L. Ed. 2d 1039 (1974) (quoting Marbury, 5 U.S. (1 Cranch) at 177)). We have also said that “[i]t is a fundamental rule of statutory construction that once a statute has been construed by the highest court of the state, that construction operates as if it were originally written into it.” Johnson v. Morris, 87 Wn.2d 922, 927, 557 P.2d 1299 (1976). In other words, it is within this court’s “appropriate sphere of activity” to determine what a particular statute means, and that determination relates back to the time of the statute’s enactment.
¶16 The doctrine of separation of powers is reciprocal. “Unlike many other constitutional violations, which directly damage rights retained by the people, the damage caused by a separation of powers violation accrues directly to the branch invaded.” Carrick, 125 Wn.2d at 136. The judicial branch violates the doctrine when it assumes “ ‘ “tasks that are more properly accomplished by [other] branches.” ’ ” Id. (alteration in original) (quoting Mistretta v. United States, 488 U.S. 361, 383, 109 S. Ct. 647, 102 L. Ed. 2d 714 (1989) (quoting Morrison v. Olson, 487 U.S. 654, 680-81, 108 S. Ct. 2597, 101 L. Ed. 2d 569 (1988))). The legislature’s role is to set policy and to draft and enact laws. “ ‘ “[T]he drafting of a statute is a legislative, not a judicial, function.” ’ ” Sedlacek v. Hillis, 145 Wn.2d 379, 390, 36 P.3d 1014 (2001) (quoting State v. Jackson, 137 Wn.2d 712, 725, 976 P.2d 1229 (1999) (quoting State v. Enloe, 47 Wn. App. 165,170, 734 P.2d 520 (1987))). Both the legislature and the judiciary intrude upon the other’s authority cautiously so as not to violate the doctrine of separation of powers.
¶18 With this history in mind, we turn to the question before us: whether the legislature’s retroactive amendment of a statute we have already construed violates separation of powers. To answer this question, we must determine “ ‘whether the activity of one branch threatens the independence or integrity or invades the prerogatives of another.’ ” Carrick, 125 Wn.2d at 135 (quoting Zylstra v. Piva, 85 Wn.2d 743, 750, 539 P.2d 823 (1975)). Respondents argue that the retroactive application of the legislature’s statutory definition of “disability” violates separation of powers by allowing the legislature to effectively overrule our decision in McClarty and act as a court of last resort. They claim that RCW 49.60.040(25) may only apply prospectively and that Hale’s claim must therefore be governed by the definition we adopted in McClarty.
¶19 As respondents correctly note, statutory amendments are generally presumed to be prospective only. In re F.D. Processing, Inc., 119 Wn.2d 452, 460, 832 P.2d 1303 (1992). The retroactive application of laws may violate the ex post facto doctrine, State v. Schmidt, 143 Wn.2d 658, 672-73, 23 P.3d 462 (2001), affect vested rights and violate due process, State v. Varga, 151 Wn.2d 179,195, 86 P.3d 139 (2004), or affect other judicial functions. There are also many policy reasons that disfavor changing the law retroactively. Retroactive changes in the law alter the status quo and may disturb a party’s reasonable reliance on what the law formerly said and may cause manifest injustices. Landgraf v. USI Film Prods., 511 U.S. 244, 265, 114 S. Ct.
¶20 Although the Court of Appeals has addressed the issue directly in In re Personal Restraint of Stewart, 115 Wn. App. at 335 this court has never specifically decided the question before us. We have hinted that a retroactive legislative amendment that rejects a judicial interpretation would give rise to separation of powers concerns. See In re Det. of Brooks, 145 Wn.2d 275, 285, 36 P.3d 1034 (2001); see also In re F.D. Processing, 119 Wn.2d at 461; Johnson, 87 Wn.2d at 926. However, with one exception, none of those cases involved express declarations by the legislature that the legislation was to apply retroactively. And in the one case, we confronted a clear statement by the legislature that the act was to apply retroactively; we “decline [d]” to reach the issue and decided the case on other grounds. In re Det. of Brooks, 145 Wn.2d at 286.
¶21 The parties offer us varied arguments regarding the acceptability of retroactive legislation based upon the character of the legislative amendment. In the absence of a clear declaration by the legislature regarding retroactivity of an amendment, it may be helpful to characterize changes to a statute as “clarifying” or “restorative” or “curative” or “remedial” to assist in determining legislative intent. See Vertecs Corp., 158 Wn.2d at 584. However, here the legislature was quite clear that S.S.B. 5340, amending RCW 49.60.040, was remedial and retroactive. The amendment was in direct response to our decision in McClarty, which the legislature believed “failed to recognize” that WLAD is independent from the federal ADA of 1990. The legislature has expressed its intent unequivocally, and we find the nature of the amendment unhelpful in analyzing the separation of powers issue.
¶23 In passing S.S.B. 5340, the legislature acted wholly within its sphere of authority to make policy, to pass laws, and to amend laws already in effect.
CONCLUSION
¶24 We hold that the application of S.S.B. 5340 retroactively did not violate the separation of powers doctrine.
The term “ ‘disability' ” was substituted for the word “ handicap’ ” under the WLAD in 1993. See McClarty, 157 Wn.2d at 225.
To illustrate the potential reach of the change, the Washington Employment Lawyers Association (WELA) suggests in its amicus brief that conditions such as arthritis; carpel tunnel syndrome; chronic back pain; back and leg injuries; shoulder, arm, and hand injuries; diabetes; hemophilia; and hypertension were recognized as disabilities under the WLAD prior to our decision in McClarty but are not recognized under the ADA definition we adopted. Amicus Curiae Br. of WELA at 7 n.5.
Examples of constitutional limits on legislative power to enact retroactive legislation include the ex post facto clause of the state or federal constitutions, the right to contract, and the due process clause. These, and other constitutional safeguards, limit the legislature’s ability to enact retroactive statutes, but none of them have been raised here.
Perhaps ironically, neither Gerry nor Mercer signed the Constitution and both opposed its ratification. Irons, supra, at 45.
See the remarks of State Senator Lisa Brown, who spoke at the induction ceremony of Justice Debra Stephens and commented on the relationship between the legislature and the judiciary. Induction and Administration of Oath of Office for Justice Debra Stephens (Wash. Sup. Ct. Jan. 7,2008), audio recording by TVW, Washington State’s Public Affairs Network, available at http://www.tvw.org.
The Court of Appeals, in In re Personal Restraint of Stewart, held that the separation of powers doctrine prevented the legislature from amending the Sentencing Reform Act of 1981 (SRA), chapter 9.94A RCW, retroactively so as to overrule the holding in a separate Court of Appeals decision which had previously interpreted the act. In re Pers. Restraint of Stewart, 115 Wn. App. at 342. We disagree with the reasoning of the Court of Appeals, but we are mindful of the problems created for the courts by the legislature’s constant tinkering with the SRA. This court recently noted that the act had been amended over 181 times since its adoption in 1981. In re Pers. Restraint of LaChapelle, 153 Wn.2d 1, 7, 100 P.3d 805 (2004). Each time an offender is sentenced, the act requires the sentencing judge to calculate an offender score. To calculate an offender score requires the judge to examine the law and statutes in effect at the time each crime was committed. Calculation of offender scores has become a very difficult, complex, and time consuming process made more complex each time the SRA is amended. In addition to due process and ex post facto concerns, this task is made even more difficult when some laws apply prospectively and some retroactively.
We decline to make a determination as to whether Hale was disabled under the amended definition of “disability” on this record.