Steven HALLE, on behalf of himself and all others similarly situated v. WEST PENN ALLEGHENY HEALTH SYSTEM INC.; Western Pennsylvania Healthcare System Inc.; Alle Kiski Medical Center; Allegheny General Hospital; Allegheny General Hospital Suburban Campus; Western Pennsylvania Hospital; Western Pennsylvania Hospital Forbes Regional Campus; Allegheny Medical Practice Network; Allegheny Specialty Practice Network; West Penn Physician Practice Network; Allegheny Singer Research Institute; Highmark Inc.; Allegheny Health Network; John W. Paul; Bart Metzger; Christopher T. Olivia; John Lasky; Canonsburg General Hospital Senora Tarpley; Katiejo Bigenho; Wayne Haber, on their own behalf and on behalf of all other opt-in plaintiffs, Appellants
No. 15-3089
United States Court of Appeals, Third Circuit
November 18, 2016
842 F.3d 215
Jonathan W. Ferris, J. Nelson Thomas (Argued), Thomas & Solomon, 693 East Avenue, Rochester, NY 14607, Counsel for Appellant.
Before: AMBRO, SMITH,* and FISHER, Circuit Judges
OPINION
SMITH, Chief Judge.
Appellants are three hospital employees who claim they were not properly compensated for work performed during meal breaks. They seek review of a District Court‘s decision that declined to permit a civil case in which they wished to participate to continue as a collective action under the Fair Labor Standards Act (“FLSA“)
This is the second decertification-related appeal in a series of four similar FLSA cases filed in the Western District of Pennsylvania. We dismissed the first appeal, which consolidated two of the District Court proceedings, for lack of appellate jurisdiction and mootness. Camesi v. University of Pittsburgh Med. Ctr., 729 F.3d 239 (3d Cir. 2013). Appellants in the current appeal candidly acknowledge that they are before us in an effort to correct the procedural flaws that prevented us from reaching the merits of the decertification decision in the first appeal. Despite their efforts, Appellants fare no better this time around. We will dismiss this appeal.
I.
A.
The first round of litigation began in 2009 when two groups of plaintiffs filed separate but similar complaints against two large Western Pennsylvania hospitals and their affiliated health care facilities and centers: Camesi v. University of Pittsburgh Medical Center, No. 3:09-cv-00085 (W.D. Pa.), and Kuznyetsov v. West Penn Allegheny Health System; Inc., No. 2:09-cv-00379 (W.D. Pa.) (later consolidated into No. 2:10-cv-00948 (W.D. Pa.)). The complaints alleged that the hospital defendants violated the FLSA by failing to properly pay their employees for work performed during scheduled meal breaks. The named plaintiffs purported to bring the claims as collective actions on behalf of themselves and all other similarly situated employees pursuant to
District Judge Cathy Bissoon conditionally certified the collective action in Camesi on May 14, 2009, and District Judge Donetta Ambrose conditionally certified the collective action in Kuznyetsov on June 1, 2009. Both judges approved detailed notices to be sent to potential collective action members. Among other things, the notices advised that, by consenting to opt in to the suit, an employee would “[j]oin in this lawsuit,” “[a]wait the outcome,” and “[g]ive up the right to sue separately.” The notices further provided that “[o]nce people have had the chance to opt in, the Court will decide whether people who have opted in may participate in this collective action. Only people ‘similarly situated’ to the plaintiffs may participate in this collective action.”
A consent form accompanied the court-approved notices in Camesi and Kuznyetsov. The consent form indicated, among other things, that “[u]nless I opt to retain separate counsel of my own choice and at my own expense, I hereby authorize the named plaintiffs to make decisions on my behalf concerning the litigation, the
The parties conducted collective action related discovery for nearly two years, including expert discovery and fact discovery of the named plaintiffs and a sample of the collective action members. The District Judges then entertained cross-motions by the plaintiffs to certify the collective actions and by the defendants to decertify the collective actions.
Both judges decertified the collective actions. In her opinion decertifying Kuznyetsov, Judge Ambrose described the basic factual allegations of the claim as follows:
Defendants require Plaintiffs to take daily, uncompensated meal breaks. To accomplish this, Defendants adopted a computerized timekeeping system, called Kronos, that automatically deducts a thirty minute meal period from non-exempt employees’ time records when an employee has worked a shift of more than five or six hours. If an employee is unable to take an uninterrupted thirty minute meal break, the entire thirty minute automatic deduction may be canceled so that the employee is paid for the entire meal break. The manner in which the deduction is cancelled, however, varied by location, department, shift, and supervisor.
Kuznyetsov, No. 2:10-cv-00948, 2011 WL 6372852, at *1 (W.D. Pa. Dec. 20, 2011). Judge Ambrose then concluded that the plaintiffs’ job duties varied significantly from one individual to the next, and that those job duties were “highly relevant in terms of how, why and whether the employees were compensated properly for missed or interrupted meal breaks.” Id. at *5. In addition, more than 300 different individuals supervised the plaintiffs, the supervisors had individual authority to implement policies as to the meal deduction, and the supervisors’ practices varied in this regard. Id. Finally, Judge Ambrose agreed with the defendants’ argument that they would need to present individualized defenses to establish whether the FLSA was violated as to each plaintiff, which “could not be generalized among the 824 plaintiffs.” Id. at *6. Judge Bissoon reached similar conclusions in Camesi. See Camesi v. Univ. of Pittsburgh Med. Ctr., No. 09-85J, 2011 WL 6372873 (W.D. Pa. Dec. 20, 2011).
Thus, both judges concluded that the opt-in plaintiffs were not “similarly situated” to the named plaintiffs. When they decertified the two collective actions, the judges also dismissed the claims of all opt-in plaintiffs without prejudice to re-filing individual actions.
B.
In an express effort to seek immediate appellate review of the decertification orders, the named plaintiffs in both Camesi and Kuznyetsov moved to voluntarily dismiss their claims with prejudice pursuant to
We further determined that, by voluntarily dismissing their claims with prejudice, the named plaintiffs mooted their claims in Camesi and Kuznyetsov. Id. at 247. In doing so, the named plaintiffs extinguished any residual representational interest they may once have had in bringing claims on behalf of individuals who had filed consents to opt in to the collective action. Id. We did not then address the more difficult question of whether, when individuals have opted in to a collective action following conditional certification, a plaintiff who has filed the collective action may retain a justiciable interest in the litigation based only upon his or her representative capacity. Instead, we concluded that, in the specific circumstance of a voluntary dismissal, “it would be anomalous to conclude that [the Camesi/Kuznyetsov] Appellants are ‘similarly situated’ to opt-in plaintiffs who, unlike Appellants, have actually retained their individual claims. Without any personal stake in the matter, [the Camesi/Kuznyetsov] Appellants should not be permitted to represent opt-in plaintiffs.” Id.
We therefore dismissed Camesi for lack of appellate jurisdiction.
C.
Soon after we issued our Camesi opinion, the next round of district court litigation began. The same law firm that represented the Camesi/Kuznyetsov plaintiffs filed two new FLSA collective action complaints on behalf of two new sets of named plaintiffs against the same hospital defendants, raising substantially the same FLSA claims concerning work during unpaid meal breaks. The new complaints proposed slightly different definitions of the collective actions than had been proposed in Camesi and Kuznyetsov. The follow-up to Camesi was Belle v. Univ. of Pittsburgh Med. Ctr., No. 2:13-cv-01448, 2014 WL 4828899 (W.D. Pa. Sept. 29, 2014), while the follow-up to Kuznyetsov was Halle v. West Penn Allegheny Health Sys., No. 2:13-cv-01449 (W.D. Pa.). Both cases were assigned to Judge Bissoon, who had presided over Camesi.
In Belle, before the named plaintiffs filed a motion to conditionally certify a collective action, more than 900 individuals filed consents to opt in. The defendants moved to dismiss the collective action allegations on grounds of issue preclusion, arguing that the issue of certification of the collective action had been fully litigated in Camesi and should not be relitigated in Belle.
Judge Bissoon agreed. By order dated September 29, 2014, she concluded that, despite minor “tweak[s],” Belle was a “redux” of Camesi in which the “theories of liability remain[ed] materially unchanged.”
Specifically, Judge Bissoon determined that issue preclusion applied because decertification already had been litigated in Camesi, the decision in Camesi was sufficiently final for purposes of issue preclusion, and all the named plaintiffs in Belle had opted in to Camesi and thus had a full and fair opportunity to litigate the issue.3 Accordingly, she granted the defendants’ motion to dismiss, struck the collective action allegations from the complaint, and dismissed the claims of the opt-in plaintiffs without prejudice to re-filing individual complaints. The named Belle plaintiffs subsequently accepted offers of judgment under
As in Belle, numerous individuals (more than 250) filed consents to opt in to Halle before Judge Bissoon had an opportunity to address whether a collective action should be conditionally certified. Also as in Belle, the defendants filed a motion to dismiss the collective action allegations on the ground of issue preclusion. On November 6, 2014, Judge Bissoon granted the motion, incorporating by reference her opinion on issue preclusion in Belle. See Halle v. W. Penn Allegheny Health Sys. Inc., No. 2:13-cv-1449-CB (W.D. Pa. filed Nov. 6, 2014).4
On July 27, 2015, the sole named plaintiff in Halle, Steven Halle, accepted an offer of judgment from West Penn under Rule 68 of the Federal Rules of Civil Procedure in the amount of $2,392.00 for back pay and liquidated damages. Consistent with the terms of Halle‘s acceptance, Judge Bissoon entered judgment against West Penn, dismissed Halle‘s claims against the remaining defendants with prejudice, and administratively closed the case.
Then, three of the Halle opt-in plaintiffs—Senora Tarpley, KatieJo Bigenho, and Wayne Haber—filed this appeal. Steven Halle did not appeal and is not participating in this appeal.
II.
Before turning to the matter before us, we consider a fundamental question arising from the procedural history of this case: just what is a “collective action” under the FLSA?5
To answer this question, we first look to the relevant portion of the FLSA, which provides that an action may be brought “by any one or more employees for and in behalf of himself or themselves and other employees similarly situated” and that
“[n]o employee shall be a party plaintiff to any such action unless he gives his consent in writing to become such a party and such consent is filed in the court in which such action is brought.”
29 U.S.C. § 216(b) .
This language raises more questions than it provides answers. While the first sentence sounds in representational terms (to proceed “in behalf of” others “similarly situated“), the second sentence refers to those who file consents as “party plaintiffs,” seeming to imply that all who affirmatively choose to become participants have an equal, individual stake in the proceeding.
Congress has not acted to shed light on any of these provisions. Since the statute was enacted in its current form in 1947,6 Congress has provided no framework setting forth how and when it is to be determined whether employees are “similarly situated,” the significance of “party plaintiff” status, or—most relevant to the parties here—who may appeal a collective action determination and when that appeal may be taken. Nor have procedural rules been promulgated to guide courts and parties in processing collective actions. As a result, courts have been left to consider these matters when they arise, frequently borrowing or adapting procedures, concepts, and nomenclature from the Rule 23 class action context, while recognizing that there remain important differences between a Rule 23 class action and a collective action. Compare 7B Charles Alan Wright & Arthur R. Miller, Federal Practice and Procedure § 1807 (3d ed. 2016) (“[C]ollective actions behave in many ways like Rule 23 class actions....“) with Genesis Healthcare Corp. v. Symczyk, 133 S. Ct. 1523, 1529 (2013) (distinguishing class action cases because “Rule 23 class actions are fundamentally different from collective actions under the FLSA...” (citation omitted)); see also, e.g., Cameron-Grant v. Maxim Healthcare Svcs., Inc., 347 F.3d 1240, 1249 (11th Cir. 2003) (“[Section] 216(b) is a fundamentally different creature than the Rule 23 class action.“). Indeed, we have recognized an unfortunate side effect of the often blurred lines between the two types of proceedings: “expedient adoption of Rule 23 terminology with no mooring in the statutory text of § 216(b) may have injected a measure of confusion into the wider body of FLSA jurisprudence.” Symczyk v. Genesis Healthcare Corp., 656 F.3d 189, 194 (3d Cir. 2011), rev‘d on other grounds by 133 S. Ct. 1523 (2013).
To focus, then, on what a collective action is and is not, we first observe the unremarkable fact that an FLSA collective action is a form of group litigation in which a named employee plaintiff or plaintiffs file a complaint “in behalf of” a group of other, initially unnamed employees who purport to be “similarly situated” to the named plaintiff. Thus, via § 216(b), the FLSA provides a vehicle for managing claims of multiple employees against a single employer. By permitting employees to proceed collectively, the FLSA provides employees the advantages of pooling resources and lowering individual costs so that those with relatively small claims may pursue relief where individual litigation might otherwise be cost-prohibitive. It also yields efficiencies for the judicial system through resolution in one proceeding of common issues arising from the same allegedly wrongful activity affecting numerous individuals. See Hoffman-La Roche Inc. v. Sperling, 493 U.S. 165, 170 (1989); see also
When a named plaintiff files a complaint containing FLSA collective action allegations, the mere presence of the allegations does not automatically give rise to the kind of aggregate litigation provided for in Rule 23. Rather, the existence of a collective action depends upon the affirmative participation of opt-in plaintiffs. See Smith v. T-Mobile USA, Inc., 570 F.3d 1119, 1121 (9th Cir. 2009); Morgan v. Family Dollar Stores, Inc., 551 F.3d 1233, 1259 (11th Cir. 2008). Courts are then called upon to decide whether those who purport to join the collective action are “similarly situated” as intended by the statute. Because there are no formal procedural rules that mandate how to accomplish this task, courts have developed a practical approach to managing FLSA collective actions. This approach, which has been recognized by the Supreme Court and is widely accepted in most jurisdictions, is a two-step certification process.7 See Genesis Healthcare, 133 S. Ct. at 1530; Zavala v. Wal Mart Stores Inc., 691 F.3d 527, 536 (3d Cir. 2012).
The first step, so-called conditional certification, requires a named plaintiff to make a “modest factual showing“—something beyond mere speculation—to demonstrate a factual nexus between the manner in which the employer‘s alleged policy affected him or her and the manner in which it affected the proposed collective action members. Zavala, 691 F.3d at 536 n. 4. The “sole consequence” of conditional certification is the dissemination of court-approved notice to potential collective action members. Genesis Healthcare, 133 S. Ct. at 1530. Conditional certification, therefore, is not a true certification, but rather an exercise of a district court‘s discretionary authority to oversee and facilitate the notice process. Zavala, 691 F.3d at 536 (citing Hoffman-La Roche v. Sperling, 493 U.S. 165 (1989)).8
While conditional certification is discretionary, the Supreme Court has recognized its importance. A district court‘s early intervention in the preparation and distribution of notice to potential participants serves legitimate purposes, including avoidance of a multiplicity of duplicative suits and establishing cut-off dates to expedite disposition of the action. Hoffman-La Roche, 493 U.S. at 171-72. Nevertheless, “[w]hatever significance ‘conditional certification’ may have in § 216(b) proceedings, it is not tantamount to class certification under Rule 23.” Genesis Healthcare, 133 S. Ct. at 1532.
A denial at the conditional certification stage is not necessarily a final determination of whether the matter may proceed as a collective action. Some courts
Generally, after conditional certification has been granted (although not always, given the discretionary nature of the first stage), individuals file notices providing their written consent to participate in the collective action pursuant to § 216(b).9 As in Kuznyetsov and Halle, the notices may indicate that the opt-in plaintiffs consent to having the named plaintiffs litigate, on their behalf, the FLSA claims. See, e.g., Prickett v. DeKalb County, 349 F.3d 1294, 1297 (11th Cir. 2003) (“The consent given was for the named plaintiffs to represent the interests of the employee in adjudicating all claims that the employee had under the FLSA.“).
This “opt-in” requirement—mandating that each individual must file an affirmative consent to join the collective action—is the most conspicuous difference between the FLSA collective action device and a class action under Rule 23. See De Asencio v. Tyson Foods, Inc., 342 F.3d 301, 306 (3d Cir. 2003). “This difference means that every plaintiff who opts in to a collective action has party status, whereas unnamed class members in Rule 23 class actions do not.” Wright & Miller, supra, § 1807; see also Prickett, 349 F.3d at 1297 (“[B]y referring to them as ‘party plaintiff[s],’ Congress indicated that opt-in plaintiffs should have the same status in relation to the claims of the lawsuit as the named plaintiffs.“). This prompts the as-yet unanswered question of what “party status” means in a collective action, particularly before a district court has considered whether those who have filed consent forms are in fact “similarly situated” to the named plaintiff for purposes of § 216(b).10
Also after a grant of conditional certification, the parties conduct certification-related discovery, as they did in Camesi and Kuznyetsov. Initial discovery may include efforts by the named plaintiffs to obtain employee contact information for purposes of notifying potential collective
At this stage, known as final certification, the named plaintiffs bear the burden of showing that the opt-in plaintiffs are “similarly situated” to them for FLSA purposes. Zavala, 691 F.3d at 537; see also Bouaphakeo v. Tyson Foods, Inc., 765 F.3d 791, 801 (8th Cir. 2014), aff‘d, 136 S. Ct. 1036 (2016); O‘Brien v. Ed Donnelly Enter., Inc., 575 F.3d 567, 584 (6th Cir. 2009), abrogated on other grounds by Campbell-Ewald Co. v. Gomez, 136 S. Ct. 663 (2016). “Being ‘similarly situated’ ... means that one is subjected to some common employer practice that, if proved, would help demonstrate a violation of the FLSA.” Zavala, 691 F.3d at 538.
Courts will consider a variety of factors in reaching this determination. “These include the factual and employment settings of the individual plaintiffs, the different defenses to which the plaintiffs may be subject on an individual basis, the degree of fairness and procedural impact of certifying the action as a collective action, and whether plaintiffs have made the appropriate filings with the EEOC.” Wright & Miller, supra, § 1807. Our Court endorses an ad hoc approach to this analysis, considering all relevant factors and making a determination on a case-by-case basis as to whether the named plaintiffs have satisfied this burden by a preponderance of the evidence. Zavala, 691 F.3d at 536-37.
If a collective action is decertified at the final stage, the matter will proceed as in Camesi and Kuznyetsov: the court will decertify the class, dismiss the opt-in plaintiffs without prejudice, and permit the named plaintiffs to proceed to trial.11 See Lusardi v. Lechner, 855 F.2d 1062, 1079 (3d Cir. 1988) (“A district court has no power or jurisdiction to rule on the merits of the claims of individual [opt-in] members of a putative opt-in class when it denies certification.“); see also Wright & Miller, supra, § 1807. If, however, final certification is granted, “the action proceeds to trial on a representative basis.” Id. As previously discussed, a decision on certification of a collective action is interlocutory and therefore not immediately ap-
III.
With this understanding of the FLSA collective action device, we turn to the appeal before us. The District Court exercised jurisdiction pursuant to
In the end, Appellants, three opt-in plaintiffs, were dismissed without prejudice from Halle‘s case and lost no substantive or procedural rights. Therefore, they have no final order from which to appeal. This conclusion is reinforced both by the language of their opt-in consent forms, which handed over all litigation authority to named plaintiff Steven Halle, and by the opt-in plaintiffs’ passive role in the suit. While it may seem unfair to require the opt-in plaintiffs either to litigate a case to conclusion or certify an interlocutory appeal, finality—not unsupported assertions about fairness—defines our court‘s jurisdiction.
A.
Appellants seek review of Judge Bissoon‘s order dated November 6, 2014. That order had two important effects: it dismissed Steven Halle‘s collective action allegations with prejudice on the ground of issue preclusion, and it also dismissed13 the claims of the opt-in plaintiffs without prejudice to re-filing individual actions. Neither of these aspects of Judge Bissoon‘s order constitutes a final, appealable decision for purposes of
The dismissal of the opt-in plaintiffs’ claims without prejudice is not a final decision for purposes of § 1291. All opt-in plaintiffs may pursue their FLSA claims. “Typically a dismissal without prejudice is not a final decision because the plaintiff may refile the complaint, thereby creating the risk of ‘piecemeal’ appellate litigation.” S.B. v. Kindercare Learning Ctrs., LLC, 815 F.3d 150, 152 (3d Cir. 2016); see also Borelli v. City of Reading, 532 F.2d 950, 951 (3d Cir. 1976) (“Generally, an order which dismisses a complaint without prejudice is neither final nor appealable because the deficiency may be corrected by the plaintiff without affecting the cause of action.“). The November 6, 2014 order does not resolve any of the opt-in plaintiffs’ claims on the merits and acknowledges that those individuals remain free to file their own FLSA actions.
In addition, the dismissal of Halle‘s collective action allegations is not a final, appealable decision under § 1291. Although that decision arose in the context of a motion to dismiss rather than a mo-
Appellants concede that the November 6 order was not appealable when Judge Bissoon entered it, and they did not appeal at that time. Instead, they waited to appeal until after Steven Halle accepted West Penn‘s offer of judgment in full satisfaction of his individual claims.
B.
On July 27, 2015, Judge Bissoon entered judgment consistent with Halle‘s acceptance of West Penn‘s offer of judgment, dismissed Halle‘s remaining claims against the other defendants with prejudice, and administratively closed the case. This, Appellants argue, constitutes a final decision for purposes of § 1291, and, for appeal purposes, merges with all prior decisions in the case, including the November 6, 2014, decertification decision. See In re: Westinghouse Sec. Litig., 90 F.3d 696, 706 (3d Cir. 1996) (“Under the ‘merger rule,’ prior interlocutory orders merge with the final judgment in a case, and the interlocutory orders (to the extent that they affect the final judgment) may be reviewed on appeal from the final order.” (citations omitted)).
West Penn argues that Halle‘s acceptance of an offer of judgment operates like the voluntary dismissal in Camesi: it moots Halle‘s personal claims and extinguishes his representational interest in proceeding on behalf of the opt-in plaintiffs. While this area of the law is “in a state of flux,” Camesi, 729 F.3d at 247,15 we need not reach that issue because Halle did not file
C.
We must, therefore, consider whether Appellants retained a stake in Steven Halle‘s ongoing individual case such that they are entitled to pursue an appeal as of right at its conclusion, after Halle‘s individual claims have become moot.16 We conclude that, for purposes of appeal, Appellants were no longer “parties” to the case after they were dismissed without prejudice from Halle‘s proceeding. See Devlin v. Scardelletti, 536 U.S. 1, 7-8 (2002) (an appeal of a class action settlement by an unnamed class member does not raise concerns of standing, but rather “[w]hat is at issue, instead, is whether petitioner should be considered a ‘party’ for the purposes of appealing.“). Appellants therefore cannot pursue an appeal from Steven Halle‘s individual judgment.
In Devlin, the Supreme Court concluded that an unnamed member of a Rule 23 class action who was affected by, and had objected to, the settlement of a class action during a hearing pursuant to
The opt-in plaintiffs here stand in contrast to the unnamed Rule 23 class member bound by a class action settlement as described in Devlin. The opt-in plaintiffs were dismissed without prejudice when the collective action allegations were struck from the complaint and are not bound by any aspect of the judgment that was ultimately entered in Steven Halle‘s case. Consequently, they are not subject to a final decision disposing of their rights from which they may file an appeal under § 1291. See id. at 14 (“[N]o federal statute or procedural rule directly addresses the question of who may appeal from approval of class action settlements, while the right to appeal from an action that finally disposes of one‘s rights has a statutory basis.” (citing
Even if, after Judge Bissoon dismissed the collective action allegations, Steven Halle retained some residual right to represent “similarly situated” employees, any such residual right does not extend to the opt-in plaintiffs. The opt-in plaintiffs retained their own substantive FLSA claims and remain free to file such claims and pursue final judgments on the merits. “While [a named plaintiff‘s] settlement may have the collateral effect of foreclosing unjoined claimants from having their rights vindicated in respondent‘s suit, such putative plaintiffs remain free to vindicate their rights in their own suits. They are no less able to have their claims settled
When the opt-in plaintiffs were dismissed without prejudice, they did not suffer an adverse judgment on the merits of any claim. They lost nothing but the ability to proceed in Halle‘s case. This does not give rise to a right to pursue an appeal from Halle‘s individual final judgment. See McLaughlin v. Pernsley, 876 F.2d 308, 313 (3d Cir. 1989) (where district court‘s order does not affect a legally cognizable interest of appellant, appeal will be dismissed for lack of standing); In re: Glenn W. Turner Enter. Litig., 521 F.2d 775, 781 (3d Cir. 1975) (“A party may appeal only if he is aggrieved by the judgment or the order of the district court.“).
Our understanding of the representative nature of FLSA collective actions is consistent with our conclusion that the opt-in plaintiffs cannot pursue this appeal. Steven Halle filed this proceeding, representing both himself and others “similarly situated.” Halle alone litigated in that representational role: after filing the complaint, he raised and responded to motions, participated in alternative dispute resolution, and actively engaged in the litigation process. The opt-in plaintiffs were mere passive observers until they were struck from the proceeding entirely.
When they opted to benefit from the efficiencies of participating in a collective action, these individuals agreed to set aside the individual authority to litigate, including the ability to appeal. Each of the opt-in plaintiffs’ consent forms stated, “I hereby ... authorize and designate the named plaintiffs to act on my behalf concerning the litigation, this investigation, consideration of settlement and attorneys’ fees and costs, and all other matters pertaining to this lawsuit.” To the extent that the Appellants could have appealed—and we hold above that they could not—this language waived their right to do so. Cf. Prickett, 349 F.3d at 1297 (relying on “the language of the consent forms that the opt-in plaintiffs signed in this case” to determine which rights opt-in plaintiffs delegated to the named plaintiffs). By consenting to join Halle‘s collective action, these opt-in plaintiffs ceded to Halle the ability to act on their behalf in all matters, including the ability to pursue this appeal.
D.
Appellants do not identify a single case in which a Court of Appeals has exercised jurisdiction over an appeal remotely similar to this one—in which a collective action opt-in plaintiff seeks appellate review of a decision striking collective action allegations from a complaint and where the named plaintiff‘s claims are moot. Appellants are subject to a non-final order dismissing their claims without prejudice, and they offer no clear basis for the exercise of appellate jurisdiction. Rather, they advocate that, as a matter of fairness, this Court should exercise jurisdiction over this appeal.
Appellants contend it would be unfair to dismiss this appeal because it leaves the opt-in plaintiffs without an opportunity to obtain appellate review of Judge Bissoon‘s decision to dismiss the collective allegations from Halle‘s complaint now that West Penn has “picked off” Halle by offering him a Rule 68 judgment which mooted his claims.17 It is true that we have observed the practical concern that the opt-in plaintiffs raise—namely,
When the Supreme Court considered this argument, the potential for unfairness did not affect its determination that, where the named plaintiff‘s Rule 68 judgment mooted her claims, the Court was deprived of jurisdiction. Genesis Healthcare, 133 S. Ct. at 1531. Similarly here, fairness considerations do not undermine our fundamental conclusion that the opt-in plaintiffs lack a final decision that we may review under § 1291.
And any perceived unfairness is tempered by the fact that, in Camesi, the panel set forth a path for pursuing review of FLSA collective action certification decisions. We here echo that point: to obtain appellate review of an order decertifying a collective action, the plaintiff must either proceed to a final judgment on the merits of his or her individual claims or seek the District Court‘s permission to pursue an immediate appeal. Camesi, 729 F.3d at 245. Appellants have pursued neither course. It should, therefore, be unsurprising that they face dismissal for lack of appellate jurisdiction.
IV.
For the foregoing reasons, we lack jurisdiction over this appeal. Accordingly, it will be dismissed.
