The question facing the panel on this interlocutory appeal after remand from the en banc Court,
Green v. Brantley,
I. FACTS AND PROCEEDINGS BELOW
Plaintiff-appellee, John E. Green (“Green”), held a Designated Pilot Examiner (“DPE”) certificate from 1974 until it was rescinded in August of 1986. It had been renewed each year and was scheduled to expire in December of 1986. The Mid-South Flight Standards District Office supervised Green’s actions as a pilot examiner. Defendant, J. Kenneth Brantley (“Brantley”), was employed as an Aviation Safety Inspector at that office and had renewed Green’s DPE certificate in December of 1985. Defendant, Edgar V. Lewis (“Lewis”), was Supervisor of the Operations Unit for that office, and defendant, Craig R. Smith (“Smith”), was the Office Manager. Defendant, Garland P. Castle-berry (“Castleberry”), was Director of the Southern Region of the FAA. Each defendant was an FAA official.
The DPE certificate that Green held was issued by the FAA pursuant to 49 U.S.C.App. § 1355(a) and the regulations contained in 14 C.F.R. §§ 183.11 through 183.23. Section 1355(a) gives the Secretary of Transportation the authority to delegate to private persons any business or function pertaining to the examination, testing, and inspection of pilots and the issuance of pilot certificates. 49 U.S.C.App. § 1355(a). Section 1355(a) further provides that the Secretary “may rescind any delegation made by
The FAA’s focus on Green originated from a routine investigation of the pilot examiner program that Brantley conducted in early 1986. Brantley claims that he noted irregularities in Green’s flight tests and reported his concerns to Smith, who authorized an investigation. Brantley first told Green of the investigation in early June of 1986, and indicated that there was concern over the brief manner in which Green had conducted flight tests. Although Green immediately wrote several letters requesting information, he was not presented with any specific charges or facts at that time. Based on the preliminary findings of the investigation, Smith and Lewis decided to meet with Green in person on July 7, 1986.
When the July 7, 1986, meeting began, Lewis and Smith offered to have the conversation transcribed. Green said that would not be necessary. Green was told that numerous written and oral complaints had been lodged against him. He again asked for specific information but was told that no information could be released while the investigation continued. Lewis and Smith also told Green that they had reason to question the adequacy of his check flights. At the end of the meeting, Lewis and Smith gave Green a letter that summarized the meeting, the complaints against him, and the status of the investigation. That letter stated expressly that the investigation was “on going.” The letter also warned that “[a]ny further evidence of abuse or lack of performance of duties may be grounds for immediate withdrawal of your designation.”
In early August, Smith received a letter from Kenneth Terrell complaining about a check ride that Green had administered on August 2, 1986. In his affidavit, Smith stated that “[t]he letter indicated ... that even after our meeting with Mr. Green and our warnings to him that Mr. Green had no intention of changing his method of operation.” Smith convened a meeting with Brantley, Lewis, and another inspector to review Green’s file. They each recommended that Green’s DPE certificate be terminated immediately. Before Smith made the final decision to cancel Green’s certificate, he consulted with the regional counsel for the FAA, Ronald R. Hagadore, and another attorney in the office of the regional counsel, Eddie Thomas. Smith also briefed defendant, Garland Castleber-ry. Smith wrote Green on August 15, 1986, advising him that his DPE certificate was rescinded.
On August 19, 1986, Green’s attorney wrote Castleberry to request his assistance in restoring Green’s certificate. Castleber-ry responded on September 8, 1986, advising that he would not stay the action taken by the Mid-South Flight Standards District Office. Green’s attorney again wrote Cast-leberry on September 12, 1986. On November 5, 1986, Castleberry wrote back, saying that the prior decision to cancel Green’s designation was correct and in the best interest of the FAA and aviation safety-
It appears that neither Green nor his attorney further pursued the matter through any appeal to the FAA Administrator or otherwise. On October 7, 1986, however, the Director of Flight Standards, FAA Headquarters, wrote a letter on be
Green filed suit in the United States District Court for the Northern District of Georgia on April 8, 1987, seeking recovery for constitutional torts under
Bivens v. Six Unknown Named Agents of Federal Bureau of Narcotics,
Defendants-appellants moved for summary judgment based on both the merits of Green’s claims and qualified immunity. On January 20, 1989, the district court granted the motion in part and denied it in part.
Id.,
II. JURISDICTION
Green’s complaint asserted that the district court had subject matter jurisdiction pursuant to 28 U.S.C. § 1331. Under 49 U.S.C.App. § 1486, however, the courts of appeals have exclusive jurisdiction over review of “[a]ny order, affirmative or negative, issued by the Board or Secretary of Transportation under this chapter.” Initially, we must determine whether a court of appeals would have jurisdiction to review the agency’s action under Section 1486. If a court of appeals has exclusive jurisdiction to review the agency’s action, we must determine whether a plaintiff may ignore Section 1486 and maintain a Bivens action for damages against the FAA officials who were responsible for the agency’s action.
Section 1486 applies if the FAA’s termination of Green’s DPE certificate constituted an “order ... issued by the Board or Secretary of Transportation under this chapter.” 49 U.S.C.App. § 1486(a). Because the authority to rescind Green’s certificate is conferred by 49 U.S.C.App. § 1355(a), the FAA’s action was an action “under this chapter” — specifically, Chapter 20 of the Federal Aviation Act — as is required by Section 1486. Additionally, though Smith, the office manager of the
In approaching this issue, other circuits have first noted that “[t]he term ‘order’ in this statute has been given expansive construction.”
Atorie Air,
Smith wrote Green on August 15, 1986, informing him that “effective upon receipt of this letter, your Pilot Examiner Certificate of Authority ... is hereby withdrawn.” FAA orders “are not final and reviewable ‘unless and until they impose an obligation, deny a right or fix some legal relationship as a consummation of the administrative process.’ ”
Aeromar, C. Por. A.,
Although the entire extent of the administrative record is not known, it is evident from the briefs of the parties and the record on appeal that the administrative record consists of Brantley’s investigation of Green’s alleged misconduct, letters written by Green and his attorney, and various letters from Smith, Castleberry, and another FAA official. The reason for requiring an adequate administrative record is so that the reviewing court may make an informed decision.
Southern Cal. Aerial Advertisers’ Ass’n v. FAA,
Accordingly, we find that Smith’s letter rescinding Green’s DPE certificate was an appealable order within the meaning of Section 1486(a). As such, a court of appeals had exclusive jurisdiction over any review of that order. 49 U.S.C.App. § 1486(a) & (d). Green, however, never actually sought judicial review of the order itself. Rather, he chose to file the present
Bivens
action claiming money damages against the four defendant FAA officials in
The Seventh Circuit faced this same issue in
Gaunce v. deVincentis,
The decision of the Seventh Circuit was based on “the well-settled principle that collateral attacks upon administrative orders are not permissible.”
Id.
at 1292-93 (citing
Myers v. Bethlehem Shipbuilding Corp.,
Oling v. Air Line Pilots Ass’n, supra, an earlier Seventh Circuit Case, is also instructive. In that case, the plaintiffs, a group of airline flight engineers, had petitioned the Civil Aeronautics Board to set aside an integrated seniority list that had been drafted to implement a union merger. The Board, however, rejected their petition and approved the merger. Plaintiffs filed suit in district court against both the Air Line Pilots Association, which had merged with their union, and United Air Lines, their employer, seeking damages and in-junctive relief under the Railway Labor Act. The district court granted United’s motion to dismiss for lack of subject matter jurisdiction. The Seventh Circuit affirmed:
The conclusion is inescapable that plaintiffs sought a review of the final order entered by CAB on April 24, 1964. Stated otherwise, this action constitutes a collateral attack upon such order. As we have shown, this is not permissible under the law.
Oling,
We think the Seventh Circuit’s reasoning is sound. Congress provided that FAA or
Where Congress has provided in the courts of appeals an exclusive forum for the correction of procedural and substantive administrative errors, a plaintiff may not bypass that forum by suing for damages in district court. Indeed, the Ninth Circuit has recently held that “[t]he district court’s federal question jurisdiction is
‘preempted
by Section 1006 of the Federal Aviation Act [49 U.S.C.App. § 1486] as to those classes of claims reviewable under Section 1006.”
Clark v. Busey,
III. CONCLUSION
Green’s suit is an impermissible collateral challenge of the final agency order. Because the courts of appeals have exclusive jurisdiction over review of FAA orders under 49 U.S.C.App. § 1486, the district court is without subject matter jurisdiction. We therefore vacate the order entered by the district court, and remand the action with instructions that it be dismissed for lack of subject matter jurisdiction.
VACATED and REMANDED WITH DIRECTIONS.
Notes
. Portions of that letter, as reproduced in the Appellee's Original Brief, are as follows:
"... You have requested that the decision to cancel Mr. Green’s pilot examiner designation be reviewed to determine whether such an action is warranted by the evidence.
Based upon my review of this matter, I have determined that the cancellation of the pilot examiner designation of Mr. Green by officials of the Federal Aviation Administration's Southern Region was appropriate.
The appointment of a pilot examiner is a privilege that is granted to an airman who will act as the Administrator’s representative, serving in a manner that will enhance the image of the Federal Aviation Administration with the aviation public. The conduct of Mr. Green in his capacity as a pilot examiner has not satisfied this standard, prompting several written complaints and numerous oral complaints regarding his contacts with the public. It is my opinion that these complaints are serious enough to warrant the cancellation of Mr. Green’s pilot examiner designation."
. In his Supplemental Brief, Green argues that "if this court determines that [the] act of appellants is covered by Section 1486(a), then ap-pellee] should be permitted to file a petition for review.” Presumably, Green is requesting that this Court accept jurisdiction and review the agency action under 49 U.S.C.App. § 1486(a). Under this section, Green was required to petition for review within sixty days after the FAA’s order was issued. He did not file a petition for review within that time, however, and has not demonstrated “reasonable grounds for failure to file.” 49 U.S.C.App. § 1486(a).
Moreover, where, as in this situation, the court below lacks jurisdiction, " ‘we have jurisdiction on appeal, not of the merits but merely for the purpose of correcting the error of the lower court in entertaining the suit.’ ”
Bender,
