MEMORANDUM OPINION
Before the Court is defendant’s Motion to Dismiss, or in the Alternative, for Summary Judgment, plaintiffs Opposition, and defendant’s Reply. Having considered the pleadings and the entire record herein, the Court grants defendant’s motion for summary judgment.
FACTUAL BACKGROUND
Plaintiff John Mack is employed by Pension Benefit Guaranty Corporation (“PBGC”) as a GS-15 Supervisory Financial Analyst in the Corporate Finance and Negotiations Department (“CFND”). Plaintiff is an insulin dependant diabetic and suffers from end stage renal failure. Plaintiff underwent a combined kidney and pancreas transplant surgery in April 1997, and he then returned to work full time in July 1997. Plaintiff was responsible for the 1997 Financial Statement Closing Process at PBGC. This process involved compiling required forms from financial analysts at CFND and forwarding them to another department by a certain deadline. *107 The forms were not forwarded on time, and the Controller from the Financial Operations Department, Wayne McKinnon, who is considered to be a “customer” of CFND, sent an e-mail to plaintiffs supervisor, Andrea Schneider, asking that she speak with plaintiff about the missed deadlines.
In November 1997, plaintiff met with his immediate supervisor, Robert Klein. In that meeting, Klein informed plaintiff that he would be receiving an “unsatisfactory” performance rating for Fiscal Year 1997. On December 2, 1997, plaintiff met with Klein and plaintiffs second line supervisor, Schneider. In this meeting Klein and Schneider suggested that plaintiff sign a 120-day extension letter in lieu of immediate receipt of his performance evaluation. Klein and Schneider told plaintiff that if he signed this letter, he would not receive an “unsatisfactory” performance appraisal at that time but would be evaluated for an additional 120 days and then receive a performance appraisal that included an evaluation of his performance during the extension period. Plaintiff declined to sign the extension letter and instead requested his performance appraisal.
On December 22, 1997, plaintiff received his evaluation which contained an “unsatisfactory” performance appraisal in the area of “Communications Skills and Customer Service.” On February 2, 1998, plaintiff contacted an Equal Employment Opportunity (“EEO”) counselor regarding his “unsatisfactory” performance appraisal. On August 14, 1998, John Seal, PBGC’s Chief Management Officer and Director of PBGC’s EEO Program, rescinded plaintiffs “unsatisfactory” rating and granted him a rating of “fully effective.” Plaintiff filed a formal complaint with PBGC’s EEO office on August 17, 1998. On July 19, 2000, plaintiff filed this one-count complaint alleging that defendant discriminated against him on the basis of a perceived -physical handicap “by engaging in a course of conduct which included wrongfully issuing [p]laintiff an unsatisfactory rating because of his perceived physical handicap ....” (Cmplt-¶61.)
DISCUSSION
I. Legal Standard
Summary judgment is appropriate only if “there is no genuine issue of material fact and the moving party is entitled to judgment as a matter of law’.” Fed.R.Civ. Proc. 56(c). The mere existence of some factual dispute will not preclude the entry of summary judgment.
Anderson v. Liberty Lobby, Inc.,
The non-moving party’s opposition, however, must consist of more than mere allegations or denials and must be supported by affidavits or other competent evidence setting forth specific facts showing that there is a genuine issue for trial. Fed.R.Civ.P. 56(e);
Celotex Corp. v. Catrett,
Plaintiffs Statement of Material Facts fails each and every one of these requirements. Instead, plaintiff presents his complaint as his Statement of Material Facts, executes an affidavit that states that the Statement “is true and correct of my own personal knowledge” and cites nothing but paragraphs of his complaint to support each paragraph of his Statement of Material Facts. Throughout the Statement of Material Facts, plaintiff repeats statements, without any citation to the record, as to which he could not have personal knowledge, since he was not present during the conversation. These statements constitute hearsay and cannot be considered.
See, e.g.,
Pl.St. ¶¶ 19, 23, 26, 31, 33, 34 and 36.
1
Moreover, contrary to Fed. R.Civ.P. 56(e), plaintiff fails to attach some of the documents that he makes reference to in his affidavit.
See, e.g.,
Pl.St. ¶47. Also, plaintiff makes no attempt to provide any references to the record to support his many factual assertions, thereby contravening both Fed.R.Civ.P. 56(e) and LCvR 7.1(h) and ignoring the clear dictate of this Circuit’s opinion in
Twist v. Meese,
Given these glaring deficiencies and plaintiffs blatant failure to comply with the rules, plaintiffs Statement of Material Facts cannot serve to refute any of the specific factual assertions that defendant has proffered.
See Jackson v. Finnegan, Henderson, Farabow, Garrett & Dunner,
II. Exhaustion of Administrative Remedies
Defendants move for dismissal on the grounds that plaintiff failed to exhaust his administrative remedies because his formal complaint, filed with the Agency on August 17, 1998, made reference to discrimination based on an actual, not a perceived, disability. As explained more fully below, the Court does not find this distinction to be sufficiently significant as to dismiss the complaint on exhaustion grounds.
As in a Title VII action, plaintiff cannot bring claims in a lawsuit that were
*109
not included in his EEO charge.
See Spence v. Straw,
Plaintiffs complaint in this action arises out of his receipt of an unsatisfactory performance appraisal in December 1997. His EEO charge contains the same allegation. (Def.Ex.3.) The only difference between his complaint and his EEO charge is that in his administrative complaint plaintiff indicated that the basis for this alleged discrimination was “disability.” Here, plaintiff is alleging that the defendant discriminated against him because he was perceived to have a disability. Applying the reasoning set forth in Cheek, this Court concludes that the charge and the complaint have a factual relationship because they allege that the same individuals engaged in the same conduct, and thus, they are sufficiently related.
In response, defendant contends that plaintiffs complaint cannot reasonably be expected to grow out of an EEOC investigation of a charge based on actual disability discrimination. The Court disagrees. In his EEO complaint, plaintiff specifically mentioned the unsatisfactory performance evaluation which forms the basis for his claim here. Therefore, this Court cannot accept defendant’s argument that the “EEO investigation process would have been very different had plaintiff charged disability discrimination based on perceived disability.” (Def.Mot. at 6.) The EEO investigation of plaintiffs performance evaluation and the motivation behind it would surely encompass an investigation of any alleged discriminatory motives of plaintiffs supervisors, whether they were based on an actual disability or merely a perceived disability. Thus, plaintiffs complaint will not be dismissed on the grounds of failure to exhaust his .administrative remedies.
III. Disparate Treatment Claim
In order to state a prima facie case for disparate treatment, plaintiff must show: (1) he was a member of a protected group, (2) an adverse personnel action was taken against him, and (3) similarly situated, non-protected persons did not suffer such adverse actions.
Douglas v. Pierce,
*110 A. Member of a Protected Group
The Rehabilitation Act protects individuals with a disability, defined as someone who (1) has a physical or mental impairment which substantially limits one or more of such person’s major life activities; (2) has a record of such an impairment; or (3) is regarded as having such an impairment. 29 C.F.R. § 1630.2(g). In the present case, plaintiff contends that defendant regarded him as having an impairment which substantially limits one or more of his major life activities. Under this theory, plaintiff must show that: (1) he was perceived to have a physical or mental impairment, and (2) the impairment was perceived to substantially limit one or more of his major life activities.
Siragy v. Georgetown Univ.,
As to the first prong, plaintiff fails to offer any competent evidence that he was perceived to have a physical or mental impairment. Instead, he cites statements from the affidavits of two supervisors. (Opp. at 19-20.) The first by Andrea Schneider is as follows: “I assumed that after his transplant surgery the Complainant needed to very carefully control his stress level. The complainant didn’t tell me that, but I knew when he came back that he shouldn’t be stressed, not because he told me that, but because I just figured that would be the case.” (Pl.Ex. 8 (Schneider Aff. at 6).) This statement does nothing more than show that Schneider was concerned for plaintiffs health. It does not constitute evidence that Schneider believed that plaintiff was unable to perform his job or that he was impaired in any major life function. Her concern for plaintiffs health does not establish that she regarded plaintiff as disabled.
See Weigert v. Georgetown Univ.,
As to the second prong, plaintiff must show that the defendant considered his impairment to foreclose “not simply a particular job, but the type of employment generally involved.”
Weigert,
In short, plaintiff cannot establish membership in a protected group, 3 and therefore, he cannot, as a matter of law, satisfy the first requirement of a prima facie case.
B. Adverse Personnel Actions
Even assuming arguendo that plaintiff could make a prima facie showing of membership in a protected group, his claim must fail because he cannot demonstrate that an adverse personnel action was taken against him. To establish an adverse personnel action in the absence of diminution of pay or benefits, plaintiff must show an action with “materially adverse consequences affecting the terms, conditions, or privileges of [his] employment.” Br
own v. Brody,
In an attempt to circumvent the holding in
Brown,
plaintiff argues that any kind of personnel decision “regardless of whether or not that discrimination has an effect on other, arguably more important personnel decisions” can give rise to a discrimination claim. (Opp. at 22 (citing
Palmer v. Shultz,
Plaintiff alleges that the negative performance review he received on December 22, 1997 constitutes an adverse personnel action. However, the Court has held that “[a] reprimand that amounts to a mere scolding, without any disciplinary action which follows, does not rise to the level of adverse action.”
Childers v. Slater,
Plaintiff alleges in his complaint and his affidavit that an unsatisfactory performance rating “was the first step in the removal of an employee from his position,” that it would preclude him “from receiving awards and other benefits,” and it would “negate any opportunity that Mr. Mack would have to seek other positions or transfer to another department.” (Cmplt. ¶ 33; Pl.St. ¶ 27.) Again, plaintiff has failed to provide any evidence to support this assertion, nor has he presented evidence that he was in fact denied any awards, benefits, transfers, or promotions. Without a shred of evidence to support a finding of tangible negative effects from this performance evaluation, the Court cannot conclude that the evaluation constitutes an adverse personnel action.
See
*113
Brown v. Bentsen,
Moreover, there can be no claim in this case that the negative performance evaluation constituted an adverse action given the undisputed evidence that the evaluation was rescinded and changed to a “fully effective” performance rating. (Cmplt. ¶ 56; Pl.St. ¶ 50.) 5 In addition, all narrative was eliminated from the evaluation (Def.St-¶ 19), and plaintiff does not argue that the “fully effective” performance review will have any effect on his future job opportunities, awards or other benefits. Given these undisputed facts, it cannot be argued that a negative performance evaluation which was subsequently deleted from plaintiffs record could have any negative impact on the terms and conditions of his employment or future job prospects. 6 Accordingly, having failed to provide any evidence of material adverse consequences resulting from the temporary negative performance evaluation, plaintiff cannot establish that it was an adverse action.
Plaintiff also alleges that his workload was increased following his return from transplant surgery, that he did not receive his evaluation on time, that he was told if he did not agree to a 120-day extension of his evaluation it would be a “battle royal” and “it would not be a pretty picture,” that he was “investigated” by management and a subordinate was asked to write a critical memorandum, that he was isolated and refused support staff, and that he was treated in a hostile and threatening manner. (Opp. at 28-30.) As an initial matter, these claims are time-barred because plaintiff did not seek EEO counseling regarding these actions within 45 days. 29 C.F.R. 1614.105(a)(1). Moreover, some of these allegations lack any record support, or in other instances, defendant’s record citations flatly contradict the allegations.
(See
Reply at 16-21.) Finally, even if one considers plaintiffs unsupported characterization of these events, they would not rise to the level of adverse actions within the meaning of
Brody,
because these actions did not constitute “ ‘a significant change in employment status.’ ”
Brody,
Plaintiffs allegedly increased workload does not constitute an actionable injury because it was not accompanied by some other adverse change in the terms, conditions or privileges of employment.
See Brody,
Hostile and threatening treatment can only constitute an actionable adverse action if the treatment is so severe and pervasive as to create a hostile work environment.
Meritor Savings Bank, FSB v. Vinson,
C. Similarly Situated Persons Not Impacted by Adverse Actions
For the third prong of a prima facie case, plaintiff must show that other similarly situated employees, not members of his protected class, did not suffer similar adverse actions, thereby giving rise to a reasonable inference of unlawful discrimination.
See Holbrook v. Reno,
Plaintiff seeks to compare his treatment to the treatment of Klein, the Deputy Director, Laura Rosenberg, the other supervisory analyst, and the five staff analysts in his group. Plaintiff contends that he was the only individual involved in the closing process to receive an “unsatisfactory” performance review, while his subordinates received “outstanding” evaluations. The five staff members in plaintiffs group are not similarly situated because they are plaintiffs subordinates, and by definition, they do not deal with the same supervisor and are not subject to the same standards as plaintiff. Plaintiff was the department
*115
coordinator for the financial statement closing process, and therefore, he had significantly more responsibilities than the five members of his group. Nor is plaintiff similarly situated to Klein, his supervisor, because there is no evidence that Klein “dealt with the same supervisor, [was] subject to the same standards, and ... engaged in the same conduct” as plaintiff without any differentiating circumstances.
Phillips,
Plaintiff also seeks to compare his treatment with that of the other grade 15 supervisor, Laura Rosenberg. While both plaintiff and Rosenberg reported to the same supervisor, they did not have the same responsibilities with respect to the closing process and therefore they cannot be deemed similarly situated with respect to their performance evaluations. Plaintiff maintained complete responsibility for the 1997 closing process and all the associated administrative duties. (Def.St. ¶¶ 9, 12; Def.Ex. 5 (Mack Dep. at 76, 85).) Plaintiff testified that Rosenberg did not deal on a day-to-day basis with the people involved in the process, and while she provided some technical input, she had no administrative duties. (Def.St. ¶ 10; Def.Ex. 5 (Mack Dep. at 106).) The reason stated in plaintiffs evaluation for the “unsatisfactory” rating is that plaintiff did not fulfill his responsibility as a supervisor to inform management if the closing process situation and delays were getting “out of control.” (DefEx. 11; see also Pl.Ex. 7 (Klein Aff. at 3).) While there may well,have been problems beyond plaintiffs control, Klein’s complaint was that plaintiff did not inform Klein or Schneider of the magnitude of the problems so that they could take appropriate action, and he instead learned about the problems when an “important customer” complained. (Id.) Plaintiff has not cited to any evidence that Rosenberg, the staff analysts, or anyone else had the same level of responsibility with respect to the closing process as he had or that they failed to fulfill their responsibility to the same extent as he had. Therefore, none of these individuals was similarly situated so that their receipt of more favorable evaluations does not give rise to an inference of discrimination. 7
CONCLUSION
For the foregoing reasons, the Court concludes that plaintiff cannot establish any element of a prima facie case of disparate treatment on the basis of a perceived disability. Accordingly, judgment is entered for the defendant. A separate Order accompanies this Opinion.
Notes
. Plaintiff has appended deposition excerpts and affidavits, which apparently have some correlation to his Statement of Material Facts. However, upon careful review, it is clear that in some instances, plaintiff has mischaracter-ized deposition testimony. For instance, Carter testified at p. 6 of his deposition that Klein solicited comments about Laura Rosenberg. Thus, plaintiff's factual statement at p. 9 of his Opposition is flatly wrong. Similarly, plaintiff mischaracterizes the excerpts of Beardsley's deposition which have been provided and argues inferences based on these excerpts that are simply not supported by the evidence.
. “Major life activities” include functions such as caring for one’s self, performing manual tasks, walking, seeing, hearing, speaking, breathing, learning and working. 29 C.F.R. § 1630.2(1).
. While plaintiff states that "[t]he thrust of [p]laintiff’s complaint is not that the [djefen-dant' failed to accommodate him, but that [pjlaintiff suffered disparate treatment because of his protected status,” plaintiff also alleges that defendant ignored requests for accommodation and failed to engage in the statutorily required process for addressing accommodation requests. (Opp. at 13.) It is unclear whether plaintiff intends to bring this as a separate claim. It is doubtful that plaintiff can even claim failure to accommodate given its logical inconsistency with a claim that he was regarded as disabled.
Webber v. Strippit, Inc.,
. Plaintiffs extensive discussion of retaliation cases in his Opposition at pp. 17 and 25-26 does nothing to advance his case, since there is no retaliation claim here, nor could there be such a claim given the absence of any protected activity.
. Significantly, plaintiff completely fails to mention the recission of his unsatisfactory evaluation in the portion of his Opposition which relates to whether he suffered an adverse action.
. In an attempt to salvage this claim, plaintiff contends that the negative performance evaluation caused damage to his reputation. However, even “false accusations without negative employment consequences are not employment decisions actionable under Title VII."
Childers,
. Given the Court's conclusion that plaintiff cannot establish a prima facie case, it need not address whether defendants’ reasons for the unsatisfactory evaluation were pretextual.
