MARTIN v CHILDREN‘S AID SOCIETY
Docket Nos. 140360, 152486, 152489
Michigan Court of Appeals
Submitted March 9, 1995. Decided January 12, 1996.
215 Mich App 88
Leave to appeal sought.
The Court of Appeals held:
1. Swihart and Hart, as DSS employees, were protected from liability unless their conduct violated a clearly established statutory or constitutional right of the plaintiffs of which those defendants should have known. Although there is a constitutional right to family integrity, that right is not absolute and
2. Social workers are immune from liability with respect to activities involving the initiating and monitoring of child placement proceedings and placements in cases in which there is close oversight of the social workers’ placement recommendations by the probate court. Because the claims of the plaintiffs related to activities of the CAS and its employees involving activities and recommendations concerning placement that were directed to and considered by the probate court, the trial court should have granted summary disposition for the CAS defendants on the basis of immunity.
3. Although the trial court incorrectly denied summary disposition for the CAS defendants on the basis of immunity, the trial court did reach the right result by granting summary disposition for them on other grounds.
Affirmed.
WHITE, P.J., concurring in part and dissenting in part, stated that the trial court properly granted summary disposition for the DSS defendants on the basis of qualified immunity, properly denied summary disposition for the CAS defendants on the basis of immunity, and erred in granting summary disposition for the CAS defendants except Bennie Stoval pursuant to
1. SOCIAL SERVICES — CASEWORKERS — IMMUNITY — CONSTITUTIONAL RIGHTS — FAMILY INTEGRITY.
Caseworkers with the Department of Social Services are immune from liability for activities undertaken in the course of the employment unless their conduct violates a clearly established statutory or constitutional right of the plaintiffs of which the defendants should have known; although there is a constitu-
2. SOCIAL SERVICES — CASEWORKERS — IMMUNITY — CHILD PLACEMENT PROCEEDINGS.
Social workers are immune from liability with respect to activities involving the initiating and monitoring of child placement proceeding and placements in cases in which there is close oversight of the social workers’ placement recommendations by the probate court.
Schreier & Weiss, P.C. (by Jay B. Schreier), for the plaintiffs.
Frank J. Kelley, Attorney General, Thomas L. Casey, Solicitor General, and Stewart H. Freeman and Margaret A. Nelson, Assistant Attorneys General, for Warren Swihart and Kathy Hart.
Jenkins, Nystrom & Hitchcock (by Reuben M. Waterman), for the Children‘s Aid Society and its employees.
Before: WHITE, P.J., and BANDSTRA and W. P. CYNAR, * JJ.
BANDSTRA, J. In these consolidated cases, plaintiffs sued various defendants, including employees of the Department of Social Services (the DSS defendants) and the Children‘s Aid Society and four of its employees (the CAS defendants). The trial court granted defendants’ motions for summary disposition and denied plaintiffs’ motion for leave to amend their complaint. We affirm.
On December 18, 1984, plaintiffs brought their thirteen-week-old daughter, Ashley Lynn, to an emergency pediatric clinic. Blood tests and x-rays revealed that Ashley was suffering from pneumo-
Trial originally was scheduled for August 1985, but was adjourned by mutual agreement of the parties. Plaintiffs wanted extra time to determine if brittle bone disease or some other medical problem might explain Ashley‘s injuries. In January 1986, a trial was held in which the jury found that the DSS had proven by a preponderance of the evidence that Ashley had been abused and that she should be made a temporary ward of the court. At trial, plaintiffs presented evidence that Ashley possibly suffered from a medical disorder (e.g., copper deficiency) that made her susceptible to bone fractures, and the DSS presented evidence that Ashley‘s injuries were the result of abuse.
The DSS had contracted with the CAS, a private organization, to provide services for neglected and abused children. When Ashley was removed from plaintiffs’ care, the DSS transferred her to the CAS, which placed her in a foster home. After the jury trial in January 1986, additional hearings were held before the probate court pursuant to
At a March 1987 review hearing, plaintiffs argued a motion for a new trial. Plaintiffs presented evidence from two physicians stating that Ashley‘s injuries were caused by a copper deficiency or some other metabolic disorder. The court denied the motion, stating that it did not believe that the documents from the physicians constituted newly discovered evidence. The court continued Ashley in foster care.
At an October 1987 statutory rehearing, two additional reports were submitted into evidence. The first report, from a pediatric psychology professor, recommended that Ashley be slowly returned to plaintiffs’ care. The second report, from a pediatric therapist, stated that continued placement of Ashley in foster care could cause irreparable psychological and emotional damage to her. At the conclusion of the hearing, the court stated that it would not reconsider the issue of what caused Ashley‘s injuries because the issue had been resolved at the jury trial in January 1986. The court ordered Ashley‘s attorney to locate a neutral therapist to immediately implement an observational treatment situation between plaintiffs and Ashley. Ashley was continued in foster care.
Another hearing was held on January 13, 1988. A neutral therapist who would be agreeable to all parties had not yet been located. The foster care worker testified that Ashley had recently become more anxious and aggressive. Although the foster care worker did not recommend that Ashley be
While Ashley was in foster care, plaintiffs filed a claim of appeal in the Court of Appeals, asserting that the probate court lacked jurisdiction over the matter and that the probate court‘s continued placement of Ashley in foster care constituted an abuse of discretion. The Court of Appeals dismissed the claim of appeal. The Supreme Court remanded to this Court for plenary consideration, as on leave granted. In re Martin, 429 Mich 852 (1987). On April 5, 1988, this Court affirmed the probate court‘s jurisdiction, but reversed the order continuing Ashley‘s placement in foster care and remanded for further proceedings. In re Martin, 167 Mich App 715, 733; 423 NW2d 327 (1988). As a result of these proceedings, Ashley was returned to plaintiffs’ care.
Thereafter, plaintiffs filed two lawsuits, claiming that they had been wrongly separated from Ashley. Plaintiffs made various allegations against defendants, including negligence, breach of statutory and contractual duties, bad faith, and violation of their constitutional rights. The trial court subsequently granted the DSS defendants’ motion for summary disposition on the basis of qualified immunity. With regard to the CAS defendants, the trial court denied their motion for summary disposition on the basis of absolute immunity, but granted the motion pursuant to
I
The DSS defendants were protected from liability unless their conduct violated a clearly established statutory or constitutional right of plaintiffs of which the DSS defendants should have known.1 Harlow v Fitzgerald, 457 US 800, 818; 102 S Ct 2727; 73 L Ed 2d 396 (1982). As plaintiffs argue, there is a constitutional right to family integrity. Santosky v Kramer, 455 US 745, 753; 102 S Ct 1388; 71 L Ed 2d 599 (1982). However, this is not an absolute right, and it must be balanced against the state‘s interest in protecting children‘s health and welfare. Frazier v Bailey, 957 F2d 920, 929-930 (CA 1, 1992). See also Santosky, supra at 766 (state has parens patriae interest in the welfare of the child). Similarly, the statute that plaintiffs rely upon as granting them a right2 to reunification with Ashley only states that reunification “may” occur “as soon as it appears possible.”
The trial court correctly granted summary disposition for the DSS defendants. Their involvement with the case was only to review reports filed by the CAS personnel contracted to handle Ashley‘s placement. There is no factual evidence to support a finding that, in doing so, the DSS defendants knew that plaintiffs’ constitutional or statutory right to reunification was being denied. That right had to be balanced against the interest in protecting Ashley‘s health and welfare, including protecting her from abuse. In repeatedly adopting the CAS
II
In their cross appeal, the CAS defendants argue that the trial court improperly denied their motion for summary disposition on the basis of immunity. We agree.3
Federal appellate courts have extended absolute immunity to social workers initiating and monitoring child placement proceedings and placements in cases similar to the instant case.4 Babcock v Tyler, 884 F2d 497 (CA 9, 1989); Vosburg v Dep‘t of Social Services, 884 F2d 133 (CA 4, 1989); Coverdell v Dep‘t of Social & Health Services, 834 F2d 758 (CA 9, 1987); Meyers v Contra Costa Co Dep‘t of Social Services, 812 F2d 1154 (CA 9, 1987); Kurzawa v Mueller, 732 F2d 1456 (CA 6, 1984).5
[C]aseworkers need to exercise independent judgment in fulfilling their post-adjudication duties. The fear of financially devastating litigation would compromise caseworkers’ judgment during this phase of the proceedings and would deprive the court of information it needs to make an informed decision. . . . There is little sense in granting immunity up through adjudication . . . and then exposing caseworkers to liability for services performed in monitoring child placement and custody decisions pursuant to court orders. [Babcock, supra at 503.]
Accord Coverdell, supra at 765 (“[T]o permit the [social] worker to become a lightning rod for harassing litigation . . . ‘would seriously imperil the effectiveness of state child protection schemes.’ “).
these precedents, and the immunity we afford to the CAS defendants does not arise from this kind of statute. Further, while Kurzawa has been described as granting “blanket absolute immunity” to social workers, as the dissent notes, our decision is not properly so described. It is limited to the facts of this case, in which the close oversight of the social worker‘s placement recommendations by the probate court is especially noteworthy. Finally, the dissent correctly notes that these cases all involved § 1983 claims, but the immunity afforded seems equally available with regard to other claims. See, e.g., Kurzawa, supra at 1458 (in dicta, the court noted that “notwithstanding their already successful statute of limitations defense, the other defendants [a psychologist, two psychiatrists, and a lawyer functioning as guardian ad litem sued under negligence, malpractice, and other state law theories] would have also been entitled to immunity“).
Although we have found no Michigan precedent regarding this question, we find convincing the decisions granting absolute immunity to social workers. As the CAS defendants persuasively point out in their brief, absolute immunity is necessary to assure that our important child protection system can continue to function effectively:
No more heinous act can be alleged than the physical abuse of a helpless infant by an adult. The volatile mix of accused parents, deprived of the custody of the baby, observing it in the care of foster parents, finding themselves in the unfamiliar confines of the court system, required to retain counsel at great cost, subject to the social services bureaucracy and its necessary interrogation and probing of the most intimate aspects of the family psyche, is almost guaranteed, rightly or wrongly, to produce resentment and a desire for retribution by the parent. Many parents in this situation are seriously psychologically disturbed.
Professional assistance to the Probate Court is critical to its ability to make informed, life deciding judgments relating to its continuing jurisdiction over abused children. Its advisors and agents cannot be subject to potential suits by persons, aggrieved by the Court‘s decision vindictively seeking revenge against the Court‘s assistant as surrogates for the jurist. Faced with such liability, the social worker would naturally tend to act cau-
tiously and refrain from making difficult decisions, delay in intervening to protect the child, avoid confronting the aggressive parent with the necessity of changing his attitudes and seeking psychiatric help to do so. Such atmosphere defeats the function of the continuing jurisdiction of the Probate Court in the abstract, and in reality poses the potential for death for an abused child who is not protected because the social worker exercised excessive caution in arriving at a judgment as to whether there is sufficient evidence of abuse to merit action on his or her part.
Mere qualified immunity is not enough protection to prevent the chilling effect of a potential suit on the exercise of a social worker‘s professional judgment and discretion in operating as an arm of the Probate Court to protect abused children. This litigation is vivid proof of that. Judge Stephens has ruled that Cross-Appellants have qualified immunity, but that has not prevented years of litigation. The threat of a suit like this one could make any social worker back off from making discretionary decisions that he or she would otherwise believe to be in the child‘s best interest.
Further, plaintiffs have not been without a remedy regarding the allegedly wrongful conduct of the CAS defendants. The probate court regularly reviewed the placement recommendations of the CAS defendants at statutorily required hearings. This provided judicial oversight sufficient to protect plaintiffs from allegedly wrongful conduct against their interests by the CAS defendants. Plaintiffs had the statutory right to request accelerated hearings to contest their case service plan.
Although the trial court incorrectly denied summary disposition for the CAS defendants on the basis of immunity, the trial court did reach the right result by granting them summary disposition on other grounds. In re Powers, 208 Mich App 582, 591; 528 NW2d 799 (1995); Henry v Hospital & Health Services Credit Union, 164 Mich App 90, 94; 416 NW2d 338 (1987). The trial court‘s order granting summary disposition for the DSS defendants and for the CAS defendants are affirmed.
We affirm.
W. P. CYNAR, J., concurred.
WHITE, P.J. (concurring in part and dissenting in part). I agree with the trial court that plaintiffs failed to make the requisite showing of bad faith on the part of the Department of Social Services defendants, Kathy Hart and Warren Swihart, and thus I concur in the affirmance of the trial court‘s grant of summary disposition for these defendants.
I dissent from the majority‘s reversal of the trial court‘s denial of the Children‘s Aid Society (CAS) defendants’ motion for summary disposition on absolute immunity grounds.1 I also conclude that the trial court erred in granting summary disposition pursuant to
I
In addition to the facts set forth in the majority opinion, I note that Ashley remained in foster care under the supervision of the CAS and the DSS from December 19, 1984, to May 19, 1988. Throughout that time, plaintiffs denied having abused Ashley and presented medical evidence that supported their claim that Ashley‘s injuries resulted from a congenital defect. Nonetheless, the DSS and the CAS insisted that plaintiffs admit responsibility for Ashley‘s injuries as a precondition of moving toward reintegration of the family and returning Ashley to their custody. In re Martin, 167 Mich App 715, 719; 423 NW2d 327 (1988). In the appeal from the probate court, this Court quoted extensively from a report by a pediatric psychologist submitted at one of the statutory rehearings, held in October 1987, which referred to defendants’ insistence that plaintiffs “confess“:
1. A major issue in this case is whether Ashley‘s medical condition at the time of the original report to Children‘s Protective Services was due to child abuse or copper deficiency. The full report from Dr. Paterson and confirmatory evidence from Dr. Parfitt were not available to the jury which heard the case in January of 1986. These reports are sufficiently convincing as to throw doubt on the original diagnosis of child abuse, which was made on the basis of the finding of multiple fractures in different stages of healing.
2. A second major issue in the case has been the continuing demand by professionals that the Martins accept responsibility for Ashley‘s fractures. There has been an assumption that the Martins’ failure to confess guilt means that Ashley cannot be safe in their home, even for a trial period, such as overnight or on weekend visitations.
These two issues have interacted to keep any
progress from occurring in reuniting this family. If, in fact, the Martins were not responsible for the injuries to their daughter, Ashley, but the injuries, rather, were the result of copper deficiency, the demand that the parents accept responsibility of the injuries makes no sense. Furthermore, although acceptance of responsibility by the perpetrator is often a treatment goal in child protection cases, particularly cases of incest, it is not unknown for children to be returned to their natural families even when a specific perpetrator has not been identified. Gradual return of children in cases where there is no criminal prosecution is the general practice, not the exception, with close medical monitoring to insure that reinjury does not occur. [Id. at 728 (emphasis added).]
Another report from Dr. Coy Denton Sims, a Ph.D. in pediatric-child-school and family therapy, noted that plaintiffs attended three separate parenting seminars, received certificates of honor from two of them, and underwent nearly three years of evaluations and psychotherapy. Dr. Sims believed there would be no risk in returning Ashley to plaintiffs. Id. at 721, 730-731. Finally, this Court noted:
Since the adjudicative hearing [in January 1986], petitioner has presented no evidence, except for the fact of Ashley‘s injuries, that respondents were, or could be, abusive to the child. While the injuries themselves might be a strong indicia of abuse where no legitimate explanation exists for their infliction, such is not the case here. Very persuasive evidence from Dr. Paterson and Dr. Parfitt show that the cause was copper deficiency or some similar metabolic disorder. Although, as we have previously stated, enough contrary testimony exists for affirming the probate court‘s jurisdiction over Ashley, that evidence certainly defeats petitioner‘s past insistence that respondents admit responsibility for the abuse before it would consider returning the child. Such rigidity has no
place in our child welfare system. As stated in the report by Dr. Sims: “A life sentence (or three years) for Ashley appears beyond the purpose of the Department of Social Services or intent of the court.” [Id. at 731-732 (emphasis added).]
DSS defendant Hart, Swihart‘s supervisor, testified she and Swihart became involved in the Martin case around April 1, 1986. Swihart testified at deposition that the permanency plan when Ashley was first placed in the court‘s wardship was to reunite her with plaintiffs. However, in March 1987 the plan changed to file for permanent custody and a termination of plaintiffs’ parental rights. Swihart testified that the reason for this change was that CAS defendant Celia B. Clayton felt that “the parents were not recognizing that there was abuse.” Swihart testified he agreed with Clayton‘s recommendation because he had “to go on what she‘s doing in her work and what she sees and reports to me,” specifically, Ashley‘s reaction after she was with her natural parents for a short period. Swihart never observed plaintiffs with Ashley. Swihart testified that he did not know why plaintiffs were not allowed to visit with Ashley outside the CAS’ premises between April 1986 and October 1987 and that “we let the contract agency run the case the way they feel—they‘re working directly with them.” A petition for termination of plaintiffs’ parental rights was never filed, however.
Subsequently, plaintiffs filed two civil complaints, which were amended several times to clarify and narrow the numerous theories alleged.
In their first suit, filed on March 10, 1988, plaintiffs named the DSS, the CAS, Bennie Stoval (CAS’ director), Clayton, and Dr. Herman Schornstein, the doctor who evaluated plaintiffs and Ashley. Plaintiffs’ original complaint alleged that the
Plaintiffs’ complaint was amended twice. Plaintiffs’ motion to file a second amended complaint, stated that the proposed second amended complaint “clearly sets forth three Counts and three theories of recovery upon which plaintiffs seek damages from defendants.”3 The motion also stated that although the second amended complaint was substantially abbreviated, it was based on the identical facts alleged in the earlier pleadings and “merely seeks to identify with specificity the theories on which they seek relief.”
Plaintiffs’ second suit was filed on March 2, 1989, after Ashley was returned to their custody. Plaintiffs named CAS caseworkers Andrea Zak and Travis-Ewing and DSS agents Swihart and Hart. The complaint alleged Zak and Travis-Ewing were responsible for overseeing the foster care placement and determining the permanent custody of Ashley and that they acted in bad faith and in a premeditated fashion by not filing a petition for termination or promoting Ashley‘s return, by deliberately prolonging temporary foster care, by
A litany of summary disposition motions were filed by defendants. Swihart, Hart, and Susan Green, DSS workers, moved for summary disposition pursuant to
The trial court found that although plaintiffs had a substantive due process right to reunifica-
Dr. Schornstein moved for summary disposition on November 27, 1990, arguing that he was entitled to judicial immunity and that the claims against him lacked merit. On January 11, 1991, the CAS, Stoval, and Clayton moved for summary disposition, arguing, inter alia, that they were entitled to absolute quasi-judicial immunity and governmental immunity.
On January 14, 1991, Zak and Travis-Ewing moved for summary disposition, arguing that they were also entitled to absolute quasi-judicial immunity and that plaintiffs’ action was barred by collateral estoppel. Finding that the issue of absolute immunity for the CAS, Stoval, Clayton, Zak, and Travis-Ewing (the CAS defendants) had been previously considered and denied,6 the court declined to reconsider it. However, the court found that the CAS defendants would be entitled to qualified immunity unless plaintiffs could prove that they acted in bad faith. On these grounds, the
All parties appealed. Finding that the March 14, 1991, order denying Zak and Travis-Ewing‘s motion for summary disposition was not a final order, a panel of this Court denied their appeal. However, this Court remanded the matter to the trial court with respect to the claim against Dr. Schornstein. Unpublished order of the Court of Appeals, entered October 17, 1991 (Docket No. 139548), which stated:
The Court orders . . . the [two] orders of the Wayne Circuit Court [denying defendant Schornstein‘s motions for summary disposition] are vacated and the case REMANDED for further consideration not inconsistent with this order.
Statements made by witnesses in the course of judicial proceedings are absolutely privileged provided they were relevant, material or pertinent to the issue being tried, and Michigan recognizes no cause of action for perjury or false swearing. Meyer v Hubbell, 117 Mich App 699, 704, 709; 324 NW2d 139 (1982). Testimony given by Dr. Schornstein at the dispositional hearing is therefore absolutely privileged. Furthermore, persons providing testimony, reports or other information at the request of the court which are [sic] relevant and material to proceedings following authorization of a petition for child abuse are immune from any subsequent legal action with respect to furnishing the information to the court.
MCR 5.924 . Any written or other information provided by Dr. Schornstein to the probate court at that court‘s request cannot be the predicate for any action against him.A governmental officer, employee, agent or volunteer is not liable in tort for injuries to persons or damages to property unless that person‘s con-
On remand the circuit court shall reconsider Dr. Schornstein‘s motions for summary disposition in light of these authorities.
In December 1991, the CAS defendants again moved for summary disposition, arguing that they were entitled to absolute immunity on the basis of this Court‘s ruling in the Schornstein case. The trial court rejected the CAS defendants’ argument under the law of the case and again denied their motion for summary disposition.
Plaintiffs and the remaining parties, the CAS, Stoval, Clayton, Travis-Ewing, and Zak, prepared for trial, which was set for April 1.
On April 24, 1992, the trial court entered sua sponte an order granting the CAS defendants summary disposition and dismissing all of plaintiffs’ claims pursuant to
II
I agree with the trial court that plaintiffs failed
III
I dissent from the majority‘s reversal of the trial court‘s denial of the CAS defendants’ motion for summary disposition on absolute immunity grounds.
A
The CAS defendants are not government officials or employees, and governmental immunity is not properly extended to private actors. Roberts v Pontiac, 176 Mich App 572, 576-578; 440 NW2d 55 (1989); Jackson v New Center Community Mental Health Services, 158 Mich App 25, 34-35; 404 NW2d 688 (1987). A private party‘s performance of a governmental function does not confer governmental agency status on that entity. Id.
Defendants’ citations of federal law notwithstanding, in Michigan absolute immunity is accorded only to
judges, legislators, and the elective or highest appointive executive officials of all levels of government . . . from tort liability for injuries to persons or damages to property whenever they are acting within the scope of their judicial, legislative, or executive authority. [
MCL 691.1407(5) ;MSA 3.996(107)(5) .]
Judges, legislators, and the highest executive officials of all levels of government are absolutely immune from all tort liability whenever they are acting within their respective judicial, legislative, and executive authority. [Emphasis added.]
Governmental officials who have been extended absolute immunity by Michigan courts when acting within their respective authority include: a county prosecutor,8 the Detroit Police Department‘s chief of police,9 the director and deputy director of the Department of Corrections,10 and the state superintendent of public instruction.11 With regard to governmental immunity of lower-level employees, qualified immunity is accorded to officers and employees of a governmental agency. Ross, supra at 592;
B
The cases relied on by the majority all involve
Kurzawa v Mueller, 732 F2d 1456 (CA 6, 1984), the fifth case cited in the majority opinion, involved seven defendants, three of whom were employees of Michigan‘s Department of Social Services. Id. at 1457. The four remaining defendants included two psychiatrists, one psychologist, and an attorney acting as the child‘s guardian ad litem; all were involved in the DSS’ removal of the child from his parents. Id. at 1457-1458. The Kurzawa court found all the defendants were entitled to absolute immunity from the plaintiffs’
Further, the Kurzawa holding regarding absolute immunity applied only to the plaintiffs’
Moreover, to the extent Kurzawa can be understood to grant blanket absolute immunity, it has been criticized in the federal courts, and its approach disapproved of. See Gardner v Parson, 874 F2d 131, 145 (CA 3, 1989) (stating with respect to the Kurzawa court‘s holding that guardians ad litem are absolutely immune: “[T]he court did not analyze the precise function of the guardian ad litem . . . and we are hesitant to grant a blanket of absolute immunity to all guardians ad litem in the performance of all their duties.“). The Gardner court noted that the Courts of Appeal for the First, Fifth, and Ninth Circuits have taken functional approaches in deciding absolute immunity
In cases decided after Kurzawa, the United States Supreme Court has utilized the functional approach in addressing questions of absolute immunity in
The Court of Appeals for the Sixth Circuit in Achterhof v Selvaggio, 886 F2d 826, 830 (CA 6, 1989), held that no absolute immunity was available to a DSS social worker who opened a child abuse case, investigated it, and placed a parent‘s name in the DSS’ central registry of abuse and neglect, because these were administrative or investigatory functions, and not prosecutorial or judicial functions or otherwise intimately related to the judicial process. In Snell v Tunnell, 920 F2d 673, 689 (CA 10, 1990), the Court of Appeals for the Tenth Circuit affirmed the denial of absolute immunity to governmental employee social workers and supervisors, noting that “[w]hen the activity of a social worker is not integral to the judicial process, absolute immunity is not warranted.” The plaintiffs had alleged that the social worker defendants were liable under
C
I also find no merit in arguments of the CAS defendants that they are entitled to quasi-judicial derivative immunity on the basis that they were simply following the probate court‘s orders and that they were entitled to summary disposition on the basis of this Court‘s order remanding defendant Schornstein‘s motion for summary disposition to the trial court for reconsideration. Plaintiffs alleged wrongful acts that did not involve execution of the court‘s order, and the actions of the CAS defendants extended beyond providing testimony, reports, and recommendations to the probate court. See Snell, supra, 920 F2d 693, n 19. Further, unlike Schornstein, defendants are not governmental actors. Additionally, the CAS defendants have not shown that there is a common-law counterpart historically accorded to social workers, as required by Butz, supra. See Antoine v Byers & Anderson, Inc, 508 US 429, 432-434; 113 S Ct 2167; 124 L Ed 2d 391 (1993) (holding that a court reporter was not absolutely immune from suit for failure to produce a federal criminal trial transcript, because there was no common-law judicial immunity accorded court reporters and because they are not integral to the judicial process).13
D
The argument of the CAS defendants that they are entitled to immunity under the Child Protection Law14 is also rejected because plaintiffs assert bad faith,15 Awkerman v Tri-County Orthopedic Group, PC, 143 Mich App 722, 726-727; 373 NW2d 204 (1985).
III
Plaintiffs next argue the trial court abused its discretion by granting sua sponte summary disposition for the CAS, Stovall, Clayton, Zak, and Travis-Ewing pursuant to
In their present posture the instant cases claim negligence based upon violation of statute, ordinance or contract. The complaint before the court as of this date does not plead nor [sic] statutory
ordinary negligence or professional negligence. The complaint was amended three times before the last set of Court of Appeals Orders. It has not been amended since. At a hearing on settlement of jury instructions, the court was posed with the issue of whether the plaintiff could meet its burden of going forward on the claim as pleaded. Upon review and reflection, the court determines that the plaintiff cannot present a statute upon which negligence can be predicted [sic] and did not plead or give notice of non-statutory or professional negligence. An amendment at this time would severely prejudice the defendant and, therefore, will not be allowed. Therefore, dismissal under MCR 2.116(C)(10) and(8) is granted.* * *
Plaintiff offered the Child Welfare and Protection Act as the basis of this claim. In this Act under definitions the department is defined as the Department of Social Services. The plaintiff argues that the department control [sic] with C.A.S. made C.A.S. the department for the purposes of duties. If this were true, absent gross negligence, C.A.S. would be cloaked in governmental immunity. Gross negligence wasn‘t plead [sic]. Further a governmental entity cannot contract away its statutory obligations. C.A.S. is neither named nor described in the subject statute.
Plaintiff has argued that the defendant‘s [sic] have acknowledged that they had certain duties regarding the preservation of the family unit. Assuming this to be true, this duty either arises out of the D.S.S./C.A.S. contract or out of the standard of care of [sic] profession of social work. Contractual negligence is arguably pleaded and/or is an issue on which sufficient notice to avoid prejudice has been given. However, the Martins were not in privity of contract with the Department of Social Services or C.A.S. [W]ithout privity a claim could only be brought under intended beneficiary theories. The D.S.S./C.A.S. contract was not one where Mr. and Mrs. Martin were intended beneficiaries. If anyone, Ashley was such a person.
However, even she does not qualify as an intended beneficiary under Michigan Law so as to give her standing to enforce the contract. This leaves us with only professional standards creating the duties allegedly admitted by defendants. At no time was this claim pleaded or noticed. As to plaintiff‘s [sic] asertion that this case should go forward on ordinary negligence not based on a statute, this claim is, also, rejected. First there is no such pleading. Secondly, this case has proceeded on claims of specific breaches of duties which are imposed, as noted earlier, either by professional standards or contract.
Regrettably, this case is dismissed and the plaintiffs are left with no relief.
The CAS defendants argue that at the numerous summary disposition hearings, and in writing in response to various motions, plaintiffs, although purporting to set forth all claims relied on, never mentioned professional negligence. The CAS defendants’ motion in limine, filed on January 10, 1992, stated in pertinent part:
The duties Plaintiffs allege are at paragraphs 22-24 of their Second Amended Complaint. These duties, allegedly flowing from the statute, are not articulated by any statute known to Defendants. Defendants request that the court rule on the legal issue of what duty Plaintiffs were owed under what statute and limit evidence at trial to evidence of breach of those duties only.
At the motion in limine hearing on February 21, 1992, defense counsel again stated that the CAS defendants had no notice of what duties plaintiffs were owed and said “that‘s what the motion [in limine] points to.” The court responded:
That is not what this motion points to. This is not a motion to strike. These [sic] is not a motion
for summary disposition for failure to indicate what the statute was. We have about five of these, I assumed after the last amended complaint that whatever motions were going to be brought under C-8 indicating that there was a failure to state a claim was [sic] were going to be brought. They weren‘t.
At the end of the hearing, defense counsel stated:
If I can just make sure I understand, as far as the duty issue, we‘re going to hash that one out in the context of Jury instructions during the pretrial conference.
In response, plaintiff‘s counsel stated: “That‘s right, Judge.”
A pretrial order dated January 13, 1992, specified that the parties were to submit a joint pretrial statement by February 26, 1992, including a concise statement of the claims against each party and the defenses against each claim, noting which witnesses will actually testify with respect to each claim and defense, and proposed substantive pretrial instructions concerning the claims and defenses as pleaded. The pretrial order stated “failure to abide by this order may result in default, dismissal, striking of answers or defenses . . . .” Trial was scheduled for April 1, 1992.
Plaintiffs’ pretrial statement, entitled “Claims of the Parties: Plaintiffs’ concise statement,” stated that the CAS defendants owed plaintiffs the duty to gear provision of foster care services toward preserving the Martin family and that the CAS defendants failed to do so in a number of ways.
At the March 24, 1992, pretrial hearing referred to in the court‘s opinion and order dismissing plaintiffs’ claims, while discussing the instructions, the court asked whether the case was one of
Later during the hearing, in the course of discussing the social workers who would be witnesses at the trial, plaintiffs’ counsel indicated one social worker would testify concerning damages and the standard of care for social workers. The trial court said, “This is going to become a social workers’ malpractice case,” to which plaintiffs’ counsel said, “It always have [sic] been,” and defense counsel stated, “I do agree with that.”
In the course of discussing the jury instruction regarding ordinary care, the trial court stated:
The Court: . . . [Plaintiffs] are not going to get an instruction relative to violation of the statute. Understanding that, which of your [defense] witnesses will speak to whether or not there was a breach of the duty of ordinary care as between the CAS and the Martins?
[Defense counsel]: . . . The complaint does not allege ordinary care duties arising from common law. It alleges only a breach of statute.
* * *
The Court: Looking at paragraph 23. Defendant
CAS owed plaintiff‘s [sic] the following duties, and this is a question to the plaintiff, to encourage and support an ongoing relationship, to develop a working relationship, to advise and to reassure, to identify and articulate—this is language from what? [Plaintiffs’ counsel]: This is language from [CAS defendant] Andrea Zak‘s testimony and also the Children‘s Aid Society placement manual and admission statement.
The Court: And how would you characterize paragraph 23? As the duty of what, from who to who?
[Plaintiffs’ counsel]: Duty of reasonable care that a social worker owed to the natural parents of a child who‘s receiving foster care.
The Court: So you‘re saying this is not a common law duty. This is, in essence, a breach of—
[Defense counsel]: Of the proceeding [sic] paragraph says that the duty falls out of the statute.
The Court: I understand that, sir.
Counsels, why isn‘t that a claim filed under 3.001 [sic, 30.01], professional negligence. Nobody‘s asked for [30.01]. . . . If, in fact, this is a duty imposed upon a professional, then it has to be imposed upon a professional based upon the standard of care, and a pleading of that, by the way, which we never had.
Plaintiffs’ counsel conceded that given the court‘s ruling that the statute did not apply, the instruction suggested by the court would be more appropriate. The court then questioned counsel concerning whether his pleadings gave notice of a professional malpractice claim. Counsel argued that the pleadings could be read to include professional negligence in the specific allegations of duty in paragraph 23 and breach in paragraph 24. However, the court was not convinced that the pleadings provided defendants with sufficient notice that the alleged duties arose out of defendants’
I‘m going to chew on these. What I suspect is I‘m going to enter an order for dismissal. I‘m going to chew on it for a week. That‘s all I can do.
I am concerned that we have a pleading that doesn‘t speak to a claim of professional negligence, that, I am not comfortable has given the defendant [sic] notice that they are to prove or to address proofs relative to whether they met the standard of care attributable to social workers within their field of expertise, whichever field of expertise of social work that may be. So I‘ll think about it.
[Plaintiffs’ counsel]: May I look at your Jury instructions one moment, please?
The Court: I‘m closing the record. You can look at anything you want. [Emphasis added.]
The CAS defendants had not moved for summary disposition for failure to state a claim, had not moved to strike, and had not moved for a more definite statement. Conversely, plaintiffs’ counsel made no objections at this final hearing, did not request an opportunity to amend, and filed no motions or briefs before the court issued its opinion and order, not a week later, but on April 24, 1992. Nonetheless, I believe summary disposition was improper.
The trial court found that defendants would be prejudiced by a professional negligence claim because of the absence of notice, although defense counsel at the pretrial hearing indicated that the case had been a professional malpractice case.16
Under the circumstances, I conclude the trial court erred in foreclosing pursuit of the professional negligence claim on the basis that it was not pleaded and that amendment of the complaint would be unduly prejudicial.
Plaintiffs’ Complaint includes a common-law negligence claim. Defendant CAS and its employees owed Plaintiff Martin a duty of care (or a third-person duty; Bolton v Jones (On Remand), 173 Mich App 725; 434 NW2d 415 (1988)) to perform their functions as social workers so as to serve the goal of attempting to reunite the family. Accord In re Bedwell, 160 Mich App 168, 173; 408 NW2d 465 (1987).
Additionally, there was discussion of the CAS defendants’ exercise of professional judgment at a motion in limine hearing on February 21, 1992, while discussing other issues:
The Court: . . . [T]he interaction between the Martins and the individual defendants is going to be before the Court. And some of the conversation between the Martins and the individual—in fact, significant amounts of the conversation had to do with Children‘s Aid folks saying you must do X, Y and Z including the admission of responsibility, and the parents saying, no, we will do X or Y. We will not admit responsibility.
Your clients, then, applied their professional judgment one way or another with or without malice or negligence, who knows if you can prove that, but they applied their professional judgment to the situation and continued in their interaction with the Court relative to the issue of the permanency plan for Ashley. How do we keep the Jury from knowing anything, if that‘s what you want, about the Martins’ perception that they are not responsible?
[Defense counsel]: . . . In the [proposed] order I specifically limit the types of evidence—set forth the types of evidence I seek to limit. One thing the Court stated just now I think needs to be responded to.
We didn‘t apply our professional judgment on the issue of abuse. That was applied by the Court.
The Court: But you applied your professional judgment to the creation of and the monitoring of the plan. [Emphasis added.]
Notes
The majority concedes, in its n 5, ante at 96, that the cases it relies on, including Kurzawa, involved
Notwithstanding their already successful statute of limitations defense, the other defendants [a psychologist, two psychiatrists and a guardian ad litem] would have also been entitled to immunity.
The proceedings in Kurzawa are somewhat unclear. It appears from the district court opinion, 545 F Supp 1260 (ED Mich, 1982), that the plaintiffs brought
We agree with the district court‘s determinations regarding the various statutes of limitations and their application to this lawsuit. We also agree that the remaining defendants are entitled to immunity. However, we reach the same result for different reasons. [732 F2d 1458]
The court then discussed Briscoe v LaHue, 460 US 325; 103 S Ct 1108; 75 L Ed 2d 96 (1983), Butz v Economou, 438 US 478; 98 S Ct 2894; 57 L Ed 2d 895 (1978), and Imbler v Pachtman, 424 US 409; 96 S Ct 984; 47 L Ed 2d 128 (1976), and concluded “that the defendants are entitled to absolute immunity. The remaining defendants are state employees who are responsible for the prosecution of child neglect and delinquency petitions in the Michigan courts.” Id. The “remaining defendants” refers to the state defendants for whom the minor‘s
It is not at all clear that the dicta at issue addressed the plaintiffs’ state-law claims in addition to their
Justice Thomas’ dissent in a recent denial of a petition for a writ of certiorari in Hoffman v Harris, 511 US 1063; 114 S Ct 1631; 128 L Ed 2d 354, 355-356 (1994), noted disapproval of extending absolute immunity to social workers:
The courts that have accorded absolute immunity to social workers appear to have overlooked the necessary historical inquiry; none has seriously considered whether social workers enjoyed absolute immunity for their official duties in 1871. If they did not, absolute immunity is unavailable to social workers under
§ 1983 .
