The plaintiff, Richard A. Porio, worked as a tax examiner for the Department of Revenue (DOR). In 2002, citing budgetary shortfalls, DOR eliminated Porio’s position. Porio filed an appeal with the Civil Service Commission (commission) pursuant to G. L. c. 31, § 43. In that proceeding (civil service appeal), Porio argued that DOR violated G. L. c. 31, § 39, by laying him off while retaining certain other tax examiners who had less seniority. The commission ultimately ruled against him, and its decision was upheld on appeal in an unpublished decision pursuant to our rule 1:28. See Human Resources Div. v. Porio,
Separately, Porio filed an action pursuant to G. L. c. 151B, § 4(1C), alleging that DOR had discriminated against him because of his age. This claim was based on both disparate treatment and disparate impact theories. A Superior Court judge dismissed the c. 151B action in its entirety on the ground that, in light of the outcome of the civil service appeal, “Porio is . . . collaterally estopped from arguing that the DOR’s reason for terminating him was anything other than justified.” We disagree, and we additionally reject DOR’s argument that it is immune from age-based discrimination claims that are based on disparate impact.
1. Background, a. Porio’s appointment and layoff. In 1985, DOR hired Porio as a clerical employee. Six years later, Porio took and passed the civil service exam for a Tax Examiner I (TE-I) position, the lowest of seven tax examiner classifications used by DOR. In 1998, DOR appointed him to that position, and because he came to that position through having taken the relevant exam, he was classified as a “permanent” employee. See G. L. c. 31, § 1.
On September 6, 2002, DOR notified Porio that it was eliminating all existing TE-I positions (twenty-six in all) because of budgetary problems it was facing. DOR offered him a demotion to a clerical position, which he accepted (with a corresponding reduction in salary).
b. Civil service appeal. In his administrative appeal filed pursuant to G. L. c. 31, § 43, Porio focused on the fact that DOR eliminated his position while retaining a large group of tax examiners who had less seniority than he. The tax examiners in
DOR appealed to the Superior Court pursuant to G. L. c. 30A, § 14. While that appeal was pending, the Supreme Judicial Court issued its ruling in Andrews v. Civil Serv. Commn.,
“Provisional promotion pursuant to G. L. c. 31, § 15, effects a real change from ‘one title to the next higher title.’ A provisionally promoted employee ceases to be ‘in’ the original title for purposes of § 39, and does not return to the lower title until the provisional promotion ceases to have effect.”
Id. at 618. The commission agreed to reconsider its decision in light of Andrews and concluded that § 39 did not prevent DOR from laying off Porio before it laid off provisional TE-IIs who had less seniority than he. A Superior Court judge
c. Chapter 151B action. Porio was fifty-three years old at the time the layoffs occurred. According to his complaint, all but three of the laid-off TE-I employees were over forty at that time, with a mean age of forty-nine and a median age of forty-seven. The complaint further alleged that — in order to perform work that the laid-off TE-I employees previously had done — DOR promoted employees designated as “Management Analysts” to TE-II status, and that these newly-promoted TE-IIs were on average “substantially younger” than the employees they effectively replaced.
2. Discussion. Porio brought his age discrimination claim on two separate theories: disparate treatment and disparate impact.
a. Disparate treatment count. In his disparate treatment count, Porio alleges in essence that DOR improperly targeted older workers in deciding which positions to eliminate in order to meet its budgetary nеeds.
The test for when collateral estoppel lies is well established. A party is precluded from relitigating an issue when:
“(1) there was a final judgment on the merits in [a] prior adjudication; (2) the party against whom estoppel is asserted was a party (or in privity with a party) to the prior adjudication; (3) the issue in the prior adjudication is identical to the issue in the current litigation; and (4) the issue decided in the prior adjudication was essential to the eаrlier judgment.”
We agree with DOR that the commission appears to have accepted its contention that it eliminated Porio’s position as part of a reduction in force that was driven by legitimate budgetary considerations. That is the thrust of the commission’s finding that DOR’s employment decisions were taken “for austerity reasons,” as well as of the commission’s conclusion that “under the circumstances here of existing and further expected departmental budget cuts, the appointing authority had the right to lay off employees.”
As noted, the sum and substance of Porio’s civil service appeal was that DOR violated G. L. c. 31, § 39, by laying him off while retaining emрloyees in the same job title who had less seniority. The case turned on whether the retained employees should be treated as having the “same title” for purposes of § 39. If so (as Porio argued and the commission initially ruled), then Porio would have prevailed on his § 39 claim regardless of whether DOR had legitimate budgetary reasons for eliminating his position. If, on the other hand, the retained employees should be considered as having a different title for purposes of § 39 (as the commission eventually ruled in light of Andrews), then Porio’s § 39 claim failed as matter of law. In еither event, whether DOR had legitimate budgetary reasons to terminate the TE-I positions was beside the point. Put simply, the civil service appeal was about job titles and seniority rights, not about DOR’s motives. Accordingly, to the extent the commission concluded that DOR was animated by legitimate motives, that resolution cannot reasonably be said to have been “essential” to the com
Moreover, even if the civil service appeal had cоnclusively established that DOR pursued a reduction in force because of legitimate budgetary considerations, this by itself would not preclude Porio’s disparate treatment count. The existence of a legitimate need to reduce the workforce does not resolve which positions should be cut. Here, as in Sullivan v. Liberty Mut. Ins. Co.,
b. Disparate impact count. In ruling that Porio’s complaint should be dismissed on collateral estoppel grounds, the judge did not separately address Porio’s disparate impact count. As to this count, DOR’s collateral estoppel argument fails not only for the reasons set forth above, but also for the additional reason that whether an employer’s actions were driven by improper motives is beside the point in a discrimination claim that is based on a disparate impact theory. See School Comm. of Braintree v. Massachusetts Commn. Against Discrimination, 377 Mass. at 429, citing Smith College v. Massachusetts Commn. Against Discrimination,
For the first time on appeal, DOR argues that Porio’s disparate impact count fails as matter оf law on a wholly separate ground. Specifically, DOR asserts that while the Commonwealth has unquestionably waived its sovereign immunity with respect to age discrimination claims that are based on disparate treatment, it is immune from those age discrimination claims that are based on disparate impact. While ordinarily we would not
The Legislature enacted G. L. c. 15 IB in 1946. The key provision in c. 15IB is § 4, inserted by St. 1946, c. 368, § 4, which spells out unlawful discriminatory practices by employers and others. Subsection 1 of § 4 renders it unlawful for employers, by themselves or their agents,
“because of the race [or other specified protected statuses] of any individual, to refuse to hire or employ or to bar or to discharge from employment such individual оr to discriminate against such individual in compensation or in terms, conditions or privileges of employment, unless based upon a bona fide occupational qualification.”
Although the Legislature has from time to time modified the list of statuses subject to § 4(l)’s protections, it has not otherwise amended the operative language of the subsection in the sixty-five years since its enactment.
“Age” was not included as a protected status when c. 15IB was first enacted. However, the Legislature added “age” to § 4(1) (and certain other subsections) four years later. See St. 1950, c. 697, § 6. In 1984, the Legislature removed age discrimination from the ambit of § 4(1), and created two new subsections dedicated to the subject — § 4(1B) and § 4(1C).
The operative language of § 4(1B) is identical to that of § 4(1) (the subsection from which it sprang), save for the addition of a single comma.
It is beyond dispute that the Commonwealth has generally waived its sovereign immunity pursuant to G. L. c. 151B. See Bain v. Springfield,
We turn then to examining the particular difference in wording between § 4(1B) and § 4(1C) on which DOR focuses. Both subsections generally prohibit employers from making certain employment decisions “because of the age of” the affected individual. DOR argues that such language supports only a disparate treatment theory, on the ground that an employer can take action “because of” someone’s age only through making conscious decisions related to his or her age. According to DOR, there is no other language in § 4(1C) that could support a disparate impact theory. In contrast, § 4(1B) includes additional language prohibiting employers from “discriminat[ing] against” the affected individuals in certain respects, and DOR argues that it is this language, and only this language, that “arguably could be construed to authorize liability under a disparate impact theory.”
As an initial matter, we note that there is at least some doubt whether the omission of the relevant language was actually
In any event, we conclude that while DOR’s textual arguments are not without some force,
In sum, where the Legislature plainly waived the Commonwealth’s sovereign immunity to age discrimination claims, and given the generous reach of G. L. c. 15IB, § 4, in providing relief from discrimination in the workplace, we conclude that the 1984 amendments to the statute did not operate to restore
3. Conclusion. For the reasons set forth above, we conclude that the judgment must be reversed.
So ordered.
Notes
Section 39 of G. L. c. 31, inserted by St. 1978, c. 393, § 11, states in pertinent part:
“If permanent employees in positions having the same title in a departmental unit are to be separated from such positions because of lack of work or lack of money or abolition of positions, they shall, except as hereinafter provided, be separated from employment according to their seniority in such unit. . . .”
Porio also alleged that DOR committed age discrimination by relying in part on hiring significantly younger “seasonal” TE-I employees to do the work of the laid-off TE-I employees.
Porio alleged that, after the layoffs, DOR promoted twenty-four management analysts to TE-II positions, while DOR admitted that it transferred twelve management analysts into TE-II positions in that time frame (either through prоmotions or reclassifications).
Count I of Porio’s complaint is titled “Disparate Impact of DOR ‘Reduction in Work Force,’ ” while count II is titled “Disparate Treatment.” DOR nevertheless argues that count I itself should be treated as a disparate treatment claim, because that count alleges that DOR’s rationale for eliminating Porio’s position was “pretextual” (proof of which is not required under a disparate impact theory). Although DOR is correct that count I, as pleaded, included some allegations more typically associated with disparate treatment claims, DOR has not argued that Porio failed to include the essential elements of a disparate impact claim in count I. The structure of Porio’s complaint leaves little doubt that he intended to rely on both disparate treatment and disparate impact theories.
Porio’s complaint is drafted in sufficiently broad terms to allege in addition that DOR faced no budgetary crisis and that the agency’s claim of such a crisis was itself a pretext. Compare Sullivan v. Liberty Mut. Ins. Co.,
The extent to which Porio pressed that issue in the civil service appeal is not clear on the record before us. We cannot determine whether in that proceeding Porio affirmatively conceded the existence of a budgetary crisis, assumed it arguendo, or failed to counter whatever proof DOR supplied.
See Brum v. Dartmouth,
Initially, Porio did not submit a reply brief responding to DOR’s sovereign immunity argument. At oral argument, DOR pressed us to reach this issue, even though the trial court had not yet had the opportunity to address it. After argument, we issued an order requiring Porio to brief the issue, and he did sо.
The subject matter of this session law dealt with a host of issues related to age; for example, it amended existing laws concerning compulsory retirement. See St. 1984, c. 266, § 7.
In defining the proscribed employment practices, G. L. c. 151B, § 4(1B), inserted by St. 1984, c. 266, § 6, reads in full as follows:
“For an employer in the private sector, by himself or his agent, because of the age of any individual, to refuse to hire or employ or to bar or to discharge from employment such individual, or to discriminate against such individual in compensation or in terms, conditions or privileges of employment, unless based upon a bona fide occupational qualification.”
Section 4(1C), inserted by St. 1984, c. 266, § 6, reads in full as follows:
“For the commonwealth or any of its political subdivisions, by itself or its agent, because of the age of any individual, to refuse to hire or employ or to bar or discharge from employment such individual in compensation or in terms, conditions or privileges of employment unless pursuant to any other general or special law.”
We note in passing that the word “to” appears before “discharge” in § 4(1B), but not in § 4(1C). This difference apрears to be of no consequence. Other wording differences are discussed in the text.
The additional comma is between “individual” and “or.” Neither party has ascribed any substantive import to the addition of that comma, nor do we.
The other substantive difference in wording has to do with the test for when an otherwise prohibited employment practice is nevertheless allowed. Specifically, § 4(1B), which applies to private employers, allows otherwise prohibited practices if they are “based upon a bona fide occupаtional qualification,” while § 4(1C), which applies to public employers, allows such practices if they are undertaken “pursuant to any other general or special law.” We need not explore the import of this difference, because it is not at issue in this case.
In the context of examining Congressional abrogation of State sovereign immunity, the United States Supreme Court has referred to such an interpretative principle as a “clear statement rule.” See, e.g., Apkin v. Treasurer & Recr. Gen.,
Compare Loeffler v. Frank,
DOR appears to be suggesting that facially neutral employment practices might still be said to “discriminate against” persons based on age even if such practices were not undertaken “because of” age.
The parties have not identified any legislative history that sheds any light on the issue, nor have we.
For example, we note that, in concluding that similar language did not support disparate impact claims under the Age Discrimination in Employment Act of 1967 (ADEA), Justice O’Connor stated her view that the statute required discriminatory intent, “for to take an action against an individuаl ‘because of such individual’s age’ [as provided for in the ADEA] is to do so ‘by reason of’ or ‘on account of’ her age.” Smith v. City of Jackson,
That approach is consistent with the approach that the United States Supreme Court took when it first recognized that disparate impact claims could be brought pursuant to Title VII of the Civil Rights Act of 1964. See Smith v. City of Jackson,
The Legislature is presumed to be aware of the Supreme Judicial Court’s decisions. See Waldman v. American Honda Motor Co.,
The quoted text was inserted by St. 1992, c. 133, § 274, and first appeared in G. L. c. 21E, § 2(a)(9).
