Victor SEYBERT, John Holman, Kimberly Williams, George G. Jacko, and Rick Delkittie Sr., Petitioners, v. Glen ALSWORTH Sr., and Lorene “Sue” Anelon, Respondents.
No. S-15600
Supreme Court of Alaska.
Feb. 5, 2016.
Before: STOWERS, Chief Justice, WINFREE and BOLGER, Justices.
Here, the fact that the machine issued an error message would have been an important—if not the most important—factor in Botson‘s assessment of the reliability of the test. There is no question that if the arresting officer had seen the error message but deliberately concealed this fact from Botson, we could not have concluded that Botson knowingly waived his right to an independent test. And the fact that in this case the officer negligently rather than intentionally withheld the information from Botson does not alter this analysis.
For these reasons, I respectfully dissent and would reverse the decision that Botson knowingly and voluntarily waived his right to an independent test.
Order
The City of Valdez appeals from a superior court judgment in favor of the State of Alaska. Following briefing and argument, we conclude that the statutory scheme composed of
We therefore REVERSE the superior court judgment and REMAND for entry of judgment in favor of the City of Valdez. A full opinion will follow.
Entered by direction of the court.
Rebecca J. Hozubin, Hozubin, Moberly, Lynch & Associates, Anchorage, for Respondents.
OPINION
BOLGER, Justice.
I. INTRODUCTION
A group of Lake and Peninsula Borough voters filed suit against two local elected officials, alleging various violations of state and local conflict of interest laws and the common law conflict of interest doctrine. The elected officials moved for summary judgment on the ground that the voters failed to exhaust administrative remedies. The superior court granted the motion and stayed the proceedings so that the Alaska Public Offices Commission (APOC) could review several of the voters’ claims. In doing so the court relied in part on case law involving the separate doctrine of primary jurisdiction, which allows a court to stay proceedings to give the relevant administrative agency an initial pass at the claims. We reverse the superior court‘s order because the voters were not required to exhaust administrative remedies and because the order staying the proceedings cannot be affirmed on independent grounds.
II. FACTS AND PROCEEDINGS
The petitioners—Victor Seybert, John Holman, Kimberly Williams, George G. Jacko, and Rick Delkittie Sr. (collectively “Seybert“)—are registered voters in the Lake and Peninsula Borough and jointly sued Glen Alsworth, Sr. and Lorene “Sue” Anelon. Alsworth has served as the borough mayor since the borough‘s formation in 1989 and is a voting member of the borough assembly. Anelon was a voting member of the borough assembly during the time period relevant to Seybert‘s complaint, but she lost her reelection bid in November 2012.
Seybert filed the present suit against Alsworth and Anelon in May 2012. Seybert alleged numerous acts and omissions by Alsworth and Anelon while acting as elected borough officials, including failing to disclose conflicts of interest with their private business enterprises, taking action in their official roles related to matters on which they had personal and business interests, and failing to fully and properly complete required financial disclosures.1 Based on these allegations, Seybert‘s amended complaint included five counts: counts one through three alleged violations of Alaska‘s conflict of interest laws codified at
Alsworth and Anelon moved for summary judgment on the grounds that Seybert failed to exhaust administrative remedies.6 The superior court granted summary judgment in part, finding that: (1) the exhaustion doctrine applied to claims brought under
Seybert moved for reconsideration of the grant of summary judgment, arguing that, because
The superior court summarily denied Seybert‘s motion for reconsideration, and Seybert filed a petition for interlocutory review with this court. In response we issued an order requesting clarification from the superior court regarding whether, by granting summary judgment, it “intended to dismiss counts one, two, and three, or whether [it] intended to stay these counts pending referral of [those] claims to [APOC].”10 The superior court clarified that it “intended to ... stay[] [counts one through three], rather than dismiss[] them, so that [it] would retain the ability to [hear] all the counts at once after APOC has the opportunity to review the
III. STANDARD OF REVIEW
“We review summary judgment rulings de novo and may affirm summary judgment on any basis appearing in the record.”12 The question of whether a litigant is required to exhaust administrative remedies is a legal question that we review de novo.13 Under the primary jurisdiction doctrine, a superior court enjoys discretion in determining whether to stay or dismiss a claim.14 We will affirm on independent grounds not relied on by the superior court only when those grounds are established by the record as a matter of law.15
IV. DISCUSSION
A. It Was An Error For The Superior Court To Conclude That Seybert Was Required To Exhaust Administrative Remedies.
“In general, a party may not seek relief in a judicial forum until that party has exhausted his or her available administrative remedies.”16 Thus if a statute provides administrative remedies, exhaustion generally is required.17 The statute here provides an administrative remedy for the violations Seybert alleges. Under
Nothing in the legislative history of either
The legislative history of the administrative complaint provision contains no indication that a plaintiff must exhaust administrative remedies before bringing a citizen suit. Instead the House Judiciary Committee discussion about the citizen suit provision supports the contrary view. During that discussion a legislator asked why a citizen would “fil[e] a civil action.”26 Chief Assistant Attorney General Jan DeYoung responded by offering an example of a citizen suit challenging an election that claimed an inaccuracy in a candidate‘s conflict of interest statement.27 The legislator then noted that there were “two courses of action available“—“one [that] pertains to the ability of ... APOC to levy a penalty, and the other [that] pertains to the ability of a person to bring a civil suit.”28 Later in the hearing, another legislator asked DeYoung “whether, if he were to file a complaint and the APOC chose not to act on it, he could then bring a civil action in order to force the APOC to act.”29 DeYoung clarified:
[T]he action referenced in
AS 39.50.100 is a direct action brought by a citizen, and would result in a proceeding in superior court. However, if a complaint is filed with the APOC but the complainant is not satisfied with the APOC‘s action, there is an appeal process available—that would be an appeal into court.30
Nothing in the committee‘s subsequent discussion suggested that the legislature intended to depart from the scheme DeYoung described: parallel administrative and judicial remedies from which a plaintiff may elect.
Alsworth and Anelon make several arguments why exhaustion is required notwithstanding the citizen suit provision. First they highlight case law describing the purpose of the exhaustion doctrine as “allow[ing] an administrative agency to perform functions within its special competence”31 and claim that APOC had the expertise necessary to investigate Seybert‘s allegations. But the question of whether the allegations fell within the agency‘s “special competence” would only apply in a much closer case where statu-
Similarly Alsworth and Anelon contend that the citizen suit provision “does not solely occupy the field” and “did not take away the administrative remedies.” In particular they highlight APOC‘s statutory authority to determine fines for the failure to “file a properly completed and certified [conflict of interest] report.”32 While these contentions are true, allowing a party to pursue a private cause of action without exhausting administrative remedies does not “take away” a party‘s ability to file a complaint under
Next Alsworth and Anelon highlight statutory language suggesting that any fines imposed based on a failure to properly file a conflict of interest report will be “deter-min[ed]” by APOC, citing
Finally, citing Ben Lomond, Inc. v. Municipality of Anchorage,33 Alsworth and Anelon claim that “exhaustion [is] particularly appropriate” because Seybert raises both “issues that could be determined by the administrative agency and those that generally would not.” But in Ben Lomond, the plaintiff sought only one remedy—monetary damages from the Municipality of Anchorage for revocation of its building permits.34 A reversal of this initial revocation would have completely resolved the plaintiff‘s concern.35 Here, in contrast, the imposition of fines based on counts one through three of Seybert‘s amended complaint—alleging violations of state conflict of interest law—would not necessarily have fully resolved Seybert‘s grievances under counts four and five, which alleged violations of the borough charter and Alaska‘s statutory prohibition against “[u]nfair methods of competition and unfair or deceptive acts or practices in the conduct of trade or commerce.”36 Thus the fact that Seybert raises claims both within and outside of APOC‘s jurisdiction does not alone trigger the exhaustion requirement.
In summary, both the plain language and legislative history of the dual remedies in
B. The Record Does Not Establish The Doctrine Of Primary Jurisdiction As An Independent Basis For The Superior Court‘s Decision.
Even if Seybert were not required to exhaust administrative remedies, Alsworth and Anelon argue that the superior court had the discretion to apply the doctrine of primary jurisdiction to stay the proceedings. They assert that this doctrine provides an independent ground on which to affirm the superior court‘s grant of summary judgment. However we will affirm on independent grounds not relied on by the superior court only when those grounds are established by the record as a matter of law.37 Because the superior
Primary jurisdiction is a judicially created prudential doctrine that applies “to claims properly cognizable in court [but] that contain some issue within the special competence of an administrative agency.”38 As we have explained, under the primary jurisdiction doctrine “a court may, in appropriate cases, stay or dismiss pending litigation so as to enable a proper agency to initially pass upon an aspect of the case calling for administrative expertise.”39 Such circumstances may arise “[w]hen a case raises questions of fact not within the ordinary experience of courts, or if the case requires the exercise of administrative discretion.”40 The doctrine is based on “‘the need for an orderly and reasonable coordination of the work of agencies and courts,’ which is generally best achieved when courts decline to rule ‘on a subject peculiarly within the agency‘s specialized field without first taking into account what the agency has to offer.‘”41 Whether to invoke primary jurisdiction is left to the discretion of the superior court because the doctrine “is one of prudence, and not an absolute jurisdictional limitation.”42
Seybert argues that “for the doctrine of primary jurisdiction to apply, ‘at least some part of the case must fall within the exclusive jurisdiction of the administrative agency,‘” relying on our language in Greater Anchorage Area Borough v. City of Anchorage.43 This language, read in a vacuum, could suggest that a superior court may defer to an agency only when at least part of a claim falls within the agency‘s exclusive jurisdiction.44 But this reading is inconsistent with other precedent, which recognizes that superior courts enjoy discretion when deciding whether to defer to an agency.45 As we have noted, the doctrine‘s “purpose is to help a court decide whether it should refrain from exercising its jurisdiction.”46 But in cases where agency jurisdiction is exclusive, the court has no jurisdiction to “refrain” from exercising.
Seybert correctly asserts that APOC lacked exclusive jurisdiction over alleged violations of Alaska‘s conflict of interest laws, because
“No fixed formula exists for applying the doctrine of primary jurisdiction.”47
First, by including a citizen suit provision, the legislature evinced its clear intent to make the courts available to hear alleged violations of Alaska‘s conflict of interest laws. The inclusion of parallel citizen suit and administrative complaint provisions indicates that the legislature views the court as a competent and desirable forum in which to bring conflict of interest claims, notwithstanding the authority of APOC to also hear such claims. Applying the primary jurisdiction doctrine to claims brought under the citizen suit provision of
Second, there is minimal risk of inconsistent resolutions of this issue. When the superior court stayed the proceedings, there was no pending administrative proceeding on Seybert‘s claims before APOC. And in the past APOC dismissed complaints by Seybert that have raised similar allegations.50 In 2010 one Seybert petitioner filed a complaint with APOC against Alsworth and another elected official in the borough alleging violations of the conflict of interest law.51 APOC ultimately concluded that no such violations had occurred and dismissed the complaints.52 Further, even if Seybert now filed a complaint with APOC, there is no guarantee that APOC would investigate the allegations.53 Thus there is little risk that judicial resolution would conflict with a ruling by APOC.
Third, judicial resolution of Seybert‘s allegations is unlikely to encroach on APOC‘s regulatory responsibilities. Seybert‘s claims do not fall within APOC‘s regulatory expertise: Seybert is not challenging regulations promulgated by APOC nor is Seybert challenging an internal agency procedure.54
In light of these three factors, the record does not establish as a matter of law that the superior court was required to apply the primary jurisdiction doctrine to stay Seybert‘s claims pending resolution by APOC. In fact these factors may counsel against the application of the doctrine to Seybert‘s claims. Thus the primary jurisdiction doctrine does not provide an alternative ground on which we can affirm the superior court‘s grant of summary judgment.
V. CONCLUSION
We conclude, first, that it was an error for the superior court to hold that Seybert was required to exhaust his administrative remedies before bringing a citizen suit, and, second, that the record does not establish the doctrine of primary jurisdiction as an independent basis on which to affirm the superior court‘s decision. We thus REVERSE the superior court‘s order granting summary judgment and staying the petitioners’ claims.
FABE and MAASSEN, Justices, not participating.
Antonio N. JORDAN, Appellant, v. STATE of Alaska, Appellee. James F. Letendre, Appellant, v. State of Alaska, Appellee. Nos. A-11048, A-11271. Court of Appeals of Alaska. Jan. 15, 2016.