MEMORANDUM AND ORDER
This matter is before the court on the defendant’s motion for summary judgment (Doc. 64) and the plaintiff’s motion in limine (Doe. 61).
I. BACKGROUND
The plaintiff, Robert W. Smith, was born on December 11,1930. The defendant, Midland Brake, Inc. (“Midland Brake”), hired the plaintiff on September 5, 1984. The plaintiff first worked as a custodian, and later as a heavy assembler. The plaintiff was laid off due to a workforce reduction on December 30, 1984. Midland Brake re-hired the defendant as a heavy assembler on July 31, 1985, The plaintiff transferred to a light assembler position in 1986, and remained in that job until he was discharged on March 3, 1993.
Between 1990 and 1992, Mr. Smith filed workers compensation claims for tendinitis in his right shoulder and dermatitis of the hands. The plaintiff alleges that he developed dermatitis as a result of exposure to irritants at work. The defendant claims that it attempted to accommodate the plaintiffs dermatitis by assigning him to duties within the light assembly department involving less exposure to irritants, and by providing him with gloves to wear. On May 5, 1992, the plaintiffs dermatitis necessitated his being removed from work by his treating physician. The plaintiff applied for Social Security disability benefits on October 15, 1992. The Social Security Administration (“SSA”) determined on September 23, 1993, that the plaintiff had been under a disability since July 5, 1992, and was therefore entitled to disability benefits.
On March 3,1993, the defendant agreed to pay the plaintiff $20,000 in settlement of his workers compensation claim for dermatitis. That same day, the defendant terminated the plaintiffs employment, citing as its reason an inability to accommodate the plaintiffs skin sensitivity.
The plaintiff filed a complaint in the United States District Court for the District of Kansas on September 7, 1994. The plaintiff alleges that he was discharged in violation of the Americans with Disabilities Act (“ADA”), 42 U.S.C. § 12101 et seq., the Kansas Act Against Discrimination (“KAAD”), Kan.Stat. Ann. § 44-1001 et seq., the Age Discrimination in Employment Act (“ADEA”), 29 U.S.C. § 621 et seq., and the Kansas Age Discrimination in Employment Act (“KA-DEA”), Kan.Stat.Ann. § 44-1111 et seq. The plaintiff also claims that he was discharged in retaliation for his pursuit of a workers compensation claim, in violation of Kansas public policy.
II. DISCUSSION
A court shall render summary judgment upon a showing that there is no genuine issue of material fact and that the movant is entitled to judgment as a matter of law. Fed.R.Civ.P. 56(c). The rule provides that “the mere existence of
some
alleged factual dispute between the parties will not defeat an otherwise properly supported motion for summary judgment; the requirement is that there be no
genuine
issue of
material
fact.”
Anderson v. Liberty Lobby, Inc., 477
U.S. 242, 247-18,
The movant has the initial burden of showing the absence of a genuine issue of material fact.
Shapolia v. Los Alamos Nat’l Lab.,
Once the movant makes a properly supported motion, the nonmovant must do more than merely show there is some metaphysical doubt as to the material facts.
Matsushita Elec. Indus. Co. v. Zenith Radio,
A court must view the facts in the light most favorable to the nonmovant and allow the nonmovant the benefit of all reasonable inferences to be drawn from the evidence.
See, e.g., United States v. O’Block,
A. ADA Claim
In order to prevail on an employment termination claim under the ADA, a plaintiff must establish:
(1) that he is a disabled person within the meaning of the ADA; (2) that he is qualified, that is, with or without reasonable accommodation (which he must describe), he is able to perform the essential functions of the job; and (3) that the employer terminated him because of his disability.
White v. York Int’l Corp.,
Midland Brake argues that Mr. Smith is estopped by his application for Social Security disability benefits from asserting that he was qualified to perform any job at Midland Brake. In his October 15, 1992, application for disability insurance benefits, the plaintiff certified that he “became unable to work because of [his] disabling condition on July 5, 1992” and that he was “still disabled.” Following the SSA’s denial of disability benefits, the plaintiff submitted a request for reconsideration on January 7,1993. The plaintiffs request contained the following statement: “I disagree with the determination made on claim for disability-worker ... benefits because I still feel that I am totally disabled and unable to work.” The SSA denied the plaintiffs request for reconsideration on April 12, 1993.
*1357 On April 16,1993, the plaintiff requested a hearing by an administrative law judge (“ALJ”). In his request, the plaintiff reiterated that he was still “totally disabled and unable to work.” On September 23, 1993, the ALJ determined that the plaintiff had been disabled since July 5,1992, and that the plaintiff was entitled to disability insurance benefits.
The defendant argues that because the plaintiff represented to the SSA that he was totally disabled and unable to work as of July 5,1992, that he should be estopped from now claiming that he could perform any job at Midland Brake subsequent to that date. This court has consistently held that where an employee has alleged that he is totally disabled in order to receive disability benefits, he is estopped from claiming that he can perform the essential functions of a job under the ADA.
See Lamury v. Boeing Co.,
Garcia-Paz v. Swift Textiles, Inc.
is representative of the court’s decisions holding that an employee is estopped from asserting a position in an ADA action which is inconsistent with a position taken previously. In
Garcia-Paz,
the plaintiff alleged that Swift Textiles discriminated against her on the basis of her disability in violation of the ADA.
Mr. Smith contends that Garcia-Paz and the other cases cited by the defendant are distinguishable from the instant case, in that unlike the plaintiffs in the cited cases, he has not actually received Social Security disability benefits. The plaintiff testified in his deposition that the SSA had informed him that because he had received a workers compensation settlement from the defendant, he would benefit financially by electing to receive Social Security early retirement payments rather than disability payments. The plaintiff thus opted to receive early retirement benefits.
Most courts hold that in order for a plaintiff to be precluded from asserting a position inconsistent with a position advanced previously, the plaintiff must have succeeded in the earlier litigation.
See United States v. 49.01 Acres of Land, More or Less,
Other courts have held that a plaintiff who has claimed to be totally disabled is estopped from subsequently claiming that he is able to work, even where he did not succeed on his claim of total disability. In
Kennedy v. Applause, Inc.,
The plaintiff also contends that the position he takes now in claiming that he could have performed the essential functions of a job at Midland Brake is not inconsistent with the position he took in his pursuit of SSA disability benefits. Mr. Smith made the following statements in his initial application for disability benefits: “I became unable to work because of my disabling condition on July 5, 1992. I am still disabled.” The plaintiff alleges that his statements merely indicated that he was unable to perform his job in the assembly department at Midland Brake. The court, however, is not persuaded by this argument. Mr. Smith’s statements on his application represent unconditional assertions as to his disability, and the plaintiff cannot now seek to qualify those statements where the application itself is unequivocal.
The SSA denied the plaintiffs application for disability benefits on December 9, 1992, and the plaintiffs request for reconsideration on April 12,1993. The plaintiff then requested a hearing by an ALJ, and finally succeeded in his pursuit of disability benefits on September 23, 1993. In both his request for reconsideration and his request for a hearing before an ALJ, the plaintiff stated' that he disagreed with the SSA’s determination because he felt that he was still “totally disabled and unable to work.”
The plaintiff again argues that he did not really mean what he said. In its December 9, 1992, and April 12, 1993, denial of benefits, the SSA made the following statement: “We have determined that although your overall medical condition places some restrictions on your ability to work, these limitations do not prevent you from doing your past work as a school teacher, as it is generally performed.” Because he had difficulty speaking for extended periods and difficulty hearing, and had not maintained his teaching certification, the plaintiff disagreed with the SSA’s conclusion that he could work as a teacher. The plaintiff contends that he executed a pre-printed form which contained the statement that he was “totally disabled and unable to work” because he believed that he was unable to perform the functions of a teacher, and that his statement that he was totally disabled was mistaken or inadvertent.
The fact that the plaintiffs signed statements that he was “totally disabled and unable to work” were pre-printed, rather than of the plaintiffs creation, is of little consequence, especially when viewed in light of corroborating statements in the plaintiffs applications. In his Reconsideration Disability Report, Mr. Smith stated that his hands were so sore the majority of the time that he was “unable to use fingers to do anything with same,” and that he was “unable to work either inside or outside.” As the plaintiff points out, he did state in his disability report that he disagreed with the SSA’s determination that he could teach. The plaintiff followed this objection, however, with the following statement: “My problem is that I’m partially disabled in so many areas that over-all that [sic] combine to make me permanently disabled as total body.”
*1359 Furthermore, the SSA explained to Mr. Smith the requirements for being considered disabled. The SSA’s denials of Mr. Smith’s initial application and request for reconsideration contained the following language:
To be considered disabled, a person must be unable to do any substantial gainful work due to a medical condition which has lasted or is expected to last for at least 12 months in a row. The condition must be severe enough to keep a person from working not only in his or her usual job, but in any other substantial gainful work. We look at the person’s age, education, training, and work experience when we decide whether he or she can work.
(emphasis added). In light of the fact that the SSA explained to the plaintiff that to be “disabled” one must be not only unable to perform his usual work, but any substantial gainful work, the plaintiff cannot now argue that when he claimed to be “totally disabled and unable to work” that he meant only that he was unable to work as a teacher and/or an assembler at Midland Brake.
The plaintiff also argues that the SSA’s determination that he is disabled does not preclude him from claiming that he is a qualified individual under the ADA, because an SSA determination that a person is disabled does not mean that that person cannot “perform the essential functions” of any job. In his decision, the ALJ stated that “[g]iven the claimant’s residual functional capacity, and the vocational factors of his age, education and past relevant work experience, there are no jobs existing in significant numbers that the claimant is capable of performing. The claimant is under a. disability as defined by the Social Security Act and Regulations.” The plaintiff also cites 20 C.F.R. pt. 404, subpt. P, app. 2, § 202.00(c), which provides that a finding of “disabled” is warranted for individuals of advanced age who are capable of performing only light work. The plaintiff maintains that the ALJ’s decision therefore does not indicate that the plaintiff was unable to engage in any substantial gainful activity, or that he was unable to perform any job at Midland Brake.
The plaintiffs argument on this point fails for several reasons. First, the plaintiff ignores the ALJ’s decision that the plaintiff was entitled to disability benefits under sections 216(i) and 223 of the Social Security Act. Sections 216(i) and 223, codified at 42 U.S.C. §§ 416©(1) and 423(d)(1)(A), respectively, define “disability” as the “inability to engage in any substantial gainful activity by reason of any medically determinable physical or mental impairment....” Second, the ALJ does not reference 20 C.F.R. pt. 404, subpt. P, app. 2, § 202.00(c), or otherwise suggest that the plaintiff is capable of performing light work. Finally, and most importantly, even if the SSA’s determination of disability took into consideration age and other factors, this does not change the fact that the plaintiff unqualifiedly stated that he was unable to work. The case law is clear that it is the
plaintiffs
inconsistent representations which have preclusive effect.
See, e.g., Lamury,
Mr. Smith argues more persuasively that he should not be estopped by his representations to the SSA, because the Tenth Circuit has rejected the doctrine of judicial estoppel.
See 49.01 Acres of Land,
We are not convinced, however, that the Tenth Circuit would find estoppel to be inapplicable on the facts of this case. We base our conclusion on an examination of recent Tenth Circuit decisions, as well as learned treatises on the subject.
In
United States v. 49.01 Acres of Land, More or Less,
The court, citing Parkinson, responded that the Tenth Circuit had rejected the doctrine of judicial estoppel. Id. The court noted, however, that even if it were not bound by its Parkinson decision, the doctrine of judicial estoppel did not apply in that ease, because the party presenting an inconsistent position had not succeeded in the earlier litigation. Id.
49.01 Acres II
is distinguishable from the instant case, in that the plaintiff in this case succeeded under his previous position. Also, the inconsistent positions of the plaintiff in
19.01 Acres II
involved contradictory assertions as to the governing
law,
while Mr. Smith has maintained inconsistent positions in regard to material
facts
in his case. The doctrine of judicial estoppel normally applies only to statements of fact, not legal conclusions.
Brown v. Board of Educ.,
Preclusion by inconsistent positions, or judicial estoppel, is limited to change of position taken in judicial proceedings.... [T]here are cases in which the preclusion doctrine is characterized as a branch of equitable estoppel. Many cases, however, have recognized that independent of res judicata, collateral estoppel, or equitable estoppel traditionally conceived, a litigant is not completely free to argue whatever state of facts seems advantageous at a point in time, and a contradictory state whenever self-interest may dictate a change. As it has been put in a number of eases, one may not play “fast and loose” with the judicial process. This principle has been applied, for example, to preclude changes in position in successive stages of the same litigation, and to dismiss a complaint alleging a state of facts inconsistent with a position taken in a prior litigation.
IB James W. Moore, Moore’s Federal Practice ¶ 0.405[8], at III-54-56 (2d ed. 1995) (emphasis added).
The other case cited by the plaintiff,
Chrysler Credit Corp. v. Country Chrysler, Inc.,
is also distinguishable from the case now before us. In
Chrysler,
the court noted in dicta that both parties had taken inconsistent positions with respect to a jurisdictional issue.
Like 49.01 Acres of Land II, Chrysler involved the parties’ inconsistent positions as to the applicable law in the ease, not the facts of the ease. Furthermore, Chrysler is distinguishable from the instant case, in that both parties in Chrysler asserted inconsistent positions. Certainly, it would be difficult for a court to estop both parties in a litigation from propounding inconsistent positions. In any event, the court in Chrysler was not called upon to apply the doctrine of judicial estop-pel.
The Tenth Circuit hinted in a more recent decision that it might be willing to revisit its stance on judicial estoppel. In
Guidry v. Sheet Metal Workers Int’l Ass’n, Local No. 9,
As noted above, the plaintiff in an ADA ease must establish that “he is qualified, that is, with or without reasonable accommodation (which he must describe), he is able to perform the essential functions of the job.”
White,
Mr. Smith was not released by his physician to return to any job at Midland Brake from July 26, 1992, the effective date of the ADA, through his termination on March 3,1993. See Americans with Disabilities Act, Pub.L. No. 101-336, § 108,104 Stat. 328 (1990). 2 The plaintiff also does not dispute that in October 1992, Midland Brake sought, unsuccessfully, a medical release for the plaintiff to return to work doing data entry. The plaintiff identifies, however, several other jobs which he alleges his physician would have released him to try had he and his physician been aware the jobs were available.
Some courts have held that while reasonable accommodation
may
include reassigning an employee to a different position, “the duty of reasonable accommodation does not encompass a responsibility to provide a disabled employee with alternative employment when the employee is unable to meet the demands of his present position.”
Myers v. Hose,
The United States Supreme Court stated in
School Board v. Arline
that an employer is “not required to find another job for an employee who is not qualified for the job” he is doing.
Under
Guillot,
Mr. Smith would not be a qualified individual with a disability, because he could not perform the essential functions of the position from which he was terminated. Consequently, the plaintiff would fail to establish a prima facie ease of discrimination under the ADA. Nevertheless, because EEOC guidelines provide that reassignment to a vacant position is a potential reasonable accommodation, we shall examine whether the plaintiff has produced evidence sufficient to make a facial showing that he could have been accommodated by means of a transfer to a different job. 29 C.F.R. pt. 1630 app. § 1630.2(o);
see also Lawrence v. IBP, Inc.,
In the instant case, the plaintiffs treating physician completed a number of “Employers Referral and Treatment Authorization” forms following his visits with the plaintiff. The forms contained a choice of three statements as to the patient’s ability to return to work: “return to full work,” “return to modified work,” and “unable to work.” Following the three selections was a space in which the physician could specify “restrictions if any.” From the time Dr. Singer removed the plaintiff from duty on May 5, 1992, through his last visit with the plaintiff on October 19, 1992, Dr. Singer either failed to check any of the three options, or checked “unable to work,” and never did Dr. Singer specify any work restrictions which would have enabled the plaintiff to return to work. The plaintiff has failed to provide any evidence that he was released to return to work by any other physician subsequent to October 19, 1992. The plaintiff contends that, nevertheless, there were jobs at Midland Brake which he could have performed through the date of his termination, and that his physician would have released him to these jobs had he been made aware of them.
The eases interpreting the ADA “do not clearly address when a plaintiff is required to suggest possible reasonable accommodations. However, what is clear is that plaintiff bears the initial burden to present a prima facie case.”
Lawrence,
Once a qualified individual with a disability has requested provision of a reasonable accommodation, the employer must make a reasonable effort to determine the appropriate accommodation. The appropriate reasonable accommodation is best determined through a flexible, interactive process that involves both the employer and the qualified individual with a disability.
29 C.F.R. pt. 1630 app. § 1630.9. Thus, an employer is not solely responsible for identifying a reasonable accommodation.
An employer may not forbid a disabled employee who is not qualified for the position he currently holds from availing himself of other employment opportunities.
See Arline,
In light of the plaintiffs representations to the SSA that he was totally disabled and unable to work, and the fact that the plaintiff never provided Midland Brake with a medical release for him to return to work, in any capacity, from July 26, 1992, through his termination on March 3, 1993, we conclude *1363 that no reasonable jury could find that Mr. Smith was a qualified individual with a disability under the ADA. We therefore grant the defendant’s motion for summary judgment as to the plaintiffs ADA claim.
B. ADEA Claim
In order to establish a prima facie case of discrimination under the ADEA, a plaintiff must show that “(1) he is within the protected age group, (2) he was doing satisfactory work, (3) he was discharged despite the adequacy of his work, and (4) his position was filled by a person younger than he.”
Cockrell v. Boise Cascade Corp.,
It is uncontroverted that the plaintiff was taken off work by his treating physician on May 5, 1992. The plaintiff also does not dispute that he was physically unable to return to his current job at the time he was discharged on March 3,1993. Consequently, the plaintiff cannot claim that he was doing satisfactory work and was discharged despite the adequacy of his work. Unlike the ADA, the ADEA does not require an employer to attempt to accommodate an employee who is unable to perform the essential functions of his position. We therefore hold that there exists no genuine issue of material fact as to the plaintiffs ADEA claim, and that the defendant is entitled to judgment on that claim as a matter of law.
C. KAAD/KADEA Claims
The plaintiff has requested that the court dismiss his KAAD and KADEA claims, and does not dispute the defendant’s arguments regarding summary judgment on these claims. The court therefore grants the defendant’s motion for summary judgment on the plaintiffs KAAD and KADEA claims.
D. Retaliatory discharge claim
Kansas generally follows the employment at will doctrine.
Morriss v. Coleman Co.,
In order to establish a prima facie case of retaliatory discharge, a plaintiff must show that (1) he filed a claim for workers compensation benefits, or sustained an injury for which he might assert a claim for such benefits; (2) his employer had knowledge of the claim, or of the fact that he had sustained a work-related injury for which he might file a claim; (3) his employer terminated his employment; and (4) a causal connection existed between the protected activity or injury and the termination.
Ortega v. IBP, Inc.,
An employer, however, “has no duty to ... retain an employee who cannot do the work the employer has available.”
Rowland v. Val-Agri, Inc.,
IT IS THEREFORE BY THE COURT ORDERED that the defendant’s motion for summary judgment (Doc. 64) is granted.
IT IS FURTHER ORDERED that the plaintiffs motion in limine (Doc. 61) is denied as moot.
Notes
. The facts in
Peoples v. City of Salina, Kansas
arose prior to the enactment of the ADA. The plaintiff in
Peoples
sought relief under the Rehabilitation Act of 1973, 29 U.S.C. § 794.
. The ADA does not apply retroactively.
Smith v. Blue Cross Blue Shield of Kan., Inc.,
