Soeken v. HermanSoeken v. Herman
Pending before the Court is defendants’ motion for dismissal. Defendants’ motion raises three issues. First, whether 5 U.S.C. § 8128(b) prevents the Court from reviewing the decision of the Federal Employees’ Compensation Act (FECA) that denied the award of benefits to plaintiff for violating a clear statutory mandate. Second, whether defendant’s interpretation of the term “physician,” which barred the use of “licensed certified psychotherapists” for use as medical experts, deprived the plaintiff of his due process rights. Finally, whether the doctrine of absolute immunity bars the plaintiffs’ claims against defendants Walsh, Groom, and Kan-jorski in their individual capacities. After considering the written submissions of the parties, the Court grants the motion to dismiss for the defendant in respect to all issues.
I.
This case stems from the denial of plaintiffs physical and mental injury claims by the Employees’ Compensation Appeals Board (ECAB) of the U.S. Department of Labor (DOL). On September 8, 1989, plaintiff Ern Reynolds, while working as an office systems analyst for the Antitrust Division of the U.S Department of Justice, discovered a multimillion dollar computer procurement overcharge. Reynolds suggests that as a result of this discovery, his superiors deliberately retaliated against him by moving him into an office without natural light, contrary to the written recommendations of Reynolds’ eye doctors. Shortly after the change in offices, Reynolds began to experience a neuro-ophthalmologica! disorder and depression. As a result of these illnesses, plaintiff Ern Reynolds received a medical retirement from the Department of Justice on November 30, 1990. On November 27, 1991, Reynolds filed a claim with the Office of Workers’ Compensation Programs (OWCP) alleging that his retirement was based upon sustaining work-related injuries. OWCP denied Reynolds claim on April 20, 1992, based on “conflicting or absent evidence” as to whether the alleged events or exposures “occurred at the times, places and manners alleged.” Defendant’s Attachment 4, at 386. The decision found that Reynolds had failed to provide either a detailed statement of employment factors which caused his injury or a medical opinion explaining how and in what manner the employment factors inflicted injury.
Reynolds appealed the denial of his claim to the OWCP’s Branch of Hearing and Review, and a hearing was held on October 7, 1992. In an opinion dated January 21, 1993, the OWCP Hearing Representative, after
Reynolds requested reconsideration of his claim by the OWCP and submitted a medical report from Dr. Stephen J. Rojcewicz. Rojeewicz’s report stated that Reynolds suffered from both a depressive and mixed personality disorder, concluding that these conditions were “directly and proximately caused by the work stresses, namely by actions that in his opinion were retaliatory and harassing.” Defendant’s Attachment 7, at 6. OWCP affirmed its former decision, finding that Dr. Rojeewicz’s evaluation lacked probative value because the report failed “to diagnose a condition related to an accepted work-related factor of employment.” Defendants Attachment 8, at 6. Based on this decision, Reynolds again requested reconsideration on January 11,1995. Because Reynolds failed to submit any new evidence or legal theories, however. OWCP refused to reconsider the case.
Once again Reynolds requested reconsideration of his claim, submitting the report of Dr. Donald R. Soeken, a psychotherapist with a doctorate in Human Development who asserted that Reynolds suffered from work-related injuries. OWCP rejected this request, however, stating that because Soeken was a psychotherapist, he didn’t qualify as a probative witness under the statutory definition of relevant medical evidence pursuant to 5 U.S.C. § 8108(2) and as clarified in the Federal (FECA) Procedure Manual at 3-100-3. Reynolds appealed OWCP’s ruling and in a decision issued August 20, 1997, ECAB affirmed OWCP’s determination that a licensed certified psychotherapist with a doctorate in human development did not fall within the ambit of a physician or clinical psychologist as mandated by FECA.
In this action, plaintiff Reynolds claims that defendants Secretary of Labor Herman, assistant Secretary of Labor Anderson, and three members of the ECAB have violated his right to due process by refusing to consider Dr. Soeken’s opinion as probative evidence so that he can be entitled to FECA benefits by the ECAB.
1
Although the plaintiff asserts many alternative theories of liability, his main contentions are: (1) that defendants, by refusing to assign any probative weight to Dr. Soeken as a medical expert, deprived plaintiff of his due process rights;
2
(2) that OWCP’s failure to consider Dr. Soeken’s report resulted in violations of plaintiffs’ civil rights pursuant to 42 U.S.C. §§ 1983 and 1985; and (3) that defendants Walsh, Groom, and Kanjorski, as members of ECAB, are liable in their individual capacities for denying Reynolds’ FECA claim. Defendants have moved to dismiss the Complaint under Fed.R.Civ.P. 12(b)(1) and (6),
II.
A. Standard of Review
A motion to dismiss is appropriate only if it is evident that no relief could be granted under any set of facts that could be proven to support the allegations made by the plaintiff in the complaint.
See Conley v. Gibson,
B. Statutory Framework of the FECA
Plaintiffs Complaint alleges due process and civil rights 3 violations based upon the exclusion of Dr. Soeken, a licensed psychotherapist, as a “physician” for purposes of FECA regulations. The Federal Employees’ Compensation Act, 5 U.S.C. § 8102 et. seq. (1994), is the exclusive workers’ compensation scheme for federal employees. The Act mandates that the United States “pay compensation for the disability or death of an employee resulting from personal injury sustained while in the performance of his duty.” Id. The Secretary of Labor (Secretary) has the responsibility of enforcing FECA and consequently has the authority to promulgate rules and regulations and decide all questions arising under the Act. See 5 U.S.C. §§ 8145, 8149 (1994). Pursuant to 20 C.F.R. § 10.2, the Secretary has delegated this administrative and rule-making authority to the Director of the OWCP.
Upon a congressional mandate, the Secretary created ECAB, which has the authority to hear and make final decisions on appeal taken from OWCP determinations and awards. See 5 U.S.C. § 8149 (1994); 20 C.F.R. § 10.301. To be awarded compensation from ECAB, the claimant must establish “by the weight of reliable, probative and substantial evidence” that the claimed injury was caused by the employee’s Federal employment. 20 C.F.R. § 10.110. To satisfy this evidentiary hurdle, the claimant must “submit rationalized medical opinion evidence” from an individual defined as a “physician” pursuant to the Act. Id. The interpretation of this definition is the source of contention between the plaintiff and defendants.
Section 8101(2) of the Act defines a physician as including:
“surgeons, podiatrist, dentist, clinical psychologists, optometrists, chiropractors, and osteopathic practitioners within the scope of their practice as defined by state law. The term ‘physician’ includes chiropractors only to the extent that their reimbursable services are limited to treatment consisting of manual manipulation of the spine to correct a subluxation as demonstrated by x-ray to exist, and subject to regulation by the Secretary.”
Claimants have three different opportunities to appeal a FECA decision. First, an individual can request a hearing before an OWCP hearing representative or a review of the written record within thirty days of the initial decision. See 5 U.S.C. § 8124 (1994); 20 C.F.R. § 10.131. If the OWCP review does not satisfy the claimant, then he or she has one year to request reconsideration. See 5 U.S.C. § 8128 (1994); 20 C.F.R. § 10.138. Finally, the claimant may file an appeal with ECAB within one year. See 20 C.F.R. § 10.139. Reynolds, however, arguing that his due process and civil rights were deprived because he was barred from using Dr. Soeken as an expert witness, seeks an additional review of the decision by this Court.
C. The Section 8128(b) Limitation on Judicial Review
In enacting FECA, Congress sought to strike a compromise between granting injured employees immediate benefits while insulating the government from workers’ compensation lawsuits.
See Lockheed Aircraft Corp. v. United States,
The action of the Secretary or his designee in allowing or denying a payment under this subchapter is -
(1) final and conclusive for all purposes and with respect to all questions of law and fact; and,
(2) not subject to review by another official of the United States or by a Court by mandamus or otherwise.
5 U.S.C. § 8128(b). Although this Court lacks jurisdiction to review ECAB’s findings of fact or law,
see Gilmore v. United States Dep’t of Labor,
A more difficult question is whether § 8128(b) prevents this court from reviewing violations of a clear statutory mandate. There is a split in the circuits as to whether § 8128(b) prevents judicial review of violations of a clear statutory mandate. Because this Circuit has never directly considered the issue, this is a matter of first impression. The First and Ninth Circuits have rejected the “statutory mandate” exception, noting that because 5 U.S.C. § 8145 gives the Secretary of Labor “virtually limitless” authority “to make the policy choices associated with disability decisions,” courts are barred from reviewing violations of a clear statutory mandate.
See Paluca v. Secretary of Labor,
The D.C. Circuit has held that “it is individual determinations that ‘have traditionally been accorded more rather than less judicial protection against agency error than generally applicable rules.’ ”
Paluca,
Reynolds constitutional challenge to § 8101 is apparently based on his belief that the Secretary’s exclusion of psychotherapists from § 8101 resulted in the deprivation of his Fifth Amendment right to due process. “The fundamental requirement of due process is the opportunity to be heard ‘at a meaningful time and in a meaningful manner.’”
Mathews v. Eldridge,
The first step in accessing Reynolds’ due process challenge is whether he has a constitutionally protected property interest in receiving FECA benefits. As the court in
Jones-Booker v. United States
noted, in order to have a property interest protected by the Fifth Amendment, courts must determine whether “an independent source,” such as FECA, establishes a “legitimate claim of entitlement” to compensation.
The second step of the analysis requires a determination of what process Reynolds is due. Due process is “flexible” and requires balancing three distinct factors.
See id.
The first consideration is the private interest that will be affected by the official action.
See id.
Secondly, this court must consider the risk of an erroneous deprivation of “such interest through the procedures used, and the probative value, if any, of additional or substitute procedural safeguards.”
Id.
Finally, the Government’s interest must be assessed, taking into account the fiscal and administrative burdens the additional or substitute procedural requirement would entail.
See id.
Thus, in determining whether due process was properly afforded to a claimant, the court must weigh the costs and benefits of the disputed procedure.
See United States v. Woods,
In the instant case, Reynolds had numerous opportunities to be heard. Reynolds brought in several medical experts who qualified under the conscripts of § 8101. Unfortunately for Reynolds, however, none of these qualified medical practitioners could establish the requisite nexus between his injury and the workplace environment. It seems disingenuous to accept Reynolds’ argument that because none of the accepted medical experts could establish the requisite nexus, that the failure to acknowledge a non-recognized expert by ECAB is somehow vio-lative of his due process. Reynolds had a fair opportunity to present evidence of his work-related injury.
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A statute that defines who can provide probative medical evidence of a work-related injury does not create a statutory entitlement to bring whatever witness Reynolds chooses. Because Reynolds had every opportunity to select a medical practitioner that fit the statutory definition, he had sufficient notice and opportunity to be heard such that the exclusion of an expert outside of the statutory definition did not
III.
For the reasons stated above, defendants’ motion to dismiss is GRANTED. An order consistent with this opinion will issue this same day.
Notes
. Soeken is also a named plaintiff in this suit, asserting a financial injury based upon OWCP’s refusal to consider his testimony probative. Soeken fails to meet the standing requirements, however, because he fails to assert an '‘immediate" and “concrete” injury.
See Lujan v. Defenders of the Wildlife,
. Reynolds also asserts a host of generalized, and somewhat unclear, due process claims as well as alleging violations of the Supremacy Clause, the First Amendment, and the Full Faith and Credit Clause based upon his assertion that OWCP is biased or tainted. Reynolds allegations are entirely unsubstantiated, and the Court will therefore deny Reynolds’ request for further discovery on OWCP’s alleged impropriety.
See United States v. Ryan,
. Reynolds' civil rights claims are premised upon 42 U.S.C. §§ 1983 and 1985. Because this Court finds that Reynolds fails to satisfy one or more of the requirements under these statutes, these claims are without merit. For instance, § 1983 only provides a cause of action against individuals that violate one's constitutional rights "under color of state law.”
District of Columbia v. Carter,
. A claimant may not, however, circumvent § 8128(b) by "disguising a claim for benefits or an objection to the denial of benefits as a constitutional challenge.”
United States v. Vetti,
. The Court notes that dicta in
Staacke
and
Brumley,
. In
Kyne,
the Court held that the National Labor Relations Board’s certification of a collective bargaining unit directly conflicted with a provision of the National Labor Relations Act, thus establishing judicial review by the district court even though the Act clearly delineated when the district court had jurisdiction.
See Kyne, 358
U.S. at 188,
. This Court points out that even without the statutory bar to judicial review, deference must be given to the Secretary's interpretation of FECA.
See Woodruff v. United States Dep’t of Labor,
. In making the determination of whether FECA has mandatory language, the court focused on § 8102(a), which provides:
The United States shall pay compensation as specified by this subchapter for the disability or death of an employee resulting from personal injury sustained while in the performance of his duty) unless the injury or death is—
(1) caused by willful misconduct of the employee;
(2) caused by the employee’s intention to bring about the injury or death to himself or of another; or
(3) proximately caused by the intoxication of the injured employee.
5 U.S.C. § 8102(a) (emphasis added).
. The Court notes that somewhat less due process may be required in FECA determinations that in other entitlement proceedings. For instance, in
Woods,
the court, comparing social security benefits with welfare benefits, noted that the hardship for a denial of ECAB benefits is "less significant” because the claimant “could have recourse to other government entitlement programs if the loss" of workers’ compensation places the individual below the subsistence level.
. Because this Court holds that § 8101 is unre-viewable except for constitutional violations, and finds no cognizable due process violations in the instant case, there is no need to determine whether the individual defendants can claim qualified immunity.