Lead Opinion
Judge STRAUB dissents with a separate opinion.
Defendant Thomas Dunn, mayor of the Town of Wolcott, appeals from the denial of his motion for qualified immunity by the United States District Court for the District of Connecticut (Droney, /.). When Dunn became mayor, he terminated the employment of plaintiff Denise Taravella, who had been the director of the town’s senior center. Taravella sued Dunn, Town Municipal Agent Douglas Coley, and the Town itself, alleging a variety of federal constitutional and state law violations. The defendants moved for summary judgment on all claims, and the district court initially [1] granted the motion as to speech, association, and defamation claims pleaded under 42 U.S.C. § 1983; [2] denied the motion as to the § 1983 procedural due process claim; and [3] reserved decision on the state claims. On reconsideration, the district court granted Coley’s motion for summary judgment on ground of qualified immunity but denied Dunn’s motion, ruling that questions of fact regarding Taravella’s employment contract precluded a ruling on qualified immunity with regard to Taravella’s procedural due process claim. On appeal, Dunn argues that he is entitled to qualified immunity because his conduct was objectively reasonable in light of the facts before him. We agree, and therefore reverse.
BACKGROUND
Denise Taravella was hired by then-Mayor Michael DeNegris as Senior Center Director of the Town of Wolcott Senior Center in August, 2002. In a meeting with DeNegris and Kimberly Hunt, the Town’s personnel director, Taravella signed a Letter of Benefits Agreement (“the Agreement”) that established the terms of her employment for a one-year period. (Taravella signed a substantially identical agreement in October 2003.) The Agreement specified terms relating to compensation, work hours, vacation and holidays, sick and personal leave, and pension plan participation. The Agreement also stated that Taravella’s health benefits and funeral leave would match the benefits enjoyed by the town’s unionized employees. As to termination, the Agreement provided that Taravella could terminate her employment for any reason on ten days’ notice, and
Taravella alleges that she was also told during the August 2002 meeting that she “would have everything that the [Town’s] union employees had,” including — she argues — the right not to be terminated without cause and the right to a pre-termination hearing. But Taravella concedes that she never received such a promise in writing, and it is undisputed that Dunn was never made aware of this alleged promise.
Dunn defeated DeNegris in the Town’s November 2003 mayoral election. On assuming the mayoralty, Dunn began to receive complaints regarding Taravella’s conduct as director of the Senior Center. In March 2004 — after consulting with Town Attorney Bryan Tynan — Dunn and Coley met with Taravella to terminate her employment. During the meeting, which lasted roughly ten minutes, Dunn read a letter explaining that Taravella’s employment was to be terminated in ten days’ time because of complaints from town seniors. The parties dispute whether Taravella asked for a hearing, or whether Dunn told Taravella to request a hearing if she wanted one. But it is undisputed that Dunn sent Taravella a letter the next day stating that she was not entitled to a pre-termination hearing because she was not a union employee. Taravella made no subsequent request for a hearing.
Taravella filed suit in June 2004, alleging fifteen causes of action, including violations of her Fourteenth Amendment procedural due process rights and her First Amendment rights to free speech and association. She also alleged defamation in violation of her Fourteenth Amendment liberty interests, as well as various state statutory and common law violations.
The defendants moved for summary judgment on all counts. The district court granted the motion as to Taravella’s First Amendment speech and association claims and her Fourteenth Amendment defamation claim, and reserved decision as to Taravella’s state claims. Taravella v. Town of Wolcott, No. 3:04cv895,
The defendants moved for reconsideration on the ground that the district court had not addressed their claim to qualified immunity. The district court granted reconsideration and, on reconsideration, granted Coley’s summary judgment motion on the basis of qualified immunity. Taravella v. Wolcott, No. 3:04cv895,
This appeal followed.
DISCUSSION
We review the district court’s summary judgment decision de novo. Roe v. City of Waterbury,
I
“Qualified immunity protects officials from liability for civil damages as long as ‘their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known.’ ” Gilles v. Repicky,
To be clearly established, “[t]he contours of the right must be sufficiently clear that a reasonable official would understand that what he is doing violates that right.” Anderson v. Creighton,
II
In considering an official’s qualified immunity claim, a court “must decide whether the facts that a plaintiff has alleged or shown make out a violation of a constitutional right.” Pearson,
As the district court observed, these ambiguities create a question of fact regarding whether Taravella could be fired without cause. But because, on a motion for summary judgment, “[t]he evidence of the non-movant is to be believed, and all justifiable inferences are to be drawn in his favor,” Anderson v. Liberty Lobby, Inc.,
It is also clear that the alleged property interest is constitutionally protected. “[T]he state-law property interest of government employees who may only be discharged for cause ... is a constitutionally protected property interest for purposes of the Fourteenth Amendment,” O’Connor v. Pierson,
Ill
“[E]ven where the law is ‘clearly established’ and the scope of an official’s permissible conduct is ‘clearly defined,’ the qualified immunity defense also protects an official if it was ‘objectively reasonable’ for him at the time of the challenged action to believe his acts were lawful.” Higazy v. Templeton,
We conclude that Dunn’s conduct was objectively reasonable as a matter of law. Taravella’s procedural due process right is alleged to arise from two sources: the Agreement she signed during her August 2002 meeting with DeNegris (and renewed the following year), and the (disputed) contemporaneous oral promise regarding union-like benefits. As to the latter, Taravella has conceded that Dunn neither knew nor had reason to know about the alleged oral promise. As to the former, the district court has concluded— and we agree — that the Agreement is ambiguous as a matter of law. Dunn read the Agreement, sought legal advice, and reasonably concluded that Taravella could be terminated without a hearing.
At oral argument, Taravella’s counsel argued that because there is an ambiguity in the Agreement regarding the entitlement to a hearing, a cautious person — and therefore a reasonable person — would afford a hearing. This is not the law; and if it were, the jury trial Taravella seeks would be unnecessary, since the very fact that Dunn acted adverse to Taravella in the face of the ambiguity would, under Taravella’s theory, demonstrate constitutionally unreasonable conduct.
Judge Straub’s dissent is in two parts. The first part questions why this Circuit analyzes qualified immunity by considering three questions rather than just two. Specifically, Judge Straub would only consider: (1) whether the facts plaintiff alleges establish a violation of a constitutional right and (2) whether this constitutional right was clearly established. Such a formulation would omit consideration of whether it was “objectively reasonable” for a defendant to believe his actions were lawful. The second part of Judge Straub’s opinion, which concerns the particulars of this case, illustrates why this third question is indispensable.
Judge Straub recognizes the employment contract is ambiguous as to whether Ms. Taravella had the right to a hearing before dismissal. And, he would remand for a finding (on extrinsic evidence) as to the intent of Mayor Dunn’s predecessor, in aid of answering the first inquiry, i.e., whether under the facts she alleged Taravella had a constitutional right to a hearing. However, the ambiguity of a contract is ascertainable as a matter of law, and we all conclude that this contract is ambiguous. Given the contract’s ambiguity and the standard — that we look at “whether a reasonable official would reasonably believe his conduct did not violate a clearly established right,” Kerman v. City of New York,
CONCLUSION
Although Taravella has alleged a violation of a constitutional right, and although
Notes
. It is well established that a denial of an official’s motion for summary judgment on grounds of qualified immunity, to the extent it turns on an issue of law, constitutes an immediately appealable decision. See Mitchell v. Forsyth,
. Pearson overruled the Court’s prior holding, in Saucier v. Katz,
. We need not decide whether reliance on legal advice constitutes an "extraordinary circumstance" sufficient by itself to give rise to qualified immunity, see Sampson v. City of Schenectady,
Dissenting Opinion
dissenting.
I respectfully dissent. This is a straightforward qualified immunity case. In line with well-established Supreme Court and Circuit precedent, Mayor Thomas G. Dunn’s appeal from the District Court’s order denying summary judgment based on qualified immunity should be dismissed because the District Court found that material factual disputes preclude summary judgment.
I write to make two main points. First, I wish to call the Court’s attention to what appears to me to be a long-standing inconsistency in our case law. For years, our cases have described the qualified immunity analysis both as a two-step process and as a three-step process. The latter has no basis in Supreme Court precedent and has served to confuse the case law in this area.
Second, on the merits, I would hold that (under any standard) Dunn’s appeal should be dismissed for lack of jurisdiction because the District Court found that material factual disputes exist and the record reflects that these factual disputes are indeed material.
I. The Standard for Qualified Immunity
The majority’s opinion cites precedential cases from our Circuit to explain the qualified immunity analysis. However, it does not address an inconsistency in our case law that dates back at least a decade. Ten years ago, in a decision that has been cited dozens of times by the lower courts in our Circuit, we described the qualified immunity analysis as a three-step process:
[A] government official sued in his individual capacity ... is entitled to qualified immunity in any of three circumstances: (1) if the conduct attributed to him is not prohibited by federal law ...; or (2) where that conduct is so prohibited, if the plaintiffs right not to be subjected to such conduct by the defendant was not clearly established at the time of the conduct ...; or (3) if the defendant’s action was objectively legally reasonable ... in light of the legal rules that were clearly established at the time it was taken.... These three issues should be approached in sequence.
X-Men Sec., Inc. v. Pataki,
In other cases, however, we describe the qualified immunity inquiry as involving only two steps, see, e.g., Higazy v. Templeton,
This discrepancy may stem from the fact that X-Men pre-dates Saucier v. Katz,
Taken in the light most favorable to the party asserting the injury, do the facts alleged show the officer’s conduct violated a constitutional right? This must be the initial inquiry.... If no constitutional right would have been violated were the allegations established, there is no necessity for further inquiries.... On the other hand, if a violation could be made out on a favorable view of the parties’ submissions, the next, sequential step is to ask whether the right was clearly established.
Id. at 201,
Saucier thus frames the issue as a two-step analysis. Though the sequential aspect of this two-step analysis has now been made permissive, such that courts may consider step two before step one, see Pearson v. Callahan, — U.S. -,
The majority describes qualified immunity as “a two-part inquiry,” and finds (1) that Taravella has sufficiently alleged the invasion of a constitutionally protected property interest and (2) that this constitutionally protected property interest has been clearly established since 1985. See Ante at 133-35. Nevertheless, the majority then proceeds to the additional step of analyzing whether Dunn’s actions were “objectively reasonable” and finds that Dunn is entitled to qualified immunity on this basis. Ante at 134-35. The majority’s formulation of the standard thus not only fails to clarify the appropriate standard but serves to perpetuate the confusion, simultaneously describing a two-step analysis and relying on an extraneous third step.
As Justice Sotomayor explained when she was a member of our Court,
[cjontrary to what our case law might suggest, the Supreme Court does not follow this ‘clearly established’ inquiry with a second, ad hoc inquiry into the reasonableness of the officer’s conduct. Once we determine whether the right at issue was clearly established for the particular context that the officer faced, the qualified immunity inquiry is complete.
Walczyk v. Rio,
Saucier explained that “[t]he relevant, dis-positive inquiry in determining whether a right is clearly established is whether it
whether a right is clearly established is the same question as whether a reasonable officer would have known that the conduct in question was unlawful. This Court’s case law, in contrast, bifurcates the ‘clearly established’ inquiry into two steps----By splitting the ‘relevant, dis-positive inquiry’ in two, we erect an additional hurdle to civil rights claims against public officials that has no basis in Supreme Court precedent.
Walczyk,
The Walczyk majority, however, thought these concerns were “unwarranted,” reasoning that if a right were clearly established, it would not be reasonable to violate that right; conversely, if it were reasonable for the officer to act as he did, the right could not be clearly established. See id. at 154 n. 16. But this formulation does not resolve the inconsistency.
First, the fact remains that post-WaZczyk cases have not recognized this problem and have continued to apply the three-step analysis.
Third, and most important, by formulating the inquiry as both a two-and three-step analysis, we run the risk that lower courts will interpret the third step — the “objective reasonableness” inquiry- — as a hurdle that is somehow distinct from, and in addition to, the “reasonableness” inquiry that is already a part of the second step. Our cases do not say, “If a right is clearly
Our district courts have taken these steps to be distinct as well. See, e.g., Fleming v. Sharma,
Although a court might reach the same result if it correctly analyzed “reasonableness” only at step two, instead of incorrectly analyzing that issue both at step two and three, there is no sound legal basis for perpetuating this three-step inquiry and “giv[ing] defendants a second bite at the immunity apple.” Walczyk,
Our recent cases have not helped to clarify this subtle, but important, inconsistency in our case law
“The doctrine of qualified immunity protects government officials ‘from liability for civil damages insofar as their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known.’ ” Pearson,
(1) Taken in the light most favorable to the party asserting the injury, do the facts alleged or shown (depending on the stage of litigation) show that the state official’s conduct violated a constitutional right?
(2) If a constitutional violation can be made out on a favorable view of the parties’ submissions, was the right clearly established?
Cf. Saucier,
II. The Substantive Qualified Immunity Analysis
Under either a two- or a three-step inquiry, I would dismiss Dunn’s appeal of the denial of summary judgment on the basis of qualified immunity because the District Court concluded that material factual disputes preclude summary judgment, and a review of the record supports that these factual disputes are indeed material.
As to the first step in the qualified immunity analysis, the District Court found that there is a genuine issue of material fact regarding whether Taravella had a constitutional right to a pretermination hearing. Likewise, as to the second step, the District Court found that there are disputed issues of material fact relating to whether that right is clearly established. Upon analyzing the terms of Taravella’s contract and the circumstances surrounding her hiring and firing, the District Court determined that a reasonable fact-finder could conclude that it was a violation of Taravella’s rights to terminate her without a hearing and that it was unreasonable for Dunn to violate those rights. This, according to the District Court, precludes summary judgment.
It is black letter law in our Circuit that “ ‘immediate appeal is not permitted if the district court’s denial of summary judgment for qualified immunity rests on a finding that there were material facts in dispute.’ ” Martinez v. Simonetti,
The majority chooses not to follow these well-settled rules by doubting conclusions that are uniquely the province of the District Court. Having proceeded to decide an issue that it should not, the majority
To Alústrate fully how the majority fails to rely either on undisputed facts or on the facts most favorable to Taravella when analyzing whether Dunn’s actions were reasonable, I begin at step one of the analysis, whether Taravella established a constitutional right to pre-termination process. As is clear from the analysis below, the majority credits Taravella’s version of the facts at step one but then fails to do so when subsequently analyzing the reasonableness of Dunn’s actions.
As to the first step of the qualified immunity analysis, the starting point is of course Taravella’s contract. Under Connecticut law, an employment agreement that provides a fixed term of employment (as opposed to an indefinite term of employment), may only be terminated for cause; such a contract eliminates the default rule of at-will termination. See Slifkin v. Condec Corp.,
The District Court’s finding of ambiguity rested on the following. First, the terms of Taravella’s contracts provided for fixed, one-year periods of employment. See Sep
Under Connecticut law, where contract language creates ambiguity, extrinsic evidence as to the parties’ intent may properly be considered, and the determination of the parties’ intent is a question of fact. See, e.g., Barton v. City of Bristol,
Although the majority views the evidence in a light most favorable to plaintiff at step one of its analysis, it fails to proceed on undisputed facts or view the facts in a light most favorable to Taravella when analyzing whether Dunn acted reasonably.
The second step of the qualified immunity analysis — the “clearly established” prong — requires us to determine whether “it would be clear to a reasonable officer that his conduct was unlawful in the situation he confronted.” Saucier v. Katz,
A rational factfinder could conclude that Dunn offered Taravella a hearing precisely because he knew that she had been promised such a hearing. Accordingly, the March 29, 2004 letter undercuts the majority’s assertion “that Dunn neither knew nor had reason to know about the alleged oral promise” of a pre-termination hearing.
The majority also appears incorrect when it writes, “[I]t is undisputed that Dunn sent Taravella a letter the next day stating that she was not entitled to a pretermination hearing because she was not a union employee.” Ante at 132.1 submit to the contrary. First, it was Bryan Tynan, the Town’s attorney, who sent the letter, on his law firm’s letterhead and over his signature. Second, the letter makes no mention of Taravella’s union status or lack thereof. Instead, apparently in response to Taravella’s claim that she was entitled to a hearing, the letter states that the Commission on Aging violated the Freedom of Information Act by (1) “failing] to give a reason for going in to [sic] Executive Session” and (2) not “vot[ing] by a two-thirds margin to put the matter [of Taravella’s contract] on the agenda.” J.A. 197. The letter concludes,
Therefore, it would be my opinion that since the Mayor had appointed you in 2002 and since the Commission on Aging did not properly approve your contract in 2003, Mayor Thomas Dunn would be comet in terminating your employment.
Id. at 198 (emphasis added).
The March 30, 2004 letter from Tynan thus does nothing more than express his opinion as to the propriety of Taravella’s appointment and of Dunn’s removal of her. Of course, it goes without saying that Tynan’s opinions are not dispositive of whether Dunn knew that Taravella was entitled to a pre-termination hearing or whether Dunn violated clearly established law in terminating Taravella without a hearing. Furthermore, a rational jury could conclude that Dunn offered Taravella a hearing because he knew that she was entitled to one as a matter of law, but that he subsequently changed his mind and asked his attorney to write a letter suggesting that Taravella was not entitled to a hearing. Finally, with regard to whether Dunn knew that Taravella was entitled to a hearing, Taravella claims that she requested a hearing when she was told she was being terminated, and Dunn stated at his deposi
Further illustrating how the majority fails to proceed on undisputed facts is the issue of whether the Town Charter supports Taravella’s claim that Dunn acted unreasonably in terminating her. The Town Charter provides, “The Mayor with Council approval shall appoint, and may remove, all department heads and other officers and employees of the town,” (emphasis added), subject to exceptions not relevant here. If this is the case, then Taravella, by operation of law, may have been entitled to a certain amount of process before her termination. Furthermore, if Taravella were entitled to pretermination process because of the Town Charter, a rational fact finder could conclude that Dunn knew or should have known that Taravella was entitled to a pretermination hearing and, therefore, acted unreasonably in failing to provide her with one. Although the District Court noted this dispute, it concluded that, because there were material disputes as to the employment agreement that precluded the entry of summary judgment, it was not necessary to parse this and related disputes further. Although the District Court did not resolve the issue definitively, the majority here must do so if it wishes to exercise jurisdiction over this appeal based on undisputed facts. That the majority fails to do so is yet another indication that its exercise of jurisdiction is misplaced.
In sum, although the majority purports to consider the reasonableness of Dunn’s actions based on undisputed facts, the majority’s analysis does not adequately address the record, which suggests otherwise, and the District Court’s finding that issues of material fact are in dispute.
Assuming plaintiffs version of the facts, resolving ambiguities against defendants, and denying summary judgment as to qualified immunity on that basis is nothing new. As the Supreme Court instructed in Saucier, when determining whether a constitutional right has been violated, a court must “[t]ake[ the facts] in the light most favorable to the party asserting the injury.” Saucier,
In Jenkins v. City of New York,
The majority focuses on the fact that, because certain facts may have been ambiguous, it was reasonable for Dunn to deny Taravella a hearing. See, e.g., ante, at 135. While a state actor might be entitled to qualified immunity if he is presented with a truly ambiguous scenario in which it is unclear whether or not his conduct would be unlawful, the record here does not reflect that Dunn was confronted with an indisputably ambiguous situation. Because there are material issues of fact about whether Taravella was promised a hearing and whether Dunn knew of that promise, we do not know what situation Dunn faced and, therefore, we do not know whether Dunn faced a situation so ambiguous that a reasonable person would not have known whether his conduct was unlawful. “If there is a material question of fact as to the relevant surrounding circumstances, the question of objective reasonableness is a question for the jury.” Green v. City of New York,
“Though ‘[ijmmunity ordinarily should be decided by the court,’ ... that is true only in those cases where the facts concerning the availability of the defense are undisputed; otherwise, jury consideration is normally required....” Oliveira v. Mayer, 23 F.3d [642, 649-50 (2d Cir.1994), cert. denied,513 U.S. 1076 ,115 S.Ct. 721 ,130 L.Ed.2d 627 (1995) (quoting Hunter v. Bryant,502 U.S. 224 , 228,112 S.Ct. 534 ,116 L.Ed.2d 589 (1991))]. After receiving “the jury[’s] decision as to] ‘what the facts were that the officer faced or perceived,’ ” the court then may “make the ultimate legal determination of whether qualified immunity attaches on those facts.” Stephenson v. Doe,332 F.3d 68 , 81 (2d Cir.2003) (emphases added); see, e.g., Warren v. Dwyer,906 F.2d 70 , 76 (2d Cir.) {“If there are unresolved factual issues which prevent an early disposition of the defense, the jury should decide these issues on special interrogatories. The ultimate legal determination whether ... a reasonable police officer should have known he acted unlawfully” should be made by the court “on the facts found” by the jury, (emphasis added)), cert. denied,498 U.S. 967 ,111 S.Ct. 431 ,112 L.Ed.2d 414 [(1990)].
Kerman,
Of course, the presence of disputed material facts does not conclusively establish that Dunn did act unreasonably. However, there certainly are facts in the record, if viewed in a light most favorable to Taravella, that would permit a court to find that it was unreasonable for Dunn to terminate Taravella with no process whatsoever.
The majority states, “Because a reasonable mayor could understand the Agreement [between Taravella and the Town] to provide that Taravella could be fired without a hearing, it cannot be said that Dunn acted unreasonably in doing so.” Ante at 135. I take no quarrel with the statement that it could be said that Dunn acted reasonably. I part company with the majority because the resolution of that question depends on disputed facts. Dating back to at least 1990, this has been the rule in qualified immunity cases. These determinations are certainly not to be made by an appellate court on interlocutory review. Cf. Genas,
Dunn argues in his brief that his conduct was nevertheless reasonable because he relied on the advice of the Town’s attorney. This argument is meritless. We have held that “reliance upon advice of counsel ... cannot be used to support the defense of qualified immunity.” In re County of Erie,
But once again, the majority misapplies the applicable law. In a footnote, the majority writes that it “need not decide whether reliance on legal advice constitutes an ‘extraordinary circumstance’ sufficient by itself to give rise to qualified immunity.’ ” Ante at 135 n. 3. The majority’s citation for this proposition is an eight-year-old case from the Northern District of New York. What the majority fails to recognize, however, is that this very approach was rejected by our Court just last year. See County of Erie,
The lack of binding precedent in support of the majority has a profound effect in this case. The majority writes that “the solicitation of legal advice informs the reasonableness inquiry” and concludes that Dunn acted reasonably because, inter alia, he “sought legal advice, and” — presumably acting on that advice — “reasonably concluded that Taravella could be terminated without a hearing.” Ante at 135. This analysis completely undermines the holding in County of Erie. If an official’s reliance on counsel’s advice does not give rise to immunity,
III. Conclusion
In this dissent, I seek to make two main points.
First, I attempt to call our Court’s attention to the apparent long-standing inconsistency in our case law regarding the proper standard for analyzing qualified immunity claims. We should — and it is my hope that we soon will — resolve this inconsistency by holding that qualified immunity is decided in accordance with a two-step analysis: (1) a court must determine whether the facts, taken in the light most favorable to the party asserting the injury, show that the state official’s conduct violated a constitutional right; and (2) even if a constitutional violation can be made out on a favorable view of the submissions, the official is entitled to immunity if the right was not clearly established.
Second, because qualified immunity is not available at the summary judgment stage when there are material facts in
Therefore, I respectfully dissent.
. Of course, this may not be so. In Sacco v. Pataki,
. The case law is divided, not only in our Circuit, but also in courts around the country. Several circuits have used a three-step analysis, even after the Supreme Court mandated a two-step inquiry in Saucier. See, e.g., Champion v. Outlook Nashville, Inc.,
At least one of our sister Circuits has rejected its prior three-step formulation. See Maldonado v. Fontanes,
These cases demonstrate that, after Saucier and even after Pearson, courts have been inconsistent in their treatment of the proper standard for qualified immunity.
. Or, as Justice Sotomayor has put it, "the distinction ... is a fine one, but ... it has real consequences.” Walczyk,
. Our Circuit has cited Pearson seventeen times thus far. Ten of these cases were summary orders: Distiso v. Town of Wolcott,
In Okin v. Village of Cornwall-On-Hudson Police Dep't,
. The purpose behind the "clearly established” prong of the qualified immunity analysis is to put defendants on notice that their conduct is unlawful. "This is not to say that an official action is protected by qualified immunity unless the very action in question has previously been held unlawful ...; but it is to say that in light of the pre-existing law the unlawfulness must be apparent." Anderson v. Creighton,
Indeed, “a general constitutional rule already identified in the decisional law may apply with obvious clarity to the specific con
. A violation of a constitutional right typically cannot turn on a transgression of slate law. See, e.g., Rosenberg v. Martin,
"Property interests, of course, are not created by the Constitution. Rather, they are created and their dimensions are defined by existing rules or understandings that stem from an independent source such as state law— rules or understandings that secure certain benefits and that support claims of entitlement to those benefits.” O’Connor v. Pierson,
Thus, although we typically would not look to state law to determine if a civil rights plaintiff has suffered a deprivation of her constitutional rights, we look to state law to determine whether such a plaintiff has a protected property interest when she makes a procedural due process claim, as in this case.
. Taravella's employment contracts do not contain a merger clause or any similar language suggesting that it constitutes the entire agreement between the parties, and Defendants' motion for summary judgment raised no parol evidence-type defenses.
. This is at least consistent with the provision of the agreements that provide that Taravella would get the same funeral leave, medical benefits, life insurance benefits, and post-retirement health benefits as unionized Town employees.
.I note that the majority’s analysis of the reasonableness of Dunn’s actions — after first determining (1) that Taravella has alleged an invasion of a constitutionally protected property interest and (2) that this constitutionally protected property interest is clearly estab
. The majority claims, albeit without citation, that Taravella has conceded this point. "We are not, of course, bound by a concession of counsel.” United States v. Galante,
. At oral argument, Dunn's counsel claimed that it was the Town's attorney, not Dunn personally, that offered Taravella a hearing.
