OPINION
¶ 1 This employment termination case presents issues concerning the interplay between the Employment Protection Act (EPA), A.R.S. §§ 23-1501 through 23-1502, and the Arizona Civil Rights Act (ACRA), A. R.S. §§ 41-1401 through 41-1493.02. Plaintifiyappellant Linda Taylor appeals from the trial court’s entry of summary judgment in favor of her former employer, defendant/appellee Graham County Chamber of Commerce (GCCC) on both her tort and contract claims. Because that ruling was consistent with and mandated by the EPA, we affirm.
BACKGROUND
¶ 2 Viewed in the light most favorable to Taylor,
Johnson v. Hispanic Broadcasters of Tucson, Inc.,
¶ 3 It is undisputed that Taylor performed well on the job initially and received a raise after successfully completing a ninety-day probationary period. During that time frame, Taylor received a handwritten note from Miller expressing his pleasure with her work and her presence in the office, and Miller treated her in a very professional manner. That changed, however, when Miller began hiring younger, attractive women in December 1998. From that point forward, Miller treated the younger women more favorably than Taylor, became increasingly rude to her and more critical of her work, reprimanded her, and prepared memoranda to document alleged deficiencies in Taylor’s job performance.
¶ 4 Miller fired Taylor on April 9, 1999. Although Miller informаlly discussed his plan to terminate Taylor with a few GCCC board members, he did not seek formal board approval. After Taylor had been fired, the GCCC board voted to approve the termination, without giving Taylor an opportunity to speak to the board. Additional facts pertinent to the specific issues Taylor raises are discussed below.
¶ 5 In her complaint, Taylor alleged two claims, the first expressly based on the EPA: (1) a tort claim for discriminatory treatment and wrongful termination based on her age and gender, in violation of the public policy expressed in ACRA’s anti-discrimination provision, A.R.S. § 41-1463(B)(1); and (2) a contract claim based on various provisions in GCCC’s personnel manual which, Taylor alleged, constituted a “contract of employment” that GCCC breached when it terminated her. GCCC *187 moved for summary judgment on both claims, and the trial court ultimately granted that motion without comment. This appeal followed.
DISCUSSION
I. Wrongful Termination Claim
¶ 6 Taylor first contends the trial court erred in granting summary judgment on her wrongful termination tort claim. We review de novo that ruling and related issues of statutory interpretation.
Johnson,
¶7 Because GCCC had fewer than fifteen employees, Taylor has no actionable, direct claim under ACRA.
See
A.R.S. §§ 41-1461(1), (2), 41-1463(B)(1). Therefore, she bases her wrongful termination claim solely on the EPA and ACRA’s public policy, which generally prohibits employers subject to ACRA from discharging or otherwise discriminating against individuals, inter alia, because of them sex or age. § 41-1463(B)(1);
see Spratt v. Northern Automotive Corp.,
3. An employee has a claim against an employer for termination of emplоyment only if one or more of the following circumstances have occurred:
(b) The employer has terminated the employment relationship of an employee in violation of a statute of this state. If the statute provides a remedy to an employee for a violation of the statute, the remedies provided to an employee for a violation of the statute are the exclusive remedies for the violation of the statute or the public policy set forth in or arising out of the statute, including the following:
(i) The civil rights act [ACRA] prescribed in title 41, chapter 9.
All definitions and restrictions contained in the statute also apply to any civil action based on a violation of the public policy arising out of the statute. If the statute does not provide а remedy to an employee for the violation of the statute, the employee shall have the right to bring a tort claim for wrongful termination in violation of the public policy set forth in the statute.
A.R.S. § 23-1501(3)(b).
¶ 8 Unlike ACRA, the EPA applies to all employers, not only those with fifteen or more employees, and addresses claims for “termination of employment” but not other wrongful employment acts or omissions. Compare § 23-1501(3) with § 41-1463(B). Taylor contends § 23-1501(3)(b) authorizes and supports her claim against GCCC for wrongful termination in violation of ACRA’s public policy, even though she could not bring a direct ACRA action against GCCC. Her multiple arguments for that proposition are unpersuasive.
¶ 9 Based on the second and next to the last sentences of subparagraph (3)(b), Taylor concedes that if another “source” statute suсh as ACRA provides a remedy to an employee/claimant, “an action under that other statute is the exclusive remedy for a violation of the statute — or its public policy,” and “the terms of the other statute control in such a non-EPA action.” According to Taylor, however, the “residual provision” in the last sentence of subparagraph (3)(b) created a new EPA cause of action, whereby an employee who “otherwise lack[s] a remedy” under another “source” statute “can bring a wrongful termination action under EPA based on the violation of the public policy reflected by [that] other statute.” Taylor further asserts that in that scenario, when the other statute affords no remedy to a particular employee/claimant, any “definitions and restrictions contаined in the [other] statute” do not apply to that claimant’s action under the EPA. § 23-1501(3)(b).
¶ 10 “In interpreting statutes, we attempt to ascertain and give effect to the legislature’s intent.”
Johnson,
¶ 11 The plain, unambiguous language of the statute defeats Taylor’s argument. Viewed as a whole and applied as written, § 23-1501(3)(b) neither authorizes nor supports Taylor’s wrongful termination claim. The EPA “limit[s] plaintiffs to three avenues of relief for claims asserted against employers on the theory of wrongful discharge,” one of which is when “the discharge violated a statute of this state.”
Cronin v. Sheldon,
¶ 12 But even if the first sentence of § 23-1501(3)(b) does not preclude that claim, the balance of the subparagraph does. The so-called “residual provision” in the last sentence of subparagraph (3)(b), on which Taylor relies, authorizes “a tort claim for wrongful termination in violation of the public policy set forth in [another] statute” only if that other statute “does not provide a remedy to an employee for the violation of the [other] statute.” § 23-1501(3)(b). ACRA, however, does provide a remedy for its violation. In other words, if an employer violates ACRA, that statute provides a remedy to an employee for the violation. As noted above, GCCC is not subject to and, therefore, did not violate ACRA. The EPA does not provide a back door method of suing GCCC in tort for wrongful termination in violation of ACRA or its public policy. 1
¶ 13 Moreover, § 23-1501(3)(b) provides that “[a]ll definitions and restrictions contained in the [other] statute also apply to any civil action based on a violation of the public policy arising out of the statute.” (Emphasis added.) Taylor’s wrongful termination claim is a “civil action.” Thus, ACRA’s definitions of “[e]mployee” and “[e]mployer” in A.R.S. § 41-1461(1) and (2) apply to this action. Accordingly, we agree with GCCC that the EPA bars Taylor’s wrongful termination claim “based on the public policy of the ACRA for the same reason that her claim under the ACRA itself is barred.”
¶ 14 That ACRA affords Taylor herself no remedy because of the number of employeеs GCCC had does not alter that conclusion. In support of her argument that the EPA authorizes her wrongful termination claim because she is personally without recourse under ACRA, Taylor points to the phrase “to an employee” in the second and last sentences of subparagraph (3)(b). But she overlooks language in those same sentences that requires a “violation” of the other “source” statute. As noted above, no such violation occurred here because ACRA did not cover GCCC.
¶ 15 In addition, even if subparagraph (3)(b) were unclear or ambiguous, Taylor’s interpretation undermines the legislature’s obvious intent and disregards the statute’s context, historical background, and purpose. The preamble to the EPA states: “If a statute provides an express remedy for a cause of action, that remеdy is the exclusive remedy for the violation of the statute or the public policy arising out of the statute.” 1996 Ariz. Sess. Laws, ch. 140, § 1(G) (emphasis added). Thus, the legislature clearly did not intend for the EPA to authorize a wrongful termination action based on violation of another statute’s public policy when that statute “provides an express remedy for a cause of action,” even if such remedy is unavailable to a particular employee/claimant *189 due to the employer’s size or otherwise. See David F. Gomez, The Employment Protection Act After Cronin v. Sheldon, 36 Ariz. Att’y 28, 28 (Mar.2000) (when EPA claim is based on employer’s violation of another statute’s public policy, if other statute contains remedy, it is exclusive; and claim is actionable as a tort only if other statute has no remedy, in which case other statute’s definitions and restrictions “strictly apply to the asserted claim”).
¶ 16 Of course, our supremе court concluded that the EPA preamble is “devoid of operative effect” and “patently unconstitutional.”
Cronin,
¶ 17 Taylor also contends the trial court’s ruling “run[s] afoul of
Wagenseller v. Scottsdale Memorial Hospital,
¶ 18 Taylor’s argument misses the mark. First, we have some difficulty with her analysis because the employer’s potential tort liability in
Wagenseller
was not based on its violation of the indecent exposure statute, a criminal statute, or that statute’s policy, but rather on its having terminated the plaintiff allegedly because she had refused to participate in conduct that, at a minimum, would have violated the public policy underlying the statute.
See Lloyd v. AMF Bowling Centers, Inc.,
¶ 19 In any event,
Wagenseller
illustrates a circumstance not only in which § 23-1501(3)(c)(i) presumably would apply,
3
but also in which the “residual clause” of subparagraph (3)(b) would apply. As the court noted in
Cronin,
“[t]he public policy on which
Wagenseller
was predicated stemmed not from ACRA but from the ... indecent exposure [statute],” which “prescribes no separate civil remedy, thus placing
Wagenseller
type claims within the permissive scope of the [EPA].”
*190 ¶20 ACRA, in contrast, contains definitions that govern its scope and application and also prescribes express, limited remedies for employees who bring actions for violations of that statute. Those same “definitions and restrictions ... also apply to [this] civil action based on a violation of [ACRA’s] public policy” and, therefore, preclude Taylor’s wrongful termination claim. § 23-1501(3)(b). That conclusion neither undermines Wagenseller nor “renders the residual provision entirely superfluous and without effect,” as Taylor argues.
¶ 21 In her effort to avoid the ACRA definitions of “employee” and “employer,” § 41-1461(1), (2), Taylor also points to that statute’s prefatory caveat, “unless the сontext otherwise requires.” § 41-1461. She contends the context here “requires an expansive definition of employer” because the EPA “applies to all employers” and “makes [them] liable for violations of public policy.” Whatever else the caveat in § 41-1461 might mean, it does not permit Taylor to circumvent ACRA’s specific “definitions and restrictions” when the EPA expressly states they shall “apply to any civil action based on a violation of the public policy arising out of [ACRA].” § 23-1501(3)(b).
¶22 Relying on
Broomfield v. Lundell,
The legislature has now filled the void identified by Broomfield with the exclusive remedies provision of the EPA which states, in the simplest terms, that since ACRA provides its own remedy for wrongful termination, such remedy becomes the exclusive remedy for an ACRA violation. As a consequence, Broomfield is no longer controlling authority because it has been mooted by the legislature, virtually at the invitation of the authoring court.
Id.
at ¶ 22,
¶23 Finally, from a public policy standpoint, Taylor contends the law cannot permit a situation in which “employees who work for an employer with 14 or fewer employees may be openly and boldly terminated on the basis of race, religion, age, gender, etc. without any remedy whatsoever under either ACRA or the EPA.” We do not necessarily disagrеe with the ideal Taylor postulates. Her argument, however, disregards our supreme court’s holdings in
Cronin
that “tort claims alleging wrongful termination in violation of the public policy set forth in ACRA are subject to legislative restriction and may be constitutionally limited to the exclusive remedies set forth in the statute” and that a cause of action for “wrongful termination in violation of public policy expressed in ACRA ... originates exclusively within the statute.”
¶ 24 Similarly, the court in
Cronin
also stated: “[A] tort claim alleging wrongful discharge in violation of the ACRA-based public policy is strictly statutory____The common law gave no protection to employees or others against discrimination based on race, age, or gender and recognized no such right.”
4
Id.
at ¶ 37,
¶ 25 Indeed, we glean a totally opposite legislative intent from the EPA’s wording, context, and historical background. 5 Those factors clearly reveal that the EPA’s primary purpose was to circumscribe, not broaden, wrongful termination claims based on alleged violations of public policy. We note, for example, that when the legislature enacted the EPA in 1996, it also amended ACRA by subjecting small employers with fewer than fifteen employees to sexual harassment claims filed under ACRA. § 41-1461(2); 1996 Ariz. Sess. Laws, ch. 140, § 4. That amendment reflects that, as a matter of public policy, the legislature intended to relax the employer size requirement for some claimants but not others.
¶ 26 In enacting the EPA, the legislature expressly determined and declared the “public policy” in this particular area of the law. § 23-1501.
See
1996 Ariz. Sess. Laws, ch. 140, § 1(A), (C), (E);
Hart v. Seven Resorts, Inc.,
¶ 27 Public policy considerations often come into play in the development and evolution of the common law.
See Cronin,
¶ 28 Although one might question the wisdom of some of the legislative determinations that underlie the EPA, we cannot second-guess or overturn what appear to be clear, deliberate legislative choices. See Michael D. Moberly, Cranking the Wrongful Discharge Ratchet: Judicial Abrogation of Legislative Limitations on the Public Policy Exception, 24 Seton Hall Legis. J. 43, 99, 101, 104-05 (1999). Accordingly, the trial court did not err in entering summary judgment in favor of GCCC on Taylor’s tort claim for wrongful termination.
*192 II. Breach of Contract Claim
¶ 29 Taylor next challenges the trial court’s entry of summary judgment on her claim for breach of contract. We review de novo that ruling and any issues concerning contract interpretation.
Johnson,
Equal Employment Opportunity. It is the policy of [GCCC] to grant equal opportunity to all qualified persons without regard to race, color, age, sex, religion, or national origin. To deny one’s contribution to our efforts for any reason other than his/her capability of performing the job is an injustice not only to the individual, but to [GCCC] and [the] community as well. It is the intent and desire of [GCCC] that equal opportunity be provided in employment, wages, promotion, benefits and all other privileges, terms and conditions of employment.
Trial Period. Employees are hired on a 90 day trial period during which the new staff member may evaluate his/her position and [GCCC] may evaluate the ability and attitude of the new employee. At the end of thе trial period, a written evaluation will be made of the employee’s attitude, ability and capacity to determine whether the employee shall become a regular employee. Dismissal. Employees will be dismissed by the Executive Director, with the approval of the Board, if their work is not proven satisfactory; for repeated absence from work, negligence of assigned duties, any type of substance abuse; or for other special reasons.
Resignation____ [GCCC] recognizes that an employee has the right to terminate his/her employment at will, whenever they choose, for any reason, or no reason. [GCCC] reserves to itself the same right with respect to termination of employment.
The last page of the thirteen-page manual containеd the following employee acknowledgment, beneath which were lines for the date and employee’s signature:
I have received a copy of the employee handbook and have read it carefully. I understand all of its rules and policies and agree to abide by them. I understand and agree that any provision of this handbook may be amended or revised at any time by [GCCC]. I also understand and agree that my employment is terminable at will so that both [GCCC] and I remain free to choose to end our work relationship at any time, and further, that nothing in this handbook in any way creates an express or implied contract of employment between [GCCC] and me.
¶ 30 The record neither includes a signed copy of that acknowledgment page nor does it otherwise reflect whether Taylor ever signed the acknowledgment or even received or read the manual. In an affidavit, however, Taylor stated that she “never [had been] required to sign or acknowledge any disclaimers concerning [her] employment with [GCCC].” And, she expressed various beliefs based on the manual; therefore, she presumably reviewed it at some point in time.
¶ 31 Before the EPA was adopted, Arizona law was clear that all employment relationships, including at-will relationships, were contractual in nature.
Wagenseller,
*193 ¶ 32 Thus, the EPA authorizes a contract claim for termination of employment only if “[t]he employer has terminated the employment relationship of an employee in breach of an employment contract, as set forth in paragraph 2 of [§ 23-1501].” § 23-1501(3)(a). Paragraph (2), in turn, provides in pertinent part:
The employment relationship is severable at the pleasure of either the employee or the employer unless both the employee and the employer have signed a written contract to the contrary setting forth that the employment relationship shall remain in effеct for a specified duration of time or otherwise expressly restricting the right of either party to terminate the employment relationship. Both the employee and the employer must sign this written contract, or this written contract must be set forth in the employment handbook or manual or any similar document distributed to the employee, if that document expresses the intent that it is a contract of employment, or this written contract must be set forth in a writing signed by the party to be charged.
§ 23-1501(2). Therefore, in order to maintain an actionable breach of contract claim under the EPA and to avoid at-will employment •status, an employee must establish one of the exceptions set forth in paragraph (2).
¶ 33 Section 23-1501(2) is not a model of clarity. Its general rule, that “[t]he emрloyment relationship is severable at the pleasure of either the employee or the employer,” that is, at will, is easy enough to understand. But the following exceptions to that general rule do not make for easy reading.
¶ 34 The first exception arises if “both the employee and the employer have signed a written contract to the contrary setting forth that the employment relationship shall remain in effect for a specified duration of time.” § 23-1501(2). No such contract exists in this case, nor does Taylor so allege. The second exception also requires “a written contract,” signed by “both the employee and the employer,” that “otherwise expressly restrict[s] the right of either party to terminate the employment relationship.” Id. In the absence of a signed written contract, Taylor cannot establish that exception.
¶ 35 For some reason § 23-1501(2) then reiterates that “[b]oth the employee and the employer must sign this written contract,” presumably referring to the “signed ... written contract” referred to in the immediately preceding sentence. But to complicate matters, the second sentence continues, “or this written contract must be set forth in the employment handbook or manual or any similar document distributed to the employee, if that document expresses the intent that it is a contract of employment.” Id. (emphasis added). Arguably the phrase “this written contract” again refers to the first sentence of paragraph (2), which requires a written contract signed by both parties. Because the second sentence is wordеd in the disjunctive, however, the legislature apparently did not intend to require a signed written contract when an employment handbook or manual distributed to the employee “expresses the intent that it is a contract of employment.” Id. But even if the signature requirement does not apply to employment handbooks or manuals, any written contract based thereon must either set forth “a specified duration of time” or “expressly restrict[] the right of either party to terminate the employment relationship,” as required by the first sentence of paragraph (2). Id.
¶36 Before the EPA was enacted, our supreme court recognized exceptions to the at-will presumption based not only on public policy grounds but also on theories of “implied-in-fact” contracts аnd the “implied covenant of good faith and fair dealing.”
See Wagenseller,
¶ 37 As we stated in
Johnson:
“The legislature’s stated intent in enacting § 23-1501 was to limit the circumstances in which a terminated employee can sue an
*194
employer to those situations involving either qualifying written contracts or an employer violating the public policy of the state as enunciated in the state constitution and statutes.”
¶ 38 Thus, the issue is whether GCCC’s personnel manual on which Taylor relies “expresses the intent that it is a contract of employment” and “expressly restricts] the right of either party to terminate the employment relationship.” 6 We begin with the presumption that Taylor’s employment with GCCC was terminable at will. See ¶ 31, supra. Even assuming the personnel manual was “distributed” to Taylor, see ¶ 30, supra, it does not satisfy the other statutory prerequisites for avoiding that presumption and maintaining a viable action for breach of contract under the EPA. § 23-1501(2).
¶ 39 To support a different conclusion, Taylor relies primarily on the provisions in the personnel manual labeled “Equal Employment Opportunity,” “Trial Period,” and “Dismissal.” See ¶29, supra. Taylor contends those provisions cumulatively reasonably could have led a non-probationary GCCC employee, and in fact led her, to believe that GCCC could only terminate her with board approval and for one of the specific reasons set forth in the manual’s “Dismissal” section. The argument has several flaws.
¶40 First, and most importantly, Taylor failed to establish that the personnel manual “expresse[d] the intent that it is a contract of employment.” § 23-1501(2). Indeed, clear, unambiguous statements on the first and last pages of the manual establish just the opposite. In view of those statements — the manual “dоes not constitute an expressed or implied employment contract” and “nothing in this handbook in any way creates an express or implied contract of employment” — the manual clearly negates rather than “expresses” any “intent that it is a contract of employment.”
¶41 Second, based on the manual’s clear language, no employee could reasonably believe that the employment relationship was anything but severable at the will of either party. GCCC specifically “reserve[d] to itself’ the right “to terminate [an employee’s] employment at will, whenever [it] [chose], for any reason, or no reason.” The manual’s acknowledgment page similarly confirmed that employment was “terminable at will” and that GCCC “remain[ed] free to choose tо end [a] work relationship at any time.” Thus, rather than “expressly restricting the right of either party to terminate the employment relationship,” § 23-1501(2), the manual clearly confirmed the at-will status of all employees.
¶ 42 Third, aside from Taylor’s failure to satisfy the statutory prerequisites of § 23-1501(2), the personnel manual provisions on which she relies are not reasonably susceptible to her proffered interpretation— that GCCC “regular” employees could only be terminated “for cause” and with prior board approval. The manual did not require prior approval of GCCC’s board in order to terminate an employee; and it is undisputed that the board ultimately approved Taylor’s termination, albeit after the fact. Similarly, the manual’s list of various reasons for which employeеs automatically “will be dismissed” was neither exhaustive nor exclusive. And, although the manual refers to “a 90 day trial period,” after the successful completion of which “the employee shall become a regular employee,” the manual neither defines nor sets forth any rights or obligations of a “regular employee.” Miller testified that the difference between a probationary and “regular” employee pertained to a determination
*195
of the latter’s appropriate wage and eligibility for benefits. In any event, a provision that differentiates “probationary” from “regular” employees is not, in and of itself, sufficient to rebut the presumption of at-will employment.
See Beales v. Hillhaven, Inc.,
1143 Regardless of her at-will status, Taylor further contends she has an actionable common law claim for breach of contract independent of the EPA.
7
We disagree.
See Johnson,
If 44 This court stated in
Johnson:
“In determining whether an employment agreement satisfies the requirements of § 23-1501, we apply common law principles of contract interpretation and attempt to determine and give effect to the parties’ intent.”
Id.
at ¶ 5,
¶45 Taylor’s subjective beliefs that her “regular employee status meant that [she] could not be terminated by [GCCC] except for the reasons stated in the personnel manual” and “could only be terminated in accordance with the procedures set forth” in that manual, do not alter thаt conclusion.
See Beales,
¶ 46 Finally, Taylor’s reliance on
Demasse v. ITT Corp.,
DISPOSITION
¶ 47 The trial court’s summary judgment in favor of GCCC is affirmed. In our discretion, we deny GCCC’s request for attorneys’ fees on appeal.
Notes
. See Thomas D. Arn, The Arizona Legislature Enacts Legislation Protecting Employment At-Will, 33 Ariz. Att’y 40, 43 (Aug./Sept.1996) (The EPA "rectifies the practice whereby claimants have relied on the ACRA as the basis of their wrongful termination in violation of public policy claim but did so free of the limitations otherwise imposed by the Legislature. The [EPA] thus prevents employees from bootstrapping themselves into a cause of action notwithstanding the contrary intentions of the Legislature.”).
. See Michael D. Moberly, Cranking the Wrongful Discharge Ratchet: Judicial Abrogation of legislative Limitations on the Public Policy Exception, 24 Seton Hall Legis. J. 43, 97 (1999) (The EPA "limited wrongful discharge claims to situations in which аn employment termination was retaliatory or in violation of a public policy expressed in a state statute that contains no remedy of its own.”).
. Under subparagraph (3)(c)(i), an employee has a claim against an employer for termination of employment if the employer has terminated the employment relationship in retaliation for the employee’s "refusal ... to commit an act or omission” that would violate Arizona’s Constitution or statutes.
.
But see Gesina v. General Elec. Co.,
. See Jenny Clevenger, Comment, Arizona's Employment Protection Act: Drawing a Line in the Sand Between the Court and the Legislature, 29 Ariz. St. L.J. 605, 615 (1997) (The EPA provides no remedy to alleged victims of discrimination employed by small business); Marzetta Jones, Note, The 1996 Arizona Employment Protection Act: A Return to the Employment-At-Will Doctrine, 39 Ariz. L.Rev. 1139, 1141, 1154, 1157, 1159 (1997) (to same effect); Jacqueline M. Dunckley, The Constitutionality of the Employment Protection Act, 34 Ariz. Att’y 28, 29-30, 34 (Mar. 1998) (The EPA bars suit by employees of small employers based on alleged violation of ACRA public policy); David F. Gomez, The Employment Protection Act After Cronin v. Sheldon, 36 Ariz. Att'y 28, 30 (Mar.2000) ("Under the EPA, employees of small businesses can neither invoke ACRA[']s or federal statutory protection (with the sole exception of ACRA’s protection against sexual harassment), nor bring a common law Broomfield tort claim.”); David F. Gomez, The 1996 Employment Protection Act аnd the Abolition of Common Law Wrongful Termination in Arizona, 33 Ariz. Att’y 36, 36, 39 n. 6 (Aug./Sept. 1996) (noting that employees of small business who had "long relied on the common law as their only protection against or remedy for wrongful termination” were “hardest hit” by the EPA).
. The record does not reflect any “written contract ... in a writing signed by [GCCC,] the party to be charged,” nor does Taylor contend any such contract existed. § 23-1501(2).
. In support of that proposition, Taylor refers to the legislature’s 1996 amendment to A.R.S. § 12-541(3), which imposed a one-year statute of limitations on actions ”[f]or breach of an oral or written employment contract," suggesting oral contracts are enforceable despite § 23-1501(2). 1996 Ariz. Sess. Laws, ch. 140, § 2. But Taylor neither alleged nor established that she had an enforceable oral contract with GCCC; and this сase presents no statute of limitations issue. In any event, the amendment to § 12-541(3) does not breathe life into a claim for breach of an alleged written employment contract that fails to satisfy the EPA requirements in § 23-1501(2).
. Commentators also have rejected Taylor’s assertion.
See
Clevenger,
supra,
at 612 (Under the EPA, "[a] contract of employment must be in writing and signed by both parties,” and ”[t]he provisions of an employment handbook or manual are contractual only if expressly stated therein.”); Jones,
supra,
at 1150-51 (to same effect); Arn,
supra,
at 42 (The EPA "eliminates the onerous totality of the circumstances factual inquiry imposed by the implied-in-fact exception in favor of a clear writing requirement.”); Dunckley,
supra,
at 33 ("[A] common law claim for breach of an implied employment contract is no longer available____With respect to the current status of the implied-in-fact alteration to the emрloyment contract in light of the Act, this cause of action no longer exists.”); Gomez,
The Employment Protection Act After Cronin v. Sheldon, supra,
at 28 (The EPA “abolished all implied contract claims based on employer representations, custom, practice, or a course of conduct.”); Gomez,
The 1996 Employment Protection Act, supra,
at 39 (The EPA "abolished common law claims for breach of implied contract in the employment setting recognized in
Wagenseller, Leikvold ...,
and
Loffa v. Intel Corp.,”
. We also note that even under pre-EPA common law, GCCC’s manual "clearly and conspicuously [told its] employees that the manual is not part of the employment contract and that their jobs are terminable at the will of the employer with or without reason.”
Leikvold,
