THE HANSEN FOUNDATION, INC. et al., Plaintiffs, v. CITY OF ATLANTIC CITY, Defendant.
No. 1:19-cv-18608 (NLH/AMD)
UNITED STATES DISTRICT COURT DISTRICT OF NEW JERSEY
Filed 12/03/20
APPEARANCES:
KEITH ALAN DAVIS
NEHMAD PERILLO DAVIS &
4030 OCEAN HEIGHTS AVENUE
EGG HARBOR TOWNSHIP, NJ 08234
MATTHEW D. SYKES
STORZER & ASSOCIATES, P.C.
1025 CONNECTICUT AVE. NW
SUITE 1000
WASHINGTON, DC 20036
Attorneys for Plaintiffs.
JOHN J. MURPHY, III
STRADLEY, RONON, STEVENS & YOUNG, LLP
LIBERTYVIEW
457 HADDONFIELD ROAD, SUITE 100
CHERRY HILL, NJ 08002-2223
MARK DAVID VILLANUEVA
ROBERT J. NORCIA
STRADLEY RONON STEVENS & YOUNG, LLP
2005 MARKET STREET
SUITE 2600
PHILADELPHIA, PA 19103
Attorneys for Defendant.
OPINION
HILLMAN, District Judge
The matter involves a dispute between a home-living facility for individuals dealing with drug and alcohol addiction and the City of Atlantic City over the City‘s enforcement of various zoning provisions of its City Code. Plaintiffs challenge two separate provisions of the City Code, and allege a series of violations of federal, state, and constitutional law regarding these provisions and the actions taken by the City in the course of this dispute. Currently pending before the Court are both parties’ cross-motions for summary judgment. For the reasons expressed below, both motions will be granted in part and denied in part.
Background
The Court takes its facts from the parties’ statements of material fact submitted pursuant to Local Civil Rule 56.1(a). Plaintiff Hansen House, LLC (“Hansen House“) is a New Jersey limited liability corporation and subsidiary of Plaintiff Hansen Foundation, Inc., a nonprofit organization whose mission is to provide affordable, long-term, safe recovery residences, access to treatment, community programs, and the tools needed to lead healthy productive lives for people both new to and in long-term recovery. Plaintiff Rienna Rebetje is a disabled individual in recovery from substance abuse, and a resident at the home at the center of this dispute.
In March 2019, Hansen House purchased a single-family home located at 16 South Tallahassee Avenue, Atlantic City, New Jersey. Hansen House sought to make the property, which it named “Serenity House,” available to women in recovery from alcoholism and substance abuse. Serenity House is located within Atlantic City‘s R-2 Zoning District.
On March 7, 2019, the City notified Hansen House that it was in violation of
In June 2019, Hansen House received a notice of a violation from the City‘s Department of Licensing & Inspections following an inspection of the house, because it had begun to install an H.V.A.C. system without first obtaining a construction permit as required by
laid out arguments similar to those Plaintiffs would later make in this lawsuit. Specifically, the
It was not until July 15, 2019, almost two months after Hansen House moved residents into Serenity House without obtaining a certificate of occupancy and a few days after Plaintiffs sent the letter described above, that the City filed a municipal complaint against Serenity House for “failure to obtain an ‘occupancy permit’ before new occupancy occurred,” in violation of
That same day, Plaintiffs received an order to vacate the Serenity House. The order was sent by Dale Finch, Director of the City‘s Department of Licensing and Inspections, and stated
that it was based on both “a pattern of disregard for code requirements,” and the “absolute prohibition against a community residence at this specific location” under
The next day, July 19, 2019, Serenity House‘s CLUC application was denied by City Zoning Officer Barbara Woolley-Dixon. The parties met to discuss the situation on August 16, at which meeting representatives for Hansen House were provided with the denied CLUC application. (ECF No. 1-1, Compl. Ex. I). The application listed multiple procedural requirements for the CLUC form that had not been fulfilled, and also included a note stating that Serenity House was in violation of § 152-1‘s distance requirement; the parties dispute whether the procedural violations, or § 152-1, were the actual reason for the denial. At this meeting, the possibility of Serenity House being classified as a “group family household” was also discussed; while the parties’ briefs further dispute which side made the suggestion, Plaintiffs’ initial Statement of Undisputed Material
Facts acknowledges that “Ms. Hansen [] proposed to file another CLUC as a ‘group family household’ under
Two weeks later, on July 30, Hansen House filed an appeal and a request for an interpretation of the City‘s zoning provisions with the City‘s Zoning Board of Adjustment. The filing appealed what they characterized as the City‘s denial of their CLUC because of a determination that Serenity House was a community residence governed by the distance requirement of § 152-1, argued that Serenity House was in fact a group family household under § 163-66, and alternatively requested an interpretation by the Zoning Board as to exactly what form of housing Serenity House constituted. (ECF No. 1-1, Compl. Ex. L).
House was and should be characterized as a single family home permitted in the R-2 district.
A few weeks later, on September 24, the Zoning Board sent Plaintiffs a letter regarding the deficiencies in their appeal and request for an interpretation. (ECF No 1-1, Compl. Ex. N). The letter made clear that the Zoning Board was unable to review their application based purely on procedural grounds: Plaintiffs had failed to pay the filing fee and attach multiple documents providing information related to the ownership of the house as required under New Jersey law and the City Code. It further explicitly stated that “the City lacks sufficient information to characterize the use of the property and takes no position on same.”
Two days later, on September 26, 2019, Plaintiffs filed their complaint in the Superior Court of the State of New Jersey, Atlantic County. (ECF No. 1-1). The complaint asserts both facial challenges to Sections 152-1 and 163-66B, as well as a number of as-applied challenges and claims based on Defendant‘s actions throughout this process. Specifically, the complaint brings claims under the following federal statutes: The Fair Housing Act (“FHA“),
(Count VI); the Fourteenth Amendment of the United States Constitution (Count VII); the New Jersey Law Against Discrimination (“NJLAD“),
On October 2, 2019, Defendant removed the case to this Court. (ECF No. 1). On March 3, 2020, Plaintiffs filed a motion for summary judgment on each of their claims. (ECF No. 25). Defendants responded by filing their own cross-motion for summary judgment. (ECF No. 26). Finally, on June 29, 2020, Plaintiffs filed a reply brief in further support of their motion. (ECF No. 30).
Discussion
I. Subject Matter Jurisdiction
The Court has original federal question jurisdiction over Plaintiff‘s federal claims under
II. Legal Standard for Motions for Summary Judgment
Summary judgment is appropriate where the Court is satisfied that the materials in the record, including depositions, documents, electronically stored information, affidavits or declarations, stipulations, admissions, or interrogatory answers, demonstrate that there is no genuine
issue as to any material fact and that the moving party is entitled to a judgment as a matter of law. Celotex Corp. v. Catrett, 477 U.S. 317, 330 (1986);
An issue is “genuine” if it is supported by evidence such that a reasonable jury
Summary judgment is appropriate where the Court is satisfied that the materials in the record, including depositions, documents, electronically stored information, affidavits or declarations, stipulations, admissions, or interrogatory answers, demonstrate that there is no genuine issue as to any material fact and that the moving party is entitled to a judgment as a matter of law. Celotex Corp. v. Catrett, 477 U.S. 317, 330 (1986);
issue of material fact, then judgment may be entered in favor of the party deserving of judgment in light of the law and undisputed facts. See Iberia Foods Corp. v. Romeo Jr., 150 F.3d 298, 302 (3d Cir. 1998) (citation omitted).
III. Analysis
Plaintiffs’ Complaint attacks City Code Sections 152-1 and 163-66B, as well as the City‘s enforcement of those provisions and denial of Plaintiffs’ CLUC application, through claims under both federal and state law. Plaintiffs’ claims can be broken down into two broad categories: facial attacks on the two provisions of the City Code, and as-applied claims based on Defendant‘s allegedly discriminatory denial of Plaintiffs’ CLUC application and other actions. As the parties’ arguments regarding the separate claims largely divide along the lines of these two categories, the Court will address the claims in that manner.
A. Plaintiffs’ Facial Challenges to City Code Sections 152-1 and 163-66B
Plaintiffs allege a series of facial challenges to City Code Sections 152-1 and 163-66B based under the FHA, ADA, and RHA. The FHA, which was enacted to bar housing discrimination on a number of fronts, was amended in 1988 by the Fair Housing Amendments Act (“FHAA“) to extend its protections to “individuals with handicaps.” Specifically, The FHAA makes it
unlawful “to discriminate in the sale or rental, or to otherwise make unavailable or deny, a dwelling to any buyer or renter because of a handicap.”
“Since the requirements of the FHAA, ADA and Rehabilitation Act are essentially the same, courts have concluded that the FHAA analysis can be applied
of protected individuals, i.e. handicapped individuals.” Id. (quoting 901 Ernston Rd., LLC v. Borough of Sayreville Zoning Bd. of Adjustment, No. 18-2442, 2018 WL 2176175, at *5 (D.N.J. May 11, 2018)). Courts in this Circuit have held that drug and alcohol addiction qualify as a handicap under these statutes, and Defendant does not appear to dispute that this predicate element has been satisfied. 901 Ernston Rd., LLC, 2018 WL 2176175 at *5.
With that established, the Court turns to Plaintiffs’ actual claims. A plaintiff can prove a violation of the FHA, ADA, or RHA in one of three ways: “(1) a showing of disparate treatment, or intentional discrimination; (2) a showing of disparate impact; or (3) a showing of a refusal to make reasonable accommodations.” Yates Real Estate, 404 F. Supp. 3d at 915 (citing 901 Ernston Rd., LLC, 2018 WL 2176175 at *5-6). Plaintiff here has alleged all three forms. Their disparate treatment and disparate impact claims are properly categorized as facial challenges, whereas their failure to provide a reasonable accommodation claims are as-applied challenges based on Defendant‘s actions during this dispute. The Court will turn first to Plaintiffs’ facial challenges.
1. Plaintiffs’ Disparate Treatment Claim
Plaintiffs first allege that City Code § 152-1 is an example of disparate treatment, in that it facially
discriminates against individuals with disabilities in violation of the FHA, ADA, and RHA. Defendant raises only one argument in opposition to Plaintiffs’ motion for summary judgment and in support of its own cross-motion; as this argument is otherwise unrelated to Plaintiffs’ arguments, the Court will start there.
Specifically, Defendant argues that summary judgment must be granted on Plaintiffs’ claims regarding § 152-1 because the claims are moot, as the city has “promise[d] not to enforce Section 152-1‘s distance requirement against Hansen House or any other similarly situated individual or entity.” (ECF No. 26-1 at 23). Defendant states it initially advised Hansen House of this promise during a status conference before the Magistrate Judge assigned to this matter, and it supports it here with a declaration again stating that the provision will not be enforced. Based on this promise, Defendant declares that “[t]here cannot be a finding of past, present, or future harm because the City‘s decision not to enforce this ordinance removes any possibility of harm to Hansen House or any other similarly situated individual or entity in the City.” Id.
In support of this argument, Defendant relies entirely on Tait v. City of Philadelphia, 410 F. App‘x. 506, 509 (3d Cir. 2011), for the proposition that “[w]hen a government body promises not to enforce a restriction against a plaintiff, or at all, there is no longer ‘a substantial threat of real harm’
because ‘intervening events [have] remove[d] the possibility of harm.” This, however, is not the standard for assessing mootness in cases like this — the quoted passage from Tait is a discussion of the standard for assessing ripeness, a similar yet separate doctrine the Court will address later in this Opinion.
Here, the central question is whether Defendant‘s promise not to enforce
The Court finds that Defendant has not met this heavy burden. Nor has it truly tried to; the only basis the City has given for why the Court should find Plaintiffs’ claims moot is that they have promised not to enforce the provision in question. That “promise,” however, was made after litigation had already commenced, and Defendant makes no claim that it is in any way binding on the City. Further, unlike cases in which courts have found that a voluntary cessation did render a claim moot, “there have been no subsequent events that make it absolutely clear that [Atlantic City] will not [resume enforcement of] the allegedly wrongful [provision] in the absence of the injunction.” DeJohn v. Temple University, 537 F.3d 301, 309 (3d Cir. 2008) (citing Los Angeles County v. Davis, 440 U.S. 625, 631 (1979)). As Plaintiffs argue, there is simply no assurance here that Atlantic City will not attempt to enforce the provision again at a later date, either against Plaintiffs or another, similar party, and Defendant has pointed to nothing that would affirmatively stop them from doing so.
Defendant‘s “promise,” on its own, is simply not enough to provide the Court with the “absolute” clarity it requires to find Plaintiffs’ claim moot. Instead, “[t]he timing of Defendant[‘s]” promise not to enforce § 152-1, after litigation had already begun, “as well as the ease by which Defendant[] could conceivably re-institute the ban, convince the Court that
the alleged injury could reasonably recur absent the requested relief.” Cottrell v. Good Wheels, No. 08-1738 (RBK/KMW), 2009 WL 3208299, at *5 (D.N.J. Sept. 28, 2009). Accordingly, the Court finds that Plaintiffs’ claims as to § 152-1 are not moot, and will proceed to analyze Plaintiffs’ arguments for summary judgment.
“Generally, to prevail on a disparate treatment claim, a plaintiff must demonstrate that some discriminatory purpose was a ‘motivating factor’ behind the challenged action.” 431 East Palisade Avenue Real Estate, LLC v. City of Englewood, 977 F.3d 277, 284 (3d Cir. 2020) (quoting Cmty. Servs., Inc. v. Wind Gap Mun. Auth., 421 F.3d 170, 177 (3d Cir. 2005)). However, “where a plaintiff demonstrates that the challenged action involves disparate treatment through explicit facial discrimination, or a facially discriminatory classification, a plaintiff need not prove the malice or discriminatory animus of a defendant,” because “the focus is on the explicit terms of the discrimination.” Id. at 284 (quoting Wind Gap, 421 F.3d at 177).
The Court easily finds that § 152-1 is explicitly discriminatory. The specific provision in question here, 152-1(f), provides
the nearest property line of the existing community residence along legal pedestrian rights-of-way.” The distance requirement itself does not explicitly reference housing for individuals with disabilities. However, § 152-1 is the only provision of Article I of Chapter 152 of the City Code, which is titled “Housing for Persons with Disabilities,” with § 152-1 titled “Location restricted.” And, perhaps most importantly, the prefatory language for § 152-1 explicitly states that “The location of housing for persons with disabilities shall be regulated as follows,” ensuring there is no confusion regarding which population of people § 152-1 is intended to restrict. This is a clear example of explicit discrimination.
Having established that § 152-1 discriminates against individuals with disabilities on its face, the burden would then normally shift to Defendant to provide justification for this disparate treatment. Mt. Holly Gardens Citizens in Action, Inc. v. Township of Mount Holly, 658 F.3d 375, 382 (3d Cir. 2011) (if a plaintiff establishes his prima facie case, “then we look to see whether the defendant has a legitimate, non-discriminatory reason for its actions.“). The standard in this circuit for such justifications is, generally, that the “justification must serve, in theory and practice, a legitimate, bona fide interest of the [] defendant, and the defendant must show that no alternative course of action could be adopted that would enable
that interest to be served with less discriminatory impact.” Resident Advisory Bd. v. Rizzo, 564 F.2d 126, 149 (3d Cir. 1977). As the Rizzo Court made clear, “[i]f the defendant produces no evidence to justify the disparate treatment, a violation is proved.” Id.
In the case at hand, the drafters of the City Code again chose to be explicit about their purpose: § 152-1(a) explains that housing for individuals with disabilities “shall be located a sufficient distance from any existing community residences so that the proposed community residence does not lessen nor interfere with the normalization and community integration of the residents of existing community residences or combine with any existing community residences to contribute to the creation or intensification of a de facto social service district.” However, Defendant has chosen not to raise any such arguments or justifications in its brief; as previously mentioned, the only argument raised by the City regarding § 152-1 is the mootness argument dispensed of above.
Accordingly, even were the Court to accept the explanation in § 152-1(a) as its own form of counterargument, Defendant has entered no evidence into the record to support this justification. And even if they had, as Plaintiffs note, prior courts in this district have previously rejected similar justifications. See, e.g., Arc of New Jersey, Inc. v. State of N.J., 950 F. Supp. 637, 645 (D.N.J. 1996);
The Court will therefore grant Plaintiffs’ motion for summary judgment on its disparate treatment claim, and deny Defendant‘s cross-motion. As remedy, Plaintiffs seek an order permanently enjoining Defendant from enforcing the distance requirement of City Code § 152-1. Section 3613 of the FHAA states that “if the court finds that a discriminatory housing practice has occurred . . . the court may . . . grant as relief, as the court deems appropriate, any permanent or temporary injunction.”
2. Plaintiffs’ Disparate Impact Claims
Plaintiffs next argue that Sections 152-1 and 163-66B of the City Code violate the FHA, ADA, and RHA based on their disparate impact on individuals with disabilities. As the Court has already granted Plaintiffs summary judgment as to their disparate treatment claim regarding § 152-1, it need not further address that provision. Accordingly, the Court will turn to the parties’ arguments as to § 163-66B.
For a claim of “disparate impact under the FHAA, the plaintiff must show that the [City‘s] action had a greater adverse impact on the protected group . . . than on others.” 901 Ernston Rd., LLC, 2018 WL 2176175 at *7 (quoting Lapid-Laurel LLC v. Zoning Bd. of Adjustment of Twp. of Scotch Plains, 284 F.3d 442, 466-67 (3d Cir. 2002)). “[N]o single test controls in measuring disparate impact,” but the Residents must offer proof of disproportionate impact, measured in a plausible way.” Mt. Holly Gardens Citizens in Action, Inc., 658 F.3d at 382 (quoting Hallmark Developers, Inc. v. Fulton Cnty., 466 F.3d 1276, 1286 (11th Cir. 2006)). “Typically, ‘a disparate impact is demonstrated by statistics,’ and a prima facie case may be established where ‘gross statistical disparities can be shown.‘” Id. (quoting Hazelwood Sch. Dist. v. United States, 433 U.S. 299, 307-08 (1977)).
The provision in question here, § 163-66B, provides that “group family households may occupy dwelling units within the City located in districts other than the R-1 and R-2 Residential Districts.” Another provision, § 163-66(c)(1), defines a “group family household” as “a group of four or more persons, not constituting a family as defined in § 163-15 of this chapter, living together in a dwelling unit as a single housekeeping unit, under a common housekeeping management based on an intentionally structured relationship of mutual responsibility
and providing an organization and stability essentially equivalent to that found in families based on relationships of marriage and blood.” Accordingly, Plaintiffs argue that this restriction on group family households disparately impacts individuals recovering from an addiction to drugs or alcohol, as they are more likely to require a living arrangement that falls within that definition and cannot establish one within the R-1 or R-2 zoning districts.
In support of their claim, Plaintiffs first point the Court to statistics demonstrating that the R-1 and R-2 districts “happen to be two of the City‘s most affluent neighborhoods.” (ECF No. 25-1 at 19). Second, Plaintiffs refer the Court to the case of Oxford House, Inc. v. Township of Cherry Hill, 799 F. Supp. 450 (D.N.J. 1992). There, the court held that:
“[P]laintiffs have established a prima facie case of disparate impact by showing that the Township‘s interpretation of the definition of “family” in its zoning ordinance imposes more stringent requirements on groups of unrelated individuals wishing to live together in a rental property than on individuals related by blood or marriage. Because people who are handicapped by alcoholism or drug abuse are more likely to need a living arrangement such as the one Oxford House provides, in which groups of unrelated individuals reside together in residential neighborhoods for mutual support during the recovery
process, Cherry Hill‘s application of this ordinance has a disparate impact on such handicapped people.”
Defendant, in opposing Plaintiffs’ motion for summary judgment and in support of its own cross-motion, argues that Plaintiffs have failed to put forth sufficient relevant evidence to demonstrate that
Defendant first notes, accurately, that the only statistics cited by Plaintiffs in their moving brief‘s disparate impact argument relate to the relative levels of poverty in Atlantic City‘s different zoning districts. (See ECF No. 25-9, Pl. Ex. F; ECF No. 25-10, Pl. Ex. G) (comparing statistics on poverty rates in Atlantic City to map of zoning districts). However, Plaintiffs fail to make any direct argument as to how this demonstrates disparate impact; while the implication here appears to be that the City intended to keep facilities like Serenity House out of the wealthier districts, such an argument would go to the assessment of Defendant‘s justifications for any disparate impact the provision has, rather than serving as demonstration of a prima facie case of discrimination. Without any further evidence on this point or any direct explanation regarding how these statistics relate to the impact of the provision on individuals suffering from addiction, the Court finds that these statistics do not demonstrate a prima facie case of discrimination.
Nor is the Court convinced that Plaintiffs’ almost complete reliance on Oxford House is justified. The central finding of that case is that “people who are handicapped by alcoholism or drug abuse are more likely to need a living arrangement such as the one [Serenity] House provides” - a proposition that the court in Oxford House simply stated with no citations and no reference to any supporting evidence in the record before it. See Id. at 461. Plaintiffs’ moving brief simply quotes this statement for their central argument, providing no evidence to demonstrate that it is true. However, as the Supreme Court has repeatedly made clear, “it is not enough to simply allege that there is a disparate impact ... or point to a generalized policy that leads to such an impact.” Smith v. City of Jackson, 544 U.S. 228, 241 (2005). Instead, “[a] plaintiff must show causation by statistical evidence sufficient to prove that the practice or policy resulted in discrimination. A plaintiff who ‘fails to . . . produce statistical evidence demonstrating a causal connection cannot make out a prima facie case of disparate impact.‘” Bida v. Shuster Mgmt. LLC, No. 18-10975-KM-JBC, 2019 WL 1198960, at *4 (D.N.J. Mar. 14, 2019) (quoting Tex. Dep‘t of Hous. & Cmty. Affairs v. Inclusive Cmties. Project, Inc., 576 U.S. 519, 544 (2015)).
In response to Defendant‘s argument that they had not provided any statistical evidence of disparate impact, Plaintiffs assert in their reply brief that “it is not a secret that there is an opioid epidemic within the State of New Jersey. Houses such as Serenity House are especially necessary not only within the State of New Jersey but more specifically within Atlantic County and Atlantic City.” (ECF No. 30 at 21). They cite to two pieces of evidence: statistics showing the number of deaths from drug overdoses in the United States and in New Jersey in particular, and a letter from the Atlantic County Sheriff supporting Hansen House‘s work and describing “[a]ddiction and Mental health [as] among the most significant issues affecting every community in Atlantic County.” (ECF No. 25-4, Pl. Ex A).
B. Plaintiffs’ As-Applied Discrimination Claims
Beyond their facial challenges to Sections 152-1 and 163-66B, Plaintiffs also allege a number of claims regarding Defendant‘s application of the provisions to Serenity House. As mentioned above, Plaintiffs allege that Defendant violated the FHA, ADA, and RHA by failing to provide them with a reasonable accommodation. Plaintiffs also raise reasonable accommodation arguments under the
1. Plaintiffs’ FHA, ADA, and RHA Reasonable Accommodation Claims
The Court will first address Plaintiffs’ claims that Defendant violated the FHA, ADA, and RHA by failing to provide them a reasonable accommodation. Plaintiffs claim they sought such an accommodation in the form of permission for “Serenity House‘s disabled occupants - in the event Serenity House was classified as a ‘group family household’ - [to] reside in the City‘s R-2 Zone despite”
Defendants oppose Plaintiffs’ motion and move for summary judgment themselves on the basis of Plaintiffs’ failure to seek a zoning variance from the City‘s Zoning Board of Adjustment under City regulations. According to Defendant, this failure is fatal to Plaintiffs’ claims at this stage, and therefore summary judgment must be granted on them.1 The Court first notes that it is uncontested that Plaintiffs did not file a formal application for a zoning variance from the Zoning Board. (See ECF No. 26-2 at ¶ 72; ECF No. 30-3 at ¶ 72). Plaintiffs instead argue that they
While the Third Circuit has not directly ruled on this question, it did provide a helpful discussion of the
considerations involved in Lapid-Laurel LLC v. Zoning Bd. of Adjustment of Twp. of Scotch Plains, 284 F.3d 442 (3d Cir. 2002). There, the Third Circuit had held that “courts reviewing reasonable accommodations challenges to local land use decisions brought under the FHAA should ordinarily limit their review to the administrative record,” which the Court noted “assumes that plaintiffs who bring reasonable accommodations claims against localities must usually first seek redress through variance applications to the local land use authority.” Id. at 451 n.5. In squaring this holding with prior district court cases that had held “that in some circumstances a plaintiff need not first apply for a variance in order to bring an FHAA reasonable accommodations claim,” the Court approvingly described the approach of the Seventh and Eight Circuits to this question. Id. As Lapid-Laurel explained, the Seventh Circuit had held that “in general a city must be afforded the opportunity to make the requested accommodation,” but the plaintiff‘s claim would still be considered ripe for adjudication even if it hadn‘t sought a variance “if the variance application process was demonstrably futile.” Id. (citing United States v. Village of Palatine, 37 F.3d 1230, 1233-34 (7th Cir. 1994) and Oxford House-A v. City of Univ. City, 87 F.3d 1022, 1024-25 (8th Cir. 1996)).
This explanation fits with the one on-point case Plaintiffs have cited in their argument against administrative exhaustion or ripeness concerns, Assisted Living Assocs. of Moorestown, L.L.C. v. Moorestown Twp., 996 F. Supp. 409 (D.N.J. 1998), which the Third Circuit explicitly mentioned in its explanation.2 In Moorestown, the court found that the act of seeking a zoning variance would have been futile because “there [was] no question as to what the result of an application for a variance” would be, given that the Defendant‘s own witness “testified that it is ‘extremely unlikely’ that a variance would be granted and that he would not recommend such a variance,” and apparently conceded that “such a request would be futile.” Id. at 426.
Plaintiffs point to no comparable evidence of futility here. Plaintiffs’ argument consists of a lengthy description of their applications and interactions with City officials during their attempt to get approval for the Serenity House. While the Court agrees that the City officials’ instructions and actions did not provide a model of clarity throughout the prelitigation
time period of this dispute, it finds that Plaintiffs have failed to demonstrate any actions or statements that would rise to the level of showing that a zoning variance application would be demonstrably futile. Accordingly, the Court will deny Plaintiffs’ motion for summary judgment as to their federal reasonable accommodation claims, and grant Defendant‘s cross-motion as to those same claims.
2. Plaintiffs’ Remaining Claims
As described above, Plaintiffs have also brought a series of other claims. While
Unlike the Court‘s analysis of Plaintiffs’ reasonable accommodation claims under federal statutory law above, the fact that Plaintiffs have not applied for a zoning variance is immaterial here; the doctrine approvingly described by the Third Circuit in Lapid-Laurel is limited to the context of those claims. Congregation Kollel, Inc., 2017 WL 637689 at *11.
Instead, Defendant argues that the remainder of Plaintiffs’ claim are not ripe because “there has not been a ‘final’ determination regarding Serenity House‘s operation in the R-2 zone,” since the City dismissed Plaintiffs’ prior applications for a CLUC and their subsequent appeal due to the incomplete nature of their applications, and therefore has never issued a final decision on the merits. (ECF No. 26-1 at 36).
As an initial matter, the Court first finds sua sponte that regardless of whether Plaintiffs’
matter jurisdiction. Mount Holly Citizens in Action, Inc. v. Twp. of Mount Holly, No. 08-2584 (NLH), 2009 WL 3584894, at *7-8 (D.N.J. Oct. 23, 2009). See also Al Falah Center v. Township of Bridgewater, No. 11-2397 (MAS) (LHG), 2013 WL 12322637, at *18 (D.N.J. Sept. 30, 2013); In re Lapid Ventures, LLC, 2011 WL 2429314 at *6; Kessler Inst. for Rehab., Inc. v. Mayor & Council of Borough of Essex Fells, 876 F. Supp. 641, 664-65 (D.N.J. 1995). Accordingly, Plaintiffs’
As to Plaintiffs’ remaining claims, the Third Circuit has “consistently held that ‘in
does not have a ripe, constitutional claim until the zoning authorities have had an opportunity to arrive at a final, definitive position regarding how [they] will apply the regulations at issue to the particular land in question.“) (quoting Sameric Corp. of Del., Inc. v. City of Phila., 142 F.3d 582, 597 (3d Cir. 1998)). Finally, the
The Court finds that Defendant is correct, and the City has not in fact issued a final, definitive decision that would render Plaintiffs’ remaining claims ripe. The undisputed facts in the record demonstrate that after Hansen House purchased the Serenity House in March 2019, they were informed by the City that they were in violation of an ordinance requiring a certificate of occupancy prior to the establishment of a new occupation. Despite having received this notice two months earlier, Hansen House proceeded to relocate residents from a separate home to the Serenity House in late May 2019 without having ever applied for an occupancy permit. It was not until almost two months after that, in July, that Hansen House first
asserted to the City their argument that they were a single family home, or first submitted an application for a CLUC.3
According to the City, Serenity House‘s CLUC application was denied based on their failure to include multiple forms of information required by
However, the Court finds that it is immaterial to the question before it which party is correct. The central question regarding the ripeness of Plaintiffs’ claims is whether a final, definitive determination was ever made by the City. Adopting Defendant‘s view, the City has in fact never issued any opinion on the merits of the CLUC application, and the only claim regarding Serenity House‘s potential status as a “community residence” governed by the distance requirement of
After the CLUC application was denied, and the parties met to discuss the denial on August 16, Hansen House filed an appeal and request for interpretation with the Zoning Board on August 30, which they later supplemented with revised arguments a few days later. However, this appeal and request for interpretation, and its arguments that Serenity House should be allowed to operate as a single family home permitted in the R-2
District, was never reviewed on the merits by the Zoning Board. As Defendants note, and Plaintiffs do not appear to dispute, the Zoning Board‘s September 24 letter informed Hansen House, according to the letter for the second time, that their appeal was procedurally deficient due to Hansen House‘s failure to pay the filing fee, or attach multiple documents related to the ownership of the house as required under New Jersey law and the City Code. The letter further explicitly stated that “the City lacks sufficient information to characterize the use of the property and takes no position on same.” (ECF No. 1-1, Compl. Ex. N).
Based on these facts, it is clear to the Court that Atlantic City‘s zoning authorities have not had the “opportunity to arrive at a final, definitive position regarding how [they] will apply the regulations at issue to the particular land in question” necessary for Plaintiffs’ claims to have become ripe. New Jersey Chinese Community Center, 712 F. App‘x. at 199 (quoting Sameric, 142 F.3d at 597). As the Third Circuit has repeatedly made clear, it is not the place of federal courts to involve themselves in local zoning issues prior to local zoning authorities having issued a final determination.
It is worth nothing that Plaintiffs do not appear to dispute the fact that the Zoning Board has never issued a final decision regarding the proper application of the City‘s zoning
regulations to the Serenity House - in their reply brief, Plaintiffs focus their entire rebuttal on the argument that they are not required to have waited until a final decision was issued, as any further involvement with the City and the Zoning Board‘s process would have been futile. However, as the Court explained above, Plaintiff has failed to provide sufficient evidence to demonstrate that the City‘s proscribed process for handling zoning disputes is so demonstrably futile as to render their claims ripe for adjudication by this Court.4
regarding Serenity House‘s proper classification at different points in both the underlying dispute, and in the present litigation. Defendant argues that Plaintiffs’ position and claims have shifted multiple times in an attempt to gain an advantage. Plaintiffs argue that they have maintained consistently that they are a single family home, have only tried to gain approval as other forms of housing in an attempt to reach an amicable compromise and resolution of the dispute, and that Defendant is the party being inconsistent about the definitions of different forms of housing under the City Code. Given the Court‘s findings regarding the ripeness of many of Plaintiffs’ claims, the Court finds that this disagreement is also immaterial to the case before it. With no final, definitive position having ever been taken by the City or its Zoning Board, bodies with considerably more experience and expertise in the application of their own zoning ordinances, the Court will not attempt to discern exactly what form of housing Serenity House should be considered; nor does it view the parties’ disagreement as to which positions they have taken at different points in this dispute as relevant to its finding that Plaintiffs’ claims are not ripe.
Accordingly, Plaintiffs’ motion for summary judgment as to their
denied, and Defendant‘s cross-motion regarding those claims will be granted.
Conclusion
For the reasons expressed above, both Plaintiffs’ motion for summary judgment (ECF No. 25) and Defendant‘s cross-motion for summary judgment (ECF No. 26) will be granted in part and denied in part. The Court will issue an Order enjoining Defendant from enforcing the distance requirement of
An appropriate Order will be entered.
Date: December 3, 2020
At Camden, New Jersey
/s Noel L. Hillman
NOEL L. HILLMAN, U.S.D.J.
