Thomas F. KUDUK, Plaintiff-Appellant v. BNSF RAILWAY COMPANY, Defendant-Appellee.
No. 13-3326.
United States Court of Appeals, Eighth Circuit.
Submitted: June 12, 2014. Filed: Oct. 7, 2014.
III. CONCLUSION
For the reasons stated above, we reverse the district court‘s judgment in favor of Trip Mate and remand with instructions to dismiss the case.
Bruce Jay Douglas, argued, Minneapolis, MN (Ashley A. Wenger, Minneapolis, MN, on the brief), for appellee.
Before LOKEN, BRIGHT, and GRUENDER, Circuit Judges.
LOKEN, Circuit Judge.
The Federal Rail Safety Act (“FRSA“) prohibits rail carriers from retaliating against employees who engage in safety-related protected activities.
I.
After a long history of good work performance, Kuduk committed a Level S (Serious) safety violation in December 2009. He accepted responsibility for causing a car to derail and agreed to discipline consisting of a 30-day record suspension and one year of probation. The Investigation Waiver provided that “[a]ny rules violation during this probation period could result in further disciplinary action.” BNSF‘s Policy for Employee Performance Accountability provided that “Dismiss[i]ble Violations” include two serious rule violations within a twelve-month review period for an employee with a good safety and discipline record.
Mattison and Jaeb reported the violation, and an investigation ensued, with the union representing Kuduk. After Kuduk rejected a negotiated settlement, a formal hearing before the Superintendent of Operating Practices for the Twin Cities Division took place on September 8, 2010. Kuduk testified that he was walking between the rails to retrieve and re-attach a rear end device, a task included in his job duties as a brakeman. He contended that he was required to walk on the track because the Training Coordinator‘s Manual required him to “always take the safe course” and walking on the ballast alongside the track was unsafe due to uneven terrain. He argued his movements were protected because he lined nearby tracks and applied handbrakes to train cars in the vicinity. Jaeb and Mattison testified that they did not see Kuduk performing any work duty, and that he complained about walking conditions on the ballast, apologized for walking on the track, and asked for leniency.
The hearing transcript and exhibits were provided to Richard Ebel, General Manager of BNSF‘s Twin Cities Division. Ebel reviewed the evidence and Kuduk‘s personnel record, including the December 2009 S-Level violation, and determined that dismissal was appropriate after consulting with Jim Hurlburt from BNSF labor relations. The discharge was approved by regional vice president Sanford Sexhus. Kuduk was dismissed on September 17. After the discharge, the union and BNSF continued negotiations, eventually agreeing that Kuduk would be “available for service” and receive agreed employee benefits through June of 2011 and would retire thereafter with full benefits.
II.
The FRSA provides that a rail carrier “may not discharge . . . or in any other way discriminate” against an employee because he lawfully and in good faith provided information relating to, or directly assisted investigation of, conduct the employee reasonably believed violated a Federal law relating to railroad safety, or for “reporting, in good faith, a hazardous safety or security condition.”
In March, 2011, Kuduk filed a complaint with the Department of Labor alleging that his discharge was motivated, at least in part, by two complaints he made in the months preceding discharge that constituted safety reports protected by the FRSA. First, he complained to union representative Mike Wold, a member of BNSF‘s safety committee, that Trainmaster Jaeb unfairly conducted a “banner test” on May 17, 2010. A banner test ensures that trains are able to stop within the range
Second, on May 24, 2010, invoking BNSF‘s Safety Issue Resolution Process (“SIRP“), Kuduk complained that a flop-over handle used to derail cars was too heavy and could cause employee back injuries; he suggested the handle be replaced. Assigned to investigate the issue, Jaeb concluded that the handle met safety requirements and that BNSF was not responsible for the equipment because it was on the property of the railroad‘s customer. The SIRP inquiry was closed on September 21, four days after Kuduk‘s discharge.
When the Department of Labor did not issue a final decision within 210 days after Kuduk filed his complaint, he commenced this action. To prevail, he must establish a prima facie case by showing (i) he engaged in a protected activity; (ii) BNSF knew or suspected, actually or constructively, that he engaged in the protected activity; (iii) he suffered an adverse action; and (iv) the circumstances raise an inference that the protected activity was a contributing factor in the adverse action. See
III.
The district court granted BNSF‘s motion for summary judgment, concluding that Kuduk failed to present a prima facie case of unlawful retaliation and, alternatively, that BNSF has shown by clear and convincing evidence that it would have discharged Kuduk even in the absence of protected activity. Kuduk v. BNSF Ry., 980 F.Supp.2d 1092, 1102 (D.Minn.2013). Kuduk appeals both rulings.
A. Kuduk‘s Prima Facie Case.
In concluding Kuduk failed to present a prima facie case, the district court first ruled that his report to union representative Wold concerning the banner test was not protected activity because Wold was not a “person with supervisory authority over the employee or [a] person who has the authority to investigate, discover, or terminate the misconduct,”
The district court next ruled that Kuduk‘s report of an overweight derail handle presented an issue of fact as to whether he had engaged in an activity protected by
However, the district court concluded, Kuduk failed to establish a prima facie case of unlawful retaliation under the FRSA for two reasons: (1) he “submitted no evidence that Ebel or anyone in higher management that reviewed the dismissal decision had actual or constructive knowledge of Plaintiff‘s protected activity“; and (2) he made no showing that his protected activity was a contributing factor in BNSF‘s decision to discharge him. 980 F.Supp.2d at 1100-01. The court explained: “BNSF has given a consistent basis for its decision to terminate Plaintiff‘s employment, and . . . Plaintiff can point to no evidence of pretext, shifting explanations, antagonism or hostility toward Plaintiff‘s protected activity, or a change in attitude toward Plaintiff after he engaged in protected activity.” Id. at 1101.
On appeal, as in the district court, Kuduk argues that he satisfied these requirements of a prima facie case because a reasonable jury could find that (i) Trainmaster Jaeb, a “lower-level supervisor,” knew of the protected activity and acted as a “cat‘s paw” in the discharge process, and (ii) Kuduk‘s protected activity was a “contributing factor” in his discharge “because serious questions exist as to whether Kuduk in fact committed the [fouling-the-track] violation Jaeb alleged.”
“The term ‘cat‘s paw’ derives from a fable conceived by Aesop.... In the fable, a monkey induces a cat by flattery to extract roasting chestnuts from the fire. After the cat has done so, burning its paws in the process, the monkey makes off with the chestnuts and leaves the cat with nothing.” Staub v. Proctor Hosp., 562 U.S. 411, 131 S.Ct. 1186, 1190 n. 1, 179 L.Ed.2d 144 (2011). In Staub, the Supreme Court held that “if a supervisor performs an act motivated by [discriminatory] animus that is intended by the supervisor to cause an adverse employment action, and if that act is a proximate cause of the ultimate employment action, then the employer is liable.” Id. at 1194 (emphasis in original).
The cat‘s paw theory articulated in Staub is consistent with the regulation stating that the FRSA knowledge requirement may be satisfied by circumstantial evidence the employer had actual or constructive knowledge of protected activity. See
The FRSA provides that a rail carrier may not discharge “or in any other way discriminate against” an employee for engaging in protected activity.
In this case, Ebel and the other discharge decision-makers had no knowledge—actual or constructive—of Kuduk‘s protected activity, submitting an SIRP report regarding the derail handle. There is no evidence Jaeb advised the decision-makers of Kuduk‘s report, or that they were otherwise aware of the unrelated report. There is no evidence that Jaeb reacted negatively to Kuduk‘s report about the derail handle—or to Kuduk‘s earlier complaint that Jaeb unfairly conducted the banner test—and no evidence that Jaeb communicated his knowledge of Kuduk‘s safety concerns to the decision-makers in a manner that might have influenced their discharge decision.
Jaeb‘s participation in the decision-making process was limited to testifying at the formal hearing regarding the fouling-the-tracks incident. Though Kuduk argues that Jaeb would not have sought to enforce the fouling-the-track rule absent Kuduk‘s SIRP report, he points to no evidence that Jaeb‘s actions on June 9, or his later testimony at the September hearing, were in any way related to the protected activity. To the contrary, Jaeb testified that he and Mattison observed an unidentified employee fouling the tracks on June 9; only after they parked their truck, walked toward the employee, and ordered him off the tracks did Jaeb realize the employee was Kuduk. Mattison‘s account of these events was consistent with Jaeb‘s, and Kuduk‘s testimony was not to the contrary.
Turning to the other element of a prima facie case, a contributing factor is “any factor which, alone or in connection with other factors, tends to affect in any way the outcome of the decision.” Procedures for the Handling of Retaliation Complaints under the Federal Railroad Safety Act, 75 Fed.Reg. at 53,524.
Kuduk argues that the temporal proximity of his May 24 SIRP report, the June 9 incident when Jaeb and Mattison accused him of fouling the tracks, and his September 17 discharge made a sufficient prima facie showing that the protected activity
In this case, it is particularly significant at the summary judgment stage that Kuduk‘s protected activity, though close in time, was completely unrelated to the fouling-the-tracks incident that led to his discharge. The facts surrounding Kuduk‘s SIRP report shared no nexus with the later fouling-the-tracks incident. Rather, Kuduk‘s fouling of the tracks on June 9 was an intervening event that independently justified adverse disciplinary action. Kuduk argues that “serious questions exist as to whether [he] in fact committed the rule violation Jaeb alleged,” in essence, that BNSF misapplied the fouling-the-track rule and thus wrongfully discharged him. However, “federal courts do not sit as a super-personnel department that reexamines” an employer‘s disciplinary decisions. Kipp v. Mo. Highway & Transp. Comm‘n, 280 F.3d 893, 898 (8th Cir.2002) (quotation omitted). In the absence of evidence connecting his protected activity to the discharge, Kuduk is not entitled to FRSA anti-retaliation relief even if BNSF inaccurately concluded that he committed one of the Eight Deadly Decisions by fouling the tracks. See Allen v. City of Pocahontas, 340 F.3d 551, 558 n. 6 (8th Cir. 2003) (“it is not unlawful for a company to make employment decisions based upon erroneous information and evaluations“), cert. denied, 540 U.S. 1182 (2004).
For these reasons, we agree with the district court that Kuduk‘s FRSA claim fails because he failed to present a prima facie case of unlawful retaliation.
B. BNSF‘s Affirmative Defense.
We also agree with the district court that BNSF was not liable for wrongful retaliation because it demonstrated by clear and convincing evidence that it would have discharged Kuduk even if he had not engaged in protected activity. See
In these circumstances, though this affirmative defense is often not suitable for summary judgment determination, we agree with the district court that BNSF submitted clear and convincing evidence that it would have discharged Kuduk whether or not he had made unrelated reports that were activity protected by the FRSA. Kuduk argues that BNSF failed to meet its burden because whether he actually violated the TY & E Rule is a disputed fact. But he points to no evidence suggesting that BNSF‘s decision-making process, even if flawed, would have come out differently in the absence of Kuduk‘s SIRP report. Cf. Allen, 340 F.3d at 558 n. 6.
The judgment of the district court is affirmed.
AARP, Amicus on Behalf of Appellant.
No. 13-2546.
United States Court of Appeals, Eighth Circuit.
Submitted: May 13, 2014.
Filed: Oct. 7, 2014.
Marjorie TRAMP, Plaintiff-Appellant v. ASSOCIATED UNDERWRITERS, INC., Defendant-Appellee.
