Petitioner Thomas 0. Ward (“Ward”) petitions for review of the final decision of the Merit Systems Protection Board (“Board”) affirming the U.S. Postal Service’s (“Agency’s”) decision to remove him from employment.
Ward v. U.S. Postal Serv.,
Background
On August 19, 2008, Ward, a preference eligible Maintenance Mechanic for the Agency, was involved in an incident with a supervisor in which he shouted at her, acted in a manner that she perceived as threatening, and disobeyed her instructions to remain in her office (“August 19, 2008 Incident”). On August 29, 2008, the Agency issued a Notice of Proposed Removal, which proposed Ward’s removal from employment with the Agency based on a single charge of improper conduct arising out of the August 19, 2008 Incident. The Notice of Proposed Removal mentioned only the August 19, 2008 Incident as grounds for Ward’s removal; it did not reference any other misconduct by Ward.
On November 5, 2008, Dan O’Hara, the deciding official (“Deciding Official”), issued a Letter of Decision, finding that the improper conduct charge was fully supported by the evidence and that removal was warranted in light of the relevant
Douglas
factors.
Douglas v. Veterans Admin.,
On December 5, 2008, Ward appealed the Deciding Official’s decision to the Board. At a hearing before the administrative judge on February 10, 2009, the Deciding Official testified that before making his decision, he not only reviewed the Agency’s investigative documents regarding the August 19, 2008 Incident but also spoke with three supervisors and one manager who discussed prior incidents in which Ward exhibited “loud, belligerent, [and] intimidating behavior.” J.A. 138-39; see J.A. 135; J.A. 145-46. The Deciding Official admitted that Ward’s “recurring pattern of behavior” affected his analysis of two Douglas factors, lowering the Deciding Official’s confidence in Ward’s ability to satisfactorily perform his duties and convincing the Deciding Official that Ward showed no potential for rehabilitation. J.A. 137; J.A. 140. Specifically, the Deciding Official testified that “after speaking with [the supervisor involved in the August 19, 2008 Incident] and speaking with the other people as to the pattern of conduct that [he had] heard over the years,” he had little confidence that Ward could perform at a satisfactory level. J.A. 137. Further, in response to a question regarding Ward’s potential for rehabilitation, the Deciding *1277 Official testified, “[W]ith the pattern, the recurring pattern of behavior that [he] discovered in ... [Ward’s] work record, [he] just didn’t see how ... any kind of letter, warning, or suspension was going to mitigate any of that.” J.A. 140. Ward’s counsel objected to the Deciding Official’s testimony regarding Ward’s past misconduct on the grounds that Ward “wasn’t given any opportunity to explain anything about any prior conduct” before his removal. J.A. 137-38. The administrative judge, however, allowed the testimony, finding it relevant to the Deciding Official’s penalty determination. J.A. 137-38.
On March 16, 2009, the administrative judge issued an initial decision that sustained the improper conduct charge and affirmed the Agency’s removal of Ward. The administrative judge found that the Deciding Official properly considered Ward’s alleged past instances of misconduct because they “are precisely the types of nondisciplinary counselings a deciding official may use to enhance a penalty.” J.A. 27. The administrative judge further determined that the discussions were not improper ex parte communications because they were not “of the type that resulted in undue pressure upon [the Deciding Official] to rule in a particular manner.” J.A. 27.
Ward petitioned the Board for review of the administrative judge’s initial decision, arguing that the Agency failed to prove the improper conduct charge and that the penalty of removal was erroneous because, inter alia, the Deciding Official improperly considered alleged past misconduct that was not included in the Notice of Proposed Removal.
Final Decision,
Ward timely petitioned for review of the Board’s final decision in this court. We *1278 have jurisdiction pursuant to 28 U.S.C. § 1295(a)(9).
Discussion
“Our review of Board decisions is limited. We may only reverse a Board decision if we find the decision to be arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with law; obtained without procedures required by law; or unsupported by substantial evidence.”
Kahn v. Dep’t of Justice,
The removal proceedings in this case present serious due .process concerns and a violation of Agency procedure, both of which the Board erred in addressing. Ward’s Notice of Proposed Removal proposed his removal from the Agency based solely on his conduct during the August 19, 2008 Incident. The Deciding Official, however, proceeded to have ex parte communications with three supervisors and one manager from the Agency during which he learned of several alleged past instances of misconduct by Ward. Although these pri- or incidents were not referenced in Ward’s Notice of Proposed Removal, leaving Ward entirely unaware that such incidents would be considered as grounds for his removal, the Deciding Official later admitted, in his testimony before the administrative judge, that these incidents had influenced his decision that removal was warranted. Specifically, the Deciding Official testified that Ward’s “recurring pattern” of misconduct impacted his analysis of at least two Douglas factors, as it gave the Deciding Official little confidence in Ward’s ability to satisfactorily perform his duties and convinced the Deciding Official that Ward showed no potential for rehabilitation. J.A. 137; J.A. 140.
At worst, the Deciding Official’s ex parte communications violated Ward’s due process rights, automatically entitling him to a new removal proceeding free from any violation of his constitutional rights. The Board, however, erred in failing to analyze the due process issues presented in this case. At a minimum, the Deciding Official’s consideration of alleged past misconduct that was not included in the Notice of Proposed Removal violated Agency procedure, requiring a harmless error analysis. The Board properly recognized this procedural error. Yet the Board erred in concluding that it could “remedy the error” by performing its own penalty analysis in which it considered whether, in its view, the removal penalty was “within the tolerable limits of reasonableness.” Final Decision at 243, 246. We address the due process issues and the procedural error in turn. 1
*1279 A
First, the Board erred in failing to address the due process concerns arising out of the Deciding Official’s ex parte communications regarding Ward’s alleged prior instances of misconduct, which were not mentioned in Ward’s Notice of Proposed Removal or otherwise referenced in the proceeding until the Deciding Official testified before the administrative judge that these incidents played a role in his penalty determination. Where a public employee has a property interest in continued employment, the Due Process Clause of the Fifth Amendment requires that the employee be afforded notice “both of the charges and of the employer’s evidence” and an “opportunity to respond” before being removed from employment.
Stone v. FDIC,
Given the seriousness of a due process violation, we made clear that if the deciding official received “new and material information” by means of ex parte communications, thereby violating the employee’s due process rights, the “violation is not subject to the harmless error test.”
Stone,
Here, the Board did not analyze the Deciding Official’s ex parte communications under the
Stone
framework to determine whether Ward’s due process rights were violated. Rather, the Board held that “[wjhere an ex parte communication does not relate to the charge itself, but relates instead to the penalty, the Board has not considered such error to be [a] denial of due process of law to be analyzed under the factors set forth in
Stone.” Final Decision
at 243;
see Bin
*1280
iak v. Soc. See. Admin.,
Accordingly, we remand this case to the Board to analyze, in the first instance, whether the ex parte communications between the Deciding Official and various Agency supervisors and managers undermined Ward’s procedural due process rights under Stone. “Specifically, the Board must analyze whether the ex parte communications in this case introduced new and material information to the [D]eciding [0]fficial.” 2 Id. If the Board finds that the communications did introduce new and material information in violation of Ward’s due process rights, Ward must be afforded a “constitutionally correct removal procedure.” Id. The Board may not excuse the constitutional violation as harmless error. Id. at 1372-77 (remanding to the Board for determination of whether ex parte communications violated the employee’s due process rights despite deciding official’s affidavit stating that “he would have concluded that [the employee] should be removed whether or not he had [received the ex parte communications].”).
*1281 B
Even if the Board, on remand, concludes that the ex parte communications did not rise to the level of a due process violation, the Agency’s consideration of Ward’s alleged past instances of misconduct, without referencing these incidents in the Notice of Proposed Removal, was still a procedural error. As
Stone
recognized, “the Due Process Clause only provides the minimum process to which a public employee is entitled prior to removal.”
Despite recognizing this procedural error, the Board erred in concluding that it could “remedy the error” by performing an independent analysis of the
Douglas
factors to determine whether “removal is within the bounds of reasonableness.”
3
Id.
at 243. Instead, the Board was required to run a harmless error analysis to determine whether the procedural error required reversal. The Civil Service Reform Act provides that the Board may not sustain an agency decision if the employee “shows harmful error in the application of the agency’s procedures in arriving at such decision.” 5 U.S.C. § 7701(c)(2)(A);
Diaz v. Dep’t of the Air Force,
Arguably, the Board’s independent analysis of the
Douglas
factors to determine whether “removal is within the bounds of reasonableness” was the Board’s attempt to perform a harmless error analysis.
Final Decision
at 243. The focus of a harmless error analysis, however, is the
agency
and whether the
agency
is likely to have reached a different conclusion in the absence of the procedural error. 5 C.F.R. § 1201.56(c)(3);
see Diaz,
Accordingly, on remand, if the Board determines that the Deciding Official’s ex parte communications did not violate Ward’s due process rights, the Board must consider whether the Agency’s procedural error, in considering Ward’s alleged prior instances of misconduct without including these incidents in the Notice of Proposed Removal, constituted harmful error. Specifically, here as in other cases, the Board must analyze whether “there is some indication that the agency would have regarded the sustained charges as insufficient to justify the penalty imposed.”
4
Chambers,
Conclusion
In light of the above analysis, we vacate the Board’s decision and remand the case for further proceedings consistent with this opinion. On remand, the Board must first analyze whether the Deciding Official’s ex parte communications violated Ward’s due process rights by introducing new and material information. If the Board finds that the ex parte communications did introduce new and material information, Ward must be afforded a new removal proceeding free from such violations of his constitutional rights. If, however, the Board finds that Ward’s due *1283 process rights were not violated because the ex parte communications did not introduce new and material information, the Board must analyze whether the Agency’s procedural error, considering Ward’s alleged prior misconduct that was not included in his Notice of Proposed Removal, was harmful error.
VACATED AND REMANDED
Notes
. At oral argument, the government repeatedly argued that Ward did not raise the issue of the Agency's improper consideration of Ward's alleged past misconduct. Oral Arg. at 14:10-23, 16:25-59, 18:17-22, 29:35-30:01, 30:31-42,
available at
http://oralarguments. cafc.uscourts.gov/Audiomp3/2010-3021 .MP3. It is true that Ward did not fully address the implications of this error. Yet Ward's brief quotes the Deciding Official's testimony before the administrative judge, wherein he admitted that Ward's alleged pattern of misconduct influenced his penalty determination, and argues that the Deciding Official’s penalty recommendation was erroneous because it was based on this improper evidence of past misconduct in violation of Agency procedure and due process. Pet’r’s Br. 52-53. In addition to this reference to the error, there is no question that a central focus of Ward’s appeal was the impropriety of the imposed penalty of removal and the penalty analysis.
See
Pet'r's
*1279
Br. 4, 39-54; Pet'r's Reply Br. 21-30. Therefore, to the extent that the legal implications of the Agency’s improper consideration of Ward’s alleged prior misconduct in its penalty analysis was “not discretely identified in the parties' briefs,” we conclude that we may resolve the case on this issue because it is "inextricably linked to, and is thus 'fairly included' within, the questions presented.”
City of Sherrill, N.Y. v. Oneida Indian Nation of N.Y.,
Further, the court notes that Ward’s counsel objected to the Deciding Official's testimony regarding Ward's alleged prior misconduct during the hearing before the administrative judge, the first time such misconduct was referenced in the proceeding, and Ward raised the issue in his petition for review before the Board. See Final Decision at 242; J.A. 137-38. The issue is therefore explicitly addressed in both the administrative judge's initial decision and the Board's final decision. See Final Decision at 243; J.A. 27. Thus, although not thoroughly briefed on appeal, the issue has been raised and addressed throughout the proceeding. Moreover, after the issue was raised at oral argument, the government did not seek an opportunity for further briefing. Under these circumstances, it is well within our discretion to decide the issue.
. We note that the administrative judge found that the ex parte communications at issue in this case did not violate Ward's due process rights because they were not "of the type that resulted in undue pressure upon [the Deciding Official] to rule in a particular manner.” J.A. 27. In
Stone,
we held that "whether the
ex parte
communications were of the type likely to result in undue pressure upon the deciding official to rule in a particular manner” is a relevant factor in determining whether the ex parte communications violated due process.
Blank,
Further, the court notes that if the ex parte communications "were of the type likely to result in undue pressure upon the deciding official,” this may well make it more likely that the employee was deprived of due process. Yet the lack of such undue pressure may be less relevant to determining whether the ex parte communications deprived the employee of due process where, as here, the Deciding Official admits that the ex parte communications influenced his penalty determination. See J.A. 137; J.A. 140. Under these circumstances, the materiality of the ex parte communications appears to be self-evident from the Deciding Official's admission.
. At oral argument, the government cited
Lachance v. Merit Systems Protection Board,
. Although we take no position regarding whether the Agency’s error was harmful, we note that the Deciding Official did not testify that he would have reached the same penalty determination without considering Ward’s prior misconduct.
Cf. Coleman,
