ORDER
The above-styled action is before the court on defendant’s motion to dismiss [# 3].
FACTS 1
On or about July 1995, plaintiff was hired by defendant as a production worker. This position required plaintiff to work in the company of male co-employees. Plaintiff claims that “defendant, through its agents and/or employees, physically and emotionally harassed plaintiff and eventually forced plaintiff to resign her position with defendant.” (Plaintiffs Responses to Mandatory Interrogatories). Plaintiff claims that, “[d]uring almost two years of continuous employment, plaintiff suffered several harassing and embarrassing incidents.” (Id.).
More specifically, plaintiff alleges that, during defendant’s Christmas party of 1995, defendant’s supervisory employee, Harley Curtis, without consent, grabbed plaintiff by the forearm and refused to relinquish control of her. On or about April 30, 1996, defendant’s employees Willie Pritchett and Frank Bennet made physical contact with plaintiff without her consent. Pritchett kicked plaintiffs foot and Bennett hit plaintiff on the buttocks. On or about March 1996, Matthew Brown chased plaintiff, without justification, into the break room. On or about June 1996, Paul Blowe, defendant’s employee, chased plaintiff around defendant’s physical plant and struck plaintiff. On or about August 23, 1996, defendant’s employee, Keith Puckett, struck plaintiff on the shoulder and then, while in close proximity to plaintiff, stared at her in a menacing manner. On or about October 2, 1996, defendant’s employee, Bill Allen, while carrying a gallon jug, ran towards plaintiff in a threatening manner. On or about October 24, 1996, defendant’s employee, Jim Stone, walked hurriedly in plaintiffs direction and clapped his hands in close proximity to plaintiffs face in a threatening manner.
Plaintiff alleges that “[defendant failed to properly supervise its employees with respect to work place harassment, assault and battery, [and that a]s a result of [defendant’s failure to properly supervise its employees, [pjlaintiff was subject to unlawful harassment, assault and battery by fellow employees and supervisors.” (Complaint, ¶¶ 27, 28). Plaintiff further alleges that she “repeatedly complained to her superiors about the harassment and physical contact she received [and,] as of February 28, 1997, plaintiffs supervisors had failed or refused to respond to her complaints.” (Plaintiffs Responses to Mandatory Interrogatories). As a result, plaintiff was forced to resign from employment with defendant on February 28,1997.
During the time the acts of which plaintiff complains allegedly occurred, the employment relationship between defendant and its employees, including plaintiff, was governed by a Collective Bargaining Agreement (the “CBA”). The purpose of the CBA was to “set forth the provisions relating to rates of pay, wages, hours of work, and conditions of employment of the employees of the Company in the Bargaining Unit to be observed by the parties.” (Defendant’s Exhibit A, Article 1). The grievance procedure section of the CBA provides in pertinent part:
Unless otherwise expressly provided in this Agreement, any and all disputes, including interpretations of contract provisions arising under, out of, in connection with, or in relation to this Collective Bargaining Agreement, shall be subject to grievance procedure of the Agreement.
(Defendant’s Exhibit A, Article 5, § 2). That section then sets forth the specific steps to be taken by an employee who has *1380 a grievance, including appellate procedures and time limitations. The CBA also provides that “[t]he Company retains the sole right to discipline and discharge employees for cause, provided that in the exercise of these rights it mil not act wrongfully or unjustly or in violation of the terms of [the CBA].” (Id., Article 3, § 2).
On May 8, 1998, plaintiff filed an action in the Superior Court of Fulton County, State of Georgia against defendant for alleged false imprisonment, battery, assault and negligent supervision. Defendant filed a motion to dismiss plaintiffs state court action on June 12, 1998. Plaintiff filed a Notice of Voluntary Dismissal Without Prejudice of her state court claims on July 24, 1998. On January 21, 1999, plaintiff filed the present action against defendant, alleging false imprisonment, battery, assault, negligent supervision and negligent breach of duty of care. 2 This is a diversity case alleging state law claims only, not a Title VII discrimination action.
LEGAL DISCUSSION
“In appraising the sufficiency of the complaint ... the accepted rule (is) that a complaint should not be dismissed for failure to state a claim unless it appears beyond doubt that the plaintiff can prove no set of facts in support of his claim which would entitle him to relief.”
Conley v. Gibson, 355
U.S. 41, 45-46,
Defendant moves to dismiss plaintiffs complaint because (1) some of plaintiffs claims are barred by the applicable statute of limitations; (2) plaintiff fails to state a claim upon which relief may be granted; (3) plaintiffs claims against defendant for false imprisonment, assault and battery are barred by the Georgia Workers compensation Act or, in the alternative, those tort claims are based on alleged conduct which occurred outside of the accused employees’ scope of employment and, thus, defendant is not liable for them; and (4) plaintiffs claims for negligent supervision and retention are preempted by Section 301 of the Labor Management Relations Act, 29 U.S.C.A. § 185.
Plaintiff brings claims of false imprisonment, battery, assault and negligent supervision and retention against defendant. Those claims are all subject to the two-year statute of limitations for injuries to the person under O.C.G.A. § 9-3-33.
See Alpharetta First United Methodist Church v. Stewart,
With respect to the alleged tor-tious acts of Keith Puckett, Bill Allen and Jim Stone, plaintiff states in her complaint that “[b]etween October 2, 1996 and February 27, 1997, plaintiff was subject to similar threatening incidents by defendant’s employees.” (Complaint, ¶¶ 10, 11, 12). Plaintiff argues that, hence, these tortious acts constitute continuing tort violations.
3
Such broad conclusory allega
*1381
tions are inadequate even under the liberal pleading rules of the Federal Rules of Civil Procedure, which only require a “short and plain statement of the claim showing that the pleader is entitled to relief.” Fed. R.Civ.P. 8(a). The pleadings must nevertheless provide notice of the “circumstances which give rise to the claim [and a] complaint which contains a bare bones allegations that a wrong occurred and which does not plead any of the facts giving rise to the injury, does not provide adequate notice.”
Walker v. South Cent. Bell Tel. Co.,
Plaintiff completely fails to allege any conduct which occurred between October 2, 1996 and February 27, 1997 which might constitute a “similar threatening incident.” Plaintiff only provides a concluso-ry, “bare bones” allegation that similar conduct occurred without describing the circumstances surrounding the alleged conduct, without giving even a vague description of the conduct (e.g., when, where or how it happened) and without indicating how many times such conduct was visited upon her. This lack of even a general description pf the circumstances allegedly giving rise to a continuing tort violation by plaintiff is insufficient to satisfy the purpose of notice pleading and fails as a matter of law.
Alternatively, plaintiffs claims, even if not barred by the applicable statute of limitations, are preempted by § 301 of the Labor Management Relations Act (the “LMRA”). As set forth above in detail, the employment relationship between defendant and its employees was governed by the CBA. (Defendant’s Exhibit A). The grievance procedure section of the CBA mandates that all disputes “arising under, out of, in connection with, or in relations to” the CBA are subject to the grievance procedure contained in the CBA. (Id., Article 5, § 2). The CBA also provides that defendant has the “sole right to discipline and discharge employees for cause.” (Id., Article 3, § 2).
Plaintiff failed to follow those administrative prerequisites and grievance procedures as required by the CBA before she filed the instant lawsuit. Nowhere in plaintiffs complaint or her amended complaint, does she allege that she filed a grievance or attempted to file a grievance under the terms of the CBA. Plaintiffs conelusory allegation that she complained *1382 to her superiors and union representatives after each of the alleged incidents, even if true, does not satisfy the required steps of the CBA. Additionally, plaintiff fails to identify the “representatives” or “superiors” to whom she complained, the dates of her alleged complaint, the specific conduct complained of, and whether she complied with the administrative prerequisites and grievance procedures the CBA required before filing the instant lawsuit. The CBA provides a time table for utilizing grievance procedures, including commencing court proceedings, and all such time has long since expired. (Defendant’s Exhibit A, Article 5, § 2).
Federal law governs disputes related to CBAs. Section 301 of the LMRA was a “congressional mandate to the federal courts to fashion a body of federal common law to be used to address disputes arising out of labor contracts.”
Allis-Chalmers Corp. v. Lueck,
471 U.S, 202,
Plaintiffs claims against defendant in the case at hand are “inextricably intertwined with the consideration of the terms of the labor contract.”
See Johnson v. AT & T Technologies,
Therefore, plaintiffs complaint is hereby DISMISSED in its entirety. 4
CONCLUSION
In sum, the court hereby GRANTS defendant’s motion to dismiss [# 3].
The Clerk of the court is hereby DIRECTED to CLOSE this case.
Notes
. The facts set forth herein are solely based on plaintiff's allegations for purposes of defendant's motion to dismiss.
. There is no separate tort in Georgia for negligent breach of duty of care. The court will construe this claim as one of negligent retention.
. The court notes that, under Georgia law, the statute of limitations for an action accrues on the date when plaintiff could have first brought a successful action against defendant.
See, Hoffman v. Insurance Company of America,
. In view of this ruling, the court need not address the other alternative grounds for dismissal set forth by defendant.
