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Solomon v. Phila Housing Auth, 04-3004 (2005)

Court: Court of Appeals for the Third Circuit Number: 04-3004 Visitors: 9
Filed: Aug. 02, 2005
Latest Update: Mar. 02, 2020
Summary: NOT PRECEDENTIAL UNITED STATES COURT OF APPEALS FOR THE THIRD CIRCUIT No. 04-3004 RONALD SOLOMON, JR. Appellant v. PHILADELPHIA HOUSING AUTHORITY; RICHARD ZAPPILE, Chief Philadelphia Housing Authority; MARC WOOLLEY (Amended Per Clerk’s Order dated 10/25/04) On Appeal from the United States District Court for the Eastern District of Pennsylvania (D.C. No. 02-cv-06630) District Judge: Honorable Timothy J. Savage Argued on July 14, 2005 Before: ALITO, VAN ANTWERPEN, and ALDISERT, Circuit Judges (Fi
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                                                              NOT PRECEDENTIAL

                        UNITED STATES COURT OF APPEALS
                             FOR THE THIRD CIRCUIT


                                       No. 04-3004


                               RONALD SOLOMON, JR.

                                                              Appellant

                                            v.

PHILADELPHIA HOUSING AUTHORITY; RICHARD ZAPPILE, Chief Philadelphia
                Housing Authority; MARC WOOLLEY

                       (Amended Per Clerk’s Order dated 10/25/04)




                      On Appeal from the United States District Court
                         for the Eastern District of Pennsylvania
                                  (D.C. No. 02-cv-06630)
                       District Judge: Honorable Timothy J. Savage




                                 Argued on July 14, 2005

         Before: ALITO, VAN ANTWERPEN, and ALDISERT, Circuit Judges

                                  (Filed: August 2, 2005)

Tshaka H. Lafayette, Esq. (Argued)
Lafayette Law Group, P.C.
21 South 12th Street, Suite 1050
Philadelphia, Pennsylvania 19107
      Counsel for Appellant

Mark J. Foley, Esq.
George A. Voegele, Jr., Esq. (Argued)

Victoria L. Zellers, Esq.
Klett Rooney Lieber & Schorling
2 Logan Square, 12th Floor
Philadelphia, Pennsylvania 19103
       Counsel for Appellees


                                  OPINION OF THE COURT


VAN ANTWERPEN, Circuit Judge.

       Before us is an appeal from a Memorandum and Order of the United States District

Court for the Eastern District of Pennsylvania granting summary judgment in favor of the

Philadelphia Housing Authority, Richard Zappile and Marc Woolley and denying the

summary judgment motion of Ronald Solomon. In this action, Solomon alleges that he

was constructively suspended and later terminated without appropriate levels of pre-

deprivation procedural due process in violation of the Fourteenth Amendment to the

United States Constitution. As we will explain more fully below, the District Court erred

in concluding that Appellees’ failure to afford Solomon notice and an opportunity to be

heard before constructively suspending him was a procedural due process violation.

However, this was harmless error, as this violation cannot be fairly ascribed to the

Housing Authority, and Woolley and Zappile have qualified immunity. As such, we will

affirm the decision of the District Court, but on different grounds.




                                             2
                                        I. FACTS

       Ronald Solomon, Jr. (“Appellant”) was a police officer with the Philadelphia

Housing Authority (“PHA”) Police Department.1 On September 21, 2000, he was shot in

the head and arm outside his parents’ home by a man he later identified as one Harry

Dantzler. The assailant also stole Appellant’s gun. Because of his injuries, Appellant

remained at the hospital for one week and was subsequently placed on a medical leave of

absence from the date of his injury until January 21, 2001.

       On October 4, 2000, Appellant testified at Dantzler’s preliminary hearing and

identified him as the man who had shot him. Later that month, a Philadelphia Police

Department investigator learned that one Kareem Harper-El, a juvenile incarcerated on

unrelated charges, had been bragging about shooting an off-duty police officer in the head

and taking his gun. Upon further investigation, Harper-El confessed to shooting

Appellant, explaining that he had been on the street selling drugs when Appellant took a

bag of marijuana from him and refused to pay for it. Harper-El also stated that Dantzler

had nothing to do with the shooting. On February 6, 2001, Appellant was interviewed by

Assistant District Attorney Thomas Malone and several Philadelphia Police Department

detectives regarding the Harper-El confession. There is some disagreement as to what

occurred when Appellant was confronted with Harper-El’s confession; Appellant claimed



   1
     At all times relevant to this suit, the PHA Police Department was a party to a
collective bargaining agreement with the Fraternal Order of Housing Police, of which
Appellant was a member.

                                             3
that he continued to assert that Dantzler had shot him, but admitted that it was possible

someone else may have shot him, while the investigators contend that Appellant

confessed to lying about the circumstances of the shooting at the preliminary hearing.

Regardless of what version actually took place, what is not in dispute is that soon after

this interview the Philadelphia District Attorney made the decision to imminently charge

Appellant with perjury and so informed Appellee Richard Zappile, Chief of the PHA

Police Department.

       At all times relevant to this suit, PHA had a policy of automatically terminating

any officer who was arrested for any reason. After learning that Appellant’s arrest was

imminent, Chief Zappile contacted the PHA Human Resources Department and

recommended that Appellant be kept on medical leave until the Philadelphia Police

investigation was complete. Appellee Marc Woolley, PHA’s General Manager of Human

Resources, agreed to temporarily continue Appellant’s medical leave and continue paying

his benefits until he was arrested. Appellant contends that he repeatedly contacted the

Human Resources Department to get permission to return to active duty, and that he was

repeatedly told that he would be kept on leave. Appellant eventually contacted his union

representative, who discouraged him from pursuing a grievance.2 He testified that he was

aware that he could file a grievance on his own without the union’s assistance, but chose

not to. Although Appellant had by this time exhausted his paid leave and was no longer

   2
     Appellant has not alleged that Fraternal Order of Housing Police breached its duty to
fairly represent him.

                                             4
earning salary, he still received full benefits for himself and his family.

       The PHA Police Department received a draft affidavit of probable cause for

Appellant’s arrest from the Philadelphia Police Department in April 2001. However, in

the weeks that followed, no other information concerning Appellant’s supposedly

imminent arrest was forthcoming. In June 2001, Chief Zappile initiated an internal PHA

investigation into the allegations against Appellant. On July 25, 2001, a PHA detective

interviewed Appellant and questioned him about his alleged perjury. Appellant stated

that he told ADA Malone that it was possible someone else was at the shooting, and that

he never admitted to lying about the circumstances of the shooting.

       During the pendency of PHA’s investigation, Harper-El pled guilty to attempted

murder and other offenses related to the shooting. After reviewing the plea and the

investigation’s findings, Chief Zappile concluded that Appellant’s conduct in this matter

had violated the PHA Police Department’s disciplinary code (specifically four counts of

conduct unbecoming of an officer and one count of disobedience of order) and

recommended to the Human Resources Department that Appellant be suspended with

intent to dismiss. This recommendation was approved, and Appellant was served with a

formal Notice of Suspension with Intent to Dismiss on November 1, 2001. Pursuant to

the collective bargaining agreement, the termination was to be made effective on

November 10, 2001.

       Appellant’s union president was present when the suspension papers were served,



                                               5
and informed him the union would submit a grievance on his behalf. A grievance was

filed on November 5, 2001, and, pursuant to the collective bargaining agreement, the ten-

day period between Appellant’s receipt of the notice and the effective date of his

termination was tolled.3 The grievance then proceeded to Step IV, where it was denied by

Mr. Woolley. Under the collective bargaining agreement, Appellant had the right to

arbitrate the grievance further, and he informed his union president that he would like to

do so. However, he did not pursue this avenue further.

       Appellant filed suit in the United States District Court for the Eastern District of

Pennsylvania on August 6, 2002, alleging violations of 42 U.S.C. §§ 1981, 1983, 1985,

1986, and 2000e, et. seq.; and the Pennsylvania Human Relations Act. Appellant’s

Complaint was amended on January 16, 2003, and for a second time on September 9,

2003. The Second-Amended Complaint claimed only a § 1983 violation committed by

Appellees PHA, Woolley and Zappile.4 On August 29, 2003, Appellant and PHA filed

cross-motions for summary judgment. Appellees Woolley and Zappile filed similar

motions on September 24, 2003. By Memorandum and Order, the District Court denied

Appellant’s motion and granted Appellees’ Motions for Summary Judgment, concluding


   3
     Appellant was inconsistent during his deposition as to when exactly he received
notice that he had been terminated. He first stated that he was not made aware of his
termination until he received PHA’s response to an EEOC charge. He later testified that
he knew his termination was effective at Step III in the grievance process.
   4
    In his Second-Amended Complaint, Appellant initially sought both legal damages
and equitable relief. (See Appendix at 24A.) However, at oral argument, Appellant
announced that he was no longer seeking recovery in equity.

                                              6
only that the grievance and arbitration procedures contained in the collective bargaining

agreement provided satisfactory due process protections that Appellant did not pursue.

Appellant timely appealed to this Court.

                 II. JURISDICTION AND STANDARD OF REVIEW

        The District Court had jurisdiction to consider Appellant’s Second-Amended

Complaint pursuant to 28 U.S.C. § 1331. Our jurisdiction is grounded in 28 U.S.C. §

1291.

        The standard of review in an appeal from an order resolving cross-motions

for summary judgment is plenary. Cantor v. Perelman, ___ F.3d ____, 
2005 WL 1620323
, *3 n.2 (3d Cir. July 12, 2005) (citing Int’l Union, United Mine Workers of Am.

v. Racho Trucking Co., 
897 F.2d 1248
, 1252 (3d Cir. 1990)). When reviewing the

propriety of a grant of summary judgment, we apply the same test that the district court

should have applied. Bucks County Dep’t. of Mental Health/Mental Retardation v.

Pennsylvania, 
379 F.3d 61
, 65 (3d Cir. 2004); Morton Intern., Inc. v. A.E. Staley Mfg.

Co., 
343 F.3d 669
, 679 (3d Cir. 2003); Olson v. Gen. Elec. Astrospace, 
101 F.3d 947
, 951

(3d Cir. 1996). That is, a grant of summary judgment is appropriate only where the

moving party has established that there is no genuine dispute of material fact, and “the

moving party is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(c); Celotex

Corp. v. Catrett, 
477 U.S. 317
, 322 (1986); Emory v. AstraZeneca Pharm. LP, 
401 F.3d 174
, 179 (3d Cir. 2005). On a motion for summary judgment, a district court must view



                                             7
the facts in the light most favorable to the non-moving party and must make all

reasonable inferences in that party’s favor. Marzano v. Computer Sci. Corp., 
91 F.3d 497
, 501 (3d Cir. 1996) (citing Armbruster v. Unisys Corp., 
32 F.3d 768
, 777 (3d Cir.

1994)).

                                    III. DISCUSSION

       The District Court concluded that Appellant challenged only his placement on

unpaid medical leave without a pre-suspension hearing, and that the grievance and

arbitration procedures of the collective bargaining agreement provided satisfactory due

process protections which Appellant chose not to pursue. We now consider whether

Appellant was accorded appropriate levels of procedural due process with regard to both

his suspension and his eventual termination,5 and we will affirm the lower court’s

decision on different grounds.

                                             A.

       The Fourteenth Amendment to the United States Constitution prohibits

deprivations “of life, liberty, or property, without due process of law.” U.S. Const. amend.

XIV, § 1. Under section 1983 of Title 42 (“§ 1983”),

   5
      At argument, when asked why the District Court did not to address the termination
claim, the parties stated that, after PHA’s summary judgment motion was filed, but before
the Court’s decision, Appellant amended his Complaint to include the termination claim.
We are unclear as to why the District Court did not address this issue, as any amendment
is to relate back to the date the Complaint was originally filed, see Fed. R. Civ. P. 15, and
the District Court treated its ruling as dispositive of the entire case. Nonetheless, it is
clear that this claim was both raised and argued before the District court, and it is
therefore properly before us.

                                             8
       Every person who, under color of any [state law], subjects, or causes to be
       subjected, any citizen of the United States or other person within the
       jurisdiction thereof to the deprivation of any rights, privileges, or
       immunities secured by the Constitution and laws, shall be liable to the party
       injured in an action at law, suit in equity, or other proper proceeding for
       redress . . . .

42 U.S.C. § 1983 (2003).

       When analyzing a § 1983 claim alleging a state actor’s failure to accord

appropriate levels of procedural due process, our inquiry is bifurcated. We first must

determine whether the asserted interest is encompassed within the Fourteenth

Amendment’s protection of life, liberty, or property; if so, we then ask whether the

procedures available provided the plaintiff with adequate due process. Alvin v. Suzuki,

227 F.3d 107
, 116 (3d Cir. 2000).

       To have a property interest in a job, a person must have a legitimate entitlement to

such continued employment. Bd. of Regents of State Colleges v. Roth, 
408 U.S. 564
, 577

(1972). State law determines whether such a property right exists. See id.; Elmore v.

Cleary, 
399 F.3d 279
, 282 (3d Cir. 2005). We have previously held that a “for-cause”

termination provision in an employment agreement may establish a protected property

interest. Linan-Faye Const. Co., Inc. v. Hous. Auth. of City of Camden, 
49 F.3d 915
, 932

(3d Cir. 1995) (holding that a contract right is recognized as property protected under the

Fourteenth Amendment where the contract itself includes a provision that the state entity

can terminate the contract only for cause). Moreover, “under Pennsylvania law,

suspensions, like dismissals[,] are only proper for just cause; therefore, [employees have]

                                             9
a separate property interest in not being suspended.” Gniotek v. City of Philadelphia, 
808 F.2d 241
, 243 n.5 (3d Cir. 1986). The parties do not dispute that, under both

Pennsylvania law and the collective bargaining agreement in effect between the Fraternal

Order of Housing Police and PHA, suspensions and terminations must be for just cause.

Accordingly, Appellant had a protected property interest in continued employment not

interrupted by suspension or termination absent just cause.

       We must now determine whether the pre-deprivation procedures used to effectuate

Appellant’s suspension 6 and termination were constitutionally adequate. The Supreme

Court has consistently held that public employees who may be dismissed only for cause

are entitled to a very limited hearing prior to termination, to be followed by a more



   6
     We conclude that the extension of Appellant’s medical leave without pay (but with
benefits) was a de facto suspension. Nowhere in the collective bargaining agreement is
suspension defined; as such, we must look to the common usage of that word.
Suspension can be defined as “[t]he temporary deprivation of a person’s powers or
privileges, esp. of office or profession,” Black’s Law Dictionary, 1487 (8th ed. 2004), or
“temporary removal from office or privilege,” Merriam Webster’s Collegiate Dictionary,
1187 (10th ed. 1996). It is undisputed that Appellant attempted to return to work after the
expiration of his medical leave, but was prevented from doing so by Appellees. While
semantically one could argue that he was already on leave, and thus continuing that leave
did not technically remove him from office or deprive him of powers, the fact that this
office or those powers would have been reinstated had Appellees not acted strongly
suggests suspension. We therefore believe, contrary to Appellees’ argument that
Appellant was merely “continued on medical leave pending arrest by Philadelphia
Police,” that Appellant was in fact suspended after he attempted to return to work and
was refused. Indeed, Appellees conceded at argument that, were it not for the perjury
issue, Appellant would have been returned to work. Were we to find otherwise, an
employer could easily clothe a suspension in another name and exempt itself from the
strictures of the Fourteenth Amendment. We thus hereinafter refer to the decision to keep
him on medical leave as a suspension.

                                            10
comprehensive post-termination hearing. See, e.g., Gilbert v. Homar, 
520 U.S. 924
, 929

(1997) (citing Cleveland Bd. of Educ. v. Loudermill, 
470 U.S. 532
(1985)). As the Court

stated in Loudermill:

        An essential principle of due process is that a deprivation of life, liberty, or
        property be preceded by notice and opportunity for hearing appropriate to
        the nature of the case . . . . We have described the root requirement of the
        Due Process Clause as being that an individual be given an opportunity for
        a hearing before he is deprived of any significant property interest . . . . This
        principle requires some kind of a hearing prior to the discharge of an
        employee who has a constitutionally protected property interest in his
        
employment. 470 U.S. at 542
(footnotes, citations and internal quotation marks omitted) (emphasis

added). Pre-termination process need only include oral or written notice of the charges,

an explanation of the employer’s evidence, and an opportunity for the employee to tell

his side of the story. See 
Loudermill, 470 U.S. at 546
; see also Copeland v. Philadelphia

Police Dep’t, 
840 F.2d 1139
, 1144-46 (3d Cir. 1988). Moreover, a due process violation

“is not complete when the deprivation occurs; it is not complete unless and until the

State fails to provide due process.” Zinermon v. Burch, 
494 U.S. 113
, 126 (1990); see

also 
Alvin, 227 F.3d at 116
. Thus, in order to state a claim for failure to provide

sufficient procedural due process, a plaintiff must have taken advantage of the processes

that are available to her, unless those processes are unavailable or patently inadequate.

Alvin, 227 F.3d at 116
. The District Court, dealing only with the suspension, concluded

that the grievance and arbitration procedures available to Appellant were constitutionally




                                             11
sufficient and that he simply failed to employ them.7

                                              i.

        Turning first to Appellant’s suspension,8 we disagree with the District Court that

the pre-deprivation process afforded him was constitutionally sufficient. In Gilbert, the

Court noted that it had, on several occasions, found that post-deprivation process alone

may satisfy the requirements of the Due Process Clause if a state must act quickly or if

pre-deprivation process would be 
impractical. 520 U.S. at 930
. Appellees here,

however, have not demonstrated that either situation existed at the time Appellant was

suspended. Therefore, we address whether the failure to accord pre-suspension

procedural due process was constitutionally permissible. In Matthews v. Eldridge, 
424 U.S. 319
(1976), the Supreme Court set forth the balancing test for determining whether

the particular process accorded an individual is constitutionally sufficient:

        First, the private interest that will be affected by the official action; second,
        the risk of an erroneous deprivation of such interest through the procedures
        used, and the probable value, if any, of additional or substitute procedural
        safeguards; and finally, the Government’s interest, including the function
        involved and the fiscal and administrative burdens that the additional or
        substitute procedural requirement would entail.


    7
    We assume that the District Court meant that the grievance and arbitration
procedures were constitutionally sufficient as a post-deprivation hearing.
    8
     At several points during argument, Appellant characterized the February 2001
extension of medical leave as a “suspension with intent to terminate.” Nowhere has it
been alleged, let alone proven, that PHA or its employees had decided to terminate
Appellant at that time. Indeed, it would seem unusual for PHA to have instituted a
suspension with intent to terminate in February, continue to pay Appellant’s benefits, and
issue a second, identical suspension nine months later.

                                               12

Id. at 335.
        The private interest affected here is the continuation of Appellant’s pay. Here,

Appellant was kept on medical leave after the date when his leave pay expired. As the

Supreme Court noted in Logan v. Zimmerman Brush Co., when determining what

process is due, the length and finality of the deprivation must be considered. See 
455 U.S. 422
, 434 (1976). Appellant was not informed that his extended leave was

constructively a suspension, nor was he informed how long he would be suspended or

what would end this status. He was kept in limbo, receiving only his health and life

insurance benefits. Indeed, no process at all was given.9 Therefore, the private interest

at stake was great, namely the deprivation of the means of Appellant’s livelihood. See,

e.g., FDIC. v. Mallen, 
486 U.S. 230
, 243 (1988).

        The risk of erroneous deprivation was similarly great. At the time the decision to

suspend Appellant was made, Appellees knew only that Philadelphia law enforcement

planned to arrest Appellant. While we certainly do not call the veracity of these

statements into question, what is clear is that, at the time of suspension, no arrest had

    9
     He further did not receive a prompt, post-suspension hearing. Normally, the failure
to accord a prompt post-deprivation hearing is a due process violation. However, where
an employee is covered by a collective bargaining agreement that provides for a grievance
process (that is constitutionally sufficient) prior to the deprivation, and the employee does
not so grieve, the absence of post-deprivation process cannot be the basis for a due
process claim. In this case, Appellant claims he was not promptly informed of the
suspension. Consequently, his failure to take advantage of the pre-deprivation grievance
process cannot, without more, defeat his due process claim.

                                             13
been made, and there were conflicting stories regarding the basis of his arrest. In

Gilbert, the Supreme Court noted that the risk of erroneous deprivation was minimal, as

that plaintiff had already been arrested at the time he was suspended, thus giving the

Commonwealth of Pennsylvania reasonable grounds to support a suspension without

pay. 520 U.S. at 933
. By contrast, PHA here knew only that the Commonwealth

planned to arrest Appellant at some future date. We conclude that, where an employer is

informed that an employee will imminently be arrested, and where that employee denies

the accusations leveled against him, there is a substantial risk of an erroneous

deprivation if that employee is suspended without any pre-deprivation process.10

         Finally, the government’s interest in suspending Appellant without any sort of

pre-deprivation process was minimal. Appellant was already on leave and could not

have returned without PHA medical approval. Hence, “affording [Appellant] an

opportunity to respond prior to termination would impose neither a significant

administrative burden nor intolerable delays.” See 
Loundermill, 470 U.S. at 544
. While

we do not underestimate the importance of quickly terminating an active officer who has

been arrested, the fact that Appellant had not yet been arrested and he wasn’t “on the

streets” minimizes any remaining government interest in not according any measure of

pre-suspension process.



    10
     An actual arrest, of course, would assure that there are reasonable grounds to
support the suspension, and thus minimize the risk of an erroneous deprivation.
See 
Gilbert, 520 U.S. at 933-34
.

                                             14
         Balancing these factors, we think Appellant should have been accorded the

minimal pre-deprivation process of notice and opportunity to be heard. See 
id. at 542.
Such process would not have had to definitively resolved the dispute, but it would have

accomplished the goal of pre-deprivation process, namely an initial check against a

potentially mistaken decision. Regardless of whether Appellant could have challenged

the suspension through the grievance procedure after he had already been suspended

does not remove all need for basic pre-deprivation Goss process. See Goss v. Lopez,

419 U.S. 565
, 581 (1975). In finding otherwise, the District Court erred.11

                                             ii.

         Although not addressed by the District Court, we turn next to the November 2001

suspension with intent to terminate. We conclude that no due process violation here lies.

         Under Loudermill, “the adequacy of any hearing must be evaluated in reference to

the two essential requirements of due process, . . . notice and an opportunity to respond.”

Gniotek, 808 F.2d at 244
(quoting 
Loudermill, 470 U.S. at 545
) (internal quotation

marks omitted). Notice is sufficient if it apprises the vulnerable party of the nature of the

charges and general evidence against him, and if it is timely under the particular

circumstances of the case. See 
Goss, 419 U.S. at 581
.

         It is undisputed that Appellant was interviewed by a PHA detective on July 25,



    11
     In light of the nature of Appellant’s job, the reason for the continuation of the
medical leave, and the availability of a hearing through the grievance procedure, Judge
Alito would hold that there was no due process violation.

                                             15
2001. At that interview, which took place months prior to his eventual termination,

Appellant was confronted with specific allegations that he had lied under oath and

otherwise obstructed an investigation. He was also confronted with the evidence

supporting these accusations. In response, he admitted he had told ADA Malone that it

was possible someone else was present at the scene of the shooting, but categorically

denied allegations that he had lied about the circumstances of the shooting. Thus, the

record shows he was given notice of the charges against him, the evidence supporting

these charges, and an opportunity to respond, all in a timely manner. This is all the pre-

deprivation process that was due. See 
id. Furthermore, Appellant
received an adequate post-deprivation hearing. In

Gniotek, we concluded that a suspension with intent to dismiss is a de facto dismissal,

and such a deprivation occurs on the date an employee is 
suspended. 808 F.2d at 243
.

The grievance and arbitration process 12 that Appellant utilized satisfied the requirements

for a post-termination hearing. See 
Matthews, 424 U.S. at 335
; see also Dykes v.

Southeastern Pa. Transp. Auth., 
68 F.3d 1564
, 1572 (3d Cir. 1995). Therefore, in

addition to receiving pre-deprivation notice and opportunity to respond, Appellant also

received a conclusive post-deprivation hearing. As such, no due process violation can

lie.

       12
      As Appellees note, the collective bargaining agreement between PHA and
 Appellant’s union requires that the ten-day period prior to termination be tolled when a
 grievance is filed. After such a filing, a termination can only become effective upon
 completion of Step III of the grievance procedure.

                                              16
                                            B.

         Because we have found a procedural due process violation to have occurred with

regard to Appellant’s suspension, we must now address Appellees’ alternative arguments

they are all immune from suit under § 1983. We agree, and hence will affirm the

decision of the District Court, but on different grounds.13

                                                 i.

         PHA contends on appeal that it cannot be liable for the violations alleged by

Appellant pursuant to Monell v. Dep’t of Soc. Servs. of City of New York, 
436 U.S. 658
(1978), as Appellant has not demonstrated that any alleged deprivation was the result of

an official government policy or custom.14 To seek refuge under Monell, a local



    13
      While unnecessary to our decision, we note that qualified immunity is available only
for damages and not injunctive relief. Acierno v. Cloutier, 
40 F.3d 597
, 608 (3d Cir.
1994). Appellees thus could not have shielded themselves from Appellant’s claims for
injunctive relief. Appellant stated at oral argument that he decided to waive all prayers
for injunctive relief, 
see supra
, and thus relies only on his request for damages.
    14
      While statutes of the Commonwealth state specifically that a housing authority
organized under the Housing Authorities Law “shall in no way be deemed to be an
instrumentality of [a] city or county, or engaged in the performance of a municipal
function,” 35 Pa. Cons. Stat. § 1544, this is not dispositive of the federal qualified
immunity analysis. After Monell, it is clear that Congress did intend municipalities and
other local government units to be included among those persons to whom § 1983 
applies. 436 U.S. at 690
. Counsel for Appellee did not dispute that PHA is a person at oral
argument and we note that the United States District Court for the Eastern District of
Pennsylvania concluded the same thing in its well-reasoned, albeit unpublished,
Memorandum and Order in Wright v. Philadelphia Hous. Auth., 
1994 WL 597716
, *3
(E.D.Pa 1994), so do we find that PHA is within the definition of “person” as a local
government entity for purposes of § 1983 liability. Counsel has also waived any
immunity under the Eleventh Amendment.

                                             17
government unit must demonstrate that a deprivation of a federally-protected right was

not caused by its own unconstitutional (or illegal) policies or customs. 
See 436 U.S. at 691
; see also Groman v. Township of Manalapan, 
47 F.3d 628
, 637 (3d Cir. 1995).

        A government policy or custom can be established in two ways. Policy is
        made when a decisionmaker possess[ing] final authority to establish
        municipal policy with respect to the action issues an official proclamation,
        policy, or edict. A course of conduct is considered to be a custom when,
        though not authorized by law, such practices of state officials [are] so
        permanent and well-settled as to virtually constitute law.

Beck v. City of Pittsburgh, 
89 F.3d 966
, 971 (3d Cir. 1996) (quoting Andrews v. City of

Philadelphia, 
895 F.2d 1469
, 1480 (3d Cir.1990)) (internal quotation marks omitted).

       According to the Second-Amended Complaint, the only individuals who

participated in Appellant’s suspension were Appellees Woolley and Zappile. Hence, if

either of these employees had final decision-making authority (i.e. acted as a

“policymaker”) with regard to Appellant’s suspension, PHA can be held liable for this

deprivation. See City of St. Louis v. Praprotnik, 
485 U.S. 112
, 123 (1988). Whether

either individual is a policymaker is a question of state law. 
Id. at 142.
       Under the Pennsylvania Housing Authorities Law, 35 Pa. Cons. Stat. § 1541, et.

seq., a housing authority is governed by a Board of Commissioners which has final

policymaking authority. See 35 Pa. Cons. Stat. § 1545 (2003); 35 Pa. Cons. Stat. § 1547

(2003) (“An Authority may delegate to one or more of its agents or [employees] such of

its powers as it shall deem necessary to carry out the purposes of this act, subject always

to the supervision and control of the Authority.”) (emphasis added). In his deposition,

                                             18
Appellant conceded that Woolley nor Zappile could not, on their own, authorize a

suspension or termination, but rather such power was vested exclusively in Executive

Director Carl Greene. (Supplemental Appendix at A-252.) Given that no final

employment decision, be it suspension or termination, can ever be made by either

Woolley or Zappile in their individual capacities, they are not PHA policymakers.

Moreover, no evidence has been presented indicating that a policymaker (in this case,

either Director Greene or the Authority’s Board of Commissioners) had any hand in

Appellant’s suspension. Therefore, the decision to suspend Appellant cannot be fairly

ascribed to PHA itself as an official policy or practice under Monell, and consequently

PHA cannot be held liable for their failure to provide pre-suspension due process.

       Moreover, any failure to accord Appellant appropriate levels of pre-suspension

due process in this case was not pursuant to any custom. A custom under Monell can

usually not be established by a one-time occurrence. See Oklahoma City v. Tuttle, 
471 U.S. 808
, 823-24 (1985). (“[A] single incident of unconstitutional activity is not

sufficient to impose liability under Monell, unless proof of the incident includes proof

that it was caused by an existing, unconstitutional municipal policy, which policy can be

attributed to a municipal policymaker.”). Appellant has presented no evidence that any

other PHA employee has ever been suspended in the same manner as he was, and as we

have 
determined supra
, the actions of Appellees Woolley and Zappile could not create

policy, official or otherwise. As such, this suspension was, at most, an isolated mistake



                                            19
by two inferior officers.

         For these reasons, PHA cannot be held liable as a local government entity under §

1983 pursuant to Monell for any failure to accord Appellant appropriate due process

prior to his suspension.

                                              ii.

         Turning to the individual Appellees, both sued in their personal capacities, we

conclude that qualified immunity attaches. 15 The Supreme Court has laid out a clear,

two-part analysis for determining whether an officer is protected by qualified immunity.

See Wilson v. Layne, 
526 U.S. 603
(1999). First, a court must consider whether a

constitutional right has been violated. 
Id. at 609.
Second, a court should determine

whether it is a clearly established right that a reasonable officer should know of. 
Id. at 615.
         As we have explained, the failure to accord Appellant pre-suspension due process

in this case was a constitutional violation. Thus, we turn to whether a reasonable officer

in either Woolley or Zappile’s positions should have known as such. Whether or not a

right is clearly established is a particularized determination that must be made in light of



    15
      This conclusion does not make our Monell 
analysis supra
unnecessary. See Parrish
v. Luckie, 
963 F.2d 201
, 207 (8th Cir. 1992) (“A public entity or supervisory official may
be liable under § 1983, even though no government individuals were personally liable.”);
compare City of Los Angeles v. Heller, 
475 U.S. 796
, 799 (1986) (“If a person has
suffered no constitutional injury at the hands of the individual police officer, the fact that
the departmental regulations might have authorized the use of constitutionally excessive
force is quite beside the point.”).

                                             20
the specific facts of a case, and not as a generalized proposition. See Saucier v. Katz,

533 U.S. 194
, 206 (2001). “In order to conclude that the right which the official

allegedly violated is ‘clearly established,’ the contours of the right must be sufficiently

clear that a reasonable official would understand that what he is doing violates that

right.” Anderson v. Creighton, 
483 U.S. 635
, 635 (1987).16 A right may be clearly-

established even if there is no “previous precedent directly on point.” Good v. Dauphin

County Soc. Servs. for Children & Youth, 
891 F.2d 1087
, 1092 (3d Cir. 1989). “The

ultimate issue is whether . . . reasonable officials in the defendants’ position at the

relevant time could have believed that, in light of what was in the decided case law, that

their conduct would be lawful.” 
Id. After careful
consideration, we conclude that, under the facts of this case and the

slim case law on point, a reasonable officer in Woolley or Zappile’s position would not

have known that pre-suspension notice was constitutionally required in this case.

Perhaps most telling of this fact is the Supreme Court’s reversal of our categorical

statement in Gilbert that any suspension without pay must be preceded by some measure




    16
     We note that several courts have concluded that, under particular fact patterns, it is
not clearly-settled that the protections of the Due Process Clause extend to discipline
short of termination of public employees. See 
Gilbert, 520 U.S. at 929
; see also Strouss
v. Michigan Dep’t. of Corr., 
250 F.3d 336
, 345 (6th Cir. 2001); Romano v. Canuteson,
11 F.3d 1140
, 1142 (2d Cir. 1993); Myers v. Shaver, 
245 F. Supp. 2d 805
, 815 (W.D.Va.
2003); but see Lickiss v. Drexler, 
141 F.3d 1220
, 1222 (7th Cir. 1998); Finkelstein v.
Bergna, 
924 F.2d 1449
, 1451 (9th Cir. 1991).

                                              21
of pre-deprivation process in all instances. 
See 520 U.S. at 930
.17 Without more

guidance, Appellant’s right to pre-suspension process in this case was not well-settled,

and Woolley and Zappile are entitled to qualified immunity.

                                             C.

         Finally, we briefly address the motion for costs and sanctions pending before the

Court regarding the Appendix to Appellant’s Brief. In that motion, Appellees contend

that Appellant unreasonably refused to include documents in the Appendix that they had

requested be included. Under Federal Rule of Appellate Procedure 30(b), it was the duty

of Appellant to include all documents noticed by Appellees as reasonably necessary to

support their brief, and it was the duty of Appellees to only include documents

reasonably necessary to that end. See Fed. R. App. P. 30(b).

         According to the Appellees, Appellant failed, despite repeated requests, to include

all of the exhibits to their Motions for Summary Judgment before the District Court.

However, Appellees did not specify which pages were relevant to their appeal. The

documents that Appellees requested to be included, in their entirety, amounted to a

reasonably-sized tome. What is most interesting is that, when Appellees ultimately filed

their Supplemental Appendix, they had done what they had refused to do for Appellant:

include only those portions of the various documents which were required to support

their brief. While counsel for Appellant should have contacted his counterpart and

    17
     Moreover, Appellant has not demonstrated that either Woolley or Zappile knew that
the extension of Appellant’s medical leave was in fact a constructive suspension.

                                             22
explained his position on their submission requests prior to filing the Appendix with the

Court (especially after he had initially agreed to Appellees’ submission requests),

Appellees should have made a good faith effort to limit their document requests to what

was truly relevant to the appeal.

       We conclude that neither party is completely blameless with regard to the

Appendix, and as such, we feel sanctions would be inappropriate in this case. We

therefore deny Appellees’ motion.

                                    IV. CONCLUSION

       For the foregoing reasons, we reverse the District Court’s holding that Appellant

received appropriate levels of pre-suspension procedural due process, but affirm its

ultimate conclusion as to Appellees’ liability based upon Monell and the doctrine of

qualified immunity. While not addressed by the District Court Memorandum and Order,

we further conclude that Appellant received appropriate levels of procedural due process

prior to his termination. Finally, we deny Appellees’ motion for sanctions regarding the

preparation of the Appendix.




                                            23

Source:  CourtListener

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