Omar Paez v. Claudia Mulvey , 915 F.3d 1276 ( 2019 )


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  •          Case: 16-16863   Date Filed: 02/08/2019   Page: 1 of 29
    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 16-16863
    ________________________
    D.C. Docket No. 1:15-cv-20444-JAL
    OMAR PAEZ,
    Plaintiff - Appellee,
    YOVANY DIAZ,
    JON ANTERIO,
    LYNDEAN PETERS,
    Consolidated Plaintiffs - Appellees,
    versus
    CLAUDIA MULVEY,
    an individual,
    JOHN LOYAL,
    KELLY SULLIVAN,
    an individual,
    ROBERT E. BREEDEN,
    an individual,
    Defendants - Appellants,
    FLORIDA DEPARTMENT OF LAW ENFORCEMENT, et al.,
    Defendants.
    Case: 16-16863       Date Filed: 02/08/2019      Page: 2 of 29
    ________________________
    Appeals from the United States District Court
    for the Southern District of Florida
    ________________________
    (February 8, 2019)
    Before CARNES, Chief Judge, MARCUS, Circuit Judge, and ROSS, ∗ District
    Judge.
    MARCUS, Circuit Judge:
    In 2011, Sergeant Omar Paez, Sergeant Lyndean Peters, and Officer Yovany
    Diaz (“the Appellees”) of the Golden Beach Police Department were arrested on
    various charges of public corruption. The officers were accused of, among other
    things, fraudulently failing to report off-duty police work that would have required
    them to pay administrative fees to the Department. The officers were never tried
    and the criminal charges were dropped more than three years later. They now say
    the arresting officers, Detective John Loyal of the Miami-Dade Police
    Department’s (“MDPD”) Public Corruption Investigations Bureau, and Special
    Agent Claudia Mulvey of the Florida Department of Law Enforcement (“FDLE”),
    as well as Loyal and Mulvey’s supervisors, Sergeant Kelly Sullivan (MDPD) and
    Supervisory Agent Robert Breeden (FDLE), violated their constitutional rights by
    intentionally omitting exonerating information from the probable cause affidavits
    ∗ The Honorable Eleanor L. Ross, United States District Judge for the Northern District
    of Georgia, sitting by designation.
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    that secured their arrest warrants. The district court denied Loyal, Mulvey, and
    their supervisors (“the Appellants”) the protection of qualified immunity. But even
    if the omitted information had been included in the affidavits, there would still
    have been probable cause to believe each of the Appellees had engaged in a
    scheme to defraud in violation of Florida Statute § 817.034(4). Thus, there was no
    constitutional error in the officers’ arrests pursuant to warrants based on those
    affidavits, and Loyal and Mulvey, as well as their supervisors, were entitled to
    qualified immunity.
    I.
    A.
    Appellees Paez, Peters, and Diaz were police officers in the Golden Beach
    Police Department (“GBPD”) in the late 2000s. MDPD Detective John Loyal and
    FDLE Special Agent Claudia Mulvey were assigned to investigate alleged
    misconduct at the GBPD. Loyal and Mulvey jointly submitted probable cause
    affidavits to a judge sitting in Florida’s Eleventh Judicial Circuit Court in Miami-
    Dade County that led to the issuance of arrest warrants for Paez, Peters, and Diaz.
    All three were arrested in early 2011 and subsequently released on bond. The
    criminal charges against them were dropped by the State Attorney’s Office and the
    case was dismissed in March 2014. The issue before us now is whether those
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    arrests violated the Fourth Amendment because of exculpatory information left out
    of the warrant affidavits.
    Each probable cause affidavit outlined two types of allegedly criminal
    behavior. First, because Golden Beach Police Department official time logs and
    outside employer time logs for off-duty work showed work performed during the
    same hours, the affiants averred that Paez, Peters, and Diaz were paid for off-duty
    work while simultaneously billing hours for work performed at the GBPD. In
    addition, time logs taken from some outside employers revealed off-duty work that
    was not recorded by the GBPD. The Town of Golden Beach (“the Town”)
    collected a five-dollar-per-hour administrative fee for off-duty police work to
    cover costs like insurance and the use of police vehicles. Because the invoices
    Paez, Peters, and Diaz submitted to the GBPD for off-duty work showed fewer
    hours than the time records kept by their off-duty employers, the affiants said that
    Paez, Peters, and Diaz had avoided payment of the required administrative costs.
    According to the Paez probable cause affidavit, signed by Loyal and
    Mulvey, Paez had worked 247.5 hours of unrecorded off-duty work, which would
    have required him to pay $1,237.50 in administrative fees to the Town. The
    affidavit also identified two occasions on which Paez worked off-duty for private
    employers during the same hours he was said to have worked for the GBPD,
    resulting in $212.49 of apparent “double compensation” from the Department. The
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    affidavit urged that there was probable cause to charge Paez with one count of an
    Organized Scheme to Defraud in violation of Florida Statute § 817.034(4)(a)(3)
    and one count of Grand Theft in violation of Florida Statute § 812.014(2)(c).
    The Peters affidavit, also signed by Loyal and Mulvey, found that Peters
    engaged in 199.5 hours of unrecorded off-duty work, which would have required
    him to pay $997.50 in administrative fees to the Town. The affidavit also
    identified eleven occasions on which Peters worked off-duty for private employers
    during hours he was listed as having worked for the GBPD, resulting in $1,380.12
    of apparent “double compensation” from the Department. The affidavit said there
    was probable cause to charge Peters with one count of an Organized Scheme to
    Defraud in violation of Florida Statute § 817.034(4)(a)(3), eleven counts of
    Official Misconduct in violation of Florida Statute § 838.022, one count of Grand
    Theft in violation of Florida Statute § 812.014, and one count of False and
    Fraudulent Insurance Claims in violation of Florida Statute § 817.234. 1
    1
    This count related only to Peters and was not connected in any way to the other fraud
    and official misconduct charges. The affidavit averred that Peters had committed insurance
    fraud by submitting a $6,100 insurance claim for replacement of a police canine. Sergeant Peters
    had been rear-ended by a drunk driver and submitted claims to the driver’s insurance company
    for Peters’ personal injury in the amount of $10,000, and for $10,000 in property damage on
    behalf of the Town, which included $3,900 in damages to a police vehicle and $6,100 for the
    replacement of the police canine he said had to be retired due to injuries sustained in the
    accident. The affidavit claimed that, according to veterinary records, the canine had “exhibited
    some soreness” but had not “sustain[ed] any injuries” in the accident that led to the insurance
    claim. Instead, the treating veterinarian had previously diagnosed a spinal condition and had
    recommended restricted duty or retirement for the canine before the car accident.
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    Finally, the Diaz affidavit, also signed by Loyal and Mulvey, identified 344
    hours of unrecorded off-duty work, which would have required the payment of
    $1,720 in administrative fees to the Town. The affidavit also identified five dates
    on which Diaz worked off-duty for private employers during hours he was listed as
    having worked for the GBPD, resulting in $312.00 of apparent “double
    compensation” from the Department. The affidavit claimed that there was probable
    cause to charge Diaz with one count of an Organized Scheme to Defraud in violation
    of Florida Statute § 817.034(4)(a)(3), two counts of Official Misconduct in violation
    of Florida Statute § 838.022, and one count of Grand Theft in violation of Florida
    Statute § 812.014(2)(c).
    B.
    After the criminal charges against them were dropped by the State Attorney,
    Paez, Peters, and Diaz sued Loyal, Mulvey, Breeden, Sullivan, Miami-Dade
    County, the FDLE, and the Town of Golden Beach in Florida’s Eleventh Judicial
    Circuit.2 The lawsuits were promptly removed to the United States District Court
    The civil rights complaint alleged that based on veterinary records and the accident report
    available to Mulvey and Loyal during their investigation, it was clear the dog had been injured in
    the accident and that Peters had received no personal monetary benefit from the insurance
    payout. Because we find there was probable cause to believe Peters engaged in an organized
    scheme to defraud, we need not address whether there was probable cause to believe Peters had
    engaged in insurance fraud as well. See infra at 13–14.
    2
    The district court dismissed the claims against FDLE and Miami-Dade County, and
    Plaintiffs withdrew their claim against the Town. Those claims are not relevant to this appeal.
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    for the Southern District of Florida, where they were consolidated and transferred
    to a single district judge. Each of the Appellees brought six claims relevant to this
    appeal: four § 1983 claims alleging that each of the four Appellants violated their
    Fourth Amendment rights by initiating a malicious prosecution, as well as state
    common law malicious prosecution claims against Loyal and Sullivan.
    In relevant part, the complaint urged that the affidavits submitted by Mulvey
    and Loyal should have included additional -- and importantly, exonerating --
    information known to the affiants. This information, the complaint said, would
    have revealed that their conduct was not criminal. As for the unpaid administrative
    fees, the complaint alleged that the GBPD “had no authority” to charge the fees to
    the officers. In addition, the Appellees “had paid, and in fact had actually
    overpaid, the claimed administrative fees.” Meanwhile, the claimed incidents of
    overlapping on-duty and off-duty work, the complaint further alleged, represented
    the practice of using “flex time” to avoid overtime billing, a practice “well known
    to, and condoned by” the GBPD. That is, while the records of hours worked at the
    GBPD did not reflect the actual hours worked, the Department allowed its law
    enforcement officers to engage in this practice.
    The complaint also asserted that Mulvey and Loyal knew that the officers’
    conduct was not criminal or improper. It referenced five relevant pieces of omitted
    evidence:
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    [D]uring the investigation, Mulvey and Loyal: (1) were given a copy
    of the [Collective Bargaining Agreement for the GBPD], that clearly
    and by its express terms, did not authorize Golden Beach to charge its
    police officers the administrative fees but only authorized the off-duty
    employers to be charged; (2) secured witness statements from Golden
    Beach Chief Skinner that part-time police officers such as . . . for part
    of the covered period Diaz, were not covered by the CBA and its
    administrative fee policy; (3) chose to ignore undisputed evidence that
    Plaintiffs Paez, Peters, and Diaz had fully paid -- and had even
    overpaid -- the claimed administrative fees; (4) secured a sworn
    statement by Golden Beach Town Manager A. Diaz that Golden
    Beach officers regularly paid the fees late and Golden Beach would
    accept those late payments; [and] (5) were provided with sworn
    statements of [Police Chief] Skinner in 2010 and Golden Beach Police
    Captain Joseph Barasoain (“Barasoain”) in 2011 that discussed the
    “flex time” policy and were thus informed about the “flex time”
    practice as justification for the alleged double reporting of off-duty
    and on-duty work hours . . . .
    The complaint said that since Mulvey and Loyal knew these facts, their affidavits
    contained knowingly false and misleading statements and omitted substantial
    exculpatory evidence.
    The complaint urged that Mulvey’s supervisor (Breeden) and Loyal’s
    supervisor (Sullivan) also were liable for the misrepresentations made by officers
    Mulvey and Loyal. Breeden and Sullivan allegedly knew about the exculpatory
    evidence and also knew there was no probable cause to believe any crimes had
    been committed. Yet, they wrongfully approved the arrest warrant affidavits. The
    complaint added that Breeden and Sullivan were made aware of the contradictory
    facts by Mulvey and Loyal, and from their review of the investigative reports and
    all of the evidence and testimony that had been compiled.
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    The Appellants jointly moved the district court to dismiss all of the claims,
    arguing that there was no wrongful arrest and no malicious prosecution, and thus
    that they were entitled to qualified immunity. The district court granted the motion
    in part and denied it in part. It rejected the motion to dismiss the § 1983 malicious
    prosecution claims and the state common law malicious prosecution claims leveled
    against Mulvey and Loyal. The trial court concluded that the complaint plausibly
    alleged that Mulvey and Loyal intentionally or recklessly made material omissions
    in their probable cause affidavits and that the inclusion of the omitted information
    would have negated any finding of probable cause. Thus, Mulvey and Loyal were
    not entitled to qualified immunity.
    As for the § 1983 supervisory liability claims, the district court dismissed
    Paez and Diaz’s § 1983 claims against Breeden because Breeden was no longer
    Mulvey’s supervisor at the time the relevant affidavits were submitted. However,
    the court denied the motion to dismiss all three § 1983 supervisory liability claims
    against Sullivan and Peters’ § 1983 supervisory liability claim against Breeden;
    like Mulvey and Loyal, the supervisors were not entitled to qualified immunity.
    Mulvey, Breeden, Loyal, and Sullivan timely filed this interlocutory appeal.
    II.
    “We review de novo a district court’s decision to grant or deny the defense
    of qualified immunity on a motion to dismiss, accepting the factual allegations in
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    the complaint as true and drawing all reasonable inferences in the [nonmoving
    party’s] favor.” Dalrymple v. Reno, 
    334 F.3d 991
    , 994 (11th Cir. 2003).
    A.
    Qualified immunity protects public officers “from undue interference with
    their duties and from potentially disabling threats of liability.” Harlow v.
    Fitzgerald, 
    457 U.S. 800
    , 806 (1982). It allows government officials to “carry out
    their discretionary duties without the fear of personal liability or harassing
    litigation.” Oliver v. Fiorino, 
    586 F.3d 898
    , 904 (11th Cir. 2009). “Because
    qualified immunity is a defense not only from liability, but also from suit, it is
    important for a court to ascertain the validity of a qualified immunity defense as
    early in the lawsuit as possible.” Lee v. Ferraro, 
    284 F.3d 1188
    , 1194 (11th Cir.
    2002) (quotation omitted).
    In order to establish qualified immunity, a defendant first must show that she
    was acting within the scope of her discretionary authority at the time of the alleged
    misconduct. See, e.g., 
    Oliver, 586 F.3d at 905
    ; O’Rourke v. Hayes, 
    378 F.3d 1201
    ,
    1205 (11th Cir. 2004). No one disputes that Mulvey and Loyal were acting within
    the scope of their discretionary authority in investigating corruption in the Golden
    Beach Police Department, and in submitting probable cause affidavits, or that
    Breeden and Sullivan were acting within the scope of their discretionary authority
    in supervising Mulvey and Loyal.
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    Once a defendant has established that she was acting within her
    discretionary authority, the burden shifts to the plaintiff to show that qualified
    immunity is not appropriate. 
    Lee, 284 F.3d at 1194
    . The arresting officer would
    be entitled to qualified immunity unless the plaintiff establishes that “(1) [she]
    violated a federal statutory or constitutional right, and (2) the unlawfulness of [her]
    conduct was ‘clearly established at the time.’” Manners v. Cannella, 
    891 F.3d 959
    ,
    968 (11th Cir. 2018) (quoting District of Columbia v. Wesby, 
    138 S. Ct. 577
    , 589
    (2018)). These two requirements may be analyzed in any order. See Pearson v.
    Callahan, 
    555 U.S. 223
    , 236 (2009). The questions, then, boil down to whether
    Mulvey and Loyal’s conduct violated the Fourth Amendment, and whether it was
    clearly established at the time that their conduct did so. Because we conclude that
    Mulvey and Loyal did not violate any constitutional right, we have no reason to
    address separately the “clearly established” prong.
    B.
    A constitutional claim brought pursuant to § 1983 must begin with the
    identification of a specific constitutional right that has allegedly been infringed.
    Albright v. Oliver, 
    510 U.S. 266
    , 270 (1994). Paez, Peters, and Diaz say that each
    of the Appellants violated the Fourth Amendment in pursuing malicious
    prosecutions against them. In order “[t]o establish a federal malicious prosecution
    claim under § 1983, a plaintiff must prove (1) the elements of the common law tort
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    of malicious prosecution, and (2) a violation of her Fourth Amendment right to be
    free of unreasonable seizures.” See, e.g., Kingsland v. City of Miami, 
    382 F.3d 1220
    , 1234 (11th Cir. 2004). “[T]he constituent elements of the common law tort
    of malicious prosecution include[]: (1) a criminal prosecution instituted or
    continued by the present defendant; (2) with malice and without probable cause;
    (3) that terminated in the plaintiff accused’s favor; and (4) caused damage to the
    plaintiff accused.” Wood v. Kesler, 
    323 F.3d 872
    , 882 (11th Cir. 2003).
    This appeal turns on the second part of the federal malicious prosecution
    claim: whether Paez, Peters, and Diaz were unreasonably seized in violation of the
    Fourth Amendment. If the conduct alleged did not violate the Fourth Amendment,
    the Appellants would be entitled to qualified immunity and the suit must be
    dismissed. A § 1983 malicious prosecution claim includes, though is not limited
    to, an unconstitutional arrest. See, e.g., 
    Kingsland, 382 F.3d at 1235
    ; Kjellsen v.
    Mills, 
    517 F.3d 1232
    , 1238 (11th Cir. 2008); Whiting v. Traylor, 
    85 F.3d 581
    , 584
    (11th Cir. 1996); see also Heck v. Humphrey, 
    512 U.S. 477
    , 484 (1994). An arrest
    made without probable cause is an unreasonable seizure. See, e.g., Grider v. City
    of Auburn, 
    618 F.3d 1240
    , 1256 (11th Cir. 2010). The Fourth Amendment
    provides, in pertinent part, that “no Warrants shall issue, but upon probable cause,
    supported by Oath or affirmation,” U.S. Const. amend. IV, and the law requires
    that a warrant for an arrest be supported by “sufficient information to establish
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    probable cause,” Holmes v. Kucynda, 
    321 F.3d 1069
    , 1083 (11th Cir. 2003) (citing
    Franks v. Delaware, 
    438 U.S. 154
    , 164 (1978)); see also Illinois v. Gates, 
    462 U.S. 213
    , 238–39 (1983). Probable cause, in turn, is established “when the facts and
    circumstances within the officer’s knowledge, of which he or she has reasonably
    trustworthy information, would cause a prudent person to believe, under the
    circumstances shown, that the suspect has committed, is committing, or is about to
    commit an offense.” Durruthy v. Pastor, 
    351 F.3d 1080
    , 1088 (11th Cir. 2003)
    (emphasis omitted) (quoting McCormick v. City of Fort Lauderdale, 
    333 F.3d 1234
    , 1243 (11th Cir. 2003)).
    The affidavits alleged that there was probable cause to believe each Appellee
    had committed multiple crimes. At oral argument, all of the parties conceded that
    the existence of probable cause (or even arguable probable cause) as to any one
    offense would defeat a § 1983 malicious prosecution claim. Though this issue is
    unresolved in our case law pertaining to § 1983 malicious prosecution claims, we
    have said that arguable probable cause as to any one offense is sufficient to defeat
    § 1983 claims for other Fourth Amendment violations, including false arrest and
    unlawful searches. See Madiwale v. Savaiko, 
    117 F.3d 1321
    , 1327 (11th Cir.
    1997) (finding officer entitled to qualified immunity when a misstatement in a
    search warrant vitiated arguable probable cause as to one offense, but the
    misstatement was “not relevant to the existence of probable cause to believe that . .
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    . other . . . crimes had been committed”); Bailey v. Bd. of Cty. Comm’rs of
    Alachua Cty., 
    956 F.2d 1112
    , 1119 n.4 (11th Cir. 1992) (“The validity of an arrest
    does not turn on the offense announced by the officer at the time of the arrest.”).
    Based on the parties’ concessions, we need not resolve the question as it relates to
    malicious prosecution. Rather, we assume arguendo that a finding of probable
    cause (or arguable probable cause) as to one offense announced in the affidavit
    would defeat the Appellees’ § 1983 malicious prosecution claims.
    Probable cause “‘requires only a probability or substantial chance of
    criminal activity, not an actual showing of such activity.’ Probable cause ‘is not a
    high bar.’” 
    Wesby, 138 S. Ct. at 586
    (first quoting 
    Gates, 462 U.S. at 243
    –44 n.13;
    then quoting Kaley v. United States, 
    134 S. Ct. 1090
    , 1103 (2014)). Far from
    “‘requir[ing] convincing proof’ that [an] offense was committed,” probable cause
    is a flexible and fluid concept, that looks instead to the totality of the circumstances
    to determine the reasonableness of the officer’s belief that a crime has been
    committed. 
    Manners, 891 F.3d at 968
    (quoting 
    Bailey, 956 F.2d at 1120
    ).
    Accordingly, “[t]he test for probable cause is not reducible to ‘precise definition or
    quantification,’” and “[f]inely tuned standards such as proof beyond a reasonable
    doubt or by a preponderance of the evidence . . . have no place in the [probable-
    cause] decision.’” Florida v. Harris, 
    133 S. Ct. 1050
    , 1055 (2013) (first quoting
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    29 Md. v
    . Pringle, 
    540 U.S. 366
    , 371 (2003); then quoting 
    Gates, 462 U.S. at 235
    ).
    Importantly, as we noted in Manners, an affirmative defense to an alleged
    crime does not necessarily vitiate probable cause. 
    Manners, 891 F.3d at 971
    –72.
    Indeed, “arresting officers, in deciding whether probable cause exists, are not
    required to sift through conflicting evidence or resolve issues of credibility, so long
    as the totality of the circumstances present a sufficient basis for believing that an
    offense has been committed.” Dahl v. Holley, 
    312 F.3d 1228
    , 1234 (11th Cir.
    2002), abrogated on other grounds by Lozman v. City of Riviera Beach, 
    138 S. Ct. 1945
    (2018). This is so, in part, because probable cause is a preliminary
    determination made initially in an ex parte proceeding. Again, it does not require
    anything close to conclusive proof or proof beyond a reasonable doubt that a crime
    was in fact committed, or even a finding made by a preponderance of the evidence.
    See 
    Manners, 891 F.3d at 968
    . A law enforcement officer is not required to
    resolve every inconsistency found in the evidence. Moreover, police officers
    aren’t lawyers; we do not expect them to resolve legal questions or to weigh the
    viability of most affirmative defenses. See Williams v. City of Albany, 
    936 F.2d 1256
    , 1260 (11th Cir. 1991) (“Whether the statute of limitations bars a prosecution
    is a question of law. The officers properly deferred legal decisions to the district
    attorney.”). So long as it is reasonable to conclude from the body of evidence as a
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    whole that a crime was committed, the presence of some conflicting evidence or a
    possible defense will not vitiate a finding of probable cause. The touchstone
    remains the reasonableness of the officer’s conduct.
    It is also true that officers may not lie about or conceal critical information.
    The Supreme Court has held that the Fourth Amendment demands a warrant
    affiant provide information with a reasonable belief in its veracity:
    [W]hen the Fourth Amendment demands a factual showing sufficient
    to comprise ‘probable cause,’ the obvious assumption is that there will
    be a truthful showing. . . . This does not mean “truthful” in the sense
    that every fact recited in the warrant affidavit is necessarily correct . . .
    [but] surely it is to be “truthful” in the sense that the information put
    forth is believed or appropriately accepted by the affiant as true.
    
    Franks, 438 U.S. at 165
    –66. Intentional or reckless material misstatements or
    omissions in a warrant affidavit thus could violate the Fourth Amendment. Kelly
    v. Curtis, 
    21 F.3d 1544
    , 1555 (11th Cir. 1994). Negligent misstatements or
    omissions, on the other hand, do not. 
    Id. We have
    employed a two-part test to determine whether a misstatement in
    an officer’s warrant affidavit amounts to a violation of the Fourth Amendment.
    First, we ask whether there was an intentional or reckless misstatement or
    omission. Then, we examine the materiality of the information by inquiring
    whether probable cause would be negated if the offending statement was removed
    or the omitted information included. See United States v. Kirk, 
    781 F.2d 1498
    ,
    1502 (11th Cir. 1986) (“[W]e must consider: (1) whether the alleged misstatements
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    in the affidavit were made either intentionally or in reckless disregard for the truth,
    and, if so, (2) whether, after deleting the misstatements, the affidavit is insufficient
    to establish probable cause.” (citing Franks, 
    438 U.S. 154
    )); see also 
    Madiwale, 117 F.3d at 1326
    –27 (“[A] warrant affidavit violates the Fourth Amendment when
    it contains omissions made intentionally or with a reckless disregard for the
    accuracy of the affidavit . . . if inclusion of the omitted facts would have prevented
    a finding of probable cause.” (internal citation and quotation omitted)); Stewart v.
    Donges, 
    915 F.2d 572
    , 582 n.13 (10th Cir. 1990) (“Whether the omitted statement
    was material is determined by examining the affidavit as if the omitted information
    had been included and inquiring if the affidavit would still have given rise to
    probable cause for the warrant.”).
    Three basic rules, then, guide our consideration today: (1) a warrant for
    arrest must establish probable cause for an offense; (2) a warrant affidavit must
    contain truthful statements that do support probable cause; and (3) an affidavit’s
    omissions may lead to an unreasonable and unconstitutional warrant-based arrest if
    information that the affiant knew about but intentionally or recklessly disregarded
    negates a finding of probable cause. Because at this stage in the proceedings we
    must accept the facts as alleged in the complaint as true, we take as true that the
    exculpatory information was known to Loyal and Mulvey and their omission was
    made either intentionally or in reckless disregard of the truth. Our only question,
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    then, is whether the affidavits still would have established probable cause to
    believe the officers had violated Florida Statute § 817.034(4), if they had included
    the omitted information that they knew about. If so, Mulvey and Loyal did not
    violate the Fourth Amendment, nor did their supervisors, and each of them would
    be entitled to qualified immunity.
    Paez, Peters, and Diaz face a difficult road in perfecting their § 1983 claims.
    As the Supreme Court has explained in a similar context, “the . . . standard of
    objective reasonableness . . . defines the qualified immunity accorded an officer
    whose request for a warrant allegedly caused an unconstitutional arrest. Only
    where the warrant application is so lacking in indicia of probable cause as to render
    official belief in its existence unreasonable will the shield of immunity be lost.”
    Malley v. Briggs, 
    475 U.S. 335
    , 344–45 (1986) (citation omitted); see also 
    id. at 341
    (“Defendants will not be immune if, on an objective basis, it is obvious that no
    reasonably competent officer would have concluded that a warrant should issue;
    but if officers of reasonable competence could disagree on this issue, immunity
    should be recognized.”). Put another way, if the affidavits (including the omitted
    information) would have demonstrated even arguable probable cause -- that a
    reasonable officer could have believed an offense was committed -- then the
    officers are entitled to qualified immunity. See, e.g., 
    Grider, 618 F.3d at 1257
    .
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    Here, we find that the affidavits would have established not just arguable probable
    cause, but probable cause itself.
    IV.
    A.
    We consider the § 1983 malicious prosecution claims against Mulvey and
    Loyal together because the § 1983 claims levelled against Mulvey and Loyal are
    essentially the same. Both Mulvey and Loyal swore and signed each of the
    affidavits. Loyal was referred to as the “Affiant” and Mulvey as the “Co-Affiant.”
    The complaint alleges that Mulvey and Loyal conducted the investigation together
    and that each knew about the relevant information that the Appellees claim was
    omitted. In addition, although Mulvey and Loyal are represented by different
    counsel on appeal, each has adopted the arguments of the other.
    After reviewing all of the relevant information -- what was included and
    what was omitted -- there still was probable cause to believe Paez, Peters, and Diaz
    had engaged in an organized scheme to defraud in violation of Florida’s criminal
    law, and that, therefore, there was no violation of the Fourth Amendment. Reliable
    information described in the affidavits still would have led a reasonable officer to
    believe that Paez, Peters, and Diaz intentionally failed to report off-duty work
    hours that would have required them to pay administrative fees. The omissions do
    not undercut the reasonableness of the belief. Among other things, the affidavits
    19
    Case: 16-16863     Date Filed: 02/08/2019    Page: 20 of 29
    asserted probable cause to charge each of the three law enforcement officers with
    engaging in an organized scheme to defraud in violation of the Florida
    Communications Fraud Act, Florida Statute § 817.034. The relevant provision of
    Florida’s penal code makes it a crime to “engage[] in a scheme to defraud and
    obtain[] property thereby.” Fla. Stat. § 817.034(4)(a). “Property” is defined as
    “anything of value.” Fla. Stat. § 817.034(3)(c). A “scheme to defraud” is “a
    systematic, ongoing course of conduct with intent to defraud one or more persons,
    or with intent to obtain property from one or more persons by false or fraudulent
    pretenses, representations, or promises or willful misrepresentations of a future
    act.” Fla. Stat. § 817.034(3)(d). To “defraud” means to “cause injury or loss to (a
    person or organization) by deceit; to trick (a person or organization) in order to get
    money.” Defraud, Black’s Law Dictionary 516 (10th ed. 2014) (internal
    punctuation omitted).
    Although there are countless ways to engage in a scheme to defraud --
    indeed the concept is as wide as the imagination of man -- the conduct here would
    fit the basic statutory definitions. Having repeatedly and deceptively failed to
    report off-duty work hours and having thereby deprived the Town of fees to which
    it was rightfully entitled, the Appellees appeared to have engaged in a “systematic,
    ongoing course of conduct with intent to defraud.” Fla. Stat. § 817.034(3).
    Probable cause, then, comes down to this: since Paez, Peters, and Diaz repeatedly
    20
    Case: 16-16863     Date Filed: 02/08/2019    Page: 21 of 29
    withheld relevant information about off-duty work in order to avoid payment of
    fees, there was sound reason to believe each had engaged in an organized scheme
    to defraud. The affidavits themselves set out sufficient facts drawn from more than
    one reliable source that would lead a reasonable officer to believe the Appellees
    repeatedly withheld information in order to avoid paying fees. The claimed
    omissions do not undermine the reasonableness of the affidavits.
    The civil rights complaint references three pieces of omitted information:
    that the administrative fees were not legally owed by the officers; that, in any
    event, the officers were allowed to pay the fees late; and that the officers had, in
    fact, paid the fees. We examine each in turn. Since the omitted facts only relate to
    whether Paez, Peters, and Diaz had the “intent to defraud” or the “intent to obtain
    property . . . by false or fraudulent . . . representations,” our analysis focuses on
    intent.
    First, the Appellees say that, pursuant to Article 29 of the Collective
    Bargaining Agreement (“CBA”) between the Town and the police officer’s union,
    the GBPD expressly agreed to charge administrative fees only to off-duty
    employers, not to the officers themselves. Thus, they say, because Mulvey and
    21
    Case: 16-16863       Date Filed: 02/08/2019       Page: 22 of 29
    Loyal had a copy of the CBA, 3 they knew or should have known that the officers
    were not contractually responsible for paying the administrative fees.
    We remain unpersuaded. Even with conflicting information about whether
    the officers were responsible for paying the administrative fees, the affiants still
    could reasonably believe that Paez, Peters, and Diaz were required to report their
    off-duty work hours and pay the administrative fees. This is so because reliable
    sources told them as much. Mulvey and Loyal were informed by the Golden
    Beach Finance Director, Maria Camacho, that “GBPD officers who work off-duty
    details are required to pay an administrative fee.” The Appellees do not dispute
    that Mulvey and Loyal were told this. And the Finance Director’s responsibilities
    included collecting the fees, so it was perfectly reasonable for the investigating
    officers to credit her account.
    The investigating officers did not rely just on this statement, however.
    According to their affidavits, Mulvey and Loyal also reviewed GBPD spreadsheet
    records, which catalogued GBPD officers’ off-duty work and the payment of
    administrative fees. Indeed, those spreadsheets contained highly detailed
    information about the payment of administrative fees, including the amount of fees
    3
    Mulvey and Loyal apparently did have the CBA and did recognize its significance to the
    administrative fees. At least one of the affidavits recognized that the CBA covered the
    administrative fees, saying the fees “are required to be paid by all GBPD officers covered by the
    Collective Bargaining Agreement working off-duty details.”
    22
    Case: 16-16863      Date Filed: 02/08/2019    Page: 23 of 29
    owed and paid, the date of payment, and even the form of payment. These
    spreadsheets came from reliable sources. The Golden Beach Finance Director
    explained that the officers themselves were responsible for any missing details in
    the spreadsheets -- “the accuracy of the spreadsheet relies upon the accuracy of the
    documentation submitted by the off-duty officer and [the Operations Captain].” In
    fact, even the Appellees say, in a charge they leveled against the Town of Golden
    Beach, that there was an “unwritten policy and practice[] to charge the Golden
    Beach police officers . . . [the] administrative fee.” A reasonable investigating
    officer could accept that the CBA said one thing but that the policy and practice
    was quite another.
    As we’ve noted, probable cause is a preliminary determination. The
    investigating officers were not required to resolve legal matters in dispute,
    understand the nuances of any possible defense, or answer them in order to decide
    whether there was probable cause. 
    Jordan, 487 F.3d at 1356
    –57. Even if there was
    an affirmative defense that the fees were not contractually owed by the officers
    themselves and they therefore received no legal benefit from their conduct, that
    defense does not negate the preliminary determination of probable cause.
    In the second place, the Appellees say that -- even if the officers themselves
    were required to pay the administrative fees -- Golden Beach allowed its officers to
    pay the fees late. As we see it, this fact is irrelevant. The affidavits didn’t claim
    23
    Case: 16-16863      Date Filed: 02/08/2019    Page: 24 of 29
    that Paez, Peters, and Diaz had failed to timely remit payments due. Rather, the
    affidavits charged the three officers with having taken affirmative steps to conceal
    essential facts from their employer (the GBPD) that would have evidenced that
    administrative fees were owed. Paez, Peters, and Diaz offer no explanation for the
    discrepancies found in the spreadsheets apparently based on their failure to report
    essential facts. The spreadsheets were compared with off-duty employer records,
    and the comparison revealed repeated instances of unreported or under-reported
    off-duty work.
    Finally, the Appellees claim that the affidavits omitted any reference to a
    2010 sworn statement by the Golden Beach Finance Director indicating that they
    had fully paid -- indeed, had overpaid -- the claimed administrative fees for the off-
    duty work that they had reported. The problem again, however, is that the failure
    to pay is not the central element of the charged fraud; rather, the failure to report
    the off-duty hours is the critical component. The affidavits asserted that the
    spreadsheets maintained by the GBPD and the Town of Golden Beach, at the time
    that they reviewed it, had been “recently updated.” Yet the spreadsheets, when
    compared to records drawn from off-duty employers, revealed numerous instances
    of off-duty work being omitted. Thus, for example, the affidavit supporting the
    arrest warrant for Paez identified some 37 separate dates of off-duty work between
    December 2008 and September 2009 that were missing from the spreadsheets. The
    24
    Case: 16-16863     Date Filed: 02/08/2019   Page: 25 of 29
    affidavit supporting the Peters arrest identified 21 such dates between December
    2008 and September 2009. And the affidavit providing the basis for the warrant to
    arrest Diaz, in turn, identified 46 such dates between March 2009 and December
    2009. The affidavits also said that Mulvey and Loyal reviewed subpoenaed
    “payroll records, off-duty, and on-duty logs” from the GBPD and the Town of
    Golden Beach in April 2010. None of the omitted information suggests that the
    investigating officers’ sources were unreliable or that there weren’t significant
    discrepancies between the GBPD spreadsheets and off-duty employer records.
    Mulvey and Loyal reasonably believed that Paez, Peters, and Diaz
    committed fraud by their repeated failure to report regardless of the fee-payment
    status. And even if the affidavits had included a statement saying that in 2010 the
    Appellees had paid the “claimed administrative fees” -- the fees for the work they
    had reported -- nothing about the payment status would negate a finding that they
    intentionally concealed material information from the Department. The unreported
    information was relevant, material to any examining official, and it should have
    been reported. The investigating officers had reason to believe that Paez, Diaz,
    and Peters were required to pay administrative fees, and that they were also
    required to report their off-duty hours to the Golden Beach Police Department. A
    prudent person would have believed based on an examination of all the operative
    facts -- what was included and what was omitted -- that the officers had engaged in
    25
    Case: 16-16863     Date Filed: 02/08/2019    Page: 26 of 29
    a scheme to defraud in violation of Florida law. Their arrests were not
    unreasonable and did not violate the Fourth Amendment. Since the allegations,
    taken as true, do not establish a violation of the Constitution, Mulvey and Loyal
    were entitled to qualified immunity on each of the § 1983 malicious prosecution
    claims.
    Finally, because Mulvey and Loyal committed no constitutional violations,
    their supervisors, Breeden and Sullivan, cannot be found liable either for violating
    § 1983. The claims against Sergeant Sullivan and Supervisory Agent Breeden are
    premised entirely on their supervision of Loyal and Mulvey. But “there can be no
    supervisory liability . . . if there was no underlying constitutional violation.” Gish
    v. Thomas, 
    516 F.3d 952
    , 955 (11th Cir. 2008); see also Myers v. Bowman, 
    713 F.3d 1319
    , 1328 (11th Cir. 2013) (“[A] supervisor may not be held liable under
    section 1983 unless the supervised official committed an underlying violation of a
    constitutional right.”). Since there was no Fourth Amendment violation, much less
    a clearly established Fourth Amendment violation, Breeden and Sullivan are
    entitled to qualified immunity as well.
    B.
    The Appellees also brought common law malicious prosecution claims
    under Florida law against Mulvey and Loyal, though not against their supervisors.
    The district court again refused to dismiss the claims on the grounds that they are
    26
    Case: 16-16863     Date Filed: 02/08/2019   Page: 27 of 29
    barred under Florida law by official immunity, a species of sovereign immunity
    that shields officers from tort liability unless the officer “acted in bad faith or with
    malicious purpose or in a manner exhibiting wanton and willful disregard of
    human rights, safety, or property.” Fla. Stat. § 768.28(9)(a).
    In Florida, the elements of the common law tort of malicious prosecution are
    these:
    (1) an original judicial proceeding against the present plaintiff was
    commenced or continued; (2) the present defendant was the legal
    cause of the original proceeding; (3) the termination of the original
    proceeding constituted a bona fide termination of that proceeding in
    favor of the present plaintiff; (4) there was an absence of probable
    cause for the original proceeding; (5) there was malice on the part of
    the present defendant; and (6) the plaintiff suffered damages as a
    result of the original proceeding.
    Durkin v. Davis, 
    814 So. 2d 1246
    , 1248 (Fla. 2d DCA 2002).
    We have pendent appellate jurisdiction over the district court’s denial of the
    motion to dismiss these state law claims. The denial of qualified immunity as to
    the § 1983 claims falls squarely within our appellate jurisdiction. See Mitchell v.
    Forsyth, 
    472 U.S. 511
    , 530 (1985); see also Howe v. City of Enterprise, 
    861 F.3d 1300
    , 1302 (11th Cir. 2017); Dalrymple v. Reno, 
    334 F.3d 991
    , 994 (11th Cir.
    2003). We also have pendent appellate jurisdiction over issues that are
    “inextricably intertwined” or “inextricably interwoven” with the issue on appeal.
    See United States v. Masino, 
    869 F.3d 1301
    , 1305 (11th Cir. 2017); Harris v. Bd.
    of Educ. Of Atlanta, 
    105 F.3d 591
    , 594 (11th Cir. 1997). Pendent appellate
    27
    Case: 16-16863      Date Filed: 02/08/2019    Page: 28 of 29
    jurisdiction is limited and rarely used. See King v. Cessna Aircraft Co., 
    562 F.3d 1374
    , 1379–80 (11th Cir. 2009). Issues are not “inextricably intertwined” with the
    question on appeal when “the appealable issue can be resolved without reaching
    the merits of the nonappealable issues.” In re MDL-1824 Tri-State Water Rights
    Litig., 
    644 F.3d 1160
    , 1179 (11th Cir. 2011). Here, however, we cannot evaluate
    the denial of qualified immunity on the § 1983 malicious prosecution claims
    without necessarily evaluating the merits underlying the state law malicious
    prosecution claims. Both analyses require us to consider whether the affidavits
    sufficiently establish probable cause. Where a finding of probable cause (or
    arguable probable cause) is a component of a qualified-immunity claim on appeal,
    a state law claim that also depends on the existence of probable cause is
    “inextricably intertwined” for purposes of pendent appellate jurisdiction. See
    Valderrama v. Rousseau, 
    780 F.3d 1108
    , 1111 n.3 (11th Cir. 2015).
    We review the district court’s ruling on a motion to dismiss de novo. See
    Fortner v. Thomas, 
    983 F.2d 1024
    , 1027 (11th Cir. 1993). The denial of a motion
    to dismiss is proper if the plaintiff’s complaint, taking the facts alleged therein as
    true, makes out a claim “that is plausible on its face.” Ashcroft v. Iqbal, 
    556 U.S. 662
    , 678 (2009) (quoting Bell Atlantic Corp. v. Twombly, 
    550 U.S. 544
    , 570
    (2007)).
    28
    Case: 16-16863    Date Filed: 02/08/2019   Page: 29 of 29
    Our Fourth Amendment § 1983 probable cause analysis applies with equal
    force to state common law malicious prosecution claims. The absence of probable
    cause is a necessary element of common law malicious prosecution. See Miami-
    Dade County v. Asad, 
    78 So. 3d 660
    , 664 (Fla. 3d DCA 2012). For the same
    reasons the complaint has failed to make out a § 1983 malicious prosecution claim,
    it also fails to plausibly allege a state common law malicious prosecution claim.
    These claims, too, should have been dismissed.
    The long and short of it is that officers Mulvey and Loyal submitted warrant
    affidavits supporting a finding of probable cause. Nothing alleged in the
    Appellees’ civil rights complaint undermines probable cause and thus, Mulvey and
    Loyal, as well as their supervisors Breeden and Sullivan, were entitled to qualified
    immunity on the § 1983 claims. And because there was probable cause to arrest,
    the state law malicious prosecution claims fail as well. The judgment of the
    district court is reversed and the cause remanded for further proceedings consistent
    with this opinion.
    REVERSED and REMANDED.
    29
    

Document Info

Docket Number: 16-16863

Citation Numbers: 915 F.3d 1276

Filed Date: 2/8/2019

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (37)

Robert Stewart v. Donald Donges , 915 F.2d 572 ( 1990 )

Gish Ex Rel. Estate of Gish v. Thomas , 516 F.3d 952 ( 2008 )

Donato Dalrymple v. Janet Reno , 334 F.3d 991 ( 2003 )

Kjellsen v. Mills , 517 F.3d 1232 ( 2008 )

King v. Cessna Aircraft Co. , 562 F.3d 1374 ( 2009 )

Melinda Holmes v. Steven C. Kucynda, Marty David Rolfe, ... , 321 F.3d 1069 ( 2003 )

Kim D. Lee v. Luis Ferraro , 284 F.3d 1188 ( 2002 )

United States v. David Kirk , 781 F.2d 1498 ( 1986 )

Albert Darruthy v. City of Miami , 351 F.3d 1080 ( 2003 )

Grider v. City of Auburn, Ala. , 618 F.3d 1240 ( 2010 )

In Re MDL-1824 Tri-State Water Rights Litigation , 644 F.3d 1160 ( 2011 )

Oliver v. Fiorino , 586 F.3d 898 ( 2009 )

Anthony McCormick v. City of Fort Lauderdale, Jonathan ... , 333 F.3d 1234 ( 2003 )

Harris v. Board of Education , 105 F.3d 591 ( 1997 )

Shirley Dahl v. Jim Holley , 312 F.3d 1228 ( 2002 )

Guirlaine O'Rourke v. Martin Trujillo , 378 F.3d 1201 ( 2004 )

Madiwale v. Savaiko , 117 F.3d 1321 ( 1997 )

John Kelly, Jr. v. Steven Curtis Julie M. Gibson J.R. Moore ... , 21 F.3d 1544 ( 1994 )

Melvin Alan Wood v. Michael Kesler, individually and in his ... , 323 F.3d 872 ( 2003 )

Whiting v. Traylor , 85 F.3d 581 ( 1996 )

View All Authorities »