Roseann Zirnsak v. Commissioner Social Security , 777 F.3d 607 ( 2014 )


Menu:
  •                                                                    NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    No. 14-1168
    _____________
    ROSEANN MARIE ZIRNSAK,
    Appellant
    v.
    CAROLYN W. COLVIN, COMMISSIONER SOCIAL SECURITY
    ______________
    On Appeal from the United States District Court
    for the Western District of Pennsylvania
    (D.C. Civil No. 2:13-cv-00303)
    District Judge: Honorable David Stewart Cercone
    _______________
    Submitted Pursuant to Third Circuit LAR 34.1(a)
    December 9, 2014
    Before: VANASKIE, COWEN and VAN ANTWERPEN, Circuit Judges.
    (Opinion Filed: December 9, 2014)
    _______________
    OPINION OF THE COURT*
    _______________
    VAN ANTWERPEN, Circuit Judge.
    Appellant Roseann Zirnsak brings this action to appeal the final decision of the
    District Court for the Western District of Pennsylvania, dated December 5, 2013,
    *
    This disposition is not an opinion of the full court and pursuant to I.O.P. 5.7 does
    not constitute binding precedent.
    affirming the denial of her claim for Social Security Disability Income benefits. Zirnsak
    v. Colvin, No. 2:13cv303, 
    2013 WL 6622925
    (W.D. Pa. Dec. 5, 2013). For the reasons
    that follow we will affirm the decision of the District Court.
    I.         FACTUAL BACKGROUND AND PROCEDURAL HISTORY
    In October of 2001, Ms. Roseann Zirnsak (“Zirnsak” or “the claimant”) was
    involved in a motor vehicle accident in which she sustained head and lung injuries and
    skeletal fractures. Zirnsak v. Colvin, No. 2:13cv303, 
    2013 WL 6622925
    , at *3 (W.D. Pa.
    Dec. 5, 2013). She was hospitalized following that incident from October 8, 2001 through
    November 14, 2001. 
    Id. While hospitalized,
    she was temporarily on life support. 
    Id. Upon her
    discharge, she was sent to a rehabilitation facility. 
    Id. Four days
    after entering
    the rehabilitation facility, she returned to the hospital for a procedure to have her
    gangrenous gallbladder removed. 
    Id. After her
    discharge following that procedure, she
    again returned to the rehabilitation facility. 
    Id. Zirnsak continued
    to be treated at a
    rehabilitation facility from January 16, 2002 through October 18, 2005. 
    Id. In February
    of
    2003, she suffered a seizure and sought treatment immediately thereafter. 
    Id. She was
    prescribed medication, and she did not suffer any further seizures. 
    Id. Between January
    5,
    2005 and August 11, 2006, Zirnsak underwent plastic surgery treatments for lipoma
    reductions. 
    Id. at *4.
    In the years following her accident, Zirnsak sought treatment from several medical
    professionals. Zirnsak received the following treatment relevant to her mental condition.
    Zirnsak was treated by Dr. Thomas Franz, M.D., from February 22, 2003 through
    February 3, 2010. 
    Id. Dr. Franz
    treated Zirnsak for “traumatic brain injury, left
    2
    hemiparesis cognitive impairments with short-term memory deficits, organic affective
    changes[,] and a seizure disorder.” 
    Id. Dr. Kevin
    Kelly, M.D., Ph.D., treated Zirnsak from
    February 14, 2003 through February 4, 2010. 
    Id. He diagnosed
    Zirnsak with a seizure
    disorder. 
    Id. Dr. David
    Newman, Ph.D., evaluated Zirnsak over a three-day period—from
    April 4–6, 2010. 
    Id. His report
    summarizing that evaluation noted “a suggestion of mild
    short-term memory loss and a concentration deficit.” 
    Id. Finally, on
    April 8, 2010,
    Michelle Santilli, Psy. D., performed a mental residual functional capacity (“RFC”)
    assessment of Zirnsak. 
    Id. She concluded
    that Zirnsak could perform competitive work
    on a sustained basis. 
    Id. On January
    6, 2010, Zirnsak applied for Social Security Disability Insurance
    (“SSDI”) benefits alleging a disability commencing on May 11, 2006. 
    Id. at *1.1
    The
    parties agree that Zirnsak’s date last insured was December 31, 2007. (Tr. at 32). 2
    Accordingly, the relevant period for Zirnsak’s disability determination is the period from
    May 11, 2006 to December 31, 2007. The Social Security Administration (“SSA”) denied
    Zirnsak’s application on May 17, 2010. 
    Id. On June
    14, 2010, Zirnsak requested a
    hearing, which was subsequently held on June 22, 2011. 
    Id. At the
    hearing,
    Administrative Law Judge (“ALJ”) James P. Pileggi heard testimony from Zirnsak, her
    1
    Zirnsak’s initial application asserted a disability onset date of October 8, 2001.
    Zirnsak, 
    2013 WL 6622925
    , at *1. However, at the June 22, 2011 hearing, the parties
    agreed to amend the onset of disability date to May 11, 2006. (Transcript at 31–32). May
    11, 2006 is the day immediately following the date on which a prior application for SSDI
    benefits for Zirnsak was denied. (Id. at 32).
    2
    “Tr. at _” refers to the administrative transcript filed in this case on February 27,
    2014.
    3
    husband, and a vocational expert. (Transcript “Tr.” at 30–59). On July 15, 2011, ALJ
    Pileggi issued a decision denying Zirnsak’s application for benefits. Zirnsak, 
    2013 WL 6622925
    , at *1. He found that Zirnsak was “not under a disability, as defined in the
    Social Security Act, at any time from May 11, 2006, the amended alleged onset date,
    through December 31, 2007, the date last insured.” (Tr. at 22). As part of that finding,
    ALJ Pileggi found that Zirnsak was capable of performing certain jobs available in the
    national economy, so long as those jobs were sedentary and routine. (Id. at 16). He based
    that finding, in part, on testimony from a vocational expert who opined that Zirnsak was
    capable of working as an order clerk (food and beverage), charge account clerk,
    telephone clerk, or sedentary subassembler. (Id. at 21–22).
    That decision became final on January 9, 2013, when, after reconsideration, the
    Appeals Council affirmed the prior determination. Zirnsak, 
    2013 WL 6622925
    , at *1. On
    March 1, 2013, Zirnsak filed a complaint pursuant to 42 U.S.C. § 405(g) seeking review
    of the Commissioner’s final determination. 
    Id. On August
    12, 2013, United States
    Magistrate Judge Robert C. Mitchell filed a Report and Recommendation indicating that
    the decision of the Commissioner should be affirmed. 
    Id. On December
    3, 2013, United
    States District Judge David Stewart Cercone filed an Order adopting the Magistrate
    Judge’s Report and Recommendation as the opinion of the district court, affirming the
    denial of Zirnsak’s claim for SSDI benefits, and entering judgment for the Commissioner.
    
    Id. Zirnsak timely
    filed this appeal on January 21, 2014.
    4
    II.    DISCUSSION3
    1.     Standard of Review
    This Court reviews any findings of fact made by an ALJ under the deferential
    “substantial evidence” standard. 42 U.S.C. § 405(g); Schaudeck v. Comm’r, 
    181 F.3d 429
    , 431 (3d Cir. 1999). We must affirm the ALJ so long as his conclusions are
    supported by substantial evidence. Craigie v. Bowen, 
    835 F.2d 56
    , 57 (3d Cir. 1987).
    Substantial evidence is “such relevant evidence as a reasonable mind might accept as
    adequate to support a conclusion.” Rutherford v. Barnhart, 
    399 F.3d 546
    , 552 (3d Cir.
    2005). It is “more than a mere scintilla but may be somewhat less than a preponderance
    of the evidence.” 
    Id. We review
    the record as a whole to determine whether substantial
    evidence supports a factual finding. 
    Schaudeck, 181 F.3d at 431
    . When performing that
    review, we are mindful that we must not substitute our own judgment for that of the fact
    finder. 
    Rutherford, 399 F.3d at 552
    . We exercise plenary review over the District Court’s
    determination of legal issues. 
    Schaudeck, 181 F.3d at 431
    .
    2.     The Administrative Law Judge’s Assessment of Zirnsak’s Mental Residual
    Functioning Capacity
    The core issue in this case is whether Zirnsak was disabled within the meaning of
    the Social Security Act at any point during the period from May 11, 2006 through
    3
    The District Court had jurisdiction to review a final administrative decision by
    the Social Security Commissioner pursuant to 42 U.S.C. § 405(g). We have jurisdiction
    to review the District Court’s December 3, 2013 Order denying Zirnsak’s motion for
    summary judgment and granting the Commissioner’s motion for summary judgment
    pursuant to 28 U.S.C. § 1291 and 42 U.S.C. § 405(g).
    5
    December 31, 2007. Section 423(d)(1)(A) of the Social Security Act defines disability as
    the “inability to engage in any substantial gainful activity by reason of any medically
    determinable physical or mental impairment which can be expected to result in death or
    which has lasted or can be expected to last for a continuous period of not less than 12
    months.” 42 U.S.C. § 423(d)(1)(A) (2012). An individual is disabled if her impairments
    are severe enough that not only is she incapable of performing her previous work, but she
    is also incapable of engaging in “any other kind of substantial gainful work which exists
    in the national economy.” 
    Id. § 423(d)(2)(A).
    It is the claimant’s burden to establish that
    she is disabled. See 
    id. § 432(d)(5)(A)
    (“An individual shall not be considered to be under
    a disability unless [s]he furnishes such medical and other evidence of the existence
    thereof as the Commissioner of Social Security may require.”). The claimant must also
    establish that the onset date of disability occurred prior to the expiration of the claimant’s
    insured status. 20 C.F.R. § 404.131 (2014).
    A five-step, sequential evaluation process is employed to determine whether a
    particular claimant has met the burden of establishing disability. 20 C.F.R. § 404.1520(a)
    (2014). The five-step inquiry proceeds as follows. First, the Commissioner considers
    whether the claimant is “engaging in substantial gainful activity.” 
    Id. § 404.1520(a)(4)(i).
    If yes, then the claimant is not disabled. 
    Id. Second, the
    Commissioner considers the
    severity of the claimant’s impairment(s). 
    Id. § 404.1520(a)(4)(ii).
    If the claimant’s
    impairment(s) are either not severe or do not meet the duration requirement, the claimant
    is not disabled. 
    Id. Third, the
    Commissioner considers whether the claimant’s
    impairment(s) meet or equal the requirements of one of the Commissioner’s listed
    6
    impairments. 
    Id. § 404.1520(a)(4)(iii).
    If the claimant’s impairment(s) meet the
    requirements of a listed impairment, then the claimant is disabled. 
    Id. If not,
    then the inquiry proceeds to the fourth step, where the Commissioner
    considers whether the claimant can return to her past work. 
    Id. § 404.1520(a)(4)(iv).
    To
    determine whether the claimant can perform her past work, the Commissioner assesses
    the claimant’s residual functional capacity (“RFC”). 
    Id. § 404.1520(e).
    A claimant’s RFC
    measures “the most [she] can do despite [her] limitations.” 
    Id. § 404.1545(a)(1).
    The
    Commissioner examines “all of the relevant medical and other evidence” to make its
    RFC determination. 
    Id. § 404.1545(a)(3).
    If the Commissioner finds that the claimant can
    still perform her past work, she is not disabled. 
    Id. § 404.1520(a)(4)(iv).
    It is important to
    note that during steps two through four of the inquiry, the claimant always bears the
    burden of establishing (1) that she is severely impaired, and (2) either that the severe
    impairment meets or equals a listed impairment, or that it prevents her from performing
    her past work. Wallace v. Sec’y of Health & Human Servs., 
    722 F.2d 1150
    , 1153 (3d Cir.
    1983).
    If the claimant meets those burdens by a preponderance of the evidence, then the
    inquiry proceeds to step five, where the Commissioner bears the burden of establishing
    the existence of other available work that the claimant is capable of performing.
    20 C.F.R. § 404.1520(a)(4)(v); Kangas v. Bowen, 
    823 F.2d 775
    , 777 (3d Cir. 1987). To
    meet this burden, the Commissioner must produce evidence that establishes that “work
    exists in significant numbers in the national economy that [the claimant] can do.” 
    Id. § 404.1560.
    The Commissioner uses the RFC assessment, 
    Id. at §
    404.1520(e), and the
    7
    testimony of vocational experts and specialists, 20 C.F.R. § 404.1566(e); 416.966(e), to
    make this determination. “Ultimately, entitlement to benefits is dependent upon finding
    the claimant is incapable of performing work in the national economy.” Provenzano v.
    Comm’r of the Soc. Sec. Admin., No. CIV. 10-4460 JBS, 
    2011 WL 3859917
    , at *1
    (D.N.J. Aug. 31, 2011).
    Zirnsak’s first argument on appeal is that the ALJ’s assessment of her mental RFC
    is not supported by substantial evidence. Specifically, Zirnsak argues that the ALJ erred
    in (1) rejecting evidence from certain lay witnesses and (2) according “little weight” to
    the opinion of Dr. Newman, the doctor who evaluated Zirnsak on April 4–6, 2010.
    (Appellant’s Brief (“Br.”) at 24–25). Zirnsak contends that both categories of testimony
    provide objective evidence of a memory impairment that was not accounted for in the
    ALJ’s RFC finding, and that therefore the ALJ should have afforded them more weight.
    (Id. at 26).
    A.    Lay Testimony
    It is the claimant’s burden to establish that she became disabled at some point
    between the onset date of disability and the date that her insured status expired. In
    Zirnsak’s case, this period ranges from May 11, 2006 through December 31, 2007. As
    part of the five-step disability inquiry, an ALJ can consider evidence from non-medical
    sources to determine the severity of a claimant’s impairments and how those impairments
    impact the claimant’s ability to work. 20 C.F.R. § 404.1513(d). Non-medical sources
    include “spouses, parents and other caregivers, siblings, other relatives, friends,
    neighbors, and clergy.” 
    Id. § 404.1513(d)(4).
    The Commissioner has issued a policy
    8
    interpretation ruling “to clarify how [to] consider opinions from sources who are not
    ‘acceptable medical sources.’” SSR 06-03p, 
    2006 WL 2329939
    , at *1 (Aug. 9, 2006).
    This ruling states that ALJs should consider “such factors as the nature and extent of the
    relationship, whether the evidence is consistent with other evidence, and any other factors
    that tend to support or refute the evidence” when evaluating evidence from non-medical
    sources such as family or friends. 
    Id. To properly
    evaluate these factors, the ALJ must necessarily make certain
    credibility determinations, and this Court defers to the ALJ’s assessment of credibility.
    See Diaz v. Comm’r, 
    577 F.3d 500
    , 506 (3d Cir. 2009) (“In determining whether there is
    substantial evidence to support an administrative law judge's decision, we owe deference
    to his evaluation of the evidence [and] assessment of the credibility of witnesses . . . .”).
    However, the ALJ must specifically identify and explain what evidence he found not
    credible and why he found it not credible. Adorno v. Shalala, 
    40 F.3d 43
    , 48 (3d Cir.
    1994) (citing Stewart v. Sec’y of H.E.W., 
    714 F.2d 287
    , 290 (3d Cir. 1983)); see also
    Stout v. Comm’r, 
    454 F.3d 1050
    , 1054 (9th Cir. 2006) (stating that an ALJ is required to
    provide “specific reasons for rejecting lay testimony”). An ALJ cannot reject evidence
    for an incorrect or unsupported reason. Ray v. Astrue, 
    649 F. Supp. 2d 391
    , 402 (E.D. Pa.
    2009) (quoting Mason v. Shalala, 
    994 F.2d 1058
    , 1066 (3d Cir. 1993)).
    In 2011, several members of Zirnsak’s family and friends submitted letters to the
    ALJ on her behalf. (Tr. at 19). Each letter stated that Zirnsak “suffer[ed] from substantial
    difficulties.” (Id.). The ALJ found that these letters were only “partially credible” and
    therefore accorded them “little weight.” (Id. at 20). The ALJ specifically referenced the
    9
    three SSR 06-3p factors in explaining this decision. (Id.). First, the ALJ acknowledged
    that Zirnsak’s friends and family each clearly had an established relationship with her.
    (Id.). Second, he explained that the letters’ references to Zirnsak’s significant limitations
    were inconsistent with her limited medical treatment during the relevant period. (Id.).
    Finally, the ALJ noted that the letters did not directly address Zirnsak’s condition during
    the relevant period—from May 11, 2006 through December 31, 2007. (Id.). The ALJ
    used the same process to evaluate the testimony of the claimant’s husband, Donald
    Zirnsak. (Id.). The ALJ noted that Donald Zirnsak and the claimant had an established
    relationship. (Id.). However, the ALJ ultimately found Donald’s testimony not credible
    because of its inconsistencies with Zirnsak’s limited treatment and her reported activities
    of daily living. (Id.).
    In evaluating the lay testimony of Zirnsak’s family, friends, and husband, the ALJ
    explicitly followed the guidance set forth in SSR 06-03p. He evaluated the relevant
    factors, assessed the credibility of certain evidence, and explained why he found certain
    evidence to be not credible. 
    Ray, 649 F. Supp. 2d at 402
    . His reasons for rejecting the
    evidence are supported by substantial evidence, as the evidence did not relate to the
    narrow question presented to the ALJ: whether Zirnsak was disabled at any point
    between May 11, 2006 and December 31, 2007. We therefore defer to the ALJ’s
    credibility assessments. 
    Diaz, 577 F.3d at 506
    .
    In her brief, Zirnsak argues that two Social Security Rulings and a series of other
    cases compel a contrary result. (Appellant’s Br. at 30–32, 43). This reliance is misplaced.
    First, the two Social Security Rulings relied on by Zirnsak are not designed to provide
    10
    guidance for how to evaluate lay opinion testimony. The purpose of the first ruling cited,
    SSR 83-20, is to “describe the relevant evidence to be considered when establishing the
    onset date of disability,” not whether disability exists. SSR 83-20, 
    1983 WL 31249
    , at *1
    (1983) (emphasis added). The second ruling cited by Zirnsak, SSR 96-7p, lists its purpose
    as “to clarify when the evaluation of symptoms, including pain, . . . requires a finding
    about the credibility of an individual [claimant’s] statements.” SSR 96-7p, 
    1996 WL 374186
    (July 2, 1996). Therefore, SSR 96-7p does not address lay witnesses’ accounts of
    the claimant’s symptoms, but rather the claimant’s description of her own pain. 
    Id. Accordingly, the
    claimant’s arguments based upon these rulings and certain cases
    interpreting those rulings are inapposite. Therefore, the record is insufficient to establish
    that the ALJ erred in according little weight to the testimony of Zirnsak’s friends and
    husband.
    B.     Dr. Newman’s Testimony
    Zirnsak also argues that the ALJ erred in according the opinion of Dr. Newman,
    the consultative psychologist who examined Zirnsak in 2010, little weight. (Appellant’s
    Br. at 46). Under 20 C.F.R. § 404.131, a claimant is required to prove that she became
    disabled prior to the expiration of her insured status. 20 C.F.R. § 404.131 (2014); Matullo
    v. Brown, 
    926 F.2d 240
    , 244 (3d Cir. 1990). Here, the parties do not dispute that
    Zirnsak’s insured status expired on December 31, 2007. To determine whether a claimant
    became disabled prior to the expiration of her insured status, the ALJ must consider all
    relevant evidence, including medical evidence, in the record. Adorno v. Shalala, 
    40 F.3d 43
    , 48 (3d Cir. 1994) (citing Stewart v. Sec’y of H.E.W., 
    714 F.2d 287
    , 290 (3d Cir.
    11
    1983)). However, the ALJ is free to accept some medical evidence and reject other
    evidence, provided that he provides an explanation for discrediting the rejected evidence.
    Id.; see also Stout v. Comm’r, 
    454 F.3d 1050
    , 1054 (9th Cir. 2006) (emphasizing that it is
    the role of the ALJ, and not the reviewing court, to articulate specific reasons for
    rejecting evidence).
    Here, the ALJ did articulate a specific reason for giving Dr. Newman’s evaluation
    little weight—“because it was completed considerably outside of the relevant period.”
    (Tr. at 18). We must therefore evaluate whether substantial evidence supports that
    determination. We find that it does. As stated many times in this opinion, the inquiry in
    this case is limited to the narrow question of whether Zirnsak was disabled within the
    meaning of Section 423(d)(1)(A) of the Social Security Act during the period of May 11,
    2006 through December 31, 2007. Dr. Newman’s examination was conducted on April 6,
    2010, over two years after the expiration of Zirnsak’s insured status. (Tr. at 884). At no
    point does the report assert that it is a retroactive evaluation of Zirnsak’s condition. (Id. at
    884–87). The report refers to Zirnsak’s “current complaint[s].” (Id. at 884 (emphasis
    added)). It provides a summary of her current daily living activities. (Id.). It then goes on
    to provide an assessment of Zirnsak’s current mental status—as of April 6, 2010. (Id. at
    885). In short, the report never explicitly addresses Zirnsak’s condition during the period
    from May 11, 2006 through December 31, 2007. Accordingly, the report has little, if any,
    relevance to whether Zirnsak was disabled during that time. For that reason, the ALJ did
    not err in giving the report little weight.
    12
    3.     The Hypothetical Question Posed to the Vocational Expert
    Zirnsak next argues that the ALJ’s decision is not supported by substantial
    evidence because the hypothetical question posed to the vocational expert (hereinafter
    “VE”) was deficient for failure to fully reflect Zirnsak’s limitations. (Appellant’s Br. at
    49). Specifically, Zirnsak argues that the hypothetical should have addressed her short-
    term memory impairment and her “task problems” impairment. (Id. at 50). “Testimony of
    vocational experts in disability determination proceedings typically includes, and often
    centers upon, one or more hypothetical questions posed by the ALJ to the vocational
    expert.” Podedworny v. Harris, 
    745 F.2d 210
    , 218 (3d Cir. 1984). Usually, the ALJ will
    ask whether a hypothetical claimant with the same physical and mental impairments as
    the claimant can perform certain jobs that exist in the national economy. 
    Id. The hypothetical
    must “accurately portray” any impairments of the claimant. Rutherford v.
    Barnhart, 
    399 F.3d 546
    , 554 (3d Cir. 2005). This court has held that to accurately portray
    a claimant’s impairments, the ALJ must include all “credibly established limitations” in
    the hypothetical. 
    Id. (citing Plummer
    v. Apfel, 
    186 F.3d 422
    , 431 (3d Cir. 1999)).
    Our decision in Rutherford v. Barnhart explains the framework employed by this
    Circuit to determine whether a limitation is credibly established. 
    399 F.3d 546
    , 554 (3d
    Cir. 2005). First, limitations that are supported by medical evidence and are “otherwise
    uncontroverted in the record” must be included in the ALJ’s hypothetical for us to rely on
    the VE’s response to that hypothetical. 
    Id. However, where
    a limitation is supported by
    medical evidence, but is opposed by other evidence in the record, the ALJ has discretion
    to choose whether to include that limitation in the hypothetical. 
    Id. This discretion
    is not
    13
    unfettered—the ALJ cannot reject evidence of a limitation for an unsupported reason. 
    Id. Finally, the
    ALJ also has the discretion to include a limitation that is not supported by
    any medical evidence if the ALJ finds the impairment otherwise credible. 
    Id. Zirnsak’s assertions
    that she suffered from short-term memory and task problem
    impairments fall into the second category of the framework explained in Rutherford: they
    are supported by medical evidence, but that evidence is controverted by other evidence in
    the record. 
    Rutherford, 399 F.3d at 554
    . Two medical examinations support Zirnsak’s
    contention that she suffered from both impairments during the relevant period. Doctor
    Franz’s July 14, 2006 medical examination of Zirnsak noted a short-term memory
    problem. (Tr. at 826–27). His July 20, 2007 medical examination of Zirnsak similarly
    noted short-term memory and task problems. (Id. at 830–31).
    However, this medical evidence is disputed by other evidence in the record. First,
    Zirnsak’s responses to an “Activities of Daily Living” questionnaire contradict the notion
    that she had short-term memory or task problems. (Tr. at 167–78). One section of the
    questionnaire addresses “problems you [the claimant] might have thinking or
    concentrating.” (Id. at 171–73). In that section, Zirnsak noted that she did not require
    special help to take care of her personal needs. (Id. at 171). She also responded that she
    did not have any problems going out in public or getting along with family, friends, or
    neighbors. (Id. at 172). She further stated that she was able to “start and complete projects
    or activities such as reading a book, putting a puzzle together, sewing/needlepoint, fixing
    things around the house, etc.” (Id.). She also responded that she did not have trouble
    understanding instructions and carrying them out. (Id. at 173). However, Zirnsak’s
    14
    testimony at the hearing before the ALJ contradicts her own questionnaire responses.4
    Second, Zirnsak testified during her hearing that she regained her driver’s license in May
    of 2007. (Id. at 36).5 She testified that while she usually drove with her husband, she was
    only able to drive herself short distances alone during the relevant period. (Id. at 37).
    This Circuit does “not require an ALJ to submit to the [VE] every impairment
    alleged by a claimant.” 
    Rutherford, 399 F.3d at 554
    . Rather, the ALJ is only required to
    submit credibly established limitations. 
    Id. Where, as
    here, a limitation is supported by
    some medical evidence but controverted by other evidence in the record, it is within the
    ALJ’s discretion whether to submit the limitation to the VE. 
    Id. While the
    record in this
    case is not conclusive as to whether Zirnsak had short-term memory or task problem
    limitations, there is substantial evidence to support a finding that she did not—namely,
    her lack of demonstrated problems with activities of daily living and her ability to drive.
    The ALJ therefore appropriately exercised his discretion when determining which
    limitations to submit to the VE. In making credibility determinations like this one, this
    Court will “not substitute our own judgment for that of the fact finder.” 
    Rutherford, 399 F.3d at 552
    . Accordingly, we find that the hypothetical question posed to the VE was not
    deficient for failure to fully reflect Zirnsak’s limitations.
    4
    When asked at the hearing about her thinking ability during the relevant period,
    Zirnsak responded, “I don’t remember a lot.” (Id. at 43). She testified that she was unable
    to pay attention for a full thirty-minute sitcom episode and that she struggled with
    addition and balancing a checkbook. (Id. at 46–47).
    5
    Zirnsak temporarily lost her driver’s license after her seizure.
    15
    4.     Conflict Between the VE’s Testimony and the DOT
    Zirnsak’s final argument is that the ALJ’s failure to resolve conflicts between the
    VE’s testimony and the Dictionary of Occupational Titles (“DOT”) warrants remand of
    her case. (Appellant’s Br. at 51). In step five of the disability inquiry, the Commissioner
    bears the burden of establishing the existence of jobs in the national economy that an
    individual with the claimant’s impairments is capable of performing. 20 C.F.R.
    § 404.1520(a)(4)(v) (2014); § 404.1560; Kangas v. Bowen, 
    823 F.2d 775
    , 777 (3d Cir.
    1987). To determine what type of work (if any) a particular claimant is capable of
    performing, the Commissioner uses a variety of sources of information, including the
    DOT, the SSA’s own regulatory policies and definitions (found in the Code of Federal
    Regulations (“CFR”)), and testimony from VEs.
    “The DOT is a vocational dictionary that lists and defines all jobs available in the
    national economy and specifies what qualifications are needed to perform each job.”
    McHerrin v. Astrue, No. CIV.A. 09-2035, 
    2010 WL 3516433
    , at *3 (E.D. Pa. Aug. 31,
    2010) (citing SSR 00-4p, 
    2000 WL 1898704
    (Dec. 4, 2000)). The qualification categories
    listed by the DOT for each job include the job’s Strength level, General Educational
    Development (“GED”) level, and its Specific Vocational Preparation (“SVP”) level.
    Appendix C, Dictionary of Occupational Titles, available at www.occupationalinfo.org/
    appendxc_1.html. Strength level “reflects the estimated overall strength requirement of
    the job.” 
    Id. GED measures
    the “those aspects of education (formal and informal) which
    are required of the worker for satisfactory job performance.” 
    Id. GED is
    broken into three
    categories: (1) reasoning development, (2) mathematical development, and (3) language
    16
    development. 
    Id. Reasoning levels
    in the DOT range from level 1 to level 6. 
    Id. Important to
    this case, jobs with a reasoning level of 3 require that an employee be able to “[a]pply
    commonsense understanding to carry out instructions furnished in written, oral, or
    diagrammatic form [and d]eal with problems involving several concrete variables in or
    from standardized situations.” 
    Id. SVP levels,
    on the other hand, measure the skill level necessary to perform a
    particular job. SSR 00-4p, 
    2000 WL 1898704
    , at *3 (Dec. 4, 2000). “A skill is knowledge
    of a work activity that requires the exercise of significant judgment that goes beyond the
    carrying out of simple job duties.” 
    Id. SVP levels
    in the DOT range from level 1 to level
    9. 
    Id. The DOT
    skill levels correspond with the second source of information relied on by
    the Commissioner: the CFR. Section 404.1568 of the CFR classifies occupations into
    three categories: unskilled, semi-skilled, and skilled. 20 C.F.R. § 404.1568(a)–(c) (2014).
    Unskilled work is defined as “work which needs little or no judgment to do simple duties
    that can be learned on the job in a short period of time.” 
    Id. § 404.1568(a).
    Unskilled
    work corresponds to an SVP level of 1–2; semi-skilled work corresponds to an SVP level
    of 3–4; and skilled work corresponds to an SVP level of 5–9. SSR 00-4p, 
    2000 WL 1898704
    , at *3 (Dec. 4, 2000).
    The Commissioner can also rely on testimony from a VE to meet its step-five
    evidentiary burden. 20 C.F.R. § 404.1566(e) (2014). VEs are most commonly used to
    provide evidence at hearings before ALJs to resolve complex vocational issues. SSR 00-
    4p, 
    2000 WL 1898704
    , at *3 (Dec. 4, 2000). However, a common issue—and the one
    argued by Zirnsak on appeal—arises when a VE’s testimony conflicts with other sources
    17
    of information relied on by the Commissioner, namely the DOT. As a general rule,
    occupational evidence provided by a VE should be consistent with the occupational
    evidence presented in the DOT. SSR 00-4p, 
    2000 WL 1898704
    , at *2 (Dec. 4, 2000). To
    ensure consistency, courts have imposed an obligation on ALJs to “[i]dentify and obtain a
    reasonable explanation for any conflicts between occupational evidence provided by VEs
    . . . and information in the [DOT].” 
    Id. at *1;
    Rutherford, 399 F.3d at 556
    . Specifically,
    an ALJ is required to (1) ask, on the record, whether the VE’s testimony is consistent
    with the DOT, (2) “elicit a reasonable explanation” where an inconsistency does appear,
    and (3) explain in its decision “how the conflict was resolved.” Burns v. Barnhart, 
    312 F.3d 113
    , 127 (3d Cir. 2002). An ALJ’s failure to comply with these requirements may
    warrant remand in a particular case. 
    Rutherford, 399 F.3d at 557
    . However, this Circuit
    has emphasized that the presence of inconsistencies does not mandate remand, so long as
    “substantial evidence exists in other portions of the record that can form an appropriate
    basis to support the result.” 
    Id. (citing Boone
    v. Barnhart, 
    353 F.3d 203
    , 209 (3d Cir.
    2004)).
    Zirnsak alleges that the VE’s testimony at her hearing conflicted with the DOT in
    two ways. The first inconsistency involves the VE’s testimony that Zirnsak was capable
    of working as an order clerk, charge account clerk, or telephone quotation clerk. Zirnsak
    argues that the reasoning level required for these three jobs—all three occupations have a
    GED reasoning level of 3—is inconsistent with the ALJ’s finding that Zirnsak is “limited
    to simple and repetitive tasks involving routine work processes and settings.”
    (Appellant’s Br. at 51–52). The second inconsistency involves the VE’s testimony that
    18
    Zirnsak was capable of working as a sedentary subassembler with a sit/stand option.
    Zirnsak argues that the strength requirements for a subassembler conflict with the ALJ’s
    finding that Zirnsak should be limited to sedentary work. (Id. at 54–56). For the
    following reasons, we find that neither of these inconsistencies warrants remand.
    A.     Reasoning Level Conflict
    As a threshold matter, we must first note that the ALJ met his affirmative
    obligation to inquire about inconsistencies in this case. At the end of the VE’s testimony,
    the ALJ specifically asked: “Is the testimony that you did provide consistent with the
    information I’d find in the [DOT] and other relevant vocational sources?” (Tr. at 59). The
    VE responded that her testimony was consistent except for the fact that the DOT does not
    address a sit/stand option for subassembler positions. (Id.). The VE did not note the
    inconsistencies in strength or reasoning level now argued by Zirnsak on appeal.
    Importantly, neither Zirnsak nor her attorney “challenged the VE on th[ese] point[s] or
    otherwise identified any apparent inconsistency between the VE’s testimony and the
    DOT.” Clawson v. Astrue, No. CIV.A. 11-294, 
    2013 WL 154206
    , at *6 (W.D. Pa. Jan.
    15, 2013).
    Because the VE did not identify the reasoning level inconsistency at the hearing,
    the ALJ did not elicit an explanation for that inconsistency or explain in its decision how
    the conflict was resolved. 
    Burns, 312 F.3d at 127
    . Therefore, we must determine whether
    there is substantial evidence in the record that still supports the ALJ’s determination.
    
    Boone, 353 F.3d at 209
    . There is a split of authority as to whether an inherent conflict
    exists between a job requiring level 3 reasoning and a finding that a claimant should be
    19
    limited to simple, routine tasks and unskilled work. Several courts have held that a
    finding limiting a claimant to simple, repetitive tasks is inconsistent with a job requiring a
    reasoning level of 3. E.g., Hackett v. Barnhart, 
    395 F.3d 1168
    , 1176 (10th Cir. 2005);
    McHerrin v. Astrue, No. CIV.A. 09-2035, 
    2010 WL 3516433
    , at *5 (E.D. Pa. Aug. 31,
    2010). These courts have found that claimants limited to simple, repetitive tasks are
    better suited for jobs that require level two reasoning. E.g., 
    Hackett, 395 F.3d at 1176
    .
    Further, they have held that an SVP classification of a job as unskilled does not neutralize
    the conflict between a limitation to simple tasks and a job requiring level 3 reasoning.
    McHerrin, 
    2010 WL 2516433
    , at *6 (citing Lucy v. Chater, 
    113 F.3d 905
    , 909 (8th Cir.
    1997)).
    On the other hand, several courts have found that there is not a “per se conflict
    between a reasoning level 3 job and [a] limitation to simple, routine tasks/unskilled
    work.” E.g., Terry v. Astrue, 
    580 F.3d 471
    , 478 (7th Cir. 2009); Renfrow v. Astrue, 
    496 F.3d 918
    , 921 (8th Cir. 2007); Clawson v. Astrue, No. CIV.A. 11–294, 
    2013 WL 154206
    ,
    at *6 (W.D. Pa. Jan. 15, 2013); Simpson v. Astrue, CIV.A. No. 10–1874, 
    2011 WL 1883124
    , at *7 (E.D. Pa. May 17, 2011). These courts have focused on whether a failure
    to inquire about or reconcile a conflict caused any harm to the claimant when determining
    whether remand is necessary. Simpson, 
    2011 WL 1883124
    , at *5. These courts have
    found that any error stemming from an ALJ’s failure to ask about a conflict was harmless
    where the record established that the claimant in question could perform a level 3
    reasoning job, despite a limitation to simple work. Terry v. Astrue, 
    580 F.3d 471
    , 478
    (7th Cir. 2009); Renfrow v. Astrue, 
    496 F.3d 918
    , 921 (8th Cir. 2007); Simpson, 
    2011 WL 20
    1883124, at *7. These courts have identified certain factors that influenced their
    reasoning. First, in Terry, the Seventh Circuit noted that the claimant in that case “[did]
    not argue that she [could not] perform these skills, perhaps because the record
    suggest[ed] she [could].” 
    Terry, 580 F.3d at 478
    . Next, it emphasized that because the
    claimant did not point out the conflict at trial, she was required to show that the conflict
    was “obvious enough that the ALJ should have picked up on [it] without any assistance.”
    
    Id. (alteration in
    original) (quoting Overman v. Astrue, 
    546 F.3d 456
    , 463 (7th Cir.
    2008)). Finally, these courts noted that the jobs listed by the VE were only representative
    examples—not an exhaustive list—of jobs that the claimant was capable of performing.
    Simpson, 
    2011 WL 1883124
    , at *8 (citing 
    Rutherford, 399 F.3d at 557
    ).
    The review of the aforementioned cases demonstrates that there is no bright-line
    rule stating whether there is a per se conflict between a job that requires level 3 reasoning
    and a finding that a claimant should be limited to simple and routine work. Without
    controlling precedent on this issue, this Court finds that the decisions in the Terry and
    Simpson cases are most applicable to the facts of Zirnsak’s case. First, as in Terry and
    Simpson, Zirnsak does not seriously argue that she is incapable of performing the jobs—
    order clerk, charge account clerk, or telephone quotation clerk—recommended by the
    VE.6 The record establishes that Zirnsak could perform these jobs. Zirnsak completed
    6
    Instead, she dedicates only one line of her brief to this issue, stating that: “The
    record does not indicate any explanation as to how a hypothetical claimant limited to only
    simple, repetitive, routine work could perform the occupations of order clerk, charge
    account clerk, and telephone quote clerk, as described by the DOT.” (Appellant’s Br. at
    53–54).
    21
    tenth grade and testified that she received her GED or further education. (Tr. at 33).
    Zirnsak also had previous experience working as both a clerk and a bookkeeper. (Id. at
    34). Further, the “objective medical record [was deemed] unsupportive of the claimant’s
    allegations of disabling mental impairments.” (Id. at 18). At numerous evaluations during
    the relevant period, Zirnsak was noted to be “oriented,” “calm,” and “psychologically
    appropriate.” (Id.). She received only conservative treatment—primarily medication—
    during the relevant period. (Id. at 19). Finally, Zirnsak’s own account of her daily
    activities was “relatively full and independent.” (Id.).
    Second, as in Terry and Simpson, Zirnsak’s counsel did not identify any
    inconsistencies between the VE’s testimony and the DOT at her hearing. (Tr. at 59). In
    fact, Zirnsak’s counsel did not question the VE regarding inconsistencies at all. (Id.).
    Finally, as in Simpson, the occupations listed by the VE were only “a couple examples”
    of jobs available to Zirnsak. (Id. at 57); Simpson, 
    2011 WL 1883124
    , at *8 (citing
    
    Rutherford, 399 F.3d at 557
    ). Accordingly, the combination of these factors compels our
    finding that “any conflict [was] not so obvious that the ALJ should have pursued the
    question.” Simpson, 
    2011 WL 1883124
    , at *7 (alteration in original) (quoting 
    Terry, 580 F.3d at 476
    ).
    B.   Strength Level Conflict
    Zirnsak also argues that the strength requirements for a subassembler conflict with
    the ALJ’s finding that Zirnsak should be limited to sedentary work. The SSA and DOT
    both assign “physical exertion requirements” to each job available in the national
    economy. See 20 C.F.R. § 404.1567 (2014) (“To determine the physical exertion
    22
    requirements of work in the national economy, we classify jobs as sedentary, light,
    medium, heavy, and very heavy. These terms have the same meaning as they have in the
    [DOT].”). Sedentary work requires the lowest level of physical exertion. 
    Id. The ALJ
    found that Zirnsak was only capable of performing sedentary work. See Tr. at 16 (“After
    careful consideration of the entire record, I find that . . . the claimant had the [RFC] to
    perform sedentary work . . . except she would have been limited to sedentary work that
    did not require the operation of foot controls or the operation of dangerous machinery.”)).
    At Zirnsak’s hearing, the VE testified that Zirnsak could work as a subassembler. (Tr. at
    57–58). The VE characterized this job as “sedentary.” (Tr. at 57). However, the DOT has
    assigned the job of subassembler a physical exertion level of “light.” (Appendix at 34).
    Thus, there is an inconsistency between the VE’s and the DOT’s characterization of the
    physical exertion level required for subassembler positions. This inconsistency was
    identified at the hearing. (Tr. at 59).
    Therefore, our inquiry focuses on whether the ALJ (1) “elicit[ed] a reasonable
    explanation” for this inconsistency and (2) explained in his decision “how the conflict
    was resolved.” 
    Burns, 312 F.3d at 127
    . Here, the VE did provide an explanation for the
    inconsistency. She noted that the subassembler job could be performed with a sit/stand
    option. (Tr. at 58). However, she noted that the DOT does not discuss or address this
    option. (Id. at 59). She explained that she was aware of subassembler jobs with a sit/stand
    option from her “work in the field.” (Id.). The ALJ relied on this explanation to resolve
    the conflict. (Id. at 21). However, neither the ALJ nor the VE explained how a sit/stand
    option would transform a subassembler job from a job requiring “light” exertion level to
    23
    a “sedentary” job. Thus, we cannot say that the ALJ elicited a reasonable explanation for
    this inconsistency or resolved this conflict. However, the ALJ’s failure to comply with
    the requirements of SSR 00-4p in this instance is not fatal. Substantial evidence supports
    Zirnsak’s ability to perform three other jobs widely available in the national economy:
    order clerk, food and beverage (35,000 jobs nationally); charge account clerk (40,000
    jobs nationally); and telephone clerk (80,000 jobs nationally). (Tr. at 57). Therefore, the
    erroneous inclusion of the subassembler position as an example of a job available to
    Zirnsak did not cause her any harm. Accordingly, we find that the existence of these
    minor conflicts does not warrant remand of the ALJ’s decision.
    III.   CONCLUSION
    For the foregoing reasons, we will affirm.
    24
    

Document Info

Docket Number: 14-1168

Citation Numbers: 777 F.3d 607

Filed Date: 12/9/2014

Precedential Status: Non-Precedential

Modified Date: 1/12/2023

Authorities (21)

Hackett v. Barnhart , 395 F.3d 1168 ( 2005 )

7-socsecrepser-82-unemplinsrep-cch-15576-david-j-podedworny-v , 745 F.2d 210 ( 1984 )

Edward Stewart v. Secretary of Health, Education and ... , 714 F.2d 287 ( 1983 )

Harold MASON, Appellant, v. Donna E. SHALALA, Secretary of ... , 994 F.2d 1058 ( 1993 )

John KANGAS, Appellant, v. Otis R. BOWEN, Secretary of ... , 823 F.2d 775 ( 1987 )

Lisa Schaudeck v. Commissioner of Social Security ... , 181 F.3d 429 ( 1999 )

Joyce A. Rutherford v. Jo Anne B. Barnhart, Commissioner of ... , 399 F.3d 546 ( 2005 )

Joseph BURNS, Appellant v. Jo Anne B. BARNHART, ... , 312 F.3d 113 ( 2002 )

Dolores WALLACE, Appellant, v. SECRETARY OF HEALTH AND ... , 722 F.2d 1150 ( 1983 )

George M. CRAIGIE, Appellant, v. Otis R. BOWEN, Secretary ... , 835 F.2d 56 ( 1987 )

Sarah M. BOONE, Appellant v. Jo Anne BARNHART Commissioner ... , 353 F.3d 203 ( 2004 )

Evelyn ADORNO, Appellant, v. Donna SHALALA, Secretary of ... , 40 F.3d 43 ( 1994 )

Diaz v. Commissioner of Social Security , 577 F.3d 500 ( 2009 )

Richard MATULLO, Appellant, v. Otis R. BOWEN, Secretary , 926 F.2d 240 ( 1990 )

Overman v. Astrue , 546 F.3d 456 ( 2008 )

Terry v. Astrue , 580 F.3d 471 ( 2009 )

Robert L. Lucy v. Shirley S. Chater, Commissioner, Social ... , 113 F.3d 905 ( 1997 )

Gordon Stout v. Commissioner, Social Security Administration , 454 F.3d 1050 ( 2006 )

Renfrow v. Astrue , 496 F.3d 918 ( 2007 )

Evelyn Plummer v. Kenneth S. Apfel, Commissioner of Social ... , 186 F.3d 422 ( 1999 )

View All Authorities »