FEC v. Salvi, Al ( 2000 )


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  • In the
    United States Court of Appeals
    For the Seventh Circuit
    Nos. 99-1508 and 99-2183
    Federal Election Commission,
    Plaintiff-Appellant,
    v.
    Al Salvi for Senate Committee
    and Stephanie Mustell, as Treasurer,
    Defendants-Appellees.
    Appeal from the United States District Court for the
    Northern District of Illinois, Eastern Division.
    No. 98 C 4933 and No. 98 C 1321--George W. Lindberg, Judge.
    Argued December 8, 1999--Decided March 8, 2000
    Before Harlington Wood, Jr., Coffey and Flaum, Circuit
    Judges.
    Flaum, Circuit Judge. The Federal Election
    Commission ("Commission") appeals an order of the
    United States District Court for the Northern
    District of Illinois denying the Commission’s
    motion under Rules 60(b)(1) and (b)(4) for relief
    from an order dismissing a civil enforcement
    action the Commission had brought against the Al
    Salvi for Senate Committee and its treasurer,
    Stephanie Mustell, (collectively, "defendants")
    for violations of the Federal Election Campaign
    Act. The Commission also appeals the dismissal,
    and refusal to alter or amend the judgment, of a
    subsequent action, which the district court held
    was barred by the first dismissal under res
    judicata. For the reasons stated below, we
    affirm.
    Background
    On March 3, 1998, the Commission filed a
    complaint in the district court alleging that the
    defendants violated the Federal Election Campaign
    Act of 1971 by failing to properly report
    campaign contributions. At the time it filed the
    complaint, the Commission had no attorneys on the
    case who were members of the Northern District of
    Illinois Bar, and the Commission had neither
    designated local counsel for service, as required
    by the district court’s General Rule 3.13, nor
    filed a petition for admission pro hac vice under
    General Rule 3.12.
    On April 2, 1998, the Commission filed an ex
    parte motion for waiver of the local counsel and
    admission requirements. On April 7, the district
    court issued an order denying the Commission’s
    motion for failure to comply with General Rule
    15(B), which requires that an ex parte motion be
    supported by an affidavit showing cause. The
    front side of the order stated, at the bottom of
    the page, that further details were printed on
    the reverse side. On the reverse side, the order
    indicated that the court had considered and
    rejected the merits of the Commission’s motion
    for waiver of the court’s requirements: "even if
    the requirements of 15(B) had been met and even
    if the court had determined plaintiff’s motion
    was appropriate for consideration ex parte, the
    motion would have been denied."
    Due to a recording error at the court clerk’s
    office, the Commission’s counsel only received
    notice of the April 7 order on May 8, 1998. At
    that time, the Commission’s counsel only copied
    and read the front side of the order, and were
    therefore unaware that the court had considered
    and rejected the merits of the Commission’s April
    2 motion. Consequently, the Commission refiled
    its motion for waiver of the court’s local
    counsel and admission requirements.
    On June 10, 1998, the district court again
    denied the Commission’s motion, and this time
    struck all documents filed by the Commission for
    failure to designate local counsel. The June 10
    order also noted that the Commission’s counsel
    had, in failing to do so, directly violated the
    court’s previous, April 7 order. On July 8, 1998,
    the court, sua sponte, entered an order pursuant
    to Federal Rule of Civil Procedure 41(b)
    dismissing the Commission’s action.
    According to the Commission, it had begun
    compliance with the court’s directives upon
    receipt of the June 10 order by obtaining local
    counsel, petitioning for admission pro hac vice,
    and filing an amended complaint, appearance form,
    and summonses. Following dismissal of its case,
    on August 10, 1998, the Commission refiled its
    case against the defendants, and this second case
    was assigned to the same district court judge as
    the first action. The Commission did not move to
    alter or amend the July 8 dismissal order nor did
    it file a notice of appeal of the court’s ruling
    in the original action. On November 30, 1998, the
    court granted the defendants’ motion to dismiss
    the second action with prejudice on the ground
    that it was barred by the doctrine of res
    judicata, because the original action was
    dismissed with prejudice.
    Upon learning from the court’s November 30
    order that the court’s first dismissal was with
    prejudice, the Commission filed a motion under
    Federal Rule of Civil Procedure 60(b) to vacate
    the July 8 order dismissing the first action and
    to thereby permit the Commission to file a
    complaint to replace the one stricken by the
    court in June. The Commission argued that the
    dismissal was void as a matter of law; that it
    was based on the court’s mistaken belief that the
    Commission had failed to comply with previous
    orders; and that any delay in complying with
    prior orders was the result of "excusable
    neglect." The Commission concurrently filed a
    motion under Rule 59(e) to alter or amend the
    judgment in the second action, arguing that the
    second action was not barred by the first action
    because, to the extent the earlier dismissal
    constituted a final judgment, it was void. The
    court denied these motions. The Commission now
    appeals the district court’s denial of its Rule
    60(b) motion as well as the judgment dismissing
    the Commission’s second action.
    Discussion
    Although we are asked today to review several
    decisions by the district court stemming from two
    separate actions, the Commission ultimately seeks
    to revisit the district court’s sua sponte
    dismissal with prejudice of the first action. We
    are somewhat sympathetic to the Commission--
    though it seems clear that this case is before us
    because the Commission’s counsel repeatedly
    failed to heed clear directives from the district
    court--because, as explained below, we believe
    the district court abused its discretion in
    dismissing the first action with prejudice.
    However, the procedural posture of this case
    leaves us no choice but to affirm the decisions
    on which this appeal is based.
    A.
    The Commission argues that the district court
    erred in concluding that the sua sponte dismissal
    of the first action barred the second action
    under res judicata. The Commission contends that
    when the court dismissed the first action for
    failure to satisfy local counsel and admission
    requirements, the court did not purport to
    address the merits and did not specify whether
    the dismissal was with or without prejudice to
    the Commission’s refiling its complaint. The
    defendants respond that the district court’s
    dismissal of the first action was not based on
    technical, procedural shortfalls. Rather, they
    argue, the district court ordered the first
    action dismissed as a sanction for the
    Commission’s violation of court orders. While the
    July 1998 order of dismissal did not address the
    merits of the first action, Rule 41(b)
    establishes a presumption that such an order
    operates as an adjudication of the merits. Any
    later suit with the same allegations was
    therefore subject to dismissal based on res
    judicata.
    The district court in the second action
    resolved this dispute in favor of the defendants,
    stating that its July 1998 dismissal was a
    sanction for what amounted to lack of
    prosecution. In its order dated November 30,
    1998, dismissing the second action as barred by
    res judicata, the district court stated that the
    first action "was involuntarily dismissed as a
    sanction for plaintiff’s violation of this
    court’s rules and violation of a court order. .
    . . The dismissal of the prior action was not for
    lack of jurisdiction, improper venue, or failure
    to join a party under Rule 19. Therefore, since
    the order of dismissal did not otherwise specify,
    dismissal of the prior action operated as
    adjudication on the merits of the claims brought
    in that action." The heart of the Commission’s
    appeal is that the district court’s dismissal "on
    the merits" was improper.
    Although the local counsel rule, Northern
    District of Illinois General Rule 3.13,
    specifically indicates that a party’s documents
    may be stricken as a sanction for failure to
    obtain local counsel, the language of the rule
    does not preclude alternative remedies when
    necessary. Moreover, a federal court is granted
    authority to dismiss an action pursuant to Rule
    41(b) for failure to comply with a prior court
    order. Fed.R.Civ.P. 41(b). Finally, courts have
    discretion to impose sanctions to protect the
    judicial process, Chambers v. Nasco, Inc., 
    501 U.S. 32
    , 44-45 (1991), and the authority of a
    court to dismiss cases sua sponte for lack of
    prosecution has long been considered an "inherent
    power" that is "necessarily vested in courts to
    manage their own affairs so as to achieve the
    orderly and expeditious disposition of cases."
    Link v. Wabash Railroad Co., 
    370 U.S. 626
    , 630-31
    (1962).
    We appreciate the district court’s frustration
    with the Commission’s lack of diligence and its
    failures to comply with court directives in the
    first action. We also recognize that district
    courts must have wide discretion to manage
    litigation. "Because district judges have a
    better understanding of their litigants and their
    docket, review of managerial decisions such as
    this one are appropriately deferential." Johnson
    v. Kamminga, 
    34 F.3d 466
    , 468 (7th Cir. 1994). In
    this case, however, we believe the district court
    acted beyond its discretionary authority in
    dismissing sua sponte the first action.
    In Link, the Supreme Court held that the
    absence of express notice prior to a sua sponte
    dismissal with prejudice for failure to prosecute
    is not an automatic denial of due process. 
    370 U.S. at 632
    . However, in Ball v. City of Chicago,
    
    2 F.3d 752
     (7th Cir. 1993), we restricted a
    district court’s dismissal powers in this regard
    by requiring the court to provide "due warning"
    to plaintiff’s counsel. Although we recognized in
    Ball that there may be extreme circumstances in
    which an explicit warning is unnecessary before
    sua sponte dismissal is used as a sanction, 
    id. at 756
    ; see also Johnson, 
    34 F.3d at 468
    (encouraging, but not requiring, a warning before
    dismissing a case for failure to prosecute where
    the plaintiff repeatedly delayed the litigation
    and finally failed to attend the trial without
    sufficient excuse), we have repeatedly emphasized
    the general rule that explicit warning must be
    given to a plaintiff’s counsel prior to
    dismissal. See Williams v. Chicago Bd. of Educ.,
    
    155 F.3d 853
    , 858 (7th Cir. 1998). "[D]ismissals
    without warning are appropriate in only the most
    extreme cases, where it is clear that counsel
    must have expected his actions (or inaction) to
    be answered with dismissal." In re Bluestein &
    Co., 
    68 F.3d 1022
    , 1026 (7th Cir. 1995).
    Although we do not excuse the Commission’s
    conduct--indeed, we are puzzled that the
    Commission put itself in this position at all--it
    is hard to see how the recitation of the local
    rules in the April order would have highlighted
    the possibility of sanctions far beyond those
    authorized by the rules themselves. Under Ball,
    the district court’s actions in this case amount
    to abuse of discretion.
    B.
    Nevertheless, despite our conclusion that the
    district court abused its discretion in
    dismissing the first action with prejudice, that
    decision itself is not so squarely before us.
    Presumably because the Commission’s counsel did
    not realize that the dismissal was on the merits
    until after the time limit for doing so expired,
    the Commission did not bring a direct appeal.
    Rather, it brought a second suit, and now asks us
    to review the district court’s dismissal of that
    suit as barred by the first one, as well as the
    district court’s refusal to vacate the first
    judgment under Rule 60. None of these avenues
    provides relief in this case.
    The Commission first relies on two subdivisions
    of Rule 60(b), which enables the district court
    to "relieve a party or a party’s legal
    representative from a final judgment, order or
    proceeding." Fed.R.Civ.P. 60(b). The Commission
    argues that the district court should have
    vacated the first dismissal judgment under Rule
    60(b)(4), which applies to void judgments, or
    alternatively under Rule 60(b)(1), which applies
    to adverse judgments stemming from excusable
    neglect. The district court denied the
    Commission’s Rule 60 motion, finding the
    Commission’s pleas meritless.
    The Commission argues that it was entitled to
    relief under Rule 60(b)(4) because the dismissal
    of the first action is void. A judgment is void
    within the meaning of Rule 60(b)(4) where it is
    entered by the court without jurisdiction or in
    contravention of due process, Wesco Products Co.
    v. Alloy Automotive Co., 
    880 F.2d 981
    , 984 (7th
    Cir. 1989), and we review denials of 60(b)(4)
    motions de novo to the extent they turn on errors
    of law. Grun v. Pneumo Abex Corp., 
    163 F.3d 411
    ,
    423 (7th Cir. 1998). The Commission contends that
    the dismissal violated due process because the
    court failed to give it adequate notice that the
    court was contemplating dismissal of the
    Commission’s action. However, Link made it clear
    that failure to notify a party of the possibility
    of dismissal does not necessarily render an
    involuntary dismissal void. 
    370 U.S. at 632
    .
    While we believe the district court’s failure to
    warn of the impending dismissal constituted abuse
    of discretion, under the facts of this case it
    cannot be said that the district court’s
    discretionary abuse rose to the level of due
    process deprivation. Although a warning would
    have been appropriate, this case was not
    dismissed entirely out of the blue, over an issue
    that the Commission was never apprized of. See,
    e.g., Grun, 163 F.3d at 423-24 (holding that the
    plaintiff was denied due process when his case
    was dismissed for failure to appear at trial,
    when he did not receive notice of the trial
    date). To the contrary, the district court made
    clear its intention to enforce the local rules
    strictly in its orders, which at every turn the
    Commission chose to read in the light affording
    it the most flexibility. We agree that the
    dismissal should not have been vacated under Rule
    60(b)(4) as void. See Link, 
    370 U.S. at 633
    ("[W]hen circumstances make such an action
    appropriate, a District Court may dismiss a
    complaint for failure to prosecute even without
    affording notice of its intention to do so or
    providing an adversary hearing before acting.
    Whether such an order can stand on appeal depends
    not on power but on whether it was within the
    permissible range of the court’s discretion.").
    The Commission also contends that the district
    court’s July order dismissing the action should
    have been vacated pursuant to Rule 60(b)(1).
    Under this subsection, a court may vacate a final
    judgment based on mistake, inadvertence,
    surprise, or excusable neglect. Fed.R.Civ.P.
    60(b)(1). Unlike the Rule 60(b)(4) inquiry, this
    one focuses not on the dismissal itself but on
    the conduct that gave rise to it. The Supreme
    Court explained in Pioneer Investment Services
    Co. v. Brunswick Associates, 
    507 U.S. 380
     (1993),
    that attorney carelessness can constitute
    excusable neglect, but 60(b)(1) relief remains a
    discretionary safety valve, and our review under
    Rule 60(b)(1) is extremely deferential. United
    States v. Golden Elevator, Inc., 
    27 F.3d 301
    , 303
    (7th Cir. 1994). Our review of the district
    court’s denial of the Rule 60(b) motion convinces
    us that the district court adequately considered
    the Commission’s explanations for its delays in
    complying with court orders as well as delays
    resulting from the court clerk’s own errors.
    Although the circumstances of this case might
    arguably constitute excusable neglect permitting
    relief, they certainly do not compel that
    conclusion. See 
    id.
     (stating that a Rule 60(b)(1)
    motion stands "unless no reasonable person could
    have acted as the judge did"). Accordingly, we
    affirm the district court’s denial of the
    Commission’s Rule 60(b) motion.
    In addition to appealing the Rule 60 motion
    pertaining to the first action, the Commission
    appeals the district court’s judgment in the
    second action, which dismissed the case as barred
    under res judicata by the first dismissal, and
    the Commission also appeals the district court’s
    denial of the Commission’s Rule 59(e) motion to
    alter or amend that second judgment. This
    challenge rests on the assumption that the first
    judgment was not on the merits, for it is
    undisputed that a decision on the merits would
    bar relitigation of the same claim by the
    Commission. See People Who Care v. Rockford Bd.
    of Educ., 
    68 F.3d 172
    , 177 (7th Cir. 1995).
    However, we have already found that the first
    action was dismissed with prejudice, and that the
    sua sponte dismissal in that case (though an
    abuse of discretion) therefore operated as
    adjudication on the merits. Faced with the
    dismissal of its first suit, the Commission could
    have taken the customary paths of seeking
    reinstatement of its first suit, moving for
    amendment of that judgment under Rule 59(e), or
    directly appealing. By filing the second action,
    and now appealing the dismissal of that action as
    barred by res judicata, the Commission is
    pursuing what amounts to an impermissible
    collateral attack on the first judgment. See
    Hudson v. Hedge, 
    27 F.3d 274
    , 276 (7th Cir. 1994)
    (holding that a plaintiff "cannot use a new suit
    to contend that the disposition of the first was
    mistaken"). The Commission cannot use review of
    the dismissal of the second action to revisit
    decisions in the first action that it should have
    challenged directly. Accordingly, we find no
    error in the district court’s disposition of the
    second action.
    Conclusion
    For the reasons stated herein, we AFFIRM the
    rulings of the district court