Morgan v. Department of Transportation , 300 F. App'x 923 ( 2008 )


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  •                       NOTE: This disposition is nonprecedential.
    United States Court of Appeals for the Federal Circuit
    2007-3201
    GREG A. MORGAN,
    Petitioner,
    v.
    DEPARTMENT OF TRANSPORTATION,
    Respondent.
    Greg A. Morgan, of Lancaster, California, pro se.
    William P. Rayel, Trial Attorney, Commercial Litigation Branch, Civil Division,
    United States Department of Justice, of Washington, DC, for respondent. With him on
    the brief were Gregory G. Katsas, Assistant Attorney General, Jeanne E. Davidson,
    Director, and Martin F. Hockey, Jr., Assistant Director.
    Appealed from: Merit Systems Protection Board
    NOTE: This disposition is nonprecedential.
    United States Court of Appeals for the Federal Circuit
    2007-3201
    GREG A. MORGAN,
    Petitioner,
    v.
    DEPARTMENT OF TRANSPORTATION,
    Respondent.
    Petition for review of the Merit Systems Protection Board in SF0752060090-I-1
    DECIDED: November 24, 2008
    Before NEWMAN and SCHALL, Circuit Judges, and PATEL, District Judge. *
    PER CURIAM
    DECISION
    Greg A. Morgan appeals the final decision of the Merit Systems Protection Board
    (“Board”) that sustained the action of the Federal Aviation Administration (“FAA” or
    “Agency”) removing him from his position based upon two charges: (1) indirectly
    threatening a co-worker and (2) claiming unauthorized overtime. Morgan v. Dep’t of
    Trans., 
    105 M.S.P.R. 647
     (2007) (Table) (“Final Decision”). We affirm.
    *
    Honorable Marilyn H. Patel, District Judge, United States District Court for
    the Northern District of California, sitting by designation.
    DISCUSSION
    I.
    Prior to his removal, Mr. Morgan was employed as an Air Traffic Control
    Specialist at the FAA’s High Desert Terminal Radar Approach Control facility at
    Edwards Air Force Base. On September 30, 2005, the FAA removed Mr. Morgan for
    indirectly threatening a co-worker and for working beyond his scheduled shift without
    authorization, and then claiming overtime. The events giving rise to these charges were
    as follows:
    On February 16, 2005, Mr. Morgan was scheduled to work until 1:45 pm but he
    failed to sign-out. Consequently, his supervisor annotated the log sheet to indicate that
    Mr. Morgan had left at the end of his scheduled shift. During his next shift, Mr. Morgan
    changed the log sheet to indicate that he signed out at 2:30 pm and that he had worked
    forty-five minutes of overtime. According to Mr. Morgan, on February 16, one of his
    supervisors, Susan Marmet, ordered him to obtain a medical document before his next
    shift, and the forty-five minutes he claimed was spent doing that.
    On February 22, 2005, Mr. Morgan met with another supervisor and a union
    representative, Roy Awana, to discuss the February 16, 2005 incident. Mr. Morgan was
    questioned about the forty-five minutes of unauthorized overtime and given a proposed
    five-day suspension letter, stemming from another separate incident. After the meeting,
    Mr. Morgan and Mr. Awana went into the union office, where Mr. Morgan stated, in
    addition to various expletives, that he was going to kill one of his supervisors, Frank
    Ceruti.     Mr. Morgan and Mr. Ceruti apparently had a long-term history of conflict.
    According to Mr. Awana, when Mr. Morgan stated that he would kill Mr. Ceruti, “the
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    words came from his whole being; the words came out like a roar.” Mr. Awana then
    called the FAA Administrator’s Hotline to report Mr. Morgan’s threat. On July 27, 2005,
    Mr. Morgan was issued a Notice of Proposed Removal for the above incidents and he
    was subsequently removed on September 30, 2005.
    II.
    Mr. Morgan appealed his removal to the Board.             On July 14, 2006, the
    administrative judge (“AJ”) to whom the appeal was assigned issued an initial decision,
    sustaining Mr. Morgan’s removal for indirectly threatening a co-worker and claiming
    unauthorized overtime.     Morgan v. Dep’t of Trans., SF-0752-06-0090-I-1, slip op.
    (M.S.P.B. July 14, 2006) (“Initial Decision”). The AJ explained that, while Mr. Morgan
    denied making the threatening remarks, the preponderance of evidence, including
    several sworn statements by Mr. Awana, showed that Mr. Morgan indirectly threatened
    to kill Mr. Ceruti. Additionally, the AJ determined that the preponderance of evidence
    showed that Mr. Morgan claimed forty-five minutes of overtime without authorization.
    The AJ also ruled that the FAA’s penalty of removal was reasonable and not in
    retaliation for whistleblowing, which would, if true, violate the Whistleblower Protection
    Act of 1989, Pub. L. No. 101-12, 
    103 Stat. 16
     (codified at various sections of 5 U.S.C.)
    (“WPA”). The Initial Decision became the final decision of the Board on March 22,
    2007, when the Board denied Mr. Morgan’s petition for review. Final Decision. This
    appeal followed.     We have jurisdiction over his appeal pursuant to 
    28 U.S.C. §1295
    (a)(9).
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    III.
    Our scope of review in an appeal from a decision of the Board is limited.
    Specifically, we must affirm the Board’s decision unless we find it to be (1) arbitrary,
    capricious, an abuse of discretion, or otherwise not in accordance with law; (2) obtained
    without procedures required by law, rule, or regulation having been followed; or (3)
    unsupported by substantial evidence. 
    5 U.S.C. § 7703
    (c); Kewley v. Dep’t of Health &
    Human Servs., 
    153 F.3d 1357
    , 1361 (Fed. Cir. 1998).
    Mr. Morgan makes several arguments on appeal; we address them in turn.
    IV.
    Mr. Morgan argues that the Board erred in finding that he threatened to kill Mr.
    Ceruti, because it misapplied the evidentiary factors outlined in Metz v. Dep’t of
    Treasury, 
    780 F.2d 1001
     (Fed. Cir. 1986), for determining whether a Government
    employee threatened someone.       In addition, Mr. Morgan contends that Metz is in
    conflict with Virginia v. Black, 
    538 U.S. 343
     (2003), and therefore should not have been
    applied in the first place. He also seems to argue that the FAA cannot discipline him for
    making an indirect threat because such conduct is a criminal offense under Section 422
    of the California Penal Code. Alternatively, if the FAA can punish him for making an
    indirect threat, Mr. Morgan asserts that the FAA was required to, and did not, prove that
    he violated section 422.
    Because the Board’s findings of fact are supported by substantial evidence and it
    did not err as a matter of law in its application of the law to the facts, we affirm the
    Board’s ruling that Mr. Morgan indirectly threatened to kill a co-worker. The Board
    considered substantial evidence that showed Mr. Morgan said he was “going to kill” Mr.
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    Ceruti, including sworn declarations from several co-workers and corroborating written
    memoranda. The Board then correctly applied the Metz factors to the record evidence
    and concluded that all five factors weighed in favor of sustaining the charge that Mr.
    Morgan had made an indirect threat. While the record included a statement from Mr.
    Morgan claiming that he never threatened Mr. Ceruti, the Board properly considered all
    of the record evidence and “it is not for this Court to reweigh the evidence before the
    Board.” Henry v. Dep’t of Navy, 
    902 F.2d 949
    , 951 (Fed. Cir. 1990).
    In addition, contrary to Mr. Morgan’s suggestion, Metz was appropriately applied
    as the controlling test and is not in conflict with Black. In contrast to Black, the issue
    before the Board was not whether Mr. Morgan could be convicted of a crime for his
    threat, but rather, whether he could be disciplined by his employer.        Mr. Morgan’s
    arguments regarding California Penal Code section 422 are similarly incorrect. The
    FAA may discipline its employees for the kind of conduct in which Mr. Morgan engaged.
    It was not required to prove that Mr. Morgan violated section 422 in order to support its
    disciplinary decision.
    Regarding the Board’s finding that he claimed forty-five minutes of unauthorized
    overtime, Mr. Morgan argues that the Board erroneously interpreted the term “working.”
    Additionally, he argues that Ms. Marmet authorized his overtime when she required him
    to obtain medical documentation on February 16, 2005. Mr. Morgan also suggests that
    he did not “claim” overtime but instead was merely “requesting” it.
    We will not disturb the Board’s finding that Mr. Morgan claimed forty-five minutes
    of unauthorized overtime, because the Board’s findings of fact are supported by
    substantial evidence and it did not err as a matter of law in its application of the law to
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    the facts. The Board correctly concluded that Mr. Morgan’s time spent obtaining his
    medical documentation was time worked. Likewise, the Board properly considered all
    of the record evidence, for example a declaration from Ms. Marmet, and correctly
    determined that Mr. Morgan was not authorized to work beyond his scheduled shift. Not
    only did Mr. Morgan fail to provide any evidence that he had been approved for
    overtime, but Ms. Marmet—the supervisor that allegedly authorized his overtime—
    directly contradicted Mr. Morgan. Indeed, Ms. Marmet stated that she did not authorize
    him to obtain his medical documents and, in fact, was not even at work on the day in
    question. Furthermore, the Board appropriately considered all of the record evidence
    and found that Mr. Morgan had in fact “claimed” overtime—a decision we will not disturb
    by reweighing the evidence before the Board. See, e.g., Henry, 
    902 F.2d at 951
    .
    V.
    Turning now to Mr. Morgan’s WPA contentions, the Board determined that he
    failed to prove his affirmative defense of protected whistleblowing. The Board found
    that Mr. Morgan proved that he made two protected disclosures: (1) a disclosure that a
    co-worker made “materially, false, fictitious, or fraudulent statements” in a report and (2)
    a disclosure related to an alleged safety issue resulting from an order by management.
    In addition, the Board found that these protected disclosures were contributing factors in
    his removal. Consequently, the FAA had the burden of proving, by clear and convincing
    evidence, that it would have removed Mr. Morgan absent the protected disclosures. Mr.
    Morgan argues that the Board erred in finding clear and convincing evidence that the
    FAA would have removed him absent his protected disclosures.             According to Mr.
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    Morgan, contrary to the Board’s conclusion, the evidence shows he was removed
    because of his disclosures.
    We affirm the Board’s decision that there was clear and convincing evidence that
    the FAA would have removed Mr. Morgan absent the protected disclosures. The Board
    correctly considered the substantial record evidence and applied the relevant factors,
    such as the strength of the evidence supporting removal and the existence and strength
    of any motive by agency officials to retaliate against him. See Carr v. Social Sec.
    Admin., 
    185 F.3d 1318
    , 1323 (Fed. Cir. 1999). Importantly, the evidence submitted in
    support of the serious charge of threatening to kill a co-worker was clear and
    convincing. See, e.g., 
    id. at 1325-26
    . Accordingly, the Board properly concluded that
    any possible retaliatory motive was strongly outweighed by the “compelling evidence” of
    Mr. Morgan’s serious misconduct.
    VI.
    We now turn to Mr. Morgan’s contention that the Board improperly sustained the
    FAA’s removal decision. We will only overturn an agency's penalty determination if it is
    “so harsh and unconscionably disproportionate to the offense that it amounts to an
    abuse of discretion.” O'Neill v. Dep't of Hous. & Urban Dev., 
    220 F.3d 1354
    , 1365 (Fed.
    Cir. 2000) (quoting Villela v. Dep't of Air Force, 
    727 F.2d 1574
    , 1576 (Fed. Cir. 1984)).
    Contrary to Mr. Morgan’s arguments, the Board properly found that his removal was
    reasonable and that the deciding official appropriately considered the factors in Douglas
    v. Veterans Admin., 
    5 M.S.P.B. 313
     (1981). The Board correctly found that the deciding
    official considered, among other facts, the seriousness of Mr. Morgan’s misconduct,
    past disciplinary problems, that his job required “immense responsibility for the lives and
    2007-3201                                   7
    property of others,” and that many of his co-workers became uncomfortable around Mr.
    Morgan.     Subsequently, the deciding official appropriately applied the Human
    Resources Operating Instructions (“HROI”) table of penalties, which supports removal
    for “threatening another.” Under these circumstances, we cannot properly disturb the
    FAA’s decision to impose the penalty of removal.
    In conclusion, there is substantial evidence to support both the Board’s decisions
    that Mr. Morgan indirectly threatened to kill a co-worker and that he claimed
    unauthorized overtime. In addition, the Board did not err in finding that there was clear
    and convincing evidence that Mr. Morgan would have been removed regardless of his
    protected disclosures, which precluded his affirmative defense of whistleblowing.
    Finally, we find no error with the decision that the FAA’s removal was an appropriate
    penalty for his misconduct. 1
    1
    Mr. Morgan also makes two additional arguments: (1) he suggests that the
    Board decision should be reversed because the FAA, not the Department of
    Transportation (“DOT”), is the proper respondent and (2) he challenges the FAA’s
    withdrawal of his security clearance. Both of Mr. Morgan’s allegations are without merit.
    Regarding the issue of whether the FAA should be the proper respondent, regardless of
    the FAA’s independence over employment matters, it is still a subordinate
    administration within the DOT. 
    49 U.S.C. § 106
    (a) (2008). Consequently, the DOT has
    frequently been the respondent in appeals to this Court from decisions of the Board
    involving employees of the FAA. See, e.g., Elmore v. Dep’t of Transp., 
    421 F.3d 1339
    (Fed. Cir. 2005); Plasai v. Dep’t of Transp., 
    228 Fed.Appx. 976
     (Fed. Cir. 2007). In
    addition, any possible error would have no effect on the outcome of his appeal.
    Regarding Mr. Morgan’s challenge to the removal of his security clearance, the Board
    requires an adverse personnel action to obtain jurisdiction. The withdrawal of a security
    clearance alone is not an adverse action however—a fact acknowledged by Mr. Morgan
    himself—and therefore the Board did not possess jurisdiction to hear this contention.
    See 
    5 U.S.C. § 7512
     (1989); Dep’t of Navy v. Egan, 
    484 U.S. 518
    , 530 (1988).
    Additionally, while removal is an adverse action, Mr. Morgan was not removed because
    his security clearance was withdrawn. Rather, as explained above, supra Section IV,
    Mr. Morgan was removed because of his own misconduct. In short, neither of Mr.
    Morgan’s additional arguments warrants reversing the Board’s decision.
    2007-3201                                  8
    For the foregoing reasons, the final decision of the Board is affirmed.
    No costs.
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