Fyfe v. California Consortium of Addiction Programs etc. CA3 ( 2023 )


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  • Filed 7/31/23 Fyfe v. California Consortium of Addiction Programs etc. CA3
    NOT TO BE PUBLISHED
    California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
    publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
    or ordered published for purposes of rule 8.1115.
    IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
    THIRD APPELLATE DISTRICT
    (Sacramento)
    ----
    ALASTAIR COLIN FYFE,
    Plaintiff and Appellant,                                                   C095315
    v.                                                                       (Super. Ct. No. 34-2020-
    80003515-CU-WM-GDS)
    CALIFORNIA CONSORTIUM OF ADDICTION
    PROGRAMS AND PROFESSIONALS,
    Defendant and Respondent.
    Individuals providing counseling services in certain alcohol and drug programs
    must be certified. (Cal. Code of Regs., tit. 9, §§ 13000, 13005, 13010 et seq.) The
    California Consortium of Addiction Programs and Professionals (Consortium) is
    approved to certify alcohol and drug counselors. It certified Alastair Colin Fyfe as an
    alcohol and drug counselor.
    1
    Consortium’s Ethics Committee and Credentialing Board subsequently determined
    that allegations against Fyfe had been corroborated and that a suspension was proper.
    Consortium’s Appeals Panel affirmed the findings and increased the suspension. The
    trial court denied Fyfe’s petition for writ of mandate.
    Fyfe now contends (1) he was denied due process and fair proceedings, and (2) the
    adverse findings are not supported by a factual record. We conclude Fyfe received
    adequate notice of the allegations, he had an opportunity to defend against them, and he
    has not established prejudice requiring reversal.1 We will affirm the trial court order
    denying Fyfe’s petition for writ of mandate.
    1 Consortium moved to strike Fyfe’s appellate reply brief as untimely and because it
    raised new facts and arguments. We exercise our discretion to deny the motion, but we
    have not considered factual assertions or arguments raised for the first time in the reply
    brief. (Garcia v. McCutchen (1997) 
    16 Cal.4th 469
    , 482, fn. 10; Neighbours v. Buzz
    Oates Enterprises (1990) 
    217 Cal.App.3d 325
    , 335, fn. 8.)
    Fyfe’s motion to correct and augment the record is denied. Fyfe asked to augment the
    record to include his declaration in support of ex parte application for stay filed in the
    trial court and the trial court’s order denying the stay application. Fyfe argued the
    declaration should be included in the record because it is one of only two declarations by
    Fyfe in this matter and the minute order shows Fyfe’s stay application was denied. But
    Fyfe did not demonstrate how the declaration and order are relevant to the issues on
    appeal. Fyfe also asked to augment the record to include a 17-page document he claims
    was attached to a September 1 e-mail from Fyfe to Kimberly Elkins. Fyfe suggested the
    attachment was inadvertently omitted from the clerk’s transcript. He added that even if
    the document was not inadvertently omitted, we should exercise our discretion to admit it
    under Code of Civil Procedure section 909. He asserted that because the Appeals Panel
    considered the attachment it should be part of the administrative record. However, it has
    not been established that the 17-page document was attached to the September 1 e-mail to
    Kimberly Elkins and was considered by the Appeals Panel. And Code of Civil Procedure
    section 909 does not apply because we are not making independent factual
    determinations in this matter. Fyfe’s request for judicial notice is also denied. Fyfe
    asked this Court to take judicial notice of the docket in a criminal case against his client
    A.M. He argued the docket is relevant to the timeline for the attachment to the
    September 1 e-mail to Kimberly Elkins. But Fyfe did not explain which part of the 15-
    page docket is relevant to this matter.
    2
    BACKGROUND
    As part of his certification as an alcohol and drug counselor, Fyfe agreed to
    comply with Consortium’s code of conduct, which required him to refrain from
    misrepresenting his professional qualifications (principle 1b) and from engaging in a
    business relationship with a client (principle 2c). Following certification, Fyfe began
    working for Dolan Mental Health, a private entity providing drug and alcohol counseling
    services to drug offenders under a federal diversion program. After learning that Fyfe
    had acted outside the scope of his certification, Dolan Mental Health discharged Fyfe.
    And when Dolan Mental Health learned that Fyfe had engaged in additional inappropriate
    conduct during his employment, it submitted a complaint regarding Fyfe to Consortium.
    The complaint submitted by Dolan Mental Health alleged that Fyfe had advised a
    client to stop taking a psychotropic medicine, guidance that was beyond the scope of his
    certification. It further alleged that Fyfe had refused to write a favorable progress report
    for a client unless the client signed a letter praising Fyfe’s work. We will refer to the first
    allegation as the scope of certification allegation, and the second as the quid pro quo
    allegation.
    On March 5, 2020,2 Consortium informed Fyfe by letter that it had received an
    ethics complaint alleging that Fyfe violated the code of conduct. The notice provided
    information about the complaint process and enclosed the code of conduct and the
    disciplinary guidelines. The notice did not provide further details about the complaint.
    Fyfe asked Consortium for the identity of the complainant, dates of the alleged
    incidents, and details of the complaint. Consortium said an investigator would contact
    Fyfe soon. Fyfe asked Consortium for a copy of the complaint. Consortium informed
    2 Dates refer to 2020 unless otherwise stated.
    3
    Fyfe it could not release documents relating to ethics cases because they were
    confidential.
    Rebecca Norton investigated the complaint against Fyfe. She interviewed Fyfe’s
    former boss Jonathan Dolan, along with witnesses Tia Barnes and Katie Kupu and Fyfe’s
    former clients A.M. and C.S. Barnes said that during a pretrial staff meeting in court,
    Fyfe had said he advised a client to reduce his medicine intake because the psychiatrist
    did not know what she was doing when she prescribed the medication. Pretrial officer
    Kupu gave a similar account, saying Fyfe said he told his client to stop taking his
    psychotropic medication. Fyfe’s former client C.S. told Norton that in the context of
    discussing a false positive drug test result, Fyfe told C.S. to “get off” certain medication
    and Fyfe did not know why the psychiatrist would put C.S. on that medication. Fyfe’s
    client A.M. told Norton he asked Fyfe to write a letter to the court confirming A.M.’s
    participation in a particular program and he asked Fyfe every other day for about six
    months if Fyfe had sent the letter, but Fyfe would not write the letter unless A.M. wrote a
    letter praising Fyfe. According to A.M., Fyfe told A.M. what to write in the letter for
    Fyfe and the letter A.M. wrote was not true.
    Norton also interviewed Fyfe. She told him there were two allegations against
    him. She told Fyfe it was alleged that at a pretrial staff meeting in federal court Fyfe
    admitted he had instructed a client to stop taking his psychotropic medication. Norton
    said it was also alleged that Fyfe had pressured a client to write a letter of support in
    exchange for Fyfe writing a letter confirming the client’s participation in a program.
    During the interview, Fyfe denied the allegations that he gave a client medication advice
    or that he pressured a client to write a letter. Fyfe said the allegations were false and the
    product of office bullying. He e-mailed Norton additional information supporting his
    position. Norton concluded there was sufficient evidence to substantiate the allegations.
    The complaint, Norton’s investigation notes, and the documents Fyfe gave Norton,
    were all submitted to the Consortium’s Ethics Committee. After reviewing the materials,
    4
    the Ethics Committee determined the allegations against Fyfe were corroborated and
    recommended sanctions. The Credentialing Board reviewed the same material presented
    to the Ethics Committee, along with the Ethics Committee’s recommendation, and
    concluded the allegations were proven. The Credentialing Board imposed sanctions
    against Fyfe.
    Consortium notified Fyfe by letter that the Ethics Committee and the
    Credentialing Board determined Fyfe had violated the code of conduct by
    misrepresenting his educational or professional qualifications and engaging in a business
    relationship with a client. The letter identified the code of conduct provisions Fyfe
    violated. It further stated that in accordance with the disciplinary guidelines, the
    Credential Board imposed a 90-day suspension and mandated the completion of 15
    continuing education units in ethics and six continuing education units in boundaries.
    The letter explained that to appeal the decision Fyfe must submit a written request within
    30 days to Consortium. It directed Fyfe to a website for information about the complaint
    process and disciplinary guidelines.
    Fyfe submitted a written appeal. He claimed he stayed within the scope of his
    certification in the incident involving C.S., describing his version of events. Fyfe denied
    establishing a business relationship with a client, a charge he said related to asking A.M.
    for a favor. He described the circumstances leading to A.M.’s written praise of Fyfe’s
    work.
    The Appeals Panel reviewed the record and held a hearing. Fyfe appeared at the
    hearing and argued against the allegations. He also provided additional documents.
    After considering the evidence and argument, the Appeals Panel decided the allegations
    against Fyfe were corroborated and that sanctions were proper. It denied Fyfe’s appeal
    and increased the suspension of Fyfe’s certification from 90 days to one year. It also
    mandated 48 hours of additional supervision by a qualified supervisor. The September 3
    notice of the Panel’s decision indicated the higher sanction was based on the following:
    5
    multiple allegations had been received against Fyfe, Fyfe showed indifference to the
    impact of his conduct on clients, and Fyfe was unwilling to accept accountability or
    showed an inability to alter future behavior.
    Fyfe filed a verified petition for peremptory writ of mandate and complaint for
    injunctive relief against the Department of Health Care Services and Consortium, seeking
    an order staying or vacating the decisions against him. He subsequently dismissed the
    Department of Health Care Services.
    The trial court denied the writ petition. It found that Consortium notified Fyfe of
    the allegations, Norton informed Fyfe of the allegations during the May 15 interview, and
    Fyfe submitted documents and argument in response to the allegations, indicating that he
    understood them. The trial court ruled Consortium gave Fyfe a reasonable opportunity to
    respond and present a defense, showed the reasons for its decision, and the penalty
    imposed was rational. The trial court concluded Consortium did not deny Fyfe his
    common law right to fair procedure.
    STANDARD OF REVIEW
    Although Fyfe’s petition was brought under Code of Civil Procedure section 1085,
    it should have been brought under section 1094.5.3 (Anton v. San Antonio Community
    Hosp. (1977) 
    19 Cal.3d 802
    , 813-814 (Anton) [section 1085 petition treated as a petition
    brought under section 1094.5], superseded by statute on another point as stated in Fahlen
    v. Sutter Central Valley Hospitals (2014) 
    58 Cal.4th 655
    , 678, fn. 11.) Section 1094.5
    applies to the review of a final administrative decision in a case where the common law
    right to fair procedure applies. (Anton, at pp. 815-816; see Gutkin v. University of
    Southern California (2002) 
    101 Cal.App.4th 967
    , 979.) The inquiry under section 1094.5
    is “whether the respondent has proceeded without, or in excess of, jurisdiction; whether
    3 Undesignated statutory references are to the Code of Civil Procedure.
    6
    there was a fair trial; and whether there was any prejudicial abuse of discretion. Abuse of
    discretion is established if the respondent has not proceeded in the manner required by
    law, the order or decision is not supported by the findings, or the findings are not
    supported by the evidence.” (§ 1094.5, subd. (b).)
    The fairness of an administrative proceeding is a question of law which we review
    de novo. (Doe v. University of Southern California (2016) 
    246 Cal.App.4th 221
    , 239;
    Rosenblit v. Superior Court (1991) 
    231 Cal.App.3d 1434
    , 1442 (Rosenblit).) We review
    the trial court’s factual findings under the substantial evidence test, regardless of the
    nature of the right involved. (Bixby v. Pierno (1971) 
    4 Cal.3d 130
    , 143, fn. 10; Rand v.
    Board of Psychology (2012) 
    206 Cal.App.4th 565
    , 574 (Rand); Rosenblit, at p. 1443.)
    Under that test, we determine whether there is any evidence or reasonable inference
    deducible from the evidence that, viewed in the light most favorable to the trial court’s
    judgment, supports the trial court’s factual findings. (Antelope Valley Press v. Poizner
    (2008) 
    162 Cal.App.4th 839
    , 849, fn. 11.) We do not reweigh the evidence. (Ibid.)
    DISCUSSION
    I
    Fyfe contends he was denied constitutional due process and fair proceedings.
    A
    California courts have long recognized a common law right to fair procedure
    which protects individuals from arbitrary or unfair exclusion, expulsion, or disciplinary
    decisions by private organizations that act as gatekeepers over the right to practice a trade
    or profession. (Potvin v. Metropolitan Life Ins. Co. (2000) 
    22 Cal.4th 1060
    , 1071-1072
    (Potvin); Dougherty v. Haag (2008) 
    165 Cal.App.4th 315
    , 317; Applebaum v. Board of
    Directors (1980) 
    104 Cal.App.3d 648
    , 656.) The right was developed in a series of
    California Supreme Court cases sometimes known as the Marinship-Pinsker or
    Marinship-Pinsker-Ezekial-Potvin line of cases. (Yari v. Producers Guild of America,
    Inc. (2008) 
    161 Cal.App.4th 172
    , 176.) The cases focus on fair procedure rather than due
    7
    process because the actions of a private organization like Consortium are not necessarily
    those of the state. (Applebaum, at p. 657.) The right to fair procedure derives from
    common law and not the Constitution. (Pinsker v. Pacific Coast Society of Orthodontists
    (1974) 
    12 Cal.3d 541
    , 550, fn. 7 (Pinsker II).) Consortium assumes the common law
    right to fair procedure applies and we will do the same.
    When the common law right to fair procedure applies, the organization’s decision-
    making must be substantively rational and procedurally fair. (Potvin, 
    supra,
     22 Cal.4th at
    p. 1066.) Procedural fairness includes adequate notice of the charges and a reasonable
    opportunity to be heard in defense. (Ezekial v. Winkley (1977) 
    20 Cal.3d 267
    , 278;
    Pinsker II, supra, 12 Cal.3d at pp. 553, 555.) However, “[t]he common law requirement
    of a fair procedure does not compel formal proceedings with all the embellishments of a
    court trial [citation], nor adherence to a single mode of process. It may be satisfied by
    any one of a variety of procedures which afford a fair opportunity for an applicant to
    present his position. As such, . . . court[s] should not attempt to fix a rigid procedure that
    must invariably be observed. Instead, the [organizations] themselves should retain the
    initial and primary responsibility for devising a method which provides an applicant
    adequate notice of the ‘charges’ . . . and a reasonable opportunity to respond. In drafting
    such procedure, and determining, for example, whether an applicant is to be given an
    opportunity to respond in writing or by personal appearance, the organization should
    consider the nature of the tendered issue and should fashion its procedure to insure a fair
    opportunity for an applicant to present his position. Although the association retains
    discretion in formalizing such procedures, the courts remain available to afford relief in
    the event of the abuse of such discretion.” (Pinsker II, at pp. 555-556, fn. omitted, italics
    omitted.)
    B
    Fyfe argues he did not receive fair notice of the allegations against him because
    the notice lacked specificity and Consortium did not identify the factual basis for the
    8
    allegations. Fyfe claims he was left to guess about the allegations and could not
    adequately prepare a response. The record does not support his argument.
    Consortium promptly notified Fyfe it received an ethics complaint against him.
    Norton informed Fyfe of the factual basis for the allegations during the May 15
    interview.
    Norton asked Fyfe if he told a judge that he had instructed a client to stop taking
    his medication; Fyfe denied making such a statement to the judge. He also denied telling
    the client to stop taking his medication. Fyfe told Norton such guidance would not have
    been within the scope of his certification. Instead, he said he supported the client’s
    choice, discussed the possibilities with the client, and told the client to contact the nurse
    practitioner.
    Norton and Fyfe also discussed the letter A.M. wrote on Fyfe’s behalf. Fyfe
    explained why A.M. sent the letter and Fyfe denied pressuring A.M. to write the letter.
    Fyfe sent Norton additional information after the interview. His post-interview
    e-mails to Norton show he knew the basis for the allegations. Fyfe told Norton he never
    demanded favors from clients. Fyfe also forwarded communications regarding C.S. not
    taking a prescribed medicine. Fyfe reiterated to Norton that he merely supported the
    client’s decision to stop taking the drug until the client could talk to the nurse
    practitioner.
    Fyfe’s written appeal to the Appeals Panel further demonstrates that Fyfe
    understood the factual basis for the allegations and mounted a defense. His written
    appeal said someone complained that Fyfe had given medication advice to C.S. But Fyfe
    denied giving C.S. medication advice. He explained what he told C.S., what he said in
    court on February 10, and why his statements to C.S. were not outside the scope of his
    certification.
    The written appeal also acknowledged that an allegation was based on A.M.’s
    February 14 letter in support of Fyfe. According to Fyfe, Norton told him that asking
    9
    A.M. for a favor – writing a complimentary letter -- created a business relationship with a
    client. Fyfe’s written appeal described what Fyfe told A.M. and denied asking A.M. for a
    favor. The written appeal did not say Fyfe was unaware of the factual basis for the
    allegations against him.
    At the hearing before the Appeals Panel, Fyfe addressed the February 10 court
    meeting and the circumstances surrounding the letter from A.M. The documents Fyfe
    submitted to the Appeals Panel further show that Fyfe understood the basis of the quid
    pro quo allegation.4
    Fyfe received adequate notice of the allegations against him and he had an
    opportunity to present his defense to the allegations.5
    II
    Fyfe further contends the adverse findings are not supported by a factual record.
    It would have been a better practice if Consortium had articulated the factual basis
    for its decisions. Nevertheless, the trial court correctly concluded that Fyfe was
    adequately informed of the factual basis for the allegations. The holding in Rosenblit,
    4 Although the initial letter from Consortium indicated a violation of principle 2
    (professional boundaries with clients) and principle 3 (client confidentiality), Consortium
    ultimately found that Fyfe violated principle 1b (misrepresenting professional
    qualifications) and principle 2c (engaging in a business relationship with a client).
    The findings tracked the allegations articulated by Norton in her interview with Fyfe.
    5 Fyfe asserts additional procedural contentions, but he did not bring them to the
    attention of the Appeals Panel or the trial court. He may not raise them for the first time
    in this court. (Franz v. Board of Medical Quality Assurance (1982) 
    31 Cal.3d 124
    , 143;
    Rand, supra, 206 Cal.App.4th at p. 587.) Fyfe also argues the trial court misapplied the
    standards applicable to its review of Consortium’s decisions. However, the contention is
    not supported by meaningful argument and citation to authority. For that reason, we do
    not consider it. (Badie v. Bank of America (1998) 
    67 Cal.App.4th 779
    , 784-785; Maral v.
    City of Live Oak (2013) 
    221 Cal.App.4th 975
    , 984-985.)
    10
    supra, 231 Cal.App.3d at pages 1447-1448, is distinguishable because in that case the
    petitioner did not know which incident formed the basis for the allegations.
    Fyfe understood the basis for the allegations and Consortium issued decisions
    consistent with those allegations. Fyfe addressed those allegations with the Appeals
    Panel and the trial court. Under the circumstances, Fyfe has no shown prejudice.
    (Anton, supra, 19 Cal.3d at p. 826 [rejecting fair procedure claim where the petitioner
    did not demonstrate prejudice]; Guilbert v. Regents of University of California (1979)
    
    93 Cal.App.3d 233
    , 241 [requiring showing of prejudice in appeal from denial of petition
    for writ of administrative mandamus].) For that reason, the denial of his writ petition was
    proper.
    DISPOSITION
    The trial court order denying Fyfe’s petition for a writ of mandate is affirmed.
    Consortium shall recover its costs on appeal. (Cal. Rules of Court, rule 8.278(a)(1), (2).)
    /S/
    MAURO, J.
    We concur:
    /S/
    ROBIE, Acting P. J.
    /S/
    BOULWARE EURIE, J.
    11
    

Document Info

Docket Number: C095315

Filed Date: 7/31/2023

Precedential Status: Non-Precedential

Modified Date: 7/31/2023