gerald-g-neill-jr-v-district-of-columbia-public-employee-relations ( 2014 )


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    DISTRICT OF COLUMBIA COURT OF APPEALS
    No. 13-CV-242
    GERALD G. NEILL, JR., APPELLANT,
    v.
    DISTRICT OF COLUMBIA
    PUBLIC EMPLOYEE RELATIONS BOARD, APPELLEE,
    and
    FRATERNAL ORDER OF POLICE,
    METROPOLITAN POLICE DEPARTMENT LABOR COMMITTEE, INTERVENOR.
    Appeal from the Superior Court of the
    District of Columbia
    (MPA-CAP2009-12)
    (Hon. Judith N. Macaluso, Trial Judge)
    (Argued January 23, 2014                                  Decided June 19, 2014)
    Matthew August LeFande for appellant.
    Geoffrey H. Simpson, with whom Bruce A. Fredrickson and Cedar P.
    Carlton were on the brief, for appellee.
    Marc L. Wilhite for intervenor.
    Before GLICKMAN and MCLEESE, Associate Judges, and RUIZ, Senior Judge.
    2
    GLICKMAN, Associate Judge: Gerald G. Neill, Jr., appeals the Superior
    Court‟s dismissal of his petition for review of a decision by the Public Employee
    Relations Board (the “PERB”).         We conclude that the trial court erred in
    dismissing the petition on account of Neill‟s failure to name the PERB as a
    respondent and serve the petition on it before the thirty-day filing deadline. We
    reverse and remand for the trial court to proceed with its consideration of Neill‟s
    petition for review.
    I.
    Neill, a former Metropolitan Police Officer, served as Chairman of the
    intervenor police union (the “FOP”) from 2000 to 2004. During Neill‟s tenure, the
    FOP terminated its contract with its general counsel, Ted Williams. In response,
    Williams sued both Neill and the new general counsel, alleging breach of contract,
    tortious interference with contract, and intentional infliction of emotional distress.
    After a series of procedural disputes of minimal importance here,1 the Superior
    Court granted Neill‟s motion for summary judgment in 2009.
    1
    See Fraternal Order of Police Metro. Police Dep’t Labor Comm. v. Neill,
    No. 01-CV-730 (D.C. Mar. 4, 2008) (unpublished opinion).
    3
    On March 15, 2010, Neill filed a “standards of conduct” complaint against
    the FOP with the PERB.         Public sector unions in the District are statutorily
    required to certify their compliance with certain standards of conduct, including
    one obligating them to maintain “provisions defining and securing the right of
    individual members . . . to fair and equal treatment under the governing rules of the
    organization. . . .”2 The PERB has jurisdiction to hear complaints alleging that a
    recognized union failed to comply with the specified conduct standards.3 Neill‟s
    complaint alleged such a violation in the FOP‟s refusal to pay for his defense of
    Williams‟s lawsuit despite a provision in its bylaws guaranteeing legal
    representation to union members for the defense of civil actions arising out of the
    performance of their duties.
    Standards of conduct complaints must be filed with the PERB within 120
    days “from the date the alleged violation(s) occurred.”4 This deadline has been
    2
    D.C. Code § 1-617.03 (a)(1) (2012 Repl.).
    3
    See Fraternal Order of Police Metro. Police Dep’t Labor Comm. v. Pub.
    Emp. Relations Bd., 
    516 A.2d 501
    , 504-05 (D.C. 1986); see also 6B DCMR § 544
    (1999).
    4
    6B DCMR § 544.4.
    4
    held to be “jurisdictional and mandatory.”5 On February 4, 2012, the PERB,
    reading Neill‟s pleading to allege that the union denied his request for legal
    representation in 2008, dismissed his complaint as untimely.6 On March 1, 2012,
    Neill petitioned for review of the PERB‟s decision in Superior Court.
    5
    Moore v. Fraternal Order of Police / Dep’t of Youth Rehab. Servs. Labor
    Comm., PERB Case No. 12-S-03, PERB Opinion No. 1290, 
    2012 WL 3218537
    , at
    *2 (D.C. Pub. Emp. Relations Bd. May 30, 2012); see also Gibson v. District of
    Columbia Pub. Emp. Relations Bd., 
    785 A.2d 1238
    , 1241 (D.C. 2001) (stating that
    the identical 120-day deadline for filing unfair labor practice complaints is
    “mandatory and jurisdictional”) (quoting Hoggard v. District of Columbia Pub.
    Emp. Relations Bd., 
    655 A.2d 320
    , 323 (D.C. 1995)). Recent authority calls into
    question whether the PERB‟s filing deadlines are in fact jurisdictional. See
    Gatewood v. District of Columbia Water & Sewer Auth., 
    82 A.3d 41
    , 45-49 (D.C.
    2013) (holding that an agency filing deadline set forth in a regulation as a “rule of
    administrative convenience” is not jurisdictional). However, assuming the FOP
    properly raised the 120-day deadline, the correctness of the PERB‟s dismissal may
    not turn on whether the deadline is jurisdictional. See Smith v. United States, 
    984 A.2d 196
    , 199 (D.C. 2009) (Non-jurisdictional but inflexible “[c]laim-processing
    rules . . . assure relief to a party properly raising them, but do not compel the same
    result if the party forfeits them.”) (quoting Eberhart v. United States, 
    546 U.S. 12
    ,
    19 (2005)). Regardless, we leave it to the Superior Court on remand to decide any
    questions relating to the 120-day deadline.
    6
    Neill v. Fraternal Order of Police / Metro. Police Dep’t Labor Comm.,
    PERB Case No. 10-S-04, PERB Opinion No. 1240, 59 D.C. Reg. 7222 (D.C. Pub.
    Emp.      Relations       Bd.      Feb.      4,     2012),     available    at
    http://www.dcregs.dc.gov/Gateway/NoticeHome.aspx?NoticeID=2541320.
    5
    Petitions for review of PERB decisions in Superior Court must be filed
    within thirty days of their issuance.7 Neill filed his petition before the expiration
    of this deadline. However, his petition did not name the PERB as the respondent
    (though it identified the PERB decision Neill sought to have reviewed), and he did
    not serve the petition on the PERB.             Instead, Neill named the FOP as the
    respondent, and he served the FOP and the Attorney General for the District of
    Columbia.
    On June 21, 2012, well after the thirty-day window for filing a petition had
    closed, Neill‟s attorney contacted the PERB to ask why it had not filed the agency
    record with the Superior Court, as it normally would do.8 The PERB‟s general
    7
    See D.C. Code § 1-617.13 (c) (“Any person aggrieved by a final order of
    the Board granting or denying in whole or in part the relief sought may obtain
    review of such order in the Superior Court of the District of Columbia by filing a
    request within 30 days after the final order has been issued.”); Super. Ct. Agency
    Rev. R. 1 (a) (“[A]n appeal to the Superior Court of the District of Columbia
    permitted by the [Comprehensive Merit Personnel Act] shall be obtained by filing
    a petition for review . . . within 30 days after service . . . of the final decision to be
    reviewed or within 30 days after the decision to be reviewed becomes a final
    decision under the applicable statute or agency rules, whichever is later.”).
    8
    See Super. Ct. Agency Rev. R. 1 (e) (“Within sixty (60) days from the date
    of service of petition upon the agency and the office of the Corporation Counsel,
    the agency shall certify and file with the Clerk the entire agency record, including
    all of the original papers comprising that record, and shall notify the petitioner of
    the date on which the record is filed.”).
    6
    counsel informed Neill‟s attorney that the PERB, as an independent agency, was
    not represented by the D.C. Attorney General in appeals of PERB decisions.
    Because Neill had not served the PERB with his petition, its general counsel
    explained, it was not a party to the appeal and so had no obligation to file the
    record. Moreover, the PERB‟s counsel asserted, Neill‟s failure to serve the PERB
    within the thirty-day filing period meant that its decision had become final. That
    same day, Neill served the PERB with his petition. He later filed an amended
    petition for review naming the PERB as the respondent, after being prompted to do
    so at a June 29 initial scheduling hearing in Superior Court.
    Based on Neill‟s failure to name the PERB as the respondent in his initial
    petition for review and failure to serve that petition on the PERB before the
    expiration of the thirty-day filing deadline, the PERB moved to dismiss for lack of
    subject matter jurisdiction. The Superior Court granted the motion, dismissed
    Neill‟s petition with prejudice, and denied his motion for reconsideration. Neill
    noticed this timely appeal.
    II.
    We agree that Neill was required by the Superior Court‟s Rules to name the
    PERB as the respondent in his petition for review, and to serve his petition on the
    7
    PERB within the thirty-day filing deadline. We conclude, however, that Neill‟s
    non-compliance with those requirements did not deprive the Superior Court of
    jurisdiction over his petition or otherwise justify its dismissal. Accordingly, we
    reverse; on remand the court will have discretion to decide whether to impose
    lesser sanctions for Neill‟s missteps.
    A.
    The Comprehensive Merit Personnel Act (“CMPA”)9 provides for appeals
    from decisions of the PERB (the body charged with adjudicating public sector
    labor disputes and other public employee matters) and the Office of Employee
    Appeals (the entity primarily responsible for reviewing certain serious adverse
    employment actions) to be taken to the Superior Court.10 To implement that
    requirement and govern such appeals, the Superior Court adopted Agency Review
    Rule 1.11 Among other things, Rule 1 specifies the time and manner for filing
    petitions for review in CMPA cases, and to furnish additional guidance, is
    9
    D.C. Code § 1-601.01, et seq. (2012 Repl. & Supp. 2013).
    10
    D.C. Code §§ 1-606.03 (d) (OEA), 1-617.13 (b) & (c) (PERB).
    11
    The Rule is located in Section XV of the Superior Court‟s Rules of Civil
    Procedure.
    8
    accompanied by a form petition for review for litigants to use as a model. The
    PERB contends, and the Superior Court agreed, that Neill‟s initial petition did not
    satisfy the requirements of Rule 1 with respect to naming the agency as respondent
    and serving it with the petition, and that those requirements are jurisdictional.
    Neill disputes their interpretation of Rule 1 and their jurisdictional claims.
    The interpretation of a rule of procedure is a question of law as to which our
    review is de novo.12 We do not agree that the Superior Court misunderstood Rule
    1‟s requirements.      To begin with, although the text of Rule 1 and the
    accompanying form petition do not say so explicitly, we heretofore have held that
    the Rule requires a petitioner to name the PERB (or the Office of Employee
    Appeals, as the case may be) as the respondent in the caption of his petition for
    review.13 A petition that fails to name the PERB in the caption, and that instead
    names the opposing party in the agency proceeding as the respondent, is
    noncompliant even if the petition elsewhere correctly identifies the PERB as the
    12
    See Gibson v. Freeman, 
    941 A.2d 1032
    , 1034-35 (D.C. 2008).
    13
    District of Columbia Dep’t of Admin. Servs. v. Int’l Bhd. of Police
    Officers, Local 445, 
    680 A.2d 434
    , 437 (D.C. 1996) [hereinafter IBPO].
    9
    agency that issued the order from which relief is sought (as Neill‟s petition did in
    this case).14
    Disputing this interpretation of Rule 1, Neill argues that he properly named
    the FOP as the respondent because the PERB lacks constitutional standing to
    defend its decision.15        That is incorrect.   We have explained that an agency
    presumptively “must carry the burden of defending its action in any challenge to
    it” because the “matters raised in” such a challenge “go directly to the [agency‟s]
    authority and to the validity of its decision, which the [agency] has a substantial
    interest in defending.”16 Neill‟s argument that this presumption does not apply to
    the PERB is contradicted by our decision in IBPO, which noted that the PERB was
    “the only entity that could afford the relief sought.”17
    14
    See 
    id. at 438.
           15
    See generally Grayson v. AT&T Corp., 
    15 A.3d 219
    , 232-36 (D.C. 2011)
    (en banc) (explaining that this court, at least in the absence of contrary legislative
    instruction, adheres to the standing requirements of Article III as articulated by the
    Supreme Court).
    16
    Francis v. Recycling Solutions, Inc., 
    695 A.2d 63
    , 70-71 (D.C. 1997).
    
    17 680 A.2d at 437
    (citation omitted); cf. Brown v. District of Columbia Pub.
    Emp. Relations Bd., 
    19 A.3d 351
    , 355-58 (D.C. 2011) (describing and accepting
    the PERB‟s argument in defense of its decisions without questioning the agency‟s
    standing); District of Columbia Pub. Emp. Relations Bd. v. Fraternal Order of
    (continued…)
    10
    In asserting that the PERB nonetheless lacks standing, Neill relies on cases
    from other jurisdictions holding that particular agencies were without statutory
    authorization to litigate in court.18 But the CMPA expressly empowers the PERB
    to litigate the validity of its decisions.19 Neill rejoins that the PERB‟s interest in
    defending its decisions on the merits does not create an interest (sufficient for
    standing) in enforcing its “procedural right,”20 i.e., the statutory time limit for
    seeking review. That contention too is incorrect, for the time bar plays an obvious
    (continued…)
    Police, 
    987 A.2d 1205
    (D.C. 2010) (deciding a case in which the PERB appealed
    from an adverse Superior Court decision).
    18
    See, e.g., Kaiser Aluminum & Chem. Corp. v. Dep’t of Labor & Indus.,
    
    854 P.2d 611
    , 614-16 (Wash. 1993) (en banc).
    19
    See D.C. Code § 1-605.02 (16) (“The Board shall have the power to . . .
    [s]eek appropriate judicial process to enforce its orders and otherwise carry out its
    authority under this chapter.”); 
    id. § 1-605.02
    (14) (“The Board shall have the
    power to . . . [r]etain . . . independent legal counsel. . . .”); 
    id. § 1-617.13
    (b) (“The
    Board may request the [Superior Court] to enforce any order issued [by it.]”); 
    id. § 1-617.13
    (c) (“The [Superior Court] shall have the same jurisdiction to review the
    Board‟s order and to grant to the Board such order of enforcement [upon petition
    by an aggrieved party] as in the case of a request by the Board under subsection
    (b). . . .”).
    20
    Reply Brief at 4 (quoting Summers v. Earth Island Inst., 
    555 U.S. 488
    ,
    497 (2009)).
    11
    role in ensuring the enforceability of the PERB‟s decisions.21 We reject Neill‟s
    standing argument and hold that his initial petition for review contravened Agency
    Review Rule 1 by failing to name the PERB as the respondent.22
    Whether Rule 1 also required Neill to serve the PERB is a question this
    court previously has not had occasion to resolve. On its face, the Rule can be read
    to suggest otherwise, because subsection (a) provides only that a petition for
    review must “show service . . . upon all other parties to the agency proceeding and
    21
    See Sugar Cane Growers Coop. of Fla. v. Veneman, 
    289 F.3d 89
    , 94-95
    (D.C. Cir. 2002) (A litigant “who alleges a deprivation of a procedural protection
    to which he is entitled never has to prove that if he had received the procedure the
    substantive result would have been altered. All that is necessary is to show that the
    procedural step was connected to the substantive result.”); cf. 
    Summers, 555 U.S. at 496
    (“[D]eprivation of a procedural right without some concrete interest that is
    affected by the deprivation—a procedural right in vacuo—is insufficient to create
    Article III standing.”).
    22
    Neill makes an additional constitutional argument that the PERB, in
    moving to dismiss his petition as untimely, was not acting as the “impartial and
    disinterested tribunal” that due process required. Marshall v. Jerrico, Inc., 
    446 U.S. 238
    , 242 (1980). We reject this argument as well, because the PERB‟s
    defense of its decision on procedural grounds is no evidence that its decision was
    biased in any way. Cf. Withrow v. Larkin, 
    421 U.S. 35
    , 47-55 (1975) (The
    combination of investigative and adjudicatory functions within an agency, without
    a specific showing of bias, does not violate due process.).
    12
    the Office of the Corporation Counsel of the District of Columbia.” 23 No lawyer
    would think of the PERB as a party to its own proceeding, and the requirement of
    service on the Attorney General24 might be taken to imply that service on the
    PERB is unnecessary. Neill argues that service on the Attorney General was
    indeed sufficient to serve the PERB.
    Nevertheless, the better reading of Rule 1 is that it does require petitions for
    review to show service on the agency that conducted the proceeding below.
    Subsection (e) of the Rule states that the adjudicating agency must file the record
    with the Superior Court “[w]ithin sixty (60) days from the date of service of
    petition upon the agency and the office of the Corporation Counsel,”25 and the
    comment to the Rule explicitly states that the “petition must be served on the
    23
    Super. Ct. Agency Rev. R. 1 (a). The requirement that a petition “show
    service” means that service must be made on or before the date of filing. See
    Super. Ct. Civ. R. 5-I (providing that proof of service “shall show the date and
    manner of service on the parties”); 
    id. R. 5
    (b)(2) (providing that service may be
    made by hand delivery, mail, or, if consented to, any other means, including
    electronically). Agency Review Rule 1 (h) expressly incorporates Civil Rules 5
    and 5-I.
    24
    The Office of the Corporation Counsel was renamed the Office of the
    Attorney General in 2004. See Mayor‟s Order No. 2004-92, 51 D.C. Reg. 6052
    (May 26, 2004).
    25
    Super. Ct. Agency Rev. R. 1 (e).
    13
    agency involved with a copy to the attorney in the office of the Corporation
    Counsel handling the case.”26 Reading the Rule in its entirety together with its
    explanatory comment27 thus makes clear that the agency must be served as well as
    the Attorney General, and the Rule makes only one party—the petitioner—
    responsible for service.28 There is no solid textual basis for reading the Rule to
    require a different party—for example, the Attorney General or the Clerk of the
    Superior Court—to serve the agency.29 And it would be anomalous to place the
    burden of serving the PERB on the Attorney General, as Neill proposes, given that
    the PERB is an independent agency with its own general counsel, and that the
    Attorney General often represents one side (the District government) in disputes
    26
    
    Id. cmt. 27
             See In re Sealed Case, 
    141 F.3d 337
    , 342 (D.C. Cir. 1998) (“We can
    assume that if a [rule of procedure] were ambiguous, one might look to a clear
    Advisory Note to resolve that ambiguity. . . .”).
    28
    Cf. Thompson v. District of Columbia, 
    863 A.2d 814
    , 816-18 (D.C. 2004)
    (affirming the dismissal of a suit against the District because the plaintiff served
    the Corporation Counsel, but not the Mayor; rejecting the plaintiff‟s argument that
    she “substantially complied” with the rule by serving an agent of the Mayor; and
    explaining that the “plain language of the [applicable] rule” requires “that service
    of process shall be effected on both the Corporation Counsel and the Mayor”).
    29
    Cf. D.C. App. R. 15 (c) (providing that in agency cases petitioned directly
    to the Court of Appeals, “[t]he Clerk must serve a copy of the petition for review
    on the respondent agency.”).
    14
    adjudicated by the PERB—i.e., disputes between the District and its public sector
    unions.30
    Having said this, it must be acknowledged that the text of Rule 1 is
    misleading. We think the Superior Court would do well to amend it to state
    unambiguously that petitions for review of agency decisions under the CMPA must
    (1) name the agency that issued the decision being appealed as the respondent in
    the caption and (2) show service by the petitioner on that agency, all other parties
    to the agency proceeding, and the Attorney General for the District of Columbia.31
    The form petition accompanying the Rule should reflect these requirements.
    Additionally, we suggest that the PERB consider adopting the practice of other
    District agencies of attaching to its decisions instructions detailing how, where, and
    when an aggrieved party may seek review.
    B.
    30
    See, e.g., District of Columbia Metro. Police Dep’t v. District of
    Columbia Pub. Emp. Relations Bd., 
    901 A.2d 784
    (D.C. 2006); Teamsters Local
    Union 1714 v. District of Columbia Pub. Emp. Relations Bd., 
    579 A.2d 706
    (D.C.
    1990).
    31
    See D.C. Code § 11-946 (2012 Repl.) (granting the Superior Court the
    power to amend its rules, subject to approval by this court).
    15
    We now turn to the question of whether Neill‟s initial failures to name and
    serve the PERB deprived the Superior Court of subject matter jurisdiction to
    review the PERB‟s decision even though Neill filed his petition within the thirty-
    day period specified by D.C. Code § 1-617.13 (c) and Rule 1 and otherwise
    complied with their requirements. The issue of subject matter jurisdiction is a
    question of law as to which our review is de novo.32
    We read this court‟s decision in IBPO to hold that Neill‟s failure to name the
    PERB as respondent did not divest the Superior Court of jurisdiction. In that case,
    after concluding that the petitioner violated Rule 1 by not naming the PERB as
    respondent, the court explained that “this is not the kind of rules violation that calls
    for per se dismissal.”33       The court contrasted the captioning failure with
    “mandatory and jurisdictional” filing requirements, such as time limits for filing.34
    32
    See Heard v. Johnson, 
    810 A.2d 871
    , 877 (D.C. 2002); see also Drivers,
    Chauffeurs & Helpers Local Union No. 639 v. District of Columbia, 
    631 A.2d 1205
    , 1213 (D.C. 1993) (reviewing dismissal of a petition for review of a PERB
    decision as untimely without specifying the standard of review, implying that the
    court applied a de novo standard).
    33
    
    IBPO, 680 A.2d at 437
    .
    34
    
    Id. at 437
    n.3. This court has said that the thirty-day time limit contained
    in D.C. Code § 1-617.13 (c) and Rule 1 for filing a petition for review is
    jurisdictional. See, e.g., Fisher v. District of Columbia, 
    803 A.2d 962
    , 965 (D.C.
    2002) (stating that the Rule 1 time limitation is “mandatory and jurisdictional,” in a
    (continued…)
    16
    Had the court thought jurisdiction to be in doubt, it would have said so.35
    More recent cases lead us to the same conclusion. The Supreme Court and
    this court have striven to differentiate jurisdictional rules that limit the court‟s
    authority to hear a case from non-jurisdictional “claim-processing” rules that “seek
    to promote the orderly process of litigation by requiring that the parties take certain
    procedural steps at certain times.”36 Jurisdictional limitations, when not
    constitutionally mandated, are an exercise of legislative power and so must be
    grounded in statutes or other legislative acts; absent a proper delegation of that
    power to the judiciary, procedural requirements imposed only by court rule are not
    (continued…)
    case where no statutory deadline applied); Drivers, Chauffeurs & Helpers Local
    Union No. 
    639, 631 A.2d at 1213
    (stating that “the threshold issue of timeliness”
    under both the CMPA and Rule 1 for filing a petition for review of a PERB
    decision “goes to the trial court‟s subject matter jurisdiction”). For purposes of
    this appeal, we need not decide whether our decisions labeling the time limit
    jurisdictional remain good law in light of subsequent Supreme Court cases
    (including those cited in the next paragraph) distinguishing jurisdictional rules
    from claim-processing rules.
    35
    See, e.g., In re D.M., 
    771 A.2d 360
    , 364 (D.C. 2001) (“Where a
    substantial question exists as to this court‟s subject matter jurisdiction, it is our
    obligation to raise it, sua sponte, even though, as here, no party has asked us to
    consider it.”) (citation and alterations omitted).
    36
    Henderson v. Shinseki, 
    131 S. Ct. 1197
    , 1203 (2011).
    17
    jurisdictional in nature—they are claim-processing rules that (unlike the
    requirements of subject-matter jurisdiction) may be relaxed or waived.37
    Indeed, the Superior Court Rules of Civil Procedure state explicitly that they
    “shall not be construed to extend or limit the jurisdiction of this Court.”38 It is true,
    as we have indicated, that a jurisdictional provision in a statute may (explicitly or
    implicitly) delegate or leave to the court the responsibility to specify or define the
    precise jurisdictional condition in a rule, thereby rendering the rule jurisdictional to
    that extent. For example, the District of Columbia Administrative Procedure Act
    provides that petitions for review in this court “shall be filed . . . within such time
    as [this court] may by rule prescribe. . . .”39 We have held that our implementing
    37
    See Gatewood v. District of Columbia Water & Sewer Auth., 
    82 A.3d 41
    ,
    48 (D.C. 2013) (explaining that claims-processing rules are “typically promulgated
    by a decision-making body” and jurisdictional rules are “most often legislative
    enactments”); 
    id. at 46
    (“Jurisdictional rules may be raised at any point in the
    proceedings and are not subject to waiver, however late they are invoked. By
    contrast, nonjurisdictional rules and deadlines may be extended or waived.”); see
    also Bowles v. Russell, 
    551 U.S. 205
    , 211-13 (2007); Smith v. United States, 
    984 A.2d 196
    , 200-01 (D.C. 2009). It should be noted that even statutory restrictions
    governing the cases courts may hear are not to be deemed jurisdictional unless the
    intent of the legislature is clear. See Sebelius v. Auburn Reg’l Med. Ctr., 
    133 S. Ct. 817
    , 824 (2013).
    38
    Super. Ct. Civ. R. 82.
    39
    D.C. Code § 2-510 (a) (2012 Repl.).
    18
    rule, which provides a thirty day period for a party to seek review, is
    jurisdictional.40 Similarly, D.C. Code § 11-721 (2012 Repl.) provides that this
    court has jurisdiction to hear appeals by aggrieved parties from orders or
    judgments of the Superior Court. How, then, does an aggrieved party “appeal”?
    The statute does not spell that out, but our implementing rule specifies it is done by
    filing a notice of appeal that identifies the appellant(s) and the judgment or order
    being appealed.41       We have held these definitional requirements to be
    jurisdictional.42 The Supreme Court likewise has held that “both a notice [of
    appeal] and its contents are jurisdictional prerequisites.”43 But this certainly does
    not mean that the caption or form of an otherwise compliant notice has
    40
    See D.C. App. R. 15 (a)(2); Capitol Hill Restoration Soc. v. Mayor’s
    Agent for Historic Preservation, 
    44 A.3d 271
    , 277 (D.C. 2012).
    41
    See D.C. App. R. 3 (a), (c).
    42
    See Patterson v. District of Columbia, 
    995 A.2d 167
    , 170 (D.C. 2010)
    (holding that identification of appellant in notice of appeal is a jurisdictional
    requirement, and that the failure to name a party in a notice to appeal “constitutes a
    failure of that party to appeal”) (quoting Torres v. Oakland Scavenger Co., 
    487 U.S. 312
    , 316 (1988)); Vines v. Mfrs. & Traders Trust Co., 
    935 A.2d 1078
    , 1083
    (D.C. 2007) (holding that failure to designate the judgment or order being appealed
    is a jurisdictional defect).
    43
    Gonzalez v. Thaler, 
    132 S. Ct. 641
    , 651 (2012); see also Smith v. Barry,
    
    502 U.S. 244
    , 248 (1992) (“Rule 3‟s dictates are jurisdictional in nature, and their
    satisfaction is a prerequisite to appellate review.”).
    19
    jurisdictional significance.44 Nor do the foregoing cases mean that the various
    other procedural requirements imposed by rule for perfecting a petition for review
    of agency action or an appeal from the Superior Court are jurisdictional.45
    The relevant statute in this case, D.C. Code § 1-617.13 (c), does not specify
    that petitions for review of PERB decisions must name the deciding agency as
    respondent in the caption of the petition; it simply states that “[a]ny person
    aggrieved by a final order of the Board . . . may obtain review of such order by
    filing a request within 30 days after the final order has been issued.” There is no
    doubt that Neill filed such a request, or that in it he identified himself, the PERB,
    and the final order he sought to have reviewed. The formal pleading requirement
    with which Neill failed to comply, that the PERB be identified as the respondent,
    44
    See D.C. App. R. 3 (c)(4) (“An appeal may not be dismissed for
    informality of form or title of the notice of appeal, or for failure to name a party
    whose intent to appeal is otherwise clear from the notice.”).
    45
    See D.C. App. R. 3 (a)(2) (“An appellant‟s failure to take any step other
    than the timely filing of a notice of appeal does not affect the validity of the appeal,
    but is ground only for the Court of Appeals to act as it considers appropriate,
    including dismissal of the appeal.”); see also, e.g., Moore Energy Res., Inc. v.
    Pub. Serv. Comm’n, 
    785 A.2d 300
    , 304-06 (D.C. 2001) (holding that the
    requirement in Rule 15 (a) that counsel for a corporation sign a petition for review
    is not jurisdictional); Montgomery v. Docter, Docter & Salus, P.C., 
    578 A.2d 176
    ,
    177-78 (D.C. 1990) (payment of a filing fee and filing of copies of the notice of
    appeal, as required by the appellate rules, held “not a jurisdictional prerequisite,”
    albeit the latter filing requirement is “essential to the processing of an appeal”).
    20
    derives only from Rule 1. It may be an important claim-processing requirement,
    but it is not part of the essential definition of a “request” for review. No statute
    delegates to the Superior Court the authority to impose such a technical pleading
    requirement as a jurisdictional prerequisite to the review of PERB decisions. We
    therefore are comfortable reaffirming the implicit holding of IBPO that, while a
    petitioner‟s failure to name the agency as respondent in a Rule 1 petition for
    review may have other consequences, it does not divest the Superior Court of
    jurisdiction.
    Turning to Neill‟s failure to effect timely service on the PERB, the CMPA
    does not impose any particular service requirement as a condition of invoking the
    jurisdiction of the Superior Court. As we have emphasized, D.C. Code § 1-617.13
    (c) provides that “filing” a timely request is all a person aggrieved by a final order
    of the PERB need do to obtain judicial review. “Filing” is a term of limited
    meaning; it does not encompass the concept of service.46 Service of process goes
    46
    See, e.g., Milton v. United States, 
    105 F.2d 253
    , 255 (5th Cir. 1939) (“The
    word „filed‟ . . . is, as applied to court proceedings, a word of art, having a long
    established and well understood meaning, deriving from the practice of filing
    papers on a string or wire. It requires of one filing a suit, merely the depositing of
    the instrument with the custodian for the purpose of being filed. . . . [I]t charges
    him with no further duty[.]”); BLACK‟S LAW DICTIONARY 660 (8th ed. 1999)
    (defining “file” as “To deliver a legal document to the court clerk or record
    custodian for placement into the official record”). The distinction between filing
    (continued…)
    21
    to the court‟s power over the party to be served, not the court‟s ability to consider
    the subject matter of the case, i.e., its subject-matter jurisdiction.47 Our cases
    reflect that distinction. For example, in the analogous context of petitions for
    review filed in this court, we have rejected the argument that a petitioner‟s failure
    to timely serve intervenors affects the court‟s subject matter jurisdiction.48 And
    (continued…)
    and service is well-established in our jurisprudence. See, e.g., Varela v. Hi-Lo
    Powered Stirrups, 
    424 A.2d 61
    , 67-68 (D.C. 1980) (en banc) (recognizing the
    “clear understanding that the manner by which an action is commenced [via filing
    of the complaint with the court] . . . presents a completely different and separable
    array of considerations from the manner by which service of process is to be
    made”) (emphasis in the original).
    47
    See Henderson v. United States, 
    517 U.S. 654
    , 656 (1996) (“We hold
    that, in actions arising under federal law, commenced in compliance with the
    governing statute of limitations, the manner and timing of serving process are
    generally nonjurisdictional matters of „procedure‟ controlled by the Federal
    Rules.”); 4 CHARLES A. WRIGHT, ARTHUR R. MILLER, & EDWARD H. COOPER, FED.
    PRACTICE AND PROCEDURE § 1063 (3d ed. 2002) (distinguishing the concepts of
    subject matter jurisdiction, venue, personal jurisdiction, and service of process);
    see also Super Ct. Civ. R. 12 (b) (providing for lack of subject matter jurisdiction
    and defective service as separate defenses); McKnight v. Scott, 
    665 A.2d 973
    , 975-
    76 (D.C. 1995) (considering separately questions of subject matter jurisdiction and
    improper service, and noting that “[t]he purpose of service of process is to ensure
    that all parties have notice of a legal proceeding”).
    48
    Myrick v. District of Columbia Bd. of Zoning Adjustment, 
    577 A.2d 757
    ,
    762 n.11 (D.C. 1990).
    22
    insufficiency of service may be waived,49 while subject matter jurisdiction may
    not.50 We readily conclude that the service requirements of Agency Review Rule 1
    are not jurisdictional in character, and that Neill‟s failure to serve the PERB within
    the thirty-day filing period therefore did not divest the Superior Court of subject
    matter jurisdiction over his petition.
    C.
    Finally, we consider whether Neill‟s non-compliance with Rule 1, although
    it did not deprive the court of subject matter jurisdiction, nevertheless justified
    dismissal (with or without prejudice).51 Superior Court Civil Procedure Rule 41
    (b) gives the trial court authority to dismiss any claim or action for failure of the
    49
    McLaughlin v. Fidelity Sec. Life Ins., 
    667 A.2d 105
    , 107 n.5 (D.C. 1995);
    see also Super. Ct. Civ. R. 12 (h)(1) (“A defense of . . . insufficiency of process, or
    insufficiency of service of process is waived” unless included in either a
    responsive pleading or a motion to dismiss.).
    50
    Upson v. Wallace, 
    3 A.3d 1148
    , 1155 (D.C. 2010) (“As a general rule,
    subject matter jurisdiction may not be waived. . . .”); see also Super. Ct. Civ. R. 12
    (h)(3) (“Whenever it appears by suggestion of the parties or otherwise that the
    Court lacks jurisdiction of the subject matter, the court shall dismiss the action.”).
    51
    Because the thirty-day time period for filing his petition for review had
    run by the time the court dismissed Neill‟s petition, it makes no difference to him
    whether the dismissal was with or without prejudice—either way, the dismissal
    was final.
    23
    plaintiff to comply with procedural rules, including, in principle, captioning and
    service irregularities.52   However, because Neill‟s errors were not willful, the
    record does not show prejudice to the other parties, and the trial court did not
    consider alternative sanctions, we conclude that dismissal of the petition was
    unwarranted.
    Some claim-processing rules, although not jurisdictional, are considered
    “inflexible,” meaning they are strictly enforced when the opposing party properly
    invokes them.53 IBPO made clear that the captioning rule is not in that category.54
    As to the service requirement of Rule 1, analogous provisions in the Civil Rules
    allow for a case to proceed despite improper or untimely service if the court finds
    good cause why the case should not be dismissed—i.e., that the violation should be
    excused.55 We conclude similarly that imperfect service under Rule 1 does not
    require automatic dismissal.
    52
    Super. Ct. Civ. R. 41(b); see also Techniarts Video, Inc. v. 1631
    Kalorama Assocs., 
    572 A.2d 1051
    , 1053 n.10 (D.C. 1990); Wagshal v. Rigler, 
    711 A.2d 112
    , 116 (D.C. 1998); 
    IBPO, 680 A.2d at 436
    n.2.
    53
    See In re Na. H., 
    65 A.3d 111
    , 115-17 (D.C. 2013).
    
    54 680 A.2d at 436-37
    & n.2.
    55
    See Super. Ct. Civ. R. 4 (m), 41 (b); Baba v. Goldstein, 
    996 A.2d 799
    ,
    802-04 (D.C. 2010); 
    Wagshal, 711 A.2d at 114-16
    .
    24
    Because neither the captioning nor the service requirement is “inflexible,”
    the trial court, in exercising its Rule 41 (b) authority, has discretion to determine
    the penalty for noncompliance with them.56 Because of its severity, however,
    dismissal may be imposed as a sanction for the failure to comply with procedural
    requirements or other misconduct only in “extreme circumstances and only after
    the trial court has considered lesser sanctions.”57        The court must consider
    “whether the conduct calling for sanctions was willful and whether the other party
    was prejudiced by it, and the sanction imposed should, wherever possible, be
    56
    See 
    IBPO, 680 A.2d at 436
    -37 & n.2; Wolfe v. Fine, 
    618 A.2d 169
    , 172-
    73 (D.C. 1992); White v. Wash. Metro. Area Transit Auth., 
    432 A.2d 726
    , 728
    (D.C. 1981). We recognize that when a decision is committed to trial court
    discretion, an appellate court cannot substitute its own discretionary judgment for
    that of the trial court. See Johnson v. United States, 
    398 A.2d 354
    , 362 (D.C.
    1979). However, where we conclude that “the facts . . . leave the trial court with
    but one option it may choose without abusing its discretion,” 
    id. at 364,
    we need
    not remand for the trial court to exercise that discretion as, in essence, a mere
    formality. See Wright v. United States, 
    508 A.2d 915
    , 920 (D.C. 1986); Ibn–
    Tamas v. United States, 
    407 A.2d 626
    , 635 (D.C. 1979). We deem this principle
    applicable here.
    57
    Techniarts 
    Video, 572 A.2d at 1054
    ; see also, e.g., Solomon v. Fairfax
    Vill. Condo. IV Unit Owner’s Ass’n, 
    621 A.2d 378
    , 379 (D.C. 1993) (per curiam)
    (“Of all the weapons in the judicial arsenal available to a trial court to discourage
    dilatory behavior during litigation, perhaps none is so lethal as a dismissal with
    prejudice.”); LaPrade v. Lehman, 
    490 A.2d 1151
    , 1155 (D.C. 1985) (“In the
    exercise of its discretion under Rule 41(b), the trial court „should first resort to the
    wide range of lesser sanctions which it may impose.‟”) (quoting Garces v. Bradley,
    
    299 A.2d 142
    , 144 (D.C. 1973)).
    25
    tailored to the offense.”58 “[A]t least as a general proposition, dismissal with
    prejudice is an appropriate sanction only upon clear evidence of deliberate delay or
    upon a showing of contumacious conduct by the plaintiff.”59
    Judged by those standards, it cannot be maintained that Neill‟s initial failure
    to properly caption and serve his petition for review was sufficient justification for
    dismissing his petition.      Neill‟s errors plainly appear to have resulted from
    inadvertence or negligence at worst, not “contumacious conduct.”60 Once Neill‟s
    attorney learned that he was required to serve the PERB, he did so promptly.
    Similarly, when advised to do so by the trial court, Neill without delay submitted
    an amended petition with a proper caption. And although Neill‟s errors caused a
    somewhat lengthy delay, the PERB and the union suffered no evident prejudice as
    a result.61
    58
    Techniarts 
    Video, 572 A.2d at 1054
    (citations omitted).
    59
    
    Wolfe, 618 A.2d at 173
    (alteration and internal quotation marks omitted);
    see also Granville v. Hunt, 
    566 A.2d 65
    , 66 (D.C. 1989).
    60
    
    Wolfe, 618 A.2d at 173
    .
    61
    See 
    id. (“When the
    conduct calling for sanctions consists of delay, . . .
    relevant factors include the length of the delay and the resulting prejudice, if any,
    to the defendant.”).
    26
    Our conclusion that dismissal was too severe a sanction is confirmed by our
    cases. In IBPO, we held that failing to name the PERB as respondent did not
    require dismissal because the body of the petition correctly identified the PERB as
    the agency that issued the order from which relief was sought.62 The same is true
    here. In addition, the PERB “received actual notice of the suit, was properly
    served, filed responsive pleadings, and obtained the consent of all parties to
    intervene in the proceeding,” and thus “acted, for all practical purposes, as the
    respondent it truly [was].”63 Ultimately, that was true here as well.
    The only meaningful difference between this case and IBPO is the timing of
    service on the agency. It is undeniable that Neill‟s failure resulted in a significant
    delay. The PERB should have been served on March 1; it was not served until
    June 29. The agency record should have been filed by April 30; it was not filed
    until October 2. Nonetheless, according to the docket, nothing of significance
    occurred during that time other than the scheduling and re-scheduling of an initial
    conference.      There is no indication, on this record at least, that the delay
    compromised the defense of the PERB‟s decision or caused the FOP to incur costs
    
    62 680 A.2d at 438
    .
    63
    
    Id. 27 by
    litigating in place of the agency. And unaccompanied by willful misconduct or
    prejudice, the delay of a few months was not so prolonged that it could be said to
    justify the sanction of dismissal by itself.64
    This court‟s decision in Francis v. Recycling Solutions, Inc.,65 on which the
    PERB relies, provides an apt contrast. In that case, we upheld the trial court‟s
    dismissal of a lawsuit challenging the award of a recycling contract where the
    plaintiff (the losing bidder) incorrectly named as the defendant the winning bidder
    rather than the agency that made the award. The plaintiff had not served the
    agency and had fought against its entry in the litigation as a party, imposing court
    costs and attorney‟s fees on the winning bidder forced to litigate the case in the
    agency‟s stead.66 And in addition to naming the wrong defendant, the plaintiff, the
    director of a District of Columbia governmental agency, was herself an improper
    64
    See Lofton v. Kator & Scott, 
    802 A.2d 955
    , 957-58 (D.C. 2002) (holding
    that the trial court abused its discretion in dismissing a case after the parties
    allowed it to lay “dormant for at least fourteen-and-a-half-months”); Dobbs v.
    Providence Hosp., 
    736 A.2d 216
    , 220 (D.C. 1999) (“[A]n isolated instance of
    delaying conduct may not typically support dismissal. . . .”).
    65
    
    695 A.2d 63
    (D.C. 1997).
    66
    
    Id. at 78-79.
                                               28
    party, for she lacked the statutory authority to sue.67 None of those factors is
    present here.68
    Neill‟s mistakes were not willful and did not cause the kind of harm that
    justifies dismissal. Indeed, on this record, it does not appear that the PERB or the
    union suffered any prejudice at all. We recognize, however, that the trial court has
    never squarely considered the issue of prejudice. On remand, therefore, it remains
    open for the court to do so and, if it deems it appropriate, to fashion a remedy
    “tailored to the offense,” for example an award of costs.69
    67
    
    Id. 68 It
    is true that Neill has persisted in arguing that the PERB is not a proper
    party to the case. But he raised his meritless Article III standing argument only
    after he complied with the service requirement and amended his petition to name
    the PERB as the respondent, and then only after the Superior Court dismissed his
    amended petition anyway. In Francis, the agency was never 
    served. 695 A.2d at 78
    .
    69
    Techniarts Video, Inc. v. 1631 Kalorama Assocs., 
    572 A.2d 1051
    , 1054
    (D.C. 1990); see also LaPrade v. Lehman, 
    490 A.2d 1151
    , 1155-56 (D.C. 1985)
    (“Alternative sanctions include . . . an assessment of the defendant‟s costs and
    reasonable fees against the plaintiff . . . or a finding that [the] plaintiff‟s lawyer is
    in contempt of court and the imposition of a fine.”).
    29
    III.
    For the foregoing reasons, we reverse the Superior Court‟s dismissal of
    Neill‟s petition for review and remand for further proceedings consistent with this
    opinion.
    So ordered.