American Federation of Gov't Employees National Office v. D.C. Public Relations Board ( 2020 )


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    DISTRICT OF COLUMBIA COURT OF APPEALS
    No. 17-CV-383
    AMERICAN FEDERATION OF GOVERNMENT EMPLOYEES
    NATIONAL OFFICE, APPELLANT,
    v.
    DISTRICT OF COLUMBIA
    PUBLIC EMPLOYEE RELATIONS BOARD, APPELLEE.
    Appeal from the Superior Court
    of the District of Columbia
    (CAP-846-13)
    (Hon. John M. Mott, Trial Judge)
    (Hon. Marisa J. Demeo, Trial Judge)
    (Argued November 8, 2018                          Decided September 10, 2020)
    Hampton H. Stennis, with whom David A. Borer was on the brief for
    appellant.
    Geoffrey H. Simpson, with whom Cedar P. Carlton and Bruce A.
    Fredrickson were on the brief, for appellee.
    Before BLACKBURNE-RIGSBY, Chief Judge, and EASTERLY, Associate Judge,
    and WASHINGTON, Senior Judge.
    WASHINGTON, Senior Judge:       The American Federation of Government
    Employees National Office (“AFGE”) appeals from an order of the Superior Court
    of the District of Columbia upholding a decision of the District of Columbia Public
    2
    Employees Relations Board (“PERB”) ordering the AFGE to provide Christopher
    Collins with financial documents under the control of the AFGE affiliate Local
    1975 (“Local 1975”). Because the PERB did not have the authority to order the
    National AFGE to respond to the complaint on behalf of Local 1975, we reverse.
    I. Facts
    Mr. Collins, a member of the AFGE Local 1975, filed a standards of conduct
    complaint with the PERB against his local AFGE affiliate and the AFGE’s
    National Union under D.C. Code § 1-617.03 (2016 Repl.) and 6-B DCMR § 544.2
    (2020) alleging that his local union was being mismanaged. Specifically, Mr.
    Collins claimed that “there has been no accounting and fiscal/financial controls
    over [Local 1975’s] membership dues and there has been no regular financial
    reports or summaries made available to members upon request[,]” which led him to
    conclude that “Union funds have been abused and mismanaged by Union
    representatives . . . .” As part of his complaint, he asked the PERB to order Local
    1975 to turn over its fiscal records and meeting minutes from the previous four
    years; and further requested that the PERB order the AFGE to “report” on the
    financial submissions it received from Local 1975 during the same time period.
    Local 1975 never responded to the complaint, but some months after the filing, the
    3
    AFGE responded by filing a motion to dismiss the complaint for “lack of subject
    matter jurisdiction” or “as moot.” More specifically, the AFGE claimed that it is
    “not subject to D.C. Code § 1-617.03 with respect to [Mr.] Collins’[] claims.”
    In response, the PERB issued an order refusing to consider the AFGE’s
    motion to dismiss on the ground that it was untimely under 6-B DCMR § 544.6
    (2015), 1 finding that the complaint stated a violation of D.C. Code
    § 1-617.03(a)(5), deeming the allegations admitted under 6-B DCMR § 544.7, and
    ordering Local 1975 and the AFGE to provide the requested relief. The AFGE
    filed a motion for reconsideration asking the PERB to consider whether it had
    jurisdiction over the AFGE under D.C. Code §§ 1-617.03, -617.10(a) and
    -617.11(b), and 6-B DCMR § 544.1. The PERB denied the AFGE’s motion for
    reconsideration solely on the grounds that the PERB had complied with 6-B
    DCMR §§ 544.6 and 544.7 when issuing the original order.
    1
    The PERB’s and the trial court’s references to 6-B DCMR §§ 544.6 and
    544.7 were to the 2015 edition of the regulations. Those sections are now partially
    embodied in the 2020 edition of 6-B DCMR §§ 502.11, 502.12, and 502.13. We
    also note that the reference to “jurisdiction” in the 2015 edition of § 544.6 no
    longer appears in the 2020 edition of the regulations. Because this appeal turns on
    the question of the PERB’s “jurisdiction,” however, we analyze the issue by
    referring to the 2015 edition of the regulations.
    4
    The AFGE then sought review of those orders in the Superior Court. Judge
    John M. Mott considered the challenge as one of “jurisdiction” and proceeded to
    address the issue in a matter similar to how courts of general jurisdiction would
    address the claim. Judge Mott found: (1) that the use of the term jurisdiction in 6-
    B DCMR § 544.6 “does not distinguish whether ‘jurisdiction’ . . . means personal
    jurisdiction or subject matter jurisdiction”; (2) that the AFGE waived its argument
    that it was not subject to standards of conduct complaints under 6-B DCMR
    § 544.1 because the AFGE waived a challenge to the PERB’s “personal
    jurisdiction” by filing an untimely response pursuant to 6-B DCMR § 544.6; and
    (3) that the matter should be remanded to the PERB to consider whether it had
    “subject matter jurisdiction” over standards of conduct complaints because subject
    matter jurisdiction cannot be waived.
    On remand from the Superior Court, the PERB determined that it had
    subject matter jurisdiction over the complaint because it was responsible for
    overseeing compliance with the District’s laws governing public employee labor
    organizations, including ensuring that those organizations are in compliance with
    their administrative responsibilities, and that a “union’s failure to hold periodic . . .
    elections, . . . maintain fiscal integrity . . . or to provide members with regular
    financial reports” were “the very bases of [Mr.] Collins’ allegations.” Further, the
    5
    PERB determined that Judge Mott had “expressly rejected the AFGE’s argument
    that the standards of conduct requirements in [6-B DCMR § 544.1] only apply to
    certified exclusive representative[s]” as “a personal jurisdiction argument couched
    as a subject matter jurisdiction defense” which the AFGE waived by failing to file
    a timely response. “Accordingly, consistent with the [Superior] Court’s Opinion,
    the [PERB found] that it [had] subject matter and personal jurisdiction over [the]
    AFGE in this matter.” The Superior Court, Judge Marisa J. Demeo, affirmed the
    PERB’s order on remand and this appeal followed.
    II. Standard of Review and Legal Framework
    “Although this is an appeal from a review of [an] agency action by the
    Superior Court . . . , we review the PERB decision as if the matter had been heard
    initially in this court.” Gibson v. District of Columbia Pub. Emp. Relations Bd.,
    
    785 A.2d 1238
    , 1241 (D.C. 2001). While we will sustain the PERB’s decision
    unless it is “clearly erroneous as a matter of law” or not “supported by substantial
    evidence,”
    id. (internal quotation marks
    omitted), we “are not obliged to stand
    aside and affirm an administrative determination which reflects a misconception[,]
    . . . faulty application,” Thomas v. District of Columbia Dep’t of Labor, 
    409 A.2d 164
    , 169 (D.C. 1979), or failure to “conduct any analysis of” the applicable law.
    6
    Georgetown Univ. v. District of Columbia Dep’t of Emp’t Servs., 
    971 A.2d 909
    ,
    915 (D.C. 2009).
    III. Analysis
    Although the parties over the life of this case have had disputes about
    whether the PERB had personal or subject matter jurisdiction, we see this case as
    presenting a single question:      whether the PERB is authorized to exercise
    jurisdiction, i.e., “authority” over the AFGE.       At the outset, we note that
    jurisdictional doctrines applicable to courts cannot be directly transposed onto
    administrative agencies. See City of Arlington v. FCC, 
    569 U.S. 290
    , 298 (2013);
    City of Hackensack v. Winner, 
    410 A.2d 1146
    , 1159-60 (N.J. 1980). In City of
    Arlington, the Supreme Court discussed the confusion caused by references to
    “jurisdiction” when addressing the scope of an administrative agency’s authority to
    decide certain 
    matters. 569 U.S. at 297-301
    . In that case, the Court concluded that
    no matter how the term is used, the question “is always whether the agency has
    gone beyond what [the legislature] has permitted it to do.”
    Id. at 298.
      We
    understand the Court to mean that courts reviewing agency actions ask not whether
    an agency has jurisdiction over a party or a dispute in the traditional sense of the
    term, but “whether the statutory text forecloses the agency’s assertion of authority,
    7
    or not.”
    Id. at 301.
    Therefore, the question before us is not whether the AFGE
    waived personal jurisdiction by responding to Mr. Collins’ complaint after the
    deadline, but rather whether the AFGE is subject to standards of conduct
    complaints filed with the PERB under the Comprehensive Merit Personnel Act
    (“CMPA”), D.C. Code §§ 1-601.01 et seq. See D.C. Code §§ 1-605.02, -617.03;
    District of Columbia v. 17M Assocs., LLC, 
    98 A.3d 954
    , 959 (D.C. 2014) (“An
    administrative agency is a creature of statute and may not act in excess of its
    statutory authority. When the legislature passes an Act empowering administrative
    agencies to carry on governmental activities, the power of those agencies is
    circumscribed by the authority granted.”) (internal quotation marks and citations
    omitted); 73 C.J.S. Public Administrative Law and Procedure § 163 (2020)
    (“[A]dministrative . . . agencies must . . . act within the limited scope of their
    powers.”).
    Whether the CMPA and 6-B DCMR § 544.6 grant the PERB statutory
    authority to order the AFGE to respond to standards of conduct complaints filed by
    an employee against his exclusive bargaining representative is a question of
    statutory interpretation that we review de novo.      See Johnson v. District of
    Columbia Dep’t of Emp’t Servs., 
    111 A.3d 9
    , 10 (D.C. 2015). As with all statutory
    interpretation questions, “[w]e look to the plain meaning of the statute first,
    8
    construing words according to their ordinary meaning.” Boyle v. Giral, 
    820 A.2d 561
    , 568 (D.C. 2003) (internal citation omitted).       Only if the intent of the
    legislature is unclear will we defer to an agency’s reasonable interpretation of its
    statutory authority. See City of 
    Arlington, 569 U.S. at 296
    (citing Chevron, U.S.A.,
    Inc. v. Natural Res. Def. Council, Inc., 467 U.S 837, 842-43 (1984)); accord
    
    Johnson, 111 A.3d at 10
    .      Although we will carefully consider the PERB’s
    interpretation of the CMPA, “[t]he judiciary is the final authority on issues of
    statutory construction and must reject administrative constructions which are
    contrary to clear [legislative] intent.” District of Columbia Fire & Emergency
    Med. Servs. Dep’t v. District of Columbia Pub. Emp. Relations Bd., 
    105 A.3d 992
    ,
    996 (D.C. 2014) (quoting Chevron, at 843 n.9 (internal quotation marks omitted));
    see also District of Columbia v. Brookstowne Cmty. Dev. Co., 
    987 A.2d 442
    , 449
    (D.C. 2010) (“Agencies are creatures of statute and their authority and discretion
    are limited to that which is granted under their founding statutes. Therefore,
    regulations they enact pursuant to that statutorily provided authority cannot expand
    that authority.”).
    Having reviewed the CMPA and the record in this case, we believe that the
    PERB exceeded its authority in asserting jurisdiction over the AFGE in this
    standards of conduct complaint case. We recognize the CMPA does not expressly
    9
    state that the PERB does not have authority over a national union such as the
    AFGE. However, when we read the statute as a whole, as we must, see Odeniran
    v. Hanley Wood, LLC, 
    985 A.2d 421
    , 428 (D.C. 2009), it is clear that the statute
    limits the PERB’s enforcement authority for standards of conduct complaints to an
    employee’s exclusive bargaining representative, and there is no evidence in the
    record from which the PERB could find that the AFGE meets that definition.
    Instead, the PERB only has authority over Local 1975, because Local 1975 is Mr.
    Collins’ exclusive bargaining representative.   See In re D.C. Dep’t of Motor
    Vehicles & AFGE Local 1975, PERB Case Nos. 99-UM-08 & 99-UCN-06, Op.
    No. 613 (Dec. 9, 1999) at 3; In re D.C. Dep’t of Motor Vehicles & AFGE Local
    1975, PERB Case Nos. 99-UM-08 & 99-UCN-06, Certification No. 110 (Dec. 9,
    1999) at 2. Thus, the PERB’s assertion of authority over the AFGE in this case
    reflects a misapplication of the law and requires reversal.      See D.C. Code
    § 2-510(a)(3)(A), (C) (2016 Repl.); Georgetown 
    Univ., 971 A.2d at 915
    ; 
    Thomas, 409 A.2d at 169
    .
    There is no dispute that the PERB has “jurisdiction/authority” to review
    standards of conduct complaints filed pursuant to the CMPA. See D.C. Code
    §§ 1-605.02(2), (9), -617.03(a). However, a plain reading of the applicable CMPA
    provisions makes it clear that the PERB’s authority to “[m]ake decisions and take
    10
    appropriate action” on standards of conduct complaints is limited to actions
    brought against an employee’s “exclusive bargaining representative[]” who fails
    “to adopt, subscribe, or comply with the internal or national labor organization
    standards of conduct for labor organizations.” D.C. Code § 1-605.02(2), (9); see
    also §§ -605.02(2) (the PERB has the power to “[c]ertify and decertify exclusive
    bargaining representatives”), (7) (the PERB has the power to conduct hearings “on
    any matter subject to its jurisdiction”), -617.03 (laying out the “[s]tandards of
    conduct for labor organizations” and requirements for an organization’s
    recognition by the PERB), -617.10 (describing the procedures for a labor
    organization to be chosen as an “[e]xclusive representative[]”), -617.11 (describing
    the “[r]ights accompanying exclusive recognition”).
    Here, the complaint alleges that Local 1975, the complaining employee’s
    exclusive bargaining representative, failed to comply with its internal or national
    labor organization standards for electing officers and maintaining and disclosing
    financial records, a complaint clearly consistent with the statute’s purpose and the
    PERB’s scope of authority. Indeed, the PERB’s own regulations governing CMPA
    standards of conduct complaints recognize that the PERB’s authority is over labor
    organizations that have “been accorded exclusive recognition pursuant to D.C. []
    Code §§ 1-617.10(a) or 1-617.11(b),” or are, at a minimum, “seeking to be
    11
    certified as an exclusive representative.” 6-B DCMR § 544.1. Therefore, under a
    plain reading of this statutory scheme, the CMPA grants the PERB jurisdiction to
    hear and decide whether exclusive bargaining representatives are in compliance
    with the standards of conduct provisions of the statute, or whether their conduct
    complies with the internal or national standards of conduct for labor organizations.
    Accordingly, the AFGE’s assertion that the PERB did not have the authority
    to order it to respond to the allegations in the complaint filed by Mr. Collins
    because it was not Mr. Collins’ exclusive bargaining representative, was a
    substantive defense to the PERB’s exercise of authority over it with regard to
    standards of conduct complaints. Yet, instead of addressing that issue directly, the
    PERB found that the AFGE had waived its right to raise a challenge to the PERB’s
    exercise of authority over it because it failed to timely file an answer to the
    complaint. In essence, the PERB avoided the thorny threshold question of whether
    it had statutory authority over the AFGE in these types of cases by asserting that the
    AFGE waived its right to object to the PERB’s assertion of its authority by failing
    to timely file its objections under 6-B DCMR §§ 544.6 and 544.7. The PERB’s
    refusal to consider the AFGE’s motion to dismiss and instead issue a default order
    as the basis for justifying its exercise of jurisdiction/authority is plainly wrong if it
    expands the agency’s power and authority beyond that afforded to it by its
    12
    governing statutes and regulations. See 17M Assocs., 
    LLC, 98 A.3d at 959
    ; 73A
    C.J.S. Public Administrative Law and Procedure § 281 (“An administrative body
    may not acquire jurisdiction by . . . consent. . . . An administrative body cannot act
    effectually where it lacks jurisdiction, and when it does so, its orders are void.”).
    As we have previously noted, a plain reading of both the CMPA and the regulations
    governing standards of conduct complaints specifically refer to the PERB’s
    authority to regulate the conduct of “exclusive bargaining representatives” of
    government employees. Thus, the PERB’s attempts to assert authority over a non-
    exclusive bargaining representative like the AFGE is plainly inconsistent with the
    scope of the PERB’s authority under both CMPA and 6-B DCMR § 544.1, neither
    of which the PERB interpreted or applied to this case. See Placido v. District of
    Columbia Dep’t of Emp’t Servs., 
    92 A.3d 323
    , 326 (D.C. 2014); Georgetown 
    Univ., 971 A.2d at 915
    ; 
    Thomas, 409 A.2d at 169
    .
    The PERB’s reliance on waiver is also misplaced here for reasons similar to
    those rejected by the Supreme Court in City of Arlington v. FCC. 
    See 569 U.S. at 297
    . As the Supreme Court of New Jersey has noted:
    [A]dministrative agencies cannot be equated with judicial
    courts. An administrative agency is not simply a neutral
    forum whose function is solely to decide the controversy
    presented to it. Administrative agencies belong to a
    13
    different branch of government. They are separately
    created and exercise executive power in administering
    legislative authority selectively delegated to them by
    statute. . . . [T]he adjudicative functions of administrative
    agencies are actually an aspect of their regulatory powers
    and, in essence, do not embrace or constitute the exercise
    of judicial authority.          Courts, by contrast, are
    constitutionally-founded, independent and impartial
    adjudicative tribunals constituted to hold and exercise the
    judicial power which emanates directly from the
    Constitution. . . . Consequently, procedures and
    techniques developed to handle the operation and
    business of the courts may not be transported [i]n toto or
    imported wholesale into administrative agencies.
    
    Winner, 410 A.2d at 1159-60
    (internal citations omitted). Because the PERB’s
    authority to consider standards of conduct complaints is prescribed by statute, Judge
    Mott’s determination that the AFGE waived “personal jurisdiction” under 6-B
    DCMR § 544.6 is not probative of the PERB’s authority to exercise its jurisdiction
    over the AFGE in the first instance.
    Moreover, even in courts of general jurisdiction, personal jurisdiction is
    waived only if a party submits itself to the court’s authority before asserting that the
    court lacks personal jurisdiction. See In re Clark, 
    684 A.2d 1276
    , 1279 (D.C.
    1996); Super. Ct. Civ. R. 12(b)(2), (h)(1); 73A C.J.S. Public Administrative Law
    and Procedure § 281 (“[A] voluntary appearance before a tribunal, without raising
    any objection as to personal jurisdiction, is sufficient to confer personal
    14
    jurisdiction.”) (emphasis added). Here, the AFGE never submitted to the authority
    of the PERB. In fact, in its first response to Mr. Collins’ complaint, the AFGE
    challenged the PERB’s authority to issue any orders commanding the AFGE to take
    any action. That raised a threshold jurisdictional issue regarding the authority of
    the agency over the AFGE in this type of complaint, an issue that had to be
    addressed before the PERB could enter a default judgment pursuant to its rules. 2
    2
    The PERB argues that the AFGE waived its personal jurisdiction claim
    because it “did not timely file an answer to the complaint.” The PERB’s argument
    is unconvincing. Untimeliness is not an automatic bar to challenging personal
    jurisdiction, as we have previously held that a defendant did not waive his personal
    jurisdiction defense despite filing an answer raising the defense two months after
    receiving the complaint. See Devoto v. Devoto, 
    358 A.2d 312
    , 313 (D.C. 1976)
    (holding appellee had preserved his personal jurisdiction defense despite filing an
    answer containing this defense two months after receiving the summons and
    complaint and long after the twenty-day time limit for responding had expired).
    Even though this case involves the PERB’s rules as laid out in 6-B DCMR
    § 544.7, personal jurisdiction ultimately “flows . . . from the Due Process Clause,”
    Insurance Corp. of Ireland, Ltd. v. Compagnie des Bauxites de Guinee, 
    456 U.S. 694
    , 702 (1982), so we also find support for our holding in the decisions of federal
    courts analyzing personal jurisdiction. For example, Superior Court Rule of Civil
    Procedure 12(h) is identical to Federal Rule of Civil Procedure 12(h). Both
    concern when a local or federal Rule 12(b)(2) lack of personal jurisdiction defense
    is waived. “[W]hen a local rule and a federal rule are identical, we may look to
    federal court decisions in interpreting the federal rule as persuasive authority in
    interpreting the local rule.” Williams v. United States, 
    878 A.2d 477
    , 482 (D.C.
    2005) (internal quotation marks and citations omitted). Several federal circuit
    courts have held that Federal Rule of Civil Procedure 12(a)(1)’s twenty-one day
    time limit for defendants to respond to a complaint does not apply to motions
    asserting a personal jurisdiction defense. See, e.g., Hedeen Int’l, LLC v. Zing Toys,
    Inc., 
    811 F.3d 904
    , 906 (7th Cir. 2016) (“Under a straightforward reading of Rule
    12, a challenge to personal jurisdiction may be asserted either in a responsive
    (continued…)
    15
    Because “[a]n administrative agency is a creature of statute and may not act
    in excess of its statutory authority,” the PERB’s broad claim of authority over the
    AFGE through the use of a default rule applicable to those appropriately before the
    agency “is ultra vires and a nullity.” 17M Assocs., 
    LLC, 98 A.3d at 959
    (quotation
    marks omitted); see also 
    Placido, 92 A.3d at 326
    . The CMPA and “the regulations
    promulgated by the [PERB] empower the [PERB] to review complaints alleging the
    failure of a recognized labor organization to comply with the standards of conduct
    (…continued)
    pleading filed within 21 days, or in a motion with no similar time limit
    specified.”); Marcial Ucin, S.A. v. SS Galicia, 
    723 F.2d 994
    , 997 (1st Cir. 1983)
    (“Rule 12(h)(1) . . . does not call for the assertion of the lack of personal
    jurisdiction defense within the time provided in Rule 12(a).”); Bechtel v. Liberty
    Nat. Bank, 
    534 F.2d 1335
    , 1340-41 (9th Cir. 1976) (holding that a personal
    jurisdiction defense is not limited to the Rule 12(a) time period); see also 5C
    Wright, Miller, Kane & Spencer, Federal Practice and Procedure: Federal Rules of
    Civil Procedure § 1391 (3d ed. 2020) (“there is no warrant for treating the passage
    of the Rule 12(a) period as a basis for waiver of Rule 12(b) motions; a motion
    under the rule is timely as long as it is made before the filing of a responsive
    pleading and waiver of Rule 12(b) motions only results under the conditions
    outlined in Rules 12(g) and 12(h)”) (footnote omitted); but see Farmers Elevator
    Mut. Ins. Co. v. Carl J. Austad & Sons, Inc., 
    343 F.2d 7
    , 12 (8th Cir. 1965) (noting
    in dicta that failure to raise affirmative defense within time limit results in waiver).
    These authorities focus on whether the defense was raised first, not when it was
    raised, and we find that logic persuasive here. Thus, the AFGE did not waive its
    personal jurisdiction defense even though it filed its motion to dismiss outside the
    fourteen-day time limit in 6-B DCMR § 544.7 because it raised the defense in its
    “first significant defensive move” in response to the complaint. Transaero, Inc. v.
    La Fuerza Aerea Boliviana, 
    162 F.3d 724
    , 730 (2nd Cir. 1998) (internal quotation
    marks and citation omitted).
    16
    mandated by” the CMPA. Fraternal Order of Police MPD Labor Comm. v. Public
    Emp. Relations Bd., 
    516 A.2d 501
    , 504-05 (D.C. 1986) (citing D.C. Code §
    -617.03) (emphasis added); see also Neill v. Public Emp. Relations Bd., 
    93 A.3d 229
    , 232 (D.C. 2014) (“The PERB has jurisdiction to hear complaints alleging that
    a recognized union failed to comply with the specified conduct standards.”). Local
    1975 is the exclusive bargaining representative of the complainant in this case and,
    therefore, it is the recognized labor organization under the CMPA over which the
    PERB has statutory authority.
    For these reasons, we reverse the orders of the Superior Court and remand
    this matter for the trial court to enter an order remanding the matter to the PERB
    and directing the PERB to grant the AFGE’s motion to dismiss. 3
    So ordered.
    3
    Because we are remanding so that the AFGE can be dismissed from the
    case, we need not address its mootness argument.
    We note that Mr. Collins is not without a remedy. He filed a complaint
    against both the AFGE and Local 1975, so the PERB can use its resources to
    require Local 1975 to provide the documents requested by Mr. Collins. For
    example, the PERB admitted at oral argument that it had not, at that time, sought to
    enforce the default order against Local 1975 in Superior Court, a remedy that is
    clearly within the PERB’s authority to request. See D.C. Code §§ 1-605.02(16),
    -617.13(b).