Cruson v. Msla Electric Cooperative , 381 Mont. 304 ( 2015 )


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  •                                                                                           October 27 2015
    DA 15-0068
    IN THE SUPREME COURT OF THE STATE OF MONTANA                                Case Number: DA 15-0068
    
    2015 MT 309
    JON G. CRUSON,
    Plaintiff and Appellant,
    v.
    MISSOULA ELECTRIC COOPERATIVE, INC.
    and STATE OF MONTANA, DEPARTMENT OF LABOR
    and INDUSTRY, UNEMPLOYMENT INSURANCE DIVISION,
    Defendants and Appellees.
    APPEAL FROM:           District Court of the Fourth Judicial District,
    In and For the County of Missoula, Cause No. DV 14-258
    Honorable John W. Larson, Presiding Judge
    COUNSEL OF RECORD:
    For Appellant:
    David C. Berkoff, Berkoff Law Firm, P.C., Missoula, Montana
    Nate McConnell, McConnell Law Office, P.C., Missoula, Montana
    For Appellees:
    David B. Cotner, Datsopoulos, MacDonald & Lind, P.C., Missoula,
    Montana
    Edward “Rusty” Murphy, Murphy Law Offices, PLLC, Missoula,
    Montana
    Submitted on Briefs: August 26, 2015
    Decided: October 27, 2015
    Filed:
    __________________________________________
    Clerk
    Justice Beth Baker delivered the Opinion of the Court.
    ¶1     Jon G. Cruson appeals the decision of the Fourth Judicial District Court, Missoula
    County, affirming the Board of Labor Appeals’ (Board) denial of unemployment benefits
    to him. We restate the issue on appeal as follows:
    Whether the District Court erred when it affirmed the Board’s conclusion that
    Cruson was disqualified for unemployment benefits because his voluntary termination did
    not constitute “good cause attributable to the employer.”
    ¶2     We affirm.
    PROCEDURAL AND FACTUAL BACKGROUND
    ¶3     Missoula Electric Cooperative, Inc. (MEC) employed Cruson as a master
    electrician from October 1, 2001, until May 20, 2013. In 2009, Mark Hayden began
    working as the general manager for MEC. Shortly thereafter, Cruson complained to
    Hayden and members of MEC’s management and board of directors that unqualified
    employees were performing work that only an electrician could perform.           Cruson
    complained that having unqualified servicemen and linemen performing electrical work
    jeopardized his Master Electrician’s License.
    ¶4     In response to Cruson’s complaints, Hayden implemented a computer system in
    late 2010 or early 2011 that allowed employees like Cruson to review whether work
    orders were being assigned properly.         Hayden also advised supervisors to remind
    employees that they were not allowed to perform work beyond their capabilities and
    licensure.
    2
    ¶5    Also in response to Cruson’s concerns, MEC contacted the Montana State
    Electrical Board in June 2012 for guidance regarding the scope of practice of a lineman
    versus an electrician. In February 2013, Anne O’Leary, attorney for the Electrical Board,
    sent an email to MEC confirming that certain electrical work is outside the scope of a
    lineman’s practice.
    ¶6    On or about August 4, 2012, MEC posted a vacancy announcement for an
    apprentice lineman position. Cruson submitted his application for the position, which
    paid an hourly wage approximately 40% less than his master electrician’s wage. In
    September 2012, MEC announced that it would not hire any of the applicants for the
    apprentice lineman position.
    ¶7    Cruson continued working as a master electrician for MEC after learning that he
    had not been hired for the apprentice lineman position. He did, however, file an age
    discrimination claim against MEC with the Montana Human Rights Bureau (Bureau).
    The Bureau issued a cause finding in Cruson’s favor on April 13, 2013. Four weeks
    later, MEC sent an e-mail to the Bureau making an unconditional offer of the apprentice
    lineman position to Cruson. Cruson rejected the offer.
    ¶8    In the meantime, Cruson did not encounter any other issues regarding unqualified
    work until March 2013, when—using Hayden’s computer system—he discovered three
    additional instances where work had been performed by unqualified employees ten years
    earlier, in March 2003. In April 2013, an MEC Operations Specialist advised Cruson of
    3
    another work order showing impermissible work by a serviceman in the fall of 2012.
    Hayden claims that he did not learn of these instances until after Cruson quit.
    ¶9     Cruson resigned from his position on or about May 19, 2013. After leaving MEC,
    Cruson filed a claim for unemployment benefits with the Montana Department of Labor
    and Industry’s Unemployment Insurance Division (Department).              The Department
    initially determined that Cruson was disqualified from receiving benefits, stating that his
    separation from MEC was without good cause attributable to his employment as required
    by § 39-51-2302, MCA.          Cruson filed a Request for Redetermination with the
    Department. In November 2013, the Department overturned its original finding and
    granted Cruson unemployment insurance benefits beginning on the date of his
    resignation.
    ¶10    Following the Redetermination, MEC filed a request for appeal with the Montana
    Department of Labor and Industry, Hearings Bureau (Hearings Bureau). The Hearings
    Bureau conducted a hearing on December 9, 2013, at which Cruson and MEC were
    represented by counsel.
    ¶11    At the hearing, Cruson testified that he quit, in part, due to the stress and anxiety
    he felt knowing that MEC employees were being directed to or allowed to perform work
    beyond their capabilities, and that jeopardized his Master Electrician’s License. Cruson
    acknowledged that he had not received any disciplinary threats against his license for
    such unauthorized work. Cruson testified that MEC had done little or nothing to address
    4
    his concerns. Cruson stated that he quit after being offered the apprentice lineman
    position because the hourly wage was 40% less than his wage as a master electrician.
    ¶12   Hayden testified that he addressed all of Cruson’s concerns. He testified that
    supervisors and other members of management were instructed that they could not allow
    or encourage MEC employees to perform work beyond their capabilities and licensure.
    Hayden testified that he implemented a computer system to track work orders in an
    attempt to correct the problems. Hayden testified that he and other supervisors discussed
    various scenarios in which employees may be asked to perform work beyond their
    capabilities and thought that MEC was operating within the confines of the law. Hayden
    denied being aware of the issues Cruson discovered in March and April 2013.
    ¶13   The hearing officer found that MEC attempted to address Cruson’s concerns as
    they arose and concluded that “the evidence shows [the] reason offered for quitting does
    not constitute good cause attributable to the employment.”        The Hearings Bureau
    reversed the Department’s Redetermination and concluded that Cruson was disqualified
    from receiving benefits.
    ¶14   Cruson appealed to the Board in December 2013. On February 11, 2014, the
    Board adopted and affirmed the decision of the Hearings Bureau. The Board’s written
    decision concluded that “while both parties made compelling arguments . . . substantial
    evidence supports that there was no unreasonable action(s) by the employer.” The Board
    noted that “while Cruson may have had good personal reasons for leaving his
    5
    employment, substantial evidence supports that he did not show he left work for good
    cause attributable to his employment.”
    ¶15    Cruson petitioned the District Court for judicial review, arguing that the Board
    erred by misapplying the legal standard regarding good cause attributable to the
    employer.     Cruson also argued that the Hearings Bureau and Board improperly
    considered MEC’s offer of the lower paying apprentice lineman position when weighing
    Cruson’s eligibility for unemployment benefits, or in the alternative, that he should not be
    disqualified for benefits when required to accept a 40% reduction in wages.
    ¶16    The District Court denied Cruson’s appeal. It concluded that the Board “correctly
    applied the law to the underlying facts when it determined that [Cruson] did not
    voluntarily leave his employment with good cause attributable to the employer.” Cruson
    appeals.
    STANDARD OF REVIEW
    ¶17    When a district court reviews a decision by the Board, the court reviews
    conclusions of law for correctness. Sayler v. Dep’t of Labor & Indus., 2014 MT 255A,
    ¶ 13, 
    376 Mont. 369
    , 
    336 P.3d 358
     (citation omitted).           If supported by substantial
    evidence, the Board’s findings of fact are conclusive, even if the court finds a
    preponderance of the evidence to the contrary. Johnson v. W. Transp., LLC, 
    2011 MT 13
    , ¶ 17, 
    359 Mont. 145
    , 
    247 P.3d 1094
     (citations omitted). The same standards apply to
    this Court’s later review of the district court’s decision. Sayler, ¶ 13 (citation omitted).
    6
    DISCUSSION
    ¶18 Whether the District Court erred when it affirmed the Board’s conclusion that
    Cruson was disqualified for unemployment benefits because his voluntary termination did
    not constitute “good cause attributable to the employer.”
    ¶19    A claimant “must be disqualified for benefits if the individual has left work
    without good cause attributable to the individual’s employment.” Section 39-51-2302(1),
    MCA. A claimant has left work with good cause attributable to employment if the
    claimant: (1) had compelling reasons arising from the work environment that caused the
    claimant to leave; (2) attempted to correct the problem in the work environment; and (3)
    informed the employer of the problem and gave the employer a reasonable opportunity to
    correct it. Section 39-51-1214(2)(a), MCA; Admin. R. M. 24.11.457(1)(a). “Compelling
    reasons” as used in Admin. R. M. 24.11.457(2), in pertinent part, include but are not
    limited to:
    (a) undue risk, as compared to work in similar occupations or industries, of
    injury, illness, physical impairment, or reasonably foreseeable risks to the
    claimant’s morals;
    (b) unreasonable actions by the employer concerning hours, wages, terms
    of employment or working conditions, including, but not limited to,
    reductions of 20 percent or more in the claimant’s customary wages or
    hours.
    ¶20    According to Cruson, the Board’s findings of fact support all the elements of the
    “good cause attributable to the employer” standard. Cruson argues that the “compelling
    reason” element is met because 1) he faced an undue risk of losing his “license and
    livelihood” when MEC linemen performed improper work, and 2) the offered apprentice
    position paid significantly less than his current master electrician position.    Cruson
    7
    stresses that the Montana State Electrical Board can punish any licensed electrician who
    allows his license to be violated. Cruson asserts that MEC, as the power supplier
    utilizing Cruson’s license, had a duty to prevent employees from violating that license.
    Cruson contends that if he allowed improper work to occur at MEC, he “would be
    complicit in allowing unsafe conditions to exist on his watch.”
    ¶21   Cruson argues that “nothing in the ‘good cause attributable to the employer’
    standard requires an employee to accept a lower-paying position in order to remedy the
    employer’s violation of the law.” Cruson cites to Admin. R. M. 24.11.457(2)(b) defining
    a compelling reason to include “reductions of 20% or more in the claimant’s customary
    wages or hours.” Cruson claims that he would have incurred a 40% decrease in wages
    had he accepted the apprentice lineman offer—thereby giving him a compelling reason to
    reject the offer and terminate his employment.
    ¶22   Cruson next argues that the Board’s factual findings support the second element of
    the statutory good cause standard because he “did everything he possibly could” to fix the
    problems at MEC.      Cruson asserts that he voiced his concerns to “multiple” MEC
    managers. Cruson points out that Hayden acknowledged receiving complaints from
    Cruson on a quarterly basis. Cruson also states that he shared his concerns with the lead
    inspector for the Missoula County Buildings Department and the head of the State of
    Montana Electrical Division.
    ¶23   Cruson argues that the Board’s findings support the third element of the “good
    cause attributable to the employer” standard because he reported the improper work to
    8
    management, giving MEC a reasonable opportunity to correct the problem. Cruson
    points out that Hayden acknowledged the problem and accepted that it was his
    responsibility to fix it. Cruson asserts that Hayden nonetheless never disciplined any
    MEC managers or linemen and that the problems persisted up until “just days before he
    quit”—when he discovered three instances of work having been performed by
    unqualified employees. Cruson contends that he provided MEC management “nearly
    three full years to do something about linemen violating his license to no avail.”
    ¶24    MEC argues that Cruson did not have a “compelling reason” to leave work
    because he had not been disciplined for the issues he complained of while working for
    MEC and thus his license was never at risk. Further, MEC rejects Cruson’s contention
    that the lower paying lineman position gave him a compelling reason to quit because
    MEC never requested Cruson to take a pay cut; Cruson applied for the job on his own
    volition; and Cruson indicated he was financially able to absorb the loss and was willing
    to take the position despite the pay cut.
    ¶25    MEC asserts that it had corrected, or was working to correct, all of Cruson’s
    concerns. MEC claims that “Hayden took Cruson’s concerns seriously and attempted to
    correct the issues as they arose.” MEC emphasizes that Hayden implemented a computer
    system to review work orders and advised supervisors to instruct linemen that they were
    not permitted to perform electrical work. MEC underscores the fact that Hayden and
    MEC contacted both a Missoula County employee and the Montana State Electrical
    Board regarding the scope of practice for linemen versus electricians to ensure that
    9
    MEC’s employees were performing their work consistent with laws and regulations.
    MEC claims that subsequent incidents, where employees performed work beyond their
    qualifications, were never brought to Hayden’s attention until after Cruson quit.        It
    contends that MEC “cannot be faulted for not correcting problems that Cruson did not
    bring to [its] attention and of which it had no knowledge.”
    ¶26    The hearing officer entered findings of fact and ultimately concluded that Hayden
    and MEC took Cruson’s concerns seriously and attempted to address his concerns as they
    arose. The hearing officer noted that Hayden’s testimony was “clear, direct, and sounded
    sincere.” The hearing officer also found that because the apprentice lineman position was
    governed by a collective bargaining agreement and joint apprenticeship training
    agreement, it was unreasonable for Cruson to believe that he would continue receiving
    the same hourly wage as a master electrician. Finally, the hearing officer noted that, even
    after Cruson refused the lineman position, he could have continued his employment
    working as a master electrician.
    The Board’s Findings of Fact
    ¶27    In a judicial proceeding to review the Board’s determination of a claim for
    unemployment benefits, “the findings of the board as to the facts, if supported by
    evidence, and in the absence of fraud, shall be conclusive and jurisdiction of [the] court
    shall be confined to questions of law.” Section 39-51-2410(5), MCA. When reviewing a
    final agency decision, substantial evidence requires “more than a scintilla of evidence,
    but less than a preponderance of the evidence.” Somont Oil Co. v. King, 
    2012 MT 207
    ,
    10
    ¶ 19, 
    366 Mont. 251
    , 
    286 P.3d 585
     (citing Johnson, ¶ 17). Applying this standard, we
    have reversed the Board’s findings of fact when they were “plainly not supported by the
    record or where the Board failed to review the record in making its decision.” Somont,
    ¶ 19 (citing Mont. Dep’t of Corr. v. State Dep’t of Labor & Indus., 
    2006 MT 298
    ,
    ¶¶ 19-21, 
    334 Mont. 425
    , 
    148 P.3d 619
     (reversing the Board’s decision where the Board
    reversed the hearing officer without reviewing the record)).        Judicial review of the
    Board’s decision should not involve reconsideration of the evidence.          Somont, ¶ 21
    (citing Johnson, ¶ 18). “It is not our job to weigh conflicting evidence presented to the
    Board.” Gypsy Highview Gathering Sys., Inc. v. Stokes, 
    221 Mont. 11
    , 15, 
    716 P.2d 620
    ,
    623 (1986). Rather, we determine only “whether there is evidence to support the Board’s
    findings.” Gypsy Highview, 221 Mont. at 15, 
    716 P.2d at 623
    .
    ¶28    Here, the Board reasonably concluded that the findings, as made by the hearing
    officer, were supported by the evidence. The Board based its decision on its review of
    the entire record, as well as arguments and closing comments from both parties as to the
    relevant criteria under Admin R. M. 24.11.457. The Board provided specific reasons in
    its final decision for affirming the hearing officer’s findings. The District Court, in turn,
    determined that the findings affirmed by the Board were supported by substantial
    evidence “even though there may also have been some evidence to the contrary.” Like
    the District Court, we need not determine whether this Court would reach the same
    conclusion on the evidence presented. Johnson, ¶ 18. Based on our own review of the
    11
    record and the substantial evidence supporting the Board’s decision, we agree with the
    District Court.
    ¶29    In his reply brief, Cruson references and attaches a Montana State Electrical Board
    complaint proceeding entitled, In the Matter of the Proposed Discipline of Case
    No. 2013-ELE-LIC-1600 (Stipulation and Final Order). While not part of the record
    before the Board or the District Court, Cruson asserts that this Court should take judicial
    notice of the complaint “because it undermines [MEC’s] assertion that the law was
    unclear and that [Cruson’s] license was never at risk.”
    ¶30    We generally do not take judicial notice of evidence not presented to the district
    court. Holtz v. Babcock, 
    143 Mont. 341
    , 373, 
    390 P.2d 801
    , 802 (1964) (quoting 20 Am.
    Jur. Evidence, § 27 (1936) (“the general rule is that if the attention of the trial court is not
    called to a fact within its judicial knowledge and such fact is not judicially noticed, the
    appellate court will not take judicial notice of it”)). This rule is particularly apropos here,
    where our review is confined to whether the Board had substantial evidence for its
    decision. In any event, we disagree with Cruson’s assertion. The stipulation and order in
    the complaint proceeding—issued in late 2014—do not prove any fact relevant here other
    than that that MEC acknowledged that linemen should not have performed certain
    electrical jobs without a license. MEC acknowledges the same in this appeal.
    The Board’s Conclusions of Law
    ¶31    In deciding whether the Board’s legal conclusions are correct, we review the
    record of all prior proceedings. See Mont. Dep’t of Corr., ¶ 24. “We apply a deferential
    12
    standard of review to an agency’s interpretation in matters of its expertise.” Somont, ¶ 18
    (citing Gypsy Highview, 221 Mont. at 16, 
    716 P.2d at 623
     (deferring to the Board’s
    conclusion as to unsafe working conditions because the Board had expertise in the area
    and was in better position to determine safety)).
    ¶32    Cruson argues that the Board erred as a matter of law by determining that MEC’s
    attempt to fix Cruson’s complaints “as they arose” satisfies the “good cause attributable
    to the employer” standard. Cruson argues that the plain language of the standard in
    Admin. R. M. 24.11.457 requires an employer, once on notice, to correct the problem, not
    just to attempt to correct it. Cruson asserts that the statute does not merely require the
    employer to react in a reasonable time, but actually to fix the problem.
    ¶33    Cruson also claims that the Board erred when it concluded that Cruson could have
    remained employed as MEC’s master electrician despite the problems of which he
    complains. To support his claim, Cruson cites to Gypsy Highview, where we stated that
    “an employee need not wait to be seriously injured before acting to remove himself from
    an unsafe working environment.” Gypsy Highview, 221 Mont. at 16, 
    716 P.2d at 623
    .
    ¶34    MEC contends that Cruson’s argument “requests this Court to substitute its view
    of what is a ‘reasonable opportunity’ to correct.” MEC asserts that the statute neither
    defines “reasonable opportunity” nor does it require that the employer “immediately and
    completely correct the issue, without exception.” MEC claims that it was not until
    February 2013, when it received correspondence from the Montana State Electrical
    Board, that it learned that certain electrical work is outside the scope of a lineman’s
    13
    practice.    MEC also claims that Cruson failed to inform Hayden of his subsequent
    discovery of events where MEC employees performed work for which they were not
    qualified.
    ¶35    We agree with MEC that whether an employer had a “reasonable opportunity” to
    correct an issue is left to the fact finder—in this case, the Board. The Board concluded
    that Cruson’s reasons for leaving were personal and that there was no unreasonable
    action by MEC. The Board cited to the evidence to support this determination. The facts
    reasonably may be interpreted to support the Board’s legal conclusion. Whether an
    employer takes sufficient action to respond to an employee’s legitimate complaints is not
    a determination that a reviewing court should second-guess under the standard prescribed
    by § 39-51-2410(5), MCA. While Cruson may have had good personal reasons to leave
    his job at MEC, evidence supports the Board’s decision that those reasons were not
    “compelling,” as defined by Admin. R. M. 24.11.457(2), in light of MEC’s responsive
    actions. The hearing officer found no indication that Cruson’s license was ever at risk,
    and MEC did not reduce Cruson’s wages or compel him to seek a lower-paying position.
    Substantial evidence also supports the Board’s decision that MEC did not act
    unreasonably and had corrected, or was working to correct, problems within a reasonable
    time period by tracking work orders, instructing employees to work within the scope of
    their licensure, and changing internal policies.
    14
    CONCLUSION
    ¶36   Because the Board’s factual findings were supported by substantial evidence, its
    legal conclusion—that “good cause attributable to the employer” has not been shown
    under § 39-51-1214(2)(a), MCA, or Admin. R. M. 24.11.457(1)(a)—was correct.
    Accordingly, the judgment of the District Court is affirmed.
    /S/ BETH BAKER
    We concur:
    /S/ MIKE McGRATH
    /S/ LAURIE McKINNON
    /S/ JAMES JEREMIAH SHEA
    /S/ JIM RICE
    15