Knox Waste Service, LLC and Adolpho Martinez, Jr. v. Jason Sherman and Melissa Miles Sherman ( 2021 )


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  • Opinion filed September 30, 2021
    In The
    Eleventh Court of Appeals
    __________
    No. 11-19-00407-CV
    __________
    KNOX WASTE SERVICE, LLC AND
    ADOLPHO MARTINEZ, JR., Appellants
    V.
    JASON SHERMAN AND
    MELISSA MILES SHERMAN, Appellees
    On Appeal from the 266th District Court
    Erath County, Texas
    Trial Court Cause No. CV35857
    MEMORANDUM OPINION
    This is an interlocutory appeal of the trial court’s denial of Knox Waste
    Service, LLC’s (Knox) and Adolpho Martinez, Jr.’s motion to compel arbitration
    under the terms of an employment contract. Appellee Jason Sherman disputed his
    electronic signature on the arbitration agreement, an agreement that invoked the
    Federal Arbitration Act (FAA). See 
    9 U.S.C. §§ 1
    –16; TEX. CIV. PRAC. & REM. CODE
    ANN. § 51.016 (West 2015).
    On appeal, Appellants claim that the trial court abused its discretion by:
    (1) denying their motion to compel Appellees to arbitrate the personal injury
    claims against Appellants per the terms of the employment contract;
    (2) failing to hold an evidentiary hearing before denying the motion; and
    (3) failing to sustain Appellants’ oral motion to strike Appellees’ late
    response, which contained Sherman’s affidavit denying that he signed the
    arbitration agreement.
    We affirm in part and reverse and remand in part.
    I. Background Facts
    Knox is a residential and waste collection service operating out of Tye, Texas.
    Knox employed Sherman to drive its waste collection vehicles and to assist in the
    collection of waste. Sherman was in the passenger seat of one of Knox’s waste
    collection vehicles driven by Martinez, another employee of Knox, when the truck
    was involved in an accident due to “mechanical issues.” Sherman sustained severe
    injuries as a result.
    Sherman and his wife, Appellees, filed a common law action against
    Appellants for personal injuries and loss of consortium, alleging that Appellants’
    negligence, negligence per se, and/or gross negligence was a proximate cause of
    their damages. All parties represented to the trial court that the suit was a personal
    injury claim against the employer—a nonsubscriber under the workers’
    compensation system of the State of Texas. In response to Appellees’ petition,
    Appellants filed a motion to compel arbitration under the FAA pursuant to an
    alternative dispute resolution agreement (the Arbitration Agreement) between
    Sherman, Knox, and Benefit Staffing—a third-party company that contracted with
    Knox to perform administrative duties and assist in Knox’s hiring process.
    Execution of the Arbitration Agreement by Sherman was affirmatively alleged in
    Appellants’ answer filed on October 8, 2019, and no denial, verified or otherwise,
    2
    was filed by Appellees prior to the date of the hearing on the motion to compel
    arbitration. On the evening before the hearing, Appellees filed a response to the
    motion to compel, attaching an affidavit of Sherman denying that he had signed the
    Arbitration Agreement. The trial court denied the motion to compel, and this appeal
    followed.
    II. Analysis
    We first note that we have jurisdiction to consider this interlocutory appeal
    pursuant to Section 51.016 of the Texas Civil Practice and Remedies Code, which
    permits an interlocutory appeal of an order denying a motion to compel arbitration
    when the FAA governs the arbitration agreement. CIV. PRAC. & REM. § 51.016; see
    also 
    9 U.S.C. § 16
    (a)(1)(B), (C); Beldon Roofing Co. v. Sunchase IV Homeowners’
    Ass’n, 
    494 S.W.3d 231
    , 236 (Tex. App—Corpus Christi 2015, no pet.).
    A. By Express Agreement the FAA was Invoked, but Does it Control Here?
    Appellants attached a copy of the Arbitration Agreement purportedly signed
    by Knox, Sherman, and Jeannie King—an employee and agent for Benefit Staffing
    at the time the agreement was executed—in support of their motion to compel
    arbitration. In the Arbitration Agreement, the parties agreed “to resolve all Claims
    (as identified below) exclusively through mediation and arbitration, rather than
    through a jury trial, under the terms of this Agreement. . . . The promises by the
    Parties to arbitrate their differences, rather than litigate them before courts or other
    bodies, constitute considerations for this Agreement.” The Arbitration Agreement
    also states that each party “carefully read this Agreement, understand its terms, and
    are entering into this Agreement voluntarily and not under any form of duress.”
    Generally, “a written arbitration agreement is prima facie valid and must be enforced
    unless the opposing party . . . ‘allege[s] and prove[s] that the arbitration clause itself
    was a product of fraud, coercion, or such grounds as exist at law or in equity for the
    revocation of the contract.’” Freudensprung v. Offshore Tech. Servs., Inc., 
    379 F.3d
                     3
    327, 341 (5th Cir. 2004) (internal quotations omitted) (quoting Nat’l Iranian Oil
    Co. v. Ashland Oil, Inc., 
    817 F.2d 326
    , 332 (5th Cir. 1987)). Thus, Appellants’ copy
    of the signed Arbitration Agreement, by itself, sufficiently establishes the existence
    of a prima facie valid arbitration. See id.; see also In re DISH Network, L.L.C., 
    563 S.W.3d 433
    , 439 (Tex. App.—El Paso 2018, no pet.).
    In our review, we note that Section K of the Arbitration Agreement expressly
    states that “the parties agree that this Agreement will be interpreted, enforced and
    governed under the [FAA].” Despite this express agreement, Appellees asserted in
    their response to Appellants’ motion to compel arbitration—as well as on appeal—
    that the FAA does not control for the following reasons:
    1. The FAA’s “transportation worker” exception, see 
    9 U.S.C. § 1
    ; Circuit
    City Stores, Inc. v. Adams, 
    532 U.S. 105
    , 119 (2001);
    2. Waiver;
    3. Sherman’s contention that he did not sign the Arbitration Agreement; and
    4. The Arbitration Agreement terms do not require arbitration of a personal
    injury claim against a nonsubscriber opting out of the Texas workers’
    compensation insurance coverage.
    We will address each of the contentions made by the parties to determine whether
    an enforceable arbitration exists. We review de novo whether an enforceable
    agreement to arbitrate exists. In re Labatt Food Serv., L.P., 
    279 S.W.3d 640
    , 643
    (Tex. 2009); J.M. Davidson, Inc. v. Webster, 
    128 S.W.3d 223
    , 227 (Tex. 2003).
    1. No Statutory Exclusion: Sherman was not a Transportation Worker
    Although express agreements that certain disputes will be governed under the
    FAA may eliminate the need to establish that the transaction involves interstate
    commerce, it “does not preclude, however, the necessity of determining whether
    
    9 U.S.C. § 1
     excludes the employee from the FAA’s control. This matter must be
    analyzed under the FAA itself.” W. Dairy Transp., LLC v. Vasquez, 
    457 S.W.3d
                                             4
    458, 463 n.3 (Tex. App.—El Paso 2014, no pet.) (citing 
    9 U.S.C. § 1
    ; Circuit City
    Stores, 
    532 U.S. at 119
    ). Accordingly, we must determine whether 
    9 U.S.C. § 1
    exempts the Arbitration Agreement from its scope. See 
    id.
    The FAA states that “nothing herein contained shall apply to contracts of
    employment of seamen, railroad employees, or any other class of workers engaged
    in foreign or interstate commerce.” 
    9 U.S.C. § 1
    . The Supreme Court’s plurality
    opinion in Circuit City interpreted this language to mean that “Section 1 exempts
    from the FAA only contracts of employment of transportation workers.” Circuit
    City Stores, 
    532 U.S. at 119
    . Although not expressly defined by Circuit City, the
    term “transportation workers” has generally been defined as those workers “actually
    engaged in the movement of goods in interstate commerce.” 
    Id. at 112
     (quoting
    Cole v. Burns Int’l Sec. Servs., 
    105 F.3d 1465
    , 1471 (D.C. Cir. 1997)); see also
    Eastus v. ISS Facility Servs., Inc., 
    960 F.3d 207
    , 211 (5th Cir. 2020); Rojas v. TK
    Commc’ns, Inc., 
    87 F.3d 745
    , 748 (5th Cir. 1996); Pilot Travel Ctrs., LLC v.
    McCray, 
    416 S.W.3d 168
    , 187 (Tex. App.—Dallas 2013, no pet.). Thus, the
    exemption should “be afforded a narrow construction.” Circuit City Stores, 
    532 U.S. at 118
    ; see also Rojas, 
    87 F.3d at 748
    .
    Several courts have used an eight-factor test—developed by the Eighth Circuit
    in Lenz v. Yellow Transportation, Inc.—to assist in determining who constitutes a
    “transportation worker.” 
    431 F.3d 348
    , 352 (8th Cir. 2005); see generally W. Dairy
    Transp., 457 S.W.3d at 465. Appellants apply this test in their brief, but the Fifth
    Circuit recently and explicitly rejected the adoption of the Lenz test in Eastus.
    Eastus, 960 F.3d at 211. We also decline to adopt such a test and instead choose to
    adhere to the general requirement that the worker must actually engage in the
    movement of goods in interstate commerce. See id.; see also Circuit City Stores,
    
    532 U.S. at 119
    .
    5
    Regardless of whether the Arbitration Agreement is in fact an “employment
    contract,”1 or whether “waste” constitutes a “good,” we hold that Sherman is not a
    transportation worker exempted by 
    9 U.S.C. § 1
    . To be considered a transportation
    worker, one must actually engage in the interstate movement of goods. See Circuit
    City Stores, 
    532 U.S. at 119
    ; see also Saxon v. Sw. Airlines Co., 
    993 F.3d 492
    , 497
    (7th Cir. 2021) (“To resolve that question we ask ‘whether the interstate movement
    of goods is a central part of the class members’ job description,’ meaning that the
    workers are actively occupied in ‘the enterprise of moving goods across interstate
    lines.’” (quoting Wallace v. Grubhub Holdings, Inc., 
    970 F.3d 798
    , 801–02 (7th Cir.
    2020))); Eastus, 960 F.3d at 211 (in holding that an airline worker who checked
    passengers’ tickets as they boarded the plane is not a “transportation worker,” the
    court noted that “[i]mportant to us is that though the passengers [—i.e., the goods ]
    moved in interstate commerce, Eastus’ role preceded that movement”); Siller v. L &
    F Distribs., Ltd., No. 96-40549, 
    1997 WL 114907
    , at *1 (5th Cir. Feb. 18, 1997)
    (unpublished) (“[A] ‘carrier is engaged in interstate commerce when transporting
    goods either originating in transit from beyond Texas or ultimately bound for
    destinations beyond Texas, even though the route of a particular carrier is wholly
    within one state.’” (quoting Merchants Fast Motor Lines, Inc. v. I.C.C., 
    528 F.2d 1042
    , 1044 (5th Cir. 1976))). Here, the record contains no evidence that the waste
    which Sherman transported was ever moved across state lines or was ever bound for
    a destination outside of Texas. The record fails to create a fact issue that Sherman
    is an exempted “transportation worker” under 
    9 U.S.C. § 1
    .
    Appellees assert that the Arbitration Agreement itself supports a finding that
    Sherman is a transportation worker. The Arbitration Agreement states, “[t]he parties
    1
    At the hearing on Appellants’ motion to compel arbitration, Appellants argued that an arbitration
    agreement is not necessarily an “employment contract” to which 
    9 U.S.C. § 1
     applies. Regardless of
    whether or not the agreement here is actually an employment contract, Appellants appear to have abandoned
    this argument on appeal. Therefore, on the issue of the applicability of the FAA, we assume, without
    deciding, that the Arbitration Agreement is an “employment contract” under 
    9 U.S.C. § 1
    .
    6
    agree and understand that Employer and / or Benefit Staffing are engaged in
    transactions involving interstate commerce and that, while performing duties during
    the course of employment, Employee is engaged in activity that affects interstate
    commerce.” However, as we discussed above, Circuit City expressly distinguished
    being “engaged in commerce” from activity merely “affecting commerce” or
    “involving commerce.” See Circuit City, 
    532 U.S. at 118
     (emphasis added). While
    the FAA more broadly applies to any activity affecting or involving interstate
    commerce, the more narrowly construed transportation-worker exemption requires
    that the worker actually be engaged in the interstate movement of goods. See id.; 
    9 U.S.C. §§ 1
    , 2. The Arbitration Agreement stated that the parties were involved in
    activity “that affects interstate commerce,” which comports with their expressed
    intent to be governed by the FAA. The Arbitration Agreement does not similarly
    state that Appellant was engaged in the interstate movement of goods, and there is
    no evidence in the record to that effect.
    Without any evidence that Sherman was actually engaged in the movement of
    goods in interstate commerce, the “transportation worker” exemption does not apply,
    and the FAA governs.
    2. No Waiver of Appeal
    We next address Appellees’ contention that Appellants have “waived their
    appeal.” Specifically, Appellees contend that Appellants waived their appeal by
    failing to properly challenge the trial court’s implied findings and by failing to
    challenge all grounds upon which the trial court’s order could have been based. We
    disagree.
    Appellees correctly note that when no findings of fact or conclusions of law
    are requested or filed, we must imply all findings of fact that are necessary to support
    the trial court’s judgment and are supported by the evidence. Sixth RMA Partners,
    L.P. v. Sibley, 
    111 S.W.3d 46
    , 52 (Tex. 2003); Wichita Cty. v. Envtl. Eng’g &
    7
    Geotechnics, Inc., 
    576 S.W.3d 851
    , 861 (Tex. App.—Austin 2019, no pet.) (citing
    BMC Software Belg., N.V. v. Marchand, 
    83 S.W.3d 789
    , 795 (Tex. 2002)).
    However, a presumption exists against waiver of a right to arbitration. Prudential
    Sec. Inc. v. Marshall, 
    909 S.W.2d 896
    , 898 (Tex. 1995) (citing Moses H. Cone
    Mem’l Hosp. v. Mercury Constr. Corp., 
    460 U.S. 1
    , 24–25 (1983)). As in Marshall,
    “[t]he record before us in this case does not overcome that presumption. Instead, the
    record indicates that [Appellants] consistently and timely sought to invoke any
    contractual rights to arbitration they might have.” 
    Id.
     Further, it is well settled that
    when the appellate record includes both the reporter’s and clerk’s records, as it does
    here, the trial court’s implied findings of fact are not conclusive and may be
    challenged in this court for legal sufficiency. See Sibley, 111 S.W.3d at 52; Wichita
    Cty., 576 S.W.3d at 861.
    Appellees assert that Appellants have waived their right to appeal because
    they did not specifically provide issue statements as to each implied finding and that
    “[i]t does not matter whether Knox and Martinez argued in the body of their brief
    various arguments.” However, Appellees cite to no authority, and we have found
    none, which requires that we must disregard the substance of Appellants’ arguments
    simply because they were not prefaced by an issue statement. To the contrary, Texas
    courts liberally construe the issues listed on appeal to achieve a just, fair, and
    equitable adjudication of the litigants’ rights. Holley v. Watts, 
    629 S.W.2d 694
    , 696
    (Tex. 1982).
    Appellees also contend that, because Appellants “have not challenged via
    argument the implied findings that the Texas Arbitration Act specifically excludes
    claims for personal injury/workers’ compensation,” Appellants have not challenged
    implied findings on a theory that could support the trial court’s order; Appellees
    suggest that we should summarily affirm the trial court’s order on the basis of this
    unassigned error. Appellants clearly and specifically address this issue in their brief,
    8
    stating that “[t]he Arbitration Agreement’s plain language provides the FAA governs
    the agreement pursuant to Employer’s and Benefit Staffing’s involvement in
    interstate commerce, making any argument stemming from the Texas Arbitration
    Act preempted.” For these reasons, we conclude that Appellants have not “waived
    their appeal.”
    3. Sherman’s Claim that he did not Sign the Arbitration Agreement
    With regard to Appellees’ claim that Sherman did not sign the Arbitration
    Agreement and that Appellees were therefore not bound by it, several issues arise
    including the effect and enforceability of an electronic signature. Appellants argue,
    among other things, that Sherman’s affidavit is insufficient to create a fact question.
    We agree.
    a. Affidavits Denying Electronic Signature — Aerotek
    In addressing Sherman’s affidavit and related issues as to whether Appellees
    are or should be bound by the Arbitration Agreement, we note that the Texas
    Supreme Court in Aerotek, Inc. v. Boyd recently addressed similar facts and issues.
    
    624 S.W.3d 199
     (Tex. 2021). There, an employer filed a motion to compel
    arbitration against its employees, contending that the employees were bound to
    arbitrate their dispute pursuant to signed arbitration agreements between the
    employer and its employees. 
    Id.
     at 200–02. The employees responded with
    affidavits denying that the employees “had ever seen, signed, or been presented with
    the [arbitration agreement].” 
    Id. at 202
    .
    The employer in Aerotek offered evidence of a signed arbitration agreement
    between the employer and its employees, its hiring and application process, and
    evidence that established the efficacy of its security procedures for the electronic
    signatures placed on the documents. 
    Id.
     at 203–06. The employer utilized multiple
    security procedures; importantly, the evidence showed that each employee was
    required to enter personal information known only to the employee during the
    9
    application process and was later required to input a secure passcode, which was
    known only to the employee, to log into the program and electronically sign the
    documents. 
    Id.
     at 204–06. The employer provided a way in which, if the applicant
    desired, he could input his information at Aerotek rather than from home. The
    application program also recorded and timestamped the employee’s actions. 
    Id. at 206
    . The application could not be submitted until all the steps were completed and
    all signatures were provided. 
    Id.
     A candidate who claimed lack of ability to use a
    computerized hiring application was invited to Aerotek’s office for assistance.
    The Texas Supreme Court held that the employer’s evidence conclusively
    established that the employees signed and agreed to the terms of the arbitration
    agreement; it also held that the employer’s evidence demonstrating the security
    procedures surrounding the signature authentication program conclusively proved
    its reliability such that the signatures on the agreement could be attributed to the
    employee pursuant to the Texas Uniform Electronic Transactions Act (the Act). See
    
    id. at 200
    , 205–07, 209 (citing TEX. BUS. & COM. CODE ANN. §§ 322.001–.009).
    b. Standard of Review
    We apply an abuse of discretion standard of review to the trial court’s order.
    Henry v. Cash Biz, LP, 
    551 S.W.3d 111
    , 115 (Tex. 2018). Under this standard, we
    defer to the trial court’s factual determinations if they are supported by evidence, but
    we review the trial court’s legal determinations de novo. 
    Id.
    To compel arbitration, a party must prove that a valid arbitration agreement
    exists. Aerotek, 624 S.W.3d at 204. Whether an arbitration agreement is valid and
    enforceable is a legal question subject to de novo review. In re D. Wilson Constr.
    Co., 
    196 S.W.3d 774
    , 781 (Tex. 2006) (citing J.M. Davidson, Inc., 128 S.W.3d at
    227–28). In addressing this legal question, however, we must defer to the trial
    court’s implied factual finding that Sherman did not sign the Arbitration Agreement
    10
    if such a finding is “supported by evidence.” See Aerotek, 624 S.W.3d at 204
    (quoting Henry, 551 S.W.3d at 115).
    c. Sherman: Electronic Signature
    In addition to a copy of the signed Arbitration Agreement, Appellants offered
    two affidavits in support of its validity—one from Matt Knox, Knox’s vice-
    president, and one from Shelia Clark, the custodian of records for Benefit Staffing.
    These affidavits confirmed that it was routine practice to send employees to Benefit
    Staffing after their interview with Knox so that they could read, sign, and complete
    the   necessary   introductory   documents—which        included   the   Arbitration
    Agreement—prior to beginning work. Clark testified in her affidavit that these
    documents are forwarded directly to the new employee’s personal e-mail, unless the
    employee either does not have a personal e-mail or chooses not to use it, in which
    case an e-mail address specific to Knox is used to receive and sign the documents.
    Clark further stated that only after the new employee has signed all the required
    blanks within the document collection can the documents then be submitted to
    Benefit Staffing for completion. The affidavits also state that Sherman was sent to
    Benefit Staffing after his interview with Matt Knox, where he completed all of the
    required documents under the supervision and assistance of King. Clark stated that
    Sherman chose not to use his own e-mail address and the documents were sent to
    “applicant2018@gmail.com” to be completed.
    Appellants also provided evidence of the application and documentation
    process, a copy of all of Sherman’s signed and completed documents, the signature
    authentication program, and the metadata from the signature authentication
    certificate, which provided detailed timestamps and records of Sherman’s
    completion of the documents. The pages of the subject documents were numbered
    beginning with “Page 1 of 10,” and so on, with the Arbitration Agreement labeled
    as “Page 7 of 10,” “Page 8 of 10,” “Page 9 of 10,” and “Page 10 of 10,” respectively.
    11
    Many of the documents that Sherman was required to sign—both before and after
    the Arbitration Agreement—also included personal identifying information that
    could only have been known to Sherman at the time they were signed, such as his
    Social Security number, driver’s license number, bank account and routing number,
    and other identifying information.
    Appellees contend that Appellants failed to produce any evidence of a valid
    Arbitration Agreement because Appellants’ two affidavits were not made on
    personal knowledge and are otherwise insufficient to support a finding that a valid
    Arbitration Agreement exists. We disagree.
    We first note that it is inconsequential that neither Matt Knox nor Clark
    personally observed Sherman sign the Arbitration Agreement. Faced with a similar
    argument in Aerotek—“[t]he Employees argue[d] that no evidence supports a
    finding that they signed the MAAs because Marsh did not ‘observe’ them doing
    so”—the court held that “Marsh did not need to observe them because the hiring
    application did, invisibly storing in a database an electronic record of each action the
    Employees took.” Aerotek, 624 S.W.3d at 207. Applying this reasoning to the
    instant case, neither Matt Knox nor Clark needed to personally observe Sherman
    signing the Arbitration Agreement because the hiring application did. See id.
    Regardless, Appellants’ affidavits would, at minimum, be admissible to establish
    their routine practice of having new employees sign an arbitration agreement and
    would be admissible to support the reliability and security of their electronic
    signature authentication program. See generally id.; see also In re Copart, Inc., 
    619 S.W.3d 710
    , 716 (Tex. 2021) (per curiam) (holding “such knowledge [of the affiant]
    has no bearing on [the affiant’s] status as a witness qualified to verify the authenticity
    of the various documents attached to her declaration”); In re Astro Air, L.P., No. 12-
    10-00108-CV, 
    2010 WL 3582657
    , at *3 (Tex. App.—Tyler Sept. 15, 2010, pet.
    denied) (mem. op.).
    12
    Even so, Appellees assert that Appellants’ affidavits are not conclusive
    evidence of a valid arbitration agreement nor of any actual assent to be bound by the
    Arbitration Agreement. In support of this contention, Appellees liken the facts of
    the instant case to those of Astro Air. There, our sister court determined that
    evidence demonstrating the routine practice of entering into arbitration agreements
    with new employees is “not only admissible, but also strong and persuasive that [the
    employee] was notified of the arbitration agreement and that she signed the
    arbitration agreement.” Astro Air, 
    2010 WL 3582657
    , at *4. However, the court
    determined that such evidence was not conclusive because the movant was unable
    to provide the trial court with any actual arbitration agreement signed by the
    employee. See 
    id.
    The case before us is readily distinguishable from Astro Air. Here, not only
    did Appellants provide evidence of a routine practice, which is “strong and
    persuasive” evidence that Sherman was notified of and signed the Arbitration
    Agreement, Appellants also provided an Arbitration Agreement purportedly signed
    by the parties, as well as metadata showing all of Sherman’s actions beginning when
    King created the documents for Sherman to read and sign. For the reasons discussed
    above, we conclude that Appellants presented sufficient evidence of a valid
    arbitration agreement such that a reasonable factfinder could not have disregarded it
    in determining whether a valid arbitration agreement exists, at least as it pertains to
    Appellant Knox. See Aerotek, 624 S.W.3d at 204–07; Shields Ltd. P’ship v.
    Bradberry, 
    526 S.W.3d 471
    , 480 (Tex. 2017); see also Freudensprung, 379 F.3d at
    341.
    d. Sherman’s Consent by Electronic Signature Denied by
    Affidavit
    In support of their position that Sherman never agreed to be bound by the
    Arbitration Agreement, Appellees provided only a single, self-interested affidavit
    13
    from Sherman in which he stated that he never signed, nor was ever asked to sign,
    the Arbitration Agreement. Appellants contend that Sherman’s affidavit was not
    fully clear or credible2 and that Appellees failed to produce more than a scintilla of
    evidence raising a genuine issue of material fact. As relevant to this appeal,
    Sherman’s affidavit states:
    “I am Plaintiff in the above-referenced matter. I met with Knox
    Waste Services and was offered a position on March 1, 2019.
    “During the employment interview I was not provided or shown
    any paperwork or asked to sign anything that had an arbitration
    provision in it.
    “No one, including Knox Waste Services, provided me with a
    copy of the Arbitration Agreement at any time during my employment.
    I did not see that document until after I was injured.
    “I did not sign the document alleged to be the Arbitration
    Agreement either on a computer or in my own handwriting nor did I
    give any person permission to sign on my behalf.
    “I have an email address that I could have used to sign electronic
    documents, if I had been asked to do so.
    Generally, an interested witness’s affidavit must be clear, positive, direct,
    otherwise credible, free from contradictions and inconsistencies, and readily
    controvertible. Trico Techs. Corp. v. Montiel, 
    949 S.W.2d 308
    , 310 (Tex. 1997)
    (citing Republic Nat’l Leasing Corp. v. Schindler, 
    717 S.W.2d 606
    , 607 (Tex.
    1986)). “‘Could have been readily controverted’ does not mean that the summary
    2
    We note that Appellants also assert that Sherman’s affidavit does not comply with the evidentiary
    rules governing affidavits and is therefore inadmissible. Specifically, Appellants contend that because the
    jurat within Sherman’s affidavit states that “Landon Northcutt” personally appeared before the notary, the
    affidavit does not adequately state that Sherman was properly sworn. We decline to discuss whether
    Sherman’s affidavit complies with the requisite evidentiary rules, as Appellants did not object to the
    admissibility of Sherman’s affidavit before the trial court; therefore, Appellants have waived this argument
    on appeal. See TEX. R. CIV. P. 166a(f) (defects to the form of an affidavit must be objected to or else waived
    on appeal); ACI Design Build Contractors Inc. v. Loadholt, 
    605 S.W.3d 515
    , 518 (Tex. App.—Austin 2020,
    pet. denied) (citing Mansions in the Forest, L.P. v. Montgomery Cty., 
    365 S.W.3d 314
    , 317 (Tex. 2012))
    (holding that defects in a jurat concerning whether the affidavit was properly sworn to are defects in form).
    14
    judgment evidence could have been easily and conveniently rebutted, but rather
    indicates that the testimony could have been effectively countered by opposing
    evidence.” 
    Id.
     (citing Casso v. Brand, 
    776 S.W.2d 551
    , 558 (Tex. 1989)).
    Regarding his first statement, it is undisputed that Sherman met with Knox
    and was hired on March 1, 2019. This statement fails to controvert anything.
    In his second statement, Sherman only contends that he was not provided or
    shown any paperwork or asked to sign anything that contained an arbitration
    provision during the employment interview. However, Sherman was not presented
    any of the documents to sign until he was sent to Benefit Staffing after his
    employment interview with Matt Knox that morning. Therefore, this statement also
    fails to clearly and directly controvert a material issue.
    Concerning Sherman’s third statement, Sherman merely asserts that no one
    provided him with a copy of the Arbitration Agreement at any time and that he did
    not see it until after he was injured. However, this fails to clearly and directly
    controvert anything as well because the mere failure to be provided a copy of the
    Arbitration Agreement does not establish that the Arbitration Agreement was not
    included in the original set of electronic documents that he signed at Benefit Staffing,
    nor does it prove that he did not agree to be bound by arbitration. Additionally, a
    mere assertion that he did not see or read the document is insufficient to establish
    that he did not receive notice of it. See In re McKinney, 
    167 S.W.3d 833
    , 835 (Tex.
    2005) (“Absent fraud, misrepresentation, or deceit, a party is bound by the terms of
    the contract he signed, regardless of whether he read it or thought it had different
    terms.”).
    Sherman’s fifth assertion states that he had an e-mail address that he could
    have used to sign electronic documents, had he been asked to do so. Similarly here,
    the statement fails to actually controvert a material issue because Sherman does not
    affirmatively state that he was not asked to use his personal e-mail address and does
    15
    not affirmatively state that he was not given the opportunity to use his personal e-
    mail address to complete the documents. Moreover, Clark stated in her affidavit that
    the new employee receives the introductory documents directly to their personal e-
    mail by default, unless the employee does not have a personal e-mail or chooses not
    to use it. Therefore, at no point would Sherman have ever been asked to use his
    personal e-mail, as it was his choice to make from the beginning. Therefore, it is
    immaterial that Sherman “had an email address” that he could have used.
    The only statement that could be fairly argued as clearly, positively, and
    directly controverting anything is Sherman’s fourth assertion stating that he did not
    sign the document alleged to be the Arbitration Agreement and did not authorize
    anyone to sign it on his behalf. However, a mere denial by the nonmovant that he
    did not sign the agreement, without more, fails to create a genuine issue of material
    fact. See Aerotek, 624 S.W.3d at 208–09. According to Tipps, “[i]f the material
    facts necessary to determine the issue are controverted, by an opposing affidavit or
    otherwise admissible evidence, the trial court must conduct an evidentiary hearing
    to determine the disputed material facts.” Jack B. Anglin Co. v. Tipps, 
    842 S.W.2d 266
    , 269 (Tex. 1992). Some courts have since construed this rule to mean that a
    party opposing a motion to compel arbitration sufficiently raises a genuine issue of
    material fact merely by filing an affidavit that denies that party ever signed the
    agreement. See, e.g., Kmart Stores of Tex., L.L.C. v. Ramirez, 
    510 S.W.3d 559
    , 565
    (Tex. App.—El Paso 2016, pet. denied). The Texas Supreme Court’s recent decision
    in Aerotek, however, directly addresses the adequacy of this type of evidence without
    more being shown. See generally Aerotek, 
    624 S.W.3d 199
    .
    As we have discussed, the court in Aerotek concluded that the employer had
    produced clear evidence of a reliable and secure electronic signature procedure such
    that the signature found on the alleged agreement between the employer and
    employee could be attributed to the employee. 
    Id. at 207, 209
    . In contrast, the
    16
    employees offered affidavits that merely denied that the employee ever signed any
    arbitration agreement. See 
    id.
     at 206–07. Based on the record, the court in Aerotek
    held that the trial court erred in denying the employer’s motion to compel arbitration.
    
    Id. at 210
    . The court in Aerotek concluded that such affidavits were nothing more
    than mere arguments that the employees did not sign the agreements, and “[b]ecause
    arguments are not evidence, no evidence supports the Employees’ contentions.” 
    Id. at 208
     (footnote omitted). When faced with evidence conclusively demonstrating
    the reliability of the authentication procedures for electronic signatures, “[m]ere
    denials do not suffice” to create a genuine issue of material fact. 
    Id. at 209
    . “An
    opposing party may, of course, offer evidence that security procedures lack integrity
    or effectiveness and therefore cannot reliably be used to connect a computer record
    to a particular person. But that attribution cannot be cast into doubt merely by
    denying the result that reliable procedures generate.” 
    Id. at 210
    .
    Generally, if a party opposing the motion to compel arbitration denies the
    existence of an agreement, the court shall summarily determine that issue. CIV.
    PRAC. & REM. § 171.021(b) (West 2019); see Tipps, 842 S.W.2d at 269. Aerotek
    expressly holds, as a matter of law, that an affidavit merely denying the fact of
    whether a party signed the agreement is no evidence of the arbitration agreement’s
    invalidity. 624 S.W.3d at 208–09. Whether at a summary hearing to determine a
    motion to compel arbitration or at an evidentiary hearing, no evidence is no evidence.
    See id.
    Importantly, Aerotek noted Ward v. Weaver’s holding that a sworn denial
    “that neither she nor anyone authorized to act on her behalf had ever signed the deed”
    created a material fact issue. Id. at 208 n.39 (quoting Ward v. Weaver, 
    34 S.W.2d 1093
     (Tex. Comm’n App. 1931, judgm’t affirmed)). “Whatever Ward’s continued
    validity is today, it does not control here.” 
    Id. at 208
    . Accordingly, an affidavit
    controverting evidence tending to establish a valid agreement to arbitrate must
    17
    provide more than mere denials in order to raise a genuine dispute of material fact.
    See 
    id.
     at 207–09. Otherwise, such an affidavit amounts to no evidence. See 
    id. at 208
    .
    Applying Aerotek to the instant case, the statements contained in Sherman’s
    affidavit constitute mere arguments and do not create a genuine issue of material
    fact. See 
    id.
     With no affirmative defense pled and no evidence of fraud or lack of
    reliability of Knox’s application security procedures creating a genuine dispute of
    material fact, no evidentiary hearing was warranted and the trial court was left with
    no other option than to compel arbitration. See 
    id.
     at 209–10; Tipps, 842 S.W.2d at
    269; In re Jebbia, 
    26 S.W.3d 753
    , 757 (Tex. App.—Houston [14th Dist.] 2000, no
    pet.); see also Jackson v. Royal Caribbean Cruises, Ltd., 
    389 F. Supp. 3d 431
    , 445
    (N.D. Tex. 2019) (“Just as in summary judgment proceedings, a party cannot avoid
    compelled arbitration by generally denying the facts upon which the right to
    arbitration rests; the party must identify specific evidence in the record
    demonstrating a material factual dispute for trial.” (quoting Tinder v. Pinkerton Sec.,
    
    305 F.3d 728
    , 735 (7th Cir. 2002))). For the same reasons, the trial court could not
    have implicitly found that Sherman did not sign the agreement, and Sherman’s
    affidavit did not constitute evidence that could support the trial court’s denial of
    Appellant Knox’s motion to compel arbitration. See Aerotek, 624 S.W.3d at 204.
    It would be contrary to good policy to hold that the efficacy of an electronic
    signature’s validation could be cast into doubt by a person’s mere denial that he
    signed the agreement, particularly in light of such weighty evidence to the contrary
    and without any affirmative demonstration of actual fraud.           Just as Aerotek
    comments,
    As Texans continue to move online, the pace of innovation and change
    in everyday life continues to accelerate. . . . Although “applying old
    doctrines” to [online] interactions “is rarely straightforward”, it would
    be even less so if the electronic contracts governing them—terms of use
    18
    or service, in many cases—were unnecessarily invalidated. When it
    comes to access to justice, the courts today are likewise heavily
    dependent on electronic signatures. . . . Our policymaking branch of
    government, the Legislature, has expressly declared it to be the policy
    of this State to facilitate [electronic] transactions. Courts cannot
    unnecessarily stand in the way of the Legislature’s attempts to keep
    pace with that innovation.
    Id. at 209–10 (footnotes omitted). We likewise decline to stand in the way of the
    legislature’s attempt to keep pace with that innovation. We therefore conclude that
    the trial court abused its discretion in denying Appellant Knox’s motion to compel
    arbitration.
    e. This Arbitration Agreement Does Not Bind Nonsignatories
    The parties also dispute whether Appellant Martinez may enforce the
    Arbitration Agreement. Appellants contend that because Appellees did not separate
    their claims against each defendant, they “closely intertwine claims asserted against
    Appellant Knox, a signatory to the arbitration agreement, with their claims against
    Appellant Martinez.”     Furthermore, Appellants contend that “[b]y asserting
    Appellant Knox is liable [under respondeat superior] for the actions of Appellant
    Martinez, Appellees create an interest for Appellant Knox to defend any alleged
    claims against Appellant Martinez.” Appellees contend, however, that Sherman
    never made any agreement with Martinez to arbitrate such disputes that they may
    have between them and that, therefore, Martinez cannot seek to compel arbitration
    pursuant to the Arbitration Agreement at issue here.
    “Whether a non-signatory can compel arbitration pursuant to an arbitration
    clause questions the existence of a valid arbitration clause between specific parties
    and is therefore a gateway matter for the court to decide.” In re Rubiola, 
    334 S.W.3d 220
    , 224 (Tex. 2011) (citing In re Weekley Homes, L.P., 
    180 S.W.3d 127
    , 130 (Tex.
    2005)). As such, courts apply state contract law. See 
    id.
     (citing In re Kellogg
    Brown & Root, Inc., 
    166 S.W.3d, 732
     738 (Tex. 2005)). The involvement of a
    19
    nonsignatory is an important legal issue to be weighed here because a party cannot
    generally be forced to arbitrate absent a binding agreement to do so. Jody James
    Farms, JV v. Altman Grp., Inc., 
    547 S.W.3d 624
    , 632 (Tex. 2018). We review the
    resolution of this question de novo. 
    Id. at 629
    .
    Generally, an obligation to arbitrate not only attaches to the parties who have
    personally signed the agreement, but may also bind nonsignatories under principles
    of contract law and agency.       See id.; Rubiola, 334 S.W.3d at 224.        While
    “‘[a]rbitration agreements apply to nonsignatories only in rare circumstances[,]’ the
    question of ‘[w]ho is actually bound by an arbitration agreement is [ultimately] a
    function of the intent of the parties, as expressed in the terms of the agreement.’”
    Rubiola, 334 S.W.3d at 224 (alterations in original) (quoting Bridas S.A.P.I.C. v.
    Gov’t of Turkmenistan, 
    345 F.3d 347
    , 355, 358 (5th Cir. 2003)); see also Jody James
    Farms, 547 S.W.3d at 633; In re Golden Peanut Co., LLC, 
    298 S.W.3d 629
     (Tex.
    2009) (nonsignatory wife, children, and heirs bound to resolve wrongful death
    claims by arbitration pursuant to the arbitration agreement executed by decedent
    employee and employer). Absent an express intent to include certain nonsignatories
    as parties, courts have also articulated six scenarios in which nonsignatories may
    compel arbitration: “(1) incorporation by reference, (2) assumption, (3) agency,
    (4) alter ego, (5) equitable estoppel, and (6) third-party beneficiary.” Jody James
    Farms, 547 S.W.3d at 633 (citing Kellogg Brown & Root, 166 S.W.3d at 739).
    As written, the terms of the Arbitration Agreement do not include
    nonsignatories. Furthermore, Appellants do not contend that any one of the above
    scenarios is specifically applicable. Rather, Appellants rely solely upon another
    scenario, which the Texas Supreme Court has neither explicitly adopted nor rejected:
    the “intertwined claims theory,” also known as the “alternative estoppel theory.” See
    Jody James Farms, 547 S.W.3d at 639–40. Under this theory, “non-signatories can
    successfully compel arbitration when (1) they have a ‘close relationship’ with a
    20
    signatory to a contract with an arbitration agreement and (2) the claims are
    ‘intimately founded in and intertwined with the underlying contract obligations.’”
    Id. at 639 (quoting Thomson–CSF, S.A. v. Am. Arbitration Ass’n, 
    64 F.3d 773
    , 779
    (2d Cir. 1995)). In order for this theory to apply, however, “‘the obligation to
    arbitrate depends on consent’; alternative estoppel requires not only a dispute
    intertwined with the contract but also a relationship between the parties that
    developed in a manner that makes it ‘unfair’ not to compel arbitration.” 
    Id.
     (quoting
    Sokol Holdings, Inc. v. BMB Muani, Inc., 
    542 F.3d 354
    , 361 (2d Cir. 2008)).
    Here, although the claims against both Appellants are virtually identical, they
    sound in tort law and are not contractual in nature. Because the dispute is not closely
    intertwined with the underlying contract, Appellants have failed to show the
    applicability of an alternative estoppel theory. See 
    id.
     Without establishing that
    some theory applies that would permit Appellant Martinez, a nonsignatory, to
    enforce the Arbitration Agreement, we conclude that the trial court did not abuse its
    discretion in denying Appellants’ motion to compel arbitration as it pertains to
    Appellant Martinez.
    Our decision to permit Appellees to proceed separately in a common law
    claim against Martinez, in his individual capacity, does not require risking
    inconsistent findings on issues of liability regarding the same accident or the
    uneconomic use of judicial resources. During the hearing before the trial court,
    Appellants specifically requested a stay of the remaining trial court proceedings
    while the matter is in arbitration; further, Sections 171.021(c) and 171.025 of the
    Texas Civil Practice and Remedies Code may require it. The FAA requires courts
    to stay litigation of issues that are subject to arbitration. In re Merrill Lynch Tr. Co.
    FSB, 
    235 S.W.3d 185
    , 195 (Tex. 2007) (citing 
    9 U.S.C. § 3
    ). While the mandatory
    stay references parties to the arbitration agreement, a nonsignatory party’s claims
    may also be subject to the mandatory stay. See 
    id.
     “We note the Texas Supreme
    21
    Court has commented on a stay being appropriate to prevent ‘a non-signatory
    affiliate [from] simultaneously conduct[ing] discovery and chip[ping] away at the
    same issues in litigation.’” HEB Grocery Co. L.P. v. Del Cid, No. 04-19-00058-CV,
    
    2019 WL 3432087
    , at *3 n.2 (Tex. App.—San Antonio July 31, 2019, no pet.) (mem.
    op.) (alterations in original) (quoting In re Merrill Lynch & Co., 
    315 S.W.3d 888
    ,
    892 (Tex. 2010)).
    4. Construction: Nonsubscriber Claims are not Excluded from
    Arbitration
    As we stated above, both federal and Texas policy strongly favor arbitration.
    See Henry, 551 S.W.3d at 115. Thus, once the party seeking enforcement establishes
    that a valid arbitration agreement exists between the parties, a presumption arises in
    favor of arbitration that the disputed claims fall within the scope of the agreement.
    See id.; Rojas, 
    87 F.3d at
    749 (citing City of Meridian, Miss. v. Algernon Blair, Inc.,
    
    721 F.2d 525
    , 527–28 (5th Cir.1983)). The presumption in favor of arbitration “is
    so compelling that a court should not deny arbitration ‘unless it can be said with
    positive assurance that an arbitration clause is not susceptible of an interpretation
    which would cover the dispute at issue.’” Marshall, 909 S.W.2d at 899 (quoting
    Neal v. Hardee’s Food Sys., Inc., 
    918 F.2d 34
    , 37 (5th Cir. 1990)).
    In construing a written contract, our primary concern is to ascertain the true
    intentions of the parties as expressed in the instrument. J.M. Davidson, 128 S.W.3d
    at 229. “As with any deed or contract, our task is to determine and enforce the
    parties’ intent as expressed within the four corners of the written agreement.”
    Piranha Partners v. Neuhoff, 
    596 S.W.3d 740
    , 743 (Tex. 2020) (citing Perryman v.
    Spartan Tex. Six Capital Partners, Ltd., 
    546 S.W.3d 110
    , 117–18 (Tex. 2018)).
    “When construing a contract, the court’s primary concern is to give effect to the
    written expression of the parties’ intent.” Sundown Energy LP v. HJSA No. 3, Ltd.
    P’ship, 
    622 S.W.3d 884
    , 888 (Tex. 2021) (citing Forbau v. Aetna Life Ins. Co., 876
    
    22 S.W.2d 132
    , 133 (Tex. 1994)). Words must be construed “in the context in which
    they are used.” 
    Id.
     (quoting URI, Inc. v. Kleberg Cty., 
    543 S.W.3d 755
    , 764 (Tex.
    2018)). Equally important, we avoid construing contracts in a way that renders
    contract language meaningless. 
    Id.
     (citing Piranha Partners, 596 S.W.3d at 747.
    Whether the agreement is ambiguous is a question of law that we decide de novo.
    URI, 543 S.W.3d at 763. “[W]e look not for the parties’ actual intent but for their
    intent as expressed in the written document. We consider the entire agreement and,
    to the extent possible, resolve any conflicts by harmonizing the agreement’s
    provisions, rather than by applying arbitrary or mechanical default rules.” Piranha
    Partners, 596 S.W.3d at 744 (footnote and citation omitted).
    We note at the outset that the Arbitration Agreement is not the epitome of
    clarity. For example, the capitalization of defined terms is not used uniformly; some
    phrases appear to be cut and pasted from another source; and certain punctuation is
    missing. However, the Arbitration Agreement appears to be a form-agreement used
    by all of Knox’s employees. The provisions of the Arbitration Agreement can be
    harmonized and given a definite or certain legal meaning, and therefore it is not
    ambiguous. See id. Given the presumption in favor of arbitration, the unambiguous
    Arbitration Agreement before us can be reasonably interpreted to cover the dispute
    at issue here.
    Section B of the Arbitration Agreement states in relevant part:
    B. CLAIMS COVERED BY AGREEMENT
    Except as excluded by Section C below, this Agreement applies to . . .
    (4) all tort Claims, including negligence, negligence per se, or gross
    negligence (including Claims for personal or bodily injury, whether or
    not sustained on the job) . . . .
    This portion of Section B appears to be a fairly comprehensive incorporation of
    claims for personal and bodily injury that could be asserted against the employer,
    including nonsubscriber suits, “[e]xcept as excluded by Section C below.”
    23
    In light of the stated exception, we examine Section C, which states in relevant
    part:
    C. CLAIMS NOT COVERED BY AGREEMENT
    Excluded from this agreement are (1) administrative claims by
    employee for unemployment compensation benefits and for workers’
    compensation or occupational accident benefits (except that this
    Agreement does not apply to claims for job-related injuries against an
    entity that is not Employee’s Employer and to Claims for an injury to
    or the death of employee that are not covered by Workers’
    Compensation . . . .
    In reference to the exceptions to claims that are subject to arbitration under
    Section C, Appellees argue that the phrase “and to Claims for an injury to or the
    death of employee that are not covered by Workers’ Compensation” refers to
    nonsubscriber claims against the employer and that, therefore, Appellees are entitled
    to maintain their common law nonsubscriber suit against Appellants. With their
    nonsubscriber claims, Appellees unambiguously asserted claims for negligence;
    negligence per se; gross negligence; and violations of certain laws, statutes,
    regulations, or ordinances.
    In consideration of Appellees’ interpretation, we may not ignore that a
    presumption in favor of arbitration exists, and we may not disregard Section B of
    the Arbitration Agreement; rather, we must harmonize it if we can “and give effect
    to all the provisions of the contract so that none will be rendered meaningless.” J.M.
    Davidson, 128 S.W.3d at 229. Under Appellees’ narrow interpretation, the language
    in Section B that expressly includes “all tort Claims, including negligence,
    negligence per se, or gross negligence (including Claims for personal or bodily
    injury, whether or not sustained on the job)” would be rendered meaningless because
    there would be no personal injury claims of the employee left that Knox could
    arbitrate; as a nonsubscriber, all on-the-job personal injury claims that an employee
    24
    may have against Knox would necessarily be a claim for injury to or death of an
    employee that is not covered by workers’ compensation.
    Appellees’ interpretation also fails to consider the context in which this
    particular exclusionary language is written. The language upon which Appellees
    rely is notated within an introductory parenthetical (although there is no closing
    parenthesis), which is stated only as an exception to the exclusion of administrative
    claims under Section C(1). As written, the parenthetical language is intended to
    modify what administrative claims may be excluded. Thus the “claims” referred to
    by the parenthetical language, when harmonized with the full contextual language
    chosen by the parties, excludes, in addition to the three specified administrative
    claims for injury, any other “administrative claims” that are not covered by workers’
    compensation. Further, defined claims that are not covered (1) include claims
    against those other than the employer, and (2) a distinction is made between “claims
    for job-related injuries” and “[c]laims for an injury . . . not covered by Workers’
    Compensation”3 (emphasis added). The phrase within Section C(1) upon which
    Appellees rely in their common law nonsubscriber personal injury claim against the
    employer is not only restricted to administrative claims but also to claims against
    nonemployers, or for injury that is not defined as “job-related.”
    Accordingly, Section C(1) cannot be reasonably interpreted to be an exception
    to Section B. Appellees’ nonsubscriber claims against Knox therefore squarely fall
    into Section B’s list of claims that must be arbitrated—from which Section C gives
    no exception. Given our de novo construction of the contract and the presumption
    in favor of arbitration, it could not be found by the trial court “with positive
    assurance” that the Arbitration Agreement “is not susceptible of an interpretation
    A bodily injury that is not “job-related” is typically not a covered claim by workers’ compensation
    3
    insurance. There is a myriad of fact situations where claims for an injury or death may not be covered by
    workers’ compensation including but not limited to intentional torts. Mo-Vac Service Company, Inc. v.
    Escobedo, 
    603 S.W.3d 119
     (Tex. 2020).
    25
    which would cover the dispute at issue.” Marshall, 909 S.W.2d at 899 (quoting
    Neal, 
    918 F.2d at 37
    ). The trial court, therefore, abused its discretion in finding
    otherwise.
    For these reasons, we conclude that Appellants provided conclusive evidence
    demonstrating that a valid arbitration agreement exists between the parties and that,
    as a matter of law, Appellees’ claims fall within its scope. To the extent the trial
    court denied Appellants’ motion to compel arbitration because it determined that
    Appellants failed to meet their burden, the trial court erred.
    B. Defenses to Enforcement
    As a defense to enforcement, Appellees contend that Appellants waived their
    right to compel arbitration because they failed to comply with a mediation
    requirement within the Arbitration Agreement. As relevant here, the Arbitration
    Agreement     states:   “E.       MEDIATION          AS     PRECONDITION          TO
    ARBITRATION[:] Before arbitrating any Claim timely made under this
    Agreement, the Parties will attempt in good faith to resolve the Claim by mediation
    . . . .” Appellees specifically contend that because Appellants did not seek mediation
    before filing their motion to compel, Appellants failed to comply with the terms of
    the Arbitration Agreement and therefore cannot compel arbitration.
    Generally, “a trial court cannot compel arbitration when the provision
    [permitting arbitration] requires the parties to mediate before arbitration.” See
    Rodriguez v. Tex. Leaguer Brewing Co. L.L.C., 
    586 S.W.3d 423
    , 430 (Tex. App.—
    Houston [14th Dist.] 2019, pet. denied) (quoting Amir v. Int’l Bank of Commerce,
    
    419 S.W.3d 687
    , 692 (Tex. App.—Houston [1st Dist.] 2013, no pet.)). “However,
    even when the agreement requires the parties to mediate before arbitration, a party
    who proceeds first to litigation waives the right to mediation and cannot assert the
    mediation provision as a condition precedent to arbitration.” 
    Id.
     (citing LDF Constr.,
    Inc. v. Bryan, 
    324 S.W.3d 137
    , 146–47 (Tex. App.—Waco 2010, no pet.)). Here,
    26
    Appellees first proceeded to litigation when they filed their petition without first
    pursuing mediation. Accordingly, Appellees waived their right to complain of
    mediation as a precondition to arbitration. See 
    id.
    Appellees also contend that one possible basis upon which the trial court could
    have based its judgment was that Appellants failed to establish that Sherman
    “knowingly and voluntarily” waived his right to a jury trial. However, a conspicuous
    jury waiver provision is “prima facie evidence of a knowing and voluntary waiver
    and shifts the burden to the opposing party to rebut it.” In re Gen. Elec. Capital
    Corp., 
    203 S.W.3d 314
    , 316 (Tex. 2006) (per curiam). Here, the Arbitration
    Agreement conspicuously noted that the parties “agree to resolve all Claims . . .
    exclusively through mediation and arbitration, rather than through a jury trial,
    under the terms of this Agreement.”
    C. Evidentiary Hearing
    Both Appellants and Appellees contend that the others’ evidence was
    insufficient to raise a genuine dispute of material fact as to the Arbitration
    Agreement’s validity and that the trial court was therefore required to summarily
    determine the issue. Additionally, both sides contend that, in the alternative, their
    own evidence at least raised a genuine dispute of material fact. The parties’ position
    on appeal is that, in the alternative, the matter should be remanded to the trial court
    for an evidentiary hearing.
    Even if we assume that this issue was preserved, and assuming without holding
    that the trial court did not abuse its discretion in refusing to strike Appellees’
    response and affidavit, we have already held above that the affidavit of Sherman was
    not sufficient to create a fact question. Therefore, no evidentiary hearing is required
    under these circumstances. Because Appellees failed to produce evidence to raise a
    genuine issue of material fact, no evidentiary hearing was required, and the trial court
    had no other alternative than to compel arbitration. See Aerotek, 624 S.W.3d at 206–
    27
    10; Jebbia, 
    26 S.W.3d at 757
    ; see also Nabors Drilling USA, LP v. Carpenter, 
    198 S.W.3d 240
    , 246–47 (Tex. App.—San Antonio 2006, no pet.).
    D. Timeliness of Response
    Appellants also contend that the trial court erred in considering Appellees’
    response—which included Sherman’s affidavit—because it was filed the evening
    before the hearing on the motion to compel arbitration and was thus untimely.
    Appellants preserved their objection by obtaining an oral ruling from the trial court
    and then a written order from the trial court overruling the objection. Because we
    hold that the trial court should have compelled arbitration, we need not address this
    issue.
    III. This Court’s Ruling
    We affirm the judgment of the trial court as it pertains to Appellant Martinez.
    We reverse the judgment of the trial court as it pertains to Appellant Knox, and we
    remand the cause with instructions to compel arbitration between Knox and
    Appellees.
    W. BRUCE WILLIAMS
    JUSTICE
    September 30, 2021
    Panel consists of: Bailey, C.J.,
    Trotter, J., and Williams, J.
    28