United States of America
OCCUPATIONAL SAFETY AND HEALTH
REVIEW COMMISSION
100 Alabama St. S.W
Building 1924 Room 2R90
Atlanta, GA 30303-314
SECRETARY OF LABOR, Complainant, |
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v. |
OSHRC Docket No. |
Respondent. |
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DECISION AND ORDER
COUNSEL: Dane L. Steffenson, Trial
Attorney, Office of Solicitor, U.S. Department of Labor, Atlanta, GA, for
Petitioner.
Paul J. Waters, Esq., Waters Law Group,
LLC, Clearwater, FL, for Respondent.
JUDGE:
John B. Gatto.
I. INTRODUCTION
Central Site Development,
LLC, (Central Site) seeks an award of attorney fees and expenses in accordance
with the Equal Access to Justice Act, 5 U.S.C. § 504 (EAJA), and the
Commission’s Rules Implementing EAJA, 29 C.F.R. §§ 2204.101-.311, for costs
incurred in litigating two items cited by the Secretary in a Citation and
Notification of Penalty, issued April 4, 2016.
Central Site contends it meets the eligibility requirements (regarding
net worth and number of employees) and the legal requirements (establishing it
is the prevailing party coupled with the Secretary’s failure to establish he
was substantially justified in issuing the Citation) set out by EAJA, and is
entitled to recover an award for fees and expenses incurred litigating the
Citation. The Secretary contends he was substantially justified in issuing the
Citation and at all other phases of the proceeding.
Pursuant to Commission Rules 90 and 308, 29
CFR §§ 2200.90 and 2204.308, after carefully considering all the evidence and
the arguments of counsel, the Court issues this Decision and Order as its
findings of fact and conclusions of law.
If any finding is in truth a conclusion of law, or if any conclusion
stated is in truth a finding of fact, it shall be deemed so. The Court holds that the
Secretary’s position was not substantially justified. Therefore, Central Site’s EAJA application is GRANTED and it is awarded $17,571.00 in attorney fees and expenses.
II.
BACKGROUND
The Secretary’s Citation
arose from a fatality investigation conducted by Compliance Safety and Health
Officer Elvin Santiago. Central Site was
engaged in site development work at an apartment complex construction project (the
“Worksite”), in Saint Petersburg, Florida.
Central Site had been at the Worksite for four months at the time of the
fatality on October 7, 2015 (Tr. 26). The site covered 10 acres; at the time of
the fatality, the site consisted mostly of “[c]leared dirt and a construction
trailer.” (Tr. 27.) It was bounded on
two sides by two-lane paved roads, an office building was on a third side, and
an apartment building was on the fourth. There was only one entrance for
vehicular traffic to the site (Tr. 27-29, 51).
On the day of the
accident, Central Site had onsite Albert Kimball, its supervisor, and one other
employee, Michael Montroy, an equipment operator supplied by Construct Corps,
LLC, a temporary construction staffing agency (Tr. 24-25, 29, 31, 33, 42, 63,
64-65). Central Site subcontracted the underground pipe work to RAB Foundation
Repair, LLC d/b/a API Services (“API”), whose foreman, Doug Miller, and four
other workers were also on site that day (Tr. 164). Tri-City, the electrical
subcontractor, was also on the site with two employees (Tr. 102). Central Site
began work at 7:00 a.m. on the day of the accident (Tr. 52).
The equipment on site
that day included a bulldozer and a roller owned by Central Site, a track hoe
and a loader owned by API, and at least two dump trucks bringing in dirt (Tr.
43). The bulldozer was equipped with a rearview mirror and a working backup
alarm (Tr. 130, 182). The task for the day was setting up a building pad near
the construction trailer, approximately 300 feet from the single-entry point to
the Worksite (Tr. 51-52). Kimball instructed Montroy to operate the bulldozer
to place the dirt for the building pad (Tr. 52-53).
Meanwhile, API was laying
pipe for the project. API foreman Miller estimated API averaged “a couple
hundred feet” of pipe a day on the project (Tr. 194). At some point, Kimball took
over operation of the bulldozer and assigned a new task to Montroy (Tr. 53). Kimball operated the bulldozer in forward and
reverse over an area of the Worksite to compact the soil. Kimball and API’s
crew were working “[p]robably within 50 to 100 feet, facing each other” when
they started out (Tr. 156).
After Kimball had been
operating the bulldozer for 30 to 45 minutes, Miller instructed his employee,
Justin Smith, to retrieve a water pump from Miller’s truck parked near the silt
fence that enclosed the Worksite. As Smith returned with the pump, he crossed
behind the bulldozer as Kimball operated it in reverse and was struck and
killed (Tr. 55, 182). Santiago conducted the fatality investigation following a
referral from the police department (Tr. 226). He arrived at the site
approximately three hours after the accident, interviewed employees, and took
measurements and photographs (Tr. 226-227).
On March 10, 2016,
Santiago sent an email to Central Site’s counsel, which stated, “[p]lease
provide a copy of the 2015 OSHA 300A (4 hours response required), I have a copy
that is not completed and let’s set up a closing conference, it could be by
phone. Thank you.” (Ex. R-19 at 4.) Santiago received an automated email
response back stating: “[d]elivery to these recipients or groups is complete but no delivery notification was sent by the
destination server.” (Ex. R-19 at 6) (emphasis added). Santiago called
Central Site’s counsel “a few days later” and left a voice message indicating
he was going to recommend the two disputed violations (Tr. 306). In response to
Santiago’s voice message, Central Site’s counsel sent an email to Santiago on
March 16, 2016, indicating he had not received the email Santiago sent on March
10, 2016 (Ex. R-19 at 7).
The Secretary
subsequently issued the Citation and Notification of Penalty based on
Santiago’s recommendation. Item 1 of
Citation No. 1 alleged a serious violation of § 5(a)(1) of the Act, 29 U.S.C. §
654(a)(1), commonly known as the “general duty clause,” with a proposed penalty
of $6,300.00, for allegedly exposing employees to struck-by hazards. Item 1 of
Citation No. 2 alleged an “other-than-serious” recordkeeping violation of 29
C.F.R. § 1904.40(a), with a proposed penalty of $400.00. Following a trial in Clearwater, Florida, the
Court issued a Decision and Order in this proceeding on July 7, 2017, vacating
both items. See Cent. Site Dev., LLC, 26 BNA OSHC 1985 (No. 16-0642,
2017). The Decision and
Order became a final order of the Commission on August 10, 2017. On September 5, 2017, Central Site timely
filed its Application for attorney
fees and expenses.[1]
III. ANALYSIS
The EAJA contains provisions authorizing the award of fees and
other expenses in specified civil judicial actions, 28 U.S.C. § 2412, and in
adversary administrative proceedings, 5 U.S.C. § 504. Significantly, the Supreme Court has
explicitly held that “[s]ection 504 was enacted at the same time as § 2412, and
is the only part of the EAJA that allows fees and expenses for administrative
proceedings conducted prior to the filing of a civil action.” (Emphases
added.) Melkonyan v. Sullivan,
501 U.S. 89, 94 (1991). Under
section 504, a private party prevailing in an adversarial agency adjudication
may be awarded[2]
fees and other expenses incurred by that party relating to that proceeding, “unless
the adjudicative officer of the agency finds that the position of the agency[3]
was
substantially justified or that special circumstances make an award unjust.”[4]
5 U.S.C. § 504(a)(1). In Commission
proceedings, “[t]he burden of persuasion that an award should not be made . . .
is on the Secretary.” 29 C.F.R. § 2204.106.
The EAJA limits an
award to a prevailing party who is an “owner of an unincorporated business, or
any partnership, corporation, association, unit of local government, or
organization, the net worth of which did not exceed $7,000,000 at the time the
adversary adjudication was initiated, and which had not more than 500 employees
at the time the adversary adjudication was initiated[.]” 5
U.S.C. § 504(b)(1)(B)(ii); see also, 29 C.F.R. §§ 2204.105(b) and (c).
As indicated supra, the
Secretary does not dispute that Central Site was the
“prevailing party” in the prior litigation, that it met the other criteria that
make it eligible for an award, or that special circumstances exit such that an award would be unjust. There is no question that Central Site was the
prevailing party[5]
or that it met the other criteria that make it eligible for an award.[6] The Court also finds there are no special circumstances that
would make an award unjust under section 504(a)(1). Central Site is eligible for attorney
fees and expenses under EAJA. Accordingly, the Court turns to the actual merits of the Government’s
litigation position.
A. Substantially Justified
Since
the first stage of this enforcement proceeding was the issuance of the
citation, the Court must first consider whether the Secretary was substantially
justified in issuing the citation. Consol.
Constr., Inc., 1993 O.S.H. Dec. (CCH) ¶ 29992, at *3), 1993 WL 69989 at *3
(No. 89-2839, 1993) (“We first consider whether the
Secretary was substantially justified in issuing these citation items”). The Court must be mindful, however,
that the substantial justification standard was adopted as a “caution to
agencies to carefully evaluate their case and not to pursue those which are
weak or tenuous.” William B. Hopke Co., 12 BNA OSHC 2158,
2160 (No. 81-206, 1986) (citing
H.R.Rep. No. 1418, 96th Cong., 2d Sess. at 14, reprinted in 1980 U.S. Code
Cong. & Ad. News at 4993).
To
meet the substantial justification test, the Secretary’s position must be “justified to a degree that could satisfy a reasonable
person.” Pierce v. Underwood, 487 U.S. 552, 565 (1988). As the Supreme Court explained, “a position can be justified even though it is not correct, and we
believe it can be substantially (i.e., for the most part) justified if a
reasonable person could think it correct, that is, if it has a reasonable basis
in law and fact.” Pierce, 487 U.S. at 565 n. 2.
The Commission has held that “[t]he
reasonableness test breaks down into three parts: the government must show
‘that there is a reasonable basis ... for the facts alleged ... that there
exists a reasonable basis in law for the theory it propounds; and that the
facts alleged will reasonably support the legal theory advanced.” Consol. Constr., Inc., 1993 O.S.H. Dec.
(CCH) ¶ 29992 at *3) (citation omitted).
The test of whether the Secretary’s action is substantially justified is
essentially one of reasonableness. William
B. Hopke Co., 12 BNA OSHC 2158, 2160 (No. 81-206, 1986). Where the Secretary can show that a case had
a reasonable basis both in law and fact, no attorney fees will be awarded. See
C.J. Hughes Construction, Inc., 19
BNA OSHC 1737, 1741 (No 93-3177, 2001); Mautz & Oren, Inc., 16 BNA
OSHC 1006, 1009 (No. 89-1366, 1993); Hocking
Valley Erectors, Inc., 11 BNA OSHC 1492, 1498 (No. 80-1463, 1983). See also U.S. v. One 1985 Chevrolet Corvette, 914 F.2d 804, 809 (6th
Cir. 1990) (“substantially justified” is a standard “which require[s]
reasonableness”). “While the position
need not prove correct, it must be ‘more than merely undeserving of sanctions
for frivolousness.’” Hartmann v. Stone, 156 F.3d 1229, 1232 (6th
Cir. 1998) (citing Pierce, 487 U.S. at 566).
“Conceivably, the Government could take a position that is not
substantially justified, yet win; even more likely, it could take a position
that is not substantially justified, yet lose.” Pierce, 487 U.S. at 569, “but at the same
time the standard does not ‘require the Government to establish that its
decision to litigate was based on a substantial probability of prevailing.’” Taucher v. Brown-Hruska, 396 F.3d 1168,
1173 (D.C. Cir. 2005) (citing Spencer
v. NLRB, 712 F.2d 539, 557 (D.C.Cir.1983) (quoting H.R.Rep. No. 96–1418, at 10–11 (1980)). Therefore, even
though the Secretary has “lost this case on the merits [it] does not
automatically mean that his position was not substantially justified within the
meaning of the EAJA.” Consol.
Constr., Inc., 1993 O.S.H. Dec. (CCH) ¶ 29992, at *2).
The issue is “whether the
preponderance of the evidence supports a finding that the Secretary’s
position was, on the whole, justified at
each stage of this enforcement proceeding.” (Emphasis added.) Mautz, 16 BNA at 1009.
Item 1 of Citation No. 1
Central Site contends the Secretary
was not substantially justified in citing it for a serious § 5(a)(1) violation
because (1) his suggested means of abatement, implementation of an internal
traffic control plan (ITCP) as set forth in § 6.4 of ANSI A10.47-2015, was not
supported by the language of the ANSI standard, and (2) there was no credible
evidence either of Central Site’s onsite employees was exposed to the cited
struck-by hazard, and Central Site could not be held responsible for exposure
of employees of other contractors under the general duty clause.
The Secretary counters (1) he
“assumed by proposing implementation of an ITCP as described in ANSI A10.47
that the proposed abatement would be construed broadly as it was drafted by
non-lawyers[,]” (Sec’y’s Resp., p. 7), and (2) the record evidence establishes
exposure by placing “Central Site’s workers on foot walking throughout the
worksite as well as vehicles/equipment.” (Sec’y’s Resp., p. 10.) As discussed below, the Court finds the
Secretary’s arguments to be unpersuasive.
Feasibility of Implementing an ITCP
The Secretary argues,
Though ITCPs are typically used in roadside worksites, the
Secretary justifiably argued that a similar policy could have been enacted at
Central Site’s non-roadside worksite as a means of abatement. Contrary to Central Site’s own safety manual
requiring that workers be kept away from vehicles and machinery by, among other
means, designated zones, its project manager testified that it would be
infeasible to designate walking paths separating pedestrians from moving
vehicles on this worksite. . . In
proposing abatement, the Secretary relied on Central Site’s own
belief—expressed in its safety manual—that a policy of separating workers from
vehicles was a feasible means of abating that hazard on all its worksites
including the one at issue here.
(Sec’y’s
Resp., p. 8.)
The Court addressed the Secretary’s
argument that Central Site’s safety manual “laid out a form of ITCP” (Id.) in the Decision and Order:
Section 6.4’s
requirements for an ITCP include: (1) a “diagram showing travel routes for
construction equipment and employees within the activity space, access and
egress points and the location of equipment and materials storage and staging
areas;” and (2) a “plan for communicating changes in the ITCP to employees,
equipment operators and truck drivers.” (Ex. R-14, § 6.4.3.) The Secretary has
not shown Central Site’s safety manual requires either of those elements.
Therefore, it does not “constitute a form of an ITCP.”
Cent. Site, 26 BNA OSHC at 1992, n. 10.
The Secretary attempts to gloss over
the crucial fact that the ANSI standard referred to in his Citation as an
acceptable abatement method applies, by its own language, to Work Zone Safety for Highway Construction.
As the Court noted in the Decision and Order,
Clearly the
Worksite at issue here was not an “area of a highway with construction,
maintenance/repair or utility work activities.” Therefore, contrary to the
citation’s assertion, the alleged violation did not occur “inside a
construction work zone.” Further, the “scope” section states it “covers
employees engaged in construction, utility work, maintenance, or repair
activities on any area of a highway.”
(R-14, § 1.1) (emphasis added). The Worksite at issue here was not “on any area
of a highway.” Likewise, an “activity area” is defined as the “section of the highway where the work
activity takes place.” (Id. § 3.2) (emphasis added). The Secretary presented no
evidence that the work activity took place on a “section of the highway” or
that the activity area of the Worksite involved “any area of a highway.
Further, an ITCP is intended “to control the flow of construction employees,
work vehicles and equipment within the work
space.” (Ex. R-14, § 3.17) (emphasis added). The “work space” is the
“portion of the roadway closed to traffic
and set aside for workers, equipment and material.” (Ex. R-14, § 3.44)
(emphasis added). Again, the Secretary presented no evidence the work space
involved a portion of the roadway closed
to traffic and set aside for workers, equipment and material.
Cent. Site,
26 BNA OSHC at 1992-93.
As
noted in the Decision and Order, the Secretary conceded, four years before he
issued the Citation in this case, “OSHA has no information on the effectiveness
of” ANSI A10-47. Reinforced Concrete in Construction, and Preventing Backover Injuries
and Fatalities, 77 FR 18973-01 (March 23, 2012). Cent. Site, 26 BNA OSHC at
1997. Despite this unequivocal concession,
the Secretary rather remarkably states in his Response to Central Site’s EAJA Application,
For EAJA purposes,
the Secretary asserts that he disagrees that the referenced statement is an
admission that OSHA does not know whether ITCPs are effective. Instead, the Secretary continues to assume
that the effectiveness of an ITCP that achieves its goals of creating
separation so workers on foot will not come in to contact with moving vehicles
or equipment is self-evident.
(Sec’y’s
Resp., p. 9.)
The Secretary’s
disagreement with his own prior statement and his assumption regarding the
effectiveness of ITCPs do not constitute a supportable legal theory. It is the Secretary’s burden to establish he
was substantially justified in issuing the Citation in this proceeding. He has offered no evidence of the effectiveness of his proposed abatement method in
eliminating or materially reducing the cited hazard—in fact, as indicated supra, the Secretary is on record in The Federal Register stating OSHA has no
such evidence.
The Secretary’s failure
to note that both the title and language of ANSI A10-47 are inapplicable to the
Worksite at issue demonstrates he was not substantially justified in issuing
the Citation. His failure to consider
his own prior statement that OSHA has no information on the effectiveness of
the cited ANSI standard, when it is the Secretary’s burden to show a means of abatement
will “eliminate or materially reduce the hazard” is additional evidence the
Citation was not justified. Therefore,
the Court concludes the Secretary has failed to establish he was substantially
justified in referring to ANSI A10-47 as a feasible means of abatement.
Exposure
of Central Site Employees to Struck-by Hazards
As the Commission has
explained, an employer should not be cited under the general duty clause for
exposing employees of other employers to a hazard: “the statutory authority
underlying the Commission’s imposition of multi-employer liability derives from
§ 5(a)(2) of the Act, which imposes duties on an employer that, unlike those
imposed under § 5(a)(1), need not benefit its own employees.” Summit Contractors, Inc., 23 BNA OSHC
1196, 1204-05 (No. 05-0839, 2010). Thus, “§ 5(a)(2), unlike its counterpart §
5(a)(1), ‘does not base an employer's liability on the existence of an
employer-employee relationship’.” (Id.) (quoting
Solis v. Summit Contractors, Inc., 558 F.3d 815, 828 (8th Cir. 2009)).
The Secretary is
responsible for knowing his own policies.
The Secretary acknowledges § 5(a)(1) does not apply to the employees of
other employers in its own policy. Section III.B.5.a. of OSHA’s Field Operations Manual,
CPL-02-00-160, states,
The
Hazard Must Affect the Cited Employer’s Employees. a. The employees exposed to
the Section 5(a)(1) hazard must be the employees of the cited employer. An
employer who may have created, contributed to, and/or controlled the hazard
normally shall not be cited for a Section 5(a)(1) violation if his own
employees are not exposed to the hazard.
Although the
Commission is not bound by OSHA’s Field Operations Manual (see, Hackensack Steel Corp., 20 BNA OSHC
1387, 1392 (No. 97-0755, 2003) (“Field Operations Manual [is] only a guide for
OSHA personnel to promote efficiency and uniformity, [is] not binding on OSHA
or the Commission, and do[es] not create any substantive rights for
employers.”)), the above section is quoted to show the Secretary failed to
abide by its own guidelines when citing Central Site for exposing the employees
of subcontractors on the site to a struck-by hazard.
As noted in
the underlying Decision and Order,
At trial, the
Secretary’s exposure focus was on the proximity of the subcontractors’
employees, including the decedent, to Kimball’s bulldozer. For example, the
Secretary’s counsel asked API foreman Miller a series of questions regarding
the potential exposure of API’s employees, something the Secretary now says is
not at issue.
Q.: What did Mr.
Kimball tell you, if anything, about your ability to enter an area where
equipment was operating such as him on the bulldozer or where vehicles were
being driven around? Did he give you any specific rules or instructions on
that?
. . .
Were you ever
instructed to stay out of the area where he or his crew were operating the
roller or dozer?
. . .
Were you ever
instructed to have you or your crew stay away from moving vehicles that might
be driving through the Worksite?
. . .
Did Mr. Kimball
ever tell you to stay—that if you see a vehicle driving around you’re not
allowed to enter that area where the vehicle is driving around?
. . .
When Mr. Kimball
brought the dozer back to begin backfilling between ST-8 and ST-9, did he—did
he stop in any way and make eye contact, or something with you and your guys,
before he entered this area to begin with?
. . .
Did you receive
any instructions from Mr. Kimball or anybody else at Central Site as to how
close you and your employees should stay away from moving equipment?
(Tr. 176-177.)
Further,
Kimball testified “there was only me and Michael out there.” (Tr. 64.)
Therefore, other than Montroy, the Secretary failed to prove by a preponderance
of evidence that any other Central Site temporary employee was working on site
the day of the accident. Therefore, the Secretary’s new claim is not supported
by the record considering the detailed examination of witnesses regarding the
exposure of non-Central Site employees. (See also e.g. Tr. 48, 72-73, 75,
85-86, 149-150, 155-156, 169, 172, 176-177, 180-181, 214-216, 254-256).
Cent. Site,
26 BNA OSHC at 1989.
In
his Response, the Secretary argues he
was substantially justified in citing Central Site for exposure of its two
employees on the Worksite because “OSHA viewed the worksite as the zone of
danger.” (Sec’y’s
Resp., p. 10.) The Court
rejected the “wide net” the Secretary attempted to cast in arguing the mere
presence of Kimball and Montroy at the Worksite while vehicles could be in
operation constituted exposure. No
witness could testify as to the location of Montroy (Tr. 164, 297-300). Kimball was working on
a 10-acre Worksite
with no more than a dozen workers on-site the day of the accident. Kimball is
one of the few workers there who drove his own vehicle onto the site. He
testified he drove his truck over to the location of the bulldozer when he
determined he would use the bulldozer to compact the deficient backfill area
(Tr. 100, 149). There is no evidence Kimball was at any time exposed to a
significant risk of harm from being struck by a moving vehicle. Likewise, while
Kimball was operating the bulldozer, he obviously was not exposed to the cited
hazard.
Cent. Site,
26 BNA OSHC at 1990.
The
Court finds the Secretary was not substantially justified in citing Central Site
for a violation of § 5(a)(1). The
Secretary did not have a reasonable basis in law for the theory he
propounded—the general duty clause does not apply to exposure of other
employers’ employees to a hazard. Despite
the Secretary’s protestations, it is clear his focus at trial was on the
exposure of the subcontractors’ employees to struck-by hazards, and the
exposure of Kimball and Montroy was an afterthought (Tr. 48, 72-73, 75, 85-86,
149-150, 155-156, 169, 172, 176-177, 180-181, 214-216, 254-256).[7] At some level of review, either within OSHA
before it issued the Citation, or within the Department of Labor once Central
Site sent in its notice of contest, a representative of the Secretary should
have realized a violation of § 5(a)(1) could not properly be cited with regard
to the employees of other employer.
Even if the Court accepts
the Secretary’s argument that he proceeded on the theory Central Site’s
employees were exposed to struck-by hazards, the Secretary has failed to show
the facts alleged reasonably support the legal theory advanced. No evidence was adduced showing the locations
of Kimball and Montroy in relation to moving vehicles when they were
pedestrians on the Worksite. Therefore,
the Court concludes the Secretary was not substantially justified in citing
Central Site for a violation of § 5(a)(1) in this proceeding.
Item 1 of Citation No. 2
Central Site contends the Secretary was not substantially
justified in citing it for an “other-than-serious” recordkeeping violation of §
1904.40(a) because the Secretary cited the company even though Central Site’s
attorney notified the Secretary by email that he had never received a request
for the documents at issue.
In the Decision and Order, the Court vacated Item 1 of
Citation No. 2 at trial, based on the Secretary’s failure to establish Central
Site (through its counsel) received the March 10, 2016, request that is the
basis for the alleged violation.
The Secretary
asserts after emailing the request, Santiago “received an automated response
that OSHA believes suggests the email was delivered but that no information as
to whether the email was read was provided.” (Compl’t’s’ Br. 20) (citing Ex.
R-19 at 6). What OSHA “believes” the automated response “suggests” is
irrelevant. The Secretary has the burden of proving more than mere
“suggestions,” he must prove each element of his prima facie case. Since the
records request was sent by email to Central Site’s counsel, a condition
precedent to a violation is proof that Central Site’s counsel received the
email requesting the records.
The
automated response stated that “[d]elivery to these recipients or groups is
complete but no delivery notification was
sent by the destination server.” (Emphasis added.) According the Secretary,
“worst case scenario,” the automated response “does not confirm delivery, but
does confirm that the email was sent by OSHA.” (Compl’t’s’ Br. 20.) Indeed, the
evidence shows the Secretary’s “worst case scenario” did occur. Central Site’s
counsel indicated in an email to Santiago on March 16, 2016, that he did not
receive the email sent by Santiago on March 10, 2016. Therefore, a
preponderance of evidence shows the Secretary failed to establish Central Site
received Santiago’s request for a copy of its 2015 OSHA 300-A form.
Cent. Site,
26 BNA OSHC at 1995-96.
The Secretary now contends he was
substantially justified in issuing the Citation because he pursued the item at
issue “based on his belief that the citation item would be interpreted
broadly. Central Site knew by March 16
that OSHA had requested the log, yet failed to produce the log and cure any
potential violation.”[8] (Sec’y’s Resp., p. 12.) This is nonsensical. First, this dispute could have been avoided
by a simple telephone call from Santiago or his supervisor to Central Site’s
counsel to clear up the miscommunication.[9] Second, the Secretary issued the Citation on
April 4, 2016, after Central Site
notified the Secretary it had not received the request sent March 10,
2016. Yet the alleged violation
description of the item states “[o]n or about 03/10/2016,
at the job site - the employer did not provide OSHA 300 logs after a request.”
Section 1904.40(a) mandates to the employer that “[w]hen
an authorized government representative asks for the records you keep under
part 1904, you must provide copies of the records within four (4) business
hours.” By March 16, the date the
Secretary asserts Central Site knew of the March 10 request, the allowed 4-hour
time limit had long since expired.
The
Secretary’s lack of substantial justification for pursuing this item is shown by
the confused testimony of Santiago regarding his recordkeeping request. He acknowledges he and his supervisor were
aware Central Site was disputing it received the records request. Instead of attempting to clear up the
problem, Santiago complied with his supervisor’s instruction to turn in the
case.
Q. And what happened after March 10th in terms
of your discussion with Mr. Waters or – and your request for the 300-A log?
A. I don't understand the question.
Q. Was there any follow-up to the email,
did you have any further communications with him?
A. I called -- I called him back a few
days later and, basically, you know, did -- like, left him a message of what
recommendations I was doing due to, you know, this case. And I also informed him
that because we did not receive a 300-A, I was
recommending a citation for that also.
. . .
Q. Did Mr. Waters respond to that voice
mail?
A. I don't remember, but I think he did. I
don't remember exactly, but I think he did.
Q. Would you look at page 7 of R-19? . . .
Is that an email that you received from
Mr. Waters?
A. Yes, sir.
Q. Is that in some way a response to your
voice mail as you understood it?
A. Yes, sir.
Q. Was there -- what discussion, if any,
did you have with Mr. Waters after he sent you this email that's page 7 of
R-19?
A. At that moment I already turned the
case in. I didn't have the case any longer. I don't remember if I called him
back or not but at that moment I didn't have it anymore.
. . .
Q. So you sent him an email on March 21st. Did that have anything to do with his email
to you on March 16th?
A. It is possible.
Q. You don't know?
A. Let me see. It is possible that it was because
of that email.
. . .
JUDGE GATTO: [You recommended issuing the
item citation] even though you received a response back about that delivery
indicating that no delivery notification was sent by the destination server,
which was Mr. Waters's server?
THE WITNESS: Yes, sir. I consulted with my
supervisor. . . . I told him that I had not received any response from Mr.
Waters and he told me to turn in the case because it was getting late and that
the case needed to [be] turned in.
JUDGE GATTO: Your supervisor was aware of this,
this delivery notification also?
THE WITNESS: Yes, sir.
(Tr.
306-309.)
The Secretary was on notice before
he issued the Citation in this proceeding that Central Site did not receive the
record request that gave rise to the citation item. He did not take the simple step of conferring
with Central Site’s counsel prior to issuing the Citation. The Court finds the Secretary was not
substantially justified in issuing the Citation for a violation of §
1904.40(a).
Therefore, the Court concludes Central Site is
entitled to attorney fees and expenses for Item 1 of Citation No. 1 and Item 1
of Citation No. 2.
B. Award
Commission Rule
2204.107(b) provides:
An award for the fee of an
attorney or agent under these rules shall not exceed $125 per hour, unless the
Commission determines by regulation that an increase in the cost of living or a
special factor, such as the limited availability of qualified attorneys or
agents for Commission proceedings, justifies a higher fee. An award to
compensate an expert witness shall not exceed the highest rate at which the
Secretary pays expert witnesses. However, an award may include reasonable
expenses of the attorney, agent or witness as a separate item, if the attorney,
agent or witness ordinarily charges clients separately for such expenses.
Central Site seeks a
total award for attorney fees of $17,571.00 (Resp’t’s Reply, Attach. D, ¶ 5). In his Response,
the Secretary does not object to the amount of the award requested, or
otherwise address the award issue. Paul Waters represented Central Site in all
phases of this proceeding. Attachment A
to Exhibit 3 of Central Site’s Application
is an itemized statement showing the hours expended, a description of services
performed, the rate at which the fee was computed, the amount of expenses, and
the total amount paid by Central Site to Waters. Between the date the Citation was issued,
April 4, 2016, and the date the Court issued its Notice of Decision and Report,
June 23, 2017, Waters spent 103.3 hours working on the case. Waters charged Central Site $350.00 per hour,
but used the statutory amount of $125.00 per hour to calculate the award sought
(Application, Ex. 3, ¶ 7). The Court finds this amount to be reasonable.
The statement includes an
additional 11.2 hours spent researching the EAJA and drafting the Application.
Hours spent preparing an application for attorney fees under
the EAJA are compensable. Central
Brass Manufacturing, 14 BNA OSHC 1904 (Nos. 86-978 & 86-1610, 1990). Central Site sought an award of $15,525.00 in
its Application. Central Site seeks and additional $2,046.00
for time spent reviewing the Secretary’s Response
and drafting its Reply. The Court
also finds this amount to be reasonable.
The Commission has held
that a judge, in determining an EAJA award, “should consider the complexity and
novelty of the issues based on his own knowledge, experience and expertise of
the time required to complete similar activities.” Id. at 1907. Having examined
the itemized statements in comparison with the issues involved and the course
of the proceeding, the Court concludes the fees and
other expenses in the amount of $17,571.00 sought by Central Site is reasonable. Accordingly,
IV. ORDER
IT IS HEREBY ORDERED THAT Central Site’s
application seeking attorney fees and expenses
pursuant to the EAJA is GRANTED and the Court awards
$17,571.00 in fees and other expenses to Central Site.
SO ORDERED.
/s/ John B. Gatto
John B. Gatto
Administrative Law Judge
Dated: January
25, 2018
Atlanta, GA
[1]
Commission Rule 302(a), 29 C.F.R § 2204.302(a), provides:
An
application may be filed whenever an applicant has prevailed in a proceeding or
in a discrete substantive portion of the proceeding, but in no case later than
thirty days after the period for seeking appellate review expires.
[2] The Supreme Court also held that EAJA fees belong to the client, not
the attorney, absent a representation agreement to the contrary. Astrue v.
Ratliff, 560 U.S. 586, 596-97 (2010).
[3] The “position of the
agency” means, in addition to the position taken by the agency in the adversary
adjudication, the action or failure to act by the agency upon which the
adversary adjudication is based . . . .” 5 U.S.C. § 504(b)(1)(E). See
also 29 C.F.R. § 2204.106(a) (“position of the Secretary includes . . . the
action or failure to act by the Secretary upon which the adversary adjudication
is based”).
[4] Likewise, Commission EAJA Rule
106(a) provides that “[a] prevailing applicant may receive an award for fees
and expenses in connection with a proceeding . . . unless the position of the
Secretary was substantially justified.” 29 C.F.R. § 2204.106(a).
[5] The Review Commission has held,
“[a]lthough the term is not defined in the EAJA, an applicant is considered to be the ‘prevailing party’” ...
if it has succeeded on any of the significant issues involved in the
litigation, and if, as a result of that success,
the applicant has achieved some of the benefit it sought in the litigation.” K.D.K. Upset Forging, Inc., 12 BNA OSHC 1856, 1857 (No. 81-1932, 1986).
Here, the Court vacated both cited items and accordingly assessed no
penalties. Central Site achieved the
benefit it sought in the litigation in its entirety. Therefore, Central Site was the prevailing
party in the action below.
[6]
Central Site filed its notice of contest on April 13, 2016. According to Kati Trammel, Central Site’s
Chief Financial Officer, Central Site employed a total of 90 employees,
including full time and proportional part time employees based on a 40-hour
work week on that date (Ex. 1 of Central Site’s Application: Trammel Decl. ¶
3). Trammel also avers Central Site’s
total assets on April 30, 2016, amounted to $23,266,510.31, while its total
liabilities amounted to $20,084,534.82.
See also Ex. A to Central Site’s Application:
balance sheet for April 30, 2016; Ex. 2:
Appleby Decl. ¶¶3, 4. Thus, the
company’s net worth that day was $3,181,975.49 (Ex. 1 of Central Site’s Application: Trammel Decl. ¶¶ 4, 6).
[7] The Secretary cites its summary of
facts in the Pretrial Order as
evidence he had always focused on the exposure of Central Site’s employees to
struck-by hazards:
Respondent’s employees and
employees of other contractors were working on foot and walking near vehicles
and equipment that Respondent or others were operating. The presence of these pedestrians near moving
vehicles and equipment created a hazard of a pedestrian being struck.
(Sec’y’s Resp., p.11, n. 3.) This
summary, however, also shows the Secretary was improperly alleging the exposure
of employees of other employers as a basis for the alleged § 5(a)(1) violation.
[8] This is the second instance in
which the Secretary claims he was substantially justified in issuing the
Citation because he believed the Court would “interpret broadly” a text he
either drafted or cited to (See,
Sec’y’s Resp., p. 7 (The Secretary
assumed his proposed abatement of an ITCP as described in ANSI A10.47 “would be
construed broadly as it was drafted by non-lawyers.”). The Secretary should not be so quick to
assume the Court will ignore the plain meaning of a text and interpret or
construe it “broadly.” “In the hierarchy
of law, language is king. Words matter in constitutions, treaties, statutes,
rules, cases, and contracts.” Pottinger
v. City of Miami, 805 F.3d 1293 (11th Cir. 2015).
[9] The Secretary passed up this
opportunity to circumvent the miscommunication when he ignored the email from
Central Site’s counsel in response to Santiago’s voice message left several
days after the March 10 request was sent, stating he had not received the
requested records. Central Site’s counsel
responded with an email sent March 16, stating “You mentioned the 2015 300A log
having a problem. You never requested a 2015 300A at any time[,]” and ended with, “It is important that you call me
on this.” (Ex. R-19, p. 7.) No one from OSHA called Central Site’s counsel in
response to the email.