Clark v. Board of Directors of the School District

915 S.W.2d 766, 11 I.E.R. Cas. (BNA) 792, 1996 Mo. App. LEXIS 257, 1996 WL 69340
CourtMissouri Court of Appeals
DecidedFebruary 20, 1996
DocketWD 50877
StatusPublished
Cited by20 cases

This text of 915 S.W.2d 766 (Clark v. Board of Directors of the School District) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Clark v. Board of Directors of the School District, 915 S.W.2d 766, 11 I.E.R. Cas. (BNA) 792, 1996 Mo. App. LEXIS 257, 1996 WL 69340 (Mo. Ct. App. 1996).

Opinion

BERREY, Judge.

Charles Clark, a tenured teacher with the Kansas City, Missouri School District, appeals the termination of his employment. He qualified as a “permanent teacher” under the Teacher Tenure Act because he was employed by the same school district for at least five successive years as specified in § 168.104(4) RSMo 1994. After a public hearing pursuant to § 168.118 RSMo 1994, the Board of Directors of the Kansas City, Missouri School District found the disciplinary methods used by Charles Clark (“appellant”) to be “inappropriate corporal punishment” and refused to renew his indefinite employment contract. In rendering its decision, as required by § 168.114 RSMo 1994, 1 the Board of Directors (“Board”) concluded that, based on substantial evidence, appellant “willfully and/or persistently failed to obey the published regulations of the Board ... by grabbing and striking students” and was “unfit to instruct or associate with children” due to “evidence of a mental or physical condition.” The Board also concluded that the charges leveled against appellant were “fairly and thoroughly investigated” and that appellant was afforded adequate due process. The Jackson County Circuit Court subsequently affirmed the Board’s decision.

Appellant argues that the Board’s decision infringed on his constitutional rights by depriving him of procedural and substantive due process. Specifically, he argues: (1) the Board failed to provide notice of the right to representation and notice of the special charges against him; (2) the Board’s eight-month delay in conducting a hearing should bar the Board’s decision to terminate due to laches; (3) the Board’s arbitrator time limits utilized during the hearing prevented him from having a “full and fair opportunity” to challenge the charges against him; and (4) it was not his responsibility to raise procedural objections to rules and procedures previously established by the Board. Appellant further challenges the Board’s conclusions that he is unfit to teach and that he willfully or persistently violated published regulations have no basis in fact. We affirm.

The facts are as follows. Prior to his termination, Clark had served as a teacher in the Kansas City School District (“District”) for nearly twenty years. The events leading up to appellant’s termination took place at Woodland Elementary School where he taught fourth grade during the 1991-92 school year. Appellant had been a teacher at Woodland for about ten years.

The first incident of alleged abuse occurred on or about September 16,1991. The mother of one of appellant’s students, L.P., 2 contacted Stacia Brown, Woodland’s interim principal, and alleged that appellant had struck her son earlier that day. L.P. testified at the hearing that appellant “put his fist ... up to my chest, and slammed me down in my chair.” Stacia Brown investigated the complaint by conferring with appellant, L.P. and his father. Appellant claimed he did not recall the alleged incident. No bruises or cuts were found on L.P. and no “Hotline” call to the Division of Family Services (“DFS”) was made. The matter was not documented until December 19, 1991 in a letter prepared by Stacia Brown.

On October 21, 1991, Stacia Brown received another phone call from the mother of a different student, T.T., who complained of a bruise on her son’s arm. T.T., who was ten years old at the time of the hearing, claimed that appellant had “yanked” his arm and pulled him out of his seat for “acting up.” *770 Other bruises were found on the arms of two other students, a girl, P.C., who do not testify at the hearing and another ten year-old boy, J.T., who did testify. P.C.’s bruise was allegedly caused by appellant striking her in the forearm with a book. These three bruises appeared during the third week of October, 1991.

On October 22, 1991, Stacia Brown confronted appellant with the report from T.T.’s mother. Appellant again could not recall any such incident, but, according to Stacia Brown, he said, “It won’t happen again.” That same day Stacia Brown called the hotline to DFS and reported an alleged incidence of child abuse and named appellant as the perpetrator.

Ms. Brown then conducted an investigation by randomly interviewing several of appellant’s students. During these interviews, Ms. Brown noticed bruises on the arms of two of appellant’s students, T.T. and P.C. Based on these observations and other information reported by the students regarding appellant’s conduct, she suspended appellant with pay on October 25,1991.

A DFS social worker was assigned to the case and, after performing his own investigation, issued a preliminary finding of “reason to suspect” abuse.

In February, 1992, appellant was reinstated after a meeting with Board representatives, but he worked only in a clerical capacity and had no direct contact with students. However, on June 29, 1992, Dr. Julia Hill, Board president, notified appellant in writing that he had been terminated. The writing, in accord with § 168.116 RSMo 1994, 3 contained the specific grounds alleged for dismissal and informed appellant of his right to a hearing.

The hearing was held on July 28, 1992. On August 24, 1992, the Board issued its decision to terminate appellant.

In Point I of his brief, appellant outlined the standard of review applicable to administrative decisions. We concur that we are to review the findings of the Board rather than the judgment of the circuit court. The standard of review regarding the Board’s conclusions will be addressed in detail below in parts II and III.

Appellant contends three points of error on the part of the Board.

I

In Point II of appellant’s brief, he contends that the Board’s decision denied him substantive and procedural due process. This broad contention is followed by four specific claims of impaired procedural due process. Because two of appellant’s claims are connected, we have combined them and will address each of the resulting three claims separately.

Our due process analysis requires two distinct steps. First, it must be determined whether appellant was denied procedural due process as provided by the Fourteenth Amendment. “The requirements of procedural due process apply only to the deprivation of interests encompassed by the Fourteenth Amendment’s protection of liberty and property ... [and] the range of interests protected by procedural due process is not infinite.” Board of Regents v. Roth, 408 U.S. 564, 569-70, 92 S.Ct. 2701, 2705, 38 L.Ed.2d 548 (1972). A property interest in employment can be created by statute, ordinance or by an express or implied contract. Bishop v. Wood, 426 U.S. 341, 344, 96 S.Ct. 2074, 2077, 48 L.Ed.2d 684 (1976). As previously noted, appellant qualified as a permanent teacher under the Missouri Teacher Tenure Act and, therefore, had a property interest in continued employment protected by procedural and substantive due process. §§ 168.114-168.120 RSMo 1994; Moore v. Board of Educ. of Fulton Public School No. 58,

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Bluebook (online)
915 S.W.2d 766, 11 I.E.R. Cas. (BNA) 792, 1996 Mo. App. LEXIS 257, 1996 WL 69340, Counsel Stack Legal Research, https://law.counselstack.com/opinion/clark-v-board-of-directors-of-the-school-district-moctapp-1996.