DAVID C. v. Leavitt

13 F. Supp. 2d 1206, 1998 U.S. Dist. LEXIS 12543, 1998 WL 471577
CourtDistrict Court, D. Utah
DecidedAugust 4, 1998
Docket2:93-cv-00206
StatusPublished

This text of 13 F. Supp. 2d 1206 (DAVID C. v. Leavitt) is published on Counsel Stack Legal Research, covering District Court, D. Utah primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
DAVID C. v. Leavitt, 13 F. Supp. 2d 1206, 1998 U.S. Dist. LEXIS 12543, 1998 WL 471577 (D. Utah 1998).

Opinion

ORDER

CAMPBELL, District Judge.

This matter is before the court on the plaintiffs’ motion to extend the term of the consent decree. The court heard argument from counsel on July 20, 1998; Ms. Jeanne Finberg, Ms. Martha Matthews, and Ms. Patrice McElroy appeared on behalf of the plaintiffs and Ms. Carol Clawson and Ms. Carolyn Nichols appeared on behalf of the defendants. Having fully considered the arguments of counsel, the memoranda of the parties, and applicable legal authority, the court now enters the following order.

Background 1

I. Structure of the Settlement Agreement.

On February 25, 1993, plaintiffs initiated this class-action lawsuit against the Governor *1207 of the State of Utah and other state officials involved in Utah’s child-welfare system (collectively referred to as “defendants”). The plaintiff class is (1) all children who are now or will be in the custody of the Department of Human Services (“DHS”) and who have been or will be placed by DHS in a shelter-care facility, foster-family home, group home, or institutional care; and (2) all children who are or will be known to DHS by virtue of a report of abuse or neglect.

After substantial negotiation, the parties entered into a settlement agreement (the “SA”) on May 17, 1994. The SA sets forth ninety-three provisions to be implemented by the defendants, which are designed to improve the policies and practices governing Utah’s child-welfare system. In general, these provisions relate to the screening and investigation of abuse and neglect complaints; the improvement of shelter care, family services, health care, and education for foster children; preparation of treatment plans; and the training and supervision of caseworkers and foster parents.

The SA also establishes a monitoring panel consisting of three individuals: one chosen by plaintiffs’ counsel, one by defendants, and one agreed upon by the parties. The panel exists to oversee defendants’ implementation of the ninety-three SA provisions, to publish quarterly reports documenting the extent of defendants’ compliance or noncompliance with these provisions, and to evaluate the Corrective Action Plan (“CAP”) that defendants develop in response to the quarterly reports.

Finally, the SA provides that “[t]he Agreement shall terminate in 48 months from the date it is given final approval by the Court.” (Settlement Agreement § XI.M.) The court gave final approval to the SA on August 29, 1994, thereby setting an expiration date of August 28, 1998. The court retained the power to “enter any necessary orders to enforce the Agreement.” (Settlement Agreement § XI.J.), and also incorporated the terms of the SA by reference into its order of August 29,1994.

Parties’ Performance of Procedural Obligations Under the Settlement Agreement. II.

To date, the performance report/CAP feedback mechanism, which the parties had hoped would provide the defendants with significant guidance in reforming the Department of Child and Family Services (“DCFS”), has failed to function in any meaningful sense. The panel has never published performance reports on a quarterly basis as contemplated; two reports were released in 1995, one in 1996, and one in 1998. Even on those occasions when the panel did release a report, the CAP mechanism was not properly implemented. After the release of the first performance report in March 1995, the parties were to have a panel-approved CAP in place within four weeks. Instead, the two sides failed to reach any agreement and the panel failed to impose its own CAP (as allowed by the SA) until August 4,1995. Even after the first CAP was in place, the defendants failed to relate to the panel within the ninety days allowed by the SA whether they had successfully implemented necessary changes. Nor, indeed, did the defendants provide such information to the panel at any later time.

Following release of the second report on February 2, 1996, the monitoring panel rejected several CAPs submitted by the defendants. After the last such rejection, the defendants did not submit another revised CAP and the panel did not create its own. The parties encountered similar difficulties following submission of the third report on July 3, 1996; the defendants again failed to submit a CAP in a timely manner and the panel again rejected the defendants’ plan without formulating one to replace it.

Reviewing this history, Judge Winder concluded, in his March 17 Order, that there had been a “breakdown of the Corrective Action Process.” (March 17 Order at 20, 6-7.) He therefore ordered that the parties suspend the ordinary procedural mechanisms required by the SA. The panel was directed to prepare a report for the months from October 1996 through March 1997. Upon submission of the report, the panel was further instructed to inform the court what resources *1208 it would need to prepare a comprehensive plan for future action by the defendants. In August 1997, the court amended its earlier order, requiring now that the report cover the six month period from January through June 1997. The monitoring panel submitted the required report at the end of April 1998, ten months following the close of the monitoring period, and, despite Judge Winder’s prior order, did not request any additional resources with which to complete- the comprehensive plan. Although plaintiffs’ counsel represented at argument that the parties had made substantial efforts to complete the comprehensive plan, as of the date of this order, the monitoring panel has not filed any comprehensive plan with this court.

III. Defendants’ Performance of Substantive Obligations Under the Settlement Agreement.

The defendants have fared no better in achieving compliance with the substantive terms of the SA than in conforming to its procedural mandates. To date, both the panel and Judge Winder have found the defendants to be in noncomplianee with a majority of the SA’s ninety-three provisions. (March 17 Order at 21-22.) Specifically, the panel has reported the following findings (rounded to the nearest percentage) in each of its performance reports:

Report 95-1: %

Compliance 12

Compliance with Concerns 13

Noncomplianee with Progress 35

Noncompliance 16

No data/inconclusive 24

Report 96-1: %

Compliance . 04

Compliance with Concerns 16

Noncompliance with Progress 57

Noncomplianee 21

No data/inconclusive 01

Report 95-2: %

Compliance 09

Compliance with Concerns 25

Noncomplianee with Progress 53

Noncomplianee 09

No data/inconclusive 05

Report 97-1: %

Compliance 20

Noncompliance with Progress 18

Noncomplianee 54

No data/inconclusive 07

In early 1995, therefore, the defendants were 25 percent in compliance and 75 percent in noncompliance. 2

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Bluebook (online)
13 F. Supp. 2d 1206, 1998 U.S. Dist. LEXIS 12543, 1998 WL 471577, Counsel Stack Legal Research, https://law.counselstack.com/opinion/david-c-v-leavitt-utd-1998.