Magallon v. Robert Half International, Inc.

CourtDistrict Court, D. Oregon
DecidedFebruary 7, 2023
Docket6:13-cv-01478
StatusUnknown

This text of Magallon v. Robert Half International, Inc. (Magallon v. Robert Half International, Inc.) is published on Counsel Stack Legal Research, covering District Court, D. Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Magallon v. Robert Half International, Inc., (D. Or. 2023).

Opinion

IN THE UNITED STATES DISTRICT COURT FOR THE DISTRICT OF OREGON EUGENE DIVISION

BONNIE MAGALLON, on behalf of herself and all others similarly situated Case No. 6:13-cv-01478-AA

Plaintiff, OPINION AND ORDER v. ROBERT HALF INTERNATIONAL INC., a foreign corporation,

Defendant.

AIKEN, District Judge. In this consumer class action, class representative Bonnie Magallon, (“Plaintiff”), alleges that Robert Half International Inc. (“Defendant”) violated provisions of the Fair Credit Reporting Act (“FCRA”), 15 U.S.C. § 1681 et seq. Defendant moves for summary judgment under Fed. R. Civ. P. 56. For the reasons set forth below, Defendant’s Motion for Summary Judgment (“MSJ”), Doc. 161, is DENIED. BACKGROUND This action stems from Defendant’s use of a background report in deciding to reject Plaintiff’s employment application. Defendant, a professional staffing service

company, rejected Plaintiff’s application allegedly based on her past misdemeanor conviction without providing to Plaintiff the “pre-adverse action notice” required under FCRA. I. FCRA Requirements for Adverse Action Based on Consumer Report The pre-adverse action notice in FCRA requires that: “When using a consumer report for employment purposes, before taking any adverse action based in whole or in part on the report, the person intending to take such adverse action shall provide to the consumer to whom the report relates-- (i) a copy of the report; and (ii) a description in writing of the [consumer’s rights] under section 1681g(c)(3).”

15 U.S.C. § 1681b(b)(3)(A) (emphasis added). FRCA defines an “adverse action” as a “denial of employment or any other decision for employment purposes that adversely affects any current or prospective employee.” 15 U.S.C. § 1681a(k)(1)(B)(ii). II. Defendant’s Hiring Process Defendant places professional-level applicants in temporary and permanent jobs through hundreds of offices across the nation. Individuals seeking work apply to Defendant. Defendant attempts to match applicants with a business client seeking someone with the applicant’s qualifications to fill a short-term or long-term position. All applicants must consent to a background report by signing a form acknowledging that “[Defendant] will use the information contained in these reports as a factor in determining [their] eligibility for employment.” ECF No. 33-2 at 2.1 At times relevant to this case, Defendant ordered background reports from General Information Services, Inc. (“GIS”).

Defendant provides hiring criteria to GIS. GIS uses that hiring criteria to grade an applicant’s background report by placing a green, yellow, or red “flag” on the report. When the report is marked with a green flag, the applicant is generally eligible to proceed for placement with a client, but when a report is marked with a yellow or red flag, GIS notifies Defendant, and Defendant’s legal department reviews the background report. ECF No. 161-1 at 105-107. After reviewing a yellow or red flagged background report, Defendant’s legal department determines whether the

applicant is “placeable” or “not placeable” based on the information in the report. Doc. 161-1 at 105-107; 157, 162. In taking an adverse action based on a background report, Defendant maintains that it has a written policy to notify the applicants in accordance with FCRA, § 1681b. ECF 161-1 at 166 (Ex 4 ¶ 9). Defendant asserts that its adverse action notice package complies with FCRA and consists of three documents: (1) a pre-

adverse action letter that outlines the actions a candidate must follow to dispute any findings, (2) a copy of the background report, and (3) a copy of the summary of

1 In this opinion, for exhibits and declarations, pre-stamped bates numbering is inconsistent and sporadic. Therefore, citation to the document page number in the record is based on the e-filing document number, followed by a dash, followed by the exhibit number, followed by a pin cite to the counted page in the document: ECF 161-1 at 1 would reference the first actual page of declaration 1 to ECF 161. For motions, the Court cites to the internal pagination of the motion, rather than to any filing-generated stamps. consumer rights, titled “A Summary of Your Rights Under the Fair Credit Reporting Act.” MSJ at 5. Defendant’s policies also mandate a waiting period of ten days after the package is provided before an adverse decision can be made. Id. at 9.

III. Plaintiff’s Application and Employment Rejection On or around August 19, 2011, Plaintiff applied for a job with Defendant’s placement office. On August 22, 2011, Plaintiff completed a background check authorization and Defendant initiated its hiring process endeavoring to place Plaintiff with one of at least two different clients: Trade Winds Transportation and OSU Foundation. ECF No. 164-7 at 2. In her application, Plaintiff disclosed a 2006 misdemeanor conviction, stating that she was “involved in a traffic related incident.”

ECF No. 161-1 at 128. On August 22, 2011, Defendant noted in Plaintiff’s electronic file that Trade Winds Transportation had not selected Plaintiff for hire. ECF No. 164-7 at 2. On August 30 or 31, 2011, Defendant requested Plaintiff’s background report from GIS. After conducting its background check, GIS marked the report with a red flag. The report described Plaintiff’s misdemeanor as “harassment physical” and

“resist arrest.” ECF No. 161-1 at 145; ECF No. 164-7 at 3. On September 6, 2011, Defendant annotated Plaintiff’s electronic file regarding her application to OSU Foundation, stating “pending background approval will start next week.” ECF No. 164-7 at 2. On September 8, 2011, Defendant notified Plaintiff that its legal department wanted more information from Plaintiff about the misdemeanor conviction. ECF No. 161-1 at 33, 64. On September 9, 2011, Plaintiff responded, explaining that she had not been the driver in the traffic incident when the officer asked her to get out of the vehicle. ECF No. 161-1 at 64. Plaintiff explained that she was five months pregnant and that the officer was pushing her against the

car. Id. She “pushed [herself] back from the vehicle” and explained that she “was pregnant[,] in hope that he would back up from pushing [her] against [the] car but he did not.” Id. On September 13, 2011, Defendant annotated Plaintiff’s electronic file stating: “A careful review of this candidate[‘]s criminal history has been made by the legal department. It has been determined that this candidate does not meet [Defendant’s] standards for placement and [Defendant] cannot be a resource for him/her. Please refer to the Field Compliance Guide . . . for instructions on how to document this decision and inform the candidate. In accordance with federal law, you must send the candidate the adverse action letters. These letters, along with detailed instructions, can be found in the Filed Compliance Guide[.]”

ECF No. 164-7 at 4. On September 14, 2011, Defendant contacted Plaintiff. ECF No. 161-1 at 222; ECF No. 164-7 at 4. There are no notes in Plaintiff’s electronic file concerning what information Defendant communicated to Plaintiff during that contact. Now, Plaintiff maintains that Defendant told her she was not placeable based on the background report. Resp. in Opp’n at 8. Defendant disputes this, asserting that it has no record of informing Plaintiff that she was not placeable. MSJ at 9.

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Magallon v. Robert Half International, Inc., Counsel Stack Legal Research, https://law.counselstack.com/opinion/magallon-v-robert-half-international-inc-ord-2023.