Matter of New York State Supreme Ct. Officers Assn. v. New York State Unified Ct. Sys.
This text of Matter of New York State Supreme Ct. Officers Assn. v. New York State Unified Ct. Sys. (Matter of New York State Supreme Ct. Officers Assn. v. New York State Unified Ct. Sys.) is published on Counsel Stack Legal Research, covering New York Supreme Court, Kings County primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinion
| Matter of New York State Supreme Ct. Officers Assn. v New York State Unified Ct. Sys. |
| 2004 NY Slip Op 24019 [2 Misc 3d 960] |
| January 20, 2004 |
| Supreme Court, Kings County |
| Published by New York State Law Reporting Bureau pursuant to Judiciary Law § 431. |
| As corrected through Wednesday, May 12, 2004 |
[*1]
| In the Matter of New York State Supreme Court Officers Association, Petitioner, v New York State Unified Court System, Respondent. |
Supreme Court, Kings County, January 20, 2004
APPEARANCES OF COUNSEL
Pat Bonanno & Assoc., P.C., White Plains, for petitioner. Michael Colodner, New York City, for respondent.
Herbert Kramer, J.
{**2 Misc 3d at 961}Petitioner New York State Supreme Court Officers Association (SCOA) moves for an order "issuing and 'So Ordering' a Subpoena Duces Tecum."
Petitioner initiated an administrative proceeding with the New York State Public Employment Relations Board (PERB) by filing improper labor practice charges against respondent the New York State Unified Court System (UCS) and seeks the subpoena duces tecum for overtime records in connection with the hearing regarding those charges. Petitioner has charged [*2]that UCS engaged in an improper employment practice in implementing its Mobile Security Patrol Program (MSPP) by delegating all work for that program to a rival union, the New York State Court Officers Association (COA). Movant also charges that UCS engaged in a further improper practice by demanding that movant waive a provision in its collective bargaining agreement otherwise allowing overtime compensation between 6:00 p.m. and 7:30 a.m. Such waiver allegedly would have made SCOA more economically viable to participate in the MSPP. UCS chose COA for the MSPP assignment after COA agreed to waive its own collective bargaining agreement provision and movant now seeks overtime records and time sheets of the 36 court officers assigned by COA to the MSPP.
However, UCS argues that the PERB proceeding addresses the circumstances surrounding COA's initial decision to participate in the MSPP and the validity of its waiver, not the participation of the parties after COA made its waiver. Hence, UCS views producing the overtime records and time sheets of every court officer and supervising officer in the MSPP as irrelevant to the PERB proceeding. UCS and COA, in fact, have earlier asserted this irrelevancy argument when movant applied for a subpoena duces tecum to the administrative law judge (ALJ) overseeing the improper practice charge. In opposing said application before the ALJ, they respectively characterized the requested information as having "no probative value in the matter at hand" and "not relevant to the proceedings or probative of any issue concerning bargaining unit work."
The ALJ subsequently denied movant's application, without explanation, in an administrative order dated May 6, 2003 and movant then excepted by taking an interlocutory appeal to PERB itself. The ensuing Board decision and order, dated August 18, 2003, denied movant's interlocutory appeal but concluded that "because our statutory grant of subpoena power provides that subpoenas issued by PERB will be 'regulated and enforced {**2 Misc 3d at 962}under the [CPLR]' and our own Rules specifically preserve the right of any person or entity to issue a subpoena pursuant to law, attorneys have the authority to issue subpoenas in PERB proceedings" (footnote references omitted).
Consequently, movant has brought this application pursuant to CPLR 2302 (a) and 2307 to independently compel production of the same MSPP records covered by the subpoena that the ALJ refused to issue. In addition, movant has sought the disputed records by making a Freedom of Information Law (FOIL) request which the Office of Court Administration (OCA) has processed at a cost of $1,230.25 under Public Officers Law § 87 (1) (b) (iii) and 22 NYCRR 124.8 which allow imposing a 25\c charge per page.[FN*] This expense remains unpaid, the reproduced records remain in the possession of OCA and thus the court must initially determine whether subject matter jurisdiction exists to issue the requested subpoena duces tecum. Stated differently, the court must ascertain whether attorneys have the authority to seek court-issued subpoenas in PERB proceedings. [*3]
Both sides recognize that "CPLR 2307 (subd. [a]) is applicable only to those subpoenas issued pursuant to CPLR 2302 (subd. [a]) with respect to administrative boards not granted specific power to issue subpoenas. Where . . . the administrative board's authority to issue subpoenas is derived from a specific statutory grant of power . . . CPLR 2307 does not govern" (Matter of Irwin v Board of Regents, 27 NY2d 292, 296 [1970]). The Court of Appeals in Irwin further stated that "CPLR 2302 (subd. [a]), with respect to administrative boards, governs the issuance of subpoenas by those boards not already granted this power by statute, and as to those administrative boards to whom a specific grant of subpoena power had been granted, their power to issue subpoenas is derived solely from such grants" (id. at 297).
Here, the Legislature specifically granted PERB the power to issue subpoenas in its various hearings and concurrently invoked the general powers of the CPLR by stating in Civil Service Law § 205 (5) (k) that PERB's powers included:{**2 Misc 3d at 963}
"For the purpose of such hearings and inquiries, to administer oaths and affirmations, examine witnesses and documents, take testimony and receive evidence, compel the attendance of witnesses and the production of documents by the issuance of subpoenas, and delegate such powers to any member of the board or any person appointed by the board for the performance of its functions. Such subpoenas shall be regulated and enforced under the civil practice law and rules." (Emphasis added.)
Reviewing relevant case law, which has construed similarly worded statutes that grant specific subpoena power and which also provide that such subpoenas shall be "regulated" by the CPLR, shows that Supreme Court jurisdiction exists to entertain subpoena applications. For example, the Appellate Division, Third Department, explained in Matter of Derle Farms v Barber (79 AD2d 1050, 1051 [1981]) that
"when an administrative agency has been granted subpoena power by separate statutory authority, its powers in relation thereto are governed solely by the enactment and are not limited by any inconsistent features of the CPLR (cf. Matter of Irwin v Board of Regents of Univ. of State of N.Y., 27 NY2d 292 [1970]). However, since the statutory provisions of the Agriculture and Markets Law which refer to respondent's subpoena power state that subpoenas 'issued' thereunder shall be 'regulated' by the CPLR (Agriculture and Markets Law § 34, subd 4; § 254, subd [b]), and since CPLR 2304 supplies a mechanism for testing the propriety of an issued subpoena by a motion to quash, it follows that both the need for the subpoena and the relevance of the evidence sought are matters for a court to decide upon motion, rather than by respondent or his agents" (cf. Matter of La Belle Creole Intl. v Attorney-General of State of N.Y.
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