Parker v. United States

77 Fed. Cl. 279, 2007 U.S. Claims LEXIS 204, 2007 WL 1893172
CourtUnited States Court of Federal Claims
DecidedJune 28, 2007
DocketNos. 06-701C, 06-715C
StatusPublished
Cited by14 cases

This text of 77 Fed. Cl. 279 (Parker v. United States) is published on Counsel Stack Legal Research, covering United States Court of Federal Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Parker v. United States, 77 Fed. Cl. 279, 2007 U.S. Claims LEXIS 204, 2007 WL 1893172 (uscfc 2007).

Opinion

MEMORANDUM OPINION AND ORDER

BRADEN, Judge.

I. FACTUAL BACKGROUND.1

A. Facts Relevant to the First Complaint.

On March 22, 2004, the United States Air Force (“USAF”) awarded a fixed-price contract, FA8621-04-D-6250 (“Contract”), in the amount of $3,000,000, to Guy Parker d/b/a Parker International (“Plaintiff’). See First Compl. Ref. Doc. at 1, 3, 17. The Contract required Plaintiff to provide a software license for the MQ/RQ-1 Predator Unmanned Aerial Vehicle Multi-Task Trainers (“Predator MTT”), located at Nellis Air Force Base; Indian Springs, Air Force Auxiliary Field; and Luke Air Force Base. Id at 18. The Contract also provided that the contractor would perform “preventive and corrective software maintenance[,]” as well as upgrade the software, when instructed to do so by the USAF. Id at 18-19. The Contract’s term was for one year of Predator MTT operations and maintenance, with an option to renew for up to four additional one-year periods. Id at 17.

Paragraph 2.4.2 of the Statement of Work for the Contract provides that “upon request of the project officer, the contractor shall attend conferences, briefings, and other meetings to report on MTT sustainment/up-date plans and status.” First Compl. Ref. Doc. at 20.

On April 19, 2004, the Assistant Secretary of the Air Force for Acquisition issued a Memorandum about the dissemination of internal Air Force e-mails to outside sources. See Gov’t Mot.App. at 116. The April 19, 2004 Memorandum directed Air Force acquisition personnel to include a “cautionary statement [2] in all official correspondence.” Id The Memorandum acknowledged that the cautionary statement was not binding on email recipients; nevertheless, inclusion of the statement would be effective on May 1, 2004, as a matter of Air Force Policy. Id

On January 27, 2006, the USAF renewed the Contract for 2006. See First Compl. Att. 18. On February 15, 2006, the Contracting Officer (“CO”) notified Plaintiff “that [2006 would be] the last year the Government intended to purchase a site license under the [ ][C]ontraet.” Gov’t Mot.App. at 42.

On June 15, 2006, the Program Manager for Predator Training (“Mr Kimmet”) sent an e-mail to Plaintiff, and several other individuals, regarding a proposed June Predator MTT program support meeting, requesting that each recipient submit agenda items and recommended meeting dates. See First Compl. IF 10; First Compl. Att. 8; Gov’t Mot. App. at 43. At the bottom of the e-mail was a cautionary statement that read:

Caution: This message may contain competitive, sensitive or other non-public information not intended for disclosure out [282]*282 side official government channels. Do not disseminate this message without the approval of the sender. If you received this message in error, please notify the sender by reply e-mail and delete all copies of this message.

First Compl. H10 (emphasis in original); First Compl. Att. 8; Gov’t Mot.App. at 43.

On June 16, 2006, Plaintiff responded, stating that Plaintiff “cannot accept the adhesion contract at the bottom of your email.... This email transmittal ... is the property of the company and may be reproduced, copied, and transmitted by the company as required.” First Compl. Att. 7. On June 19, 2006, Mr. Kimmet replied, explaining that the inclusion of the cautionary statement was “USAF policy.” See First Compl. Att. 6.

On June 19, 2006, Plaintiff sent another email to Mr. Kimmet and the CO with the request to “resend this email to the company without the addition of the adhesion contracts contained within and added on the bottom of the transmittal[J” First Compl. Att. 5. The June 19, 2006 e-mail included eight “notes” at the end of the document that appear to state the legal and factual grounds for Plaintiffs belief that he was not required to abide by the cautionary statement included on Mr. Kimmet’s June 15, 2006 e-mail. See Gov’t MotApp. at 48-49.

On June 22, 2006, Mr. Kimmet sent another e-mail to Plaintiff and the other recipients of the June 15, 2006 e-mail, canceling the proposed June meeting, because there were no “specific agenda items requiring my attention at this time.” 3 See First Compl. Att. 3.

B. Facts Relevant to the Second Complaint.

The Contract required that Plaintiff deliver a monthly Contractor Management Report to the CO that included “a breakdown of labor hours expended in support of the contract over the past month, [ ] an estimate of hours planned for the coming month[, and] the actions taken in support of this effort to include a detailed listing of functional changes.” See Gov’t MotApp. at 22; see also Second Compl. Att. 8 at 19, Att. 16 at 37. The Contract also provided that the Government would reply to the Contractor Management Reports “with an approval, approval with comments, or disapproval within 45 days[.]” See Gov’t MotApp. at 78. The Contract also provided that the format of the Contractor Management Reports could vary, in specified ways, from the standardized requirements of the Data Item Description form, DI-MGMT-80227, approved by the Office of Management and Budget. See Second Compl. Att. 16 at 37. The Report was due on the fifteenth day after the first full month of contract performance, making March 15, 2006 the first due date under the 2006 contract renewal. Id.

The content and format of the Contractor Management Reports caused several disagreements between the CO and Plaintiff throughout 2006. See, e.g. Second Compl. Att. 22 (March 22, 2006 Memorandum from the CO to Plaintiff stating that the first Contractor Management Report due for CY06 had “not been received and is considered late”); Second Compl. Att. 5 (April 18, 2006 Memorandum from the CO to Plaintiff stating that the March/April Contractor Management Report was disapproved, requesting that Plaintiff resubmit the Report after making certain changes); Second Compl. Att. 11 (May 1, 2006 Memorandum from the CO disapproving Plaintiffs November/December Contractor Management Report); Second Compl. Att. 14 (May 11, 2006 letter and e-mail from Plaintiff to the CO stating that the April 18, 2006 and the May 1, 2006 Memoranda of Disapproval were “disapproved” and “rejected” by Plaintiff and asserting that the two memoranda “may represent actions directed to defraud this company ‘ and government”).

On May 15, 2006, Plaintiff submitted a Contractor Management Report to the CO, wherein Plaintiff stated that the Report was [283]*283a “courtesy” and, because of “the absence of a government Program Management Plan and in the absence of reported discrepancies as per contract, this concludes the report.” See Second Compl. Att. 7. On June 1, 2006, the CO sent Plaintiff a Memorandum approving the May 15, 2006 Contractor Management Report. See Second Compl. H1, 10. The Memorandum also stated that “[t]he contractor reported an absence of discrepancies and the MTTs were available to support scheduled training. Ml attachments to the contractor’s letter (same subject) dated May 15, 2006 were not considered part of the data submittal.” See Second Compl. 111111-12, 55; see also Second Compl. Att. 1.

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Bluebook (online)
77 Fed. Cl. 279, 2007 U.S. Claims LEXIS 204, 2007 WL 1893172, Counsel Stack Legal Research, https://law.counselstack.com/opinion/parker-v-united-states-uscfc-2007.