Phoenix-Times v. Barrington Sch. Com.
This text of Phoenix-Times v. Barrington Sch. Com. (Phoenix-Times v. Barrington Sch. Com.) is published on Counsel Stack Legal Research, covering Superior Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinion
It is not disputed that the Committee was aware of opinions circulating publicly regarding the proposed policy. During the Committee's January 29, 2009 meeting, Committee Member Oberg specifically suggested that the Committee include "Public Comment Regarding Breathalyzer Testing at the High School" as a future agenda topic to "aid the Committee in a broader based decision regarding [the] issue." (Joint Statement Ex. F: Meeting Minutes for 1/29/09.) Consequently, the Committee set down a public comment period on the Committee's meeting agenda for the February 26, 2009 meeting (the "February Agenda"). (Joint Statement Ex. G: February Agenda.) Specifically, the February Agenda read "Public Comment Re: Breathalyzer Testing" and additionally indicated a planned "Executive Session pursuant to Section
The official February 26, 2009 meeting Minutes (the "February Minutes") indicate that a "lengthy discussion" took place regarding mandatory Breathalyzer testing at high school dances, and that much input was provided by audience members. (Joint Statement Ex. H: February Minutes.) Specifically, the February Minutes stated
"there is no formal proposal at this time and that [the Committee] want[s] to give all due consideration in order to properly handle this issue. . . . More discussion will take place before any decision is made regarding this issue. . . .[M]embers of the audience [are urged] to contact the School Committee or administration with their views." Id. at p. 2.
At the conclusion of the meeting, the Committee unanimously voted to adjourn the regular meeting and to go into Executive Session pursuant to §§
Apart from personnel matters irrelevant to the instant dispute, the Committee maintains that it utilized the Executive Session to discuss an "assessment of the ACLU's threatened legal claims" provided in a draft memorandum prepared by the Committee's attorney, Dan Kinder ("Attorney Kinder"), at the request of the Committee. (Def's. Suppl. Statement of Facts ¶ 3.) The Committee avers that upon receiving a copy of the Letter in December 2008, Superintendent Robert McIntyre discussed the Letter with Defendant Hasenfus, Chairman of the Committee, and that both believed the Letter to constitute a "threat of litigation." (Affidavit of Robert O. McIntyre ("McIntyre Aff.") at ¶ 5.) Based upon this interpretation of the Letter, the Committee consequently sought legal advice from its counsel, and such legal advice was set forth in the draft *Page 5 memorandum considered during the Executive Session. (McIntyre Aff. ¶¶ 5-6.) No votes were taken during the Executive Session. Id. at ¶ 9.
Following the February Meeting, Mr. Bickford sent correspondence to the Committee requesting "a copy of a letter sent to the school committee by its attorney, Dan Kinder, on the topic of a proposed breathalyzer policy considered for Barrington School events," as well as any additional correspondence between the Committee and its attorney regarding the topic. (Joint Statement Ex. J: Bickford Letter dated 2/27/09.) Mr. Bickford also sought a copy of the sealed Executive Session Minutes pursuant to the Rhode Island Access to Public Records Act ("APRA"). Seeid. Mr. Bickford questioned "whether the [Committee] properly convened in executive session under the Rhode Island Open Meetings Act" and indicated his intention to seek the opinion of the Rhode Island Attorney General's Open Government Unit. Id. Specifically, Mr. Bickford was not convinced that the school department was faced with litigation or possible litigation concerning the Breathalyzer proposal allowing such a discussion on the topic to occur outside the reach of the public's ear.Id.
The Committee ultimately denied Mr.
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It is not disputed that the Committee was aware of opinions circulating publicly regarding the proposed policy. During the Committee's January 29, 2009 meeting, Committee Member Oberg specifically suggested that the Committee include "Public Comment Regarding Breathalyzer Testing at the High School" as a future agenda topic to "aid the Committee in a broader based decision regarding [the] issue." (Joint Statement Ex. F: Meeting Minutes for 1/29/09.) Consequently, the Committee set down a public comment period on the Committee's meeting agenda for the February 26, 2009 meeting (the "February Agenda"). (Joint Statement Ex. G: February Agenda.) Specifically, the February Agenda read "Public Comment Re: Breathalyzer Testing" and additionally indicated a planned "Executive Session pursuant to Section
The official February 26, 2009 meeting Minutes (the "February Minutes") indicate that a "lengthy discussion" took place regarding mandatory Breathalyzer testing at high school dances, and that much input was provided by audience members. (Joint Statement Ex. H: February Minutes.) Specifically, the February Minutes stated
"there is no formal proposal at this time and that [the Committee] want[s] to give all due consideration in order to properly handle this issue. . . . More discussion will take place before any decision is made regarding this issue. . . .[M]embers of the audience [are urged] to contact the School Committee or administration with their views." Id. at p. 2.
At the conclusion of the meeting, the Committee unanimously voted to adjourn the regular meeting and to go into Executive Session pursuant to §§
Apart from personnel matters irrelevant to the instant dispute, the Committee maintains that it utilized the Executive Session to discuss an "assessment of the ACLU's threatened legal claims" provided in a draft memorandum prepared by the Committee's attorney, Dan Kinder ("Attorney Kinder"), at the request of the Committee. (Def's. Suppl. Statement of Facts ¶ 3.) The Committee avers that upon receiving a copy of the Letter in December 2008, Superintendent Robert McIntyre discussed the Letter with Defendant Hasenfus, Chairman of the Committee, and that both believed the Letter to constitute a "threat of litigation." (Affidavit of Robert O. McIntyre ("McIntyre Aff.") at ¶ 5.) Based upon this interpretation of the Letter, the Committee consequently sought legal advice from its counsel, and such legal advice was set forth in the draft *Page 5 memorandum considered during the Executive Session. (McIntyre Aff. ¶¶ 5-6.) No votes were taken during the Executive Session. Id. at ¶ 9.
Following the February Meeting, Mr. Bickford sent correspondence to the Committee requesting "a copy of a letter sent to the school committee by its attorney, Dan Kinder, on the topic of a proposed breathalyzer policy considered for Barrington School events," as well as any additional correspondence between the Committee and its attorney regarding the topic. (Joint Statement Ex. J: Bickford Letter dated 2/27/09.) Mr. Bickford also sought a copy of the sealed Executive Session Minutes pursuant to the Rhode Island Access to Public Records Act ("APRA"). Seeid. Mr. Bickford questioned "whether the [Committee] properly convened in executive session under the Rhode Island Open Meetings Act" and indicated his intention to seek the opinion of the Rhode Island Attorney General's Open Government Unit. Id. Specifically, Mr. Bickford was not convinced that the school department was faced with litigation or possible litigation concerning the Breathalyzer proposal allowing such a discussion on the topic to occur outside the reach of the public's ear.Id.
The Committee ultimately denied Mr. Bickford's request, maintaining that Attorney Kinder's memorandum, as well as any other correspondence between the Committee and its counsel, was privileged and otherwise exempt from public disclosure pursuant to G.L. 1956 §§
Subsequent to the Committee's denial, Mr. Bickford filed a complaint with the Rhode Island Attorney General ("Attorney General" or "AG")) pursuant to G.L. 1956 §§
In its decision, the Attorney General first opined that the language of §
With respect to the APRA complaint, the Attorney General determined that the Executive Session Minutes were exempted from public disclosure pursuant to §
On June 18, 2009, a School Committee meeting took place during which the Committee was presented with draft protocol in regard to the use of Breathalyzers at student events. (Joint Statement Ex. W: Meeting Minutes 6/18/09.) The Committee voted to support the submitted Breathalyzer testing policy, contingent upon approval from legal counsel. Id. The updated protocol, which mandated "suspicionless testing" for all students attending certain school events, was formally approved at the August 4, 2009 meeting after further discussion amongst the Committee members, administrators and the audience. (Joint Statement Ex. Y: Meeting Minutes 8/4/09.)
Plaintiffs filed the instant matter on August 14, 2009, 8
challenging the Committee's decision to convene the Executive Session. (Am. Compl. Count I.) Plaintiffs allege that while in Executive Session, the Committee improperly deliberated the proposed Breathalyzer testing policy, erroneously relying on the litigation exception provided under §
On October 29, 2009, the Committee moved to dismiss the Amended Complaint pursuant to Rule 12(b)(6) of the Rhode Island Superior Court Rules of Civil Procedure, or in alternative, for summary judgment pursuant to Rule 56. Plaintiffs filed an objection, as well as a motion for a reasonable opportunity to conduct discovery pursuant to Rule 56(f). This Court heard argument on the Committee's Motion to Dismiss, and ultimately denied the Committee's motion challenging Plaintiffs' standing to maintain the instant action. The Court proceeded to convert the remainder of the Committee's motion to one for summary judgment, stayed discovery, and directed the Parties to file a Joint Statement of Facts. Per the Court's Order, the Parties timely filed such a Joint Statement, as well as supplemental statements of proposed undisputed facts. The Committee re-filed its motion for summary judgment, to which the Plaintiffs filed opposition papers, as well as their own cross-motion for summary judgment. Supplemental reply memoranda by the Parties have also been presented to the Court. After additional oral argument, the Court now rules on the cross-motions for summary judgment submitted by the Committee and the Plaintiffs.
Here, this Court is presented with questions of statutory interpretation, as well as issues concerning the extent of the Committee's compliance with substantive and procedural requirements of the OMA. The analysis with which this Court is faced will be undertaken in the order of the individual Counts within Plaintiffs' Amended Complaint.
As steadfastly as Plaintiffs aver that they are entitled to summary judgment on this Count, so too does the Committee contend here. In support of its own motion for summary judgment on Count I, the Committee maintains that Plaintiffs' claim fails as a matter of law in that the OMA exempts a public body's discussion of litigation or "threatened" litigation in order to facilitate the acquisition of legal advice in a closed forum. The Committee argues that §
In opposing the Committee's motion, Plaintiffs argue that the Committee has presented no evidence indicating that the Letter indeed constituted a "threat" of litigation, and that any resulting discussion concerning the legality of the proposed Breathalyzer policy constituted a policy discussion ripe for public scrutiny. Plaintiffs further assert that whether litigation is "threatened" or "anticipated" does require an objective determination of the reasonableness of such a threat, contrary to the Committee's view. Plaintiffs urge this Court not to embrace the Committee's subjectivity argument for fear of enabling a slippery slope that will effectively erode the public's rights protected under the OMA. Thus, Plaintiffs suggest that genuine issues of material fact exist as to the reasonableness of the Committee's ascertainment of the Letter as threatening litigation.
*Page 14"(a) A public body may hold a meeting closed to the public pursuant to §
42-46-4 for one or more of the following purposes:
* * *
(2) Sessions pertaining to collective bargaining or litigation, or work sessions pertaining to collective bargaining or litigation."
Here, in determining the scope of §
It is well established that "when the language of a statute is clear and unambiguous, [this Court] must interpret the statute literally and must give the words of the statute their plain and ordinary meanings." Liberty Mutual Insurance Co. v. Kaya,
In interpreting a legislative enactment, it is incumbent upon the Court "to determine and effectuate the Legislature's intent and to attribute to the enactment the meaning most consistent with its policies or obvious purposes." Downey v. Carcieri,
Here, Plaintiffs contend the plain meaning of §
As noted above, "[w]hen construing a statute `[the Court's] ultimate goal is to give effect to the purpose of the act as intended by the Legislature.'" Oliveira v. *Page 16 Lombardi,
[t]he explicit purpose of the OMA that "public business be performed in an open and public manner and that the citizens be advised of and aware of the performance of public officials and the deliberations and decisions that go into the making of public policy," §
42-46-1 , clearly demonstrates the Legislature's intent that citizens be given a greater opportunity to become fully informed on issues of public importance so that meaningful participation in the decision-making process may be achieved.880 A.2d at 796 .
This policy clearly "establishes the right of the public to be fully informed about the conduct of government business." B. Mitchell Simpson, The Open Meetings Law: Friend and Foe, 45 Rhode Island Bar Journal 7 (Oct. 1996). Moreover, the articulated public policy of the OMA "itself betokens that two salient First Amendment values — the public's right to know and the accountability of public institutions — are at the core of the Act."Belcher v. Mansi,
Countering this acknowledged policy is the sanctity of the attorney-client relationship and its accompanying privileges. Undeniably, it would be detrimental to a public body to discuss trial strategy and settlement proposals in the presence of a litigating opponent. As noted by the Minnesota Supreme Court, "a basic understanding of the adversary system indicates that certain phases of litigation strategy may be impaired if every discussion [by a public body] is available for the benefit of opposing parties who may have as a purpose a private gain in contravention to the public need. . ." *Page 17 Minneapolis Star Tribune Co. et al v. Housing and RedevelopmentAuthority et al,
In construing the scope of the litigation exception under §
On multiple occasions, the Attorney General has investigated complaints of improper executive sessions purportedly convened pursuant to the OMA's exemption for discussion pertaining to litigation. Specifically, the Attorney General has determined that the OMA permits closed session discussions not only to confer about litigation currently pending, but also where litigation is "threatened", see Wardwell v. Narragansett School Committee, OM 97-15 (July 8, 1997), or "reasonably anticipated [requiring] substantive discussion of strategy. . ." Greig v. Jamestown TownCouncil, OM 97-06 (Mar. 18, 1997). In addition to these findings, the Attorney General has upheld the propriety of closed sessions pertaining to "discussions of imminent litigation and strategy to avoid and/or defend such litigation," see Berube v. Coventry TownCouncil, OM 96-33 (Nov. 13, 1996), andMello v. East Providence School Committee, OM 07-15 (July 20, 2007) ("imminent potential litigation"), as well as sessions closed upon a public body's reasonable belief of a "threat of imminent litigation." Trafford v. Coventry TownCouncil, OM 97-19 (Nov. 7, 1997); see also Cole andBoeniger v. Westerly Town Council, OM 99-18 (Aug. 19, 1999) (public body reasonably anticipated threat of imminent litigation, received frank appraisals from counsel, and discussed strategy);Pallasch v. Town of Tiverton, OM 04-23 (reliance on exception appropriate when public body receives frank appraisals from its attorney related to a litigation or threatened litigation matter).
In extending the scope of the litigation exception to "threatened," "imminent" and "reasonably anticipated" litigation, the Attorney General has reasoned that discussion of legal strategy with counsel often occurs, at least initially, "before a situation has moved into `a court of law,' and in some cases, may make recourse to the courts unnecessary." *Page 19 DelPonte v. Johnston School Committee, OM 06-15 (Feb. 6, 2006). Moreover, the Attorney General has emphasized the importance of examining the "specific facts" of each particular case, and has noted that while "almost any matter could relate to litigation," such is not the test utilized by the Attorney General in investigating potential misuse of the litigation exception. Scituate Democratic Town Committee v. Scituate TownCouncil, OM 08-50 (Nov. 26, 2008) (emphasis in original).10
Importantly, the Attorney General has noted that because virtually any action or decision by a public body or official could result in litigation, the OMA "cannot be read so broadly as to permit closed session discussions any time a public [body] asserts that litigation might ensue." Berube, OM 96-33 (citing Claude v.Collins,
Mindful of the didactical nature of the above-cited advisory opinions, as well as the uncharted status of the issue at hand within our State's jurisprudence, this Court turns to the analyses of other jurisdictions to aid in the determination of our General Assembly's intended scope of the OMA's litigation exception. Admittedly, open meeting laws differ amongst jurisdictions. In some states, there exists no express statutory exception permitting a public body to meet privately with its attorney. The majority of courts in those states have fashioned an exception to their state's open *Page 20
meeting laws to permit private attorney-client consultation on pending legal matters even where the statute itself makes no such express exception.11 In certain state statutory schemes, an exception for prospective or imminent litigation is expressly provided. See e.g.
Both Plaintiffs and the Committee cite to decisions generated in our neighboring state of Massachusetts in support of the Parties' respective contentions as to the scope of the OMA's exemption for discussions pertaining to litigation. Massachusetts has enacted an open meetings law that likewise includes an exemption for litigation. See
Mass. Gen. Laws Ann. ch.
Other courts have also extended statutory and judicially-created litigation exemptions from open meetings requirements to matters involving threatened or anticipated litigation. See e.g. FloydCounty Bd. of Educ. v. Ratliff,
Here, in order to effectuate the legislative intent regarding the OMA, this Court recognizes that the statute should be broadly interpreted and its exemptions strictly construed. 3A Norman J. Singer, Sutherland StatutoryConstruction § 73:10 (6th ed.) (addressing statutes regulating conduct of public affairs). Though mindful of this duty to narrowly construe such exemptions to open meetings requirements, this Court is also cognizant of the significant influence exerted by public policy considerations in the *Page 23 process of judicial statutory interpretation. See 2B Norman J. Singer, Sutherland StatutoryConstruction § 56:1 (7th ed.). Moreover, this Court acknowledges that similar statutes of other states comprise a type of extrinsic aid deserving of interpretive relevance. Seeid. at § 52:1.
Utilizing these well-settled principles of statutory construction, this Court finds that in light of the competing policy considerations here at issue, the language and nature of the OMA, and the judicial interpretation and application of similar exceptions in other jurisdictions, the exemption for discussions pertaining to litigation set forth in §
Naturally, this does not mean that consultations by a public body with an attorney in private may be used as "a device to thwart the liberal implementation of the policy that the decision-making process is to be open and that confidentiality is to be strictly limited." People ex rel. Hopf v. Barger,
On the contrary, the Committee contends that the reasonableness of its characterization of the Letter as a threat of litigation is immaterial to the Court's analysis. Essentially, the Committee maintains that even if its assessment of the Letter was objectively unreasonable, the scope of the Executive Session discussion concerned the Committee's subjectively perceived threat of litigation, thus falling squarely within the litigation exception.
This Court rejects the Committee's contention that the reasonableness of its belief is irrelevant when assessing whether litigation is threatened or imminent for purposes of convening a closed session. Aside from the fact that the Committee offers no authority to support this contention, this Court is troubled by the potential abusive effect that such a determination may enable in light of the purpose of the OMA. Permitting a public body to make solely subjective assessments free from any objective check eviscerates this Court's determination that litigation considered imminent must be "reasonably anticipated" by the public body, and severely increases the risk that the litigation exception will be exploited by public bodies beyond its intended scope. Moreover, such a subjective view may enable a public body to convene executive sessions purely to discuss legal ramifications of a policy.
Other jurisdictions have recognized and addressed these exact concerns. For example, in a New York appellate case where a town's attorney believed that a certain *Page 26
decision involving termination of post-retirement health insurance benefits "would almost certainly lead to litigation," the court held that such a belief did not justify the conducting of this public business in an executive session. Weatherwax v. Town ofStony Point,
However, this Court also recognizes that a public body's substantive and discretionary characterization of a particular matter or communication as posing a "threat of litigation" is entitled to some deference. Municipal bodies, such as zoning boards and school committees, are presumed to have knowledge and expertise as to matters related to the administration of the public body's governing statutes and the facilitation of the public body's obligations and duties. See Pawtucket Transfer Operations, LLC v.City of Pawtucket,
Such principles are embodied in the well-settled standards of review employed by the Rhode Island Superior Court when reviewing contested cases brought forth pursuant to Rhode Island's Administrative Procedures Act ("APA") and Zoning Enabling Act ("ZEA").19 See G.L. 1956 §
Though mindful that allegations that a party violated the OMA are considered by the trial court on a de novo review, this Court finds that a public body's decision to close a meeting based on the subjective determination of threatened or reasonably anticipated litigation is a substantive fact-intensive deduction more analogous to agency and board decisions reviewed by this Court under the APA's and ZEA's deferential standards. Such a fact-based decision, underlying the potential procedural violation, is entitled to deference by a reviewing trial court. Here, the Committee, with assistance of counsel, is presumed to have knowledge and expertise in discerning valid threats of litigation based on the existing factual circumstances. Therefore, this Court will not disturb the determination of the Committee to close the February Meeting based on a perceived *Page 29
threat of litigation if the record contains substantial evidence supporting this decision. As noted above, "substantial evidence" means such relevant evidence that a reasonable mind might accept as adequate to support a conclusion, and denotes an amount more than a scintilla but less than a preponderance. See Pawtucket TransferOperations, LLC,
Here, the Court has considered the evidence before it; namely, the Letter and the Affidavit of Superintendent McIntyre, as well as the Executive Session Minutes, which have been reviewed incamera by this Court. While this Court does not find the Letter alone to constitute relevant evidence that a reasonable mind might accept as adequate to perceive a threat of litigation, the Court does find that the Letter — considered in conjunction with evidence revealed in the Executive Session Minutes — amounts to substantial evidence upon which the reasonableness of the Committee's determination may be supported. This Court is satisfied that the Committee's decision to convene the Executive Session was neither arbitrary, unreasonable, nor characterized by an abuse of discretion. Accordingly, this Court finds the Committee properly convened the February 26, 2009 Executive Session pursuant to the OMA's litigation exception expressed in §
Finding no violation of the OMA based on the allegations set forth in Count I of Plaintiffs' Amended Complaint, this Court grants summary judgment in favor of the Committee as to the propriety of the February 26, 2009 Executive Session. Plaintiffs' motion for summary judgment as to the same is denied accordingly. *Page 30
In its own motion for summary judgment, the Committee maintains that the notice supplied concerning the Executive Session was sufficient to satisfy the pertinent statutory requisites as a matter of law. The Committee argues that because the litigation allegedly threatened by the RIACLU was not yet public, the Committee was entitled to limit its open call to that of "litigation." The Committee seeks summary judgment on Count II in its favor, accordingly.
The OMA requires that "[a]ll public bodies shall give written notice of their regularly scheduled meetings at the beginning of each calendar year," §
The Rhode Island Supreme Court previously construed the language of §
"the requirement that a public body provide supplemental notice, including a `statement specifying the nature of the business to be discussed,' obligates that public body to provide fair notice to the public under the circumstances, or such notice based on the totality of the circumstances as would fairly inform the public of the nature of the business to be discussed or acted upon." Id. at 797.21
In so holding, the Tanner court recognized that such a standard is "somewhat flexible" and declined "to provide specific guidelines or `magic words,' as such an approach accounts for the range and assortment of meetings, votes, and actions covered under the OMA, and the realities of local government, while also safeguarding the public's interest in knowing and observing the workings of its governmental bodies." Id. The Court further noted that "misleading" notice never can comply with the statutory purpose of the OMA. Id. at 798 n. 16. *Page 32
Subsequent to Tanner, the Rhode Island Superior Court had the occasion to apply the holding set forth by our State High Court. In Ohs v. North Kingstown School Committee, the Court considered a plaintiff's allegation that public notice of a School Committee meeting violated §
This Court is mindful that in certain circumstances involving notice of closed sessions convened pursuant to the litigation exception, a specific statement on an agenda identifying the litigation or the litigants would tend to trounce the very confidentiality that the exemption safeguards. This concern was specifically addressed by the Attorney General in Graziano v. RILottery Comm'n, OM 99-06 (Apr. 14, 1999). The Attorney General — whose opinions this Court again emphasizes may not be entitled to deference under Tanner — recognized that the OMA requires a public body to enunciate in its open call a separate statement for each of the matters to be discussed in executive session. The Attorney General further opined that
"[i]f the matter to be discussed is one of public record, such as a pending court case or the well publicized negotiation of a principal or executive *Page 33 director's contract, the public body should cite the name of the case or reference that it will discuss the contract. However, where the matter to be discussed in executive session is not yet public, the public body may limit its open call to the nature of the matter, such as "litigation" or "personnel."
More recently, in Scituate Democratic Town Committee v. ScituateTown Council, OM 08-50 (Nov. 26, 2008), the complainant challenged the adequacy of a Town Council agenda item listing a closed session "pertaining to litigation, strategy, options and substantive legal issues." In its opinion, the Attorney General determined the notice to be adequate because "the matter was not yet public," citing both Tanner and its advisory opinion inGraziano in support of its findings.
Here, the Committee contends that "the matter before the Committee was not yet public because the ACLU had not actually filed its threatened lawsuit." (Def's Mem. p. 20.) However, this Court will not limit the connotation of "public" to solely filed litigation. Here, it is undisputed that the matter at issue — the proposed Breathalyzer policy — had already permeated the public domain prior to the planned Executive Session. In December of 2008, the Chief of Police publicly advocated the policy. Multiple newspapers published articles concerning the controversy throughout January of 2009. The RIACLU issued a press release regarding its Letter and position expressed therein. The record also reflects that certain parents of students had compiled a petition urging the Committee to reject any proposed mandatory Breathalyzer policy. Moreover, the matter was addressed at the January 29, 2009 Committee meeting, after which the Committee set down a public comment period as to the proposed policy for the February Meeting.
Given the totality of the circumstances, this Court finds that the Committee's supplemental notice regarding the February 26, 2009 Executive Session did not fairly *Page 34
inform the public of the nature of the business to be discussed or acted upon in accordance with the standard forth inTanner. The Committee has failed to show how it would have been unfairly disadvantaged by providing the public — who was very well aware of the discord surrounding the proposed policy — with more specific notice, such as "Litigation — Threatened Litigation as to Breathalyzer Policy" or even simply "Litigation — Breathalyzer Policy." Under these circumstances, the Committee fell short of providing the best notice it could give to fairly inform the public of the workings of its government. See Ohs,
The OMA grants prevailing parties the right to recover reasonable attorney's fees and costs, "except where special circumstances would render such an award unjust."See §
Aside from alleged notice violations particular to certain agendas, the Plaintiffs' primary concern involves the Committee's repeated and consistent utilization of the agenda item "Discussion School Committee Policies" without further specification. Plaintiffs describe this language as "boilerplate," "cookie-cutter" and insufficient given the multitude of school department policies that could fall within this topic. (Pls. Mem. p. 27.) Thus, Plaintiffs contend that the Committee's published meeting agendas fail to comply with the notice provisions of the OMA as a matter of law and seek summary judgment in their favor on Count III accordingly. *Page 36
The Committee contends otherwise, maintaining that the published meeting agendas fairly inform the public of the nature of the business to be discussed in conformity with the requirements set forth in the OMA. The Committee urges this Court to adhere to the "flexible" standard set forth in Tanner in considering the totality of the circumstances at hand. Specifically, the Committee points to the range and unpredictability of school department policy discussions, alleged hazards of providing notice that is overly narrow, and practicality arguments, such as the cost of publishing. The Committee asserts that no genuine issues of material fact exist as to whether the published meeting agendas complied with the statutory mandates of the OMA and request that Count III be summarily decided in its favor.
As discussed in the Court's analysis regarding Count II of the Amended Complaint, this Court's inquiry when presented with alleged violations of §
The April 23, 2009 meeting agenda also displays the Committee's disregard of the public's statutorily-protected right to be advised of the workings of its governmental bodies through appropriate notice. Again, this particular agenda lists "Discussion School Committee Policies" as an item under "Old Business." However, the associated Minutes indicate "two School Committee policies being presented for second readings." These two policies — the "Fund Balance Policy" and the "Food Allergies Policy" — were not new topics and had been discussed in the meetings prior. Yet the Committee failed to provide the public with notice of these topics, despite possessing the foresight and ability to effectuate better notice. These agendas fall intolerably short of providing fair notice of the "nature" of the business to be discussed under the circumstances.
Perhaps the most disconcerting violation discerned by this Court occurs in connection with the agenda for the June 18, 2009 meeting, at which the Committee voted to "support" the updated procedure for Breathalyzer testing submitted as a proposal at that very meeting, contingent upon feedback and approval from legal counsel. Absent from this agenda is any indication that the draft Breathalyzer protocol was to be presented and voted upon. While there is nothing in the OMA that requires a public body to identify on its notice that it intends to vote on a particular issue, see §
Though mindful of the flexible standard enunciated inTanner, as well as the range and assortment of meetings, votes, and actions covered under the OMA, this Court is constrained to find that the Committee's notice in the submitted agendas falls outside the extent to which this standard may be stretched. The record clearly indicates that on multiple occasions the Committee had knowledge of topics planned for meetings, yet failed to specify the nature of these topics in its agendas. While the notice provided by the Committee did not rise to the level of "misleading," it undoubtedly failed to provide fair notice given the circumstances. Therefore, this Court finds that the agendas submitted in connection with Count III of the Amended Complaint fail to comply with the statutory notice requirements set forth in §
This Court urges the Committee to avoid further allegations of OMA violations by striving to meet its statutory obligations in furtherance of the purpose and spirit of the Act. *Page 39
(b) If the chief administrative officer determines that the record is not subject to public inspection, the person or entity seeking disclosure may file a complaint with the attorney general. The attorney general shall investigate the complaint and if the attorney general shall determine that the allegations of the complaint are meritorious, he or she may institute proceedings for injunctive or declaratory relief on behalf of the complainant in the superior court of the county where the record is maintained.
(a) Any citizen or entity of the state who is aggrieved as a result of violations of the provisions of this chapter may file a complaint with the attorney general. The attorney general shall investigate the complaint and if the attorney general determines that the allegations of the complaint are meritorious he or she may file a complaint on behalf of the complainant in the superior court against the public body.
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