Smith v. Veterinary Medical Examining Board

27 P.3d 1081, 175 Or. App. 319, 2001 Ore. App. LEXIS 1038
CourtCourt of Appeals of Oregon
DecidedJuly 11, 2001
DocketG60143; A109656
StatusPublished
Cited by4 cases

This text of 27 P.3d 1081 (Smith v. Veterinary Medical Examining Board) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Smith v. Veterinary Medical Examining Board, 27 P.3d 1081, 175 Or. App. 319, 2001 Ore. App. LEXIS 1038 (Or. Ct. App. 2001).

Opinion

*321 EDMONDS, P. J.

Petitioner is a veterinarian who seeks judicial review of an order of the Oregon Veterinary Medical Examining Board (Board). The Board’s order suspended her professional license for one year for professional misconduct under ORS 686.150(1). Petitioner contends, in one of multiple assignments of error, that the Board erred in relying on evidence that was submitted after the record of the hearing was closed, evidence that petitioner did not have an opportunity to rebut. We reverse and remand on that ground.

Petitioner has been a licensed veterinarian since 1981. In the first incident on which the Board based its suspension order, petitioner performed two blood draws on a horse, charged the client for the service, the cost of testing the blood, and shipping costs, and then failed to obtain the results of the tests from the lab or ensure that the client received the results. When confronted by the client, petitioner refunded the portion of the fee that represented the actual lab work but did not refund the portion that represented her labor and her shipping costs. The Board determined that her conduct constituted “charging for services not rendered,” which is a violation of OAR 875-010-0060(11). Petitioner defended on the ground that she had performed the blood draws and mailed the blood, albeit to the wrong address, and that she therefore provided all of the services for which she charged.

In the second incident that formed the basis for the Board’s order, petitioner administered an injection of vitamin E and selenium to a horse without having the drug epinephrine available to counter any possible adverse reaction. The horse died of shock from an allergic reaction to the injection, which might have been prevented had petitioner quickly administered epinephrine. The agency asserted that the failure to have epinephrine available during the injection constituted gross negligence. Petitioner defended on the grounds that she had administered an injection of corticosteroid, which is listed in the manufacturer’s instructions as a drug that might also have counteracted the reaction, that she had believed the client had epinephrine available and that her conduct did not constitute gross negligence.

*322 Based on allegations of the above conduct, the Board initially issued a notice of proposed suspension of petitioner’s license. Petitioner requested a hearing, which was held on December 18,1998. At that hearing, petitioner and the Board presented testimony and exhibits. Petitioner’s credibility became a pivotal issue. Petitioner and the client whose horse had died disagreed on several factual assertions made by petitioner. Shelly Brown, a neighbor of the client, had allegedly witnessed several events about which petitioner and the client disagreed. Petitioner wanted to call Brown as a witness. The hearing officer attempted to call Brown to procure her testimony telephonically, but Brown did not answer her phone despite repeated calls. The Board also contemplated calling a rebuttal witness on a different matter but decided to submit that testimony by affidavit instead. At the close of the hearing, knowing that there was to be at least one additional affidavit submitted by the Board, the hearing officer set a deadline of December 28 for receipt of all additional evidence. She emphasized to the parties that all additional evidence had to be received by December 28 to be included in the record, that the parties could file objections or comments on any of that additional evidence until January 4, 1999, and that closing arguments were due by January 22,1999. 1

On December 23, 1998, the Board received a letter from Brown, stating that she deliberately did not testify at the hearing because she was unsure as to the truth of one of petitioner’s assertions. She also mentioned in her letter that petitioner had contacted her and repeatedly urged her to testify favorably to petitioner about that fact, despite her lack of certainty. The Board submitted the letter to the hearing officer on January 4,1999, and also mailed a copy to petitioner. The record does not indicate that the hearing officer reopened the record to include the letter or in any way considered the letter.

*323 Petitioner submitted her closing argument on January 19,1999. The Board asked for and received an extension of time for its closing arguments, which it filed on January 28. In March 1999, the Board moved to have the record reopened so that an additional allegation against petitioner could be made a part of the same disciplinary action. In August 1999, the Board withdrew its request to add the other allegation and requested that the record be reclosed. In September 1999, the hearing officer issued a proposed order in favor of petitioner. In November 1999, the Board asked that the proposed order be withdrawn on the ground that the tapes of the hearing could not be transcribed 2 and stated that it would schedule a new hearing. The hearing officer declined to withdraw the proposed order. Apparently after reviewing the transcripts de novo, the Board then issued a final order concluding that petitioner was guilty of professional misconduct. The Board’s order recites that it considered the Brown letter, and it expressly found petitioner not credible based in part on the contents of the letter. Based on. its findings and conclusions, the Board suspended petitioner’s license.

Petitioner argues that the Board’s consideration of the letter was improper because the hearing record was closed before the letter was submitted and because the record was never reopened for its admission. The Board responds that “[ajlthough the hearing officer set December 28,1998, as the initial deadline for the submission of additional evidence, the record did not close on that day.” Alternatively, it contends that there are no administrative rules in place that regulate the receipt of evidence after the date a hearing has closed and that the test should be whether admission of the evidence was fair and whether petitioner had an opportunity to respond to the letter. It asserts that petitioner could have responded to the letter in her closing argument or could have moved to reopen the record to submit rebuttal evidence.

ORS 686.135 provides that, “[w]hen the Oregon State Veterinary Medical Examining Board proposes to * * * discipline any permit or license holder in accordance with the provisions of ORS 686.150, opportunity for hearing shall be *324 accorded as provided in ORS 183.310 to 183.550.” 3 ORS 183.450 provides, in part:

“(1) * * * Objections to evidentiary offers may be made and shall be noted in the record.

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Cite This Page — Counsel Stack

Bluebook (online)
27 P.3d 1081, 175 Or. App. 319, 2001 Ore. App. LEXIS 1038, Counsel Stack Legal Research, https://law.counselstack.com/opinion/smith-v-veterinary-medical-examining-board-orctapp-2001.