OPINION
EASTAUGH, Justice.
I.
INTRODUCTION
Andrea Meyer filed a discrimination complaint with the Alaska State Commission for Human Rights (Commission) against her employer, the Alaska Department of Fish and Game (ADF & G). We hold that the Commission’s order closing Andrea Meyer’s case is judicially reviewable. We further hold that Meyer’s claim of discrimination is supported by substantial evidence.
II.
FACTS AND PROCEEDINGS
Andrea Meyer began working for ADF & G in 1977 as a seasonal field researcher for the Russian River Sockeye Salmon Fishery. Her job title was Fisheries Biologist I (FBI). Meyer had substantial previous experience as a biologist as well as a B.A. in biology. During her employment with ADF & G, Meyer’s primary duty was the creel census. She also computed fisheries data, operated the weir at Lower Russian Lake, assisted in the production of area surveys, conducted salmon spawning escapement counts, enforced Fish and Game regulations, and conducted group tours in which she explained the fishery and the wildlife of the area.
In March 1987 Meyer filed a discrimination complaint against ADF & G with the Alaska State Commission for Human Rights.
The complaint alleged four specific instances which caused Meyer to believe her employer had discriminated against her on the basis of gender and also asserted that no women employed in the Sport Fish Division for Region II held the position of Fish Biologist II (FBII) or higher.
In March 1989 the Commission’s executive director issued a closing order, finding that Meyer’s allegations were not supported by substantial evidence and dismissing the ease. Meyer requested reconsideration of the closing order. The Commission’s chairperson, Katie Hurley, ordered the case reopened for further investigation because she believed that the investigation was insufficient to conclude that ADF & G had provided legitimate nondiscriminatory reasons for denying Meyer employment extensions or job assignments. In March 1991, after further investigation and review by the Commission staff, the executive director again closed the file on Meyer’s complaint, summarizing the additional investigation as follows:
[T]he additional investigation conducted by Commission staff determined that respondent’s defense to complainant’s prima facie case is legitimate and nondiscriminatory and that complainant has failed to rebut respondent’s legitimate nondiserimi-natory reason. Therefore, I find that complainant’s allegations are not supported by substantial evidence.
Meyer again asked for reconsideration; Commissioner Esther A. Wunnicke denied her request in an order which contained an entry which read as follows:
A person dissatisfied with a Commission Order dismissing the complaint may obtain judicial review by Superior Court in accordance with AS 44.62.560-44.62.570. An aggrieved person must file an appeal with the Superior Court within 30 days of the issuance of the Order of the Commission.
Meyer appealed the closing order to superior court. ADF & G argued that judicial review of a ease-closing order is not available and that even if available, the Commission did not abuse its discretion by finding that Meyer’s complaint was not supported by substantial evidence. The superior court determined that such orders are appealable to the superior court and that the Commission abused its discretion in ruling that Meyer did not produce substantial evidence of “pretext/discrimination.” It consequently reversed the Commission’s decision and remanded “for
further proceedings under AS 18.80.110 and, if appropriate, 18.80.120.” We granted ADF & G’s petition for review under Alaska Rule of Appellate Procedure 402.
III.
DISCUSSION
The Alaska Civil Rights Act permits a person aggrieved by discriminatory conduct to file a complaint with the Alaska State Commission for Human Rights. AS 18.80.100. The executive director or a staff member must then informally investigate the complaint to determine whether the allegations of the complaint are supported by substantial evidence. AS 18.80.110. If the investigator determines that the allegations are supported by substantial evidence, “the investigator shall immediately try to eliminate the discrimination complained of, by conference, conciliation, and persuasion.”
Id.
By implication, if the investigator determines that the allegations of the complaint are not supported by substantial evidence, the complaint is dismissed. If the investigator determines that substantial evidence does exist and informal efforts to eliminate the discrimination do not succeed, a hearing before the Commission is required. AS 18.80.120. At the conclusion of the hearing, the Commission is required to enter an order. AS 18.80.130. The order is reviewable in court in accordance with Alaska’s Administrative Procedure Act. AS 18.80.135(a).
ADF & G and the Commission argue that the superior court’s decision should be reversed because (1) the decision to close Meyer’s case for lack of substantial evidence is not reviewable, and (2) if the decision is reviewable, it should be reviewed under the abuse of discretion standard and should be affirmed because there was no abuse of discretion. Meyer argues that the superior court’s opinion should be affirmed in all respects.
A.
Reviewability of Case-Closing Decisions by Commission Staff or Executive Director
ADF & G and the Commission argue that decision of the Commission staff or executive director is not reviewable because the decision (1) is not an “order” under AS 18.80.135, (2) does not constitute final agency action, and (3) is an enforcement decision committed to the Commission’s discretion and thus presumptively unreviewable. Each of these arguments fails.
1.
The decision as an “order” under AS 18.80.1S5
The State and Commission first argue that a decision issued before a public hearing is not an “order” under AS 18.80.135
and is thus not subject to judicial review. The State and Commission cite
Hotel & Restaurant Union Local 878 v. Alaska State Comm’n for Human Rights,
595 P.2d 653 (Alaska 1979), in support.
Alaska Statute 18.80.135(a) expressly permits judicial review of “an order of the commission....” Given the structure of the chapter, and the sequence apparently contemplated by AS 18.80.120, .130, and .135, it seems likely that § 135 deals only with review of orders issued by the Commission itself at the conclusion of hearings conducted by the Commission pursuant to § 130. Accordingly, § 135 is not concerned with review of some action by the executive director which is not an “order” as that term is used in Chapter 80. In
Hotel and Restaurant
Union Local 878,
595 P.2d at 654-55, we discussed the sequence of events contemplated by §§ 120 and 130. That discussion supports a conclusion that § 135 does not authorize review of a decision of the sort that closed Meyer’s case.
Assuming § 135 deals only with review of post-hearing Commission orders, it does not follow that § 135 affirmatively bars judicial review of the order closing Meyer’s case. Moreover, all final administrative actions are presumed to be reviewable. This presumption controls unless it is rebutted by an affirmative indication of legislative intent that there be no reviewability.
Johns v. CFEC,
699 P.2d 334, 339 (Alaska 1985);
Sisters of Providence v. Department of Health & Soc. Servs.,
648 P.2d 970, 976 (Alaska 1982);
Alyeska Ski Corp. v. Holdsworth,
426 P.2d 1006, 1011 n. 16 (Alaska 1967). Section 135(a) does not express an affirmative legislative intention that file-closing decisions of the executive director or her staff be judicially unreviewable. We consequently apply the presumption of reviewability, and hold that such decisions are reviewable if they have the requisite finality.
We also reject any suggestion that a decision’s reviewability turns on whether it is labeled an “order.” As AS 44.62.560(e) confirms, the legislature imposed no such prerequisite for judicial review if agency action is “unlawfully withheld or unreasonably withheld.”
Rather, as discussed
infra,
the determinative question in deciding whether the decision is reviewable is whether it ended the case at the agency level and thus constituted final agency action.
We also note that when Meyer last sought reconsideration of the executive director’s file-closing order, the order of the Commissioner denying reconsideration informed Meyer that “[a] person dissatisfied with a Commission Order dismissing the complaint may obtain judicial review by Superior Court in accordance with AS 44.62.560-44.62.570.” It appears the Commissioner then considered that Meyer’s order would be judicially reviewable.
2.
The case-closing order as final agency action
In deciding whether a superior court order possessed the finality essential for appellate review, this court observed that, “[t]he term finality is subject to several definitions.”
Mukluk Freight Lines, Inc. v. Nabors Alaska Drilling, Inc.,
516 P.2d 408, 411 (Alaska 1973).
The test in Alaska for determining whether a judgment is final is “essentially a practical one.”
Matanuska Maid, Inc. v. State,
620 P.2d 182, 184 (Alaska 1980). As the United States Supreme Court recently noted, “[t]he core question [in determining when an agency action is final] is whether the agency has completed its decisionmaking process, and whether the result of that process is one that will directly affect the parties.”
Franklin v. Massachusetts,
505 U.S. 788, 797, 112 S.Ct. 2767, 2773, 120 L.Ed.2d 636 (1992).
Contrary to ADF & G’s assertions,
Ostman v. State Commercial Fisheries Entry Comm’n,
678 P.2d 1323 (Alaska 1984), does not stand for the proposition that Meyer’s ability to file a separate superior court discrimination claim renders the case-closing decision unreviewable.
ADF & G notes that we stated in
Ostman
that a final agency determination “must be one which disposes of the entire case ... [or] one which ends the litigation on the merits and leaves nothing for the court to do but execute the judgment.” 678 P.2d at 1327 (quoting
Greater Anchorage Area Borough v. City of Anchor
age,
504 P.2d 1027, 1030-31 (Alaska 1972)). However, our quoted statement discusses the finality of a
trial court
decision. 504 P.2d at 1030-31.
See also Mukluk Freight Lines,
516 P.2d at 411. An
agency
determination need not be “one which ends the litigation on the merits and leaves nothing for the court to do but execute the judgment” in order to be ripe for judicial review. Thus, we held in
Ostman
that agency rejection of a fishing permit application constitutes a final order which is reviewable in superior court where there is no more time to submit evidence or alter the decision through administrative means. 678 P.2d at 1326-28. Our holding in
Ostman
is contrary to ADF & G’s argument.
Case law from other jurisdictions is conflicting. New York, New Jersey and Iowa have held that Human/Civil Rights Commission dismissals based on no probable cause are judicially reviewable.
See State Div. of Human Rights v. Blanchette,
73 A.D.2d 820, 423 N.Y.S.2d 745 (1979) (reviewing a Division finding of no probable cause under substantial evidence test);
Sprague v. Glassboro State College,
161 N.J.Super. 218, 391 A.2d 558, 561 (App.Div.1978) (holding that the Division on Civil Rights did not abuse its discretion in finding no probable cause of discrimination and that the Fourteenth Amendment does not require a hearing before finding “no probable cause”);
Oliver v. Teleprompter Corporation,
299 N.W.2d 683, 686-87 (Iowa 1980) (holding that a finding of no probable cause is a “final decision” and that the complainant was not limited to a thirty-day period in which to file a petition for judicial review of no probable cause finding).
In
Simpson v. District of Columbia Office of Human Rights,
597 A.2d 392 (D.C.1991), the court held that a determination by the Office of Human Rights that there was no probable cause to believe that the Human Rights Act had been violated was a final agency action subject to judicial review.
Id.
at 397-99. As ADF & G points out, the District of Columbia court appeared to base its decision in part on the fact that the applicable statute did not authorize a human rights complainant to bring suit on her own behalf if the agency declines or fails to do so for lack of probable cause. 597 A.2d at 398. However, the District of Columbia has since indicated that this distinction is not pertinent. In
Timus v. District of Columbia Dep’t of Human Rights,
633 A.2d 751 (D.C.1993), the court held that an administrative convenience dismissal (which occurs under District of Columbia law after a finding of probable cause but before a hearing) was subject to judicial review even though the complainant had the right to a trial
de novo
in superior court.
Id.
at 761. Thus, although the court in
Simpson
had indicated that reviewability of an administrative convenience dismissal might depend on whether the complainant had the right to a
de novo
trial, 597 A.2d at 398,
Timus
indicates that judicial review is available in both instances. 633 A.2d at 769 (Ferren, J., concurring).
In
Demetry v. Colorado Civil Rights Comm’n,
752 P.2d 1070 (Colo.App.1988), the court held that a decision of the Colorado Civil Rights Commission upholding the dismissal of a claim, based on a finding that no probable cause existed to sustain a claim of discrimination on basis of handicap, did not constitute final agency action and was therefore not subject to judicial review.
Id.
at 1072. The court cited federal cases involving claims brought before the Equal Employment Opportunity Commission (EEOC).
Id.
at 1071. The court found the reasoning of
those cases — that an EEOC investigation is merely preparatory to further proceedings— persuasive because the complainant can bring a private cause of action in federal court if the EEOC finds no probable cause.
Id
at 1072.
ADF & G also cites EEOC cases for the proposition that the proper response to an agency’s determination of no probable cause at the agency level is filing a
de novo
claim in district court rather than seeking review of the agency’s adverse determination. The EEOC cases note that Title VII provides no express or implied cause of action against the EEOC to challenge its investigation and processing of a charge,
McCottrell v. EEOC,
726 F.2d 360, 361 (7th Cir.1984), and that the federal Administrative Procedure Act (APA) provides no right to judicial review of an adverse EEOC determination,
Stewart v. EEOC,
611 F.2d 679, 683-84 (7th Cir.1979).
Alaska law is similar to federal law in giving the complainant the right to file an original action in superior court. See
supra,
note 4. However, Alaska’s statutory anti-discrimination scheme materially differs from the federal scheme. First, Alaska’s anti-discrimination statute gives the Commission a more aggressive mandate than that held by the EEOC. “Clearly the legislature intended the Commission to be more than a simple complaint-taking bureau; the statutory scheme constitutes a mandate to the agency to seek out and eradicate discrimination in employment....”
Hotel, Motel, Restaurant, Constr. Camp Employees & Bartenders Union Local 879 v. Thomas,
551 P.2d 942, 945 (Alaska 1976). Therefore, the limited role of the federal EEOC is of dubious assistance in ascertaining the scope of powers conferred by the Alaska legislature on the Alaska Commission for Human Rights:
A cursory comparison reveals that the anti-discrimination legislation enacted in Alaska is not substantially similar to comparable federal laws.... Congress limited the adjudicatory and coercive enforcement of the EEOC powers in favor of reliance on private citizen action....
Id.
at 945.
Second, under Alaska law a hearing is mandatory when the Commission’s executive director or designated investigator determines that substantial evidence supports a complainant’s allegations and informal efforts to eliminate discrimination fail. AS 18.80.120. In comparison, under federal law the EEOC is only required to use informal methods such as private conference, conciliation and persuasion, and “may” bring a civil action if these efforts fail. 42 U.S.C. § 2000e-5(b), (f).
Finally, Alaska’s APA potentially provides for more expansive judicial review than the federal APA. AS 44.62.560(e).
See
note 5,
supra.
Because the case-closing order was the final action taken by the agency and because the Alaska legislature intended to allow the courts to determine whether an agency’s withholding of action is unreasonable or unlawful, the decision of the Commission staff or executive director in this case is ripe for judicial review. AS 44.62.560(e).
3.
The determination as an enforcement decision committed to agency discretion
Citing
Heckler v. Chaney,
470 US. 821, 105 S.Ct. 1649, 84 L.Ed.2d 714 (1985), and
Vick v. Board of Electrical Examiners,
626 P.2d 90 (Alaska 1981), ADF & G and the Commission argue that the agency’s determination that Meyer’s case is not supported by substantial evidence is presumptively unre-viewable because that determination is an exercise of prosecutorial discretion. This presumption was first articulated by the Supreme Court in
Heckler,
where the Court reasoned that even where the legislature has expressed no intent to preclude review, review is not available under the federal APA if the statute “is drawn so that a court would have no meaningful standard against which to judge the agency’s exercise of discretion.” 470 U.S. at 831, 105 S.Ct. at 1655. According to the Court, this presumption helps avoid the problem of how to apply an “abuse of discretion” standard when there are “no judicially manageable standards available for judging how and when an agency should exercise its discretion.”
Id. We
reject the argument of ADF & G and the Commission
that the presumption of unreviewability applies here.
In
Vick
the question was whether a board decision not to process an accusation against a licensee was subject to judicial review. We stated concerning this issue: “Questions of law and fact, of policy, of practicality, and of the allocation of an agency’s resources all come into play in making such a decision. The weighing of these elements is the very essence of what is meant when one speaks of an agency exercising its discretion.” 626 P.2d at 93. We further stated that “[wjhen a matter falls within an area traditionally recognized as within an agency’s discretionary power, courts are less inclined to intrude than when the agency has acted in a novel or questionable fashion.”
Id.
Unlike
Vick
or
Heckler,
Meyer’s ease does not involve the exercise of prosecutorial discretion at all. The statute here provides that if the executive director or designated staff member conducting the investigation finds substantial evidence of discrimination, the investigator “shall ... try to eliminate the discrimination complained of by conference, conciliation, and persuasion.” AS 18.80.110. If the problem is not eliminated informally, the Commission “shall” conduct a hearing and issue an order at the completion of the hearing. AS 18.80.120, .130(a). Thus, the statute grants no discretion to discontinue the process once the investigator finds substantial evidence of discrimination, unlike the statutes at issue in
Vick
and Heckler,
This case is instead closely akin to
Dunlop v. Bachowski,
421 U.S. 560, 95 S.Ct. 1851, 44 L.Ed.2d 377 (1975), which the Supreme Court reaffirmed in
Heckler.
The statute at issue in
Dunlop
provided:
The Secretary [of Labor] shall investigate such complaint [by a union member] and, if he finds probable cause to believe that a violation ... has occurred, ... he shall ... bring a civil action....
421 U.S. at 563 n. 2, 95 S.Ct. at 1855 n. 2. After investigating the complainant’s claims, the Secretary of Labor declined to file suit and the complainant sought judicial review under the APA. The Supreme Court held that review was available and that the Secretary’s decision not to file suit was
not
“an unreviewable exercise of prosecutorial discretion.”
Id.
at 567 n. 7, 95 S.Ct. at 1858 n. 7. The
Heckler
Court stated that in
Dunlop,
“[t]he statute being administered quite clearly withdrew discretion from the agency and provided guidelines for exercise of its enforcement power.” 470 U.S. at 834, 105 S.Ct. at 1657. The
Heckler
Court thus found
Dun-lop
“consistent with a general presumption of unreviewability of decisions not to enforce.”
Id.
In
Simpson v. District of Columbia Office of Human Rights,
597 A.2d 392 (D.C.1991), the court held that prosecutorial discretion was not an obstacle to review:
In the present ease, however, OHR was not purporting to exercise “prosecutorial discretion,” nor did it reject Ms. Simpson’s complaint on the ground that it lacked resources for enforcement. Rather, OHR found that there was no probable cause to believe that the Human Rights Act had been violated. Whether right or wrong, that determination was not one of the kind to which the doctrine embraced by the District can reasonably be applied. We conclude the OHR’s determination is subject to judicial review.
Id.
at 398-99. As Meyer correctly argues, the statute now before us provides no reason to dismiss a case other than a lack of substantial evidence.
ADF & G and the Commission argue that the Commission staff and executive director have wide discretion to determine whether an allegation of discrimination is supported by substantial evidence. ADF & G makes the following argument:
Whether a violation has occurred, whether the Commission’s resources are best spent on one violation or another, whether the Commission is likely to succeed if it acts, whether the particular enforcement action requested best fits the Commission’s overall policies, and whether the Commission has enough resources to undertake the action at all are issues that the Commission, and not the courts, should decide.
The Commission also argues that these “discretionary issues” are “policy reasons” why this court should find the decision of the Commission staff or executive director to be unreviewable:
The Commission must have discretion to decide whether to prosecute. The Commission has an important policy interest in the results of each of its investigations because of its role in developing the body of civil rights law in Alaska and because of its statutory obligation to enforce Alaska’s civil rights laws. The Commission must employ its limited resources in the most effective manner possible in order to meet these obligations.
The Commission further argues that it will become nothing more than a “complaint taking agency” if it cannot exercise prosecutorial discretion in deciding whether a claim is supported by substantial evidence.
These arguments strongly support judicial review of staff or executive director determinations that there is no substantial evidence. These passages indicate, as the Commission confirmed during oral argument, that the staff or executive director, contrary to statutory mandate, is closing cases not for lack of evidence of discrimination but to control budget and docket. We are sympathetic to the Commission’s claim of lack of resources. We recognize that it might be highly desirable for the Commission staff to have the power to administratively dismiss eases which have individual merit but no widespread impact. However, if the Commission wants its staff to have this discretionary authority, it must be obtained from the legislature, not the judiciary. We cannot import these social, political, and economic concerns into the clear scheme of the existing statute.
An opportunity for judicial review is also necessary because the federal EEOC may, and in some circumstances must, accord substantial weight to findings made by state authorities. 42 U.S.C. § 2000e-5(b);
Kremer v. Chemical Constr. Corp.,
456 U.S. 461, 470 n. 8, 474-75, 102 S.Ct. 1883, 1892 n. 8, 1893-94, 72 L.Ed.2d 262 (1982);
Cottrell v. Newspaper Agency Corp.,
590 F.2d 836, 838 (10th Cir.1979).
Furthermore, such findings may affect workers’ perceptions of potential employers and vice versa.
Finally, as noted above, Alaska’s anti-discrimination statutory scheme is a mandate to seek out and eradicate discrimination in employment, and did not simply create a complaint-taking agency.
Hotel, Motel, Restaurant, Constr. Camp Employees & Bartenders Union Local 879 v. Thomas,
551 P.2d 942, 945 (Alaska 1976). A human rights complainant in Alaska has the statutory right to expect that his or her claim will be decided on the merits, not pre-determined by budgetary constraints.
B.
The Finding of No Substantial Evidence
Under Alaska and federal law, a court generally applies a three-part test in determining whether discriminatory treatment has occurred.
Texas Dep’t of Community Affairs v. Burdine,
450 U.S. 248, 253-56, 101 S.Ct. 1089, 1093-95, 67 L.Ed.2d 207 (1981);
Thomas v. Anchorage Telephone Utility,
741 P.2d 618, 622 (Alaska 1987). In the first stage, the employee claiming discrimination must introduce evidence raising an inference of employer discriminatory intent.
Once the employee has established
this prima facie case of disparate treatment, the burden rests with the employer to articulate a legitimate, non-diseriminatory reason, supported by evidence, for the treatment.
Burdine,
450 U.S. at 254-55, 101 S.Ct. at 1094;
Thomas,
741 P.2d at 623-24. If the employer establishes a legitimate reason for its actions, the burden shifts back to the employee to persuade the court that discriminatory reasons more likely motivated the employer. Usually the employee satisfies this burden by showing that the employer’s explanation is pretextual.
Burdine,
450 U.S. at 256, 101 S.Ct. at 1095;
Thomas,
741 P.2d at 622.
In determining that there was no substantial evidence at the investigative stage, the Commission staff and executive director applied the three-part
Burdine/Thomas
test, concluding that ADF & G had rebutted Meyer’s prima facie case of discrimination and that Meyer had failed to show that ADF & G’s proffered reasons were pretextual. In the first case-closing decision, the Commission’s investigator stated:
According to the principles of discrimination law, complainant must first establish a
prima facie
ease, that is, a set of facts which raises an inference of sex discrimination, before respondent can be required to justify its actions.... Evidence showed that complainant has established a
prima facie
case_ Once complainant has established a prima facie case, the burden shifts to respondent to provide a legitimate non-diseriminatory reason for denying complainant the employment extensions.
The investigator concluded:
I therefore determine that ... respondent’s defenses to complainant’s
prima fa-cie
case are legitimate and nondiserimina-tory and that complainant has failed to rebut respondent’s legitimate nondiscriminatory reasons.
The decision upon reconsideration affirmed this determination.
It was an error of law for the staff or executive director to resolve at the investigative stage the legitimacy of ADF & G’s non-discriminatory reasons and Meyer’s success in rebutting those reasons. By offering objective evidence of facts which established a prima facie case of discrimination and which raised a genuine dispute about ADF & G’s explanation of its decisions, Meyer established substantial evidence of discrimination under AS 18.80.110 sufficient to warrant a hearing under AS 18.80.120.
Although
ADF & G asserted non-discriminatory reasons for offering job extensions and increased responsibility to male employees rather than Meyer, the ADF & G evidence discussed by the Commission staff was insufficient to demonstrate that Meyer’s claims were completely lacking in merit, or that a fact finder would be compelled to find for ADF & G.
Consequently, the staff and executive director could not determine whether discrimination had occurred without resolving the factual disputes between the two parties. These disputes could not be resolved without a hearing.
The burden required to compel a hearing is less than the burden required to prevail on the merits at the hearing’s conclusion. This distinction is appropriate because of the structural differences between the unilateral investigation conducted by Commission investigators and formal adversarial proceedings before the full Commission. Unlike an adversarial proceeding in which a party has the opportunity to rebut the other’s proffered evidence, an investigation by an administrative agency “represents a unilateral inquiry into the facts which are in the possession of the employee and the employer.” 10 Marlin M. Volz et ah,
West’s Federal Practice Manual
§ 15,919, at 488 (2d ed. 1970). Thus, at the investigative stage, neither party may conduct discovery. 6 Alaska Administrative Code 30.320(c) (1995). Without access to discovery, in many cases it would be difficult or impossible for a complainant to prove that an employer’s proffered reasons are pretextual. Consequently, a staff or executive director finding of no substantial evidence cannot be based on the fact that a complainant “failed” to meet the three-part
Burdine/Thomas
test at the investigative stage. Nor should the staff or executive director attempt to determine at the investigative stage whether the non-discriminatory reasons proffered by the employer are legitimate. The Commission cannot adequately resolve factual disputes if the parties have not been given the opportunity to conduct discovery or cross-examine opposing witnesses.
Other courts have generally not examined what showing must be made to warrant a hearing under similar anti-discrimination statutory programs. However, another jurisdiction which has considered this issue has reached a similar conclusion. New Jersey has defined probable cause (the functional equivalent of “substantial evidence” as that phrase is used in AS 18.80.110) as a “reasonable ground of suspicion supported by facts and circumstances strong enough in themselves to warrant a cautious [person] in the belief that the law is being violated.”
Sprague v. Glassboro State College,
161 N.J.Super. 218, 391 A.2d 558, 561 (1978) (quoting
People v. Marshall,
13 N.Y.2d 28, 241 N.Y.S.2d 417, 420, 191 N.E.2d 798, 801 (1963)). In expounding on this definition, another court subsequently stated:
Much the same way as in the administration of criminal justice and probable cause for Fourth Amendment purposes, a proceeding to determine the existence of probable cause [in the discrimination context] is not an adjudication on the merits. Rather, it is an initial threshold procedure to determine whether the matter should be brought to a halt or proceed to the next step on the road to an adjudication on the merits. The quantum of evidence required to establish probable cause is less than that required by a complainant in order to prevail on the merits....
When deciding probable cause, the Director was not per
mitted to resolve disputed facts. The Director was not concerned with whether the information collected during the investigation was true or false-only whether it was reasonable to accept it as true and if so whether it justified consideration on the merits.
A common sense, practical and nontechnical standard is required for the probable cause determination.
Frank v. Ivy Club,
228 N.J.Super. 40, 548 A.2d 1142, 1150 (App.Div.1988) (citations omitted) (emphasis added),
rev’d on other grounds,
120 N.J. 73, 576 A.2d 241 (1990),
cert. denied,
498 U.S. 1073, 111 S.Ct. 799, 112 L.Ed.2d 860 (1991).
See also New York State Div. for Youth v. State Human Rights Appeal Bd.,
83 A.D.2d 972, 442 N.Y.S.2d 813, 814 (1981) (where there is no full investigation with opportunity for confrontation, the complaint must lack merit as a matter of law in order for division to dismiss complaint).
As noted above, the Commission staff determined that Meyer established a prima facie case of discrimination. This determination was correct. ADF & G does not claim that it was error to determine that Meyer established a prima facie ease of discrimination. Instead ADF & G argues that substantial evidence under AS 44.62.570 supported the decision to close Meyer’s case and that the superior court erred in reweighing the evidence considered by the staff and director. The deferential standard of review on which ADF & G relies has no bearing in this case, because the staff and executive director incorrectly applied the
Bur-dine/Thomas
test at the investigative stage and the Commission never conducted the hearing mandated by statute. This error was one of law, to which we apply our independent judgment.
See supra,
note 3.
IV.
CONCLUSION
The decision to close Meyer’s case is judicially renewable. We AFFIRM the superior court’s decision and REMAND to the superi- or court for the purpose of remanding this case to the Commission with directions to proceed with Meyer’s complaint in aceor-dance with AS 18.80.110-120.