TAYLOR v. THE SOUTHEASTERN PENNSYLVANIA TRANSPORTATION AUTHORITY (SEPTA)

CourtDistrict Court, E.D. Pennsylvania
DecidedJune 27, 2024
Docket2:23-cv-02140
StatusUnknown

This text of TAYLOR v. THE SOUTHEASTERN PENNSYLVANIA TRANSPORTATION AUTHORITY (SEPTA) (TAYLOR v. THE SOUTHEASTERN PENNSYLVANIA TRANSPORTATION AUTHORITY (SEPTA)) is published on Counsel Stack Legal Research, covering District Court, E.D. Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
TAYLOR v. THE SOUTHEASTERN PENNSYLVANIA TRANSPORTATION AUTHORITY (SEPTA), (E.D. Pa. 2024).

Opinion

IN THE UNITED STATES DISTRICT COURT FOR THE EASTERN DISTRICT OF PENNSYLVANIA JEREMI TAYLOR, CIVIL ACTION Plaintiff, NO. 23-2140-KSM v. THE SOUTHEASTERN PENNSYLVANIA TRANSPORTATION AUTHORITY (SEPTA), Defendant. MEMORANDUM MARSTON, J. June 27, 2024 Plaintiff Jeremi Taylor is a practicing Muslim who works as a construction equipment operator for Defendant Southeastern Pennsylvania Transportation Authority (“SEPTA”). In this lawsuit, he contends that SEPTA violated his First Amendment rights and various state and federal discrimination statutes when it insisted that he drink water during Ramadan so that he could provide a urine sample for mandatory drug testing. (Doc. No. 5.) To support his claims, Taylor intends to use the expert testimony of Thomas C. Econome as evidence that under the applicable federal regulations, SEPTA had discretion to reschedule Taylor’s drug test or, at minimum, to avoid marking Taylor as having “refused” to take the test when he was unable to produce a sufficient urine sample. (See Doc. No. 26-1 (Econome’s expert report).) SEPTA has

moved to strike Econome’s expert testimony as providing impermissible legal opinions, or in the alternative, as inadmissible under the standard outlined in Federal Rule of Evidence 702 and Daubert v. Merrell Dow Pharmaceuticals, Inc. (See Doc. No. 25.) For the reasons discussed below, SEPTA’s motion is granted in part and denied in part. I. BACKGROUND The facts underlying this case are set out more fully in the contemporaneously filed Memorandum ruling on the parties’ cross-motions for summary judgment. Because the Court writes primarily for the parties, we do not repeat those facts at length in this Memorandum, and instead, include only a brief overview of the drug testing framework, Taylor’s claims, and the

contents of Econome’s expert report and deposition. A. Regulatory Drug Testing Requirements As a public transportation service provider and recipient of federal funding, SEPTA must comply with the safety regulations issued by the DOT’s Federal Transit Administration. See 49 C.F.R. §§ 40.1, 655.3, 655.4. These regulations include drug and alcohol testing requirements for employees, like Taylor, who perform safety-sensitive functions. Id. §§ 655.4, 655.21. The relevant regulations are contained in 49 C.F.R. Part 40. See id. § 401(a), (b). 1. Procedures for Random Testing Under Part 40, SEPTA is required to conduct random drug tests pursuant to a written testing plan. Id. § 655.21; see also id. §§ 655.12, 655.15 (effective through May 31, 2023).1 SEPTA conducts random tests on a weekly basis that runs from Sunday to Saturday with tests

occurring at various times each day. (Doc. No. 40-2 at ¶ 9; Brown Dep. Tr. at 11:12–15 (testifying that SEPTA conducts tests “24/7”); id. at 23: 3–11). In preparation for those tests, SEPTA uses an outside vendor to generate a random list of approximately 100 employee names, which is sent to SEPTA’s Drug and Alcohol Program Manager, Paula Brown, the Thursday before the testing week begins. (Doc. No. 40-2 at ¶¶ 10–11; Doc. No. 40-14 at ¶ 26; Erinoff Dep. Tr. at 16:3–8; Brown Dep. Tr. at 12:3–13:9.) Brown “distribute[s] the selections . . . evenly

1 For purposes of this Memorandum, the Court relies on the versions of the regulations that were in effect in 2022 and 2023 when Taylor claims SEPTA discriminated against it. throughout the week,” and “at about 3:00 a.m. in the morning” before the selected employee’s shift, program staff members “start calling people to come in for their testing” either in “the beginning, middle, or end of their shift.” (Brown Dep. Tr. at 12:3–11); see also 49 C.F.R. § 655.45(i) (“A covered employee may be randomly selected for prohibited drug use anytime

while on duty.”). When an employee is notified that they have been selected for testing, “he or she must proceed immediately to the collection site.” ODAPC, What Employers Need to Know about DOT Drug and Alcohol Testing, at 19 (June 2015) (explaining that this ensures the “integrity of the testing process”); see also 49 C.F.R. § 655.45(h) (“Each employer shall require that each covered employee who is notified of selection for random drug or random alcohol testing proceed to the test site immediately.”). Anybody that is “not tested within [the one week] period,” because, for example, they are “sick or on vacation,” and therefore, not working at the relevant time, is “excused” from testing. (Brown Dep. Tr. at 12:3–11.) 2. Collecting a Urine Sample and the Shy Bladder Procedures When the employee arrives at the collection site, they are to be given a sealed collection container, directed to a restroom, and told to “provide a specimen of at least 45 mL, not flush the

toilet, and return to [the service agent] with the specimen.” 49 C.F.R. § 40.63(d) (effective Oct. 1, 2010 to May 31, 2023). The collector then inspects the sample, ensuring it “contains at least 45 mL of urine,” falls within an acceptable temperature range, and does not show any signs of tampering. Id. § 40.65(a) (effective through May 31, 2023). If the sample is less than 45 mL, the collector is required to “discard the original specimen” and begin the “‘shy bladder’ procedures” outlined in the regulations. Id.; see also ODAPC, DOT Urine Specimen Collection Guidelines, at 20 (Jan. 2018) (“If the employee provided an initial insufficient specimen, the collector discards the insufficient specimen . . . . This is the time when the ‘shy bladder’ collection process starts.”). Under those procedures, the collector must give the employee another opportunity to provide a sufficient specimen and should encourage the “employee to drink up to 40 ounces of fluid, distributed reasonably through a period of up to three hours.” Id. § 40.193(a), (b)(1)(ii) (effective Jan. 1, 2018 to May 31, 2023). “It is not a refusal to test if the employee declines to

drink.” Id.; accord ODAPC, DOT Urine Specimen Collection Guidelines, at 21 (Jan. 2018). It is, however, considered a refusal if the employee is unable to provide a sufficient sample during the three-hour period and there is no medical reason for this failure. Notably, the regulations state that “[i]f the employee has not provided a sufficient specimen within three hours of the first unsuccessful attempt to provide the specimen,” the collector “must discontinue the collection, note the facts” on the collection form, and “immediately notify” the employer’s designated employee representative (“DER”).2 49 C.F.R. § 40.193(b)(1)(iv) (effective Jan. 1, 2018 to May 31, 2023). Once notified, the DER “must” consult with the designated medical review officer (“MRO”)3 and “direct the employee to obtain, within five days, an evaluation from a licensed

physician, acceptable to the MRO, who has expertise in the medical issues raised by the employee’s failure to provide a . . . sufficient specimen.” Id. § 40.193(c) (effective Jan. 1, 2018 to May 31, 2023). If the physician determines that “[t]here is not an adequate basis for determining that a medical condition has, or with a high degree of probability could have, precluded the employee from providing a sufficient amount of specimen,” the MRO reviews the

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Bluebook (online)
TAYLOR v. THE SOUTHEASTERN PENNSYLVANIA TRANSPORTATION AUTHORITY (SEPTA), Counsel Stack Legal Research, https://law.counselstack.com/opinion/taylor-v-the-southeastern-pennsylvania-transportation-authority-septa-paed-2024.