WORKMAN, Justice:
The West Virginia Department of Health and Human Resources (“DHHR”), Office of Behavior Health Services (“BHS”), Bureau for Medical Services (“BMS”), and Office of Health Facility Licensure and Certification (“OHFLAC”) (hereinafter collectively “DHHR defendants”) appeal the November 10, 2011, order of the Circuit Court of Kana-wha County, denying their motion for summary judgment on qualified immunity grounds. On appeal, the DHHR defendants contend that the circuit court erred in finding that genuine issues of material fact existed as to whether the actions of the DHHR defendants were discretionary, thereby precluding summary judgment. Upon careful review of the briefs, the appendix record, the arguments of the parties, and the applicable legal authority, we find that the DHHR defendants are entitled to qualified immunity; therefore, we reverse the order of the circuit court and remand the case for entry of an order granting summary judgment and dismissing the action against them.
I. FACTS AND PROCEDURAL HISTORY
On February 12, 2007, Craig Allen Payne, 22 (hereinafter “Payne”), died after choking on a hot dog fed to him at the D.E.A.F. Education and Advocacy Focus, Inc. (hereinafter “DEAF”) day habilitation center in Ni-tro, known as the “West Sattes” site. Payne suffered from severe cerebral palsy and had feeding and swallowing difficulties as a result. Following Payne’s death, investigations of DEAF by OHFLAC and West Virginia Advocates (“WVA” or the “WVA report”)
revealed serious deficiencies which posed a threat to the health, safety and welfare of its clients, leading to the revocation of DEAF’s license in March, 2007.
In particular, the investigations revealed that Payne’s potential for food aspiration was evident and medically documented, but the facility failed to provide him with a modified diet.
Moreover, the investigations revealed that the direct-care staff member feeding him at the time of the incident was a newly-hired, former felon,
who had not been trained on Payne’s needs, nor had he received proper training on the Heimlich maneuver.
The investigation further revealed that the facility had no emergency plan in place; therefore, when Payne choked, there were delays in contacting emergency personnel, and staff members carried him almost 200 feet to a nearby exit to await the ambulance. Apparently, only the nurse on duty eventually attempted the Heimlich maneuver, as opposed to the direct-care worker feeding him.
Significantly, DEAF’s license had previously been revoked approximately one year prior to the incident, but provisionally reinstated upon submission and fulfillment of a written “plan of correction,” as described in West Virginia Code of State Rules § 64 — 11— 4.6.
The revocation was occasioned by a March, 2006, “survey” or inspection of several of DEAF’s facilities, including a residential facility located in Boone County, West Virginia and the West Sattes facility at issue.
The deficiencies which gave rise to the revocation and subsequent reissuance of a provisional license the year preceding Payne’s death appear to fall into several discrete categories: 1) cleanliness of various facilities, including the West Sattes site; 2) charting and documentation errors; and, most critically, 3) frequent medication administration errors or outright omissions. In response to the revocation and, as required by a “Memorandum of Understanding” between the DHHR and DEAF, reflecting the “plan of correction,” DEAF fired its executive director and closed the Boone County residential facility. The Memorandum of Understanding was approved by DHHR.
Subsequently, DHHR issued a provisional license which was effective for six months, after which a regular renewal license was issued.
On July 7, 2007, Payne’s father, Gregory Payne, individually and as Executor of his estate, and his mother, Betty Jo Payne, individually, (hereinafter “the Paynes” or “the respondents”) filed suit against the DHHR defendants, as well as DEAF and Braley & Thompson, Inc., a DEAF service provider. The allegations against the DHHR defendants are alleged strictly in terms of negligence.
In particular, respondents allege that the DHHR defendants were negligent in their “monitoring and enforcement of the applicable standards of care, policies, protocols and management of the subject facility.” In that regard, respondents allege generally that the DHHR defendants were negligent in “failing to ensure” that DEAF 1) properly trained staff; 2) complied with state and federal regulations; 3) had an adequate workforce; and 4) disclosed “licensing issues and/or problems” to clients.
DEAF and Braley & Thompson settled for a collective $850,000.00. Following this settlement, the DHHR defendants moved to dismiss pursuant to West Virginia Rule of Civil Procedure 12(b)(6), asserting defenses on the basis of both qualified immunity and the public duty doctrine. Thereafter, on March 17, 2009, the DHHR defendants moved for summary judgment; a hearing was held on February 17, 2010.
A supplemental motion for summary judgment was filed on February 18, 2011. On November 10, 2011, the circuit court entered an order denying the DHHR defendants’ motion for summary judgment stating simply that there were “disputed material facts ... which could allow the trier of fact to determine that the decisions made by the defendants in connection with and relating to plaintiffs’ claim were not discretionary.” This appeal followed.
II. STANDARD OF REVIEW
It is well-established that “[t]his Court reviews
de novo
the denial of a motion for summary judgment, where such a ruling is properly reviewable by this Court.” Syl. Pt. 1,
Findley v. State Farm Mut. Auto. Ins. Co.,
213 W.Va. 80, 576 S.E.2d 807 (2002). Moreover, “[a] circuit court’s denial of summary judgment that is predicated on qualified immunity is an interlocutory ruling which is subject to immediate appeal under the ‘collateral order’ doctrine.” Syl. Pt. 2,
Robinson v. Pack,
223 W.Va. 828, 679 S.E.2d 660 (2009).
ill. DISCUSSION
The DHHR defendants argue that the circuit court erred in failing to find that they are entitled to qualified immunity, which error was occasioned by both its misapprehension of the law and its unsupported determination that there were unresolved factual issues precluding summary disposition of the issue.
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WORKMAN, Justice:
The West Virginia Department of Health and Human Resources (“DHHR”), Office of Behavior Health Services (“BHS”), Bureau for Medical Services (“BMS”), and Office of Health Facility Licensure and Certification (“OHFLAC”) (hereinafter collectively “DHHR defendants”) appeal the November 10, 2011, order of the Circuit Court of Kana-wha County, denying their motion for summary judgment on qualified immunity grounds. On appeal, the DHHR defendants contend that the circuit court erred in finding that genuine issues of material fact existed as to whether the actions of the DHHR defendants were discretionary, thereby precluding summary judgment. Upon careful review of the briefs, the appendix record, the arguments of the parties, and the applicable legal authority, we find that the DHHR defendants are entitled to qualified immunity; therefore, we reverse the order of the circuit court and remand the case for entry of an order granting summary judgment and dismissing the action against them.
I. FACTS AND PROCEDURAL HISTORY
On February 12, 2007, Craig Allen Payne, 22 (hereinafter “Payne”), died after choking on a hot dog fed to him at the D.E.A.F. Education and Advocacy Focus, Inc. (hereinafter “DEAF”) day habilitation center in Ni-tro, known as the “West Sattes” site. Payne suffered from severe cerebral palsy and had feeding and swallowing difficulties as a result. Following Payne’s death, investigations of DEAF by OHFLAC and West Virginia Advocates (“WVA” or the “WVA report”)
revealed serious deficiencies which posed a threat to the health, safety and welfare of its clients, leading to the revocation of DEAF’s license in March, 2007.
In particular, the investigations revealed that Payne’s potential for food aspiration was evident and medically documented, but the facility failed to provide him with a modified diet.
Moreover, the investigations revealed that the direct-care staff member feeding him at the time of the incident was a newly-hired, former felon,
who had not been trained on Payne’s needs, nor had he received proper training on the Heimlich maneuver.
The investigation further revealed that the facility had no emergency plan in place; therefore, when Payne choked, there were delays in contacting emergency personnel, and staff members carried him almost 200 feet to a nearby exit to await the ambulance. Apparently, only the nurse on duty eventually attempted the Heimlich maneuver, as opposed to the direct-care worker feeding him.
Significantly, DEAF’s license had previously been revoked approximately one year prior to the incident, but provisionally reinstated upon submission and fulfillment of a written “plan of correction,” as described in West Virginia Code of State Rules § 64 — 11— 4.6.
The revocation was occasioned by a March, 2006, “survey” or inspection of several of DEAF’s facilities, including a residential facility located in Boone County, West Virginia and the West Sattes facility at issue.
The deficiencies which gave rise to the revocation and subsequent reissuance of a provisional license the year preceding Payne’s death appear to fall into several discrete categories: 1) cleanliness of various facilities, including the West Sattes site; 2) charting and documentation errors; and, most critically, 3) frequent medication administration errors or outright omissions. In response to the revocation and, as required by a “Memorandum of Understanding” between the DHHR and DEAF, reflecting the “plan of correction,” DEAF fired its executive director and closed the Boone County residential facility. The Memorandum of Understanding was approved by DHHR.
Subsequently, DHHR issued a provisional license which was effective for six months, after which a regular renewal license was issued.
On July 7, 2007, Payne’s father, Gregory Payne, individually and as Executor of his estate, and his mother, Betty Jo Payne, individually, (hereinafter “the Paynes” or “the respondents”) filed suit against the DHHR defendants, as well as DEAF and Braley & Thompson, Inc., a DEAF service provider. The allegations against the DHHR defendants are alleged strictly in terms of negligence.
In particular, respondents allege that the DHHR defendants were negligent in their “monitoring and enforcement of the applicable standards of care, policies, protocols and management of the subject facility.” In that regard, respondents allege generally that the DHHR defendants were negligent in “failing to ensure” that DEAF 1) properly trained staff; 2) complied with state and federal regulations; 3) had an adequate workforce; and 4) disclosed “licensing issues and/or problems” to clients.
DEAF and Braley & Thompson settled for a collective $850,000.00. Following this settlement, the DHHR defendants moved to dismiss pursuant to West Virginia Rule of Civil Procedure 12(b)(6), asserting defenses on the basis of both qualified immunity and the public duty doctrine. Thereafter, on March 17, 2009, the DHHR defendants moved for summary judgment; a hearing was held on February 17, 2010.
A supplemental motion for summary judgment was filed on February 18, 2011. On November 10, 2011, the circuit court entered an order denying the DHHR defendants’ motion for summary judgment stating simply that there were “disputed material facts ... which could allow the trier of fact to determine that the decisions made by the defendants in connection with and relating to plaintiffs’ claim were not discretionary.” This appeal followed.
II. STANDARD OF REVIEW
It is well-established that “[t]his Court reviews
de novo
the denial of a motion for summary judgment, where such a ruling is properly reviewable by this Court.” Syl. Pt. 1,
Findley v. State Farm Mut. Auto. Ins. Co.,
213 W.Va. 80, 576 S.E.2d 807 (2002). Moreover, “[a] circuit court’s denial of summary judgment that is predicated on qualified immunity is an interlocutory ruling which is subject to immediate appeal under the ‘collateral order’ doctrine.” Syl. Pt. 2,
Robinson v. Pack,
223 W.Va. 828, 679 S.E.2d 660 (2009).
ill. DISCUSSION
The DHHR defendants argue that the circuit court erred in failing to find that they are entitled to qualified immunity, which error was occasioned by both its misapprehension of the law and its unsupported determination that there were unresolved factual issues precluding summary disposition of the issue.
With regard the latter, we will first address the deficiencies of the circuit court’s order denying summary judgment.
A.
Sufficiency of the Order Denying Summary Judgment
This Court has previously held:
Although our standard of review for summary judgment remains de novo, a circuit court’s order granting summary judgment must set out factual findings sufficient to permit meaningful appellate review. Findings of fact, by necessity, include those facts which the circuit court finds relevant, determinative of the issues and undisputed.
Syl. Pt. 3,
Fayette Cnty. Nat’l Bank v. Lilly,
199 W.Va. 349, 484 S.E.2d 232 (1997).
See also
Syl. Pt. 3,
Keesecker v. Bird,
200 W.Va. 667, 490 S.E.2d 754 (1997). Although this holding is phrased in terms of
granting
summary judgment, both the holding and our eases discussing it make clear that a lower court’s factual findings when ruling on summary judgment — whether denying or granting — must be sufficient to elucidate to this Court the basis for its ruling. In fact, in
Lilly,
this Court stated that “the circuit court’s order must provide clear notice to all parties and the reviewing court as to the rationale applied in granting or
denying
summary judgment.” 199 W.Va. at 354, 484 S.E.2d at 237 (emphasis added).
See also State ex rel. West Virginia Dept. of Health and Human Resources v. Kaufman,
203 W.Va. 56, 506 S.E.2d 93 (1998) (granting writ of prohibition preventing enforcement of orders denying summary judgment on qualified immunity grounds and remanding for entry of order specifying rationale for denying summary judgment).
With respect to the order at issue, the portion of the circuit court’s order dealing with qualified immunity contains a ten-paragraph set of “Findings of Fact” and a six-paragraph section containing “Conclusions of Law.” However, despite its length, it is nothing more than a eonclusory disposal of the qualified immunity issue, with a talismanic referral to “disputed material facts.” In particular, the majority of the “Findings of Fact” are undisputed, general background to the events giving rise to the suit; the only paragraph containing “disputed” issues of fact is a simple conglomeration of bare alle
gations from the complaint.
The circuit court then concludes that “the plaintiffs have shown that there are disputed material facts, and have presented evidence which could allow the trier of fact to determine that the decisions made by the defendants in connection with and relating to plaintiffs’ claims were not discretionary.”
The order references no “evidence” which the Paynes “presented,” much less identifies the “disputed material facts” which precluded summary judgment. The order notes that “[the Paynes’] negligence claim centers on the [DHHR defendants’] failure to uphold and act upon certain laws and regulations they are duty bound to uphold,” but does not identify those laws and regulations.
The order further states that the Paynes seek to defeat qualified immunity on the basis that “the actions/inactions of defendants’ employees/agents fall outside the scope of their normal duties and responsibilities.” Not only does the order fail to identify the disputed material facts underlying this contention, but it fails to identify which aetions/inactions are even alleged to fall outside of the DHHR defendants’ normal duties and responsibilities.
This Court has previously explained that “[t]he function of summary judgment is ‘to pierce the boilerplate of the pleadings and assay the parties’ proof in order to determine whether trial is actually required.’ ”
Powderidge Unit Owners Ass’n v. Highland Properties, Ltd.,
196 W.Va. 692, 697, 474 S.E.2d 872, 877 (1996) (quoting
Hanlon v. Chambers,
195 W.Va. 99, 106, 464 S.E.2d 741, 748 (1995)). We have further held that
[t]he party opposing a motion for summary judgment may not rest on allegations of his or her unsworn pleadings and must instead come forth with evidence of a genuine factual dispute. Mere allegations are insufficient in response to a motion for summary judgment to show that there is a genuine issue for trial.
Crum v. Equity Inns, Inc.,
224 W.Va.
246,
254, 685 S.E.2d 219, 227 (2009);
see also Powderidge,
196 W.Va. at 698, nn. 10, 11, 474 S.E.2d at 878, nn. 10, 11. Likewise, an order denying summary judgment on the basis of unidentified “disputed material facts” referring merely to the allegations in the pleadings is insufficient for purposes of appellate review. This is particularly so in the case of qualified immunity which this Court has held is immediately reviewable to ensure that immune defendants’ right “ ‘not to be subject to the burden of trial’ ” remains inviolate.
Rob
inson,
223 W.Va. at 833, 679 S.E.2d at 665 (quoting
Hutchison v. City of Huntington,
198 W.Va. 139, 148, 479 S.E.2d 649, 658 (1996)). As such, we hold that a circuit court’s order denying summary judgment on qualified immunity grounds on the basis of disputed issues of material fact must contain sufficient detail to permit meaningful appellate review. In particular, the court must identify those material facts which are disputed by competent evidence and must provide a description of the competing evidence or inferences therefrom giving rise to the dispute which preclude summary disposition.
The foregoing notwithstanding, although this Court has not hesitated to remand a case due to insufficient findings of fact,
we find that our
de novo
review of the record before us permits us to resolve this particular case without further detail or analysis from the circuit court.
B.
Qualified Immunity
We begin our analysis by observing that, admittedly, our caselaw analyzing and applying the various governmental immunities — sovereign, judicial, quasi-judicial, qualified, and statutory — to the vast array of governmental agencies, officials, employees and widely disparate factual underpinnings has created a patchwork of holdings.
These various holdings against which each partieu-lar set of facts must be analyzed lead inevitably to a situation where some allegations fit more comfortably with certain syllabus points than others. Much of the absence of harmony is simply the nature of the beast; immunities must be assessed on a ease-by-case basis in light of the governmental entities and/or officials named and the nature of the actions and allegations giving rise to the claim.
See
Syl. Pt. 9, in part,
Parkulo,
199 W.Va. 161, 483 S.E.2d 507 (“The existence of the State’s immunity [ ] must be determined on a case-by-case basis.”). As such, we will examine the claims in the case
sub judice
under the scope of the particular qualified immunity holdings which most accurately conform to the nature of the particular allegations.
1. Negligent Failure to Monitor/Enforce
The DHHR defendants maintain that the circuit court erred in failing to find them entitled to qualified immunity inasmuch as respondents have alleged a simple negligence ease against them and failed to produce evidence that they violated a clearly established law. Respondents argued below that the DHHR defendants were generally negligent in their “enforcement and monitoring duties,” as pertained to DEAF, based almost exclusively on the WVA report which was critical of the DHHR defendants’ oversight of the facilities within its purview.
The DHHR defendants counter that the
WVA investigator conceded during her deposition that, in spite of these criticisms, she did not investigate DHHR and had uncovered no evidence that the DHHR defendants had failed to comply with any of its regulatory requirements as pertained to DEAF.
As noted above, there is no question that respondents’ complaint is grounded exclusively in negligence, alleging that the DHHR defendants negligently failed to provide proper oversight and enforcement of applicable laws. To that end, this Court has held generally:
In the absence of an insurance contract waiving the defense,
the doctrine of qualified or official immunity bars a claim of mere negligence against a State agency
not within the purview of the West Virginia Governmental Tort Claims and Insurance Reform Act, W. Va.Code § 29-12A-1
et seq.,
and against an officer of that department acting within the scope of his or her employment,
with respect to the discretionary judgments, decisions, and actions of the officer.
Syl. Pt. 6,
Clark v. Dunn,
195 W.Va. 272, 465 S.E.2d 374 (1995) (emphasis added) (footnote added). However, once the “judgments, decisions, and actions” of a governmental official are determined to be discretionary, the analysis does not end. Rather, even if the complained-of actions fall within the discretionary functions of an agency or an official’s duty, they are not immune if the discretionary actions violate “clearly established laws of which a reasonable official would have known”:
A public executive official who is acting within the scope of his authority and is not covered by the provisions of W. Va.Code 29-12A-1
et seq.
[the West Virginia Governmental Tort Claims and Insurance Reform Act], is entitled to qualified immunity from personal liability for official acts if the involved conduct did not violate clearly established laws of which a reasonable official would have known.... Syllabus,
State v. Chase Securities, Inc.,
188 W.Va. 356, 424 S.E.2d 591 (1992).
Syl. Pt. 3, in part,
Clark, supra.
Our analysis requires, therefore, an examination of the DHHR defendants’ oversight and enforcement duties and obligations relative to behavioral health centers to assess whether they derive from discretionary “judgments, decisions, and actions” and if whether, even so, their actions or inactions violated any “clearly established law.”
West Virginia Code § 27-9-1 (1977) (Repl. Vol.2008) is the enabling statute for the legislative rules set forth in West Virginia Code of State Rules Title 64, Series 11 governing “Behavioral Health Centers Licensure” and provides that hospitals, centers, or institutions providing care or treatment of the mentally ill or intellectually disabled must first be licensed by the DHHR.
Significantly, West Virginia Code § 27-9-1 further provides that “[t]he secretary [of the DHHR] may make such terms and regulations in regard to the conduct of any licensed hospital, center or institution, or part of any licensed hospital, center or institution,
as he or she thinks proper and necessary.”
(emphasis added). As such, the determination as to how facilities under Title 64, Series 11 must operate and conduct their daily affairs and to what extent commensurate regulatory oversight for such operation and affairs falls on the DHHR and its subsidiary agencies lies entirely with the discretion of the Secretary of the DHHR.
As noted above, the “terms and regulations” promulgated for the licensure and conduct of behavioral health centers are set forth in West Virginia Code of State Rules § 64-11-1
et seq.
However, in terms of the DHHR’s oversight and monitoring of behavioral health facilities, the regulations require only that a center is inspected upon application for an initial, renewal, or provisional license and thereafter, at least once every two years or once a year for residential facilities. W. Va.C.S.R. §§ 64-ll-4.1.f.l and 64-11^4.3.e.
The DHHR “may” conduct unannounced inspections in response to a complaint, but is not required to do so. W. Va.C.S.R. § 64-ll-4.4.b. The inspections are to include, but are not limited to “[observation of service delivery ... [r]eview of life safety and environment ... [r]eview of clinical and administrative records; and ... [¡Interviews with consumers (with the consumer’s consent), staff and administrators.” W. Va. C.S.R. §§ 64-ll-4.3.b.l through 4.
The DHHR is required to issue a report within ten working days of an inspection, which then triggers an obligation on behalf of the facility to submit to the DHHR a signed, written “plan of correction” to address any deficiencies identified in the report; the plan is to include “[a]etion taken or procedures proposed to correct the deficiencies and prevent their reoccurrence [and] ... [d]ate of completion of each action taken or to be taken[.]” W. Va.C.S.R. §§ 64-11-4.3.f and 64-ll-4.6.a.l through 3. The regulations provide that “[t]he Secretary shall approve, modify or reject the proposed plan of correction in writing” and, critically, “[t]he Secretary may determine if corrections have been made.” W. Va.C.S.R. §§ 64-ll-4.6.b and 64-11-4.6.Í. Following the inspection and any plans of correction, “the Secretary shall, if there is substantial compliance with this rule,” issue an initial, provisional, or renewal license. W. Va.C.S.R. § 64-11-4.1.Í.2.
However, as noted, short of licensure or bi-annual inspections, approval of plans of correction, and ascertainment of whether corrections have been made, neither the statutes nor applicable regulations require further monitoring or oversight duties by the DHHR defendants.
The regulations delegate to the facilities responsibility for governance and management of the day-to-day affairs of the facilities, which necessarily includes staffing, training, and regulatory compliance. Certainly, the entire purpose for the DHHR defendants’ inspections is to audit for compliance with the regulations governing the facilities’ duties in that regard. However, nothing in the regulations requires greater oversight or involvement in the day-
to-day operations of the facilities than that occasioned by the bi-annual or licensure inspections and any plans of corrections resulting therefrom. Respondents have presented no evidence that the DHHR defendants failed to timely and properly conduct inspections or approve and require implementation of plans of correction. In fact, despite repeated reference to the DHHR defendants’ “failure to uphold the very laws and regulations that they are charged with sustaining,” at no time do respondents identify a specific law, statute, or regulation which the DHHR defendants violated.
In short, the regulations do not require the DHHR defendants to micro-manage the daily functions of the facilities within their regulatory enforcement power to ensure constant, unwavering compliance in all aspects of their affairs.
Respondents seem to argue simply that if the DHHR defendants were doing their job properly, this incident would not have occurred. This argument was emboldened by the testimony of the WVA investigator, who despite finding no specific failures on the part of the DHHR defendants and whose activities she repeatedly denied investigating, surmised that the DHHR defendants must have been derelict in their duties, otherwise Payne’s death would have been prevented. Although this overly simplistic analysis may be appealing in light of these tragic events, qualified immunity insulates the State and its agencies from liability based on vague or principled notions of government regulation. Requirements for stronger oversight and monitoring of facilities such as DEAF may be wise; however, it is for the Legislature to
impose such requirements. Accordingly, we find that the circuit court erred in refusing to grant summary judgment to the DHHR defendants on the basis of qualified immunity as pertains to respondents’ negligent monitoring and enforcement allegations.
¾.
Negligent Licensing
Although respondents’ complaint is alleged exclusively in terms of the DHHR defendants’ negligent failure to monitor and enforce applicable regulations at DEAF, the characterization of their claim evolved as they struggled to articulate a “clearly established” law which the DHHR defendants allegedly violated. As a result — and primarily in their briefs before this Court — respondents argue that it was the DHHR defendants’ negligent
licensure
of DEAF, and concomitant alleged violation of the licensing regulations, which are sufficient to defeat qualified immunity.
In particular, respondents argue that “petitioners’ ongoing licensing of DEAF constituted violations [sic] of the clearly established laws governing said licensing,” and that “a reasonable official would have known that the continual issuance of licenses to DEAF violated said regulations.”
This Court has held:
If a public officer is either authorized or required in the exercise of his judgment and discretion, to make a decision and to perform acts in the making of that decision, and the decision and acts are within the scope of his duty, authority, and jurisdiction, he is not liable for negligence or other error in the making of that decision, at the suit of a private individual claiming to have been damaged thereby.
Syl. Pt. 4,
Clark,
195 W.Va. 272, 465 S.E.2d 374. Based upon the regulations discussed in greater detail
supra,
the licensing of behavioral health facilities is a matter that has been placed entirely within the discretion of the Secretary of the DHHR.
However, respondents attempt to recast the discretionary nature of licensing functions as an affirmative, ministerial duty by attempting to utilize the deficiencies identified in the prior license revocation in March 2006 to impute prior knowledge of the particular deficiencies which were found by OH-FLAC
after
Payne’s death. From this leap, respondents then argue that the DHHR defendants violated their
raison d’etre
by continuing to allow DEAF to operate in spite of actual knowledge of the existence of deficiencies. However, the deficiencies identified in March 2006 were quite different in character than those identified in February 2007 as contributing to Payne’s death. Additionally, the previous deficiencies spanned across a number of facilities operated by DEAF and
only those prior deficiencies dealing with cleanliness were specifically directed at the West Sattes facility. More importantly, there was an intervening “plan of correction” implemented to correct the March 2006 deficiencies, and nothing in the record demonstrates that the items in the March 2006 plan of correction were not implemented to the satisfaction of the Secretary — within whose exclusive authority the determination of whether corrections have been made rests— prior to issuing the provisional or subsequent renewal license.
Despite them contention that the DHHR defendants “knew that DEAF was not in substantial compliance with the health and safety regulations,” respondents provide no evidence that the DHHR defendants were aware that any of the
particular
deficiencies identified as contributing to Payne’s death existed prior to his death or even that the prior, dissimilar deficiencies continued unabated, but a license issued nevertheless.
Without question, serious, life-threatening deficiencies existed at the DEAF facility in and around February 2007. There is simply no evidence that the DHHR defendants knew that those same deficiencies existed prior to its issuance of the provisional or regular renewal licenses and issued the licenses nonetheless.
Moreover, simply characterizing the regulatory power of the Secretary to revoke a license upon certain criteria as “mandatory” does not strip the
decision
to
invoice
such power of its discretionary nature.
To per
mit this action to proceed against the DHHR defendants on the basis of their discretionary licensing function would defeat the entire purpose of qualified immunity as articulated by the United States Supreme Court:
The purpose of such official immunity is not to protect an erring official, but to insulate the decisionmaking process from the harassment of prospective litigation. The provision of immunity rests on the view that the threat of liability will make [] officials unduly timid in carrying out their official duties[.]
Westfall v. Erwin,
484 U.S. 292, 295, 108 S.Ct. 580, 98 L.Ed.2d 619 (1988). Accordingly, we likewise find that the circuit court erred in failing to grant summary judgment to the DHHR defendants on the basis of qualified immunity as to respondents’ negligent licensure claims.
IV. CONCLUSION
For the foregoing reasons, the November 10, 2011, order denying summary judgment is reversed, and we remand for the entry of an order granting petitioners’ motion for summary judgment and dismissing the action against them.
Reversed and remanded.