Weston Solutions, Inc. v. United States

95 Fed. Cl. 311, 2010 WL 4196039, 2010 U.S. Claims LEXIS 813
CourtUnited States Court of Federal Claims
DecidedOctober 25, 2010
DocketNo. 10-511C
StatusPublished
Cited by11 cases

This text of 95 Fed. Cl. 311 (Weston Solutions, Inc. v. United States) is published on Counsel Stack Legal Research, covering United States Court of Federal Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Weston Solutions, Inc. v. United States, 95 Fed. Cl. 311, 2010 WL 4196039, 2010 U.S. Claims LEXIS 813 (uscfc 2010).

Opinion

OPINION

FIRESTONE, Judge.

Pending before the court are cross-motions for judgment on the administrative record filed under Rule 52.1 of the Rules of the United States Court of Federal Claims (“RCFC”) by the plaintiff, Weston Solutions, Inc. (“Weston”), and by the defendant, the United States (“government”), in this bid-protest case. For the reasons set forth below, the court GRANTS-IN-PART the plaintiffs motion for judgment on the administrative record, and DENIES the government’s motion for judgment on the administrative record.

I. STATEMENT OF FACTS

The following facts are taken from the administrative record.

A. Introduction

On October 7, 2009, the United States Army Corps of Engineers, Alaska District (“COE”) issued a synopsis seeking to identify highly qualified Architect-Engineer (“A-E”) firms for negotiations for award of up to two contracts for undefined A-E Hazardous Toxic and Radiological Wastes (“HTRW”) services. Administrative Record (“AR”) 13. The synopsis, as amended, states that “more than one contract is anticipated; no more than three (3) contracts will be awarded.” AR 19. The synopsis also explained that “[t]he first award is anticipated for the 2nd quarter of FY 2010.” Id. The resulting contracts) are to be indefinite delivery firm fixed price contracts) with a contract limit of $12,000,000 over five years. AR 13.

Interested parties were instructed to submit a “SF 330 listing their qualifications in accordance with the instructions below.” AR 12. The Form SF 330 is titled “Qualification Statement.” Id. An agency Architect-Engineer Selection Board (“selection board”) would then select firms, based upon demonstrated competence and qualifications, with whom the agency would conduct later negotiations. Id. Interested firms were put on notice that the firms would be ranked based upon the announced selection criteria. AR 14.

Although the synopsis bore the legend “Solicitation No. W911KB10R0003,” the notice stated that no solicitation would be issued. AR 12. Additionally, the synopsis stated that it was “not a request for proposal.” [315]*315Id. Moreover, the synopsis noted that “no projects are yet authorized and no funds are presently available,” and that “[tjhis solicitation does not guarantee work to selected firms.” AR 13.

The synopsis also stated that “[tjhe allocation of requirements to each of these contracts will be based on the assessment of best value for the Government....” Id. The synopsis then went on to list a variety of factors which would be used to assess best value. Among the factors were specific and unique capabilities; capacity to perform the work; ability to accomplish work in the required time; and available personnel. Id. The synopsis further identified the various types of services the selected A-E firm would be required to handle under the rubric of the COE HTRW program. AR 13-14. The synopsis then provided a detailed listing of the primary and secondary selection criteria as well as specific submission requirements. AR 14-19.

The plaintiff submitted its SF 330 and related information, along with twelve other candidate firms, and was ultimately ranked fourth (or “first alternate”) among the six firms considered to be highly qualified. AR 1657, 2226. The COE intends to negotiate for up to three A-E HTRW services contracts, starting with the first-ranked candidate firm and working its way down through the top three candidates. AR 2226. As a consequence, the plaintiff is not in line for a contract award unless negotiations are unsuccessful with the top three candidates. Id.

The plaintiff challenges the COE’s decision to rank the plaintiff as fourth in line, or first alternate, to negotiate for the A-E HTRW services described in the synopsis. Pl.’s Mot. 16. First, the plaintiff contends that the selection process was flawed because the COE’s advertised selection criteria were not in compliance with federal procurement law because they did not include FAR 36.602-1(a)(5), which looks at “knowledge of the location” as one of the “Primary Selection Criteria.” Pl.’s Mot. 16. Second, the plaintiff contends that the selection board relied on unstated evaluation criteria in violation of federal procurement law by allowing candidate firms, including the third ranked firm, to submit more resumes than the number that the COE listed for each staff position in the synopsis. Pl.’s Mot. 18-20. Third, the plaintiff contends that the COE’s selection process was not in compliance with federal procurement law because the selection board gave an overall rating, but did not evaluate and compare each announced selection criterion individually using a rating method. Pl.’s Mot. 17-18. Fourth, the plaintiff contends that the selection board failed to provide an explanation for ranking the plaintiff below the third place firm despite apparently assigning the plaintiff a higher rating than that firm, thereby demonstrating that the COE’s ranking decision lacked a rational basis. Pl.’s Mot. 16-17. The plaintiff contends that it has been prejudiced, arguing that there was a “substantial chance” that the plaintiff would have been selected for negotiations and ultimately awarded a contract but for these alleged violations of federal procurement regulations. The plaintiff asks this court to enjoin the COE from proceeding with negotiations with the selected candidate firms, to terminate any contracts awarded, and to enjoin the COE from proceeding with any negotiation that does not include the plaintiff as one of the selected candidates.1 Pl.’s Mot. 2.

B. The Regulatory Framework

The synopsis was issued pursuant to the Brooks Act, 40 U.S.C. §§ 1101-1104 (2006), as implemented through Federal Acquisition Regulations “FAR” subpart 36.6 (2008). AR 12. The Brooks Act mandates, among other things, that an agency will negotiate con[316]*316tracts for A-E services “on the basis of demonstrated competence and qualification for the type of professional services required.” 40 U.S.C. § 1101 (2006). The Brooks Act further requires the agency to select in order of preference, at least three firms that the agency considers most highly qualified to provide the services required. 40 U.S.C. § 1103(d) (2006). Section 1104, titled “Negotiation of Contract,” requires the agency to negotiate contracts at a fair and reasonable price to the Government considering the scope, complexity, professional nature, and estimated value of the services to be rendered. 40 U.S.C. § 1104(a) (2006). Subsection b of that same provision requires that the agency first attempt to negotiate with the most highly ranked firm, and if the agency is unable to reach agreement with the first firm, then the agency shall attempt to negotiate with the next firm, continuing the process until an agreement is reached. 40 U.S.C. § 1104(b) (2006); see also FAR 36.606 (2008).

FAR subpart 36.6 prescribes policies and procedures applicable to the acquisition of AE services.

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Bluebook (online)
95 Fed. Cl. 311, 2010 WL 4196039, 2010 U.S. Claims LEXIS 813, Counsel Stack Legal Research, https://law.counselstack.com/opinion/weston-solutions-inc-v-united-states-uscfc-2010.