Barcume v. City of Flint

U.S. District Court4/8/1993
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Full Opinion

MEMORANDUM OPINION AND ORDER

NEWBLATT, District Judge.

Before the Court is defendant City of Flint’s (“City”) motion for summary judgment (D.E. #305), plaintiffs’ response, and defendant City’s reply. For the reasons that follow, defendant’s motion is GRANTED IN PART and DENIED IN PART.

This civil rights action arises out of the alleged discriminatory hiring and promotion practices of the City of Flint and alleged discriminatory employment practices and sexually hostile working environment within the Flint Police Department (“FPD”). The thirteen plaintiffs are all female law enforcement officers employed by, or previously employed by, the FPD. This case is not a class action lawsuit, but rather consists of thirteen separate plaintiffs alleging personal discrimination and harassment at the hands of fellow male police officers, supervisory personnel, the FPD and its command staff, and the City of Flint through its alleged policy and practice of discrimination and tacit approval of the harassment that allegedly exists within the FPD.

Plaintiffs filed their original complaint on January 30, 1984. In that complaint, plaintiffs made various claims against both the City of Flint and the Flint Police Officers Association (“FPOA”). The original complaint consisted of five counts: (I) a claim of discrimination in hiring and promotion practices in violation of 42 U.S.C. § 1983 against defendant City; (II) a claim for violation of the duty of fair representation against defendant FPOA; (III) a claim of conspiracy to deprive plaintiffs of their civil rights in violation of 42 U.S.C. § 1985(3) against both defendants; (IV) a claim of discrimination in hiring and promotion practices and in terms, conditions and privileges of employment in violation of the Elliott-Larsen Civil Rights Act against defendant City; and (V) a claim against defendant FPOA for violation of the Elliott-Larsen Civil Rights Act.

On December 4, 1985, after extensive discovery had already taken place, plaintiffs moved the Court for leave to file a Second Amended Complaint. A hearing on this motion was held on June 23, 1986 (see Transcript of hearing on Motion for Leave to Amend Complaint (D.E. # 135)). At that hearing, the Court granted plaintiffs’ motion to file an amended complaint, provided that the amended pleading separated plaintiffs’ claims regarding the constitutionality of defendant City’s Affirmative Action Plan (“AAP”) from those alleging “traditional” or “garden variety” discrimination on the basis of sex. Id. at 26. The Court indicated that the AAP’s exclusion of women may be evidence relevant to a classic discrimination claim, but that the determination regarding the constitutionality of the AAP is a separate claim to be filed as a separate count. Id. As noted in the Court’s Memorandum Opinion and Order of January 26, 1987, leave for plaintiffs to amend their complaint had been granted at the June 23, 1986 hearing. Nevertheless, it was not until February 26,1987 that plaintiffs filed their Second Amended Complaint and Jury Demand. The Second Amended Complaint contains six counts, two of which still remain to be adjudicated as to defendant City: count II, a claim pursuant to 42 U.S.C. § 1983 that defendant City violated plaintiffs’ rights to equal protection in the terms and conditions of employment; and count VI, a claim that defendant City violated plaintiffs’ rights secured by the Elliott-Larsen Civil Rights Act in the terms and conditions of employment. 1 Through their motion, defendant City seeks summary judgment to dismiss or limit plaintiffs’ claims under cdĂșnts II and VI.

*636 I. Factual Background

The specific facts alleged by plaintiffs shall be addressed as necessary in context of discussion regarding defendant City’s motion. Defendant City’s arguments shall be addressed seriatim.

II. Statute of Limitations

Defendant’s first argument is that plaintiffs’ claims of alleged discriminatory conduct occurring before February 26, 1984 are barred by the statute of limitations. Plaintiffs do not dispute that the statute of limitations for both 42 U.S.C. § 1983 and the Elliott-Larsen Civil Rights Act (“Elliots Larsen”), M.C.L. § 37.2101 et seq., is three years. Conlin v. Blanchard, 890 F.2d 811 (6th Cir.1989); Browning v. Pendleton, 869 F.2d 989 (6th Cir.1989). Thus, argues defendant City, to the extent that plaintiffs’ claims are based upon conduct and events occurring more than three years before the filing of the Second Amended Complaint, these claims are time-barred. Of course, defendant City’s position presumes that plaintiffs’ Second Amended Complaint neither relates back to plaintiffs' original complaint, filed January 30, 1984, nor alleges a continuing violation that would allow plaintiffs to recover damages for the entire period of the continuing illegal conduct.

A. Relation Back

Federal Rule of Civil Procedure 15(c) provides in relevant part that:

An amendment of a pleading relates back to the date of the original pleading when ... the claim ... asserted in the amended pleading arose out of the conduct, transaction, or occurrence set forth or attempted to be set forth in the original pleading----

Fed.R.Civ.P. 15(c)(2). The effect of this rule is that

■ once litigation involving particular conduct or a given transaction or occurrence has been instituted, the parties are not entitled to the protection of the statute of limitations against the later assertion by amendment of defenses or claims that arise out of the same conduct, transaction, or occurrence as set forth in the original pleading.

Wright, Miller & Kane, Federal Practice and Procedure: Civil 2d § 1496 (1990) at 64. The rationale behind Rule 15(c) is to allow an amendment to relate back to the filing of the original complaint where the defendant has been put on notice, through the pleadings or from other sources, of the entire scope of the transaction or occurrence out of which the amended claims arise. See id. at § 1497. Thus,

amendments that merely correct technical deficiencies or expand or modify the facts alleged in the earlier pleading meet the Rule 15(e) test and will relate back____ [Amendments that do no more than restate the original claim with greater particularity or amplify the details of the transaction alleged in the preceding pleading fall within Rule 15(c). But, if the alteration of the original statement is so substantial that it cannot be said that defendant [sic] was given adequate notice of the conduct, transaction, or occurrence that forms the basis of the claim or defense, then the amendment will not relate back and will be time barred if the limitations period has expired.

Id. at § 1497 pp. 74-79; see also Tiller v. Atlantic Coast Line R.R. Co., 323 U.S. 574, 581, 65 S.Ct. 421, 424, 89 L.Ed. 465 (1945); Boddy v. Dean, 821 F.2d 346, 351 (6th Cir. 1987) (amendment that alleges added events leading up to same injury may relate back). Furthermore, that the amendment changes the legal theory upon which the action initially was brought will not automatically bar relation back. Id. at § 1497 p. 94. Thus,

[t]he fact that an amendment changes the legal theory on which the action initially was brought is of no consequence if the factual situation upon which the action depends remains the same and has been brought to defendant’s [sic] attention by the original pleading.

Id. at § 1497 pp. 94-95; see also Hageman v. Signal L.P. Gas, Inc., 486 F.2d 479, 484 (6th Cir.1973) (added theory of liability for same occurrence may relate back). An amendment will not relate back, however, if it asserts a new claim for relief based on different facts than set forth in the original complaint. Koon v. Lakeshore Contractors, 128 F.R.D. 650, 653 (W.D.Mich.1988).

*637 In their response brief, plaintiffs argue that defendant City was not surprised by plaintiffs’ allegations made in the Second Amended Complaint. Plaintiffs’ response brief at 23. Plaintiffs argue that the original complaint gave defendant City ample notice that plaintiffs were suffering from continuing sexual discrimination in a variety of forms by the FPD and its agents. Id. At the very least, argue plaintiffs, the allegations of the Second Amended Complaint were an “attempt” to raise claims of sex discrimination which merely were particularized from the more broad allegations of the original complaint. Id. Plaintiffs further argue that, apart from the notice provided by the original complaint, defendant City became aware through its deposition of plaintiffs in 1984 and 1985 “that plaintiffs’ exclusion from the AAP was but one act in a long line of discriminatory events.” Id. Because defendant City, through discovery, knew of the sexually discriminatory and hostile work environment at the FPD, plaintiffs assert that their sexual discrimination and sexual harassment claims relate back to the filing of the original complaint. Id. at 24.

Defendant City argues in its motion that the Second Amended Complaint does not relate back to the original complaint. Defendant City argues that the original complaint only presented a challenge to the validity of the AAP, adopted and implemented in 1984, which excluded women from its definition of minorities to receive the benefits of affirmative action. Defendant City’s motion brief at 9. Defendant City asserts that any mention of sexually discriminatory practices was limited to creating an historical perspective upon which to justify the necessity for the inclusion of women in the AAP. Id. No specific persons were identified in the complaint as perpetrators of sexual discrimination. Rather, plaintiffs discussed generally the historical hiring practices of the FPD and the concomitant effect this had on promotional opportunities for women. Id. Conversely, argues defendant City, the Second Amended Complaint alleges different causes of action based upon vastly different facts not pleaded in the original complaint. Id. Defendant City asserts that the Second Amended Complaint implicates an entirely new set of actors who allegedly engaged in inappropriate conduct independent of that alleged in the original complaint. Id. Finally, defendant City argues that the original complaint did not provide notice of the subsequently filed claims of sexual discrimination and sexual harassment; in fact, plaintiffs will need to introduce entirely different evidence to establish their claims set forth in the Second Amended Complaint as opposed to that required to support their claims in the original complaint. Id. at 9-10.

In support of their position, plaintiffs cite several eases as authority that claims based upon new legal theories may relate back to the original pleading where the facts upon which they are derived were included in the original complaint, or are similar and related to the facts set forth originally. See Maty v. Grasselli Co., 303 U.S. 197, 58 S.Ct. 507, 82 L.Ed. 745 (1938); Boddy v. Dean, 821 F.2d 346 (6th Cir.1987); Carter v. Delta Air Lines, Inc., 441 F.Supp. 808 (S.D.N.Y.1977); Baruah v. Young, 536 F.Supp. 356 (D.Md.1982). Thus, the question before the Court regarding this issue is whether the claims raised in plaintiffs’ Second Amended Complaint constitute different legal theories, and whether these claims arise out of the same or related occurrences or transactions as those pleaded in the original complaint.

A review of the original complaint, filed on January 30, 1984, reveals absolutely no claims of sexual harassment. Moreover, the entire complaint, consisting of eighty-four paragraphs, is devoid of any reference to conduct that could be interpreted as sexual harassment by the most reasonably prudent defense attorney. The original complaint also fails to allege a single incident of harassment or any other discrimination attributable to any individual person acting as an agent of the City of Flint. The original complaint does, however, make claims of discrimination in hiring and promotion of women in violation of their civil rights secured by 42 U.S.C. § 1983 (count I) and the Elliott-Larsen Civil Rights Act (count IV).

Plaintiffs’ Second Amended Complaint, filed February 26, 1987, states much broader claims under § 1983 and Elliott-Larsen. *638 Not only do counts II and VI allege discrimination in hiring and promotional practices of defendant City, they further allege claims of disparate treatment and harassment that were not included in the original pleading. Most notably, both counts II and VI allege that defendant City condones and ratifies sexual harassment toward women in the workplace, and that defendant City has done so with knowledge or notice of the sexually hostile environment. These claims with regard to sexual harassment and hostile work environment are new to the Second Amended Complaint. There was not an inkling of factual support for such claims in the original complaint. Therefore, defendant City did not have notice that plaintiffs were pursuing that particular type of discrimination claim in this lawsuit.

Plaintiffs’ original complaint alleges a violation of 42 U.S.C. § 1983 by defendant City for traditional and historical discrimination against women in hiring police officers. This historical discrimination, it is alleged, has adversely impacted women in the promotion to sergeant. The AAP’s failure to include women allegedly acts to perpetuate the past discrimination against women in the FPD.

To the extent that count II of the Second Amended Complaint alleges discrimination in hiring and promotion practices, and disparate impact upon present opportunities for promotion of women to the rank of sergeant, plaintiffs’ claims relate back to the original complaint for statute of limitations purposes. To the extent, however, that plaintiffs’ claims under count II allege disparate treatment based upon sex, sexual harassment, and the existence of a hostile work environment within the FPD, plaintiffs’ claims do not relate back to the original complaint.

The same is true with regard to count VI of the Second Amended Complaint. Although count IV of the original complaint stated a claim of discrimination against plaintiffs in the terms and conditions of employment, there was no notice to defendant City that this claim was for any violation other than discrimination in hiring and promotion practices, and in the exclusion of women from the relief prescribed by the AAP. No facts were alleged that would support, or that would indicate an attempt to support, a sexual harassment claim. Plaintiffs’ view that defendant City was on notice from defendants’ depositions of plaintiffs in 1984 and 1985 is rejected. Plaintiffs had ample opportunity to amend the complaint to state the expanded scope of their Elliott-Larsen and § 1983 claims — to include sexual harassment — or to notify defendant City directly that such claims were being pursued. As a result of the filing of plaintiffs’ Second Amended Complaint, defendant City was required to engage extensively in further discovery, including redeposition of the thirteen plaintiffs. This would not have been the case had defendant City been made aware of the sexual harassment claim. Therefore, the Court finds that defendant City did not have notice of the added claims.

Plaintiffs’ position that the Second Amended Complaint merely particularized allegations made or attempted to be raised in the original pleadings also is rejected. As stated previously, there is no indication from the original complaint that plaintiff was making a claim of sexual harassment. Therefore, to the extent that count VI alleges that defendant City discriminated against plaintiffs in hiring and promotional practices, plaintiffs’ claim relates back to the original pleading. Plaintiffs’ claims of sexual harassment and disparate treatment in terms and conditions of employment, other than in hiring or promotional decisions, do not relate back and, unless they constitute a continuing violation as discussed below, they are barred by the statute of limitations for those incidents occurring more than three years prior to the filing of the Second Amended Complaint.

B. Continuing Violation

In addition to their argument that the claims raised in the Second Amended Complaint relate back to the time of filing of the original complaint, plaintiffs argue that the discrimination and harassment allegedly imposed upon them by defendant City and its agents constitutes a continuing violation for which recovery of damages is not barred by the statute of limitations. Because the Court has already held that plaintiffs’ claims for discrimination in hiring and promotional practices of defendant City relate back to the *639 original complaint, the Court will address only whether plaintiffs’ claims of sexual harassment and disparate treatment discrimination constitute continuing violations. 2

Following the briefing and argument on defendant City’s motion, the Sixth Circuit Court of Appeals issued an opinion addressing further the doctrine of continuing violation as applied in this circuit. See Haithcock v. Frank, 958 F.2d 671 (6th Cir. 1992). As articulated by the Supreme Court in Havens Realty Corp. v. Coleman, 455 U.S. 363, 102 S.Ct. 1114, 71 L.Ed.2d 214 (1982), the doctrine of continuing violation holds that “discriminatory incidents which occur beyond the limitations period are actionable ‘where a plaintiff ... challenges not just one incident of [unlawful] conduct ... but an unlawful practice that continues into the limitations period, [in such cases] the complaint is timely when it is filed within’ ” the limitations period regarding “ ‘the last asserted occurrence of that practice.’ ” Haithcock, 958 F.2d at 677 (quoting Havens, 455 U.S. 363, 102 S.Ct. 1114, cited in Hull v. Cuyahoga Valley Bd. of Educ., 926 F.2d 505, 510-11 (6th Cir.), cert. denied, — U.S. —, 111 S.Ct. 2917, 115 L.Ed.2d 1080 (1991)). The effect of this doctrine is that a properly alleged continuing violation would excuse an untimely filing with regard to particular instances of allegedly discriminatory conduct which were part of the continuing violation but occurred outside the limitations period.

In Haithcock, the Court of Appeals instructed that continuing violations must be viewed “as falling into two categories of ‘narrowly limited exceptions’ to the usual rule that ‘statutes of limitations ... are triggered at the time the alleged discriminatory act occurred.’” 958 F.2d at 677-78 (quoting Dixon v. Anderson, 928 F.2d 212, 216 (6th Cir.1991); E.E.O.C. v. Penton Industrial Pub. Co., 851 F.2d 835, 837-38 (6th Cir. 1988)). “The first category of continuing violations arise[s] ‘where there is some evidence of present discriminatory activity giving rise to a claim of continuing violation; that is, where an employer continues presently to impose disparate work assignments or pay rates between similarly situated employee groups.’ ” Haithcock, 958 F.2d at 678 (quoting Dixon, 928 F.2d at 216 (emphasis in original)). “ ‘The rationale underlying this category is that the employer commits an illegal act ... each time the employer’ ” engages in the discriminatory conduct. Id. (emphasis in original). In Dixon, the court emphasized that “this category requires a ‘current’ as well as ‘continuing’ violation: at least one of the forbidden discriminatory acts must have occurred within the relevant limitations period. Thus limitations periods begin to run in response to discriminatory acts themselves, not in response to the continuing effects of past discriminatory acts.” 928 F.2d at 216 (citation omitted), citing Delaware State College v. Ricks, 449 U.S. 250, 258, 101 S.Ct. 498, 504, 66 L.Ed.2d 431 (1980); United Airlines v. Evans, 431 U.S. 553, 557, 97 S.Ct. 1885, 1888, 52 L.Ed.2d 571 (1977).

The second category of the continuing violation theory

arises where there has occurred “a longstanding and demonstrable policy of discrimination.” Penton, 851 F.2d at 838. Unrelated incidents of discrimination will not suffice to invoke this exception; rather, there must be a continuing “over-arching policy of discrimination.” Janikowski v. Bendix Corp., 823 F.2d 945, 948 (6th Cir. 1987). Generally, “[r]epeated requests for further relief from a prior act of discrimination will not set the time limitations running anew.” Id. at 949. However, where there has been a long-standing policy of discrimination, repeated attempts to gain employment or promotions may each trigger the running of a new limitations period. Roberts v. North American Rock *640 well Corp., 650 F.2d 823, 827 (6th Cir. 1981).

Dixon 928 F.2d at 217. Thus, “there must be a specific allegedly discriminatory act against the plaintiff within the relevant limitations period measured back from the time of the complaint.” Id.

The categories of continuing violations created by the court of appeals withstands scrutiny to find a rational distinction between the two. As noted by Judge Jones in his dissenting opinion in Dixon: “the application of the ‘continuing violation’ theory is inconsistent and confusing,” 928 F.2d at 221, and its “precise contours ... are at best unclear,” id. at 219. Thus, it is up to this Court to discern a path by which to navigate through the morass of the continuing violation theory to reach the solid ground upon which logic and justice stand.

In examining the two categories, I can see no rational distinction between the two. In each category, the plaintiff must find a discriminatory policy which is itself the actual discriminatory act. This policy may be established in either of two ways. First, the plaintiff may show the existence of a policy by establishing the occurrence of several discriminatory acts of the same nature committed by the defendant over a period of time, one of which occurred within the relevant statute of limitations period. This method establishes the offending policy by inference from the repeated discriminatory conduct of the same kind. Second, the plaintiff may establish “a longstanding and demonstrable policy of discrimination,” Dixon, 928 F.2d at 217, an “over-arching policy” pursuant to which the defendant has acted against the plaintiff within the relevant limitations period. Id. The plaintiff either must establish the existence of a policy, pursuant to which the plaintiff has suffered discrimination within the period of limitations, or must show a series of discriminatory acts of the same kind which themselves establish a policy by which the plaintiff was discriminated against within the limitations period. Thus, as far as this Court can discern, the court of appeals has made a distinction without a difference. There is, of course, more than one way to skin a cat; but the result is always the same. Likewise, there are different ways to demonstrate a discriminatory policy or practice which creates a circumstance of continuing violation against a particular plaintiff.

To apply the continuing violations doctrine to the present case, the Court finds a better framework for application in a Sixth Circuit opinion issued prior to Haithcock. See Bell v. Chesapeake & Ohio Ry. Co., 929 F.2d 220 (6th Cir.1991). Not only does the Bell opinion provide a more definite standard for establishing a continuing violation, it also happens to apply the doctrine in the context of harassment. Thus, Bell is more closely resemblant of this ease and is more instructive on the issues presently raised.

In Bell, the Court of Appeals explained that the doctrine of continuing violation developed in part over the concern “that many discriminatory acts occur in such a manner that it is difficult to define precisely when they took place.” 929 F.2d at 223. With the view that such discriminatory acts, including harassment as alleged in this case, tend to “unfold rather than occur,” the continuing violations doctrine is an attempt to militate against a strict, and sometimes harsh, application of the limitations requirement. Id.

Drawing upon the decision of the Michigan Supreme Court in Sumner v. Goodyear Tire & Rubber Co., 427 Mich. 505, 398 N.W.2d 368 (1986), 3 the Sixth Circuit defined the elements of a continuing violation: “1) a policy of discrimination, 2) a continuing course of conduct, and 3) the present effects of past discrimination.” 929 F.2d at 223. 4 The first element requires an allegation that an employer has engaged in a policy of discrimination. Id. In proving an employer’s policy of harassment, a plaintiff must establish “respondeat superior liability by proving that *641 the employer, through its agents or supervisory personnel, knew or should have known of the harassment and failed to implement prompt and appropriate corrective action.” Id. at 224. The determination of whether the employer’s corrective response was appropriate will vary from ease to ease and will depend upon the frequency and severity of the alleged harassment. Id.

The second element requires the plaintiff to allege and establish a continuing course of conduct. Three factors must be considered in application of the second element: 1) whether the subject matter of the alleged continuing conduct is sufficiently similar to connect the several acts into a continuing violation; 2) the frequency of the alleged acts; and 3) the degree of permanence of any of the separate acts — to ascertain whether the plaintiff was on notice that her rights were being violated. 929 F.2d at 223, 225; Sumner, 427 Mich. at 538-39, 398 N.W.2d 368.

The third element, referred to by the Sixth Circuit as the “permanence rule” or the “discovery rule,” inquires as to “ ‘whether the act [has] the degree of permanence which should trigger an employee’s awareness of and duty to assert his or her rights, or which should indicate to the employee that the continued existence of the adverse consequences of the act is to be expected without being dependent on a continuing intent to discriminate.’ ” 929 F.2d at 223-24 (quoting Berry v. Bd. of Supervisors of Louisiana State Univ., 715 F.2d 971, 981 (5th Cir.1983)). The court instructed that:

application of the third element of the continuing violation doctrine requires the court to determine when the plaintiff discovered he was a victim of a continuing policy or pattern of discrimination. Acts occurring outside the statute of limitations are barred as the basis for a cause of action, unless the plaintiff can demonstrate that they are the results of a policy and at least one act occurred within the limitations period.

929 F.2d at 224.

In Bell, the court of appeals found no continuing violation. With regard to the first two elements, the court held that the employer’s response, although not corrective of the problem, was adequate to dispel allegations that the employer followed a policy encouraging harassment in the workplace. 929 F.2d at 224-25. The court noted that the incidents complained of consisted of six isolated occurrences over a period of nine years. Id. Moreover, the plaintiffs employer did intervene at times to ease racial tensions between the plaintiff and his co-workers:

According to Bell’s deposition, after the fight reported above as incident five, both men were taken aside by their supervisor and admonished in his office. CSX officials also removed KKK posters when Bell complained about them, and there is no contention that the officials were aware of them previously. These actions may fall short of what Bell would have liked the company to do. Nonetheless, they are not evidence of a policy of encouraging racial hostility in the workplace or of culpable indifference toward it, but of an opposite policy. We conclude, therefore, that as a matter of law, CSX bears no respondeat superior liability for the incidents complained of.

Id. at 225.

Regarding the third element, the Bell court held that each of the acts of which the plaintiff complained should have alerted him to the fact that he had suffered injury, “thereby imposing on him the duty to bring his action within the limitations period:” Id. at 225. The plaintiff in Bell argued that he took no legal action at the time of the alleged incidents because he had decided that to keep a low profile was the best way to handle racial hostility at work. Id. The court concluded that plaintiffs failure to bring his action in a timely manner was a result of his own decisions, not a failure to apprehend injury. Id.

1. Sexual Harassment

In this action, plaintiffs’ argue that their claims of sexual harassment properly demonstrate the existence of a continuing violation. With regard to the first element, plaintiffs seek to establish by inference that defendant City followed a policy of permitting sexual harassment by failing to enforce *642 the City’s stated policy against harassment where defendant City should have known and, plaintiffs argue, did know of its occurrence. To establish a policy, plaintiffs can rely upon their cumulative allegations of harassment perpetrated by fellow officers and by their supervisors on the FPD. Plaintiffs each have pleaded some incidents of alleged harassment which cumulatively could support a finding that defendant City should have been aware of its existence. In fact, plaintiffs even cite to deposition testimony of FPD and City officials that could support a finding that defendant City did know that harassment was taking place at the FPD. Likewise, although defendant City has proffered evidence of some written policies and other attempts to inhibit sexual harassment among its workforce, plaintiffs should have the opportunity to prove to a jury that not only should defendant City have been aware of the alleged harassment but also should have taken stronger measures to end the offensive practices that allegedly created a hostile working environment for plaintiffs as female officers'. 5 Specifically, there is support in the deposition of James Ananich, the City’s Ombudsman, that the method for treatment of internal complaints was effectively chilled by high-ranking officials of the FPD who required any complaints made by police officers be directed through the FPD chain of command and not be taken straight to the ombudsman. Moreover, there is also evidence that City officials were aware of this position.

Despite the fact that defendant City provided a grievance procedure, voluntary seminars addressing the issue of harassment, and directed supervisory personnel to remove offensive materials from general view, such remedial steps are not dispositive of plaintiffs’ claims. The remedial action taken by defendant City must have been “reasonably calculated” within the totality of the circumstances to end the alleged harassment. Hansel v. Pub. Serv. Co., of Colo., 778 F.Supp. 1126, 1132 (D.Colo.1991), citing Wattman v. International Paper Co., 875 F.2d 468, 479 (5th Cir.1989) and Vance v. Southern Bell Tel. & Tel. Co., 863 F.2d 1503, 1511 (11th Cir.1989). This standard requires a jury determination in light of all evidence relevant to proving the existence of pervasive harassment within the FPD. In this case, with regard to each individual plaintiffs hostile environment claim, testimony from every plaintiff is relevant to the claims of each individual plaintiff. Thus, the mere availability of a grievance procedure does not necessarily insulate an employer from liability where the procedure provided is not reasonably calculated to put an end to the hostile work environment. See Meritor Savings Bank v. Vinson, 477 U.S. 57, 72, 106 S.Ct. 2399, 2408, 91 L.Ed.2d 49, 63 (1986) (mere existence of grievance procedure and policy against discrimination, coupled with plaintiffs failure to grieve not dispositive of employer’s liability). This is especially so where, as alleged in this case, the plaintiffs supervisor is a perpetrator of the harassment or the use of the grievance procedure-

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Barcume v. City of Flint | Law Study Group