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Case: 15-50300 Document: 00513609773 Page: 1 Date Filed: 07/26/2016
IN THE UNITED STATES COURT OF APPEALS
FOR THE FIFTH CIRCUIT
United States Court of Appeals
Fifth Circuit
No. 15-50300 FILED
July 26, 2016
Lyle W. Cayce
CYNTHIA HEINSOHN, Clerk
Plaintiff - Appellant
v.
CARABIN & SHAW, P.C.,
Defendant - Appellee
Appeal from the United States District Court
for the Western District of Texas
USDC No. 5:14-CV-94
Before SMITH, WIENER, and GRAVES, Circuit Judges.
WIENER, Circuit Judge:*
Plaintiff-Appellant Cynthia Heinsohn brought this action in Texas court
against her former employer, Defendant-Appellee, the law firm of Carabin &
Shaw, P.C. (âC&Sâ). She alleged violations of the Family Medical Leave Act
(âFMLAâ) and the Texas Commission on Human Rights Act (âTCHRAâ). C&S
removed the action to federal court. Following discovery, both C&S and
* Pursuant to 5TH CIR. R. 47.5, the court has determined that this opinion should not
be published and is not precedent except under the limited circumstances set forth in 5TH
CIR. R. 47.5.4.
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No. 15-50300
Heinsohn moved for summary judgment. The magistrate judge recommended
granting C&Sâs motion and denying Heinsohnâs. The district court agreed, and
entered judgment. Heinsohn now appeals, and we reverse and remand.
I.
FACTS & PROCEEDINGS
A. FACTS
In 2011, C&S hired Heinsohn as a legal assistant and assigned her to
work exclusively on Social Security Administration (âSSAâ) cases. Her wages
were $10 an hour, and her responsibilities included (1) updating case notes in
C&Sâs electronic case management system, (2) communicating with clients and
with the SSA, and (3) monitoring deadlines. She was assigned to assist George
Escobedo, an âof counselâ lawyer responsible for all SSA cases, 1 and Maria
Carvajal, his legal assistant.
Late in 2011, Heinsohn decided to accept a better-paying position with
another employer and tendered her resignation to C&S. Escobedo, who
âthought she was doing a good job, and . . . didnât want to see her leave,â
convinced James Shaw, the managing partner of C&S, to raise her pay. He did
so, and Heinsohn withdrew her resignation. Her wages eventually rose to $14
an hour.
Heinsohn became pregnant early in 2012. Shortly before she left on
maternity leave later that year, Escobedo informed Heinsohn that he would
reassign each of her cases to Becky Rendon, another legal assistant in the SSA
section. Although it appears that Escobedo requested Heinsohn to perform
some specific tasks before she left, it is not entirely clear what those tasks were.
1 When asked whether there was âanybody else working in the Social Security
[section] at that time besides you, [Carvajal], and [Escobedo],â Heinsohn responded:
âNobody.â When asked â[w]ho would overlook [her] work,â she responded: â[I]t was always
[Escobedo] and/or [Carvajal].â
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In their respective depositions, Escobedo and Heinsohn provided differing
descriptions of those requests and tasks. The gist, however, appears to be that
Escobedo simply requested Heinsohn to complete all outstanding tasks in each
of the cases that he had assigned to her. Heinsohn began her maternity leave
late in 2012, after telling Escobedo that she had completed all tasks that he
had requested.
Within days after Heinsohnâs departure, Rendon told Escobedo that,
according to the notes in the case management system, deadlines had been
missed in some of Heinsohnâs cases and good-cause letters had been sent on
Escobedoâs behalf. Neither Rendon nor Escobedo sought an explanation from
Heinsohn. 2 Instead, after reviewing the notes himself, Escobedo informed
Tracy Leonard, who assisted with human resources, that it appeared deadlines
had been missed by Heinsohn. Leonard then informed Shaw. After speaking
with Escobedo, Shaw decided to fire Heinsohn without providing her an
opportunity to explain the situation. Approximately two weeks after Heinsohn
had begun her maternity leave, Leonardâat Shawâs behestâwrote to
Heinsohn, informing her that C&S had terminated her employment. Leonard
did not give any reason for firing Heinsohn.
B. PROCEEDINGS
Early in 2013, Heinsohn filed a claim with the Equal Employment
Opportunity Commission (âEEOCâ), alleging âsex and retaliation
discrimination.â C&S responded, asserting that it had nondiscriminatory
reasons for terminating her. Heinsohn filed a petition in state court later that
year, claiming that C&S had violated the FMLA and the TCHRA. C&S then
2A good-cause letter is a request that the SSA excuse a missed deadline. It suggests
that there was a good, viz. legally sufficient, reason for the missed deadline. Such a reason
generally exists if a person was not made aware of the deadline to begin with.
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removed the action to federal court on the basis of the FMLA claim. In so doing,
it explained: âRemoval of this action is proper because [Heinsohn]âs suit
involves a federal question. Specifically, [her] claim arises under [the FMLA].â
In late 2014, after discovery had been conducted, C&S moved for
summary judgment. Heinsohn then filed her own motion for summary
judgment on the question of liability, which she subsequently corrected. About
a week later, Heinsohn responded to C&Sâs motion for summary judgment. She
acknowledged that C&S did not have enough employees to be subject to the
FMLA, so she âwill withdraw that portion of her claimâ against C&S. She also
attached a new affidavit, dated December 17, 2014 (the âearlier affidavitâ).
C&S then moved to strike both the earlier affidavit and various portions of
Heinsohnâs deposition.
Early in 2015, the magistrate judge granted much of C&Sâs motion to
strike, recommended that C&Sâs motion for summary judgment be granted,
and recommended that Heinsohnâs motion for summary judgment be denied.
The district court reviewed the motions for summary judgment de novo and
adopted the magistrate judgeâs recommendations. In so doing, it refused to
consider a new affidavit by Heinsohn, dated February 18, 2015 (the âlater
affidavitâ). The court then dismissed Heinsohnâs claims and entered judgment
against her. Heinsohn timely appealed to this court.
II.
LAW & ANALYSIS
A. JURISDICTION
As a preliminary matter, we have âan independent obligation to
determine whether-subject matter jurisdiction exists, even in the absence of a
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challenge from any party.â 3 And, â[i]f at any time before final judgment it
appears that the district court lacks subject matter jurisdiction, the case shall
be remanded.â 4
In its notice of removal, C&S asserted that federal question jurisdiction
exists under 28 U.S.C. § 1331 because Heinsohn had asserted a federal law
claim under the FMLA. Heinsohn, however, later âwithdrewâ that federal law
claim in her memorandum in opposition to C&Sâs motion for summary
judgment after stipulating that C&S might not have enough employees to be
covered by the FMLA. In his recommendations, the magistrate judge
acknowledged that Heinsohn had withdrawn the claim, and those
recommendations were adopted by the district court. Heinsohnâs federal law
claim was properly dismissed because âstipulations (including those made for
purposes of the motion only)â constitute evidence on summary judgment. 5
Without her federal law claim, Heinsohnâs only remaining claim is her
state law claim under the TCHRA. And, as she and C&S are both residents of
Texas, we must determine whether there is supplemental jurisdiction based
on Heinsohnâs state law claim alone.
Although the FMLA only applies to employers with a specified minimum
number of employees or more, that requirement âis an element of the claim,
not a limit upon the federal courtâs subject-matter jurisdiction.â 6 After a court
3 Arbaugh v. Y&H Corp., 546 U.S. 500, 514 (2006).
4 28 U.S.C. § 1447(c); see Arbaugh, 546 U.S. at 514 (â[W]hen a federal court
concludes that it lacks subject-matter jurisdiction, the court must dismiss the complaint in
its entirety.â).
5 FED. R. CIV. P. 56(c)(a); see Munoz v. Intâl Alliance of Theatrical Stage Emp. &
Moving Picture Mach. Operators of U. S. & Canada, 563 F.2d 205, 213 (5th Cir.
1977) (âStipulations are a proper evidentiary basis for a summary judgment.â).
Minard v. ITC Deltacom Commcâns, Inc., 447 F.3d 352, 353 (5th Cir. 2006); see
6
Arbaugh, 546 U.S. at 516 (â[W]e hold that the threshold number of employees for
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dismisses a federal law claim, â[it] generally retains discretion to exercise
supplemental jurisdiction . . . over pendent state-law claims.â 7 Here, the
magistrate judge and district court proceeded to resolve the state-law claim
without expressly exercising that discretion. We must do so now.
Generally, âwhether a court has subject-matter jurisdiction over a claim
is distinct from whether a court chooses to exercise that jurisdiction.â 8 âWith
respect to supplemental jurisdiction in particular, a federal court has subject-
matter jurisdiction over specified state-law claims, which it may (or may
not) choose to exercise.â 9 âA district courtâs decision whether to exercise that
jurisdiction after dismissing every claim over which it had original jurisdiction
is purely discretionary.â 10 Although that âdetermination may be reviewed for
abuse of discretion,â it âmay not be raised at any time as a jurisdictional
defect.â 11 We therefore consider only whether supplemental jurisdiction exists,
not whether the district court erred in failing to consider if it should have
exercised that jurisdiction if it does exist.
As noted, C&S alleged a basis for subject matter jurisdiction over the
federal law claim, but it did not allege supplemental jurisdiction over the state
law claim in its notice of removal. 12 Because the state law claim does not raise
application of Title VII is an element of a plaintiffâs claim for relief, not a jurisdictional
issue.â).
7 Arbaugh, 546 U.S. at 514 (citing 28 U.S.C. § 1367).
8 Carlsbad Tech., Inc. v. HIF Bio, Inc., 556 U.S. 635, 639 (2009).
9 Id. (citing 28 U.S.C. § 1367).
10 Id. (citing 28 U.S.C. § 1367(c)).
11 Id. at 640 (quoting 16 MOOREâS FEDERAL PRACTICE § 106.05[4] (3d ed. 2009)).
12It provided: âRemoval of this action is proper because Plaintiffâs suit involves a
federal question. 28 U.S.C. §§ 1331, 1441(c), 1446(b). Specifically, Plaintiffâs claim arises
under 29 U.S.C. §§ 2601, et. seq., (FMLA).â
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a federal question and because the parties are not diverse, we consider sua
sponte whether supplemental jurisdiction exists. 13 For there to be such
jurisdiction, the removing party âmust show in his pleading, affirmatively and
distinctly, the existence of whatever is essential to federal jurisdiction.â But âif
he does not do so, the court, . . . on discovering the [defect], must dismiss the
case, unless the defect be corrected by amendment.â 14 â[I]t is not sufficient that
jurisdiction may be inferred argumentatively from averments in the pleadings,
but the averments should be positive.â 15
The notice of removal must therefore âcontain[ ] a short and plain
statementâ 16 describing the basis for subject matter jurisdiction. Usually, âthe
best practice is for the [removing party] to specifically invoke supplemental
jurisdiction and cite to . . . § 1367 in the jurisdictional allegations.â 17 But, âas
with pleading original jurisdiction, the failure to expressly plead supplemental
jurisdiction will not defeat it if the facts alleged in the complaint satisfy the
jurisdictional requirements.â 18
13See Songcharoen v. Plastic & Hand Surgery Assocs., P.L.L.C., 561 F. Appâx 327,
332 (5th Cir. 2014) (âAlthough [the plaintiff]âs federal law claims were later voluntarily
dismissed, the Court may continue to exercise supplemental jurisdiction over the state law
claims under Section 1367.â (internal quotation marks omitted)).
14 Smith v. McCullough, 270 U.S. 456, 459 (1926).
15 Hanford v. Davies, 163 U.S. 273, 279 (1896)
16 28 U.S.C. § 1446.
17 FED. R. CIV. P. 8.
18 FED. R. CIV. P. 8; see Hildebrand v. Honeywell, Inc., 622 F.2d 179, 181 (5th Cir.
1980) (âRegarding the issue of the complaintâs deficiency in alleging proper jurisdiction, it is
well settled that where a complaint fails to cite the statute conferring jurisdiction, the
omission will not defeat jurisdiction if the facts alleged in the complaint satisfy the
jurisdictional requirements of the statute.â).
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In such an instance, the otherwise â[d]efective allegations of jurisdiction
may be amended, upon terms, in the trial or appellate courts,â 19 as long as such
allegations contain only âformal mistakes.â 20 We may either (1) remand so the
district court can consider whether to allow such an amendment or (2) allow
such an amendment without remand if supplemental jurisdiction is otherwise
clear from the record. 21
It is clear from the instant record that Heinsohnâs state law claim under
the TCHRA is part of the same case or controversy as her now-dismissed
federal law claim under the FMLA, so supplemental jurisdiction does exist.
C&S, on remand, should be allowed to amend its complaint to assert
supplemental jurisdiction under § 1367.
B. EVIDENTIARY RULINGS
The deferential abuse of discretion standard applies when we review a
district courtâs evidentiary rulings. 22 âA district court abuses its discretion
when its ruling is based on an erroneous view of the law or a clearly erroneous
assessment of the evidence.â 23 The harmless error doctrine applies to the
review of evidentiary rulings, so even if a district court has abused its
discretion, we will not reverse unless the error affected âthe substantial rights
19 28 U.S.C. § 1653.
20 Nadler v. Am. Motors Sales Corp., 764 F.2d 409, 413 (5th Cir. 1985).
21 Carlton v. Baww, Inc., 751 F.2d 781, 789 (5th Cir. 1985); see also Booty v.
Shoneyâs, Inc., 872 F. Supp. 1524, 1529 (E.D. La. 1995) (âThis court finds that supplemental
jurisdiction over a derivative claim such as loss of consortium is not an entirely new
jurisdictional basis and that Shoneyâs is allowed to amend its notice of removal to add §
1367 as a jurisdictional basis.â).
22 Stover v. Hattiesburg Pub. Sch. Dist., 549 F.3d 985, 992 (5th Cir. 2008).
23 Nunez v. Allstate Ins. Co., 604 F.3d 840, 844 (5th Cir. 2010).
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of the parties.â 24 We consider Heinsohnâs contentions that (1) the magistrate
judge and district court improperly excluded her earlier affidavit, (2) the
district court improperly excluded her later affidavit, and (3) the magistrate
judge and district court improperly excluded portions of her deposition. 25
1. EARLIER AFFIDAVIT
Heinsohn contends that the magistrate judge erred in striking the
portion of her earlier affidavit in which she stated that C&S fired her because
her post-partum recovery would last too long. Heinsohn, however, had no
knowledge of C&Sâs reasons for terminating her, so the magistrate judge did
not abuse his discretion in striking this portion of her earlier affidavit.
2. LATER AFFIDAVIT
After the magistrate judge made his recommendations, Heinsohn
requested leave from the district court to produce the later affidavit. The
district court rejected the later affidavit, in part because Heinsohn provided no
reason for her delay in producing it. The court also rejected that affidavit
because it was âcontradictory to her previous [deposition] testimony.â The court
noted that in her deposition she had âdenied that she missed any deadlinesâ
but in the later affidavit she âstate[ed] that if there was a missed deadline, she
would have told Escobedo about it.â The district court rightly observed that
Heinsohn provided no reason for her delay in producing the later affidavit, but
the court erred in stating that it contradicted her earlier deposition: Heinsohn
never denied that deadlines were missed by someone; she only denied that
deadlines were missed by her. Yet, because Heinsohn could very well have
24 Id.; see also FED. R. CIV. P. 61.
25 We also consider below Heinsohnâs contention that the magistrate judge and
district court improperly excluded evidence that the notes in the case management system
were tampered with.
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produced this affidavit earlier and did not give any reason for her failing to do
so, the district court did not abuse its discretion in striking Heinsohnâs later
affidavit. 26
3. DEPOSITION
The magistrate judge wrote that âHeinsohnâs deposition testimony is
refuted by the e-mail exchange between Heinsohn and Leonard. Heinsohnâs
assertion that Leonard wanted a guaranteed return date is STRICKEN.â
âExcept as provided in [Federal] Rule [of Evidence] 1002, âthere is no general
rule that proof of a fact will be excluded unless its proponent furnishes the best
evidence in his power.ââ 27 âApplication of the [R]ule requires a resolution of the
question whether contents are sought to be proved.â 28 â[T]hat certain facts are
contained in a document does not prevent an affiant from testifying as to those
facts from her personal knowledge.â 29 Therefore, â[i]t is well-established that
Rule 1002 does not apply in situations where the mere existence of an
independent factual condition is sought to be proved, even if the condition is
contained in or effectuated through a writing.â 30 By determining that the e-
mail exchange ârefutedâ Heinsohnâs deposition, the magistrate judge
improperly considered the veracity of the evidence, rather than its
26See 28 U.S.C. § 636(b)(1); Performance Autoplex II Ltd. v. Mid-Continent Cas. Co.,
322 F.3d 847, 862 (5th Cir. 2003) (quoting 5 J. WEINSTEIN & M. BERGER, WEINSTEINâS
EVIDENCE ¶ 1002[01] (1993)).
Allstate Ins. Co. v. Swann, 27 F.3d 1539, 1543 (11th Cir. 1994) (quoting 5 J.
27
WEINSTEIN & M. BERGER, WEINSTEINâS EVIDENCE ¶ 1002[01], at 1002â3).
28 FED. R. EVID. 1002, advisory committee notes.
29F.D.I.C. v. Stringer, 46 F.3d 66 & n.4 (5th Cir. 1995) (âThe Advisory Committee
Notes to [Rule] 1002 provide that âan event may be proved by nondocumentary evidence,
even though a written record of it was made.â).
30 United States v. Smith, 804 F.3d 724, 730 (5th Cir. 2015).
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admissibility. Thus, the district court abused its discretion in striking the
subject testimony on the basis of the magistrate judgeâs recommendation.
C. DISPOSITIVE RULINGS
We review a motion for summary judgment de novo. 31 Summary
judgment is proper âif the movant shows that there is no genuine dispute as to
any material fact and the movant is entitled to judgment as a matter of law.â 32
All âfacts and inferences [must be drawn] in the light most favorable to the
party opposing the motion.â 33 But â[u]nsubstantiated assertions, improbable
inferences, and unsupported speculation are not sufficient to defeat a motion
for summary judgment.â 34
The TCHRA prohibits an employer from discriminating against an
employee because of the employeeâs sex, 35 including âdiscrimination because of
or on the basis of pregnancy, childbirth, or a related medical condition.â 36 As
the TCHRA is partly intended to âprovide for the execution of the policies of
Title VII of the Civil Rights Act of 1964,â 37 the âanalogous federal statutes and
the cases interpreting [those statutes] guide [a courtâs] reading of the
31 Reed v. Neopost USA, Inc., 701 F.3d 434, 438 (5th Cir. 2012).
32 FED. R. CIV. P. 56(a).
33 Hunt v. Rapides Healthcare Sys., LLC, 277 F.3d 757, 762 (5th Cir. 2001).
34 Brown v. City of Houston, 337 F.3d 539, 541 (5th Cir. 2003).
35 TEX. LAB. CODE ANN. § 21.051 (âAn employer commits an unlawful employment
practice if because . . . sex, . . . the employer . . . discharges an individual, or discriminates
in any other manner against an individual in connection with compensation or the terms,
conditions, or privileges of employment . . . .â).
36 TEX. LAB. CODE ANN. § 21.106(a).
37 Id.
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TCHRA.â 38 An employee âcan prove intentional discrimination through either
direct or circumstantial evidence.â 39 Although the employeeâs burden of proof
remains the same regardless of which evidence the employee uses, the partiesâ
respective burdens of production differ. Heinsohn did not produce any direct
evidence of discrimination, but she did produce circumstantial evidence. 40
When, as here, an employee attempts to use only circumstantial
evidence, 41 the partiesâ respective burdens of production are bifurcated into
âintermediateâ burdens embodied in the âstepsâ of the McDonnell Douglas
framework. 42 Although the employeeâs âultimateâ burden of persuasion or
proof âremains at all times with the [employee],â 43 the failure of a party to meet
its burden of production at each step may allow judgment against that party.
1. THE EMPLOYEEâS BURDEN OF PRODUCTION REGARDING DISCRIMINATION
At the first step of the McDonnell Douglass framework, the employee
must produce evidence that, if uncontested by the employer, is sufficient to
38Mission Consol. Indep. Sch. Dist. v. Garcia, 372 S.W.3d 629, 634 (Tex. 2012); see
Squyres v. Heico Cos., L.L.C., 782 F.3d 224, 231 (5th Cir. 2015); Elliott v. Horizon
Healthcare Corp., 180 F.3d 264, at *2 (5th Cir. April 27, 1999).
39 Wallace v. Methodist Hosp. Sys., 271 F.3d 212, 219 (5th Cir. 2001); see Evidence;
BLACKâS LAW DICTIONARY (10th ed. 2014) (noting that circumstantial evidence is âalso
termed indirect evidenceâ); see FIFTH CIRCUIT PATTERN JURY INSTRUCTIONS § 3.4
(2014) (referring to âindirect or circumstantial evidenceâ).
This is not to say, however, that a finder of fact may not consider direct evidence
40
on remand.
41Circumstantial evidence of discrimination is that âbased on inference and not on
personal knowledge or observation.â Evidence; BLACKâS LAW DICTIONARY; see FIFTH
CIRCUIT PATTERN JURY INSTRUCTIONS § 3.4 (âCircumstantial evidence is evidence that
proves a fact from which [the finder of fact] can logically conclude another fact exists.â).
42 Wallace, 271 F.3d at 219 (citing McDonnell Douglas Corp. v. Green, 411 U.S. 792
(1973)); see Texas Depât of Cmty. Affairs v. Burdine, 450 U.S. 248, 253 (1981) (âThe
McDonnell Douglas division of intermediate evidentiary burdens serves to bring the
litigants and the court expeditiously and fairly to this ultimate [burden].â).
43 Burdine, 450 U.S. 248 at 253.
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prove each of the elements of prima facie intentional discrimination. 44 As the
magistrate judge and district court correctly noted, Heinsohn produced
evidence sufficient to prove each of the elements of prima facie discrimination.
As that evidence was uncontested, she actually proved each of those elements,
viz. (1) she belonged to a protected class because she was pregnant, (2) she was
qualified for her position, (3) C&S took an adverse employment action against
her by terminating her, and (4) C&S treated employees who were not pregnant
more favorably because it replaced her with an employee who was not
pregnant. 45 By proving each of these elements with direct evidence, Heinsohn
produced circumstantial evidence that, if uncontested, is also sufficient to
prove that C&S had a discriminatory reason for firing her. Having determined
that the elements of prima facie discrimination exist, the only remaining
question is whether C&S had a legitimate, nondiscriminatory reason for its
discrimination. The second and third steps of the framework consider this
question.
2. EMPLOYERâS BURDEN OF PRODUCTION REGARDING ITS REASON
In the second step of the McDonnell Douglass framework, the employer
must produce evidence of a legitimate, nondiscriminatory reason for the
adverse employment action, apart from the inferred discriminatory reason. 46
Although Heinsohn had the burden of persuasion as to each of the elements of
prima facie discrimination in the first step, C&Sâs âburden is one of production,
44 Bodenheimer v. PPG Indus., Inc., 5 F.3d 955, 957 (5th Cir. 1993).
45McDonnell Douglas Corp., 411 U.S. at 802; see Goudeau v. Natâl Oilwell Varco,
L.P., 793 F.3d 470, 474 (5th Cir. 2015); see McLaughlin v. W & T Offshore, Inc., 78 F. Appâx
334, 338 (5th Cir. 2003) (â[A]lthough [the employee] was not replaced by a single
[employee], her duties were delegated to two employees who were not pregnant.â).
46 Bodenheimer, 5 F.3d at 957.
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not persuasion [read: proof]â as to its legitimate, nondiscriminatory reason. 47
In satisfying this burden, C&S âmust clearly set forth, through the
introduction of admissible evidence, the reasons for [the adverse employment
action].â 48 This step âinvolve[es] no credibility assessment.â 49
C&S met this intermediate burden of production. It produced evidence
of legitimate, nondiscriminatory reasons for terminating Heinsohn, which
refute or contest Heinsohnâs circumstantial evidence of a discriminatory
reason. C&S produced Shawâs deposition, in which he averred that C&S
terminated Heinsohn because (1) she had missed appeals deadlines, and
(2) she had attempted to conceal this by failing to inform Escobedo and by
sending good-cause letters without Escobedoâs knowledge. 50 Although, by
producing this evidence, C&S has rebutted the presumption that Heinsohn is
entitled to judgment, the attendant inferenceâor circumstantial evidenceâof
C&Sâs discriminatory reason remains. 51 When, as here, the employer does
produce such evidence, the analysis proceeds to the third step.
47 Reeves v. Sanderson Plumbing Prods., Inc., 530 U.S. 133, 142 (2000).
48 Burdine, 450 U.S. at 255.
49 Reeves, 530 U.S. at 142 (quoting St. Maryâs Honor Ctr. v. Hicks, 509 U.S. 502, 509
(1993) (âFor the burden-of-production determination necessarily precedes the credibility-
assessment stage.â).
50C&Sâs response to Heinsohnâs interrogatory requesting that it â[i]dentify all
reasons asserted for the decision to terminate [Heinsohn]â stated: âUpon review of
[Heinsohnâs] assigned files it was determined that [Heinsohn] had failed to perform as
directed and instructed by her supervisor . . . .â Its supplemental response added: â[A]nd hid
[this].â
51The magistrate judge erred in holding that C&S had met its burden to produce
evidence sufficient to prove it had legitimate, nondiscriminatory reasons for terminating
Heinsohn. It is not up to C&S to prove that it had a legitimate, nondiscriminatory reason.
The magistrate judge also erred in suggesting that Heinsohn had a burden to produce
evidence ârefutingâ C&Sâs evidence of its legitimate, nondiscriminatory reasons. At this
second step of the framework, Heinsohn had no burden to produce evidence of or prove
anything.
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3. EMPLOYEEâS BURDEN OF PRODUCTION REGARDING EMPLOYERâS REASON
At the third step, the employee must produce evidence, or rely on
evidence already produced, that refutes or contests the employerâs evidence of
a legitimate, nondiscriminatory reason. Stated differently, the employee must
produce or rely on evidence that the employerâs legitimate, nondiscriminatory
reason was only a pretextâthat is, â[a] false or weak reason . . . advanced to
hide the actual . . . reason . . . .â 52 At the last step, â[t]his [intermediate] burden
now merges with the ultimate burden of [proving] that [the employee] has been
the victim of intentional discrimination.â 53 In this sense, âthe McDonnell
Douglas framework [itself]âwith its presumptions and burdensâ
disappear[s], and the sole remaining issue [is] discrimination vel non.â 54
Significantly, the third step of the McDonnell Douglas framework yields
different results, depending on the stage at which it is applied. Once the
employee demonstrates that she met her burden of producing or relying on
evidence that refutes or contests the employerâs evidence of a legitimate,
nondiscriminatory reason, there is often a genuine issue of material fact as to
the veracity of that reason. In the context of a motion for judgment as a matter
of law, as in Reeves v. Sanderson Plumbing Products, the finder of fact has
already resolved this issue of fact at trial, so the court merely tests that finding
for sufficiency. In the context of a garden variety motion for summary
judgment, however, there has been no trial, so the court has no finding on
52Pretext, BLACKâS LAW DICTIONARY (emphasis added); see Burdine, 450 U.S. at
256 (â[T]he proffered reason was not the true reason for the [action].â).
53Burdine, 450 U.S. at 256; see Reeves, 530 U.S. at 153 (âThe ultimate question in
every employment discrimination case involving a claim of disparate treatment is whether
the [employee] was the victim of intentional discrimination.â).
54 Reeves, 530 U.S. at 142-43 (citations omitted) (internal quotation marks omitted).
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which to rely. In the latter context, the genuine issue of material fact precludes
summary judgment.
Here, at the summary judgment state, Heinsohn produced evidence
sufficient to contest and refute C&Sâs evidence of a legitimate,
nondiscriminatory reason. In so doing, she created a genuine issue of material
fact as to whether (1) C&S had a legitimate, nondiscriminatory reason for
terminating her or (2) its articulated reason was merely pretextual.
As a preliminary observation, there is little for Heinsohn to refute or
contest. C&S produced only scant evidence of a legitimate, nondiscriminatory
reason for firing Heinsohn. âAs the ultimate issue is the employerâs reasoning
at the moment the questioned employment decision is made, a justification that
could not have motivated the employerâs decision is not evidence that tends to
illuminate this ultimate issue and is therefore simply irrelevant at this stage
of the inquiry.â 55 An employer generally will satisfy its burden of production
with âcontemporaneous written documentation.â 56 But contemporaneous
written documentation must do more than simply indicate that an employee
âviolated certain workplace rules.â 57
55 Turner v. Kan. City S. Ry. Co., 675 F.3d 887, 904 (5th Cir. 2012) (quoting Patrick
v. Ridge, 394 F.3d 311, 319 (5th Cir. 2004)).
56 Laxton v. Gap Inc., 333 F.3d 572, 580 (5th Cir. 2003); see, e.g., Davis v. Chevron
U.S.A., Inc., 14 F.3d 1082, 1087â88 (5th Cir. 1994) (â[The employer]âs affidavits and
contemporaneous evaluation forms are replete with references to [the employee]âs bad knee
and poor safety record.â). For example, when â[a]ll of the evidence of disciplinary problems
comes from memoranda or depositions written or taken after [an employee] was demoted
and, in some cases, after [an employee] filed suit,â we have noted that â[t]his after-the-fact
documentation cannot be evidence to justify a demotion because of disciplinary problems.â
Evans v. City of Houston, 246 F.3d 344, 355 (5th Cir. 2001).
57Turner, 675 F.3d at 903 (âAlthough the discharge letters state that [the
employees] were found to have violated certain workplace rules, they do not provide any
reason for [the supervisor]âs decisions to dismiss these employees: The letters are not signed
by [the supervisor]; they do not mention the employeesâ disciplinary histories; and they do
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C&Sâs only contemporaneous evidence of its reason for terminating
Heinsohn is the letter in which it stated: âBased on a review of your work, it
has been decided that your employment with [C&S] has been terminated as of
October 19, 2012.â This letter, signed by Leonard, does not indicate that
Heinsohn violated any policy or even that her work was flawed or inadequate.
Neither does it indicate who decided to terminate her. Instead, C&S relies
entirely on post hoc evidence of its reason, viz, Shawâs deposition, in which he
declared that the decision to terminate Heinsohn was his and was based on
what Escobedo and Leonard 58 had told him after her maternity had begun:
[I]t was brought to my attention that while
[Heinsohn] was on leave, files were discovered that
deadlines were missed. She had not gone to [Escobedo]
and told him deadlines were missed, and then
apparently there had been some type of attempt by
[her] to fix the error, mistakes, or omission on her part,
and that was all brought to my attention.
Although Shaw said that âfiles were discoveredâ indicating that
âdeadlines were missed,â he did not reference any specific file on which his
decision to terminate Heinsohn was based. He averred: âI do not remember
which two files I was looking at on that day, but I do remember that it appeared
that she had attempted to cover it up.â Shaw said that he did not remember
asking either Escobedo or Leonard any questions about what had occurred and
that he did not ask, nor did he need to ask, Heinsohn any questions.
There may be an explanation for this lack of specificity. There is a
genuine issue of material fact as to whether Shaw was Heinsohnâs supervisor
not give any indication that they reflect [the supervisor]âs reason for choosing to dismiss the
employees, as opposed to merely suspending them.â).
58 Notably, Leonard had no personal knowledge of what Heinsohn did or did not do.
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and, perhaps, whether he was responsible for terminating her. 59 In his
deposition, Shaw stated that he was the direct supervisor of all the employees
at C&S, including Heinsohn, and that he alone was responsible for firing her.
Yet, Heinsohnâs deposition evidences that: when she was hired, Escobedo and
Carvajal were the only others in the SSA section of C&S; that only Escobedo
or Carvajal reviewed her work; that they were her only direct supervisors; and
that Escobedo was the only lawyer responsible for any of her cases. Heinsohn
further averred that she never had any reason to communicate with Shaw,
although she knew who he was and would greet him when â[h]e did come into
the office here [sic] and then.â Shaw himself asserted that he was not involved
with C&Sâs SSA section, but instead worked in its automobile accident section.
Indeed, if Escobedo, not Shaw, was Heinsohnâs supervisor it might have been
improper for Shaw to terminate her for following Escobedoâs instructions. 60
In addition to Shawâs deposition, C&S produced a number of documents,
including files from its case management system. These notes, which are
largely contemporaneous with Heinsohnâs activity, are not themselves
evidence of the reason C&S terminated Heinsohn. 61 According to Shaw, they
are evidence that Heinsohn violated C&Sâs policies. But a genuine issue of
59 See Thrash v. Miami Univ., 549 F. Appâx 511, 522 (6th Cir. 2014) (âIn cases where
intermediate supervisors harbor an impermissible bias, âit is proper to impute their
discriminatory attitudes to the formal decisionmakerâ even if the formal decisionmaker did
not harbor such attitudes.â (quoting Bryant v. Compass Group USA Inc., 413 F.3d 471, 477
(5th Cir. 2005)).
60 Haire v. Bd. of Supârs of La. State Univ. Agric. & Mech. Coll., 719 F.3d 356, 365
(5th Cir. 2013) (noting that when an employee has âcomplied with her superiorâs directivesâ
a genuine issue of material fact exists as to whether the employee has âcommitted any
official wrongdoingâ).
61In the record, the typewritten notes from the case management system also
contain some brief handwritten notes. Carvajal made those handwritten notes during a
meeting with Rendon. Carvajal made clear that those handwritten notes reflected what
Rendon had relayed to her, not what she had discovered herself.
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material fact does exist as to whether the notes in the case management
system were authentic. C&S has produced evidence that, if uncontested, is
sufficient to prove that the files are authentic and, therefore, admissible. 62 But,
âthe authenticity of a document is a question of fact,â 63 and Heinsohn testified
that the notes are not authentic. She asserts in her deposition that the files in
the case management system have been tampered with. 64 She also contends
that anyone at C&S could have done this, because the case management
system did not contain any controls.
If the testimony of a witness with knowledge âthat an item is what it is
claimed to beâ is evidence of authenticity, 65 then the testimony of a witness
with knowledge that an item is not what it is claimed must be evidence of its
lack of authenticity. The uncontested evidence indicates that Heinsohn was
primarily responsible for creating, updating, and reviewing the relevant notes
in the case management system. Her deposition therefore creates a genuine
issue of material fact as to whether the notes in question are authentic.
Neither is it entirely clear whether the notes in the case management
system, even if authentic, constitute evidence of what Heinsohn did or did not
62FED. R. EVID. 803(6). Records of regularly conducted activity are hearsay unless,
among other things, âthe record was made at or near the time by . . . someone with
knowledgeâ and âmaking the record was a regular practice of that activity,â and that âthese
conditions are shown by the testimony of the custodian or another qualified witnessâ and
that âthe opponent does not show [read: produce evidence] that the source of information or
the method or circumstances of preparation indicate a lack of trustworthiness.â Id.
63Hill v. City of Houston, 235 F.3d 1339 (5th Cir. 2000) (â[T]he ultimate
determination of whether to believe the evidence is left for the fact-finder to decide.â);
United States v. Sparks, 2 F.3d 574, 582 (5th Cir. 1993) (â[T]he jury has the ultimate
responsibility for deciding the authenticity issue.â).
A declaration by Heinsohn and Leonard, which summarized a meeting between
64
them, Escobedo, and Rendon six months prior to Heinsohnâs termination, reveals that
Heinsohn believed the files were being tampered with.
65 FED. R. EVID. 901(b).
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do. This is because it is not clear exactly what C&S required her to record in
those notes. The uncontested evidence indicates that Heinsohn did not receive
any training on C&Sâs policies. In her deposition, Heinsohn declared that she
had no experience in SSA cases before she came to C&S. She also explained:
Well, it was a lot of learning while on the job.
There were noâpretty much, no procedures and polâ
in in place, no polic[ies] in place, no written policy or
procedure in place at that time. The training that I did
receive was very limited, and it was a two-hour, three-
hour summary given by Maria Carbajal and thatâs it.
Heinsohn averred that, if she had questions, she would ask Escobedo or
Carvajal. When asked how long it had taken her to feel âcomfortable or that
[she] had an appropriate understanding ofâon what was required,â she
replied: âI always had questions. I always felt that the training was very
limited. As a matter of fact, [Rendon] and I, we often had questions about
[things] that [Carvajal] didâknew nothing about, so we had to literally call the
[SSA].â 66
The uncontested evidence further reflects that Escobedo and Carvajal
did not closely supervise Heinsohn or Rendon. Heinsohn declared that the SSA
cases proceeded almost entirely without Escobedo: âMany times we did win
cases without [Escobedo] even touching a file.â Escobedo contended that he did,
in fact, review Heinsohnâs and Rendonâs notes on occasion to ensure that âwe
donât miss any deadlines.â Yet, Carvajal, who conducted those reviews, stated
that there was not a set âamount of months or weeksâ between reviews.
Instead, she said that it âdepend[ed] on how busy I am,â but that the reviews
occurred about every six months.
66 In fact, Heinsohn herself arranged for a representative of the SSA to come to C&S
to conduct training for her, Rendon, and Carvajal. The training lasted two or three hours.
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C&S has not produced evidence of any written policy dictating exactly
what Heinsohn was required to include in her notes in the case management
system; only evidence that Escobedo and Carvajal orally instructed Heinsohn
to maintain such notes. C&S adduced evidence that Heinsohn did, in fact,
maintain notes. Yet, because there is no uncontested evidence of any policy, it
is not clear whether the notes Heinsohn maintained in the case management
system should amount to exhaustive evidence of what Heinsohn did or did not
do. For instance, it is not clear that C&S required Heinsohn to record every
telephone call she placed to or received from a client or to the SSA. To the
contrary, there is undisputed evidence that Heinsohn did not record every such
call, indicating that the notes were incomplete.
Assuming, however, that the notes in the case management system were
authentic and complete, there is also a genuine issue of material fact as to
whether they indicate that Heinsohn violated C&Sâs policies. These notes
provide the only evidence of C&Sâs legitimate, nondiscriminatory reason for
terminating Heinsohn. 67 As earlier observed, Shaw insisted that C&S
terminated Heinsohn because, according to these notes, she had failed to meet
deadlines and then âtried to hide the ball and hope that no one would discover
it.â This might be a legitimate, nondiscriminatory reason for terminating
Heinsohn if she did, in fact, fail to meet deadlines and if she did, in fact,
attempt to conceal that failure. We consider each in turn. But those facts are
genuinely contested.
A. FAILURE TO MEET DEADLINES
In his deposition, Shaw stated: â[I]t is my policy with all the employees
under me, as well as the attorneys under me, ifâif thereâs . . . a missed deadline
67 C&S, for example, largely did not provide its correspondence to or from the SSA.
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. . . on a clientâs file, then they need to come in to see me immediately. Then I
would expect that to occur. If it didnât occur, Iâd want to know why.â C&S,
however, has not produced any evidence that it had such a policy in place. Even
if this was Shawâs own practice âwith all the employees under me,â it is not
clear whether Heinsohn was an employee âunderâ him, orâif she wasâ
whether he made her aware of the policy. Although Shaw stated that he was
Heinsohnâs supervisor, 68 he has also indicated elsewhere that he was not. 69 In
so doing, he calls the credibility of his own testimony into dispute.
In their own depositions, affidavits, and declarations, Escobedo,
Carvajal, Rendon, and Heinsohn 70 state that Escobedo and Caravjal, not Shaw,
were Heinsohnâs supervisors. Escobedo was the supervising lawyer, and
Carvajal was the supervising legal assistant. Again, Heinsohn stated that she
never had any interaction with Shaw because he worked in a different
section. 71 This, too, creates a genuine issue of material fact.
But, even if Shawâs policy applied to Heinsohn and even if he had made
her aware of it, there is no evidence that Heinsohn violated it. Shaw clarified
68 Shaw stated that he was the direct supervisor of all the employees at the firm.
69 Shaw testified: âIt would be my perception that it would be [Escobedoâs] job to
monitorâintake the information as to if errors are occurring if someone needs to be
disciplined and bring it to my attention or [Leonard]âs attention saying, Here is the specific
issues. Okay?â But: â[I]f itâs something that he thinks he can correct, for example, daily
NeedleâNeedles documentation, if he thinks that he can correct that, would probably
defer to him in his discussions. He should be having discussions with his employeesânot
his employees. Let me rephrase that. The individual that heâs supervising. [Heinsohn] is my
employee.â
70Heinsohn repeatedly maintained that her supervisors were Escobedo and
Carvajal. She also said that Escobedo was Carvajalâs supervisor. Heinsohn testified that
she would request time off from Escobedo and Leonard, but that she would let Carvajal
know.
71She also stated: âI didnât really work with [Shaw]. But [from] what I knew about
him as far as the way he tried to treat his employees [I did like him].â
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that, if C&S had not received notice of the event triggering the deadline, âyes,
a deadline would have been technically missed,â but also that the employee
would not be responsible for failing to meet that deadline. This appears to be
consistent with Escobedoâs policy as well. When asked whether, as her
supervisor, he would hold Heinsohn responsible for missing a deadline if she
was not copied on a letter notifying C&S of the event triggering that deadline,
he replied: âNo. Itâs not her fault.â Rendon confirmed this in her deposition. 72
Stated differently, a deadline would have been missed but not by the employee.
Significantly, the notes from the case management system indicate that
although deadlines were missed, those deadlines were not missed by Heinsohn.
In both cases, Heinsohnâs notes indicate that the SSA did not copy her on the
notice of the event triggering the deadline. 73 Assuming, as we must, that C&S
was not copied on the notices, the deadlines were not missed by Heinsohn. This
is consistent with Heinsohnâs deposition, in which she stated that the notes
âwould show somebody missing a deadlineâ but that, â[t]o my knowledge, I
never missed a deadline and I stand by that.â
Shaw said that he terminated Heinsohn because the notes in the case
management system indicated that a deadline was missed by her. But, to the
contrary, the uncontested evidence indicates that the deadline was not missed
by Heinsohn, so she did not violate C&Sâs policy.
72 In her deposition, Rendon was asked: âEven though Heinsohn didnât know about
it, she still would have been responsible for the deadline?â She responded: âNo.â She was
also asked: âWould Maria Carvajal or George Escobedo hold you responsible for a deadline
if you didnât know the deadline existed or if the letter hadnât been sent out yet?â She
responded, in part: âI would have to say no, they wouldnât hold us accountable . . . .âLater
on, Rendon remarked: â[If Heinsohn] wasnât ccâd [on the notice of an event triggering a
deadline], you can only assume she didnât miss the deadline.â
73C&S, which adduced the notes themselves, did not adduce any evidence refuting
or contesting those notes.
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B. FAILURE TO FOLLOW UP
Shaw declared that he âwould expect any of my employees, if theyâve been
told by a client that an event [triggering a deadline] has occurred, that they
[would] at least react on that event or come to an attorney and ask them how
to react on that event.â 74 (It is not entirely clear whether, in this instance,
âexpectâ means ârequireâ or merely âassume.â) Rendon likewise stated that,
although Escobedo and Carvajal âwouldnât hold us accountableâ for a deadline
if she or Heinsohn were not aware of it, they would âif they knew that we hadnât
called the client and hadnât followed up.â
The notes that Heinsohn maintained in the case management system
indicate when and how she became aware of each of the deadlines that was
missed. The notes in the cases facially indicate that the SSA did not provide
C&S with notice of the event triggering the deadline, as it was required to do. 75
The notes also indicate that C&S received notice in each after the deadline had
already been missed, and that Heinsohn responded immediately by preparing
and sending a good-cause letter to the SSA. 76 In addition, the notes Heinsohn
74 Therefore, âif a client says, oh, I received a document on the denial, you wouldnât
blow it off. You would definitely follow up on it immediately and walk into the attorneyâs
office immediately.â
75 The SSA regulations provide: âYou may appoint someone to represent you in any
of your dealings with us.â 20 C.F.R. § 404.1700; 20 C.F.R. § 416.1500. âWe shall send your
representative . . . [n]otice and a copy of any administrative action, determination, or
decision . . . .â 20 C.F.R. § 404.1715(a) (emphasis added); see 20 C.F.R. § 416.1515(a). âA
representative must not . . . [t]hrough his or her own actions or omissions, unreasonably
delay or cause to be delayed, without good cause . . . .â 20 C.F.R. § 404.1740(c); 20 C.F.R.
§ 416.1540(c). âIf you want us to extend the deadline to request administrative or judicial
review, you must establish that there is good cause for missing the deadline.â 20 C.F.R.
§ 405.20(a); see 20 C.F.R. § 404.911(b); 20 C.F.R.§416.411(b). âExamples of circumstances
that, if documented, may establish good cause include, but are not limited to, the
following: . . . You did not receive notice of the determination or decision . . . .â 20 C.F.R. §
405.20(b); see 20 C.F.R. § 404.911(b); 20 C.F.R.§ 416.411(b).
76 In the first case, the client received notice of the event triggering the deadline. The
client contacted Heinsohn, who requested that the client transmit the notice by fax to her.
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maintained indicate that she made contact with each client and with the SSA
before and after the event triggering the deadline. Likewise, the evidence does
not suggest that these notes were, in fact, an exhaustive and complete record
of those interactions. For example, some notes required that the reader see the
âfileâ with questions, and Heinsohn herself indicated that she kept separate
notes. 77 There is a genuine issue of material fact whether Heinsohn violated
C&Sâs policy by failing to follow up adequately with a client or with the SSA.
C. FAILURE TO DISCLOSE UNMET DEADLINES
The uncontested evidence indicates that, rather than âhiding the ball,â
Heinsohn contemporaneously recorded the circumstances of each of the missed
deadlines in her notes in the case management system. All of these notesâ
which provide the sole basis for C&Sâs proffered legitimate, nondiscriminatory
reason for firing herâwere accessible to Escobedo and Carvajal from the
moment they were created. Escobedo himself stated that they reviewed the
notes, in part to ensure that âwe donât miss any deadlines.â Escobedo also said:
âMy function is mainly to makingâmake these casesâor the case management
of these cases, make them go forward, make sure we donât miss deadlines,
things like that.â The only evidence of missed deadlines that C&S has produced
are Heinsohnâs own notes, which were entered contemporaneously with her
learning of the missed deadlines. Those notes were available to Escobedo and
Carvajal at all times. Again, C&S has not produced evidence that, in addition
to informing Escobedo of the missed deadlines by maintaining the notes in the
The client failed to do so. Eventually, Heinsohn received notice from the SSA directly, at
which point the deadline had been missed. It is not clear, however, whether Heinsohn had
any other contact with the client or the SSA in addition to that recorded in the notes.
77 Heinsohn said: âYou wrote [notes] down just in case the system went down, just in
case, for whatever reason , the system wasâthe program was manipulated with, you had
your own record and you could make sure that you kept on track of what was going on.â
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case management system, Heinsohn was also required to inform him of the
missed deadlines through other means.
D. SENDING GOOD-CAUSE LETTERS
The uncontested evidence demonstrates that Escobedo permitted
Heinsohn to function somewhat autonomously. She stated: âMany times we did
win cases without [Escobedo] even touching a file.â In fact, it appears that
Escobedo permitted Heinsohn to prepare and sign good-cause letters on his
behalf. When asked whether Escobedo authorized Heinsohn to prepare and
send good-cause letters on his behalf, Shaw replied: âYouâd have to ask him
that question.â Shaw also said: âI would expect [Escobedo] to be involved in the
decision[-]making of sending out a good[-]cause letter.â He did not say that he
or C&S had actually required this of Escobedo. Shaw remarked that he asked
Escobedo if he had signed the good-cause letters in the cases, and â[Escobedo]
said he was unaware of the entire situation until it was brought to his
attention.â This, however, is hearsay. And even if it were not, it does not resolve
whether Escobedo had provided Heinsohn with general authorization to
prepare and send good-cause letters on his behalf. 78 Shaw stated: âI donât know
if . . . there was any supervision or oversight or approval on those letters . . . .â
In fact, Escobedo himself said that, although â[Heinsohn] wrote a good-
cause letter to the [SSA] saying that we never got noticeâ on his behalf and
although he was unaware of the entire situation, Escobedo conceded that her
doing so âwasnât necessarily my problem with it.â The uncontested evidence
indicates that Heinsohn was not required to obtain Escobedoâs authorization
before sending good-cause letters.
78It goes without saying that, when considering evidence in the light most favorable
to Heinsohn, we consider only that evidence in the record itself.
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E. FAILURE TO COMPLETE TASKS
Before beginning her maternity leave, Heinsohn met with Escobedo and
Rendonâbut not with Carvajalâto review her pending cases. According to
Escobedo: â[P]rior to her leaving, I asked [Heinsohn], Please, Cynthia in
fairness toâto [Rendon] and everyone else here thatâs [sic] going to take on
your cases, please make sure all the appeals are filed and calls are returned,
and, you know, things that are doneâthat need to be done get done before you
leave, and she promised me that they had been done.â 79 Heinsohn, however,
recalled it differently. She said that Escobedo had merely instructed her to
â[j]ust make sure that [Rendon] was up to speed on everything.â When asked
whether there was anything else Escobedo had instructed her to do, she
replied: âNot that I recall, no.â As a preliminary matter, there is a genuine
issue of material fact about what Heinsohn was required to do before she left
on maternity leave. 80
Even so, the notes themselves reflect that, before leaving, Heinsohn
completed all outstanding work in her pending cases. Although Heinsohn was
aware that two deadlines had been missed because of the SSAâs failure to
provide C&S notice of the events triggering those deadlines, Heinsohn
prepared and sent good-cause letters to the SSA for both. Until the SSA ruled
on those good-cause letters, there was nothing further for her to do. 81 The notes
79In his declaration, Escobedo stated: âI had specifically asked [Heinsohn] to make
sure there were no pending deadlines, appeals, or pending issues with any of her clients.
She said she would take care of these matters.â
80C&S seems to suggest that Heinsohn had some obligation, before leaving, to
complete all of the work that she would have done had she not left. For instance, it asserts
that she should have prepared and filed the appeals that would become due during her
absence.
The evidence indicates that the SSA eventually granted relief in response to both
81
good-cause letters.
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also plainly indicate that Heinsohn had updated the clients on the status of
their cases, including that deadlines were missed and good-cause letters sent.
Escobedo, Carvajal, and Rendon all had access to Heinsohnâs notes in the
case management system, so they were at least constructively aware of the
status of each of her cases, including any missed deadlines and good-cause
letters. And, before Heinsohn left, Rendon actually knew the status of each
case, including the missed deadlines and good-cause letters.
Rendon became aware of the missed deadline and good-cause letter in
one of the two relevant cases while Heinsohn was transferring the cases to
her. 82 Rendon stated that, even though the notes for that case indicated a
missed deadline, the deadline was not missed by Heinsohn, assuming the notes
were accurate. Rendon said that the notes indicated that Heinsohn had not
been copied on the notice of the event triggering the deadline and, â[i]f
[Heinsohn] wasnât ccâd, you can only assume she didnât miss the deadline.â
Rendon learned of the missed deadline in the other relevant case on
Heinsohnâs last day. Rendon said that she answered a telephone call from the
SSA regarding the good-cause letter Heinsohn had sent on several days
earlier. 83 In her deposition, Rendon declared that âI went ahead and let
[Heinsohn] know.â She also entered a note in the case management system
indicating the same. (After Rendon âlet her knowâ about the call, Heinsohn
entered another note in the system clarifying the status of the case.) Notably,
Rendon said in her deposition that, when she took that call and entered the
She was asked whether she became aware of the missed deadline when
82
â[Heinsohn] handed off the cases to you . . . that you were going through the files?â To
which she answered: âYes, I think thatâs when it was.â
83In her declaration, Rendon stated: âBefore [Heinsohn], left I was taking all the
calls and new intakes . . . .â
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note, it was not even Heinsohnâs case anymore; she said â[i]t was my case.â
Rendon said that, even after becoming aware of this missed deadline in her
own case, she did not need to make Escobedo aware of it: âI did not mention it
until . . . Escobedo received the letter that [Heinsohnâs] good[-]cause [letter]
was approved.â Rendon acknowledged that, despite all this, she never asked
Heinsohn for clarification about the two cases, either before or after she left.
At this summary judgment stage of the proceedings, the uncontested
evidence makes clear that Heinsohn acted consistently with Escobedoâs
instructions. Her alleged failure to adhere to those instructions could not have
provided a legitimate reason for firing her.
In sum, there are genuine issues of material fact that preclude summary
judgment. To determine whether C&Sâs nondiscriminatory reason for
terminating Heinsohn was legitimate or pretextual, a finder of fact must weigh
the evidence. At bottom, the magistrate judge and district court erred in
rejecting Heinsohnâs statements as self-serving and accepting Shawâs,
Escobedoâs, Caravajalâs, and Rendonâs. Such an âapproach is inconsistent with
fundamental rules governing summary judgment.â 84 âBy choosing which
testimony to credit and which to discard, â[a] court improperly âweigh[s] the
evidenceâ and resolve[s] disputed issues in favor of the moving party.ââ 85 Doing
so is tantamount to making a credibility determination, andâat this summary
judgment stageâa court âmay make no credibility determinations.â 86 Instead,
a court âmust disregard all evidence favorable to the moving party that the
84 Burton v. Freescale Semiconductor, Inc., 798 F.3d 222, 236 (5th Cir. 2015).
85 Id. (quoting Tolan v. Cotton, 134 S.Ct. 1861, 1866 (2014)).
86 Chambers v. Sears Roebuck & Co., 428 F. Appâx 400, 407â408 (5th Cir. 2011)
(citing Chaney v. Dreyfus Service Corp., 595 F.3d 219, 229 (5th Cir. 2010)); see Whiteside v.
Gill, 580 F.2d 134, 139 (5th Cir. 1978) (âThis case boils down to a credibility choice. We
cannot make that choice on the record before us.â).
Case: 15-50300 Document: 00513609773 Page: 30 Date Filed: 07/26/2016
No. 15-50300
[finder of fact] is not required to believe.â 87 Although a court âis not required to
accept the nonmovantâs conclusory allegations, speculation, and
unsubstantiated assertions which are either entirely unsupported, or
supported by a mere scintilla of evidence,â 88 a nonmovantâs statement may not
be rejected merely because it is not supported by the movantâs or its
representativesâ divergent statements.
Simply put, Heinsohnâs statements are no more and no less self-serving
than those of the others. If we toss Heinsohnâs deposition, we must also toss
the depositions, affidavits, and declarations of the others for the same reason.
To hold otherwise would signal that an employeeâs account could never prevail
over an employerâs. This would render an employeeâs protections against
discrimination meaningless.
When, as here, a motion for summary judgment is premised almost
entirely on the basis of depositions, declarations, and affidavits, a court must
resist the urge to resolve the disputeâespecially when, as here, it does not
even have the complete depositions. Instead, the finder of fact should resolve
the dispute at trial.
III.
CONCLUSION
For the forgoing reasons, we REVERSE and REMAND for further
proceedings consistent with this opinion. We express no view on how the finder
of fact should resolve this dispute on remand. We decide this appeal only on
the basis of the record before us at this relatively early stage.
87 Chambers, 428 F. Appâx at 407â408 (emphasis added).
88 Id.