ILLINOIS OFFICIAL REPORTS
Appellate Court
Sustatia v. Shannon, 2012 IL App (2d) 101230
Appellate Court ELIZABETH SUSTATIA, Plaintiff-Appellant, v. CATHERINE M.
Caption SHANNON, Director of the Department of Labor, THE DEPARTMENT
OF LABOR, and WEST SUBURBAN BANCORP, INC., Defendants-
Appellees.
District & No. Second District
Docket No. 2-10-1230
Rule 23 Order filed December 30, 2011
Rule 23 Order
withdrawn February 15, 2012
Opinion filed February 15, 2012
Held The Department of Labor’s denial of plaintiff’s complaint alleging that
(Note: This syllabus her former employer improperly denied her request for unpaid leave to
constitutes no part of address a domestic violence issue pursuant to the Victim’s Economic
the opinion of the court Security and Safety Act was affirmed where the finding that plaintiff was
but has been prepared not credible was not against the manifest weight of the evidence and the
by the Reporter of finding that plaintiff was not on valid leave for purposes of the Act was
Decisions for the not clearly erroneous.
convenience of the
reader.)
Decision Under Appeal from the Circuit Court of Kane County, No. 09-MR-307; the Hon.
Review Michael J. Colwell, Judge, presiding.
Judgment Affirmed.
Counsel on Charles Drake Boutwell, of Northbrook, for appellant.
Appeal
Michael Resis and Allison L. Chaplick, both of SmithAmundsen LLC, of
Chicago, and Jeffrey A. Risch, of SmithAmundsen LLC, of St. Charles,
for appellee West Suburban Bancorp, Inc.
Lisa Madigan, Attorney General, of Chicago (Michael A. Scodro,
Solicitor General, and Clifford W. Berlow, Assistant Attorney General,
of counsel), for other appellees.
Panel PRESIDING JUSTICE JORGENSEN delivered the judgment of the
court, with opinion.
Justices Bowman and Zenoff concurred in the judgment and opinion.
OPINION
¶1 Plaintiff, Elizabeth Sustatia, filed a complaint with defendant the Department of Labor
(Department), alleging that her former employer, defendant West Suburban Bancorp, Inc.
(bank), improperly denied her request for unpaid leave to address a domestic violence issue
under the Victim’s Economic Security and Safety Act (the Act) (820 ILCS 180/1 et seq.
(West 2008)). Defendant Catherine M. Shannon, the Department’s Director (Director),
adopted and upheld the administrative law judge’s (ALJ’s) findings and recommendations
and denied plaintiff’s complaint. On administrative review, the trial court affirmed the
Department’s order. Plaintiff appeals, challenging the Department’s findings that she did not:
(1) take valid leave under the Act; and (2) provide sufficient corroborating documents. For
the following reasons, we affirm.
¶2 I. BACKGROUND
¶3 From October 2002 to August 16, 2006, plaintiff worked for the bank as a personal
banker. On April 28, 2006, plaintiff informed the bank that she would miss work on May 8,
2006, to attend court in the criminal prosecution of Torance Henderson, her boyfriend, for
domestic battery.
¶4 The domestic battery charges arose from a December 6, 2005, incident with Henderson,
with whom plaintiff had lived since September 2002. Henderson attacked plaintiff in their
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Aurora residence by sitting on top of her and trying to strangle her. T.H. (age nine at the
time), plaintiff and Henderson’s son, witnessed the attack. Plaintiff sought treatment that day
at Dreyer Medical Center with Drs. Richard Kelly and Ashok Jagasia; she was also
subsequently treated by Elaine Brodermus, a licensed clinical social worker. The following
day, December 7, 2005, plaintiff reported the attack to the Aurora police department, and on
December 22, 2005, the State filed a complaint against Henderson, charging him with two
counts of domestic battery (720 ILCS 5/12-3.2(a)(1), (a)(2) (West 2004)).1 Prior to the attack,
on October 26, 2005, Henderson had filed an emergency petition for custody of T.H. Plaintiff
testified that, some time after the domestic battery complaint was filed, plaintiff and
Henderson agreed that Henderson would drop the pending custody petition if plaintiff would
drop or not proceed with the domestic battery case. On December 13, 2005, plaintiff and
T.H. moved out of the Aurora home. On February 6, 2006, Henderson withdrew his custody
petition. The hearing on the domestic battery case was set for May 8, 2006.
¶5 On April 28, 2006, plaintiff informed her supervisor, Dawn Oles, and a member of the
bank’s human resources department, Kelly Pilch, of the May 8 court proceeding. Pilch
informed plaintiff that, to qualify for leave under the Act, she would have to provide a letter
from her attorney or other suitable court documents stating that the court date was related to
the December 6, 2005, domestic violence incident and corroborating her appearance. Pilch
subsequently, on May 2, requested that plaintiff provide corroborating evidence and a sworn
statement; Pilch later, on May 15, provided a form to be used as the sworn statement;
plaintiff submitted the statement on May 23.
¶6 Plaintiff contacted Robert Labak, a licensed clinical social worker who was treating T.H.
and subsequently, on May 4, 2006, began treating plaintiff, requesting a letter excusing her
from work for the court hearing. Labak prepared a letter (Labak letter No. 1), dated May 2,
2006, requesting that plaintiff be excused to attend the court hearing, which was “essential
to expedite the resolution of several key issues impacting the psychological well-being of her
son for whom I continue to provide outpatient treatment.” Plaintiff provided the letter to the
bank’s vice president of human resources, Mary Ellen Condon, who responded that the letter
was insufficient to satisfy the Act. Condon instructed plaintiff that she could provide a letter
from either her attorney or the court.
¶7 On May 5, 2006, three days before the hearing, plaintiff requested that Labak provide a
revised letter including requests for additional days off of work. Labak drafted a second letter
(Labak letter No. 2), dated May 5, 2006, requesting that plaintiff, whom he referred to as his
patient, be excused from work on May 8 “to appear at a scheduled court date” related to “an
incident of domestic violence that occurred in December of 2005” and that plaintiff also be
excused on May 10 and 11. A May 15, 2006, letter from Pilch to plaintiff acknowledged
receipt of Labak letter No. 2 (on May 11, 2006) and noted that the bank accepted it as proper
certification of the May 8 court date. Pilch also requested that plaintiff sign a sworn
statement (a draft of which was included with the letter).
1
As to T.H., a subsequent Department of Children and Family Services investigation resulted
in an “unfounded” report of alleged child abuse or neglect.
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¶8 Plaintiff testified that, on May 8, 2006, she arrived at the courthouse at 8:40 or 8:45 a.m.
At court, plaintiff knew only Henderson. They discussed their agreement: that plaintiff would
not pursue the criminal case because Henderson had dropped the custody case. Plaintiff
stated that she spoke with Assistant State’s Attorney Mike Fisher about dropping the case:
“I asked what it was that I needed to do to make sure that there wouldn’t be any charges
against [Henderson] and if I could drop the case.” According to plaintiff, Fisher stated that
only the State could drop the case. She related this information to Henderson, who sat next
to her in the courtroom, and Henderson suggested that plaintiff not respond when her name
was called as a witness. Plaintiff further testified that she waited outside the courtroom in the
afternoon when the case was called. The court entered a nolle prosequi order, noting in its
written order that it was granting the State’s nolle prosequi motion due to plaintiff’s failure
to appear as a witness and the State’s inability to proceed without her testimony. Plaintiff and
Henderson left the courthouse at 1:30 p.m. Plaintiff testified that, later that day, she attended
an appointment with Labak.
¶9 On May 23, 2006, plaintiff signed a form that was drafted by Condon, swearing that her
May 8 absence from work was related to her participation in court proceedings pertaining to
an act of sexual or domestic violence and that she was seeking medical attention or
counseling as a result. Plaintiff was absent from work on June 21, 2006. In a letter dated the
same day to Labak (and copying plaintiff), Condon requested clarification as to how Labak
was able to corroborate plaintiff’s May 8 court appearance. On either July 7 (per Condon)
or July 10 (per plaintiff), plaintiff informed Condon that Labak was not present in court on
May 8.
¶ 10 On July 17, 2006, Condon, via a letter, informed plaintiff that, as a result of her failure
to provide acceptable corroborating evidence, the bank was reversing its position that
plaintiff was entitled to leave under the Act on May 8, 2006, and that it would instead code
that date as a paid vacation day. (However, plaintiff continued to pursue the matter as leave
under the Act.) Condon also noted that she had not received any response from Labak to her
request for clarification and noted that plaintiff herself had informed Condon that Labak was
not present at court on May 8, so he could not corroborate plaintiff’s presence. She again
requested corroborating evidence.
¶ 11 In a letter dated June 27, 2006 (Labak letter No. 3), Labak responded to Condon’s June
21 letter, but plaintiff refused to permit Labak to release the letter to the bank. In that letter,
which plaintiff subsequently attached to her complaint, Labak stated that he could
authenticate plaintiff’s attendance at the court date because he saw her as a patient “later that
evening for a documented appointment wherein she spoke credibly of the specifics of the
emotional experience.” Plaintiff testified that she did not turn in the letter to the bank because
it did not refer to any court record or document that Labak reviewed and he was not in court.
“He could not corroborate that I was there.”
¶ 12 On August 9, 2006, via letter, Condon again requested from plaintiff corroborating
evidence of the court date and noted that she had not received a response from Labak.
Condon requested that plaintiff report to Condon’s office on August 14, 2006, at 9 a.m. with
corroborating evidence.
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¶ 13 Plaintiff did not report to work or Condon’s office on August 14, 2006. On August 15,
2006, plaintiff was suspended for insubordination and misconduct for failure to provide
appropriate validation of her court appearance. On August 16, 2006, the bank terminated
plaintiff’s employment due to insubordination and misconduct for failure to follow
management’s directions to provide written corroboration to validate the court appearance.
¶ 14 On August 15, 2006, prior to her termination, plaintiff filed a complaint with the
Department, alleging a violation of the Act. Specifically, she argued that the bank denied her
statutory rights by retroactively reversing leave approval and by harassing her. On September
22, 2006, the Department found reasonable cause for plaintiff’s claim that the statute had
been violated. On May 1, 2007, plaintiff filed an amended complaint with the Department,
arguing that she was discharged as a result of taking leave under the Act and/or in retaliation
for such leave. She also alleged that the bank harassed her, discriminated against her, and
denied her rights under the statute, in that the bank: repeatedly requested information that
plaintiff did not have; retroactively withdrew its approval and then suspended her for taking
leave on May 8; discharged her for taking leave on that date; and retaliated against her by
discharging her.
¶ 15 Hearings were held in June and July 2007. On August 1, 2008, the ALJ issued his final
recommendations to the Director in which he recommended that there be a finding of no
violation of the Act and that plaintiff’s complaint be denied. The ALJ found that both
plaintiff and T.H. were victims under the Act and that plaintiff met the statute’s notice
requirements. However, the ALJ further found that: (1) based in part on his negative
assessment of plaintiff’s credibility, plaintiff was not on valid leave under the Act; (2)
plaintiff did not provide corroborating evidence under the Act; and (3) although the bank
committed improper actions (specifically, its construction of “corroborating evidence” was
unreasonable), they did not constitute violations of the statute because the bank did require
corroborating evidence (showing that she prepared for, attended, or participated in the
domestic battery proceeding) and plaintiff did not provide it. The ALJ also found that,
because plaintiff did not prevail on her claim under the Act, the damages and attorney fees
issues were moot.
¶ 16 The ALJ’s specific findings concerning plaintiff’s credibility were as follows. The ALJ
noted that, at the conclusion of the liability portion of the hearing, he initially found plaintiff
“generally and overall credible[;] however, in some areas, only by the slimmest margins.”
As to the attack, the ALJ found plaintiff credible because there was other credible evidence,
namely, T.H.’s testimony, to support her testimony. As to whether plaintiff prepared for,
attended, or participated in the domestic battery proceeding, the ALJ first found that plaintiff
was not a witness (as supported by plaintiff’s testimony and the nolle prosequi order) and
that she did not attend the proceeding (as supported by plaintiff’s testimony). As to whether
plaintiff prepared for or participated in the proceeding, the ALJ found that plaintiff was not
credible. The ALJ’s somewhat positive assessment of plaintiff’s credibility during the
liability portion of the hearing “shifted substantially against her” during the damages portion.
The ALJ noted that, during the liability portion, plaintiff made inconsistent statements
concerning her reporting of medical conditions, such as bruising to her arms, and the year
she obtained a copy of the domestic battery case file (confusing 2006 and 2007). The ALJ
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further found that, during the damages portion, plaintiff made oral changes to a previously
submitted affidavit concerning places of employment and the year she took real estate
courses (confusing 2003 and 2007). The ALJ found that (during both portions of the hearing)
plaintiff’s demeanor during her principal testimony was substantially different depending on
the topic. The ALJ found plaintiff nervous and (authentically) imprecise or vague during her
principal testimony, but “unnaturally precise” concerning the May 8, 2006, courthouse
events. Plaintiff “knew, without hesitation, the name of the assigned [a]ssistant State’s
Attorney[;] she knew within a few minutes when court was in session and when it was not.
This testimony did not compare favorably with [plaintiff’s] general inability to remember
correctly a specific year.” Finally, the ALJ found that plaintiff’s demeanor substantially
weighed “against Labak Letter 3.”
¶ 17 On May 5, 2009, the Director issued her final decision and order, adopting and upholding
the ALJ’s recommendations and denying plaintiff’s complaint. Plaintiff sought
administrative review in the circuit court and, on October 4, 2010, the court affirmed the
Director’s decision. Plaintiff appeals.
¶ 18 II. ANALYSIS
¶ 19 Plaintiff challenges the Director’s findings that she: (1) was not on valid leave under the
Act; and (2) did not provide sufficient corroborating documents. For the following reasons,
we reject plaintiff’s first argument and need not address her second claim.
¶ 20 A. Plaintiff’s Statement of Facts
¶ 21 Preliminarily, we note that plaintiff’s statement of facts is argumentative. Illinois
Supreme Court Rule 341(h)(6) (eff. Mar. 16, 2007) requires in part that a party’s statement
of facts contain “the facts necessary to an understanding of the case, stated accurately and
fairly without argument or comment.” Although our review of plaintiff’s statement of facts
reveals that it does not comply with Rule 341(h)(6), plaintiff’s violations of the rule do not
hinder our review of the case. We have disregarded arguments in plaintiff’s statement of
facts and caution plaintiff’s counsel to avoid such violations in future appeals.
¶ 22 B. Standards of Review
¶ 23 Judicial review of a Department decision concerning the Act is governed by the
Administrative Review Law (735 ILCS 5/3-101 et seq. (West 2010)). 820 ILCS 180/35(a)
(West 2010).2 In a proceeding for administrative review, we review the decision of the
administrative agency, rather than that of the circuit court. Wade v. City of North Chicago
Police Pension Board, 226 Ill. 2d 485, 504 (2007).
¶ 24 In an administrative review case, the standard of review depends on what is in dispute:
2
The office of the Attorney General may intervene, as it has done here, on the Department’s
behalf in cases of general public importance, if the Department so certifies. 820 ILCS 180/35(a)(3)
(West 2010).
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the facts, the law, or a mixed question of fact and law. Marconi v. Chicago Heights Police
Pension Board, 225 Ill. 2d 497, 532 (2006) (per curiam). Where the historical facts are
admitted or established, the controlling rule of law is undisputed, and the issue is whether
the facts satisfy the statutory standard, the case presents a mixed question of fact and law, for
which the standard of review is “clearly erroneous” (AFM Messenger Service, Inc. v.
Department of Employment Security, 198 Ill. 2d 380, 391-94 (2001)); we will reverse the
agency’s decision only if we are “ ‘left with the definite and firm conviction that a mistake
has been committed’ ” (id. at 395 (quoting United States v. United States Gypsum Co., 333
U.S. 364, 395 (1948))). However, where the historical facts are admitted or established, but
there is a dispute as to whether the governing legal provisions were interpreted correctly by
the administrative body, the case presents a purely legal question, for which our review is de
novo. Hossfeld v. Illinois State Board of Elections, 238 Ill. 2d 418, 423 (2010). Further, we
review de novo questions of statutory construction. Young-Gibson v. Board of Education of
the City of Chicago, 2011 IL App (1st) 103804, ¶ 39. We reverse rulings on questions of fact
only if they are against the manifest weight of the evidence. Carpetland U.S.A., Inc. v.
Illinois Department of Employment Security, 201 Ill. 2d 351, 369 (2002).
¶ 25 C. The Act
¶ 26 The Act, which became effective on August 25, 2003 (Pub. Act 93-591 (eff. Aug. 25,
2003) (adding 820 ILCS 180)), was enacted to: (1) promote the State’s interest in reducing
domestic or sexual violence by enabling victims to maintain financial independence to leave
abusive situations and to reduce the economic consequences of such violence to employers
and employees; and (2) protect the employment and civil rights of employees or their
families who are victims of domestic or sexual violence. 820 ILCS 180/15(1), (2) (West
2010).
¶ 27 Under the Act, employed victims of domestic or sexual violence and employees with
family or household members who are victims of such violence may “take unpaid leave to
seek medical help, legal assistance, counseling, safety planning, and other assistance without
penalty from their employers.” 820 ILCS 180/15(3) (West 2008). An employee may take up
to 12 weeks of unpaid leave from work to address domestic or sexual violence by, inter alia,
“seeking legal assistance or remedies to ensure the health and safety of the employee or the
employee’s family or household member, including preparing for or participating in any civil
or criminal legal proceeding related to or derived from domestic or sexual violence.”3 820
ILCS 180/20(a)(1)(E), (a)(2) (West 2008).
¶ 28 To take leave under the Act, the employee must, if practicable, provide the employer with
3
The other permissible bases are: (1) seeking medical attention or recovering from injuries
caused by the violence; (2) obtaining services from a victim services organization; (3) obtaining
psychological or other counseling; and (4) participating in safety planning, relocating, or taking other
actions to increase the employee’s (or the employee’s family or household member’s) safety from
future domestic or sexual violence or to ensure economic security. 820 ILCS 180/20(a)(1) (West
2010).
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at least 48 hours’ advance notice of his or her intention to take such leave. 820 ILCS
180/20(b) (West 2008). The statute also contains a certification requirement, which is at
issue in this appeal. “When an unscheduled absence occurs, the employer may not take any
action against the employee if the employee, within a reasonable period after the absence,
provides certification” as specified in the statute. Id. An employer may require that the
employee certify that the employee or a family or household member is a victim of domestic
or sexual violence and that the leave is for a purpose enumerated in the statute. 820 ILCS
180/20(c)(1) (West 2010). If so requested, the employee must provide the certification to his
or her employer within a reasonable period after it is requested. Id. An employee satisfies the
certification requirement:
“by providing to the employer a sworn statement of the employee, and upon
obtaining such documents the employee shall provide:
(A) documentation from an employee, agent, or volunteer of a victim services
organization, an attorney, a member of the clergy, or a medical or other
professional from whom the employee or the employee’s family or household
member has sought assistance in addressing domestic or sexual violence and the
effects of the violence;
(B) a police or court record; or
(C) other corroborating evidence.” 820 ILCS 180/20(c)(2) (West 2010).
¶ 29 An employer may not “interfere with, restrain, or deny the exercise of or the attempt to
exercise any right provided under” the statute. 820 ILCS 180/20(f)(1)(A) (West 2010).
Further, an employer may not discharge, harass, or otherwise discriminate against an
employee with respect to compensation, terms, conditions, or privileges of employment
because the individual exercised his or her rights under the statute or opposed any practice
made unlawful by the statute. 820 ILCS 180/20(f)(1)(B) (West 2010). Specifically, an
employer may not discriminate against an employee because, inter alia, the individual
“attended, participated in, prepared for, or requested leave to attend, participate in, or prepare
for a criminal or civil court proceeding relating to an incident of domestic or sexual violence
of which the individual or a family or household member of the individual was a victim.”
820 ILCS 180/30(a)(1)(B) (West 2008).
¶ 30 The Department administers and enforces the Act and may, upon finding a violation,
award damages, equitable relief, and attorney fees and other costs. 820 ILCS 180/35(a)(1)
(West 2010).
¶ 31 D. Certification–Legitimate Purpose
¶ 32 Under the Act’s certification requirement, an employer may require that the employee
certify that: (1) the employee or a family or household member is a victim of domestic or
sexual violence; and (2) the leave is for a purpose enumerated in the statute. 820 ILCS
180/20(c)(1) (West 2010). It is undisputed that plaintiff was a victim of domestic violence.
Thus, here, the threshold issue concerning certification is whether plaintiff’s leave was for
a permissible purpose. Specifically, we first address the Director’s finding that plaintiff’s
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absence from work on May 8, 2006, was not to seek “legal assistance or remedies to ensure
the health and safety of the employee or the employee’s family or household member,
including preparing for or participating in any civil or criminal legal proceeding related to
or derived from domestic or sexual violence.” (Emphasis added.) 820 ILCS 180/20(a)(1)(E),
(a)(2) (West 2010); see also 820 ILCS 180/30(a)(1)(B) (West 2010) (prohibiting an employer
from discriminating, including discharging, or retaliating against an individual because the
individual “attended, participated in, prepared for, or requested leave to attend, participate
in, or prepare for a criminal or civil court proceeding relating to an incident of domestic or
sexual violence of which the individual or a family or household member of the individual
was a victim, or requested or took leave for any other reason provided under Section 20”
(emphasis added)).
¶ 33 Again, the question here is whether plaintiff’s alleged actions on May 8, 2006,
constituted the seeking of “legal assistance or remedies to ensure the health and safety of
[plaintiff] or [T.H.], including” attendance, preparation for, or participation in “any civil or
criminal legal proceeding related to or derived from domestic or sexual violence.” 820 ILCS
180/20(a)(1)(E) (West 2010). Plaintiff testified that she and Henderson agreed that
Henderson would drop the pending custody petition if plaintiff dropped or did not proceed
with the domestic battery case. Plaintiff also said that, while at the courthouse on May 8,
2006, she spoke with prosecutor Fisher about dropping the case “to make sure that there
wouldn’t be any charges against” Henderson. Subsequently, when she was called as a witness
in the case, plaintiff did not respond, and the court entered a nolle prosequi order (as a result
of her failure to appear). There is no suggestion in the record that the State ever refiled the
charges against Henderson, and therefore he was effectively acquitted. See People v. Watson,
394 Ill. 177, 179 (1946); see also People v. Daniels, 187 Ill. 2d 301, 312 (1999) (“[a] motion
to nol-pros is comparable to a motion to dismiss”).
¶ 34 In her briefs to this court, plaintiff all but ignores the threshold question of legitimate
purpose and focuses instead on her attempts to certify her leave and the bank’s actions
concerning her documentation. To the extent that she attempts to address the propriety of the
leave’s purpose, plaintiff challenges the Director’s findings that plaintiff’s testimony,
especially concerning the alleged courthouse events, was not credible and thus that she was
not on valid leave.
¶ 35 As to plaintiff’s credibility, we conclude that the Director’s findings were not against the
manifest weight of the evidence. The Director did not find credible plaintiff’s testimony that
she was present at the courthouse on May 8, 2006. The Director specifically found that, at
the hearing, plaintiff made inconsistent statements about reporting arm bruising to her health
care providers; she made oral changes to a previously submitted affidavit, including about
the jobs she had held and the year she took real estate courses; and that her demeanor
substantially differed when testifying about the courthouse events. As to her demeanor, the
Director found that, during her principal testimony, plaintiff “was nervous and imprecise or
vague, but the imprecision was more authentic[;] for example, there were times when
[plaintiff] was not sure which person at [the bank] did a particular act.” However, when
addressing the courthouse events, the Director found, plaintiff “became unnaturally precise[;]
for example, she knew, without hesitation, the name of the assigned [a]ssistant State’s
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Attorney[;] she knew within a few minutes when court was in session and when it was not.
This testimony did not compare favorably with [plaintiff’s] general inability to remember
correctly a specific year.”
¶ 36 Plaintiff argues that the Director erred in her credibility assessment. She contends that
her memory lapses were minor and involved matters of little import to the case and that the
year of the real estate courses specified in the affidavit was an “irrelevant typo.” She also
asserts that her precise recollection of the events at the courthouse on May 8 and Labak letter
No. 3 belie a finding that she was not there. Also, plaintiff challenges the Director’s findings
concerning her testimony about her bruising, urging that these findings were not consistent
with the Director’s finding that Henderson actually strangled plaintiff.
¶ 37 We reject plaintiff’s claims. As to the Director’s findings concerning plaintiff’s bruising,
plaintiff mischaracterizes the findings. The Director doubted plaintiff’s credibility based, in
part, on her “inconsistent statements” as to the “reporting” of the bruises. The record clearly
reflects that plaintiff did not report her bruising to Dr. Kelly on December 6, 2005, but did
report it to Brodermus on December 9, 2005. Further, this finding does not contradict the
Director’s finding that plaintiff was actually strangled by Henderson (upon which the
Director found that there was “other supportive credible evidence, specifically T.H.’s
testimony”), because the strangulation would not necessarily have resulted in arm bruising.
(Plaintiff essentially concedes as much in her reply brief, where she states that, in the “case
of strangulation, most people focus on their neck, not their arms.”) Further, the Director’s
findings concerning plaintiff’s demeanor were not unreasonable and are supported by the
record. We disagree that the fact that her testimony concerning the alleged courthouse events
was precise belies a finding that she was not actually there. As the Director explained, this
testimony was in contrast to the remainder of plaintiff’s testimony. We also cannot conclude
that the Director erred in finding that plaintiff’s “demeanor weighed substantially against”
Labak letter No. 3 and that the fact that she did not provide the letter to the bank before her
suspension or termination weighed against her. The letter referred only to plaintiff’s
“attendance” at the “court date” and did not specify the nature of plaintiff’s alleged actions
at the courthouse. (Indeed, by referring to plaintiff’s attendance, it literally contradicted
plaintiff’s testimony that she did not attend the hearing.) In sum, we find no error in the
Director’s assessment that Labak letter No. 3 was of little, if any, value in corroborating
plaintiff’s presence at the courthouse on May 8. Finally, we also reject plaintiff’s argument
that her memory lapses and typographical errors were minor and irrelevant. The Director did
not find them very significant, but did factor them into her overall assessment of plaintiff’s
credibility, as was proper. “[B]ecause the weight of the evidence and the credibility of the
witnesses are within the province of the [agency], there need only be some competent
evidence in the record to support its findings.” Iwanski v. Streamwood Police Pension Board,
232 Ill. App. 3d 180, 184 (1992). In summary, the Director’s finding that plaintiff was not
credible (specifically, that she was not at the courthouse on May 8, 2006) was not against the
manifest weight of the evidence. Accordingly, her finding that plaintiff was not on valid
leave under the Act was not clearly erroneous.
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¶ 38 E. Certification–Sufficiency of Corroborating Documents
¶ 39 Plaintiff’s remaining (and primary) arguments on appeal address her efforts to document
the validity of her leave: she contends that she was terminated for failing to provide
corroborating evidence, a failure that was caused by the bank’s interference with her statutory
rights when it gave her improper legal advice that Labak could not corroborate her leave.
Specifically, she argues that the bank’s actions caused her to fail to give to the bank Labak
letter No. 3 (wherein Labak stated that he saw plaintiff as a patient on the evening of May
8 and that she spoke about attending a court date) and that the Director erred in failing to
consider that letter as corroborating evidence. Plaintiff also argues that the bank provided her
a draft sworn statement that suggested that leave was available only for individuals who
participated in a hearing and did not mention that one can take leave to attend or prepare
for a hearing. See 820 ILCS 180/20(a)(1)(E), 30(a)(1)(B) (West 2010). She complains that
the bank suggested that it would accept only a court order or a letter from her attorney as
certification of her right to leave, which clearly contradicted the acceptable forms of proof
listed in the statute. See 820 ILCS 180/20(c)(2) (West 2010).
¶ 40 We need not address plaintiff’s remaining arguments. As to the certification requirement,
again, the statute states that an employer may require that the employee certify that the
employee was a victim of domestic or sexual violence, which is not at issue here, and that
the leave is for a purpose enumerated in the statute, which we resolved above against
plaintiff. 820 ILCS 180/20(c)(1) (West 2010). Because plaintiff was not entitled to leave
under the Act (i.e., she did not miss work for a statutorily enumerated purpose), we need not
address the propriety of the bank’s actions with respect to plaintiff’s efforts to document her
reasons for taking the leave. That is, plaintiff’s failure to establish that she was entitled to
leave under the Act precludes recovery regardless of the bank’s actions in this case.
¶ 41 III. CONCLUSION
¶ 42 For the foregoing reasons, the judgment of the circuit court of Kane County is affirmed.
¶ 43 Affirmed.
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