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Appellate Court Date: 2017.01.11
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Mulvey v. Carl Sandburg High School, 2016 IL App (1st) 151615
Appellate Court JOSEPH MULVEY and ELLEN HOGAN-MULVEY, Parents and
Caption Next Friends of Kathleen Mulvey, a Minor, and for Themselves
Personally, and MEGHAN MULVEY, Plaintiffs-Appellants, v.
CARL SANDBURG HIGH SCHOOL, CONSOLIDATED SCHOOL
DISTRICT 230, DR. JAMES GAY, Individually and as
Superintendent of District 230, BRENDA REYNOLDS, Individually
and as Assistant Superintendent, CHRIS HELLRUNG, Individually,
BRUCE SCHEIDEGGER, Individually, JEAN PACZESNY,
Individually, and TODD HELLRUNG, Individually, Defendants-
Appellees.
District & No. First District, Sixth Division
Docket No. 1-15-1615
Filed October 28, 2016
Rehearing denied November 29, 2016
Decision Under Appeal from the Circuit Court of Cook County, No. 12-L-2126; the
Review Hon. John P. Callahan, Jr., Judge, presiding.
Judgment Affirmed.
Counsel on Donald L. Johnson, Julie A. Boyton, and Lawrence P. Seiwert, all of
Appeal Chicago, for appellants.
Ancel, Glink, Diamond, Bush, DiCianni & Krafthefer, P.C., of
Chicago (Darcy L. Proctor and Brent O. Dezin, of counsel), for
appellees.
Panel JUSTICE DELORT delivered the judgment of the court,with opinion.
Presiding Justice Hoffman and Justice Rochford concurred in the
judgment and opinion.
OPINION
¶1 Joseph Mulvey and Ellen Hogan-Mulvey are the parents of Kathleen Mulvey. They filed
this lawsuit on behalf of themselves and Kathleen for injuries Kathleen allegedly sustained as
the result of school bullying. Kathleen’s older sister, Meghan, brought similar claims. These
individuals sued Carl Sandburg High School (Sandburg), Consolidated High School District
230 (District 230), and various district officials and coaches. The circuit court ruled in favor of
the school district defendants on all claims. We affirm.
¶2 Illinois Bullying Prevention Statute
¶3 The Mulveys’ claims have their genesis in a 2006 statute which provided that each Illinois
school district must “make suitable provisions for instruction in bullying prevention in all
grades and include such instruction in the courses of study regularly taught therein.” Pub. Act
94-937, § 5 (eff. June 26, 2006) (adding 105 ILCS 5/27-23.7). The legislature later amended
the statute to mandate that each Illinois school district create and maintain a policy on bullying
to be filed with the State Board of Education (State Board) and “communicate its policy on
bullying to its students and their parent or guardian on an annual basis.” Pub. Act 95-349, § 5
(eff. Aug. 23, 2007) (amending 105 ILCS 5/27-23.7). School districts are also required to
update the policy every two years and file the update with the State Board. 105 ILCS
5/27-23.7(d) (West 2012).
¶4 The statute generally defines “bullying” as “any severe or pervasive physical or verbal act
or conduct, including communications made in writing or electronically, directed toward a
student or students that has or can be reasonably predicted to have the effect of” placing a
student in reasonable fear of harm, having a detrimental effect on the student’s physical or
mental health, or substantially interfering with a student’s academic performance or the
student’s ability to participate in school activities. 105 ILCS 5/27-23.7(b) (West 2012). It also
provides that “[n]o student shall be subjected to bullying” while in school, on school property,
or during school-related activities. 105 ILCS 5/27-23.7(a) (West 2012).
¶5 District 230 Parent-Student Handbooks
¶6 The student handbook distributed to students and parents for the 2010-2011 school year
included explicit policies regarding the prevention of bullying and the disciplinary action that
school officials may administer when violations occur. The handbook defined bullying as
“conduct and behavior toward other students that, to a marked degree, appear to terrorize,
intimidate, or start fights with other students. It includes, but is not limited to, engaging in any
form or type of aggressive behavior that does physical or psychological harm to someone else
and/or using students to engage in such conduct.” Policy 7:180 in the student handbook
specifically stated that “[p]reventing students from engaging in these disruptive behaviors is an
important District goal.” The policy required the superintendent or his designee to develop and
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maintain a program that “fully implements and enforces” the policy, a function including,
among other things: conducting prompt and thorough investigations of alleged incidents of
bullying, intimidation, or harassing behavior; providing students who violate the policies with
appropriate consequences and remedial action; and protecting students against retaliation for
reporting such conduct. It also required bullying prevention instruction in all grades and
communication of the policy to all teachers and certified employees.
¶7 The policy listed progressive disciplinary actions to be implemented and administered by
school officials, as follows: (1) “Dean’s referral”; (2) “Notification of parents”; (3)
“Completion of form 7:190 E1”; (4) “Out of School Suspension for 1 to 10 days”; (5) “Possible
recommendation for expulsion”; and (6) “Possible notification of police.” In addition, the
student handbook included a point system for progressive discipline in which points were
assessed against students based upon the consequences received for a violation of the
discipline code. For example, a student who accumulated 30 points would be suspended from
school for a period of 10 days.
¶8 The student handbook also included a cocurricular code of conduct which provided that
“[a] student may be excluded from activities or competition while the school is conducting an
investigation regarding that student’s conduct. A student found to be in violation of the Code
of Conduct while in school, on school property, or at a school-sponsored event, will also be
subject to the Consolidated High School District 230 discipline guidelines and consequences.”
¶9 Students participating in school athletics and their parents also received an athletic
handbook. The athletic handbook stated that coaches had a duty to supervise and provide a safe
environment, and required them to “control reckless player behaviors. (before and after games,
practices, locker room, and bus supervision).” (Emphasis in original.)
¶ 10 Plaintiffs’ Amended Complaint
¶ 11 The plaintiffs filed an amended complaint containing three counts. Counts I and III were
breach of contract claims based on District 230’s alleged failure to enforce the anti-bullying
policies in the handbooks. In count I, Meghan and Kathleen set forth a host of allegations of
bullying conduct they suffered at the hands of their basketball teammates. They claimed that
they were ignored, harassed, humiliated, physically assaulted, injured, and intimidated by their
teammates during their high school tenure. They also alleged that certain teammates teased
them on specific occasions, both in person and on social media.
¶ 12 The sisters alleged that they performed all the duties and obligations required of them by
the student and athletic handbooks, but that the defendants failed to understand and rectify the
conditions that fostered bullying, intimidation, and harassment. They further alleged that they
suffered damages due to the defendants’ breaches of contract, including physical injury,
emotional pain and distress, depression, post traumatic stress disorder, surgery, and having to
change schools prior to graduation. Count III realleged the same claims as Count I, but on
behalf of the plaintiff-parents.
¶ 13 Count II of the amended complaint alleged willful and wanton conduct on behalf of
Meghan and Kathleen against all defendants. This count claimed that, beginning as early as
November 2008 and continuing thereafter, defendants knew or acted with utter indifference
and reckless disregard to the bullying conduct. They claimed that but for the willful and
wanton failure of defendants to address the bullying conduct as required by common law,
Illinois statutes, and District 230’s policies, they would have been protected from the known
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danger of bullying and would not have suffered the injuries inflicted on them.
¶ 14 Defendants’ Motion to Dismiss the Amended Complaint
¶ 15 Defendants filed a combined motion to dismiss the amended complaint pursuant to section
2-619.1 of the Illinois Code of Civil Procedure (Code) (735 ILCS 5/2-619.1 (West 2012)).
They asked the court to dismiss counts I and III pursuant to section 2-615 of the Code (735
ILCS 5/2-615 (West 2012)) contending that, as a matter of law, public school student
handbooks do not possess the elements of a legal contract: offer, acceptance, and
consideration. They also moved to dismiss count II pursuant to section 2-615 for failure to state
a valid cause of action for willful and wanton conduct because it did not allege a known threat
of serious physical harm and because plaintiffs’ allegations eliminated any claim of deliberate
indifference to any alleged threat. Finally, defendants moved to dismiss count II on two bases.
They argued under section 2-619(a)(5) (735 ILCS 5/2-619(a)(5) (West 2012)) that Meghan’s
claims were time-barred, and under section 2-619(a)(9) (735 ILCS 5/2-619(a)(9) (West 2012))
that defendants were immune from claims regarding their decisions to impose bullying
discipline pursuant to section 2-201 of the Illinois Local Governmental and Governmental
Employees Tort Immunity Act (Tort Immunity Act) (745 ILCS 10/2-201 (West 2012)).
¶ 16 The circuit court denied defendants’ motion on counts I and III, finding that they pled a
valid cause of action for breach of a contract existing between plaintiffs and defendants. The
court dismissed count II without prejudice, with leave for plaintiffs to file an amended
complaint containing greater specificity regarding notice.
¶ 17 Defendants moved to reconsider the circuit court’s decision to deny their motion to dismiss
the breach of contract claims. The court denied defendants’ motion to reconsider and ordered
defendants to file an answer to the amended complaint and complete written discovery.
¶ 18 Defendants’ Answer to Plaintiffs’ Amended Complaint
¶ 19 Plaintiffs’ amended complaint contained an allegation reading in part: “[t]he School
Handbook and Athletic Handbook form contracts between the School, its students and their
parents.” Defendants answered, “Defendant admits only that any such Handbook speaks for
itself.” With leave of court, defendants later filed an amended answer to plaintiffs’ amended
complaint, answering to the same allegation, “Defendant admits the allegations contained in
paragraph 13, but denies that the Handbook creates a legal duty, cause of action or contract.” In
their affirmative defenses, defendants further asserted any alleged contract would be void
because it was not supported by valid consideration.
¶ 20 Defendants’ Motion for Judgment on the Pleadings
¶ 21 Defendants then moved for judgment on the pleadings pursuant to section 2-615(e) of the
Code, arguing again that, as a matter of law, public school handbooks cannot form the basis of
a contract. They contended that the creation and distribution of the student and athletic
handbooks did not establish the elements of contract formation and that the application of
employment handbook principles in a public school setting would significantly undermine the
State’s ability to operate public schools. The circuit court granted defendants’ motion and
dismissed the breach of contract claims (counts I and III) in the amended complaint. The court
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allowed plaintiffs to again amend their complaint.
¶ 22 Plaintiffs’ Second Amended Complaint
¶ 23 Plaintiffs then filed a second amended complaint. It realleged the breach of contract counts
(counts I and III) that had been previously dismissed, to preserve the propriety of their
dismissal for purposes of appeal. Count II was a willful and wanton conduct claim. Defendants
moved to dismiss count II pursuant to section 2-619(a)(9) of the Code, arguing that they were
immune from claims stemming from their discretionary implementation of the anti-bullying
policies. Defendants also contended that Meghan’s willful and wanton claim in count II was
subject to a one-year statute of limitations under section 8-101 of the Tort Immunity Act and
thus was time-barred.
¶ 24 The court dismissed this count as to all plaintiffs on tort immunity grounds. It also found
that Meghan’s claim was time-barred. Upon the dismissal of count II of the second amended
complaint, no further claims were pending.
¶ 25 Plaintiffs timely appealed from: (1) the order granting defendants’ motion for judgment on
the pleadings, which dismissed counts I and III of plaintiffs’ amended complaint alleging
breach of contract; (2) the order denying plaintiffs’ motion to reconsider and vacate the order
dismissing those counts; and (3) the order granting defendants’ section 2-619 motion to
dismiss count II of plaintiffs’ second amended complaint.
¶ 26 ANALYSIS
¶ 27 Breach of Contract Claims
¶ 28 A court properly enters a judgment on the pleadings when no genuine issue of material fact
exists and the movant is entitled to judgment as a matter of law. H&M Commercial Driver
Leasing, Inc. v. Fox Valley Containers, Inc., 209 Ill. 2d 52, 56 (2004). “Only those facts
apparent from the face of the pleadings, matters subject to judicial notice, and judicial
admissions in the record may be considered.” Id. at 56-57. “Moreover all well-pleaded facts
and all reasonable inferences from those facts are taken as true.” Id. at 57. “On appeal, the
reviewing court must determine whether any issues of material fact exist and, if not, whether
the movant was, in fact, entitled to judgment as a matter of law.” Id. We review the entry of a
judgment on the pleadings de novo. Id.
¶ 29 To state a cause of action for breach of contract, the plaintiff must allege facts establishing
that the parties exchanged an offer, an acceptance, and consideration. Duldulao v. Saint Mary
of Nazareth Hospital Center, 115 Ill. 2d 482, 489 (1987). In Duldulao, our supreme court held
that “an employee handbook or other policy statement creates enforceable contractual rights if
the traditional requirements for contract formation are present.” Id. at 490. Three requirements
must be met for an employee handbook or policy statement to form a contract. First, the
language of the policy statement must contain a promise clear enough that an employee would
reasonably believe an offer has been made. Second, the statement must be disseminated to the
employee in such a manner that the employee is aware of its contents and reasonably believes
it to be an offer. Third, the employee must accept the offer by “commencing or continuing to
work after learning of the policy statement.” Id. The Duldulao court held, “When these
conditions are present, then the employee’s continued work constitutes consideration for the
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promises contained in the statement, and under traditional principles a valid contract is
formed.” Id.
¶ 30 In particular, the Duldulao court found that an employee handbook created an enforceable
contract right because the document contained specific language regarding the termination of
permanent employees. Id. at 490-91. The handbook stated that termination of a permanent
employee “ ‘cannot occur without proper notice and investigation.’ ” (Emphasis in original.)
Id. at 491.
¶ 31 The parents contend that this case parallels Duldulao. They argue that the bullying
prevention provisions in the student handbook and athletic handbook were legal offers, which
they accepted when they enrolled their daughters at Sandburg. They also contend that students
accepted the handbook “offers” by attending the school and participating in athletic programs.
They rely strongly on specific handbook language providing that the district’s “progressive
discipline policy *** is consistently and fairly applied” and that “[t]he Superintendent or
designee shall develop and maintain [an anti-bullying] program.” Thus, they contend that the
student handbook formed a valid contract on the same basis as the employee handbook did in
Duldulao.
¶ 32 The legal framework governing students’ attendance at public schools reveals, however,
that the plaintiffs’ contract analogy is particularly inapt in the public school context. The
student handbook provisions cited above are merely hortatory and convey no specific
promises. The student handbook specifically states “[i]t is the hope of the District 230
administration that students involved in our schools will develop skills to manage their
behavior effectively as a result of interventions designed and implemented by the PPS (Pupil
Personnel Services) staff.” (Emphasis added.) Unlike the employee handbook in Duldulao,
which included specific language regarding the termination of employees, the language in the
student handbook does not include any specific promise to prevent or eliminate bullying.
Instead, Policy 7:180 states that “[p]reventing students from engaging in these disruptive
behaviors is an important District goal.” (Emphasis added.) The creation, implementation, and
enforcement of a policy prohibiting bullying, as required by State law, simply does not
promise students and parents that attendance at the school guarantees the complete absence of
bullying conduct, nor that every student engaging in such conduct will be disciplined in a
particular manner. We note that this court has found that private school conduct policies do not
constitute a legal offer to protect students from all such behavior. See Harris v. Adler School of
Professional Psychology, 309 Ill. App. 3d 856, 861 (1999) (finding the Adler School’s
non-discrimination policy was a statement of adherence to existing law and did not constitute
an independent contractual obligation).
¶ 33 In sum, the policies do not promise that defendants will take any particular action in any
specific circumstance. The handbooks contain no language clear enough to lead a reader to
believe that defendants agreed to act in any particular way in response to a specific set of
circumstances, or that they agreed to enforce violations of the prohibitions contained in the
handbook in any particular manner. Accordingly, the handbooks do not create an offer
sufficient to support a valid contract between the parties.
¶ 34 We next address the issue of consideration. The plaintiffs appear to argue that the
attendance of Kathleen and Meghan as students at Sandburg amounted to consideration. They
also claim that they provided consideration by “paying for” public school tuition through their
property taxes, and by declining to exercise other educational options available to them.
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¶ 35 Consideration must consist of something of detriment or disadvantage to one party or
benefit to the other, and the bargained-for exchange between them. Steinberg v. Chicago
Medical School, 69 Ill. 2d 320, 330 (1977). Performing an act which one is legally obligated to
do is not consideration that could support a contract because there is no detriment. Johnson v.
Maki & Associates, Inc., 289 Ill. App. 3d 1023, 1028 (1997). School attendance can hardly be
a legal detriment or disadvantage to a student, because the student must attend school until age
17 unless she has already graduated. 105 ILCS 5/26-1 (West 2012). And “[i]n all matters
relating to the discipline in and conduct of the schools and the school children, [school
employees] stand in the relation of parents and guardians to the pupils.” (Emphasis added.)
105 ILCS 5/24-24 (West 2012). Indeed, the nature of a school’s role is custodial and tutelary,
permitting a degree of supervision and control that is not exercised over free adults. Vernonia
School District 47J v. Acton, 515 U.S. 646, 655 (1995).
¶ 36 Nor can a student’s attendance be deemed a benefit to either the school district or the public
high school which she attends. Unlike private schools, which charge tuition, public schools are
required by law to provide free education to students living within the school district. Ill.
Const. 1970, art. X, § 1. The cost of that education is defrayed by tax dollars, not tuition paid
by the students. The plaintiffs also argue that consideration in this case is established by the
mutuality of obligations contained in the handbooks. Suffice it to say that the obligations of
students as set forth in the handbooks are not part of a bargained-for exchange. Instead, those
obligations are a unilateral directive from the school district upon the students. For these
reasons, neither the parties’ mutual relationship nor the handbooks established consideration
sufficient to support the existence of a valid contract.
¶ 37 Even so, plaintiffs contend that we need not engage in an offer/acceptance/consideration
analysis at all because the defendants judicially admitted there was a binding contract between
the parties. In their answer to the amended complaint, defendants admitted plaintiffs’
allegation that “[t]he School Handbook and Athletic Handbook form contracts between the
School, its students, and their parents” but they then denied “the Handbook creates a legal
duty, cause of action, or contract.”
¶ 38 “Judicial admissions are formal admissions in the pleadings that have the effect of
withdrawing a fact from issue and dispensing wholly with the need for proof of the fact.”
(Emphasis added.) Konstant Products, Inc. v. Liberty Mutual Fire Insurance Co., 401 Ill. App.
3d 83, 86 (2010). Contract formation is a question of law to be determined by the court. Doyle
v. Holy Cross Hospital, 289 Ill. App. 3d 75, 78 (1997). Accordingly, the existence of a valid
contract is not a “fact” which the school district conceded through the admission in its answer.
¶ 39 In sum, we find that the circuit court did not err when it granted defendants’ motion for
judgment on the pleadings and dismissed plaintiffs’ breach of contract claims in counts I and
III of the amended complaint because the plaintiffs failed to demonstrate the existence of a
valid contract based on the exchange of an offer, acceptance, and consideration. It necessarily
follows that the court did not err when it denied plaintiffs’ motion to reconsider and vacate that
order.
¶ 40 Willful and Wanton Conduct Claim
¶ 41 We now turn to plaintiffs’ claim for willful and wanton conduct which the circuit court
dismissed as barred by the Tort Immunity Act. Defendants’ motion to dismiss count II was
filed pursuant to section 2-619 of the Code. “A section 2-619 motion admits as true all
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well-pleaded facts, along with all reasonable inferences that can be gleaned from those facts.”
Porter v. Decatur Memorial Hospital, 227 Ill. 2d 343, 352 (2008). “[W]hen ruling on a section
2-619 motion to dismiss, a court must interpret all pleadings and supporting documents in the
light most favorable to the nonmoving party.” Id. We review orders from a section 2-619
dismissal de novo. Id.
¶ 42 This count alleges that although defendants had actual notice of the bullying conduct
because it occurred in their presence, they acted with utter indifference and reckless disregard
to it by allowing it to continue unrestrained. The Tort Immunity Act protects local public
entities and public employees from liability arising from the operation of government.
Van Meter v. Darien Park District, 207 Ill. 2d 359, 368 (2003). The law seeks “to prevent the
dissipation of public funds on damage awards in tort cases.” Id. The Tort Immunity Act is in
derogation of common law and, therefore, must be strictly construed. Id. Accordingly, unless
an immunity provision applies, government entities are liable in tort to the same extent as
private parties. Id. at 368-69.
¶ 43 Section 2-201 of the Tort Immunity Act states:
“Except as otherwise provided by Statute, a public employee serving in a position
involving the determination of policy or the exercise of discretion is not liable for an
injury resulting from his act or omission in determining policy when acting in the
exercise of such discretion even though abused.” 745 ILCS 10/2-201 (West 2012).
This provision immunizes governmental bodies from “liability for both negligence and willful
and wanton misconduct.” In re Chicago Flood Litigation, 176 Ill. 2d 179, 196 (1997). Section
2-109 of the Tort Immunity Act further provides that “[a] local public entity is not liable for an
injury resulting from an act or omission of its employee where the employee is not liable.” 745
ILCS 10/2-109 (West 2012).
¶ 44 Thus, “sections 2-201 and 2-109 grant absolute immunity to public entities for the
performance of discretionary functions [citation], but not ministerial functions.” Malinski v.
Grayslake Community High School District 127, 2014 IL App (2d) 130685, ¶ 8 (citing Kennell
v. Clayton Township, 239 Ill. App. 3d 634, 640 (1992), and Village of Itasca v. Village of Lisle,
352 Ill. App. 3d 847, 859 (2004)). “The distinction between a discretionary act and a
ministerial act must be made on a case-by-case basis, and courts have recognized that
discretionary acts are those that are unique to a particular public office, whereas ministerial
acts are those that a person performs based on a given set of facts, in a prescribed manner, in
accordance with a mandate of legal authority, and without reference to the official’s discretion
as to the propriety of that act.” Id.
¶ 45 Our supreme court has established a two-part test to determine which employees may be
granted immunity under section 2-201 of the Tort Immunity Act. First, an employee may
qualify for immunity “if he holds either a position involving the determination of policy or a
position involving the exercise of discretion.” (Emphases in original.) Harinek v. 161 North
Clark Street Ltd. Partnership, 181 Ill. 2d 335, 341 (1998). If the employee satisfies the first
part of the test, he must then show he engaged in both the determination of policy and the
exercise of discretion when performing the act or omission from which the plaintiff’s injury
resulted. Id. Plaintiffs do not contest that defendants hold positions involving the
determination of policy or the exercise of discretion. Therefore, we will consider the second
part of the test.
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¶ 46 Plaintiffs argue that the defendants’ duties were ministerial functions to which immunity
did not attach. As an example, they specifically point to the student handbook’s progressive
disciplinary policy, which includes an assigned point system for violations. Plaintiffs contend
that the individual defendants, including administrators, coaches, and guidance counselors,
were not engaged in the determination of public policy in failing to discipline the bullying
students because they were merely left to implement the ministerial task of the designated
policies established by the school board and apply them in a consistent manner.
¶ 47 The appellate court has twice found that this immunity provision applies to bar claims
brought regarding failure of school officials to discipline school bullies. In Hascall v.
Williams, 2013 IL App (4th) 121131, the court held that, despite the existence of an
anti-bullying policy similar to the one at issue here, the acts or omissions at issue constituted
discretionary acts and policy determinations, not ministerial acts, which were protected under
section 2-201 of the Tort Immunity Act. Id. ¶ 25. Similarly, in Malinski, the court concluded
that “an anti-bullying policy is not required to mandate a particular response to a specific set of
circumstances. Instead, a policy may afford a school district with the discretion to determine
whether bullying has occurred, what consequences will result, and any appropriate remedial
actions.” Id. ¶ 13.
¶ 48 We find the reasoning in Hascall and Malinski persuasive. The anti-bullying policy at issue
here includes: “(a) conducting a prompt and thorough investigation of alleged incidents of
bullying, intimidation, or harassing behavior, (b) providing each student who violates one or
more of these policies with appropriate consequences and remedial action, and (c) protecting
students against retaliation for reporting such conduct.” This policy, which is strikingly similar
to the anti-bullying policy in Hascall, and its implementation, is discretionary in nature and
does not mandate a specific response to every set of circumstances.
¶ 49 Furthermore, the policy outlining the disciplinary point system that plaintiffs claim as
evidence of ministerial application requires a discretionary determination of whether a
particular violation occurred and the appropriate consequences and remedial action to be
applied under the facts. The policy states “points are given to the student based upon the
consequences he/she receives for his/her violation of policy.” (Emphasis added.) In other
words, a District 230 employee must determine whether the student committed a violation and
what the consequences would be for the violation before a “point value” is assigned and
recorded. A particular point value for a suspension cannot be assigned without a District 230
employee having first determined whether a student should be suspended for a violation of the
disciplinary policy. Contrary to plaintiffs’ argument, the implementation of the disciplinary
policy involves more than a ministerial task.
¶ 50 In their reply brief, plaintiffs cite a recent decision, Barr v. Cunningham, 2016 IL App (1st)
150437, in support of their claim. In Barr, a student sued his high school and physical
education teacher, alleging willful and wanton conduct because he was injured after the school
failed to provide him with protective eyewear for a floor hockey game. The circuit court
granted the defendants’ motion for directed verdict on the willful and wanton conduct claim.
This court, in reversing that decision, found, in part, under section 2-201, that even if the
teacher exercised discretion by declining to require students to wear goggles, the record did not
show that this exercise of discretion constituted a policy decision within the meaning of the
statute. Barr, 2016 IL App (1st) 150437, ¶ 28.
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¶ 51 Barr is distinguishable. Here, plaintiffs base their claim of willful and wanton conduct on
the anti-bullying policies already in place, rather than the individual defendants’ failure to
engage in the determination of policy. Even if plaintiffs specifically pled that the individual
defendants never made a favorable policy determination, their claim would still fail. Our
supreme court has previously defined policy decisions in the tort immunity context as those
decisions which require the public entity “ ‘to balance competing interests and to make a
judgment call as to what solution will best serve each of those interests.’ ” Harinek, 181 Ill. 2d
at 342 (quoting West v. Kirkham, 147 Ill. 2d 1, 11 (1992)). The conduct described in plaintiffs’
second amended complaint meets this definition. According to the Sandburg student
handbook, “parents, teachers and school officials are all partners in helping students acquire
self-discipline,” and that “teachers are the first resource in fostering an orderly school
atmosphere.” Accordingly, it is clear that teachers and school administrators must balance
various interests which may compete for the time and resources of the school district, including
the interests of student safety. Therefore, Barr does not require a different result. The circuit
court properly dismissed count II of the second amended complaint.
¶ 52 Application of the Statute of Limitations to Meghan’s Tort Claim
¶ 53 Finally, plaintiffs argue that the circuit court erred by finding Meghan’s tort claim was
time-barred. Plaintiffs contend Meghan had two years to bring her claim from the time she
turned 18 pursuant to section 13-211 of the Code. 735 ILCS 5/13-211 (West 2012). Defendants
argue the one-year statute of limitations under section 8-101 of the Tort Immunity Act (745
ILCS 10/8-101 (West 2012)) applies. Because we have found that Meghan’s claim is barred by
the discretionary activity provision of the Tort Immunity Act, we need not resolve this conflict
and therefore do not address this issue.
¶ 54 CONCLUSION
¶ 55 For these reasons, we affirm the judgment of the circuit court.
¶ 56 Affirmed.
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