IN THE COMMONWEALTH COURT OF PENNSYLVANIA
Joseph Thomas Acri, D.O., :
Petitioner :
: No. 856 C.D. 2017
v. :
: Argued: December 4, 2017
Bureau of Professional and :
Occupational Affairs, State Board of :
Osteopathic Medicine, :
Respondent :
BEFORE: HONORABLE PATRICIA A. McCULLOUGH, Judge
HONORABLE MICHAEL H. WOJCIK, Judge
HONORABLE BONNIE BRIGANCE LEADBETTER, Senior Judge
OPINION NOT REPORTED
MEMORANDUM OPINION
BY JUDGE McCULLOUGH FILED: January 5, 2018
Joseph Thomas Acri, D.O. (Petitioner), petitions for review of the June 2,
2017 order of the Bureau of Professional and Occupational Affairs, State Board of
Osteopathic Medicine (Board), that automatically suspended his license to practice
osteopathic medicine and surgery pursuant to section 14(b) of the Osteopathic Medical
Practice Act (Act),1 based upon his felony convictions under The Controlled Substance,
Drug, Device and Cosmetic Act (CSA).2 Upon review, we affirm as modified.
On April 25, 2017, the prosecuting attorney for the Commonwealth filed
a petition for automatic suspension of Petitioner’s license to practice osteopathic
1
Act of October 5, 1978, P.L. 1109, as amended, 63 P.S. §271.14(b).
2
Act of April 14, 1972, P.L. 233, as amended, 35 P.S. §§780-101—780-144.
medicine and surgery,3 which included a certified copy of a court order showing that
Petitioner had pled guilty on September 7, 2016, to four felony counts of violating the
CSA for illegally prescribing Oxycodone to patients. The Board issued a notice of
automatic suspension to Petitioner, directing that he file an answer to the Petition. In
his answer, Petitioner admitted his convictions. Although the Board had previously
scheduled a hearing on the matter, it determined that there were no issues of fact as to
whether Petitioner was convicted of an offense requiring the automatic suspension of
his license. Noting that the license suspension was mandatory and non-discretionary
under section 14(b) of the Act, the Board concluded that its prior order scheduling a
hearing was moot and entered an order on June 2, 2017, suspending Petitioner’s license.
In this order, the Board referenced section 6(c) of the Act, indicating that Petitioner
would have to wait ten years to reinstate his license, and section 14.1 of the Act,4
suggesting that Petitioner would have to wait five years to reinstate his license.
(Reproduced Record (R.R.) at 26a, 33a, 39a-43a 89a-90a,103a; Board’s order at 1-3.)
On appeal to this Court,5 Petitioner first argues that the Board violated his
rights to procedural due process in failing to afford him a pre-deprivation or post-
3
Section 2 of the Act defines “osteopathic medicine and surgery” as “[t]he art and science
having for its object the cure of disease and the preservation of the health of man with or without
drugs, except healing by spiritual means or prayer.” 63 P.S. §271.2. Despite theoretical differences
regarding treatment, a medical doctor (M.D.) and a doctor of osteopathy (D.O.) undergo similar
training, and they are both “physicians” or “doctors.” See section 2 of the Medical Practice Act, Act
of December 20, 1985, P.L. 457, 63 P.S. §422.2; Schuelke v. Commissioner of Social Security, (W.D.
Pa., No. 11-519, filed May 10, 2012) (unreported).
4
Added by Section 8 of Act 1985-108, P.L. 398, 63 P.S. §271.14a.
5
Our scope of review of the Board’s order is limited to determining whether constitutional
rights were violated, whether an error of law was committed, or whether necessary findings of fact
are supported by substantial evidence. Barran v. State Board of Medicine, 670 A.2d 765, 767 n.3
(Pa. Cmwlth. 1996).
2
deprivation hearing. This contention, however, is effectively foreclosed by our
precedent. See, e.g., Boulis v. State Board of Chiropractic, 729 A.2d 645, 648-49 (Pa.
Cmwlth. 1999); Wolfe v. State Board of Osteopathic Medicine, 745 A.2d 121, 126 (Pa.
Cmwlth. 1999); Firman v. Department of State, State Board of Medicine, 697 A.2d
291, 296 (Pa. Cmwlth. 1997); Horvat v. Department of State Professional and
Occupational Affairs, 563 A.2d 1308, 1310-11 (Pa. Cmwlth. 1989); Galena v.
Department of State, Bureau of Professional and Occupational Affairs, 551 A.2d 676,
678-80 (Pa. Cmwlth. 1988).
Consistent with principles of procedural due process, “a professional
license may be automatically suspended without prior notice and a hearing.” Boulis,
729 A.2d at 648-49. By its own mandatory terms, section 14(b) of the Act required the
Board to suspend Petitioner’s license: “A license or certificate issued under this act
shall automatically be suspended . . . upon filing with the board a certified copy of [a]
conviction of a felony under the [CSA].” 63 P.S. §271.14(b) (emphasis added).
Because this statutory provision does not provide the Board with discretion to impose
a sanction that is less severe, Petitioner is not entitled to a hearing to present mitigating
evidence. Firman, 697 A.2d at 295-96. Rather, the only legal issue before the Board
in a suspension proceeding under section 14(b) of the Act is whether Petitioner had the
requisite felony conviction(s). Firman, 697 A.2d at 295-96. Here, the Board had
received certified court records proving that he did, and Petitioner admitted the
occurrence of these convictions in his answer. (R.R. at 34a.) Consequently, there are
no material issues of fact in dispute, and a post-deprivation hearing is not required to
maintain the automatic suspension of Petitioner’s license. See Horvat, 563 A.2d at
1310-11; see also The Summit Academy v. Department of Human Services, (Pa.
Cmwlth., No. 257 C.D. 2015, filed December 12, 2015) (unreported), slip op at 14-17;
3
Bhalerao v. Illinois Department of Financial & Professional Regulations, 834
F.Supp.2d 775, 787-88 (N.D. Ill. 2011).
Next, Petitioner contends that, notwithstanding the mandatory and
automatic nature of the suspension under section 14(b) of the Act, the Board’s decision
to suspend his license contravened substantive due process because the penalty
imposed was too severe and lacks a rational relationship to a legitimate government
interest. Petitioner cites Ake v. Bureau of Professional and Occupational Affairs, State
Board of Accountancy, 974 A.2d 514 (Pa. Cmwlth. 2009), for support.
Here, Petitioner pled guilty to four felony counts of violating the CSA for
unlawfully prescribing Oxycodone to four different patients without a legitimate
medical purpose. (R.R. at 59a-90a.) Undoubtedly, the Commonwealth has a
compelling interest in protecting the public from obtaining illicit drugs. As physicians
possess unique authority to dispense controlled substances, and are entrusted with the
responsibility to prescribe controlled substances for a lawful medical purpose, the
General Assembly’s decision to suspend a physician’s license for violating the CSA
bears a real and substantial relationship to the goal of safeguarding the public. See
Wolfe, 745 A.2d at 126; Firman, 697 A.2d at 295-96; Horvat, 563 A.2d at 1310-11;
Galena, 551 A.2d at 679.
Petitioner’s reliance on Ake is not persuasive. Quite simply, under Ake,
“the nature of the offending conduct and its remoteness in time must be considered
where an agency seeks to revoke a professional license on the basis of a conviction.”
974 A.2d at 520. In that case, the licensing board revoked the license of a certified
public accountant based upon his conviction of criminal harassment, which had
occurred seven years prior to the revocation proceedings. The underlying criminal
conduct – leaving an offensive phone message – did not transpire at work and was
4
unrelated to the character qualities that the General Assembly indicated were essential
to the practice of accounting. On these facts, this Court in Ake vacated and remanded
to the licensing board for consideration of a penalty that is less severe than revocation,
which is “the most drastic available sanction,” recommending that “a short-term
suspension” would be more appropriate. Id. at 552. Here, by contrast, the Board
suspended, not revoked, Petitioner’s license, and there is no remoteness or “staleness”
issue, because the suspension occurred within seven months of Petitioner’s
convictions. Perhaps more importantly, the misconduct for which Petitioner was
suspended involves a core job duty of a physician and reflects an abuse of a privilege
that Petitioner would not otherwise possess but for his status as a physician. Ake is
therefore inapposite.
Because there is a strong correlation between the disciplined misconduct
and Petitioner’s fitness and competence to practice as a physician, we conclude that the
Board did not violate substantive due process when it suspended Petitioner’s license.
See Mosuro v. Bureau of Professional and Occupational Affairs, State Board of
Medicine, (Pa. Cmwlth., No. 609 C.D. 2016, filed October 13, 2016) (unreported); see
also Brown v. Idaho State Board of Pharmacy, 746 P.2d 1006, 1008-09 & 1012 (Idaho
1987); Griffiths v. Superior Court, 6 Cal. App. 4th 757, 769-79 (Cal. Ct. App., 2nd
Dist., 2002).
Citing McGrath v. Bureau of Professional and Occupational Affairs, 146
A.3d 310 (Pa. Cmwlth. 2016) (en banc), aff’d __ A.3d __ (Pa., No. 5 WAP 2017 2017,
filed November 22, 2017), Petitioner contends that due to ambiguities in the provisions
of the Act, he should not have to wait five or ten years to apply for reinstatement.
In sequential order, the relevant sections of the Act are as follows.
5
Under section 6(c) of the Act (Qualifications for license), “[a]n applicant
who has been convicted of a felonious act prohibited by [the CSA] shall not be licensed
unless . . . at least ten years have elapsed from the date of conviction” and “the
applicant” demonstrates that he is rehabilitated and does not pose a risk of harm to the
public or propensity to commit further criminal violations. 63 P.S. §271.6(c) (emphasis
added).
Section 14(b) of the Act, pertaining to automatic suspension based upon a
felony conviction under the CSA, states: “Restoration of such license or certificate
shall be made as in the case of revocation or suspension of license or certificate.” 63
P.S. §271.14(b) (emphasis added).
Pursuant to section 14.1 of the Act (Reinstatement of license, certificate
or registration), “[a]ny person whose license, certificate or registration has been
revoked may apply for reinstatement after a period of at least five years, but must meet
all of the licensing qualifications of this act for the license applied for, to include the
examination requirement, if he or she desires to practice at any time after such
revocation.” 63 P.S. 271.14.a (emphasis added).
Section 15(c)(6) of the Act provides: “Whenever the board finds that the
license or a certificate of a person may be refused, revoked or suspended under the
terms of this act, the board may . . . . [r]estore or reissue a license to practice osteopathic
medicine and surgery . . . .” 63 P.S. 271.15(c)(6) (emphasis added).
In McGrath, this Court analyzed substantially similar language contained
in sections of The Professional Nursing Law (Law)6 and concluded that the statute
6
Act of May 22, 1951, P.L. 317, as amended, 63 P.S. §§211-225.5. In relevant part, the
portions of the Law read as follows:
6
evidenced irreconcilable ambiguities regarding whether an individual must wait ten
years before applying for reinstatement after having his or her license suspended for
violating the CSA. In so holding, we noted that a general provision in the Law granted
the licensing board with authority to reissue a suspended license, irrespective of a time
frame; the section providing for a ten-year waiting period applied to “applicants;” the
section dealing with a five-year waiting period concerned the “revocation” and not the
“suspension” of a license; and the provisos relating to the “restoration” or “reissuance”
of a license made it unclear through which provision the licensing board should
consider an application for reinstatement. After applying the general rules of statutory
construction, this Court in McGrath determined that the statutory language remained
Section 6(c)(1) – “The Board shall not issue a license or certificate to
an applicant who has been convicted of a felonious act prohibited by
[the CSA] . . . unless . . . at least ten (10) years have elapsed from the
date of conviction.” 63 P.S. §216(c)(1).
Section 15 – “The Board, by majority action and in accordance with
its regulations, may reissue any license which has been suspended. If
a license has been revoked, the Board can reissue a license only in
accordance with section 15.2.” 63 P.S. §225.
Section 15.1 – “A license issued under this act shall automatically be
suspended . . . upon filing with the Board a certified copy of [a]
conviction of a felony under [CSA]. . . . Restoration of such license
shall be made as hereinafter provided in the case of revocation or
suspension of such license.” 63 P.S. § 225.1(b).
Section 15.2 – “Any person whose license has been revoked may
reapply for a license, after a period of at least five (5) years, but must
meet all of the licensing qualifications of this act for the license applied
for, to include the examination requirement, if he or she desires to
practice at any time after such revocation.” Added by Section 13 of the
Act of December 20, 1985, P.L. 409, 63 P.S. §225.2.
See McGrath, 146 A.3d at 313.
7
ambiguous, and because the Law was penal in nature, we construed it strictly and in
favor of the individual. Therefore, we reversed the licensing board’s order to the extent
it imposed a license suspension for a mandatory period of not less than ten years and
concluded that the licensing board should process any application for reissuance in
accordance with the general, discretionary provision of the Law granting it the power
to reissue a suspended license.
Here, although section 6(c) of the Act imposes a ten-year waiting period
following a conviction under the CSA, this provision, as well as the remaining parts of
section 6, applies to “applicants” seeking licensure in the Commonwealth for the first
time. On the other hand, section 14(b) of the Act states that a license suspension based
upon a violation of the CSA can be restored under the provisions regarding “revocation
or suspension” of a license, but section 14.a only applies to the situation where a license
has been “revoked,” permitting “reinstatement” after a five-year period. Moreover,
section 14.a also states that in order to be eligible for reinstatement, the individual must
meet “all of the licensing qualifications” of the Act, which necessarily includes the
restriction in section 6(c) of the Act, but, again, section 14 pertains only to the situation
where a license has been “revoked,” and not “suspended.” In any event, independent
of the other provisions in the Act, section 15(c)(6) of the Act deals directly with a
suspended license, vesting the Board with broad, discretionary authority to “reissue” a
license that has been “suspended,” without regard to any time frame.
Given the circular and confusing nature of these provisions of the Act, we
conclude that they suffer the same infirmities in language, structure, and operation as
those of the Law at issue in McGrath. Therefore, pursuant to our decision in McGrath,
we modify the Board’s order insofar as it imposed a mandatory five or ten year
suspension on Petitioner’s license. In accordance with this memorandum opinion, any
8
reissuance request from a suspension for violating the CSA shall be processed and
reviewed under section 15(c)(6) of the Act.7
For the reasons stated, we affirm the Board’s order automatically
suspending Petitioner’s license, albeit as modified by this memorandum opinion.
________________________________
PATRICIA A. McCULLOUGH, Judge
7
At oral argument, the Board conceded that there were no statutory time constraints placed
upon Petitioner and that he could apply for reinstatement or reissuance when he so desires. However,
this concession does not alter the fact that the Board’s order strongly suggests otherwise, or is at least
ambiguous. Although we have no doubt that, in the future, the Board will fulfill its promise to
interpret and apply its order in the way that it said it would, this Court nevertheless has an obligation
to address the legal issue presented to it. See also McDonnell v. United States, __ U.S. __, __,136 S.
Ct. 2355, 2372-73 (2016) (declining to “rely on the Government’s discretion” in applying a statute
in a particular manner in the future based on “the assumption that the Government will use it
responsibly.”) (citations and internal quotation marks omitted).
9
IN THE COMMONWEALTH COURT OF PENNSYLVANIA
Joseph Thomas Acri, D.O., :
Petitioner :
: No. 856 C.D. 2017
v. :
:
Bureau of Professional and :
Occupational Affairs, State Board of :
Osteopathic Medicine, :
Respondent :
ORDER
AND NOW, this 5th day of January, 2018, the June 2, 2017 order of the
Bureau of Professional and Occupational Affairs, State Board of Osteopathic
Medicine (Board) is affirmed as modified to delete references to sections 6(c) and
14.1 of the Osteopathic Medical Practice Act, Act of October 5, 1978, P.L. 1109, as
amended, added by Section 8 of Act 1985-108, P.L. 398 (Act), 63 P.S. §§271.6(c),
271.14a, to the extent these provisions set forth a time limitation for reapplying for
a license that has been suspended pursuant to section 14(b) of the Act, 63 P.S.
§271.14(b), and to direct the Board to process and review any reapplication from
such a suspension under section 15(c)(6) of the Act, 63 P.S. 271.15(c)(6).
________________________________
PATRICIA A. McCULLOUGH, Judge