[Cite as Messer v. Summa Health Sys., 2018-Ohio-372.]
STATE OF OHIO ) IN THE COURT OF APPEALS
)ss: NINTH JUDICIAL DISTRICT
COUNTY OF SUMMIT )
DARLENE MESSER C.A. No. 28470
Appellant
v. APPEAL FROM JUDGMENT
ENTERED IN THE
SUMMA HEALTH SYSTEM COURT OF COMMON PLEAS
COUNTY OF SUMMIT, OHIO
Appellee CASE No. CV 2015-11-5195
DECISION AND JOURNAL ENTRY
Dated: January 31, 2018
CALLAHAN, Judge.
{¶1} Appellant, Darlene Messer, appeals the judgment entered in favor of Appellee,
Summa Health System (“Summa”), in the Summit County Court of Common Pleas. For the
reasons set forth below, this Court affirms.
I.
{¶2} Summa hired Ms. Messer on June 29, 2015 as a special procedures technologist in
the interventional radiology department at its Barberton Hospital facility. In this position, Ms.
Messer assisted doctors and others on medical procedures involving the veins and arteries of
patients. Ms. Messer was employed for approximately one month before being terminated.
{¶3} Upon being hired, Ms. Messer received Summa’s employee handbook.
Contained within the handbook was a provision on probationary employment which permitted
Summa to terminate an employee within the first 90 days of employment without notice.
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{¶4} At the time of Ms. Messer’s employment, Summa had a policy requiring all
technicians in the interventional radiology department to change in and out of hospital-issued
scrubs at the beginning and end of the shift, either in the unisex locker room or in the bathroom
located inside the locker room. Doctors and nurses also used the unisex locker room, but had
different policies regarding scrubs. Both the locker room and its bathroom could be locked. Ms.
Messer did not agree, nor comply with the changing policy. She wore her own scrubs instead of
the hospital-issued scrubs. She wore the scrubs home at the end of her shift instead of changing
into street clothes. When she did change her clothes, she would use the public restroom instead
of the unisex locker room or its bathroom.
{¶5} Ms. Messer claims that on one occasion, she walked in on a male employee who
was changing in the unisex locker room. Ms. Messer further claims she reported this incident to
three of her co-workers and to team leader L.M., but these verbal reports were unconfirmed. Ms.
Messer did not file a written report.
{¶6} After the first incident, Ms. Messer claims to have stopped using the unisex locker
room. Yet, according to Ms. Messer, a few days later she was changing in the locker room when
someone began to walk-in. She immediately shouted for the person to leave and he/she did. Ms.
Messer never saw the person and, thus, does not know if it was a male or female. Again, Ms.
Messer claims to have reported this second incident to two of her co-workers and to team leader
L.M., yet these verbal reports are also unconfirmed. Ms. Messer also did not file a written report
for the second incident.
{¶7} Sometime during her one-month employment, Ms. Messer’s co-worker K.T.,
team leader L.M., and supervisor S.B., all met with her and addressed the fact that her job
performance and knowledge did not correspond to the skills and background she had listed in her
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resume. Shortly thereafter, Ms. Messer was counseled twice by team leader L.M. about wearing
the hospital-issued scrubs, wearing personal scrubs home, and not using the public restroom to
change clothes.
{¶8} As to her resume, Summa claims it discovered after Ms. Messer was hired that
she had not disclosed her previous employment with Akron General Medical Center. During the
interview, supervisor S.B. took notes on Ms. Messer’s resume. The handwritten notes indicate
“medical issues – temp position[,] interventional cath[.,] St[.] Vincent vasc[.,], UH PT
currently.” Ms. Messer faults S.B. for not asking follow-up questions regarding who the
employer was for the temporary position. Supervisor S.B.’s expectation was that Ms. Messer’s
resume would include all of her employment history, relevant and non-relevant to the posted
position.
{¶9} Ms. Messer testified that she did not include the Akron General Medical Center
information because it was a “term position” and averred that she “tailor[ed] the experience in
the resume to meet the posted requirements for the job [she was] seeking.” Despite her assertion
that the resume was “tailor[ed]” for the interventional vascular technologist position at Summa,
the resume included a position at W.F. Hann and Sons where Ms. Messer worked as an
“Accounting Administrator” and “[h]andled all clerical and accounting functions.”
{¶10} On July 28, 2015, the day before Ms. Messer’s termination, she requested
permission from supervisor S.B. to leave work early. S.B. asked Ms. Messer how many of the
required HealthStream courses she still needed to complete. Ms. Messer indicated that she only
had two courses that needed to be completed and was granted permission to leave early based on
her representation. After Ms. Messer had left work, S.B. learned from the education department
that Ms. Messer, in fact, had five courses remaining. Ms. Messer claimed that she had answered
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truthfully because she had watched a couple of the courses, but deferred taking the tests until the
next day, which she did. In Ms. Messer’s opinion, watching the courses was the same as
completing the courses because the tests only took “three minutes to do.” However, S.B. viewed
Ms. Messer’s representation to be false.
{¶11} On that same day, Ms. Messer was involved in a procedure that resulted in a
hematoma to a patient. Summa contends the injury to the patient was a result of a mistake made
by Ms. Messer during the procedure. Ms. Messer asserts the mistake was not her fault, but the
fault of the other medical personnel because they did not provide her with the necessary
equipment.
{¶12} The following day, Ms. Messer met with team leader L.M. and supervisor S.B. for
an exit interview. During this meeting, S.B. advised Ms. Messer that her employment was being
terminated within the 90-day probationary period. The reasons for her termination were recorded
on the Summa New Employee/Internal Transfer Probationary Evaluation Form (“Termination
Form”). Both Ms. Messer and supervisor S.B. signed the Termination Form.
{¶13} In response to her termination, Ms. Messer filed a complaint alleging gender
discrimination under R.C. 4112.02(A) based on sexual harassment, retaliatory discrimination
under R.C. 4112.02(I), and aiding, abetting, inciting, compelling, or coercing an unlawful
discriminatory act under R.C. 4112.02(J). Summa filed a motion for summary judgment. The
trial court granted Summa’s motion for summary judgment on all three claims. Ms. Messer
timely appeals this judgment.
{¶14} Contrary to App.R. 12(A)(2) and App.R. 16(A), Ms. Messer has asserted three
assignments of error and argued them jointly because, in her view “[a]ll [of the] [a]ssignments of
[e]rror are [b]ased upon a common fact and law argument.” While Ms. Messer is essentially
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arguing the trial court erred in granting summary judgment in favor of Summa in each
assignment of error, the facts and law are not common because there are three separate causes of
action and there are procedural arguments being asserted. This Court agrees with Summa that
Ms. Messer’s improper briefing method has “present[ed] a convoluted legal analysis.” For ease
of discussion, this Court will reorder and address the assignments of error individually.
II.
ASSIGNMENT OF ERROR NO. 2
THE TRIAL COURT COMMITTED PREJUDICIAL AND REVERSIBLE
ERROR BY CREDITING [SUMMA’S] CONTRADICTED AND OPINION
EDITED VERSION OF [THE] FACTS ON [THE] MOTION FOR SUMMARY
JUDGMENT.
{¶15} In her second assignment of error, Ms. Messer argues that the trial court erred by
rejecting her affidavit and by failing to consider the deposition transcripts of the Summa
employees that she filed and, thereby, prejudiced her.
Ms. Messer’s Affidavit
{¶16} Ms. Messer asserted that the standard of review for all of her assignments of error
is de novo. She is incorrect. In the second assignment of error, Ms. Messer challenges the trial
court’s determination that her affidavit contradicted her deposition testimony without any
explanation and, thus, did not consider the affidavit. A trial court’s decision whether to strike an
affidavit is reviewed under an abuse-of-discretion standard. State ex rel. Cassels v. Dayton City
School Dist. Bd. of Edn., 69 Ohio St.3d 217, 223 (1994). It is also an abuse of discretion to
strike the entire affidavit when there are portions that are properly before the court. See Wesley
v. Walraven, 4th Dist. Washington No. 12CA18, 2013-Ohio-473, ¶ 27, quoting Wall v. Firelands
Radiology, 106 Ohio App.3d 313, 335 (6th Dist.1995). “A trial court will be found to have
abused its discretion when its decision is contrary to law, unreasonable, not supported by
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evidence, or grossly unsound.” (Citations and quotation marks omitted.) Tustin v. Tustin, 9th
Dist. Summit No. 27164, 2015-Ohio-3454, ¶ 21.
{¶17} Ms. Messer argues that the trial court improperly disregarded her entire affidavit.
While the trial court only specifically addressed an alleged discrepancy between Ms. Messer’s
deposition testimony and paragraph 5 of her affidavit, it generally concluded that “[s]he ha[d]
merely asserted bald allegations by way of her contradictory affidavit” and would “not consider
the affidavit or find that it creates a genuine issue of material fact where these matters [were]
concerned.” Because the trial court struck Ms. Messer’s entire affidavit, this Court will review
the propriety of that action before addressing the merits of the motion for summary judgment.
{¶18} “An affidavit of a party opposing summary judgment that contradicts former
deposition testimony of that party may not, without sufficient explanation, create a genuine issue
of material fact to defeat the motion for summary judgment.” Byrd v. Smith, 110 Ohio St.3d 24,
2006-Ohio-3455, paragraph three of the syllabus; see Craddock v. Flood Co., 9th Dist. Summit
No. 23882, 2008-Ohio-112, ¶ 15. In that instance, the trial court must engage in a two-part
analysis of the inconsistent affidavit. Craddock at ¶ 15. First, the trial court “must determine
whether the statements in the affidavit contradict or merely supplement the affiant’s earlier
testimony.” Id. Second, the trial court must decide whether the affiant has presented “a sufficient
explanation for the inconsistency.” Id.
{¶19} Here, the trial court based its decision not to consider Ms. Messer’s affidavit
solely on the contents of paragraph 5, which stated as follows:
While I was employed at Summa [], I was required to use a common access,
unisex locker room by my supervisor [L.M.] and her supervisor [S.B.] to change
my clothes in before starting my work shift and afterwards. I objected and
refused to use the room as I am uncomfortable, offended[,] and embarrassed when
I am caught in a state of undress by total strangers who are men while changing
my clothes and I am put into a position where I have to walk in on others[,]
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including men[,] while they are changing clothes when I have to use the unisex
locker room in issue.
The trial court interpreted this paragraph to mean that Ms. Messer “was caught half-dressed on
multiple occasions and that there were multiple times when she walked in on males while they
were changing.” The trial court explained that Ms. Messer’s deposition testimony, however,
only identified two incidents. The trial court adopted Summa’s rationale that Ms. Messer’s
affidavit indicated multiple incidents and this contradicted her deposition testimony of two
incidents.
{¶20} Ms. Messer argues the word “multiple” is not in her affidavit and thus the trial
court erred in interpreting her affidavit to say multiple incidents. While this Court agrees that
“multiple” does not appear in her affidavit, the trial court’s interpretation of paragraph 5 of the
affidavit as describing “multiple” incidents is proper. “[M]ultiple” is defined as “more than
one.” The Merriam-Webster Dictionary 325 (New Ed.2005). The affidavit describes two
different scenarios, thus it describes multiple incidents. Similarly, Ms. Messer testified to two
different incidents, which also equates to multiple incidents. Thus, Ms. Messer’s affidavit is
consistent with her deposition testimony. Because paragraph 5 of the affidavit did not conflict
with Ms. Messer’s deposition testimony, the trial court erred in not considering this paragraph of
the affidavit.
{¶21} Upon review of an affidavit, a trial court may strike only the portion of the
affidavit that is inadmissible. See Wesley, 2013-Ohio-473, at ¶ 27. Here, the trial court rejected
the entire affidavit as containing only “bald allegations” that were “contradictory” to her
deposition testimony. There was no additional analysis as to how the remaining paragraphs of
the affidavit were contradictory to the deposition testimony. Accordingly, the trial court erred in
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not considering the entire affidavit based solely on its analysis that paragraph 5 of the affidavit
was inadmissible. See Wesley at ¶ 27.
{¶22} While Ms. Messer has shown that the trial court erred in striking her entire
affidavit, she has failed to support her claim of prejudice resulting from that error. The appellant
bears the burden of affirmatively demonstrating the error on appeal and substantiating his or her
arguments in support. App.R. 16(A)(7); Loc.R. 7(B)(7). “Claimed error alone may not support
reversal; the party assigning error must demonstrate prejudice resulting therefrom.” Cincinnati
Ins. Co. v. Thompson & Ward Leasing Co., 158 Ohio App.3d 369, 2004-Ohio-3972, ¶ 19 (10th
Dist.), citing Smith v. Flesher, 12 Ohio St.2d. 107 (1967), paragraph one of the syllabus.
{¶23} Further, the statements put forth by Ms. Messer in her affidavit were also
contained in the deposition transcripts. Therefore, Ms. Messer has failed to show that the
erroneous exclusion of the cumulative information contained within her affidavit affected the
trial court’s decision to enter judgment in Summa’s favor. Consequently, the erroneous exclusion
of Ms. Messer’s affidavit did not affect the substantial rights of the parties and, thus, constituted
harmless error that this Court must disregard. See Civ.R. 61.
Deposition Transcripts
{¶24} Ms. Messer argues that the trial court did not consider any of the four depositions
that she submitted as evidence to establish the existence of a genuine issue of material fact. “‘[A]
trial court’s ruling on the use of the deposition of a witness is reviewed under an abuse-of-
discretion standard.’” Clinton v. Faurecia Exhaust Sys., 2d Dist. Miami No. 2012-CA-1, ¶ 26,
quoting Bishop v. Admr., Bur. of Workers’ Comp., 146 Ohio App.3d 772, 787 (10th Dist.2001).
{¶25} Ms. Messer’s argument is wholly without merit. The trial court set forth seven
instances in its judgment entry of “uncontroverted evidence that [Ms. Messer] was terminated *
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* * for reasons unrelated to any of her claims.” The trial court indicated the source for each of
the seven points. While the bulk of the support for the trial court’s decision came from Ms.
Messer’s deposition, the trial court also relied upon the depositions of human resource
representative E.H, team leader L.M., and supervisor S.B. These three depositions were
produced by Ms. Messer in opposition to Summa’s summary judgment motion. Thus, contrary to
Ms. Messer’s position, the trial court did consider the deposition transcripts she submitted.
{¶26} Ms. Messer also argues that Summa’s conduct in submitting only a partial
transcript of her testimony amounted to “severe editing of the record” and she avers that she was
prejudiced by the “absence [of] the full context of [her] deposition answers.” (Emphasis
deleted.) Ms. Messer overlooks the fact that she could have remedied any prejudice by filing a
complete copy of the transcript herself. Moreover, Ms. Messer does not provide this Court with
any case law or rule to support her position that the entire transcript should be filed. “An
appellant bears the burden of formulating an argument on appeal and supporting that argument
with citations to the record and to legal authority.” State v. Watson, 9th Dist. Summit No. 24232,
2009-Ohio-330, ¶ 5, citing App.R. 16(A)(7). Thus, pursuant to App.R. 16(A)(7), this Court
declines to address this argument.
{¶27} Ms. Messer’s second assignment of error is overruled.
ASSIGNMENT OF ERROR NO. 1
THE TRIAL COURT COMMITTED PREJUDICIAL AND REVERSIBLE
ERROR BY GRANTING [SUMMA’S] MOTION FOR SUMMARY
JUDGMENT ON ALL CAUSES OF ACTION IN THE CASE SUB JUDICE.
{¶28} In her first assignment of error, Ms. Messer asserts that the trial court erred in
granting summary judgment as to all of her claims. This Court disagrees.
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Summary Judgment Standard
{¶29} Appellate courts consider an appeal from summary judgment under a de novo
standard of review. Grafton v. Ohio Edison Co., 77 Ohio St.3d 102, 105 (1996). This Court uses
the same standard that the trial court applies under Civ.R. 56(C), viewing the facts of the case in
the light most favorable to the non-moving party and resolving any doubt in favor of the non-
moving party. See Viock v. Stowe-Woodward Co., 13 Ohio App.3d 7, 12 (6th Dist.1983).
Accordingly, this Court stands in the shoes of the trial court and conducts an independent review
of the record.
{¶30} Summary judgment is proper under Civ.R. 56 when: (1) no genuine issue as to
any material fact exists; (2) the party moving for summary judgment is entitled to judgment as a
matter of law; and (3) viewing the evidence most strongly in favor of the non-moving party,
reasonable minds can only reach one conclusion, and that conclusion is adverse to the non-
moving party. Civ.R. 56(C); Temple v. Wean United, Inc., 50 Ohio St.2d 317, 327 (1977).
{¶31} Summary judgment consists of a burden-shifting framework. The movant bears
the initial burden of demonstrating the absence of genuine issues of material fact concerning the
essential elements of the non-moving party’s case. Dresher v. Burt, 75 Ohio St.3d 280, 292
(1996). Specifically, the moving party must support the motion by pointing to some evidence in
the record of the type listed in Civ.R. 56(C). Id. at 292-293. Once the moving party satisfies this
burden, the non-moving party has a reciprocal burden to “set forth specific facts showing that
there is a genuine issue for trial.” Id. at 293. The non-moving party may not rest upon the mere
allegations or denials in his pleadings, but instead must submit evidence as outlined in Civ.R.
56(C). Id. at 293; Civ.R. 56(E). Additionally, expressions of speculation or assumptions in
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deposition testimony and affidavits are insufficient to sustain the non-movant’s burden. See
Dailey v. Mayo Family Ltd. Partnership, 115 Ohio App.3d 112, 117 (7th Dist.1996).
Gender Discrimination Based on Sexual Harassment
{¶32} The parties agree that Ms. Messer is asserting a claim for gender discrimination
arising out of sexual harassment in a hostile work environment and that Hampel v. Food
Ingredients Specialties, 89 Ohio St.3d 169 (2000), sets forth the applicable test. Ms. Messer
argues that there are genuine issues of material fact as to this cause of action. This Court
disagrees.
{¶33} R.C. 4112.02(A) makes it an unlawful discriminatory practice “[f]or any
employer, because of the * * * sex * * * of any person, * * * to discriminate against that person
with respect to hire, tenure, terms, conditions, or privileges of employment, or any matter
directly or indirectly related to employment.” The Ohio Supreme Court has “determined that
federal case law interpreting Title VII of the Civil Rights Act of 1964, Section 2000(e) et seq.,
Title 42, U.S. Code, is generally applicable to cases involving alleged violations of R.C. Chapter
4112.” Plumbers & Steamfitters Joint Apprenticeship Commt. v. Ohio Civ. Rights Comm., 66
Ohio St.2d 192, 196 (1981).
{¶34} Further, the Ohio Supreme Court has held that under R.C. 4112.02(A) a plaintiff
can establish discrimination “‘because of * * * sex’” under one of two sexual harassment
theories: “‘quid pro quo’ harassment” or “‘hostile environment’ harassment.” Hampel at
paragraph one of the syllabus. “‘[H]ostile environment’ harassment,” unlike “‘quid pro quo’
harassment,” does “not affect[] economic benefits, [but instead] has the purpose or effect of
creating a hostile or abusive working environment.” Id. To sustain a hostile work environment
sexual harassment claim, the plaintiff must prove all of the following elements:
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(1) that the harassment was unwelcome,
(2) that the harassment was based on sex,
(3) that the harassing conduct was sufficiently severe or pervasive to affect
“terms, conditions, or privileges of employment, or any matter directly or
indirectly related to employment,” and
(4) that either (a) the harassment was committed by a supervisor, or (b) the
employer, through its agents or supervisory personnel, knew or should have
known of the harassment and failed to take immediate and appropriate
corrective action.
Hampel at paragraph two of the syllabus. Summa’s summary judgment motion addressed the
second and third prongs.
Harassment based on sex – causation element
{¶35} An essential requirement in a sexual harassment claim is “[h]arassment ‘because
of * * * sex.’” Hampel at 178. Sexual harassment can be based upon the gender of a person or
behaviors associated with sexual gratification. Id. Thus, sexual harassment can exist when the
abusive actions are void of any sexual element but directed to an employee based on the
individual’s gender. Id.; see Oncale v. Sundowner Offshore Servs., 523 U.S. 75, 80 (1998). A
female plaintiff must show that she was treated differently or with greater hostility because she is
a woman. See Lack v. Wal-Mart Stores, Inc., 240 F.3d 255, 261 (4th Cir.2001). Thus, Ms.
Messer must show that, but for the fact of her gender, she would not have been the object of
harassment. See Hampel at 178; Oncale at 81 (A plaintiff must prove the conduct “actually
constituted ‘discrimination * * * because of * * * sex.’”). (Emphasis deleted.)
{¶36} Ms. Messer argued that Summa required, as a condition of her employment, that
she change from her street clothes into hospital issued scrubs in a unisex locker room. Ms.
Messer was “offended” because she viewed this policy as “a violation of her personal privacy
based upon gender.” According to Ms. Messer, the mandatory use of the unisex locker room was
abusive conduct creating a hostile work environment. Ms. Messer argues that the conduct was
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abusive because women have a greater expectation of privacy in their bodies than men and, thus,
the conduct was directed towards her based on her being a woman.
{¶37} Ms. Messer’s reliance on Livingwell, Inc. v. Pennsylvania Human Relations
Comm., 147 Pa.Commw. 116 (1992), for the proposition that females have a heightened privacy
interest in their bodies is misplaced. In Livingwell, a health fitness club was sued for violating the
Pennsylvania Human Relations Act by prohibiting men from being customers or employees in
their all-women facilities. Id. at 118. Contrary to Ms. Messer’s overriding theme, Livingwell does
not stand for the proposition that women have a heightened sense or right to privacy over men.
See id. at 128-129. Livingwell addressed the issue of customer gender privacy as a defense and
the requirement that the defendant show a factual basis for excluding males from its all-female
facilities. Id. at 120-123. The court’s analysis in Livingwell has no application to the facts in this
case.
{¶38} Ms. Messer also relied upon Washington v. White, 231 F.Supp.2d 71
(D.C.Dist.2002), for the proposition that “where the [p]laintiff complain[ed] his or her right of
privacy was invaded” there was sexual harassment. In Washington, the plaintiff, a male
custodial worker, complained that the female work leader entered the men’s locker room,
unannounced, five to ten times while the male employees were changing clothes and showering.
Id. at 80. The female worker’s actions were in contravention to the written policy prohibiting
women in the men’s locker room. Id. at 81. In response to the plaintiff’s complaint, the female
worker returned to the men’s locker room and accosted the plaintiff. Id. at 80-81. The court
found this was evidence creating a genuine issue of material fact regarding a hostile work
environment. Id. at 81.
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{¶39} Washington is distinguishable from the instant case because it involved a different
expectation of privacy. The male plaintiff in Washington had an expectation of privacy because
he was using a single sex locker room. See id. at 80. This case involves a unisex locker room,
where both men and women are permitted and, in fact, are required to use the designated space
for changing into hospital issued scrubs. Unlike Washington, the presence of the opposite sex in
the locker room is not in violation of a policy. See id. at 81. Moreover, the unisex locker room
allows an employee to protect his or her personal privacy interest because the door can be locked
by any staff member who uses the room, as evidenced by team leader L.M.’s deposition
testimony of an occasional line waiting to get inside the locker room.
{¶40} Summa argued in its summary judgment motion that Ms. Messer “cannot claim
that she was singled-out based on her gender in being provided this locker room because all
employees, male and female, were granted access to it.” In her opposition to summary
judgment, Ms. Messer found this argument to be “outrageous” and cited two cases, Bennett v.
Corroon & Black Corp., 845 F.2d 104 (5th Cir.1988) and Barbetta v. Chemlawn Servs. Corp.,
669 F.Supp. 569 (W.D.N.Y.1987), neither of which refuted Summa’s argument.
{¶41} Bennett concerned sexually explicit drawings containing the plaintiff’s name
hanging in the men’s public bathroom in the office building. Bennett at 105. Barbetta concerned
evidence of pornography depicting naked females, vulgar comments to women, a requirement
that females wear skirts or dresses so that a supervisor could look at their legs, and females
receiving unwanted physical contact of a sexual nature by a male employee. Barbetta at 572-
573. Both of these cases addressed sexually explicit conduct as opposed to gender neutral
conduct. Accordingly, Bennett and Barbetta are inapplicable to the facts in this case.
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{¶42} Ms. Messer concedes that a work “environment which is equally harsh for both
men and women * * * does not constitute a hostile working environment under the civil rights
statutes.” Brennan v. Metro. Opera Assn. 192 F.3d 310, 318 (2d Cir.1999). Ms. Messer then
argues for the first time on appeal the test and exceptions to the gender-neutral conduct defense.
This argument is different from those contained in her opposition to summary judgment.
“Arguments that were not raised in the trial court cannot be raised for the first time on appeal.”
JPMorgan Chase Bank, N.A. v. Burden, 9th Dist. Summit No. 27104, 2014-Ohio-2746, ¶ 12.
Accordingly, this Court will not consider this portion of her argument.
{¶43} Ms. Messer testified that the locker room was used by both male and female
employees and she averred that she felt “uncomfortable, offended[,] and embarrassed” when she
saw a male changing his clothes in the locker room and when a male walked in on her changing
her clothes. Ms. Messer testified that she was ordered by team leader L.M. to use the locker
room to change in and out of the hospital scrubs. Supervisor S.B. and co-worker K.T. testified
that Ms. Messer was able to use the bathroom located inside the locker room to change her
clothes. Ms. Messer acknowledged that there is a bathroom with a lock on the door located inside
the locker room. Additionally, team leader L.M. testified that there was a lock on the locker
room door that anyone could operate.
{¶44} Ms. Messer has not provided any evidence to indicate that the mandatory use of
the unisex locker room was motivated by Ms. Messer’s gender. There was no testimony or other
evidence as to how the mandatory use of the unisex locker room discriminated against Ms.
Messer based on her gender. Instead, the testimony established that the locker room policy did
not single out either gender as it applied to all medical personnel, male and female. See Oncale,
523 U.S. at 80, quoting Harris v. Forklift Sys., 510 U.S. 17, 25 (1993) (Ginsburg, J., concurring)
16
(the critical issue is whether one sex is subject to more disadvantageous conditions than the
other). Accordingly, Ms. Messer has failed to meet her Dresher burden of establishing the
existence of a genuine issue of material fact as to the essential condition of a sexual harassment
case, i.e., “[h]arassment ‘because of * * * sex.’” See Hampel, 89 Ohio St.3d at 178.
{¶45} In light of this Court’s analysis of the second element of a sexual harassment
claim, the parties’ arguments as to the other elements are moot. See App.R. 12(A)(1)(c). The
trial court did not err in granting summary judgment as to the sexual harassment claim.
Retaliatory Discrimination
{¶46} R.C. 4112.02(I) defines retaliatory discrimination as
an unlawful discriminatory practice * * * [when] any person [] discriminate[s] in
any manner against any other person because that person has opposed any
unlawful discriminatory practice defined in this section or because that person has
made a charge, testified, assisted, or participated in any manner in any
investigation, proceeding, or hearing under [R.C.] 4112.01 to 4112.07 [].
Federal case law regarding Title VII of the Civil Rights Act of 1964 generally applies to R.C.
Chapter 4112 violations, including retaliatory discrimination claims. See Varner v. Goodyear
Tire & Rubber Co., 9th Dist. Summit No. 21901, 2004-Ohio-4946, ¶ 10, citing Plumbers &
Steamfitters Joint Apprenticeship Commt., 66 Ohio St.2d at 196.
{¶47} An employee must first establish a prima facie case of retaliation by
demonstrating each of the following elements:
(1) that she was engaged in a protected activity,
(2) that the employer knew of her participation in the activity,
(3) that she was subjected to adverse employment action, and
(4) that “there is a causal link between the protected activity and the adverse
employment action.”
Jaber v. FirstMerit Corp., 9th Dist. Summit No. 27993, 2017-Ohio-277, ¶ 25, quoting Varner at
¶ 10, quoting Wade v. Knoxville Utils. Bd., 259 F.3d 452, 463 (6th Cir.2001).
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{¶48} If an employee establishes a prima facie case of retaliation, the burden then shifts
to the employer to offer a legitimate, non-retaliatory business reason for its action. Greer-Burger
v. Temesi, 116 Ohio St.3d 324, 2007-Ohio-6442, ¶ 14. This is simply a burden of production.
Manofsky v. Goodyear Tire & Rubber Co., 69 Ohio App.3d 663, 667 (9th Dist.1990). Once the
employer satisfies this burden, then the plaintiff must demonstrate that the proffered reason for
the adverse employment action was pretext. Greer-Burger at ¶ 14. If the employer proffers
multiple reasons, the employee must rebut each one to survive summary judgment. Crawford v.
City of Fairburn, 482 F.3d 1305, 1308 (11th Cir.2007).
{¶49} In its motion for summary judgment, Summa argued that Ms. Messer failed to
establish a prima facie case of retaliation, and further argued that Ms. Messer failed to establish
pretext. If Summa is correct in either respect, then the other issue and the related arguments are
moot. See generally Williams v. Time Warner Cable, 9th Dist. Summit No. 18663, 1998 Ohio
App. LEXIS 2793, *6-7 (June 24, 1998) (an employer may seek summary judgment on either
basis in a discrimination case). This Court begins its analysis with Ms. Messer’s prima facie case
of retaliation because we find it to be dispositive. See App.R. 12(A)(1)(c).
Engaged in protected activity
{¶50} An employee engages in protected activity by opposing an unlawful
discriminatory practice, “regardless of whether the conduct or policy * * * was, in fact,
unlawful.” See Robinson v. Quasar Energy Group LLC, 8th Dist. Cuyahoga No. 101062, 2014-
Ohio-4218, ¶ 20; Pintagro v. Sagamore Hills Twp., 9th Dist. Summit No. 25697, 2012-Ohio-
2284, ¶ 13. In the employment context, an employee communicating her belief that the employer
has engaged in discriminatory conduct constitutes protected activity. See Robinson at ¶ 19.
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{¶51} Ms. Messer testified that she told team leader L.M. that she was uncomfortable
changing in the unisex locker room because she “didn’t want to see [a male’s] butt and [she]
didn’t want [a male] seeing [hers].” Summa does not dispute that the content of such a
complaint involves an allegation of discriminatory conduct. Instead, Summa disputes that Ms.
Messer made such a complaint to L.M. Because of the parties’ divergent testimony as to
whether Ms. Messer voiced this complaint to L.M., there is a genuine issue of material fact as to
the first element of retaliation, whether Ms. Messer engaged in protected activity.
Knowledge of protected activity
{¶52} “The decision[]maker’s knowledge of the protected activity is an essential
element of the prima facie case of unlawful retaliation.” Frazier v. USF Holland, Inc., 250
Fed.Appx. 142, 148 (6th Cir.2007). An employer cannot make a retaliatory business decision
when it is not aware of the protected activity at the time the decision was made. See Carney v
Cleveland Hts.-Univ. Hts. City School Dist., 143 Ohio App.3d 415, 430 (8th Dist.2001).
{¶53} In a summary judgment motion, the plaintiff can meet its burden regarding the
employer’s knowledge with either direct or circumstantial evidence. See Meyers v. Goodrich
Corp., 8th Dist. Cuyahoga No. 95996, 2011-Ohio-3261, ¶ 22. Direct evidence of the employer’s
knowledge normally exists when the adverse action is taken by the same supervisor to whom the
employee made a complaint. See Proffitt v. Metro. Govt. of Nashville & Davidson Cty., 150
Fed.Appx 439, 442 (6th Cir.2005), quoting Mulhall v. Ashcroft, 287 F.3d 543, 552 (6th
Cir.2002). In the absence of direct evidence, knowledge may be inferred from the record.
Meyers at ¶ 22. Circumstantial evidence can support a reasonable inference if it is comprised of
“specific facts” and not merely “conspiratorial theories,” “‘flights of fancy, speculations,
19
hunches, intuitions, or rumors.’” See Mulhall at 552, quoting Visser v. Packer Eng. Assocs., Inc.,
924 F.2d 655, 659 (7th Cir.1991).
{¶54} With regard to Ms. Messer’s deposition testimony, Summa argued that her
alleged complaint of sexual harassment to team leader L.M. was insufficient to show that Summa
had knowledge of her protected activity. While Ms. Messer testified and averred in her affidavit
that she complained many times to team leader L.M. that she was uncomfortable using the
unisex locker room, a fact which L.M. denies, she did not testify or aver to having made this
complaint to supervisor S.B. As to her co-workers, Ms. Messer testified that she told them
about the two locker room incidents. However, she did not testify that she told her co-workers
that the incidents made her feel uncomfortable about changing in the locker room.
{¶55} Supervisor S.B. testified that she completed the Termination Form and it was her
decision to fire Ms. Messer. This is corroborated by team leader L.M.’s testimony that the
Termination Form was not “[her] documentation,” that she has never been in a supervisory role,
and that her previous involvement in a discipline situation with another employee consisted of
sitting in on the discipline and termination meetings.
{¶56} Further, supervisor S.B. testified, to repeated questioning, that she did not know
that Ms. Messer “complained about having to use the unisex locker room, because she didn’t like
being walked in on.” S.B.’s testimony was that the reason Ms. Messer was using the public
restroom in lieu of the locker room to change did not interest her, so she never discussed the
issue with her.
{¶57} The record does not reflect that team leader L.M. told supervisor S.B. about Ms.
Messer’s complaint. As to co-worker K.T., she testified that her only discussion with supervisor
S.B. was to tell her that Ms. Messer was wearing scrubs home. Upon review of the evidence,
20
Ms. Messer has failed to demonstrate the existence of a genuine issue of material fact that
someone other than supervisor S.B. made the decision to terminate Ms. Messer and that S.B. had
direct knowledge of Ms. Messer’s protected activity.
{¶58} Ms. Messer relies on circumstantial evidence to create an inference that
supervisor S.B. had knowledge of Ms. Messer’s protected activity. S.B. testified that shortly
before Ms. Messer’s termination, she learned from team leader L.M. that Ms. Messer was
changing in the public restroom instead of the locker room. According to S.B., because she does
not micromanage her staff, she deferred to team leader L.M. to counsel Ms. Messer on the
prohibited use of the public restroom.
{¶59} Ms. Messer claims that the fact that supervisor S.B. “testified that [Ms. Messer]
was told not to change in a public restroom [at the hospital] * * * leads us to infer [Ms. Messer]
complained about having to change in the unisex locker room prior to her termination.”
(Emphasis deleted.) Ms. Messer is asking this Court to infer, first, that her conduct was a
complaint and, second, that the substance of her complaint was that she was uncomfortable
changing in the unisex locker room because she did not want to see males or have males see her
changing. The record does not support either inference and is, therefore, insufficient to establish
knowledge by supervisor S.B. of Ms. Messer’s protected activity.
{¶60} While team leader L.M. brought the issue of changing in the public restroom to
supervisor S.B.’s attention, in light of S.B.’s hands-off approach to management, the record only
supports a finding that team leader L.M. was reporting a policy violation by Ms. Messer to S.B.,
and not that S.B. knew Ms. Messer complained about changing in the unisex locker room. Ms.
Messer has failed to present any “specific facts” to support these inferences, and instead has
improperly relied upon “‘speculations, hunches, [or] intuitions.’” See Mulhall, 287 F.3d at 552,
21
quoting Visser, 924 F.2d at 659. Accordingly, Ms. Messer has failed to present evidence
supporting the inference that supervisor S.B. knew of Ms. Messer’s protected activity.
{¶61} In an attempt to infer knowledge upon supervisor S.B., Ms. Messer argues for the
first time on appeal the “‘cat’s paw’ liability analysis.” Ms. Messer asserts that “an employer
who commits [an] adverse action that constitutes retaliation may be found liable even if it is not
personally aware of the protected activity of the [p]laintiff if it is shown the adverse act was
caused by higher management’s reliance on information produced by a subordinate employee
who had a motive to retaliate against the plaintiff.” However, Ms. Messer did not advance this
argument to the trial court and cannot now raise it on appeal in the first instance. Burden, 2014-
Ohio-2746, at ¶ 12. Accordingly, this Court will not consider this portion of her argument.
{¶62} Additionally, Ms. Messer’s deposition testimony regarding the discussions
during the exit interview does not create an inference of knowledge by supervisor S.B. Ms.
Messer testified that, during the exit interview with team leader L.M. and supervisor S.B., she
told them that “[changing in the locker room was] not something [she was] comfortable []
doing.” Despite this general statement by Ms. Messer, supervisor S.B. did not inquire as to why
Ms. Messer was uncomfortable, nor did Ms. Messer elaborate during the interview as to why she
was uncomfortable. Based on Ms. Messer’s limited testimony, in conjunction with supervisor
S.B.’s testimony relative to the discussion during the exit interview, Ms. Messer has not
presented any specific facts or evidence from which a reasonable jury could infer that supervisor
S.B. knew of Ms. Messer’s protected activity.
{¶63} Ms. Messer has not presented any direct evidence and the circumstantial evidence
upon which she relies is speculative and does not support the inference that supervisor S.B. knew
of Ms. Messer’s protected activity when she was terminated. Accordingly, Ms. Messer has
22
failed to meet her Dresher burden of establishing the existence of a genuine issue of material fact
that Summa had knowledge of Ms. Messer’s protected activity.
{¶64} In light of this Court’s analysis of the second element of a retaliation claim, the
parties’ arguments as to the other elements are moot. See App.R. 12(A)(1)(c). The trial court did
not err in granting summary judgment as to the retaliatory discrimination claim.
Aiding and Abetting an Unlawful Discriminatory Act Under R.C. 4112.02(J)
{¶65} Pursuant to R.C. 4112.02(J), the following conduct is another instance of an
unlawful discriminatory practice:
For any person to aid, abet, incite, compel, or coerce the doing of any act declared
by this section to be an unlawful discriminatory practice, to obstruct or prevent
any person from complying with this chapter or any order issued under it, or to
attempt directly or indirectly to commit any act declared by this section to be an
unlawful discriminatory practice.
{¶66} In its summary judgment motion, Summa presented a single argument as to this
cause of action: because no unlawful discriminatory act was committed,1 Summa could not be
liable under this statute. Ms. Messer responded that there was evidence creating a genuine issue
of material fact as to unlawful discriminatory practices by Summa and that the “three women
went out of their way to make sure [Ms. Messer] was terminated and the ground they picked,
happened to be a violation of [R.C.] 4112.02(A) and (I).”
{¶67} As discussed above, Ms. Messer has failed to establish a genuine issue of material
fact regarding her claims of gender discrimination arising from sexual harassment and retaliatory
discrimination. Accordingly, there is no evidence regarding an unlawful discriminatory practice
1
Ms. Messer argues Summa failed to meet its initial burden on summary judgment as to this
cause of action because it only made a conclusory statement and did not rely on any evidence.
To the contrary, Summa met its initial burden because it specifically indicated that it was relying
on the arguments and evidence previously discussed in its brief to support its position that “no
discriminatory act was committed.”
23
under R.C. 4112.02(A)-(I) and Summa is entitled to judgment as a matter of law on this cause of
action. See Pittman v. Parillo, Lucas C.P. No. CI0201402890, 2016 Ohio Misc. LEXIS 5839,
*42 (May 31, 2016), citing Woolf v. City of Streetsboro, N.D.Ohio No. 5:09 CV 1570, 2010 U.S.
Dist. LEXIS 110446, *48 (Oct. 18, 2010) (“As plaintiff has not established the elements of her
sexual discrimination and sexual harassment claims, her claim for aiding and abetting sexual
harassment under Ohio law also fails.”). The trial court did not err in granting summary
judgment as to the aiding and abetting an unlawful discriminatory act claim.
{¶68} Summa argues in the alternative that summary judgment should be affirmed on
this count because the three employees of Summa who allegedly colluded to get Ms. Messer’s
employment terminated are not named parties. First, this argument is moot because the trial
court’s summary judgment was not overturned. Second, Summa did not present this argument to
the trial court and it is thereby forfeited. Burden, 2014-Ohio-2746, at ¶ 12. (“Arguments that
were not raised in the trial court cannot be raised for the first time on appeal.”)
Conclusion
{¶69} When considering all of the evidence presented, Ms. Messer failed to meet her
Dresher burden of establishing the existence of a genuine issue of material fact regarding each of
her causes of action. After considering the foregoing arguments, the trial court did not err by
granting summary judgment in favor of Summa as against Ms. Messer. Ms. Messer’s first
assignment of error is overruled.
ASSIGNMENT OF ERROR NO. 3
THE TRIAL COURT COMMITTED PREJUDICIAL AND REVERSIBLE
ERROR BY IN EFFECT DISMISSING [MS. MESSER’S] OHIO R[.]C[.]
4112.02(J) CAUSE OF ACTION FINDING THAT [MS. MESSER’S]
EMPLOYMENT TERMINATION WAS FOR REASONS UNRELATED TO
“ANY OF HER CLAIMS.”
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{¶70} In the third assignment of error, Ms. Messer argues that the trial court erred in
granting summary judgment to Summa on her third cause of action when it “summarily
dismiss[ed] [the claim] without any discussion.”
{¶71} Ms. Messer did not develop an argument, nor has she cited any legal authority in
support of her position that the trial court erred by not providing its reasoning when it granted
summary judgment in favor of Summa on her third cause of action. “An appellant bears the
burden of formulating an argument on appeal and supporting that argument with citations to the
record and to legal authority.” Watson, 2009-Ohio-330, at ¶ 5, citing App.R. 16(A)(7). Where an
appellant fails to cite to any law supporting her assignment of error, it is not this Court’s duty to
create an argument for her. See Cardone v. Cardone, 9th Dist. Summit Nos. 18349, 18673, 1998
Ohio App. LEXIS 2028, *22 (May 6, 1998). (“If an argument exists that can support this
assignment of error, it is not this court’s duty to root it out.”). Thus, pursuant to App.R. 16(A)(7),
this Court declines to address this argument.
III.
{¶72} Ms. Messer’s first and second assignments of error are overruled and this Court
declines to address the third assignment of error. The judgment of the Summit County Court of
Common Pleas is affirmed.
Judgment affirmed.
There were reasonable grounds for this appeal.
We order that a special mandate issue out of this Court, directing the Court of Common
Pleas, County of Summit, State of Ohio, to carry this judgment into execution. A certified copy
of this journal entry shall constitute the mandate, pursuant to App.R. 27.
25
Immediately upon the filing hereof, this document shall constitute the journal entry of
judgment, and it shall be file stamped by the Clerk of the Court of Appeals at which time the
period for review shall begin to run. App.R. 22(C). The Clerk of the Court of Appeals is
instructed to mail a notice of entry of this judgment to the parties and to make a notation of the
mailing in the docket, pursuant to App.R. 30.
Costs taxed to Appellant.
LYNNE S. CALLAHAN
FOR THE COURT
SCHAFER, P. J.
CARR, J.
CONCUR.
APPEARANCES:
MICHAEL T. CONWAY, Attorney at Law, for Appellant.
JAMES D. KUREK, Attorney at Law, for Appellee.