FILED
Nov 07, 2012
DEBORAH S. HUNT, Clerk
NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
File Name: 12a1152n.06
No. 11-1697
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
SARA JASZCZYSZYN, )
) ON APPEAL FROM THE UNITED
Plaintiff-Appellant, ) STATES DISTRICT COURT FOR
) THE WESTERN DISTRICT OF
v. ) MICHIGAN
)
ADVANTAGE HEALTH PHYSICIAN NETWORK, )
) OPINION
Defendant-Appellee. )
)
)
BEFORE: COLE and CLAY, Circuit Judges; and MATTICE, District Judge.*
MATTICE, District Judge.
A year-and-a-half into Plaintiff-Appellant Sara Jaszczyszyn’s employment with
Defendant-Appellee Advantage Health Physician Network (“Advantage”), she began taking
intermittent FMLA leave related to worsening pain from a back injury sustained ten years before.
About five weeks into her leave, several of her coworkers saw pictures of her drinking at a local
festival on Facebook and brought the matter up with their supervisor. After reviewing the matter
internally and meeting with Jaszczyszyn, Advantage terminated her for fraud. Jaszczyszyn sued
Advantage, asserting retaliation and interference claims related to leave she purported to take
*
The Honorable Harry S. Mattice, Jr., United States District Judge for the Eastern District
of Tennessee, sitting by designation.
pursuant to the Family and Medical Leave Act of 1993, 29 U.S.C. § 2601 et seq. (“FMLA” or “the
Act”). The district court granted summary judgment in favor of Advantage, which Jaszczyszyn now
appeals. We AFFIRM.
I.
While the parties disagree over the inferences to be drawn from certain facts, the material
facts are largely undisputed.
On January 21, 2008, Advantage offered Sara Jaszczyszyn a part-time position in its Staffing
Center Float Pool. The offer was contingent upon, among other things, her being cleared to work
after a health examination. During that exam, she reported that she had injured her back in a car
accident in 1999 and that she had undergone surgery twice thereafter in relation to the injury. Despite
her injury and follow-up surgeries, Jaszczyszyn reported that she had experienced no recent
problems. On January 15, 2008, she was cleared for work without restrictions after her treating
physician, Dr. Timothy Spencer, submitted a work release form to that effect.
About five months into her employment, Advantage promoted Jaszczyszyn to a full-time
position in the Human Resources Department. Effective October 27, 2008, she was transferred to
the Professional Billing Office to work as a Customer Service Representative (“CSR”). The CSR
Position Description lists the “Physical/Mental” requirements as “minim[al],” and, as a CSR,
Jaszczyszyn spent most of her day talking with customers using a wireless headset. Due to the
limited range of the headset and the need for her to be able to access customers’ information on her
computer, she could not leave her station for an extended period of time, although she could stand
as needed.
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On July 29, 2009, nine months after her transfer, Jaszczyszyn called Dr. Spencer’s office
complaining that the back pain had been getting worse over the course of the previous six to eight
months, and she requested a reevaluation. On August 31st, several images were taken of
Jaszczyszyn’s back; the x-rays showed the surgery site to be stable and unchanged, but the MRI and
CT scan showed mild degenerative changes in the lower lumbar spine.
August 31st was also the first day Jaszczyszyn was absent from work due to her back pain.
There is some conflict in the record as to whether she wanted to be off the week before Labor Day
(August 31st through September 7th) to attend a family vacation, but the parties appear to agree that
she had little, if any, vacation time available. The Work Release Form deeming her “completely
incapacitated” from August 31st through September 7th was not completed by her doctor’s office
and submitted to Advantage until September 3rd. However, Jaszczyszyn said she cleared her prior
absences with her supervisor, Pam Bentley.
On September 3rd, HR Representative Faith Shovein received Jaszczyszyn’s Work Release
Form. Shovein immediately delivered the form to the Benefits and Payroll Coordinator, Malorie
Obrecht, who in turn sent the form to Dolores McLeod, a Leave Disability Specialist with
Occupational Health. McLeod reviewed medical documentation to see if it supported an employee’s
request for FMLA leave or disability or income protection plan (“IPP”) payments (i.e., certain short-
term disability benefits).
Shovein informed Jaszczyszyn via voicemail that she did not have enough paid time off to
cover her absences and “recommended that [she] do the [FMLA] leave to protect [her] job.” Shovein
followed up immediately thereafter by email with a number of documents related to Jaszczyszyn’s
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FMLA leave request. One of those attached documents outlined Advantage’s policies and procedures
with regard to FMLA leave in much more detail, including the conditions Jaszczyszyn must meet
to be entitled to FMLA leave, her rights and responsibilities under the FMLA, and the steps she
needed to take, both to ensure her leave was approved and while on leave. In particular, the letter
stated that, after a preliminary review, Advantage had determined that she met two of the three
requirements to be entitled to FMLA leave, but it needed her to provide a “Certification of Health
Care Provider” (“Certification”) to show that she suffered from a “serious medical condition.” The
letter specified that if Jaszczyszyn did not submit the Certification within fifteen days of receiving
notice concerning her FMLA responsibilities, her leave could be delayed or denied. It also specified
that she was required to maintain regular contact with her supervisor and, if she was on intermittent
leave, to arrange an appropriate schedule and comply with the usual absence notification
requirements.
The following day, Jaszczyszyn responded to Shovein’s email, saying that after speaking with
her doctor’s office, she intended to return to work on September 8th. She also stated that her
physician’s paperwork would not reflect the need for an extended period of leave, but would instead
cover her if she “happen[ed] to have any flare ups again.” Both of the intended events occurred:
Jaszczyszyn returned to work on September 8th, and on September 9th, Dr. Spencer submitted the
completed Certification in accordance with Jaszczyszyn’s expectations. It advised that: “Patient is
having about 4 flare up’s [sic] a month”; “[t]he flare up could last anywhere from a few hours or
days”; and when they occurred, “[s]he may need to sit, lie down or change positions when flare up
-4-
happen [sic].” It also indicated that she would be unable to perform all her job functions, but “only
when she has flare up,” in which case “[s]he will need to be off . . . .”
Although the Certification reflected a need for intermittent FMLA leave—to be taken
whenever she was having a flare up—Jaszczyszyn appears to have treated the leave as continuous,
open-ended, and effective immediately upon Advantage’s receipt of the Certification, never returning
(or attempting to return) to work after September 9th.1 Jaszczyszyn had to be reminded repeatedly
that she had to give notice each day that her pain prevented her from coming to work by speaking
with her supervisor personally. Those times she did give notice, however, she did so by leaving
voicemails late at night or on the weekend, when no one was at work. Shovein had to follow up with
Jaszczyszyn multiple times about her failure to submit the requisite paperwork in a timely fashion.
Despite Jaszczyszyn’s issues with submitting the requisite paperwork and giving proper and
timely notice, as of September 3rd, Advantage began treating her absences as being taken pursuant
to intermittent FMLA leave, and her supervisor authorized her request for IPP benefits (“IPP form”),
going back to September 10th. However, Jaszczyszyn’s lack of both clarity and responsiveness
caused difficulties in Advantage’s internal review process. Human Resource Manager Heather
Sprague indicated that Jaszczyszyn had been approved for intermittent FMLA leave and that
Advantage did not seek a second opinion because there did not seem to be any question as to the
legitimacy of the Certification. But, when Obrecht and McLeod reviewed the half-completed request
1
The form had several sections that were incomplete or left unanswered altogether, including
the question as to whether the incapacitation was continuous or intermittent, but the parts that were
completed unquestionably reflect a certification for intermittent leave contingent upon (“if” and
“only”) a “flare up.”
-5-
for IPP benefits on September 17th, McLeod noted that back pain was not, in and of itself, a
diagnosis for which IPP benefits could be paid. She also expressed concern over Jaszczyszyn’s
continuous absence, since her Certification was only for intermittent FMLA leave and since her only
Work Release Form—covering August 31st through September 7th—predated that Certification.
Shovein responded that she was not sure what to do until Jaszczyszyn received a final treatment plan
during her appointment with Dr. Spencer on September 22nd.
Some of the confusion as to the nature of her leave was resolved after Jaszczyszyn’s
September 22nd appointment with Dr. Spencer. After conducting an examination and reviewing the
images of her back, he assessed her as having “[r]ecurrence of severe lumbago with lower extremity
radiculopathy.” Perhaps more importantly, he completed the Health Care Provider Certification
section of the IPP form. While he did not answer the question as to whether Jaszczyszyn was able
to perform her regular job duties, he did answer a follow-up question, indicating a “projected length
of disability” from September 10th through October 5th. Dr. Spencer’s predictive abilities were
apparently limited, though; just eight days later, on September 30th, he (or his office) completed and
signed a second Work Release Form for Jaszczyszyn indicating that she was completely
incapacitated for another three weeks, from October 5th through the 26th.
Three days later, on October 3rd, Jaszczyszyn attended Pulaski Days, a local Polish heritage
festival. Over a period of at least eight hours, she visited three Polish Halls with a group of her
friends. One friend shared approximately 127 pictures from that day with Jaszczyszyn, who posted,
on her Facebook page, 9 pictures featuring herself.
-6-
At some point during that weekend, she left Bentley multiple voicemails indicating that she
was in pain, would not be attending work on Monday, and would contact Shovein to inform her of
the same. After Bentley heard the messages on Monday morning, she informed Shovein that she had
been having trouble getting Jaszczyszyn to communicate with her, and she attempted to see if there
was any update on Jaszczyszyn’s status. This lack of communicativeness would not be Bentley’s
primary concern for long.
Because Jaszczyszyn was “friends” with several of her coworkers—including Bentley—on
Facebook, the pictures were visible to them. One of those coworkers, upset about the behavior she
believed was pictured therein,2 brought the photographs to Bentley’s attention. Bentley noted that
“[o]ther staff members on the floor that were also friends with Sara felt a little betrayed or duped by
Sara because they were trying to cover for her only to see her out on Facebook partying.” Since she
felt that, as a supervisor, she needed to address the concerns brought to her, she looked at the
photographs in question when she arrived home that evening. Bentley sent her supervisor,
Professional Billing Department Director Lori Whilden, a message about the photos, and the
morning of October 6th, Whilden met with Sprague to discuss the situation. Sprague called Bentley
into the meeting and asked her to forward a couple of the pictures, which Bentley did when she got
home that evening, choosing a few that she felt best represented what upset the other employees. The
next day, Sprague contacted Advantage’s designated attorney; developed an investigation plan; and
2
The precise nature of the behavior pictured in the photographs—e.g., whether Jaszczyszyn
was dancing or merely standing between two friends, one of whom grabbed her arm and raised it—is
the subject of substantial, but ultimately immaterial, debate.
-7-
met with Shovein, Bentley, and Whilden to discuss potential outcomes. Sprague then met with her
direct supervisor and outlined the steps she had taken and was planning to take.
While Jaszczyszyn had been absent on FMLA leave informally for weeks, Shovein emailed
her a copy of the formal approval letter on October 7th. In that e-mail, Shovein reminded
Jaszczyszyn that her extension had yet to be approved, advised her that she should keep in contact
with her manager, and asked Jaszczyszyn to contact her as soon as possible. When Jaszczyszyn had
not responded by that evening, Shovein left Jaszczyszyn a voicemail asking her to come to work the
next morning to discuss issues related to her leave. In neither her email nor the voicemail message
did Shovein mention the issue with the Facebook pictures.
Shovein and Sprague met on the morning of October 8th to prepare a Corrective Action
Notice (i.e., a notice of termination with a statement of the problem) to give to Jaszczyszyn at a
meeting later that day. It was standard practice both to prepare those forms in advance—so that a
copy would be at hand if the decision was made to proceed with the discipline—and to discard those
draft forms if they were rendered unnecessary. Shovein and Sprague then went to the meeting with
Jaszczyszyn to discuss the issues surrounding her leave; the details of that meeting are reflected in
a “Record of Conversation,” which Shovein prepared directly after the meeting.
During the meeting, they first discussed Jaszczyszyn’s communication issues, including her
request for an extension of her FMLA leave through October 26th without discussing it with Bentley.
They next discussed her job requirements and the injuries that she argued prevented her from
fulfilling those requirements, before asking her if she knew how seriously Advantage took fraud.
Jaszczyszyn made clear she knew they took it very seriously. Sprague and Shovein then spent most
-8-
of the meeting discussing the pictures of Jaszczyszyn at the festival, which they believed were
inconsistent with the statements she had made in support of her requests for FMLA leave and with
the two Work Releases, which stated that she was “completely incapacitated.”
Jaszczyszyn did not agree with their characterization of the pictures, but she did not voice
that disagreement at the meeting. She defended attending the festival by arguing that no one had told
her it was prohibited. When asked to explain the discrepancy between her claim of complete
incapacitation and her activity in the photos, she did not have a response and was often silent,
occasionally saying that she was in pain at the festival and just was not showing it. When Sprague
asked why she did not come to work for any time at all during those weeks, she said she did not
know part-time work was an option.
Sprague said that, had Jaszczyszyn offered a reasonable explanation of the discrepancy
between her claims and the photos, she would have considered suspending Jaszczyszyn pending an
investigation of that explanation. But Jaszczyszyn repeatedly failed to respond at all, let alone offer
such a justification, and it became apparent that suspension was not an option. At the conclusion of
the meeting, Sprague presented Jaszczyszyn with the Corrective Action Notice—which Sprague,
Shovein, and Jaszczyszyn signed—and terminated her.
Two weeks later, on October 20th, Bentley prepared a Termination Report, on which she
selected “absenteeism/lateness”—from six choices altogether, including “incompetence,” “changing
job,” “reduction in force,” “family,” or “other”—as the reason for Jaszczyszyn’s separation.
Jaszczyszyn argued that this was proof of an inconsistent justification for her termination. She
claimed that if FMLA fraud was truly the motivating factor behind her termination, Bentley would
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have selected “other” and written in a justification relating to “fraud.” Bentley stated that, in
selecting “absenteeism,” she was merely trying to work within the framework provided and that she
believed “absenteeism” adequately described the issues leading to Jaszczyszyn’s termination.3
On February 17, 2010, Jaszczyszyn initiated the present action in the Western District of
Michigan, alleging that she was terminated in retaliation for exercising her rights pursuant to the
FMLA or to interfere with her exercise of those rights and asserting just two claims: an FMLA
interference claim and an FMLA retaliation claim. On December 8, 2010, Advantage moved for
summary judgment, arguing that there was no evidence showing that anyone at Advantage had a
retaliatory motive and that it had an “honest suspicion” Jaszczyszyn was abusing her leave. The
district court heard oral argument on the motion on April 25, 2011 before ultimately granting
summary judgment to Advantage on May 6, 2011. Jaszczyszyn timely filed a notice of appeal to this
Court on May 31, 2011.
II.
We review the district court’s grant of summary judgment de novo. Seeger v. Cincinnati Bell
Tel. Co., LLC, 681 F.3d 274, 281 (6th Cir. 2012). Summary judgment is appropriate where “the
movant shows that there is no genuine dispute as to any material fact and the movant is entitled to
judgment as a matter of law.” Fed. R. Civ. P. 56(a). The movant bears the initial burden of
demonstrating that no genuine issue of material fact exists, which it may discharge either by
3
Jaszczyszyn appears to have made a full recovery very shortly after she was terminated. She
did not see Dr. Spencer again after her termination, and since November 2009 (just one month later),
she has not suffered any health problems and has been fully able to work. In June 2010, she found
employment with a similar employer, but was terminated on September 21, 2010 due to "excessive
absenteeism" during the orientation period.
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producing evidence that demonstrates the absence of a genuine issue of material fact or simply “by
‘showing’ . . . that there is an absence of evidence to support the nonmoving party’s case.” Celotex
Corp. v. Catrett, 477 U.S. 317, 323, 325 (1986). Where the movant has satisfied this burden, the
nonmoving party cannot “rest upon its . . . pleadings, but rather must set forth specific facts showing
that there is a genuine issue for trial.” Moldowan v. City of Warren, 578 F.3d 351, 374 (6th Cir.
2009) (citing Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 586 (1986)); see Fed.
R. Civ. P. 56. A mere scintilla of evidence is not enough; there must be evidence from which a jury
could reasonably find in favor of the nonmoving party. Anderson v. Liberty Lobby, Inc., 477 U.S.
242, 252 (1986); Moldowan, 578 F.3d at 374. In ruling on a motion for summary judgment, the
Court must view the facts contained in the record and all inferences that can be drawn from those
facts in the light most favorable to the nonmoving party. Matsushita Elec. Indus. Co., 475 U.S. at
587; Nat’l Satellite Sports, Inc. v. Eliadis Inc., 253 F.3d 900, 907 (6th Cir. 2001).
III.
The Family and Medical Leave Act of 1993, 29 U.S.C. § 2601 et seq. (“FMLA” or “the Act”)
creates, in eligible employees, an entitlement to a total of 12 workweeks of leave during any
12-month period for certain events, including “a serious health condition that makes the employee
unable to perform the functions” of his or her position. 29 U.S.C. § 2612(a)(1)(D). There are two
distinct theories of recovery under the FMLA: the “interference” or “entitlement” theory, grounded
in § 2615(a)(1), and the “retaliation” or “discrimination” theory, grounded in § 2615(a)(2). Seeger,
681 F.3d at 282.
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For an interference claim, a plaintiff must establish that: “(1) [s]he was an eligible employee,
(2) defendant was a covered employer, (3) [s]he was entitled to leave under the FMLA, (4) [s]he
gave defendant notice of [her] intent to take leave, and (5) the defendant denied [her] FMLA benefits
or interfered with FMLA rights to which [s]he was entitled.” Harris v. Metro. Gov’t of Nashville &
Davidson Cnty., Tenn., 594 F.3d 476, 482 (6th Cir. 2010). For a retaliation claim, a plaintiff must
establish that: “(1) she was engaged in an activity protected by the FMLA; (2) the employer knew
that she was exercising her rights under the FMLA; (3) after learning of the employee’s exercise of
FMLA rights, the employer took an employment action adverse to her; and (4) there was a causal
connection between the protected FMLA activity and the adverse employment action.” Killian v.
Yorozu Auto. Tenn., Inc., 454 F.3d 549, 556 (6th Cir. 2006) (citing Arban v. West Pub. Co., 345 F.3d
390, 404 (6th Cir. 2003)). Only the last prongs of each of the tests are contested here.
As this Court noted very recently, while a claim for FMLA-related discharge can sound in
either theory, “the requisite proofs differ,” particularly as to the question of the employer’s intent.
Seeger, 681 F.3d at 282. Under the interference theory, “[b]ecause the issue is the right to an
entitlement, the employee is due the benefit if the statutory requirements are satisfied, regardless of
the intent of the employer.” Edgar v. JAC Prods., Inc., 443 F.3d 501, 507 (6th Cir. 2006) (quoting
Arban, 345 F.3d at 401) (internal quotation marks omitted). In contrast, under the retaliation theory
“the employer’s motive is an integral part of the analysis,” because “retaliation claims impose
liability on employers that act against employees specifically because those employees invoked their
FMLA rights.” Id. at 508 (emphasis and internal citations omitted). Though, as the court noted in
Edgar, the interference theory does not convert the FMLA into a strict-liability statute because
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“interference with an employee’s FMLA rights does not constitute a violation if the employer has
a legitimate reason unrelated to the exercise of FMLA rights for engaging in the challenged
conduct.” Id. at 507–08.
This “legitimate, unrelated reason” carve-out or exception has caused some confusion as to
the role of the employer’s intent in FMLA interference claims. And this confusion becomes
particularly problematic in cases, like this one, where the employee was terminated while on leave
and where the employee’s claims sound in both interference and retaliation. For instance, two of the
issues presented to us on appeal are (1) whether the burden-shifting analysis of McDonnell Douglas
v. Green, 411 U.S. 792 (1978) applies in a FMLA interference claim, and (2) whether the “honest
belief” rule articulated in Smith v. Chrysler Corp., 155 F.3d 799 (6th Cir. 1998), applies in an FMLA
interference claim.
The first question was answered recently in Donald v. Sybra, Inc., 667 F.3d 757 (6th Cir.
2012). In that case, the Court noted that, while “[t]here is no doubt that this Court applies the
McDonnell Douglas burden-shifting framework to FMLA retaliation suits when the plaintiff
produces indirect evidence of a causal connection between the protected activity and the adverse
employment action,” that framework’s status vis-à-vis retaliation claims was less clear. Id. at 762
(citing Edgar, 443 F.3d at 508). After discussing at length the lack of clarity on the issue and noting
the problems inherent in “[a]pplying rules designed for anti-discrimination laws to statutes creating
substantive entitlements,” the Court found that the McDonnell Douglas regime applied to FMLA
interference claims. Id. (quoting Diaz v. Fort Wayne Foundry Corp., 131 F.3d 711, 712 (7th Cir.
1997)). The Court construed the previously-published decision in Grace v. USCAR, 521 F.3d 655,
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670 (6th Cir. 2008), as “effectively adopt[ing] the McDonnell Douglas tripartite test without saying
as much,” and thus “requir[ing] the conclusion” that McDonnell Douglas is “correctly applied . . .
to both . . . interference and retaliation claims.” Id. at 762.4 It is important to note that both Donald
and Grace consider only FMLA interference claims where the employer has offered a “legitimate
reason unrelated to the exercise of FMLA rights for terminating the employee.” Donald, 667 F.3d
at 762; Grace, 521 F.3d at 670 (“If the defendant proffers such a justification, then the plaintiff may
seek to rebut it by a preponderance of the evidence.”) (emphasis added). Therefore, their holdings
may not extend to cases where such a rationale is not offered, in which the McDonnell Douglas
burden-shifting regime would likely be less useful.
The second question—whether the “honest belief’ rule articulated in Smith v. Chrysler Corp.,
155 F.3d 799 (6th Cir. 1998), applies in an FMLA interference claim—was implicated by Donald,
but not addressed squarely. The “honest belief” rule provides that, “so long as the employer honestly
believed in the proffered reason given for its employment action, the employee cannot establish
pretext even if the employer’s reason is ultimately found to be mistaken, foolish, trivial, or baseless.”
Id. at 806.
4
Grace may be read as a case in which the Court merely found the factors outlined in
McDonnell Douglas and its progeny useful in considering whether the employer’s proffered reason
for termination was legitimate without meaning to import the full burden-shifting regime of
McDonnell Douglas, along with its attendant caselaw and history, particularly as it did not do so
directly, let alone explicitly. While that reading seems to be more in keeping with how this Court
treated FMLA interference and retaliation claims in Romans v. Mich. Dep’t of Human Servs., 668
F.3d 826 (6th Cir. 2012) (explicitly applying McDonnell Douglas to racial and FMLA discrimination
claims but not doing so to the plaintiff’s FMLA interference claims, which the court discussed
between the two other claims), such a reading is now foreclosed by Donald.
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After deciding in Donald that the McDonnell Douglas test applied to both the FMLA
retaliation and interference claims, the Court “turn[ed] to the substance of Donald’s FMLA claims,”
the last piece of evidence relevant to which was “the accusation of theft” Donald’s employer made
against her. In discussing that accusation, the Donald court stated:
[Donald] vociferously denies the allegation, and argues that there are reasons as to
why orders may have irregularities and why her drawer may have been short. This is
irrelevant. We have adopted the honest belief rule, reasoning that it is not in the
interests of justice for us to wade into an employer’s decisionmaking process.
Michael v. Caterpillar Fin. Servs. Corp., 496 F.3d 584, 598–99 (6th Cir. 2007). It is
instead the employer’s belief, and whether it is informed and nondiscriminatory, with
which we are concerned. We do not require that the employer arrived at its decision
in an “optimal” matter, id. at 599, but that it “reasonably relied on the particularized
facts that were before it at the time the decision was made.” Majewski v. Automatic
Data Processing, Inc., 274 F.3d 1106, 1117 (6th Cir. 2001) (internal quotation marks
omitted).
Donald, 667 F.3d at 763.
The Donald opinion did not make clear which FMLA claim the Court was analyzing at that
stage. Both of the cases the opinion cited in discussing the honest belief rule were discrimination
cases—race and age discrimination, respectively—and it even noted that part of the test is whether
the employer’s belief is “informed and nondiscriminatory.” Id. On one hand, the fact that it had just
discussed interference claims and appears to have collapsed the analysis of the interference and
retaliation claims militates in favor of reading Donald as adopting the honest belief test in FMLA
interference claims. On the other hand, the fact that it cites only discrimination cases and discusses
“discriminatory intent” militates in favor of reading Donald as discussing the “honest belief” rule
only within the context of the retaliation claim. Because that opinion does not address the issue
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clearly, let alone explicitly, it is not appropriate to read it as either adopting or rejecting the “honest
belief” rule within the context of FMLA interference claims.5
The more appropriate way forward in this case is that provided in the later-published Seeger
opinion. In that case, the Court noted that the plaintiff purported to advance both interference and
retaliation claims but “received all of the FMLA leave to which he was entitled” and thus “the
district court did not err in confining its analysis of Seeger’s FMLA claim to the retaliation theory.”
Seeger, 681 F.3d at 283. In this case, while Jaszczyszyn could have argued that Advantage
terminated her in connection with her second request for FMLA leave, she instead argued that the
basis for her interference claim was only the failure of her employer to reinstate her.
Advantage had approved Jaszczyszyn’s first request for leave—and paid her for all the time
taken off—but had not yet ruled on her second request for FMLA leave (for October 5th through the
26th). Further, the investigation into the employee complaints about her behavior at the festival did
not begin until the afternoon of Monday, October 5th, after her supervisor had already discussed her
ongoing leave with an HR representative. It is clear—and Jaszczyszyn provided no evidence to the
contrary—that the reason she was not at work after her first period of FMLA leave was not that
Advantage had denied her reinstatement. Rather, Jaszczyszyn had submitted a second request for
leave that Advantage appeared to be treating the same as her first. That is, before the appropriate
paperwork had been completed, it allowed her to take the time off, treated it as being taken pursuant
to FMLA and paid her for that time. Therefore, as in Seeger, it appears that Jaszczyszyn had been
5
The “honest belief” rule is inextricably linked with questions of discriminatory intent, and,
as the Donald court noted, bringing that rule into the interference realm would further erode the
boundaries between the interference and retaliation claims.
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given all the leave to which she was entitled, and her interference claim fails, leaving just her
retaliation claim.
Jaszczyszyn’s retaliation claim also fails. The last element she is required to show is that
there was a causal connection between the protected FMLA activity and the adverse employment
action. See Killian, 454 F.3d at 556. Yet she introduces little or no evidence on this point. She states
that she does not have to go through the McDonnell Douglas analysis because of the termination
notice signed by Bentley, which she believes is direct evidence of unlawful motive as it lists
“absenteeism” instead of “fraud” as the reason for her termination. Not only was that termination
report completed by an individual not responsible for the decision to terminate her, but, as the district
court accurately noted, it was “not incorrect.” In fact, despite Jaszczyszyn’s assertion, “absenteeism”
was an accurate characterization of her behavior. Advantage’s decision not to select “other” and
write in a more specific reason is consistent with the stated reason for her termination. Likewise,
while she relies heavily on the fact that the Corrective Action Notice was prepared in advance as
evidence of pretext, at no point does she provide any evidence to counter Advantage’s assertion that
this was standard practice. Throughout her briefs before the district court and on appeal, she
repeatedly argued that a jury would not be required to believe Advantage’s witnesses or evidence.
However, she fails to offer any evidence “showing that the materials cited do not establish the
absence or presence of a genuine dispute.” Fed. R. Civ. P. 56(c)(1)(B).
As in Seeger, Advantage “rightfully considered workplace [FMLA] fraud to be a serious
issue,” and its termination of Jaszczyszyn because of her alleged dishonesty constituted a
non-retaliatory basis for her discharge. See Seeger, 681 F.3d at 284. While Jaszczyszyn relies heavily
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upon a significant amount of after-the-fact medical evidence (such as the deposition of her treating
physician) in trying to cast Advantage’s justification as pretextual, Advantage’s investigation was
adequate and turned in large part on Jaszczyszyn’s own behavior at the termination interview, which
she does not address at all. She did not refute Advantage’s honest belief that her behavior in the
photos was inconsistent with her claims of total disability. Thus, as a result of her fraudulent
behavior, her claim of FMLA retaliation fails. We therefore conclude that the district court did not
err in granting summary judgment to Advantage.
IV.
For the foregoing reasons, the judgment of the district court is AFFIRMED.
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