BRUCE WHITMAN V CITY OF BURTON

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STATE OF MICHIGAN COURT OF APPEALS BRUCE WHITMAN, FOR PUBLICATION July 5, 2011 Plaintiff-Appellee, v CITY OF BURTON and CHARLES SMILEY, No. 294703 Genesee Circuit Court LC No. 08-087993-CL Defendants-Appellants. Before: O’CONNELL, P.J., and SAAD and BECKERING, JJ. BECKERING, J. (dissenting). I respectfully dissent. Defendants city of Burton (“the city”) and Charles Smiley appeal by right the judgment entered in favor of plaintiff Bruce Whitman following a jury trial in this action brought under the whistleblowers’ protection act (“WPA”), MCL 15.361 et seq. I would affirm. I. FACTUAL BACKGROUND AND PROCEDURAL HISTORY In March 2002, Smiley, the mayor of the city, appointed plaintiff as police chief. The city charter provides, at section 6.2(b), that mayoral appointees “serve at the pleasure of the Mayor for indefinite terms, except that the Mayor shall reaffirm or appoint those administrative officers and other appointive positions within thirty (30) days from his election . . . .” Plaintiff remained police chief until November 2007, when after an election, Smiley declined to reappoint plaintiff to the position. According to plaintiff, Smiley’s decision not to reappoint him was causally connected to previous incidents when plaintiff reported a policy issued by Smiley as a violation of a city ordinance. City ordinance no. 68-25C, section 8(I) (“ordinance 68C”), which permitted unelected city officers to be paid for unused sick, personal, and vacation days, stated, in part: Administrative officers [meaning unelected officers] may accumulate unused sick/personal days until a 90 day accumulation has been created. Vacation days and unused holidays may also be credited for purposes of the accumulation. At the option of any administrative officer, any [un]used sick and/or personal, and/or vacation days may be paid in January in the year after which they are accumulated. [Emphasis added.] -1- In early 2003, an election year, Smiley held a meeting with the city department heads regarding the city’s worsening financial situation. Smiley, stating that all possible measures should be taken to keep city employees working, noted that the city paid a large amount of money each year for employees’ unused vacation days. At a later meeting, which Smiley did not attend, the department heads agreed to a pay freeze and that all vacation days had to be used within the calendar year, with no employee payouts for unused days. Smiley prepared a memorandum of this “gentlemen’s agreement” and distributed it to administrators, including plaintiff, on March 18, 2003. On March 20, 2003, plaintiff sent Smiley a letter objecting to the plan in Smiley’s memorandum. He stated that his lifestyle revolved around “these very things that have been negotiated for me . . . . My family looks forward to the financial benefits I receive by not missing work.” In the 2003 election, Smiley was reelected, and he subsequently reappointed plaintiff as police chief. On January 9, 2004, plaintiff sent a letter to Smiley requesting a payout for his unused days in 2003 under ordinance 68C. The letter further stated: Although I have a great deal of respect for you as a person and as our mayor, I do not feel that issuing a confidential memo that affects ones [sic] wages and benefits that are set by ordinance, can supersede that very ordinance. To ignore issues specified in that ordinance would be a direct overt violation of that ordinance and I fully intend to address the violation should it occur. [Emphasis added.] On January 12, 2004, Smiley held a staff meeting. Smiley stated, according to plaintiff, that there would be no payouts for unused vacation days, arguing that the administrators had waived their rights to receive such payouts. Plaintiff told Smiley that he had talked to the city attorney about this issue, that refusing to pay employees for unused days was an ordinance violation, and that he expected the violation to be addressed. On January 15, 2004, plaintiff wrote a letter to Dennis Lowthian, an administrative officer for the city who had been acting as a spokesperson for all of the administrative officers. In the letter, plaintiff stated: “I cannot allow them to violate the ordinance by ‘forcing waivers’ of ordinance[-]given rights. I believe it is my job as a police officer to point the violation out and I will pursue it as far as it needs to go.” (Emphasis added.) On January 23, 2004, plaintiff wrote a letter to Richard Hamilton, a city attorney for matters other than labor and employment. Plaintiff, asserting that the failure of the city to pay him for unused vacation days was a violation of ordinance 68C, stated: My position is this, this is a violation of the ordinance [and] I told the mayor on the 12th it was an ordinance violation . . . . If I need to re address [the issue] through the council I will, if you have any input on resolving this I would appreciate it or I will be forced to pursue this as a violation of the law and will address it as such. [Emphasis added.] -2- Plaintiff also stated that “[t]his ordinance was not re addressed in regards to these benefits during the past year and the Mayor and council clearly had ample time to bring this up and I expected them to [do so] after the memo of March 03.” Defense counsel admitted at trial that Smiley was told about the January 23, 2004, letter, and Hamilton testified that he told Smiley about the letter. But Smiley denied that Hamilton talked with him about it. Thereafter, the city’s labor and employment attorney, Dennis Dubay, advised the city that the payouts for unused days had to be made because ordinance 68C had not been amended to reflect the “gentlemen’s agreement” not to make the payouts. According to Smiley’s testimony, Dubay told him, “Chuck, you can’t make a gentlemen’s agreement to drive 55 [miles per hour] when the speed limit is posted at 45 . . . .” On January 29, 2004, the city authorized monetary payouts for unused vacation and sick days to all officers who had requested it, including plaintiff. Smiley testified that on March 28, 2004, he had a couple of alcoholic drinks at a local bar. The owner of the bar, Bob Lindsey, offered to drive Smiley home. Lindsey drove Smiley in Smiley’s city-issued vehicle. Right after they left the parking lot, city police officers in three cruisers stopped them. One of the officers was slated to be laid off. Plaintiff conducted an investigation of the incident and disciplined the officers in May 2004. But Smiley allegedly felt that the discipline was too mild and was unhappy with the way plaintiff handled the matter. On June 7, 2004, Smiley issued a letter to plaintiff, indicating that he was considering removing plaintiff as police chief. Later that day, Smiley met with plaintiff and city employee Mark Udell. According to plaintiff, Smiley angrily pointed his finger in plaintiff’s face and yelled, “You threatened to have me prosecuted over the 68C vacation pay issue.” Udell took notes, which stated: “Mayor – no trust – 68-C (vacation) – lack of communication . . . .” Plaintiff asserts that his performance as police chief was good. Morale was high, he received awards, and there were no disciplinary actions against him. In April 2004 he received an award as police administrator of the year, a statewide award. Plaintiff again received a statewide award in October 2004. Plaintiff did, however, admit to exchanging sexually explicit emails during work hours. Smiley was reelected as mayor in November 2007. Following his reelection, Smiley directed each department head, including plaintiff, to submit a resume to him, if he or she wanted to be reappointed. Later that month, Smiley declined to reappoint plaintiff as police chief. Smiley publicly stated that he wanted the police department to go in a new direction and to have more discipline in the department. But Smiley testified that the actual reasons he did not reappoint plaintiff were unnecessary for the public to know and that he was trying to protect plaintiff and the police department from embarrassment. On December 1, 2007, plaintiff began receiving pension benefits. Later in December 2007, Smiley met with lieutenants and sergeants in the police department to discuss a possible replacement for plaintiff. At the meeting, Smiley mentioned that he and plaintiff “got off on the wrong foot” because of the 68C ordinance issue. Sergeant Michael Odette testified that Smiley brought up the issue. Similarly, according to Lieutenant -3- Thomas Osterholzer’s testimony, Smiley acknowledged that plaintiff’s conduct related to the ordinance got them off to “a rocky start” and “on the wrong foot.” Plaintiff filed suit against defendants in February 2008, alleging a violation of the WPA. At trial, the jury found in plaintiff’s favor, answering special interrogatories on the verdict form, finding that plaintiff engaged in protected conduct, and that his protected conduct made a difference in Smiley’s failure to reappoint plaintiff. The jury found plaintiff’s past economic damages to be $97,500 for 2007 and 2008, future economic damages of $130,000 ($65,000 for each of the years 2009 and 2010), and noneconomic damages of $5,000, for a grand total of $232,500. The verdict form did not provide separate awards against each of the two defendants. The trial court subsequently entered judgment for plaintiff.1 Thereafter, defendants moved for judgment notwithstanding the verdict (JNOV) or a new trial. The trial court denied defendants’ motion. Defendants now appeal as of right. II. DEFENDANTS’ MOTION FOR JNOV Defendants first argue on appeal that the trial court erred in denying their motion for JNOV. A trial court’s ruling on a motion for JNOV is reviewed de novo on appeal. Garg v Macomb Co Community Mental Health Servs, 472 Mich 263, 272; 696 NW2d 646 (2005). When ruling on a motion for JNOV, a trial court should consider the evidence and all legitimate inferences arising therefrom in the light most favorable to the nonmoving party. Reed v Yackell, 473 Mich 520, 528; 703 NW2d 1 (2005). “A trial court should grant a motion for JNOV only when there was insufficient evidence presented to create an issue for the jury.” Attard v Citizens Ins Co of America, 237 Mich App 311, 321; 602 NW2d 633 (1999). If the evidence is such that reasonable jurors could disagree, JNOV is not properly granted. Foreman v Foreman, 266 Mich App 132, 136; 701 NW2d 167 (2005). The WPA, which imposes a duty on employers not to fire whistleblowers for reporting a violation of law, states, in part: An employer shall not discharge, threaten or otherwise discriminate against an employee regarding the employee’s compensation, terms, conditions, location, or privileges of employment because the employee . . . reports or is about to report, verbally or in writing, a violation or a suspected violation of a law or regulation or rule promulgated pursuant to law of this state, a political 1 In the judgment, the trial court stated that the verdict amount of $232,500 stood, unchanged, vis-à-vis Smiley (plus attorney fees of $64,874.25, for a total of $297,374.25 vis-à-vis Smiley), but that the city only owed plaintiff $53,981.78, as the court held that the pension benefits received by plaintiff would be an offset against the liability of the city, but not against the liability of Smiley. The judgment also stated that any money paid by the city “shall correspondingly reduce the judgment amount owed by . . . Smiley.” -4- subdivision of this state, or the United States to a public body, unless the employee knows that the report is false . . . . [MCL 15.362 (emphases added).] As noted by the majority, “[t]o establish a prima facie case under this statute, a plaintiff must show that (1) the plaintiff was engaged in protected activity as defined by the act, [i.e., reporting or being about to report a violation or suspected violation of law,] (2) the plaintiff was discharged or discriminated against, and (3) a causal connection exists between the protected activity and the discharge or adverse employment action.” West v Gen Motors Corp, 469 Mich 177, 183-184; 665 NW2d 468 (2003). A. PROTECTED ACTIVITY Defendants assert that plaintiff failed to establish that he engaged in a protected activity. I disagree. Plaintiff engaged in a protected activity, as defined by the WPA, by reporting the violation, or what was at least suspected to be a violation, of ordinance 68C to the city. Smiley’s March 18, 2003, memorandum stated that there would be no payouts for officers’ unused vacation days, effective immediately. Smiley’s policy to discontinue payouts was contrary to ordinance 68C, which permitted unelected city officers to be paid for unused sick, personal, and vacation days. Plaintiff believed that Smiley was committing an ordinance violation, and he reported it as such to Smiley himself, city administrative officer Lowthian, and city attorney Hamilton. According to defendants, plaintiff did not engage in protected activity because he acted in his own financial interest, not in the public interest. Defendants cite Wolcott v Champion Int’l Corp, 691 F Supp 1052 (WD Mich, 1987), Shallal v Catholic Social Servs, 455 Mich 604; 566 NW2d 571 (1997), and Robinson v Radian, Inc, 624 F Supp 2d 617 (ED Mich, 2008), in support of this assertion. But those cases do not stand for the proposition that “where the primary motivation of an employee is personal gain, the employee necessarily fails to establish the requisite ‘protected activity,’” as suggested by defendants. Rather, as will be discussed below, those cases address an employee’s motivation in reporting a violation of law in regard to the question of causation. Here, plaintiff engaged in a protected activity by reporting a violation of ordinance 68C to the city, and there is no dispute that he was later discharged from his position through Smiley’s decision not to reappoint him. B. CAUSAL CONNECTION Defendants next assert that plaintiff failed to establish a causal connection between his protected activity and subsequent discharge. Again, I disagree. I would hold that plaintiff presented sufficient evidence of causation to create an issue for the jury. 1. SMILEY’S DECISION NOT TO REAPPOINT PLAINTIFF The model civil jury instruction regarding causation in WPA claims states that the protected activity need not be the only reason, or even the main reason, for the employee’s discharge, but it does have to be one of the reasons that made a difference in the decision to discharge. M Civ JI 107.03. Thus, to establish a prima facie claim under the WPA, plaintiff was -5- required to show that one of the reasons that made a difference in Smiley’s decision not to reappoint him was the fact that plaintiff had reported the violation of ordinance 68C. Viewing the evidence presented at trial in the light most favorable to plaintiff, there was sufficient evidence for a reasonable juror to conclude that plaintiff’s reporting of the ordinance violation made a difference in Smiley’s decision not to reappoint him. First, there was evidence that Smiley was aware plaintiff reported the ordinance violation as such. In his January 9, 2004, letter to Smiley, plaintiff stated: “I do not feel that issuing a confidential memo that affects one’s wages and benefits that are set by ordinance can supersede that very ordinance. To ignore issues specified in that ordinance would be a direct overt violation of that ordinance, and I fully intend to address the violation should it occur.” At the January 12, 2004, staff meeting, plaintiff told Smiley that he had talked to the city attorney about the payout issue, that refusing to pay employees for unused days was an ordinance violation, and that he expected the violation to be addressed. There was also testimony that Smiley was aware of plaintiff’s January 23, 2004, letter to Hamilton, wherein plaintiff reported the violation. Although Smiley testified that he did not discuss the letter with Hamilton, Hamilton testified that he did, in fact, tell Smiley about the letter. It is the fact-finder’s responsibility to determine the credibility and weight of the testimony. Wiley v Henry Ford Cottage Hosp, 257 Mich App 488, 491; 668 NW2d 402 (2003). Further, although there was evidence that there may have been a variety of reasons for Smiley’s decision not to reappoint plaintiff, such as plaintiff’s allegedly inadequate discipline of the officers who stopped Smiley after his visit to the local bar, sexually explicit emails sent by plaintiff, and other reasons described by the majority, there was also evidence that plaintiff’s reporting of the ordinance violation was another reason that made a difference in Smiley’s decision. On June 7, 2004, Smiley sent plaintiff a letter stating that he was considering removing plaintiff as police chief. Plaintiff testified that at their meeting later that day, Smiley angrily pointed at his face and yelled, “You threatened to have me prosecuted over the 68C vacation pay issue.” Udell’s meeting notes stated: “Mayor – no trust – 68-C (vacation) – lack of communication . . . .” While Smiley did not immediately fire plaintiff as threatened, and plaintiff remained police chief through November 2007, a reasonable juror could have concluded that the 68C ordinance issue was still on Smiley’s mind when he decided not to reappoint plaintiff. The incident when plaintiff allegedly failed to adequately discipline the police officers who stopped Smiley outside the bar, which was one of Smiley’s purported reasons for not reappointing plaintiff, occurred in March 2004. Thus, by Smiley’s own admission, there were incidents going back as far as 2004 that made a difference in his decision-making in 2007. Moreover, at the December 2007 meeting of city lieutenants and sergeants, just after plaintiff’s discharge, Smiley mentioned that he and plaintiff “got off on the wrong foot” because of the 68C ordinance issue. Plaintiff testified that after the meeting, which he had not attended, he asked two sergeants and a lieutenant whether the reason for his discharge had been discussed. They all said that the reason had been discussed and that “it all goes back to” the ordinance 68C issue. Sergeant Odette testified that Smiley said he had not been happy with plaintiff since early after his appointment, citing the payout issue. Viewing this evidence in the light most favorable to plaintiff, there was sufficient evidence for a reasonable juror to find that plaintiff’s protected activity was a factor that made a difference in his discharge. -6- 2. PLAINTIFF’S MOTIVATION FOR “BLOWING THE WHISTLE” The majority concludes that plaintiff cannot recover under the WPA because he “intended to advance his own financial interests . . . not [to] pursue the matter to inform the public on a matter of public concern.” I would hold, however, that while plaintiff’s personal financial status was a concern for him in reporting the violation of ordinance 68C, there was evidence that he acted in the public interest. This case is factually distinguishable from the cases relied upon by defendants and the majority, i.e., Wolcott, Shallal, and Robinson, in which the plaintiffs refrained from “blowing the whistle” until most advantageous to themselves, using the WPA as a form of extortion. In Robinson, the United States District Court for the Eastern District of Michigan summarized the facts and holdings in Wolcott and Shallal, stating: In Wolcott, the plaintiff was a mechanic at one of defendant’s shops. On April 12, 1985, defendant held a meeting at which plaintiff was present. The main focus of the meeting was defendant’s reduction of operations, including closing some offices. Plaintiff, who did not agree with defendant’s planned cutbacks, mailed a threatening letter to defendant following the meeting. The letter laid out numerous grievances and threatened, among other things, to report alleged violations to the DNR and EPA if defendant did not engage in discussions with plaintiff and his co-workers and consider giving certain laid off employees their jobs back. After defendant received the letter, it initially suspended defendant [sic]. A week later, on June 14, 1985, defendant recommended that the mechanic’s position at plaintiff’s shop be eliminated based on the proposed cutbacks in ownership of heavy equipment. On June 17, 1985, plaintiff filed a complaint with the Michigan Department of Public Health. Thereafter, plaintiff filed reports with the DNR and the Michigan Department of Labor. On July 31, 1985, plaintiff was notified that his position had been eliminated. Plaintiff then filed suit against his employer and his complaint included a retaliation claim under the WPA. The trial court concluded that plaintiff had not established a prima facie case of retaliation under the WPA because he could not establish a causal connection. The court explained that Plaintiff was aware of the planned scaling down of defendant’s equipment operations for several months prior to his whistleblower activities and had been aware of the alleged problems at the shop for several years prior to notifying authorities. “Yet, Plaintiff did not exercise his civil duty by reporting these violations, as envisioned in the Act, until it became apparent that he and others might lose their jobs due to circumstances unrelated to the violations.” [Wolcott, 691 F Supp] at 1059. -7- The court noted that the WPA “was not intended to serve as a tool for extortion.” Rather, the primary motivation of an employee availing himself of whistleblower protection must be a desire to inform the public on matters of public concern, not personal vindictiveness. Id. at 1065. It concluded that plaintiff “clearly did not have the public interest in mind while threatening to report defendant unless jobs at the [shop where plaintiff was employed] were forthcoming.” Id. The court concluded that if it countenanced plaintiff’s conduct, it would encourage other employees to hold off blowing the whistle until it becomes most advantageous for them to do so. Plaintiff has offered no evidence which suggests that the Michigan legislature intended the [WPA] to be used as an offensive weapon by disgruntled employees and the Court therefore concluded that Plaintiff’s WPA claim failed. In Shallal, the plaintiff was an adoption department supervisor for defendant. About a year into his tenure, allegations arose that plaintiff’s supervisor was drinking on the job and misusing agency funds. Plaintiff discussed the need to report her supervisor over the next year, but never took any action while employed with defendant. After an incident occurred in which plaintiff was criticized, via a written report from [the] Department of Social Services, for her inadequate actions relating to reports of abuse to child [sic] whose placement she supervised, plaintiff was called into her supervisor’s office. The ensuing discussion became heated, and plaintiff threatened to report her supervisor’s abuses of alcohol and agency funds if he failed to “straighten up.” Nevertheless, Plaintiff was discharged based on the DSS report. Plaintiff never reported her supervisor, but rather, filed suit against Defendant asserting a retaliation claim under the WPA. Citing Wolcott with approval, in Shallal the Michigan Supreme Court held that the “primary motivation of an employee pursuing a whistleblower claim ‘must be a desire to inform the public on matters of public concern, and not personal vindictiveness.’” Shallal, 455 Mich [at 621]. The court also cited with approval the following passage from Wolcott: Where, however, an employee . . . keeps the matter quiet for more than a year, eventually revealing it not the appropriate authorities or even to others for the purpose of preventing public injury, but rather for some other limited and private purpose, however, laudable that purpose may appear to the employee, no such protection is afforded. [Otherwise] we would be discouraging disclosure and correction or unlawful or improper acts by encouraging employees to ‘go along’ and then keep quiet reserving comment or disclosure until a time best suited to the advancement of their own interests. [Id.] -8- The court concluded that, like Wolcott, plaintiff used her own situation to extort defendant not to fire her and that under the facts at hand, “no reasonable juror could conclude that plaintiff threatened to report [defendant] out an [sic] altruistic motive of protecting the public. Furthermore, it is clear that the decision to fire plaintiff was made before her threat to Quinn and that plaintiff knew of this decision as evidenced by her calendar entry.” Id. Because plaintiff used the threat of reporting defendant to force him to allow her to keep her job, no reasonable juror could conclude there was a causal connection between her firing and the protected activity. “To hold otherwise ‘would encourage other employees to hold off blowing the whistle until it becomes most advantageous for them to do so.’” Id. at 622. [Robinson, 624 F Supp 2d at 632-633.] The Robinson Court held that the plaintiff in that case, like the plaintiffs in Wolcott and Shallal, “was aware of the alleged violations for a considerable period of time, yet only threatened to report such violations to a public body when it was apparent that his job performance was being questioned.” Id. at 634. The Court continued: Furthermore, like the situation seen in Shallal . . . , the evidence indicates that the challenged employment action [the defendant’s decision to eliminate the plaintiff’s position and transfer him to another office] had already been contemplated, and that Plaintiff knew such actions were being contemplated, before he made his threat.” In addition, Plaintiff made a conditional threat to report his allegations only if the criticisms of his work performance did not end. Finally, Plaintiff never made a report to the OFCCP, or any other public body, even after he stopped working for Defendant. Under these facts, a reasonable jury could not conclude that Plaintiff’s “primary motivation” was a desire to inform the public. To allow Plaintiff’s WPA claim to proceed under these facts would be to discourage disclosure by encouraging employees [to] hold off blowing the whistle, or threatening to do so, until it becomes most advantageous for them to do so. [Id.] Unlike the plaintiffs in the above cases, plaintiff did not use the WPA as an “offensive weapon” or “tool for extortion.” The majority concludes that plaintiff acted in bad faith, in a manner similar to the plaintiff in Shallal, by withholding “his accusation of a legal violation until after he accumulated thousands of dollars worth of sick and vacation time.” I disagree. Plaintiff first informed Smiley of his disagreement with the payout policy in March 2003, immediately after the mayor issued the memorandum stating that there would be no payouts for unused vacation days. Although plaintiff did not make another formal complaint to Smiley until January 2004, when he requested a payout for his unused days in 2003 and identified the policy as a violation of ordinance 68C, his actions cannot be considered extortion. In his January 23, 2004, letter to Hamilton, plaintiff explained that he was “in no position to take vacation time” in 2003 because of staffing changes that year and that the “ordinance was not re addressed in regards to [vacation] benefits during the past year and the Mayor and council clearly had ample time to bring this up and I expected them to [do so] after the memo of March 03.” Because Smiley and the city council failed to address the violation of ordinance 68C as plaintiff expected they would, plaintiff requested a payout in January 2004. He was legally entitled to a payout for his unused -9- days in 2003 under ordinance 68C, and the ordinance itself stated that such payouts were to be made “in January in the year after which [the days] are accumulated.” Thus, plaintiff waited to request a payout for his unused days until he was legally entitled to such payout, pursuant to the ordinance. In Wolcott, Shallal, and Robinson, the plaintiffs were aware of alleged violations of law by their employers for significant periods of time—up to several years—and only threatened to report those violations after their own job performances or positions came in jeopardy. The alleged violations of law they threatened to report were completely unrelated to the reasons their job performances or positions were jeopardized. Plaintiff’s actions cannot be equated to the actions of the plaintiffs in those cases. There was no evidence of bad faith in this case. Moreover, contrary to the majority’s conclusion that “plaintiff was decidedly not acting in the public interest, but in a thoroughly personal and private interest of securing a monetary benefit,” there was evidence that he acted, at least in part, in the public interest. Plaintiff, the city’s police chief, stated in his January 9, 2004, letter to Smiley that ignoring the content of ordinance 68C “would be a direct overt violation of that ordinance and I fully intend to address the violation should it occur.” He reiterated the same at the January 12, 2004, staff meeting. In his January 15, 2004, letter to Lowthian, plaintiff stated: “I cannot allow them to violate the ordinance by ‘forcing waivers’ of ordinance[-]given rights. I believe it is my job as a police officer to point the violation out and I will pursue it as far as it needs to go.” (Emphasis added.) In his January 23, 2004, letter to Hamilton, plaintiff stated: My position is this, this is a violation of the ordinance [and] I told the mayor on the 12th it was an ordinance violation . . . . If I need to re address [the issue] through the council I will, if you have any input on resolving this I would appreciate it or I will be forced to pursue this as a violation of the law and will address it as such. Given this evidence, plaintiff clearly intended to treat Smiley’s payout policy as an ordinance violation and believed that it was his duty as an officer of the law to do so. The majority suggests that Smiley and his administration were acting in the public interest by withholding payouts, thereby counteracting a severe budgetary shortfall, and that plaintiff acted in opposition to that interest by requesting a payout under the ordinance. While I agree that it may be necessary for a city to adjust its budget to preserve essential public services and avoid terminating its employees, balancing the budget through violating one of its own ordinances hardly seems to serve the public interest. Rather than amending ordinance 68C, the city department heads reached a “gentlemen’s agreement” that all vacation days had to be used within the calendar year, with no payouts for unused days. Thereafter, Smiley issued a memorandum of this agreement. But city attorney Dubay later advised the city that payouts had to be made because ordinance 68C had not been amended to reflect the “gentlemen’s agreement.” According to Smiley’s testimony, Dubay told him, “Chuck, you can’t make a gentlemen’s agreement to drive 55 [miles per hour] when the speed limit is posted at 45 . . . .” By stating that he would treat the payout policy issued by Smiley as an ordinance violation, plaintiff was fulfilling his duty as police chief to uphold the law, which was certainly in the public interest. In Trepanier v Nat’l Amusements, Inc, 250 Mich App 578, 580-581; 649 NW2d 754 (2002), the plaintiff requested a personal protection order (PPO) against one of his co-workers -10- for the co-worker’s harassment of him outside of work. After he was discharged, the plaintiff filed suit against the defendant employer, asserting that the defendant violated the WPA by discharging him in part because he sought a PPO against his co-worker. Id. at 581. The trial court denied the defendant summary disposition of the plaintiff’s WPA claim. Id. at 582. This Court affirmed, holding that the facts of the case were “clearly distinguishable” from those in Shallal. The Court stated, in part: Although plaintiff’s decision in this case to obtain a PPO may have been motivated by personal reasons, plaintiff did not use his protected activity to extort his employer, as did the plaintiff in Shallal. Further, although plaintiff’s primary purpose may have been to protect himself and his girlfriend from harassment, reasonable jurors could conclude that plaintiff was acting in the public’s interest, in addition to his own. Assuming the truth of plaintiff’s assertions, [the coworker’s] threatening telephone calls could constitute aggravated stalking, a felony and a serious public safety issue. See MCL 750.411i. [Id. at 587-588.] Similarly, in this case, although plaintiff had personal reasons for desiring ordinance 68C to be enforced, i.e., his own financial status, a reasonable juror could have concluded that he also acted as an officer of the law attempting to have the ordinance enforced as written, which was in the public interest.2 Plaintiff did not use the WPA as a tool to extort the city. Accordingly, I would hold that plaintiff was not barred from recovering under the WPA. Because there was sufficient evidence to conclude that plaintiff engaged in a protected activity and that there was a causal connection between his protected activity and subsequent discharge, I would affirm the trial court’s denial of defendants’ motion for JNOV. III. DEFENDANTS’ REMAINING ISSUES ON APPEAL I will briefly address the two remaining issues raised by defendants on appeal. A. JURY INSTRUCTIONS Defendants argue that the trial court abused its discretion in denying their motion for a new trial, which was premised on the argument that the court improperly refused to give a jury instruction on improper motives of a whistleblower. I would disagree. Rulings on motions for a new trial are reviewed for an abuse of discretion. McManamon v Redford Charter Twp, 273 Mich App 131, 138; 730 NW2d 757 (2006). “The determination whether a jury instruction is applicable and accurately states the law is within the discretion of 2 Nowhere in the WPA does it state that a whistleblower must not have any selfish motives. The underlying purpose of whistleblower protection laws is to encourage disclosure of, and to prevent against, violations of the law. In the federal analogue, a qui tam action specifically allows the whistleblower to receive a share of the recovery as his or her reward. -11- the trial court.” Bordeaux v Celotex Corp, 203 Mich App 158, 168-169; 511 NW2d 899 (1993) (citations omitted). Jury instructions are examined as a whole. Case v Consumers Power Co, 463 Mich 1, 6; 615 NW2d 17 (2000). Instructions “should not omit material issues, defenses, or theories if the evidence supports them.” Id. If an instruction is applicable to the case, accurately states the law, and was requested, the trial court must give it. MCR 2.516(D)(2); Lewis v LeGrow, 258 Mich App 175, 211; 670 NW2d 675 (2003). The special jury instruction drafted by defense counsel and requested by defendants in this case stated: A plaintiff cannot recover under a whistleblower statute when the employee acts in bad faith. The primary motivation of an employee pursuing a whistleblower claim must be a desire to inform the public on matters of public concern. An employee cannot keep a matter quiet and then eventually reveal it to others not for the purpose of preventing public injury, but rather for some limited or private purpose at a time best suited to the advancement of their [sic] own interests. The instruction also cited Wolcott and Shallal. The notes in the standard jury instruction relating to the causation element of a WPA claim state that “[i]f there is an issue of improper motive in reporting or threatening to report a violation, an additional instruction may be required.” M Civ JI 107.03 (emphasis added). The use of the word “may” indicates discretionary action. See In re Humphrey Estate, 141 Mich App 412, 422-423; 367 NW2d 873 (1985). The special jury instruction requested by defendants did not apply to the facts of this case, nor did it find adequate support in Wolcott and Shallal. While the instruction’s language was similar to the language in Wolcott and Shallal, the context of those cases was different. As explained above, there was no evidence of extortion, personal vindictiveness, or bad faith in this case, as there was in Wolcott and Shallal. Plaintiff did not use a threat of reporting the ordinance violation as an attempt to force Smiley to reappoint him. Rather, plaintiff acted to uphold the law. While plaintiff was also motivated by his personal desire to be paid under ordinance 68C, such a motive must not be considered improper, unless, as in Shallal, there truly is evidence of extortion, vindictiveness, or bad faith. It would be illogical to label a plaintiff’s desire to be paid benefits to which he is legally entitled an improper motive. Because no reasonable jury could have concluded that plaintiff had an improper motive for “blowing the whistle,” the special instruction requested by defendants was inapplicable, and the trial court did not abuse its discretion in denying their motion for a new trial. B. SET-OFF Defendants also argue that the trial court erred in concluding that Smiley is not entitled to a set-off for the pension benefits paid to plaintiff by the city. I would disagree. -12- Whether defendants are entitled to a set-off is a question of law reviewed de novo on appeal. See Markley v Oak Health Care Investors of Coldwater, Inc, 255 Mich App 245, 249; 660 NW2d 344 (2003). Defendants cite MCL 600.6303, which is inapplicable here because this is not a personal injury action. Furthermore, I note that all of the cases relied upon by defendants are breach of contract cases. As such, the cases are inapposite. It is undisputed that plaintiff did not have an employment contract. Rather, a whistleblower claim is analogous to claims under antiretaliation provisions of other employment-discrimination statutes, such as statutes protecting handicapped persons from discrimination. Silberstein v Pro-Golf of America, Inc, 278 Mich App 446, 453; 750 NW2d 615 (2008). Plaintiff relies on Hamlin v Flint Charter Twp, 165 F3d 426 (CA 6, 1999), and I find Hamlin persuasive. In Hamlin, a handicapped-person discrimination case, the United States Court of Appeals held that in general, pension payments from a collateral source should not be deducted from the damage award. Id. at 433-435. Because the victim, rather than the perpetrator, of discrimination should profit, payments from a collateral source should not be deducted from the award. Id. at 433-434. The court reasoned that “[a]pplying the collateral source rule in the employment discrimination context prevents the discriminatory employer from avoiding liability and experiencing a windfall, and also promotes the deterrence functions of discrimination statutes.” Id. at 434. Plaintiff argues that this Court should reverse the trial court’s decision that the city is entitled to a set off. But because plaintiff did not cross-appeal, such relief cannot be granted. See Barnell v Taubman Co, 203 Mich App 110, 123; 512 NW2d 13 (1993). I would affirm the trial court’s order awarding judgment to plaintiff. /s/ Jane M. Beckering -13-

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