Court Opinion

ID: 4657408
Source: CourtListenerOpinion
Date Created: 2021-02-04 16:24:27.023292+00
Date Added: 2024-06-11T08:01:17.319351
License: Public Domain

FILE                                                                       THIS OPINION WAS FILED
                                                                                      FOR RECORD AT 8 A.M. ON
       IN CLERK’S OFFICE                                                                  FEBRUARY 4, 2021
SUPREME COURT, STATE OF WASHINGTON
       FEBRUARY 4, 2021
                                                                                         SUSAN L. CARLSON
                                                                                       SUPREME COURT CLERK

                  IN THE SUPREME COURT OF THE STATE OF WASHINGTON

        STATE OF WASHINGTON,                    )
                                                )              No. 96365-7
              Respondent/Cross-Petitioner,      )              (consol. w/ 96566-8)
                                                )
              v.                                )
                                                )              En Banc
        PHILLIP SCOTT NUMRICH,                  )
                                                )
              Petitioner/Cross-Respondent.      )
                                                )              Filed : February 4, 2021
        _______________________________________)

               MADSEN, J.—At issue in this case is whether the general-specific rule applies to

        a second degree manslaughter charge stemming from a workplace death. The State

        initially charged Phillip Scott Numrich under the Washington Industrial Safety and

        Health Act of 1973 (WISHA), RCW 49.17.190(3), the specific statute that punishes

        employer conduct resulting in employee death. The State also charged the employer with

        second degree manslaughter. The trial court denied the employer’s motion to dismiss the

        manslaughter charge based on the general-specific rule, and the employer sought and was

        granted direct review. Specifically, we are asked whether the trial court properly denied
No. 96365-7 (consol. w/ 96566-8)

Numrich’s motion to dismiss a second degree manslaughter charge when one of his

employees was killed at the construction site.

       While consideration of the employer’s motion for direct discretionary review was

pending, the State moved to amend the information to add an alternative charge of first

degree manslaughter. The trial court granted the motion to amend but sua sponte

imposed sanctions against the State based on the timing of the amendment. The

employer sought review of the order granting the amendment and the State sought review

of the order imposing sanctions. This court granted review and consolidated all the noted

matters for consideration.

       For the reasons discussed below, we hold that the trial court did not err in denying

the employer’s motion to dismiss the manslaughter charge under the general–specific

rule. We further hold that the trial court did not err in granting the State’s motion to

amend the information to add an alternative first degree manslaughter charge. Finally,

we hold that the trial court did not err in imposing sanctions on the State under the

circumstances of this case. With these holdings, we remand to the trial court for further

proceedings.

                                          FACTS

       Numrich is the owner and operator of Alki Construction LLC. Harold Felton was

Numrich’s employee. On January 16, 2016, Numrich’s company began replacing a

sewer line at a residence in West Seattle. Numrich employed a technique by which a

trench is dug at either end of the residential sewer pipe to be replaced and then a

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hydraulic machine is used to pull a new pipe through the old one, which simultaneously

bursts the old pipe and inserts the new one into place.

       In the present case, the trench that was dug where the sewer line connected to the

house was 21 inches wide, 6 feet long, and 8 to 10 feet deep. With a trench of this depth,

there is a substantial risk that the excavation could cave in; several factors affect the risk

of collapse, including the soil condition and type, the depth of the trench, and whether the

soil was previously disturbed. All of these factors increased the likelihood of a collapse

at the West Seattle project. By January 26, 2016, several other factors increased the

likelihood of a collapse: the trench had been dug and left open for 10 days and the soil

was saturated after several days of seasonal rain.

       Washington has safety regulations that apply to jobsite excavations. For a trench

as large as the one in West Seattle, these regulations require that the walls be shored to

prevent a cave-in. Although Numrich placed some shoring in the trench, it was

insufficient to safely stabilize the excavation.

       Washington safety regulations also require that a “competent person” regularly

inspect any trenches and the protective system installed in them. Clerk’s Papers (CP) at

453. “Competent person” is a term defined by WAC 296-155-650(2) as someone “who

can identify existing or predictable hazards in the surroundings that are unsanitary,

hazardous, or dangerous to employees,” and who has “authority by the nature of their

position to take prompt corrective measures to eliminate [such hazards].” See also CP at

453. Inspections by the “competent person” must be made daily prior to the start of any

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work in a trench and must be repeated after every rainstorm or other hazard-increasing

occurrence. Id. If the “competent person” observes any evidence of a situation that

could result in a possible collapse, that person must remove all employees from the

trench until precautions have been taken to ensure worker safety. Id. at 453-55.

Numrich, as the company owner and supervisor of his employees, and who was “aware

of the requirements” for the protection of workers in trenches, was the “competent

person” at the jobsite during the project. Id.

       On January 26, 2016, Numrich and his employees Felton and Maximillion Henry

were at the West Seattle jobsite. Shortly after 10:00 a.m., the new pipe had been pulled

into place, and Felton was working in the trench beside the house. Felton began using a

motorized saw to cut a pipe. This tool can cause vibrations in the ground, which can

disturb the soil and increase the risk of a trench collapse.

       Numrich noted and commented to Henry that Felton’s use of the saw in the trench

was “‘vibrating the heck out of the ground.’” Id. at 454, 465. Despite being aware of the

risks, Numrich made no effort to halt Felton’s use of the saw in the trench and did not

reinspect the trench after Felton finished using the equipment. Id. at 454-56, 465-67.

Numrich left the jobsite to buy lunch for his crew. Approximately 15 minutes after

Numrich left, the trench collapsed, burying and killing Felton.

       Procedural history

       On January 5, 2018, the State initially charged Numrich with manslaughter in the

second degree (RCW 9A.32.070) (count 1) and violation of labor safety regulation with

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death resulting (RCW 49.17.190(3)) (count 2). Id. at 1-2. On April 30, 2018, Numrich

moved to dismiss the manslaughter charge. He argued that under Washington’s general-

specific rule, the specific statute precluded prosecution under the general manslaughter

statute. Over the next several months, the parties filed multiple rounds of briefing on the

matter.

       The hearing on the motion to dismiss occurred on July 19, 2018. At the time,

King County Superior Court Judge John Chun took the matter under advisement and

ultimately denied the defense motion. The parties appeared before Judge Chun again on

August 23, 2018, and presented argument on certification for discretionary review. Id. at

194; Hr’g Tr. at 68-83. The court granted Numrich’s motion to certify, and Numrich then

filed a notice of direct discretionary review with this court. Id. at 248, 244. Numrich’s

motion for discretionary review and statement of grounds for direct review timely

followed on September 28, 2018, and was assigned case number 96365-7.

       On October 18, 2018, the day that the State’s answer was due in this court, the

State notified Numrich’s counsel in an e-mail that the State intended to amend the

charging information. The State attached a proposed amended information that added a

charge of manslaughter in the first degree. Numrich’s counsel objected and noted his

intent to seek discovery related to the timing and circumstances of the State’s tactics.

       Later the same day, the State filed its answer in this court, which noted the State’s

intended amendment, contending that discretionary review would be a useless exercise:

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       Even if this Court were to accept review and rule in Numrich’s favor, he
       will still face felony manslaughter charges. . . . Here, the State intends to
       add a count of Manslaughter in the First Degree.

Id. at 634. The State added, “The State’s motion to amend the Information is in the

process of being scheduled and there is no basis to conclude that it will not be granted.”

Id.

       On October 30, 2018, the defense filed opposition pleadings and a motion to

compel discovery in the superior court. See id. at 250-274; 423-29. The next day, the

parties presented oral argument on the motion to amend in front of King County Superior

Court Judge James Rogers.

       On November 1, 2018, Judge Rogers issued a ruling granting the motion to

amend. Id. at 470. However, the court noted that this was “a highly unusual case” and

sua sponte awarded attorneys’ fees against the State. Id. at 471. The court explained that

it had “never awarded terms in a criminal case and they are not a remedy except in highly

unusual situations.” Id. Judge Rogers also certified the order on motion to amend:

               The Order Granting the Amendment only is hereby certified for
       appeal to join the discretionary appeal currently pending in the Washington
       Supreme Court. Per Judge Chun’s Order of 23 August 2018, this Court
       concludes that the Amendment adds a charge that is inextricably related to
       the issues of law certified by Judge Chun under RAP 2.3(b)(4).

Id. at 471-72. In addition, the court found that “the State is using this amendment to

obtain dismissal of the discretionary review” and that “there are no additional facts or

discovery or new legal theory.” Id. at 471.

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       In the afternoon of November 1, 2018, the parties presented argument to

Commissioner Michael Johnston on the pending motion for direct discretionary review.

On November 5, 2018, Commissioner Johnston issued a ruling that recognized the new

certification. Commissioner Johnston deferred ruling on the motion pending Numrich’s

filing of a second notice of discretionary review, supporting briefing, and this court’s

consideration regarding “whether to consolidate the motions and statements of grounds

for direct review or consider them together as companions.” Id. at 769-70. On

November 16, 2018, Numrich filed his second notice of discretionary review, which was

subsequently assigned case number 96566-8.

       Meanwhile, on November 13, 2018, the State filed, in the trial court, a motion to

reconsider the imposition of sanctions and Numrich filed a response and a motion to

dismiss pursuant to CrR 8.3(b) (governmental misconduct or arbitrary action) or,

alternatively, to reconsider order on motion to amend. Id. at 878-98, 870-77; see also id.

at 766-869. The parties also filed pleadings regarding petitioner’s fee petition.

       On December 21, 2018, the trial court issued an order denying the State’s motion

to reconsider and denying the defense motion to dismiss or reconsider, explaining that “it

was unquestionably the right of the State to amend if it chose.” Id. at 976-77. Following

additional briefing on the fee issue, on January 28, 2019, the court granted Numrich’s fee

request in full and ordered the State to pay $18,252.49. Id. at 1132.

       Thereafter, the parties completed briefing on Numrich’s second motion for

discretionary review. On July 10, 2019, this court granted Numrich’s motion for

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discretionary review and consolidated case number 96566-8 with this matter. In the same

order, this court also accepted review of the State’s motion for direct discretionary review

of the order imposing sanctions and the amount of the fees, and consolidated those issues

in this matter as well. Altogether, the cases were consolidated under cause number

96365-7.

                                         ANALYSIS

       Statutory Concurrency

       This case turns on whether Washington’s manslaughter statute, RCW 9A.32.070,

and the WISHA homicide statute, RCW 49.17.190(3), are concurrent statutes for the

purpose of the general-specific rule. The general-specific rule is a “well established rule

of statutory construction that ‘[if] a special statute punishes the same conduct [that] is

punished under a general statute, the special statute applies and the accused can be

charged only under that statute.’” State v. Shriner, 101 Wn.2d 576, 580, 681 P.2d 237

(1984) (quoting State v. Cann, 92 Wn.2d 193, 197, 595 P.2d 912 (1979)). “It is not

relevant that the special statute may contain additional elements not contained in the

general statute . . . . The determining factor is that the statutes are concurrent in the sense

that the general statute will be violated in each instance where the special statute has been

violated.” Id.

       “Under this rule, if ‘concurrent general and special acts are in pari materia [on the

same subject or matter] and cannot be harmonized, the latter will prevail, unless it

appears that the legislature intended to make the general act controlling.’” State v. Conte,

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159 Wn.2d 797, 803, 154 P.3d 194 (2007) (quoting Wark v. Wash. Nat’l Guard, 87

Wn.2d 864, 867, 557 P.2d 844 (1976)). Consideration of whether two statutes are

concurrent is a question of law reviewed de novo. Lenander v. Dep’t of Ret. Sys., 186

Wn.2d 393, 377 P.3d 199 (2016).

       The manslaughter statute, RCW 9A.32.070, provides that “[a] person is guilty of

manslaughter in the second degree when, with criminal negligence, he or she causes the

death of another person.” A person is criminally negligent when they fail “to be aware of

a substantial risk that a wrongful act may occur.” RCW 9A.08.010(1)(d).

       The relevant WISHA provision states:

       Any employer who willfully and knowingly violates the requirements of
       RCW 49.17.060, any [listed] safety or health standard . . . and that violation
       caused death to any employee shall, upon conviction be guilty of a gross
       misdemeanor and be punished by a fine of not more than one hundred
       thousand dollars or by imprisonment for not more than six months or by
       both.

RCW 49.17.190(3).

       Numrich argues that the State improperly charged him with second degree

manslaughter under RCW 9A.32.070, and that instead, RCW 49.17.190(3)—the specific

WISHA statute—controls. Focusing on the mens rea in each statute, Numrich reasons

that the specific WISHA provision requires proof of a higher mental element (“willfully

and knowingly”) than the general manslaughter provision (“criminal negligence”), and

therefore, every time an employer willfully or knowingly fails to comply with WISHA, it

can be assumed that the employer has also negligently or grossly deviated from the

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standard of care. He urges that the WISHA statute would never be applicable if the State

is allowed to charge under both the general manslaughter statute and the specific statute.

       The State counters that the general-specific rule does not apply here because RCW

49.17.190(3) and RCW 9A.32.070 have different subject matters, criminalize different

conduct, and are not concurrent. Further, the State argues that applying the general-

specific rule in the present case would weaken the statutory purpose of RCW

49.17.190(3), which ensures safe and healthy working conditions for all employees, and

would lead to absurd results. We agree.

       “A more specific statute supersedes a general statute only if the two statutes

pertain to the same subject matter and conflict to the extent they cannot be harmonized.”

In re Estate of Kerr, 134 Wn.2d 328, 343, 949 P.2d 810 (1998). Courts generally begin

this analysis by comparing the elements of the general and specific statutes at issue.

       Here, Numrich recognizes that the mens rea required to prove manslaughter is

different than that required by the WISHA statute. However, he points to RCW

9A.08.010(2), which states that “[w]hen a statute provides that criminal negligence

suffices to establish an element of an offense, such element also is established if a person

acts intentionally, knowingly, or recklessly.” Numrich asserts that “[i]n each and every

case that a person willfully and knowingly violates a safety regulation, it can also be said

that the employer has engaged in negligent and reckless conduct.” Br. of Pet’r at 20-21.

       Numrich is correct that the mental state of “willfully and knowingly” will always

satisfy “negligent and reckless” conduct. However, the critical difference in the two

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statutes at issue here is the object of the mental state. State v. Gamble, 154 Wn.2d 457,

114 P.3d 646 (2005), is instructive on this point. While Gamble concerned a different

issue (whether manslaughter is a lesser included offense of felony murder), the court’s

reasoning applies here. With regard to the mental element of manslaughter, the court

held that “manslaughter requires the proof of a mens rea element vis-à-vis the resulting

death.” Id. at 469. In contrast, the court noted that to prove felony murder, the State is

not required to prove any mental element as to the killing itself. Id. at 468. As applied

here, the object of the mental element in manslaughter statutes is the resulting death,

while the object of the mental element in the WISHA statute is the violation of a safety

rule. Similar to felony murder, the WISHA statute does not require the State to prove any

mental element as to the death in order to prove a violation of the WISHA statute, only

that a death resulted. Thus, while the level of mental culpability may have the same legal

effect in the manslaughter and WISHA statutes, the mental element in each statute is

related to different conduct. Thus, the provisions are not concurrent.

       Numrich relies on several cases, but they are distinguishable. In State v. Danforth,

97 Wn.2d 255, 643 P.2d 882 (1982), the petitioners there were on work release and failed

to return. They were charged with escape in the first degree. On appeal, they argued that

RCW 72.65.070 (criminalizing failure to return to work release) was the more specific

statute and that they could not be charged under the escape statute. The court agreed,

holding that the general-specific rule prohibited prosecution of a work release inmate

under the general escape statute. Id. at 257-58. In reaching its conclusion, the court

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compared the difference in the mental state between the two provisions: the general

escape statute (lack of mental intent requirement) with the failure to return to work

release statute (willful mental state). The court noted a distinction between the two and

said such distinction could lead the State to charge escape instead of failure to return

because the State would not be required to prove any mental state under the escape

statute. Id. at 258-59.

       Similarly, in Shriner, 101 Wn.2d at 579-80, the court examined the elements of

first degree theft and the offense of criminal possession of a rented motor vehicle and

found the statutes concurrent. Both statutes criminalized the act of exerting unauthorized

control over property with the intent to deprive the owner of the property, but the crime

of criminal possession of a rented motor vehicle was more specific because it included an

additional element of a demand notice. Id. at 580-83. As with the statutes at issue in

Danforth, the mental element in each statute under consideration in Shriner related to the

same conduct—taking property.

       Finally, in State v. Walls, 81 Wn.2d 618, 503 P.2d 1068 (1972), this court reversed

a conviction under the felony larceny statutes (RCW 9.54.010(2) and RCW 9.54.090) for

“obtaining goods and merchandise . . . by false and fraudulent representations,” because

those same acts were also prohibited by more specific misdemeanor statutes (RCW

9.45.040 and RCW 19.48.110). Id. at 620. The court concluded that the specific

defrauding an innkeeper statute (RCW 19.48.110) and the general larceny statutes were

concurrent and therefore the specific statute applied. In reaching its decision, the court

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noted that the legislature had established a “complete act” dealing with the liability and

protection of hotels, inns, and lodging houses, including the provision making the

defrauding of a such an establishment a gross misdemeanor. Id. at 623. The court was

persuaded that the legislature intended the defrauding of hotels, inns, and lodging houses

be prosecuted as a misdemeanor.

       Although superficially similar, in each of the statutes discussed in preceding cases,

the object of the mental state related to the same conduct, yet the mens rea differed. In

contrast, the mental state under the relevant statutes here—RCW 9A.32.070 and RCW

49.17.190(3)—focus on different conduct. The WISHA statute is aimed at punishing a

willful, knowing violation of safety rules that results in death, while the mental state in

the manslaughter statutes focuses on negligent or reckless disregard of a substantial risk

that a death will occur.

       Numrich also argues that “[i]t is impossible to envision a legally plausible case

where a defendant might be guilty of the specific WISHA statute but acquitted of the

more general manslaughter statutes.” Br. of Pet’r at 20. But, it is not unusual in criminal

law that multiple statutes can be violated by the same set of facts. Whether the State

prevails will depend on whether it can prove the elements of the crime. E.g., State v.

Finister, 5 Wn. App. 44, 46, 486 P.2d 114 (1971) (“It is axiomatic that the state must

prove all elements of a crime beyond a reasonable doubt, if a criminal conviction is to

stand.”). To prove manslaughter, the State must prove beyond a reasonable doubt that

the defendant recklessly or with criminal negligence disregarded the substantial risk that

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death would occur. Gamble, 154 Wn.2d at 467. To prevail on a WISHA charge, the

State need show only that the defendant recklessly and willfully violated a safety rule.

As in the felony murder context, where the statute requires proof that the death flows

from the commission of the felony, the State must prove only that death flowed from the

violation of a safety rule. If the State proves only that the defendant willfully and

knowingly violated a safety rule, but not that the defendant was criminally negligent or

reckless as to the substantial risk of death, the State will fail to prove manslaughter. It is

conceivable that some intentional or knowing violations of the WISHA homicide statute

would create a failure to observe a minimal risk of death, whereas the second degree

manslaughter statute requires a failure to observe a substantial risk of death. Thus, the

general second degree manslaughter statute would not always be violated every instance

the specific WISHA homicide statute is.

       Next, Numrich argues that “there is no evidence that the legislature intended to

make the general manslaughter statutes controlling.” Reply Br. of Pet’r/Cross-Resp’t at

10. This court applies the general-specific rule to preclude a criminal prosecution “only

where the legislative intent is crystal clear.” Conte, 159 Wn.2d at 815. “It is the duty of

the court to construe statutes in the manner that best fulfills the legislative purpose and

intent.” State v. Haggard, 195 Wn.2d 544, 547-48, 461 P.3d 1159 (2020).

       Numrich maintains that WISHA is the workplace safety equivalent to the

Industrial Insurance Act’s (IIA), Title 51 RCW, worker compensation system; and, like

the IIA, WISHA is a compromise that balances workplace safety with economic stability.

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He contends that if the legislature had intended that workplace fatality accidents should

be punished under the general manslaughter statute, it never would have enacted RCW

49.17.190(3).

       This court accords substantial weight to an agency’s interpretation within its area

of expertise and upholds that interpretation if it reflects a plausible construction of the

regulation and is not contrary to legislative intent. Frank Coluccio Constr. Co. v. Dep’t

of Labor & Indus., 181 Wn. App. 25, 36, 329 P.3d 91 (2014). However, the court retains

the ultimate responsibility for interpreting a regulation. Id. IIA clearly states that it is the

exclusive remedy for worker compensation claims, RCW 51.04.010; WISHA does not

similarly so provide. As amicus Department of Labor & Industries (L&I) points out,

“[h]ad the Legislature intended to make WISHA the exclusive remedy for workplace

safety issues it would have said so, just like it did for the [IIA].” Br. of Amicus Curiae

L&I at 9.

       The legislative history of WISHA contains a legislative committee discussion

regarding the need to avoid federal preemption of the Occupational Safety and Health

Act of 1970 (OSHA). Several WISHA provisions are identical to OSHA provisions and

are intended to be analogous to them. Enacting the Washington Industrial Safety and

Health Act of 1973: Hearing on SB2389 Before the S. Comm. on Labor at 2, 43d Leg.,

Reg. Sess. (Wash. Feb. 2, 1973). Relevant here, OSHA and WISHA have nearly

identical provisions creating criminal misdemeanor culpability for willful and knowing

violations of safety rules that result in death. Compare RCW 49.17.190(3), with 29

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U.S.C. § 666(e). The federal provision has been construed not to limit the states’ use of

their state criminal laws in addressing workplace deaths. “Nothing in [OSHA] or its

legislative history suggests that Congress intended . . . to preempt enforcement of State

criminal laws of general application, such as murder, manslaughter, or assault.” H.R.

REP. NO. 100-1051, at 9 (1988). Based on the legislative history, neither Congress nor

our state legislature has expressed an intent to preclude Washington prosecutors from

bringing homicide charges against employers under Washington State law after a

workplace death has occurred. In reaching this conclusion, we also find persuasive

numerous decisions amicus refers us to from other jurisdictions that have upheld the

application of other criminal laws in prosecuting workplace deaths. See, e.g., State v. Far

W. Water & Sewer Inc., 224 Ariz. 173, 184, 228 P.3d 909 (Ct. App. 2010); Sabine

Consol., Inc. v. State, 806 S.W.2d 553, 557 (Tex. Crim. App. 1991); People v. Chicago

Magnet Wire Corp., 126 Ill. 2d 356, 367-68, 534 N.E.2d 962, 128 Ill. Dec. 517 (1989);

People v. Pymm, 76 N.Y.2d 511, 521, 563 N.E.2d 1, 561 N.Y.S.2d 687 (1990); State ex

rel. Cornellier v. Black, 144 Wis. 2d 745, 755, 425 N.W.2d 21 (Ct. App. 1988).

       Finally, the State contends, “[A]ccepting Numrich’s argument that the Legislature

intended for RCW 49.17.190(3) to preclude prosecution under RCW 9A.32.070 in

circumstances where both applied would require this Court to violate the general rule that

statutes should not be construed in [a] manner that leads to absurd results.” State’s

Answer to Mot. for Discr. Review at 15-16; Br. of Resp’t/Cross-Pet’r at 23-24; see also

State v. Larson, 184 Wn.2d 843, 851, 365 P.3d 740 (2015). In Five Corners Family

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Farmers v. State, 173 Wn.2d 296, 311, 268 P.3d 892 (2011), we cautioned that the absurd

results canon of statutory construction should be used “sparingly” and “if a result ‘is

conceivable, the result is not absurd.’” (quoting State v. Ervin, 169 Wn.2d 815, 824, 239

P.3d 354 (2010)). However, we agree with amicus L&I and the State that if Numrich’s

argument is followed to its logical conclusion, RCW 49.17.190 would provide less

protection to a worker than to a member of the public and would fail in its purpose of

providing safe working conditions for workers in our state. Frank Coluccio Constr. Co.,

181 Wn. App. at 36.

       Amicus offers several examples that we find persuasive: since the WISHA statute

provides only a criminal sanction in the case of a death, an employer whose employee is

severely injured, but not killed, may face felony assault charges but only a misdemeanor

if the employee dies; if it is an employee, not the employer, who willfully and knowingly

violates a safety rule that results in death, the employee may be charged under general

criminal laws where an employer who similarly violated the rules could not; if the

employer willfully and knowingly violates a safety rule and both an employee and a

nonemployee die, the employer could face a manslaughter charge for the nonemployee

but only a misdemeanor for the death of their employee. We do not believe that the

legislature intended such results.

       For these reasons, we agree with the State that the general-specific rule does not

apply. Accordingly, the trial court did not err in so holding.

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       Amended Information

       A trial court may permit an information to be amended at any time before verdict

so long as “substantial rights of the defendant are not prejudiced.” CrR 2.1(d). A

defendant opposing amendment bears the burden of “showing specific prejudice to a

substantial right.” State v. Thompson, 60 Wn. App. 662, 666, 806 P.2d 1251 (1991). A

court’s ruling on a State’s motion to amend is discretionary. State v. Powell, 34 Wn.

App. 791, 793, 664 P.2d 1 (1983) (citing CrR 2.1(d)). A court abuses its discretion when

it takes a position no reasonable person would adopt. State v. Demery, 144 Wn.2d 753,

758, 30 P.3d 1278 (2001).

       The State moved to amend the charges against Numrich, before a trial date had

been set, in order to add an alternative charge that might otherwise expire. The additional

charge arose from the same facts as the original charges and would not require any

additional defense investigation or affect the nature of Numrich’s defense at trial, which

was still months away.

       In his briefing opposing the motion, Numrich argued that (1) the State’s motion

was the product of gamesmanship and bad faith litigation tactics, (2) the State should be

estopped from seeking amendment, (3) the State’s motion prejudiced his substantial

rights, (4) the State’s motion was both actually and presumptively vindictive, and (5) the

proposed count of first degree manslaughter was not supported by probable cause. CP at

250-74. The State responded to each argument and also explained why the motion to

amend was being brought when it was and how it was submitted. Id. at 430-68. At the

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hearing on the motion, the trial court questioned the State about the timing and

circumstances concerning the motion to amend. Hr’g Tr. at 84-90.

       After considering all of these matters, the trial court found that the “prejudice”

claimed by Numrich was really more a complaint about the costs he had incurred in the

appellate process up to that point and an expression of frustration that the State had not

brought the motion to amend sooner. CP at 470. The trial court concluded that this was

not a specific prejudice to a substantial right of the defendant within the meaning of CrR

2.1(d). Id. at 470-72. The trial court also found that the State had been candid in

explaining why the motion to amend had been brought when and how it had and that

there was no evidence that it was vindictive; the court granted the State’s motion to

amend. Id.

       Numrich then filed motions in the alternative asking the trial court to either

dismiss some or all of the counts or to reconsider its decision. Id. at 870-77. The trial

court issued a written ruling indicating that it had reviewed all of the pleadings and

considered the arguments therein but that none of them had changed its decision. Id. at

976-77.

       In this court, Numrich asserts that there are numerous reasons why the State’s

motion to amend should have been denied. First, he argues that the trial court applied the

wrong legal standard when it stated that “it was unquestionably the right of the State to

amend if it chose.” Id. at 977. Numrich contends that the use of this phrase shows that

the trial court believed that the State had the right to amend whenever it wanted. Br. of

                                             19
No. 96365-7 (consol. w/ 96566-8)

Pet’r at 30-31. But this argument takes the trial court’s comment out of context. The

trial court was aware that the State’s right to amend was not absolute because Numrich

had repeatedly pointed out that the court had wide discretion to deny the State’s motion

even if it found no prejudice to him. CP at 259, 874. Accordingly, it is apparent that the

trial court’s ruling was that the State was allowed to amend the charges in this case, not

that the State always has an unfettered right to amend at any time.

         Second, Numrich asserts that there was “absolutely no justification for the State’s

delayed amendment” and implies that the State brought the motion as a tactical maneuver

in order to convince this court to deny his motion for discretionary review, and, thus, that

the trial court abused its discretion in granting the State’s motion to amend. Br. of Pet’r

at 31.

         As noted above, the State explained how and why the motion to amend came

about. CP at 449-50. In granting the motion to amend, the trial court accepted the State’s

explanation, finding that the State had been candid with the court and that there was no

evidence that the State’s actions were vindictive or otherwise improper. Id. at 470-71.

The court, after hearing all of the arguments and reviewing all of the facts, rejected

Numrich’s accusations and did not disturb its finding regarding the credibility of the

State’s explanation of events. Id. at 976-77. Despite Numrich’s claim to the contrary,

the trial court did not find that the State’s purpose in seeking the amendment was to use it

as a tool to dismiss discretionary review.

                                              20
No. 96365-7 (consol. w/ 96566-8)

       Third, Numrich argues that the trial court abused its discretion by failing to

consider his claim that the State’s motion to amend constituted prosecutorial

vindictiveness. Br. of Pet’r at 37-41. But Numrich’s claims of prosecutorial

vindictiveness were specifically argued to, and rejected by, the trial court. CP at 263-66,

471.

       “Prosecutorial vindictiveness is [the] intentional filing of a more serious crime in

retaliation for a defendant’s lawful exercise of a procedural right.” State v. McKenzie, 31

Wn. App. 450, 452, 642 P.2d 760 (1981). However, it is also well recognized that “[a]n

initial charging decision does not freeze prosecutorial discretion” and that prosecutorial

vindictiveness must be distinguished from the “rough and tumble” of legitimate plea

bargaining and other aspects of pretrial practice. State v. Lee, 69 Wn. App. 31, 37, 35,

847 P.2d 25 (1993). A defendant asserting prosecutorial vindictiveness in the pretrial

context bears the burden of establishing either actual vindictiveness or “‘a realistic

likelihood of vindictiveness which will give rise to a presumption of vindictiveness.’”

State v. Bonisisio, 92 Wn. App. 783, 791, 964 P.2d 1222 (1998) (internal quotation marks

omitted) (quoting United States v. Wall, 37 F.3d 1443, 1447 (10th Cir. 1994)). If the

defendant makes this preliminary showing, the State must justify its decision with

“‘legitimate, articulable, objective reasons’ for its actions.” Id. (internal quotation marks

omitted) (quoting Wall, 37 F.3d at 1447).

       Numrich establishes neither actual vindictiveness nor a “realistic likelihood of

vindictiveness” that would give rise to a presumption of vindictiveness. Further, the

                                             21
No. 96365-7 (consol. w/ 96566-8)

State gave a detailed explanation of how and why the motion to amend came about when

it did, see CP at 449-50, 475-83, constituting the sort of “legitimate, articulable, and

objective reasons” for the State’s actions that were sufficient to rebut a presumption of

vindictiveness. Accordingly, the trial court did not abuse its discretion in rejecting

Numrich’s claim of vindictive prosecution.

       Fourth, Numrich argues that the trial court abused its discretion by failing to

consider his claim that the State’s motion to amend violated principles of estoppel. Br. of

Pet’r at 42-43. But again, Numrich’s estoppel argument was explicitly argued to the trial

court and the trial court rejected it when it granted the motion to amend. CP at 261-62,

470-72. While Numrich disagrees with the trial court’s ruling, he has not established that

the court failed to consider it.

       Numrich’s estoppel argument is baseless in any event. Estoppel applies only

when a party takes one position in a court proceeding and later seeks an advantage by

taking “‘a clearly inconsistent position.’” Arkison v Ethan Allen, Inc., 160 Wn.2d 535,

538, 160 P.3d 13 (2007) (emphasis added) (internal quotation marks omitted) (quoting

Bartley-Williams v. Kendall, 134 Wn. App. 95, 98, 138 P.3d 1103 (2006)). Here, in

response to a motion to dismiss a count of second degree manslaughter, the State argued

that prosecution of that charge was not precluded by the “general-specific rule.” The

State’s later motion to amend to add an alternative charge of first degree manslaughter is

not inconsistent with that position.

                                             22
No. 96365-7 (consol. w/ 96566-8)

       Finally, Numrich argues that the trial court abused its discretion when it concluded

that it had no power to deny the motion to amend even though there was no probable

cause for the count of first degree manslaughter. Br. of Pet’r at 43-44. That was not

what the trial court did. Moreover, even if probable cause was a necessary prerequisite to

amendment, there is ample probable cause supporting the charge of first degree

manslaughter. A person commits first degree manslaughter when he or she “recklessly

causes the death of another person.” RCW 9A.32.060(1)(a). In this context, a person

acts recklessly when “he or she knows of and disregards a substantial risk that [death]

may occur and [this] disregard of such substantial risk is a gross deviation from the

conduct that a reasonable person would exercise in the same situation.” RCW

9A.08.010(1)(c); 11 WASHINGTON PRACTICE: WASHINGTON PATTERN JURY

INSTRUCTIONS: CRIMINAL 10.03 & cmt. at 225-26 (citing Gamble, 154 Wn.2d at 467-68).

       The substantive facts of Numrich’s crime as set forth above and the reasonable

inferences that can be drawn from them establish probable cause for the charge of first

degree manslaughter. As the owner and operator of the company and the “competent

person” for the project, Numrich was well aware of the general risk of death posed to

workers in trenches like the one in question. CP at 453-56, 466-67. He was further

aware that the risk was substantially elevated given all of the risk factors that were

present at this particular jobsite on this particular day. Id. at 456, 462-67. However,

despite being aware of all these risks and being the person responsible for guarding

against them, Numrich left the site without making an effort to address these hazards and

                                             23
No. 96365-7 (consol. w/ 96566-8)

without reinspecting the trench after they had arisen. Id. at 456, 464-67. The trench then

collapsed and killed one of Numrich’s employees. Id. at 455, 465. These facts establish

probable cause to conclude that Numrich knew of and disregarded a substantial risk that

death might occur, that his disregard of this risk was a gross deviation from the conduct a

reasonable person would exercise in the situation, and that Felton died as a result.

       We hold that the trial court did not abuse its discretion in granting the State’s

motion to amend the information to add an alternative charge of first degree

manslaughter.

       Sanctions against the State

       As noted, the trial court granted the State’s motion to amend, but simultaneously

and sua sponte awarded terms against the State based on the timing of the motion to

amend. The trial court’s order explained:

               The real prejudice claimed by the defense are the costs incurred in
       proceeding with the appellate process and a real frustration that the
       Prosecutor, who was candid with the Court in admitting that he did not
       consider the amendment until very late in the pending appellate process,
       filed this amendment so late. Discretionary appeals are not unusual in this
       Court’s experience. What is unusual is to not inform all parties of relevant
       considerations in light of the appeal. Mere notice of the amendment at the
       beginning of the appellate process would have remedied the situation. . . .
               ....
               This is a highly unusual case. What is singular here is that the State
       did not give notice of an amendment in an obvious situation that would
       have saved countless hours and fees for an appeal, and where the State is
       using this amendment to obtain dismissal of the discretionary review, and
       so announcing in the responsive appellate briefing, and where the issues
       presented by the Amendment are obviously intertwined with the issues on
       discretionary appeal, and where there are no additional facts or discovery or
       new legal theory. In this singular instance, it is this Court’s decision to
       award terms measured in the attorneys’ fees for the defense for work on the

                                             24
No. 96365-7 (consol. w/ 96566-8)

       discretionary appeal to this point. No fees are awarded for any work done
       in Superior Court. The defense shall file a fee petition within 14 days of
       this Order. The State may respond within seven days.

CP at 470-71.

       As noted, the State sought reconsideration of this sanction and in response

Numrich filed a response and a motion to dismiss pursuant to CrR 8.3(b) or, alternatively,

to reconsider order on motion to amend. Id. at 878-98, 870-77; see also id. at 766-869.

The trial court subsequently issued an order denying the State’s motion to reconsider and

denying the defense motion to dismiss or reconsider. Id. at 976-77. The State sought

review of the sanction order, which we granted.

       An award of attorneys’ fees is reviewed for abuse of discretion. Brand v. Dep’t of

Labor & Indus., 139 Wn.2d 659, 665, 989 P.2d 1111 (1999). A trial court does not abuse

its discretion unless the exercise of its discretion is manifestly unreasonable or based on

untenable grounds or reasons. Id.

       Sanctions, including attorney fees, may be imposed under the court’s inherent

equitable powers to manage its own proceedings. State v. Gassman, 175 Wn.2d 208,

210-13, 283 P.3d 1113 (2012). To impose attorney fee sanctions under the court’s

equitable powers, it is sufficient and best practice for a court to make a finding of bad

faith. Id. at 211. But a finding of bad faith is not required. Id. An appellate court may

still uphold a sanction “where an examination of the record establishes that the court

found some conduct equivalent to bad faith.” Id. The issue in Gassman was that the

                                             25
No. 96365-7 (consol. w/ 96566-8)

State amended the information to add the first degree manslaughter charge after the

defense sought discretionary review and submitted its briefing.

       The State argues this case is analogous to Gassman. In Gassman, the State moved

to amend the information on the first day of trial, seeking to change the date the alleged

crime occurred. Id. at 210. The defense objected, arguing that they prepared alibi

defenses based on the original charged date. The court allowed the amendment,

continued the trial, and imposed sanctions in the form of attorney fees. The Gassman

court determined that this court could not infer any conduct tantamount to bad faith, in

part, because the court found that the State’s behavior was “careless” but not purposeful.

Further, defense counsel failed to file notice of an alibi defense, was alerted of the

possible date change several days ahead, conceded that the original “on or about”

language in the information was sufficient to include the new date, and did not need or

request a continuance given the amendment. Id. at 212-13.

       The State attempts to characterize its late amendment here as a “careless” error

similar to Gassman. However, unlike Gassman, the Numrich court has made a finding

that the State acted intentionally to moot the discretionary appeal and the record supports

this finding. In its ruling on the motion to amend, the trial court found:

       What is singular here is that the State did not give notice of an amendment
       in an obvious situation that would have saved countless hours and fees for
       an appeal, and where the State is using this amendment to obtain dismissal
       of the discretionary review, and so announcing in the responsive appellate
       briefing, and where the issues presented by the Amendment are obviously
       intertwined with the issues on discretionary appeal, and where there are no
       additional facts or discovery or new legal theory.

                                             26
No. 96365-7 (consol. w/ 96566-8)

CP at 471 (emphasis added). This is an express finding that the State used the late

amendment to obtain dismissal of discretionary review and that there was a more

appropriate course available to amend prior to the discretionary appeal.

       The State claims that this is not a basis to impose sanctions and argues that it

became aware of the need to add the first degree manslaughter charge after reviewing the

defendant’s general-specific rule arguments in his petition for discretionary review.

However, the record reveals that the State was aware of the defendant’s arguments and

that both parties disputed the effects of first and second degree manslaughter under the

general-specific rule throughout the initial motion to dismiss and briefing on the motion

to amend. The trial court’s finding that the State sought the amendment to moot the

discretionary appeal paired with the State’s withholding of the amendment until midway

through the discretionary appeal process, despite having notice beforehand, suggests

conduct tantamount to bad faith. The trial court did not abuse its discretion in imposing

attorney fees for the defendant’s preparation of the discretionary appeal.

       Further, the superior court ordered the State to pay Numrich $18,252.49 for work

on the first motion for direct discretionary review, which recognized 38.1 hours of

attorney time, equivalent to approximately one workweek of total time. This fee award

reflects the briefing produced (20 page motion for discretionary review, 15 page

statement of grounds for direct review, 10 page reply), the hundreds of pages of

appendices to the briefing, the State’s briefing that required analysis and legal research

(20 page answer to motion for discretionary review and 10 page answer regarding direct

                                             27
No. 96365-7 (consol. w/ 96566-8)

review), preparation for and completion of oral argument to the commissioner, the

complexity of the litigation; and the importance of the consequences to the client

(Numrich has no prior criminal history and faces first degree manslaughter and 6.5 to 8.5

years in prison).

       [T]he determination of a fee award should not be an unduly burdensome
       proceeding for the court or the parties. As long as the award is made after
       considering the relevant facts and the reasons given for the award are
       sufficient for review, a detailed analysis of each expense claimed is not
       required.

Steele v. Lundgren, 96 Wn. App. 773, 786, 982 P.2d 619 (1999) (footnote omitted).

Here, counsel submitted detailed time sheets, along with a supporting declaration, that

documented the compensable time. CP at 978-91. After reviewing the filings, the court

found the time (13.6 hours by attorney Todd Maybrown and 24.5 hours by attorney

Cooper Offenbecher) “was a reasonable amount of time given the novelty of the issues

presented, the complexity of the litigation, the forum, and the importance of the

consequences to Mr. Numrich. The work was not duplicative or unproductive.” CP at

1131. The trial court’s findings were based on a detailed record that provided a

meaningful opportunity for review.

       The State argues that there is “no indication that the trial court actively and

independently considered the reasonableness of Numrich’s fee petition or the State’s

objections to the hourly rates or number of hours billed.” Br. of Resp’t/Cross-Pet’r at 56.

But on December 21, 2018, the trial court recognized the State’s objections and requested

additional information: “Mr. Hinds is correct that Mr. Offenbecker’s [sic] original fee

                                             28
No. 96365-7 (consol. w/ 96566-8)

petition was inadequate.” CP at 977. The trial court requested that counsel refile a

petition “listing the number of hours for each lawyer and the subject matter they worked

[on]. This may be done redacted if there is attorney-client work product or privileged

areas.” Id. In response, Numrich’s counsel provided billing time sheets as directed. Id.

at 982-91.

       The State relies on Berryman v. Metcalf, 177 Wn. App. 644, 658, 312 P.3d 745

(2013), in which the Court of Appeals faulted a fee award where there was “no indication

that the trial judge actively and independently confronted the question of what was a

reasonable fee. We do not know if the trial court considered any of Farmers’ objections

to the hourly rate, the number of hours billed, or the multiplier.” See Br. of Resp’t/Cross-

Pet’r at 55. But here, the trial court explicitly stated that the time claimed by defense

counsel “was a reasonable amount of time given the novelty of the issues presented, the

complexity of the litigation, the forum, and the importance of the consequences to Mr.

Numrich. The work was not duplicative or unproductive.” CP at 1131. The court added,

“The Court reviewed all . . . extensive pleadings, the time billings in the case, and

declines to re-review any of its earlier decisions.” Id. at 1132. The trial court clearly

engaged with the fee petition, and both parties clearly put a significant amount of time

into this case. Accordingly, 38.1 hours is a reasonable amount of time to spend on this

litigation project.

       Further, a trial court has the inherent knowledge and experience to evaluate the

reasonableness of an hourly rate. See Ingram v. Oroudjian, 647 F.3d 925, 928 (9th Cir.

                                             29
No. 96365-7 (consol. w/ 96566-8)

2011) (adopting holdings of other circuits holding that “judges are justified in relying on

their own knowledge of customary rates and their experience concerning reasonable and

proper fees” (citing Norman v. Hous. Auth., 836 F.2d 1292, 1303 (11th Cir. 1988) (courts

are themselves “experts” as to the reasonableness of attorney fees and award may be

based on court’s own experience))).

       Washington courts have routinely afforded deference to the trial court’s own

experience evaluating the reasonableness of attorney fees:

       Generally the testimony of expert witnesses [on the issue of the value of the
       services of an attorney] is not essential. The court, either trial or appellate,
       is itself an expert on the question of the value of legal services, and may
       consider its own knowledge and experience concerning reasonable and
       proper fees, and may form an independent judgment either with or without
       the aid of testimony of witnesses as to value.

Brown v. State Farm Fire & Cas. Co., 66 Wn. App. 273, 283, 831 P.2d 1122 (1992)

(alteration in original) (quoting STUART M. SPEISER, ATTORNEYS’ FEES 478 (1973)) (trial

court’s conclusion that fees were reasonable, based on “(1) its own familiarity with

[plaintiffs’] attorneys, (2) their general reputation for competence in the legal community,

and (3) its finding that the fees were within the range charged by other lawyers”).

       Here, the trial court found that “[t]he billing rates of Mr. Numrich’s attorneys—

$600 for Mr. Maybrown and $400 for Mr. Offenbecher—are reasonable rates for

litigation attorneys practicing in downtown Seattle with commensurate experience, and in

light of the novelty and difficulty of the questions involved and the seriousness of the

charges in this case.” CP at 1132. The trial judge was well within his authority to verify

                                             30
No. 96365-7 (consol. w/ 96566-8)

the reasonableness of these Seattle hourly rates. See Brown, 66 Wn. App. at 283. The

trial court did not err in awarding sanctions against the State.

       Attorney fees on appeal

       In his reply brief, Numrich requests fees on appeal stating, “Pursuant to RAP 18.1,

Mr. Numrich requests fees for time spent defending the fee award on appeal.” Reply Br.

of Pet’r/Cross-Resp’t at 50. He identifies no applicable basis for such fees. 1

“Washington State courts follow the ‘American Rule’—even as to a prevailing party,

‘attorney fees are not available as costs or damages absent a contract, statute, or

recognized ground in equity.’” LK Operating, LLC v. Collection Grp., LLC, 181 Wn.2d

117, 123, 330 P.3d 190 (2014) (quoting City of Seattle v. McCready, 131 Wn.2d 266,

275, 931 P.2d 156 (1997)).

       Also, RAP 18.1 requires that a party seeking attorney fees or expenses on review

to “request the fees or expenses as provided in this rule.” RAP 18.1(a). The rule further

requires, “The party [requesting appellate fees] must devote a section of its opening brief

to the request for the fees or expenses.” RAP 18.1(b) (emphasis added). As noted,

Numrich’s request appears in his reply. He provides no basis for a fee award on appeal,

and it is accordingly denied.

1
 Numrich cites a case concerning fee shifting statutes. Reply Br. of Pet’r/Cross-Resp’t at 49-50.
But no fee shifting statutes are at issue here.

                                               31
No. 96365-7 (consol. w/ 96566-8)

       Motions passed to the merits

       Numrich filed two motions: a motion to strike amicus brief of L&I and a related

motion to supplement the record regarding his objection to the amicus brief. As both

motions were filed near the oral argument date set for this case, the motions were passed

to the merits.

       Numrich’s motion to strike primarily contends that L&I worked as an “agent of

the prosecutor,” who is prosecuting this case “on behalf of the State of Washington”;

therefore, L&I is a party to this case and “is not a proper amicus” participant. Pet’r’s

Answer to Amicus Curiae Br. of L&I at 1 n.1. Numrich further contends, “This case was

not investigated by the Seattle Police Department, the King County Sheriff’s Office, or

any other law enforcement agency. L&I was the law enforcement agency in this case.”

Pet’r’s Reply to Answer to Mot. To Strike Amicus Curiae L&I Br. at 4; see also CP at 1-

9 (information levying criminal charges against Numrich and statement of probable cause

from L&I investigating officer setting out the investigative history). Numrich relies on

the fact that an L&I investigator provided a certification of determination of probable

cause, but this does not make L&I the prosecutor’s agent or bar it as an amicus. L&I is a

separate state agency charged with promulgating safety regulations and investigating and

enforcing compliance with those regulations. It is not an arm of the prosecutor. Nor is

L&I the sole source of information for the State’s charges. The record also contains a

joint investigation report utilizing resources from the attorney general’s office and the

                                             32
No. 96365-7 (consol. w/ 96566-8)

prosecutor’s office, describing investigation methodologies and lists of interviewees and

potential witnesses concerning the workplace fatality at issue. CP at 458-68.

       Numrich does not convince us that L&I is “a party” as he contends, and the

agency’s amicus brief is useful to the court. Numrich’s motion to strike L&I’s amicus

brief and his related motion to supplement the record are denied.

                                      CONCLUSION

       We hold that the trial court did not err in denying the employer’s motion to

dismiss the second degree manslaughter charge. We hold that the trial court did not err in

granting the State’s motion to amend the information to add an alternative first degree

manslaughter charge. We hold that the trial court did not err in awarding sanctions

against the State. Further, we deny Numrich’s request for fees on appeal. And finally,

we deny Numrich’s motion to strike amicus brief of L&I and Numrich’s related motion

to supplement the record, which were passed to the merits. With these holdings, we

remand to the trial court for further proceedings.

                                             33
No. 96365-7 (consol. w/ 96566-8)

                                   ___________________________________
                                                Madsen, J.

WE CONCUR:

_______________________________      ________________________________

_______________________________      ________________________________

_______________________________      ________________________________

_______________________________      ________________________________

                                    34
State v. Numrich, No. 96365-7 (González, C.J., concurring in part and dissenting in part)

                                         No. 96365-7

       GONZÁLEZ, C.J. (concurring in part and dissenting in part) – I agree with the

majority that the trial court properly denied Numrich’s motion to dismiss the

second degree manslaughter charge. I also agree with the majority that the trial

court did not abuse its discretion in granting the State’s motion to amend to add an

alternative charge of first degree manslaughter. I disagree, however, that sanctions

against the State are warranted. A trial court may only impose sanctions after

making an express finding of bad faith or where conduct “ʻtantamount to bad

faith’” can be inferred from the record. State v. Gassman, 175 Wn.2d 208, 211,

283 P.3d 1113 (2012) (internal quotation marks omitted) (quoting State v. S.H.,

102 Wn. App. 468, 474, 8 P.3d 1058 (2000)). The State’s conduct here does not

meet that standard. Therefore, the trial court abused its discretion in imposing

sanctions. I respectfully dissent in part.

       I recognize that whether to impose sanctions lies within the discretion of the

trial court and will not be reversed absent an abuse of that discretion. Magaña v.

Hyundai Motor Am., 167 Wn.2d 570, 582, 220 P.3d 191 (2009) (quoting Mayer v.

                                                1
State v. Numrich, No. 96365-7 (González, C.J., concurring in part and dissenting in part)

Sto Indus., Inc., 156 Wn.2d 677, 684, 132 P.3d 115 (2006)). Abuse of discretion is

met where the exercise of discretion is manifestly unreasonable or based on

untenable grounds or reasons. Id. at 582-83 (quoting Wash. State Physicians Ins.

Exch. & Ass’n v. Fisons Corp., 122 Wn.2d 299, 339, 858 P.2d 1054 (1993)); see

also Gassman, 175 Wn.2d at 210. A reviewing court will uphold sanctions if the

record demonstrates “conduct that was at least ‘tantamount to bad faith.’”

Gassman, 175 Wn.2d at 211 (internal quotation marks omitted) (quoting State v.

S.H., 102 Wn. App. at 474). “Bad faith” conduct is “willfully abusive, vexatious,

or intransigent tactics designed to stall or harass.” Id. Mere carelessness is not

enough; the action must be purposeful. Id. at 213.

       Nothing in the trial court’s detailed order amounts to a finding of bad faith,

and to the extent the majority suggests that a finding of intentional action amounts

to bad faith, I respectfully disagree. Instead, the order establishes the trial court’s

understandable vexation at the State for failing to give notice of the intent to

amend the charges at the beginning of the interlocutory appeal process. Nor do I

find bad faith in this record. The trial court confirmed there was no evidence that

the amendment was vindictive. CP at 471. The lack of courtesy shown by the

State’s late amendment does not meet the willfully abusive standard required to

impose sanctions.

       I would reverse sanctions. Accordingly, I respectfully dissent in part.

                                                2
State v. Numrich, No. 96365-7 (González, C.J., concurring in part and dissenting in part)

                                             _______________________________

                                            3
State v. Numrich (Phillip Scott), No. 96365-7

                                     No. 96365-7

      GORDON McCLOUD, J. (dissenting)—This court adopted the general-

specific rule many years ago as a tool of statutory interpretation. The rule provides

that “‘where a special statute punishes the same conduct which is [also] punished

under a general statute, the special statute applies and the accused can be charged

only under that statute.’” State v. Shriner, 101 Wn.2d 576, 580, 681 P.2d 237

(1984) (quoting State v. Cann, 92 Wn.2d 193, 197, 595 P.2d 912 (1979)).

      This judicially created general-specific rule protects the roles of all three

branches of state government: it provides the courts with a tool to “preserve the

legislature’s intent to penalize specific conduct in a particular, less onerous way

and hence to minimize sentence disparities resulting from unfettered prosecutorial

discretion.” State v. Albarran, 187 Wn.2d 15, 20, 383 P.3d 1037 (2016) (emphasis

added) (footnote omitted) (citing Shriner, 101 Wn.2d at 581-83); see also State v.

Danforth, 97 Wn.2d 255, 259, 643 P.2d 882 (1982) (general-specific rule prevents

the “impermissible potential usurpation of the legislative function by prosecutors”

by taking away their authority to charge harsher, more general statutes when the

legislature has prescribed more lenient, more specific punishments).

                                            1
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

      For that reason, we have traditionally used the general-specific rule in a

commonsense and contextual manner rather than in a hypertechnical manner.

Specifically, we use “[t]he general-specific rule [as] a means of answering the

question: Did the legislature intend to give the prosecutor discretion to charge a

more serious crime when the conduct at issue is fully described by a statute

defining a less serious crime?” Albarran, 187 Wn.2d at 26 (emphasis added). We

compare the subject matter of the general statute with the subject matter of the

specific statute and use that comparison, as well as any relevant historical context

and legislative history, to decide whether the specific statute was designed to

occupy the field of the conduct that it describes, thereby foreclosing prosecution

for more general crimes.

      We have not typically focused on the intricacies of matters like the object on

which the mens rea of the two statutes might bear. Yet that is what the majority

does in this case. Majority at 10-11 (focusing on just this point and relying on

State v. Gamble, 154 Wn.2d 457, 468-69, 114 P.3d 646 (2005)—which was not a

general-specific rule case—as outcome determinative).

      I disagree with this approach. The majority’s hypertechnical test is not the

test that our seminal general-specific decisions adopt.1 And it does not preserve

      1
       Indeed, it is not the approach that we adopt in other areas, either. E.g., Ashe v.
Swenson, 397 U.S. 436, 444, 90 S. Ct. 1189, 25 L. Ed. 2d 469 (1970) (when applying the
                                            2
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

the values that our seminal general-specific decisions were designed to protect.

Our case law compels us to apply the general-specific rule in a commonsense and

contextual manner, with a view toward advancing the separation-of-powers goals

that it was designed to protect. When that latter approach is applied, it compels the

conclusion that the specific WISHA 2-homicide statute prevails over the general

manslaughter statute in the factual scenarios that it describes.

      I therefore respectfully dissent.

      I.       THE MAJORITY’S TEST IS NOT THE TEST THAT OUR SEMINAL
               GENERAL-SPECIFIC DECISIONS ADOPTED

      The majority’s test is not the test that our seminal general-specific decisions

applied. The majority homes in on the objects of mens rea in each statute to isolate

a theoretical situation that could constitute WISHA-homicide but not

manslaughter. But our foundational cases in this area look to the overall scope of

the two statutes and historical context to determine whether a specific statute

occupies the field of prosecution.

prerequisites to collateral estoppel in a criminal case, the Supreme Court has held that
they are “not to be applied with the hypertechnical and archaic approach of a 19th
century pleading book, but with realism and rationality”); State v. Tili, 148 Wn.2d 350,
361, 60 P.3d 1192 (2003) (adopting Ashe’s “realism and rationality” approach in
Washington).
      2
          Washington Industrial Safety and Health Act of 1973, ch. 49.17 RCW.
                                            3
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

       In 1960, for example, we recognized that prosecutors must charge specific,

more lenient forms of homicide when they are available. State v. Collins, 55

Wn.2d 469, 348 P.2d 214 (1960). In Collins, the defendant had killed a pedestrian

“by means of a motor vehicle,” and the State charged “general manslaughter,”

notwithstanding the available “negligent homicide by means of a motor vehicle”

statute. Id. at 469 (citing former RCW 46.56.040 (1937); former RCW 9.48.060

(1909)). Rather than break down mens rea elements into component parts, we

analyzed the statutory and historical context.

       We found that the mens rea elements of the two statutes differed—

manslaughter required proof of “ordinary negligence,” while negligent homicide

required more than that—it required recklessness. Id. at 470 (citing State v.

Hedges, 8 Wn.2d 652, 113 P.2d 530 (1941); State v. Partridge, 47 Wn.2d 640, 289

P.2d 702 (1955)). We ruled that even if the State could not prove the heightened

recklessness mens rea of negligent homicide, it must still proceed under that

specific homicide statute if the subject matter was homicide with a motor vehicle.3

       3
         We made this concept even clearer in Shriner. In Shriner, the specific “failure to
return a rental car” statute contained an element that was missing from the general theft
statute: the element that the rental agency must have sent a written demand letter to the
defendant to return the car. 101 Wn.2d at 582-83. The record in Shriner did not reveal
whether such a demand letter had ever been sent. Nevertheless, we required the State to
charge under the specific rental car statute—even if it couldn’t prove all the elements of
the crime. Id. We came to this conclusion because the “creation of a specific statute
shows a legislative intent that persons who perform the type of acts to which it is directed
                                             4
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

Id. Effectively, the more recent, more specific statute occupied the field of

prosecution for that particular type of killing.

       This court in Collins relied largely on the historical context of the specific

statute’s passage to come to this conclusion. We explained that the legislature had

recognized that no prosecutor had ever obtained a conviction of manslaughter for a

homicide caused by recklessness or drunk driving—and that manslaughter statute

was enacted in 1854. Id. We concluded that the legislature had responded to that

110-year dearth of convictions by providing prosecutors with a more useful

enforcement tool—one that didn’t call reckless driving “manslaughter,” one that

prosecutors would be willing to charge, and one that jurors would be willing to

accept:

              The manslaughter statute was first passed in 1854, which was prior to
       the aggravated problem of motor vehicle traffic that characterizes our times.
       The prosecuting attorneys throughout the state found a growing jury
       reluctance to convict automobile drivers under the manslaughter statute due
       to the connotations of the word ‘manslaughter.’ A group of them went before
       the 1937 legislature and successfully urged the passage of a special statute
       under which they could charge homicide by means of a motor vehicle.

Id. Based on this context, we held “that in all cases where the negligent homicide

statute is applicable, it supersedes the manslaughter statute.” Id.

. . . should be punished under the specific statute or not at all.” Id. at 583 (emphasis
added).
                                              5
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

       We have the exact same historical context here. Until this case, no

prosecutor in Washington had ever filed criminal manslaughter charges against an

employer for an on-the-job death, despite the fact that a manslaughter statute had

been on the books for over 100 years. Clerk’s Papers at 18-19. The legislature

responded by enacting the WISHA-homicide statute as part of the full WISHA law

in 1973. LAWS OF 1973, ch. 80. The WISHA-homicide statute was thus a part of

WISHA since the beginning and remains there largely unchanged to this day (with

the exception of higher penalties). Id. § 19(3); RCW 49.17.190(3).

       The majority acknowledges this history but concludes that the legislature has

not affirmatively “expressed an intent to preclude Washington prosecutors from

bringing homicide charges against employers under Washington State law after a

workplace death has occurred.” 4 Majority at 16. But we have never required

specific legislative direction to invoke the general-specific rule.5 To do so would

       4
         The majority notes that our state legislature modeled WISHA on the federal
Occupational Safety and Health Act of 1970, 29 U.S.C. ch. 15, which avoided
preemption of state criminal laws. Majority at 15-16. But Congress’ intent is irrelevant
to application of our state’s general-specific rule. The general-specific rule is designed to
effectuate a single legislature’s intent when it passes multiple criminal statutes that
proscribe the same conduct. See Albarran, 187 Wn.2d at 20. Federal Congressional
intent not to preclude state criminal enforcement by separate sovereigns has nothing to do
with this analysis.
       5
         Though we implied this might be required in State v. Conte, which relied on
numerous other factors to conclude that the rule did not apply—most notably, the fact
that one statute there was criminal while the other was civil. 159 Wn.2d 797, 808, 154
                                             6
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

invert our usual analysis and would create a presumption against use of the

general-specific rule. Instead, we have used the rule itself as a tool to determine

legislative intent. See, e.g., Shriner, 101 Wn.2d at 583; State v. Walls, 81 Wn.2d

618, 623, 503 P.2d 1068 (1972).

       Like the 1937 legislature that enacted the driving-specific negligent

homicide statute in Collins, the 1973 legislature was trying to give prosecutors,

who had been unwilling to charge manslaughter or murder for a particular type of

death, a misdemeanor tool to incentivize charging. Like the court in Collins, we

should require prosecutors to use that new specific statute, drafted to control that

specific situation.

       We took a similar contextual approach in Walls, which the majority also

discusses. Majority at 12. As the majority notes, Walls held that where the

defendant was accused of using a credit card without permission to “pay” for a

meal at a restaurant associated with a hotel, the State could not use the general

felony larceny statutes, even though they fit that crime. Instead, the State was

limited to charging under the specific “defrauding an innkeeper statute,” which

P.3d 194 (2007). Additionally, the specific statute at issue in Conte expressly allowed for
“‘any other remedies provided by law.’” Id. (quoting RCW 42.17.390); see also In re
Pers. Restraint of Taylor, 105 Wn.2d 67, 70, 711 P.2d 345 (1985) (similarly declining to
apply the general-specific rule where the statutory “language clearly indicate[d] that the
Legislature did not intend . . . to preempt prosecution under” the general statute).
                                             7
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

was part of a “‘complete act’ dealing with the liability and protection of hotels,

inns, and lodging houses, including the provision making the defrauding of such an

establishment a gross misdemeanor.” Majority at 12 (citing Walls, 81 Wn.2d at

623).

        The majority neglects to mention that if we read the general and specific

statutes in Walls very closely, we will find that it is possible to violate the specific

statute, RCW 19.48.110,6 with no mens rea at all; the general larceny statute,

however, required a mens rea of willfulness or intent. 81 Wn.2d at 620-21. 7 Thus,

it was possible to violate the specific statute without violating the general statute.

        6
       As quoted in Walls, one of the specific statutes concerning defrauding an
innkeeper, RCW 19.48.110, provided:

        “Any person who shall wilfully obtain food, money, credit, lodging or
        accommodation at any hotel, inn, boarding house or lodging house, without paying
        therefor, with intent to defraud the proprietor, owner, operator or keeper thereof; or
        who obtains food, money, credit, lodging or accommodation at such hotel, inn,
        boarding house or lodging house, by the use of any false pretense; or who, after
        obtaining food, money, credit, lodging, or accommodation at such hotel, inn,
        boarding house, or lodging house, removes or causes to be removed from such
        hotel, inn, boarding house or lodging house, his or her baggage, without the
        permission or consent of the proprietor, manager or authorized employee thereof,
        before paying for such food, money, credit, lodging or accommodation, shall be
        guilty of a gross misdemeanor.”

81 Wn.2d at 621-22 (emphasis added) (quoting LAWS OF 1915, ch. 190).
        7
        The Walls court quotes the relevant general larceny statute as follows; I have
placed the emphasis on the mens rea:
        Every person who, with intent to deprive or defraud the owner thereof—
                                              8
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

       Nevertheless, we held that the specific and general statutes were concurrent,

and that the State could therefore charge only under the specific ones.8 Id. at 623.

We did that because we looked at the statutes’ language in a commonsense manner

and the specific statute’s enactment in historical context; we then concluded that

that history and context showed that the legislature intended the specific statute to

be the exclusive criminal enforcement tool for the conduct it described. In other

       ....

               (2) Shall obtain from the owner or another the possession of or title to any
       property, real or personal, by color or aid of any order for the payment or delivery
       of property or money or any check or draft, knowing that the maker or drawer of
       such order, check or draft was not authorized or entitled to make or draw the same,
       or by color or aid of any fraudulent or false representation, personation or pretense
       or by any false token or writing or by any trick, device, bunco game or fortune-
       telling; or

       ....

       Steals such property and shall be guilty of larceny.

81 Wn.2d at 620 (emphasis added) (quoting RCW 9.54.010).
       8
         Since Walls, the Court of Appeals has taken a similar approach to the general-
specific rule. In State v. Thomas, the court required the State to pursue specific custodial
interference charges rather than general unlawful imprisonment charges—despite the
same type of differing “objects of mens rea” at issue in this case. 35 Wn. App. 598, 604,
668 P.2d 1294 (1983) (unlawful imprisonment required that the defendant “‘knowingly
restrain[] another person’” whereas custodial interference required that the defendant
“‘know[] that he has no legal right’” to interfere with custody (quoting RCW
9A.40.010(1); 9A.40.050(1))).
                                             9
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

words, we came to the opposite conclusion from the majority in a factually

comparable situation.

       Why did we do that? First, we stated the general-specific rule as “where a

general statute and a subsequent special law relate to the same subject, the

provisions of the special statute must prevail.” Id. at 622 (emphasis added). Then

we determined that the laws covered the same subject, without delving into

distinctions about objects of mens reas that might be important in hypothetical

situations. If we had delved into such distinctions, we would have found that they

existed.

       Instead, we focused on context. The Walls court treated legislative history

and the purpose of the full act of which the specific statute formed a part as critical.

We ruled that “the legislature had established a ‘complete act’ dealing with the

liability and protection of hotels, inns, and lodging houses, including the provision

making the defrauding of such an establishment a gross misdemeanor.” Majority

at 12 (quoting Walls, 81 Wn.2d at 623). We came to that conclusion despite the

fact that a close and detailed reading of the general and specific statutes would

have shown that (as described above) one could violate the specific without

violating the general.9

       9
         I acknowledge that we have occasionally taken a far more technical approach,
similar to the one that the majority takes in this case. In Conte, the State charged a group
                                            10
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

       Like the “complete” innkeeper statutes in Walls, we have a complete set of

industrial safety and health laws in WISHA. In addition to providing criminal

penalties for safety violations resulting in death, WISHA provides numerous

regulations and restrictions, see RCW 49.17.040 (providing authority to

promulgate safety and health standards, and many exclusive provisions for their

enforcement), .120 (citations), .170 (injunctive remedies), .180 (civil penalties).

When a defendant’s conduct falls under this complete legislatively enacted statute,

prosecutors must use that specific statute’s provisions.

       The statutory context also shows that the legislature intended specific

penalties for a specific crime. The legislature attached unique misdemeanor

penalties to criminal violations of WISHA: brief imprisonment and enormous

(higher than most felony) monetary penalties. RCW 49.17.190(3) (allowing six

months’ incarceration and $100,000 in penalties for a first offense). The

of defendants with violating the general criminal statute prohibiting filing of false or
forged instruments, the defense argued that the State was limited to charging under the
more lenient concealment of campaign finance sources statute, and this court rejected the
challenge. 159 Wn.2d at 804-06 (citing and quoting RCW 42.17.120, recodified as
42.17A.435). But in that case, another factor seems to have been outcome determinative:
the fact that the concealment of campaign finance sources was a civil, rather than a
criminal, statute, and the general-specific rule was not designed for that situation. Id. at
806-07. In addition, in Conte, the civil campaign finance statute expressly allowed for
“‘other remedies provided by law’” and there was no indication of legislative intent to
“supersede” the general law. Id. at 807 (emphasis omitted) (quoting RCW 42.17.390).
                                            11
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

legislature would not promulgate such specific penalties, tailored to punish

organizational defendants, if it did not want prosecutors to use them.

      II.    EVEN UNDER THE MAJORITY’S HYPERTECHNICAL ANALYSIS, THE
             STATUTES ARE CONCURRENT

      The majority acknowledges that the mental state element of the WISHA-

homicide statute (willfully and knowingly) will always satisfy the lower mental

state element of the manslaughter statute (recklessly or negligently). Majority at

10 (citing RCW 9A.08.010(2)). It emphasizes, however, the difference in “the

object of the mental state” between the two statutes and holds that that difference

undermines the concurrency between those two statutes. Id. at 10-11. It concludes

that because the misdemeanor statute prohibits willfully and knowingly violating

safety rules and thereby causing death, while the felony manslaughter statute

prohibits negligent or reckless disregard of the possibility of death, the statutes

cannot be concurrent. Id. It does not delve deeply into the legislature’s goal in

enacting the WISHA-homicide statute, the context of the full WISHA enactment,

or the goal of encouraging misdemeanor prosecutions with their high monetary

penalties. It relies on Gamble, 154 Wn.2d 457, a case that never discussed the

general-specific rule, for this limited analysis. Id.

      The majority’s position is difficult to reconcile with the general-specific

rule. Gamble did not address the general-specific rule at all. Further, while there

                                           12
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

is a bit more language in the WISHA statute, both statutes require an unbroken

chain of proximate causation from the defendant’s action to the resulting death.

Under the WISHA-homicide statute, the employee death must be caused by the

safety rule violation that the employer knowingly violated. Under the

manslaughter statute, the death must be caused by the defendant’s reckless or

criminally negligent action. In both circumstances, the defendant’s action, with the

requisite mental state, must cause the death.

      Given this causation requirement in both statutes, it is basically

inconceivable that a violation of the WISHA-homicide statute would not also

amount to a violation of the manslaughter statute. The reason is that if a defendant

willfully and knowingly violates a safety regulation, and “that [very] violation”

itself “caus[es] death,” then the chances are pretty high that that defendant also

disregarded that very risk of that death. 10 Thus, even with alternate mens rea

      10
          In other words, if the violation did not proximately cause the work site death,
then there would be no criminal liability under either the WISHA-homicide or
manslaughter statutes (because causation is an element of both). But if the violation did
proximately cause the workplace death, then there could be criminal liability under both,
because the proximate cause link will only exist where the outcome (death) was
sufficiently predictable and direct. See State v. Frahm, 193 Wn.2d 590, 600, 444 P.3d
595 (2019) (Whether a “superseding cause” relieves a defendant of liability “‘depends on
whether the intervening act can reasonably be foreseen by the defendant; only intervening
acts which are not reasonably foreseeable are deemed superseding causes.’” (internal
quotation marks omitted) (quoting Crowe v. Gaston, 134 Wn.2d 509, 519, 951 P.2d 1118
(1998))). How could a dangerous condition addressed by a safety regulation give rise to
a foreseeable death without negligence as to the risk of that death?
                                           13
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

objects, the “general statute will be violated in each instance where the special

statute has been violated.” Shriner, 101 Wn.2d at 580. This is all that is required

for concurrency.

      The majority even seems to acknowledge that functionally, every WISHA

violation will result in a manslaughter violation as well. Majority at 13-14 (“[I]t is

not unusual in criminal law that multiple statutes can be violated by the same set of

facts. Whether the State prevails will depend on whether it can prove the elements

of the crime.”). This reasoning sanctions duplicative charging, even in a situation

where the legislature did not intend that outcome. That would dismantle the

general-specific rule’s purpose: judicial recognition of a legislative effort to cabin

prosecutorial discretion.

                                     CONCLUSION

      The majority’s overly technical concurrency analysis abandons the general-

specific rule’s fundamental purposes and prevents its application in all but the most

particular and unusual scenarios. I would look to the context of this WISHA-

homicide statute as part of a complete WISHA act designed to address workplace

safety issues and penalties, and to incentivize charging in an undercharged area.

That context shows that the legislature promulgated specific penalties for the

specific offense Numrich allegedly committed. I would therefore hold that just as

                                           14
State v. Numrich (Phillip Scott), No. 96365-7
(Gordon McCloud, J., dissenting)

in Walls, Collins, and Shriner, the State must charge Numrich under the specific

statute—or not at all.

      I respectfully dissent.

                                           15