Court Opinion

ID: 4031805
Source: CourtListenerOpinion
Date Created: 2016-09-07 19:00:19.408516+00
Date Added: 2024-06-11T14:36:03.323606
License: Public Domain

UNITED STATES OF AMERICA
                        MERIT SYSTEMS PROTECTION BOARD

     RICHARD TYNER,                                  DOCKET NUMBER
                  Appellant,                         DC-0752-16-0098-I-1

                  v.

     DEPARTMENT OF AGRICULTURE,                      DATE: September 7, 2016
                 Agency.

             THIS FINAL ORDER IS NONPRECEDENTIAL 1

           David A. Branch, Esquire, Washington, D.C., for the appellant.

           Martin A. Gold, Esquire, Washington, D.C., for the agency.

                                           BEFORE

                              Susan Tsui Grundmann, Chairman
                                 Mark A. Robbins, Member

                                       FINAL ORDER

¶1         The appellant has filed a petition for review of the initial decision, which
     sustained his 30‑day suspension. Generally, we grant petitions such as this one
     only when: the initial decision contains erroneous findings of material fact; the
     initial decision is based on an erroneous interpretation of statute or regulation or
     the erroneous application of the law to the facts of the case; the administrative

     1
        A nonprecedential order is one that the Board has determined does not add
     significantly to the body of MSPB case law. Parties may cite nonprecedential orders,
     but such orders have no precedential value; the Board and administrative judges are not
     required to follow or distinguish them in any future decisions. In contrast, a
     precedential decision issued as an Opinion and Order has been identified by the Board
     as significantly contributing to the Board’s case law. See 5 C.F.R. § 1201.117(c).
                                                                                      2

     judge’s rulings during either the course of the appeal or the initial decision
     were not consistent with required procedures or involved an abuse of discretion,
     and the resulting error affected the outcome of the case; or new and material
     evidence or legal argument is available that, despite the petitioner’s due
     diligence, was not available when the record closed.      Title 5 of the Code of
     Federal Regulations, section 1201.115 (5 C.F.R. § 1201.115).           After fully
     considering the filings in this appeal, we conclude that the petitioner has not
     established any basis under section 1201.115 for granting the petition for review.
     Therefore, we DENY the petition for review. We MODIFY the initial decision
     to: (1) to amend and supplement the administrative judge’s analysis regarding the
     charge of misrepresentation or concealment of facts on official documents;
     (2) find that the agency proved a nexus between the sustained charge and the
     efficiency of the service; and (3) incorporate the standards set out in the Board’s
     decision in Savage v. Department of the Army, 122 M.S.P.R. 612 (2015), and
     supplement the administrative judge’s analysis regarding the appellant’s
     affirmative defense of discrimination based on race.         Except as expressly
     modified by this Final Order, we AFFIRM the initial decision.

                                     BACKGROUND
¶2        The appellant is employed as a Materials Handler with the agency’s
     Office of Operations Management Services in Beltsville, Maryland.           Initial
     Appeal File (IAF), Tab 1 at 1, Tab 5 at 28, 31; Hearing Transcript (HT) at 5
     (testimony of the appellant).    On October 3, 2014, the agency proposed the
     appellant’s removal based on three charges:     (1) fighting, attempting to inflict
     bodily harm on duty; (2) creating a disturbance or disruption in the workplace;
     and (3) misrepresentation or concealment of facts on official documents. IAF,
     Tab 5 at 39‑43.
¶3        The charges of fighting, attempting to inflict bodily harm on duty, and
     creating a disturbance or disruption in the workplace arose from a verbal and
                                                                                      3

     physical altercation between the appellant and a contractor, J.L., at the agency’s
     Beltsville Service Center Warehouse on August 18, 2014. Id. at 39‑40; HT at 8
     (testimony of the appellant).     The agency alleged that, after J.L. refused to
     perform a work assignment and made racial comments to the appellant, the
     appellant and J.L. engaged in a verbal altercation and pushed one another, and the
     appellant struck J.L. in the face.      IAF, Tab 5 at 39‑40.    Subsequently, the
     appellant went outside to smoke a cigarette, and J.L. followed him and struck the
     appellant on the side of the head with the claw end of a hammer, causing the
     appellant to bleed on the warehouse steps. Id. at 40; HT at 13‑14, 32‑33, 35
     (testimony of the appellant).
¶4         The charge of misrepresentation or concealment of facts on official
     documents arose from a Safety/Environment Incident Report (the incident report)
     that the appellant prepared and submitted on August 20, 2014, two days after the
     altercation with J.L. IAF, Tab 5 at 40, 69. In this incident report, the appellant
     inaccurately reported that he incurred his August 18, 2014 head injury when he
     was accidentally hit on the side of the head with the end of a forklift while
     dumping furniture into a compactor. Id. at 69.
¶5         After the appellant, through his union, presented an oral response to the
     notice of proposed removal, IAF, Tab 10 at 5‑6, the deciding official sustained
     all of the charges, but mitigated the penalty to a 30‑day suspension, IAF, Tab 16
     at 5‑8.
¶6         The appellant filed a formal equal employment opportunity (EEO)
     complaint regarding his suspension, among other things. IAF, Tab 1 at 7. After
     the agency issued a final agency decision finding no discrimination, id. at 7‑31,
     the appellant filed a Board appeal challenging his suspension, id. at 4, and raised
     affirmative defenses of discrimination based on race (Caucasian) and national
     origin (Italian), IAF, Tab 12, Tab 17 at 4.
                                                                                        4

¶7         After holding the appellant’s requested hearing, IAF, Tab 1 at 2, the
     administrative judge found that the agency failed to prove the charges of fighting,
     attempting to inflict bodily harm on duty, and creating a disturbance or disruption
     in the workplace. 2 IAF, Tab 23, Initial Decision (ID) at 3‑10. She found the
     appellant’s testimony that he did not strike or push J.L. to be more credible than
     the testimony of two contractors, M.W. and R.P., who testified that the appellant
     did so. ID at 6‑10; IAF, Tab 10 at 5; HT at 10, 15 (testimony of the appellant),
     73‑74, 77 (testimony of R.P.), 83‑84, 87‑89 (testimony of M.W.). Therefore, the
     administrative judge concluded that any fighting or attempting to inflict bodily
     harm on duty or creating a disturbance or disruption in the workplace was most
     likely the result of J.L.’s conduct, rather than the appellant’s. ID at 10.
¶8         The administrative judge found that the agency proved the charge of
     misrepresentation or concealment of facts on official documents. ID at 10‑13.
     She found that the appellant misrepresented the cause of his injury on the incident
     report and concealed that J.L. had assaulted him with a hammer. ID at 12. The
     administrative judge further found that the appellant failed to prove his
     affirmative defenses of discrimination based on race and national origin.
     ID at 14-16.   Finally, she found that the penalty of a 30‑day suspension was
     within the bounds of reasonableness for the sole sustained charge. ID at 17‑19.
¶9         The appellant has filed a petition for review of the initial decision. Petition
     for Review (PFR) File, Tab 1. The agency has responded in opposition to the
     petition for review. PFR File, Tab 3.

     2
       The agency does not challenge the administrative judge’s findings that it failed to
     prove these charges on review, and we discern no reason to disturb these findings.
     Petition for Review File, Tab 3 at 4, 11; ID at 3‑10.
                                                                                          5

                        DISCUSSION OF ARGUMENTS ON REVIEW
      The charge of misrepresentation or concealment of facts on official documents
      should be divided into two separate charges.
¶10         On review, the appellant contests the administrative judge’s finding that the
      agency proved the charge of misrepresentation or concealment of facts on official
      documents. PFR File, Tab 1 at 5‑6. For reasons not raised by either party on
      review, we find that the administrative judge erred in analyzing this charge,
      which she construed as a single charge of misrepresentation or falsification.
      See ID at 12.
¶11         In determining how charges are to be construed, the Board will examine the
      structure and language of the proposal notice.          Tom v. Department of the
      Interior, 97 M.S.P.R. 395, ¶ 17 (2004). In this regard, an adverse action charge
      usually consists of two parts: (1) a name or label that generally characterizes the
      misconduct; and (2) a narrative description of the actions that constitute the
      misconduct. Walker v. Department of the Army, 102 M.S.P.R. 474, ¶ 7 (2006).
      The Board may not split a single charge into several independent charges and
      then sustain one of the newly formulated charges, which represents only a portion
      of the original.      Burroughs v. Department of the Army, 918 F.2d 170, 172
      (Fed. Cir. 1990 ). However, the prohibition against charge-splitting depends on
      whether the charge is based on a single act or on more than one act.
      Walker, 102 M.S.P.R. 474, ¶ 7. A charge that is based on more than one act can
      be divided into multiple specifications or charges, each corresponding to the
      separate acts alleged. Id.
¶12         Here,     the   agency   labeled   the   charge   as   “[m]isrepresentation   or
      [c]oncealment” of facts on official documents and, in the narrative description of
      the charge, alleged that the appellant:        (1) misrepresented the facts when he
      asserted that his injury was caused by being hit on the head with a forklift; and
      (2) concealed the fact that he had been in a fight with J.L. and had been hit on the
      head with a hammer. IAF, Tab 5 at 40. Thus, we find that the agency charged
                                                                                              6

      the appellant with having committed two separate acts of misconduct
      (misrepresenting facts and concealing facts on the incident report) that are not
      dependent on each other, have different elements of proof, and do not comprise a
      single   inseparable   act.      See,      e.g.,   Boo   v.   Department   of   Homeland
      Security, 122 M.S.P.R. 100, ¶¶ 12‑14 (2014) (distinguishing the elements of
      proof for a charge of falsification or misrepresentation from those of a charge of
      lack of candor). Accordingly, we modify the initial decision to find that, rather
      than a single charge of misrepresentation or falsification, the agency’s charge of
      “Misrepresentation or Concealment of Facts on Official Documents” consists of
      two separate charges, one of which alleges that the appellant misrepresented facts
      on an official document, and the other of which alleges that he concealed facts on
      an official document. Walker, 102 M.S.P.R. 474, ¶ 7 (finding that an agency’s
      charge constituted two separate charges when it contained two separate acts of
      misconduct that were not dependent on each other and that had different
      elements); see Texeira v. U.S. Postal Service, 267 F. App’x 950, 951‑52
      (Fed. Cir. 2008) (finding that the Board properly split a charge of “Unacceptable
      Conduct: Falsification in Recording Time/Failure to Follow Proper Timekeeping
      Procedures” into two separate charges because these labels were separate offenses
      with different elements of proof). 3 We will address each charge individually.
      The administrative judge erred in finding that the agency proved a charge
      of misrepresentation.
¶13        The Board has found that charges of misrepresentation and falsification
      require the same elements of proof.                Boo, 122 M.S.P.R. 100, ¶ 10 (citing
      Guerrero v. Department of Veterans Affairs, 105 M.S.P.R. 617, ¶ 9 (2007)). To
      establish a charge of falsification or misrepresentation, the agency must prove by
      preponderant   evidence       that   the    appellant    knowingly   supplied    incorrect

      3
        Although Texeira is an unpublished decision, the Board may rely on unpublished
      Federal Circuit decisions when, as here, it finds the court’s reasoning persuasive.
      Mauldin v. U.S. Postal Service, 115 M.S.P.R. 513, ¶ 12 (2011).
                                                                                        7

      information and that he did so with the intention of defrauding the agency.
      O’Lague v. Department of Veterans Affairs, 123 M.S.P.R. 340, ¶ 6 (2016);
      Boo, 122 M.S.P.R. 100, ¶ 10. The intent element requires two distinct showings:
      (1) that the appellant intended to deceive or mislead the agency; and (2) that he
      intended to defraud the agency for his own private material gain. Leatherbury v.
      Department    of   the   Army,    524 F.3d 1293,    1300    (Fed.    Cir.   2008);
      O’Lague, 123 M.S.P.R. 340, ¶ 6; Boo, 122 M.S.P.R. 100, ¶¶ 11–12.
¶14        Here, although the administrative judge analyzed the charge as a charge of
      misrepresentation or falsification, she failed to address the second component of
      the intent element, which requires the agency to prove that the appellant intended
      to defraud the agency for his own private material gain.              ID at 12; see
      Boo, 122 M.S.P.R. 100, ¶ 12 (finding that to establish a charge of falsification,
      misrepresentation, or lying, an agency must prove that an employee intended to
      defraud the agency for his own private material gain). We find that the agency
      failed to prove this element of a misrepresentation charge.
¶15        While the definition of “private material gain” is quite broad and is not
      limited to monetary gains, see Boo, 122 M.S.P.R. 100, ¶ 13, here, the agency
      did not present evidence regarding any form of private material gain that the
      appellant hoped to achieve in submitting the inaccurate incident report.
      Cf. Ahles v. Department of Justice, 768 F.2d 327, 330 (Fed. Cir. 1985) (finding
      that an agency proved intent to defraud where an appellant testified that he
      submitted false information to influence a pending disciplinary proceeding
      against him). The appellant asserted that he provided the incorrect information
      on the incident report because he knew that J.L. was on parole and he did not
      want to cause J.L. to be sent back to prison.      IAF, Tab 10 at 5, Tab 12 at 6,
      Tab 17 at 3; HT at 39 (testimony of the appellant); see PFR File, Tab 1 at 6.
      Although it is not clear why the appellant would want to protect J.L. from
      returning to prison after J.L. attacked him with a hammer, the agency did not
      challenge the appellant’s testimony to this effect on cross‑examination at the
                                                                                          8

      hearing, or present evidence regarding any other reason that the appellant
      misrepresented facts in the incident report. 4         Regardless of whether the
      appellant’s explanation for his actions was ultimately credible, the burden of
      proof of the charge lies with the agency, and the agency did not present any
      evidence to prove the element of private material gain.                See 5 U.S.C.
      § 7701(c)(1)(B); 5 C.F.R. § 1201.56(b)(1)(ii).
¶16        For this reason, we find that the agency failed to prove the charge of
      misrepresentation. See Parker v. Department of Veterans Affairs, 122 M.S.P.R.
      353, ¶ 15 (2015) (finding that an agency failed to prove a specification of filing
      false charges when it did not demonstrate that an appellant made a false
      representation with the intent to defraud, deceive, or mislead the agency for her
      own personal material gain); Boo, 122 M.S.P.R. 100, ¶ 15 (finding that a charge
      of falsification could not be sustained when the record lacked any evidence that
      an appellant intended to defraud, deceive, or mislead the agency for his own
      private material gain, but instead indicated that he may have acted to assist
      another individual). Accordingly, we modify the initial decision to find that the
      agency did not prove a misrepresentation charge.
      The agency proved the charge of concealment of facts on official documents.
¶17        We find that the agency proved the charge of concealment of facts on
      official documents, which we construe as a lack of candor charge.              While
      falsification involves an affirmative misrepresentation, and requires intent to
      deceive, lack of candor, by contrast, is a broader and more flexible concept whose
      contours and elements depend on the particular context and conduct involved.
      See Ludlum v. Department of Justice, 278 F.3d 1280, 1284 (Fed. Cir. 2002). For
      example, lack of candor need not involve an affirmative misrepresentation, but
      “may involve a failure to disclose something that, in the circumstances, should
      have been disclosed to make the statement accurate and complete.”            Id.; see
      4
        The appellant testified that he did not file a workers’ compensation claim regarding
      his injury. HT at 59 (testimony of the appellant).
                                                                                               9

      O’Lague, 123 M.S.P.R. 340, ¶ 16 (finding that, although an agency may base a
      lack of candor charge on an affirmative misrepresentation, it need not do so).
      Furthermore, while lack of candor “necessarily involves an element of deception,
      ‘intent to deceive’ is not a separate element of the offense—as it is for
      falsification.” Ludlum, 278 F.3d at 1284–85. Thus, of relevance here, a lack of
      candor charge does not require the agency to prove that the appellant intended to
      defraud, deceive, or mislead the agency for his private material gain.                 See
      Boo, 122 M.S.P.R. 100, ¶ 14 (distinguishing a lack of candor charge from charges
      of falsification, misrepresentation, or lying).
¶18         Instead, a lack of candor charge requires proof of the following elements:
      (1) that the appellant gave incorrect or incomplete information; and (2) that he
      did so knowingly. Fargnoli v. Department of Commerce, 123 M.S.P.R. 330, ¶ 17
      (2016). Here, we find that the agency met this burden of proof. The appellant
      did not dispute that the information that he provided in the incident report was
      incorrect and asserted that he provided the incorrect information because he
      did not want to cause J.L. to be sent back to prison. 5 IAF, Tab 10 at 5, Tab 12
      at 6, Tab 17 at 3; HT at 39 (testimony of the appellant); see PFR File, Tab 1 at 6.
      Thus, the appellant effectively admitted that he knowingly provided the agency
      with incorrect information to prevent the agency from learning the true
      circumstances of his injury.
¶19         We have considered the appellant’s argument on review that he provided
      inaccurate information on the incident report because he was not thinking clearly
      5
        In its opposition to the petition for review, the agency also discusses several instances
      where the appellant orally made incorrect statements about the cause of his head injury.
      PFR File, Tab 3 at 7, 9-10. However, the agency did not charge the appellant with
      orally providing incorrect information about the cause of his injury. IAF, Tab 5
      at 39-40. The Board is required to review the agency’s decision on an adverse action
      solely on the grounds invoked by the agency and may not substitute what it considers to
      be a more adequate or proper basis. Fargnoli, 123 M.S.P.R. 330, ¶¶ 7, 15 (citing
      Gottlieb v. Veterans Administration, 39 M.S.P.R. 606, 609 (1989)). Therefore, we
      have not considered the agency’s assertions on review that the appellant made incorrect
      oral statements about the cause of his injury.
                                                                                            10

      due to his head injury, and find it unpersuasive. PFR File, Tab 1 at 5‑6. The
      administrative judge considered this same assertion below and properly concluded
      that it lacked merit.   ID at 13. To resolve credibility issues, such as the one
      presented here, an administrative judge must state which version of each disputed
      factual issue she believes and explain in detail why she found the chosen version
      more credible, considering factors including the statement’s consistency with
      other evidence and the inherent improbability of the witness’s version of events.
      See Hillen v. Department of the Army, 35 M.S.P.R. 453, 458 (1987). Although
      the administrative judge did not explicitly reference the Hillen factors in the
      initial decision, it is evident from her analysis that she applied the relevant
      factors and found the appellant’s assertion to be inconsistent with other evidence
      and inherently improbable. ID at 13.
¶20         As the administrative judge correctly noted, although the appellant’s injury
      was serious, he was able to clean himself up and return to work on the day of his
      injury.   ID at 13; HT at 35‑36 (testimony of the appellant).         Furthermore, the
      appellant did not complete the incident report at issue until 2 days after he
      sustained his injury, IAF, Tab 5 at 69, and continued to commute to work and
      perform his assigned duties in the interim, ID at 13. Finally, we discern no error
      in the administrative judge’s consideration of the fact that the appellant failed to
      submit medical documentation to substantiate his claim that he was not thinking
      clearly as a result of his injury. 6 ID at 13. In sum, the administrative judge made
      a reasonable credibility determination based on a review of the record as a whole,

      6
        Moreover, although the appellant testified that he was “not thinking straight” and “not
      thinking correctly” due to his injury, the relevant inquiry is whether he knowingly
      provided incorrect information, and he never claimed that his injury affected him to the
      point that he was unaware that the information he provided to the agency was incorrect.
      HT at 39‑40 (testimony of the appellant).
                                                                                                 11

      and we find no basis to disturb it on review. 7             See Haebe v. Department of
      Justice, 288 F.3d 1288, 1301‑02 (Fed. Cir. 2002) (holding that the Board may
      overturn an administrative judge’s credibility determinations only when it has
      “sufficiently   sound”    reasons    for   doing     so);    Little   v.    Department     of
      Transportation,    112 M.S.P.R.     224,   ¶4      (2009)     (finding     that,   where   an
      administrative judge has heard live testimony, her credibility determinations must
      be deemed to be at least implicitly based upon the demeanor of the
      witnesses); see also Crosby v. U.S. Postal Service, 74 M.S.P.R. 98, 105–06
      (1997) (finding no reason to disturb an administrative judge’s findings when she
      considered the evidence as a whole, drew appropriate inferences, and made
      reasoned conclusions).
¶21         For these reasons, we modify the initial decision to find that the agency
      proved the charge of concealment of facts on official documents.
      The agency proved a nexus between the sustained misconduct and the efficiency
      of the service.
¶22         The administrative judge did not make a finding regarding whether the
      agency proved a nexus between the appellant’s sustained misconduct and the
      efficiency of the service. See ID. However, there is sufficient nexus between an
      employee’s conduct and the efficiency of the service where the conduct occurred
      at work. Miles v. Department of the Navy, 102 M.S.P.R. 316, ¶ 11 (2006). Here,
      the appellant completed the inaccurate incident report at issue while he was at

      7
        We also have considered and rejected the appellant’s argument on review that the
      administrative judge was obligated to credit his testimony that his injury affected his
      decision to provide incorrect information in the incident report because she previously
      found him to be a credible witness regarding his testimony that he did not strike or push
      J.L. PFR File, Tab 1 at 5. It is well established that an appellant’s testimony may be
      credible regarding some issues but not others. Gill v. Department of Defense,
      92 M.S.P.R. 23, 27 (2002) (finding that the fact that an individual’s testimony is found
      not credible regarding one issue does not necessarily mean that his testimony is not
      credible regarding other issues); Taylor v. Department of the Treasury, 34 M.S.P.R.
      495, 499 (1987) (finding that a witness can be incredible on some issues yet credible
      on others).
                                                                                           12

      work, and the purpose of the incident report was for the agency to keep a record
      of safety issues that occurred at work. IAF, Tab 5 at 71; HT at 109-13 (testimony
      of Safety Officer J.B.). Moreover, the Board has found that an employee’s lack
      of candor directly impacts the efficiency of service. Ludlum v. Department of
      Justice, 87 M.S.P.R. 56, ¶ 28 (2000), aff’d, 278 F.3d 1280 (Fed. Cir. 2002). For
      these reasons, we modify the initial decision to find that the agency proved a
      nexus between the sustained charge of concealment of facts on official documents
      and the efficiency of the service.
      The appellant failed to prove his affirmative defense of discrimination based
      on race.
¶23           On review, the appellant contests the administrative judge’s findings that he
      failed to prove his affirmative defense of discrimination based on race. 8
      PFR File, Tab 1 at 7‑8. The administrative judge found that the appellant did not
      prove that the agency discriminated against him based on race under either a
      disparate treatment theory or with direct evidence.           ID at 14‑16.      Having
      considered the appellant’s arguments on review, although we modify the initial
      decision to supplement the administrative judge’s analysis, we agree with her
      ultimate conclusion that the appellant failed to prove this affirmative defense.
      ID at 14‑16.
¶24           Several months before the initial decision in the instant appeal was issued,
      the Board issued its decision in Savage, which clarified the burdens of proof
      under      which     the   Board     analyzes     discrimination     and     retaliation
      claims, 122 M.S.P.R. 612, ¶¶ 42–43, 46, 51.          Where an appellant asserts an

      8
        The appellant does not challenge the administrative judge’s finding that he failed to
      prove his affirmative defense of discrimination based on national origin, and we discern
      no reason to disturb that finding on review. PFR File, Tab 1; ID at 14‑16. As
      discussed above, in analyzing the appellant’s claims of discrimination, the
      administrative judge did not apply the analytical framework in Savage, 122 M.S.P.R.
      612, ¶¶ 42–43, 46, 51. However, we find that applying the analytical framework in
      Savage would not change the result in this case.
                                                                                         13

      affirmative defense of discrimination or retaliation, the Board, when reviewing
      the evidence of discrimination or retaliation, first will inquire whether the
      appellant has shown by preponderant evidence that the prohibited consideration
      was a motivating factor in the contested personnel action.         Id., ¶ 51.   If the
      appellant meets that burden, the Board then will inquire whether the agency has
      shown by preponderant evidence that the action was not based on the prohibited
      personnel practice, i.e., that it still would have taken the contested action in the
      absence of the discriminatory motive, and, if the Board finds that the agency has
      made that showing, its violation of 42 U.S.C. § 2000e–16 will not require reversal
      of the action. Savage, 122 M.S.P.R. 612, ¶ 51.
¶25            Here, although the initial decision was issued several months after the
      Board issued its decision in Savage, the administrative judge did not reference or
      apply Savage in the initial decision. 9 ID at 14-16. Nevertheless, for the reasons
      discussed below, we find that applying the analytical framework in Savage
      would not change the result in this case.
¶26            The administrative judge found, and we agree, that the appellant did not
      show by preponderant evidence that race was a motivating factor in the
      suspension action using direct evidence. ID at 15-16; Savage, 122 M.S.P.R. 612,
      ¶ 42.      Here, although the appellant alleged that various coworkers and
      contractors, including J.L., made racial comments to him during the course of his
      employment with the agency, HT at 41-42 (testimony of the appellant); IAF,
      Tab 12 at 4-5, 8-9, Tab 15 at 5, we agree with the administrative judge that the
      appellant failed to prove that any agency managers or officials involved in the
      suspension action at issue made remarks reflecting a discriminatory attitude. ID
      at 16.

      9
        However, in an affirmative defenses order issued prior to the initial decision, the
      administrative judge provided the appellant with notice of the burdens and elements of
      proving an affirmative defense of discrimination under Savage. IAF, Tab 8 at 2‑4. The
      appellant responded to this order. IAF, Tab 12 at 4.
                                                                                             14

¶27         We further find that, although the appellant asserted that he reported “years
      of racial discrimination by co-workers” to agency managers who refused to take
      action, IAF, Tab 12 at 8, the administrative judge correctly determined that the
      appellant did not demonstrate that he raised complaints of a hostile work
      environment to any agency managers or officials prior to the EEO complaint
      involving the suspension at issue in this appeal. 10 ID at 16.
¶28         In addition, we agree with the administrative judge that the appellant
      did not prove by preponderant evidence that race was a motivating factor in the
      suspension action through evidence of disparate treatment of similarly situated
      comparators. ID at 14-15. For another employee to be deemed similarly situated
      for purposes of an affirmative defense of discrimination based on disparate
      treatment, all relevant aspects of the appellant’s employment situation must be
      “nearly identical” to that of the comparator employee. Ly v. Department of the

      10
         On review, the appellant argues that, in an affidavit submitted as part of the agency’s
      investigation into his EEO complaint, his second‑level supervisor, J.G., stated that:
      (1) in August 2013, the appellant reported that his coworkers were racist toward him;
      and (2) in September 2013, the appellant complained that his first‑line supervisor,
      W.W., treated him differently than other employees. PFR File, Tab 1 at 7 n.1. J.G.’s
      affidavit reflects that the alleged incident with the appellant’s coworkers in
      August 2013 involved the appellant’s dissatisfaction with a work assignment, and the
      alleged incident with W.W. involved a situation where W.W. criticized the appellant for
      almost running him over with a forklift. IAF, Tab 5 at 137, 139. Even if these events
      occurred, the appellant has not demonstrated that they were based on his race, or that
      they would be sufficiently severe or pervasive to create a working environment that a
      reasonable person would find hostile or abusive. See, e.g., Godesky v. Department of
      Health & Human Services, 101 M.S.P.R. 280, ¶ 14 n.* (2006) (finding that an
      appellant’s allegations did not establish hostile work environment discrimination
      because he did not show that the complained-of conduct was sufficiently severe or
      pervasive enough to create an objectively hostile or abusive work environment);
      see also Burlington Industries, Inc. v. Ellerth, 524 U.S. 742, 754 (1998) (finding that a
      hostile work environment claim requires a showing of severe or pervasive conduct).
      Finally, the appellant has not explained how these alleged incidents, which occurred
      approximately a year before the altercation with J.L. and the incident report at issue,
      would demonstrate that race was a motivating factor in the suspension action at issue.
      See Savage, 122 M.S.P.R. 612, ¶ 51 (requiring an appellant to make a showing that a
      prohibited consideration was a motivating factor in the contested personnel action).
                                                                                          15

      Treasury, 118 M.S.P.R. 481, ¶ 10 (2012).         Thus, to be similarly situated, a
      comparator must have reported to the same supervisor, been subjected to the same
      standards governing discipline, and engaged in conduct similar to the appellant’s
      without differentiating or mitigating circumstances. Id.
¶29         On review, as he did below, the appellant argues that he was treated less
      favorably than J.L., R.P., and M.W., all of whom are African‑American.
      PFR File, Tab 1 at 7‑9; IAF, Tab 12 at 8‑9. Specifically, the appellant argues
      that the agency never disciplined J.L. for striking him in the head with a hammer,
      or R.P. and M.W. for filing false statements asserting that the appellant, rather
      than J.L., initiated the physical altercation at issue.     PFR File, Tab 1 at 7‑9;
      IAF, Tab 12 at 8‑9; see IAF, Tab 5 at 65, 67. We agree with the administrative
      judge that the appellant failed to show that he was similarly situated to J.L., R.P.,
      and M.W. because these individuals were contractors, rather than Federal
      employees, and therefore, the agency could not impose disciplinary action on
      them. ID at 14; HT at 10 (testimony of the appellant), 83 (testimony of M.W.),
      130 (testimony of the appellant’s first‑level supervisor, C.C.). Moreover, it is
      undisputed that, after the August 18, 2014 altercation at issue, J.L. walked out of
      the warehouse and was never seen by the agency again. 11           IAF, Tab 12 at 6,
      Tab 13 at 6; HT at 35 (testimony of the appellant). For these reasons, we agree
      with the administrative judge that the appellant failed to prove disparate treatment
      of similarly situated African‑American employees. ID at 14-15.
¶30         Finally, we find that the appellant failed to present any evidence that the
      agency’s stated reason for imposing the suspension was not worthy of credence,
      but rather a pretext for discrimination. Savage, 122 M.S.P.R. 612, ¶ 42. For this

      11
        Moreover, prior to the issuance of the initial decision, the agency would have had no
      reason to discipline R.P. or M.W. for filing false reports because, although the
      administrative judge ultimately concluded that their testimony was less credible than
      the appellant’s, the agency was under the impression that their reports were accurate.
      IAF, Tab 5 at 39‑40.
                                                                                        16

      reason and the reasons discussed above, we modify the initial decision to
      incorporate the standards in Savage and supplement the administrative judge’s
      analysis, still finding that the appellant failed to prove his affirmative defense of
      discrimination based on race.
      The penalty of a 30‑day suspension is reasonable for the appellant’s
      sustained misconduct.
¶31         On review, the appellant contests the administrative judge’s finding that the
      penalty of a 30‑day suspension was reasonable. PFR File, Tab 1 at 6. He argues
      that there is no basis to conclude that “any penalty would be reasonable for a
      [F]ederal employee who was violently assaulted with a hammer in the
      workplace.” Id. We disagree.
¶32         Where, as here, the Board does not sustain all of the agency’s charges, it
      will carefully consider whether the sustained charges merit the agency’s imposed
      penalty.   See Boo, 122 M.S.P.R. 100, ¶ 17.       In such a case, the Board may
      mitigate the penalty to the maximum reasonable penalty so long as the agency
      has not indicated in either its final decision or in proceedings before the Board
      that it desires that a lesser penalty be imposed on fewer charges. Lachance v.
      Devall, 178 F.3d 1246, 1260 (Fed. Cir. 1999).          Here, the deciding official
      testified at the hearing that he would have imposed the same penalty if the
      appellant had been charged only with falsification or misrepresentation.
      HT at 218‑19 (testimony of the deciding official). However, the agency did not
      prove the charge of misrepresentation but rather, proved the separate charge that
      the appellant concealed facts on official documents. Thus, because the deciding
      official did not express whether he would have imposed the same or a lesser
      penalty on the sustained charge, the Board must apply the relevant Douglas
                                                                                            17

      factors to determine the maximum reasonable penalty for the appellant’s
      sustained misconduct. 12 See Boo, 122 M.S.P.R. 100, ¶ 17.
¶33         In evaluating whether a penalty is reasonable, the Board will consider, first
      and foremost, the nature and seriousness of the misconduct.            Neuman v. U.S.
      Postal Service, 108 M.S.P.R. 200, ¶ 23 (2008). The Board has held that lack of
      candor is a serious offense that strikes at the very heart of the employer-employee
      relationship. Jackson v. Department of the Army, 99 M.S.P.R. 604, ¶ 6 (2005)
      (citing Ludlum, 87 M.S.P.R. 56, ¶¶ 28‑29)).           In addition, we find that the
      deciding official properly considered the intentional nature of the appellant’s
      misconduct as an aggravating factor. IAF, Tab 16 at 7; HT at 184‑85 (testimony
      of the deciding official); see Boo, 122 M.S.P.R. 100, ¶ 14 (finding that the
      intentional nature of an employee’s misconduct may be an aggravating factor in a
      lack of candor charge); Douglas, 5 M.S.P.R. at 305 (finding that, in evaluating
      the reasonableness of the penalty, the Board may consider whether the offense
      was intentional). We also find that the deciding official properly considered the
      appellant’s prior discipline, consisting of a 14‑day suspension in February 2014
      for unprofessional conduct in the workplace, as an aggravating factor. IAF, Tab 5
      at 87‑89, Tab 16 at 7; HT at 186‑87 (testimony of the deciding official);
      see Douglas, 5 M.S.P.R. at 305 (finding that an employee’s prior discipline is a
      factor to consider in determining the penalty for misconduct).
¶34         We have considered the mitigating factors discussed by the deciding
      official, including the appellant’s 4 years of Federal service, his superior
      performance rating, his potential for rehabilitation, and the job tensions that he
      experienced with J.L., and find that they do not outweigh the aggravating factors
      at issue here.   IAF, Tab 16 at 7‑8; HT at 176, 188, 191‑92 (testimony of the

      12
         In Douglas v. Veterans Administration, 5 M.S.P.R. 280, 305–06 (1981), the Board
      articulated a nonexhaustive list of 12 factors, both aggravating and mitigating, that are
      relevant to the penalty determination in adverse action cases.
                                                                                         18

      deciding official). Moreover, the appellant’s arguments on review that he was
      violently assaulted with a hammer and that the agency should have been aware
      that J.L. had the potential for violence do not form a basis for mitigating the
      penalty. PFR File, Tab 1 at 6. Indeed, if anything, these assertions cast further
      doubt on the appellant’s judgment in concealing J.L.’s actions from the agency.
¶35        Accordingly, based on our review of the relevant Douglas factors, and
      of other cases involving charges of lack of candor, we conclude that a
      30-day suspension     is   within     the    bounds   of   reasonableness    for   the
      appellant’s sustained misconduct.           See Ludlum, 87 M.S.P.R. 56, ¶¶ 26‑33
      (mitigating a penalty of removal for a lack of candor charge to a 120‑day
      suspension); Jones v. Department of Justice, 13 M.S.P.R. 425, 426‑27 (1982)
      (sustaining a penalty of removal for an appellant’s concealment of facts during a
      pre‑employment interview).

                      NOTICE TO THE APPELLANT REGARDING
                         YOUR FURTHER REVIEW RIGHTS
            You have the right to request further review of this final decision.
      Discrimination Claims: Administrative Review
            You may request review of this final decision on your discrimination
      claims by the Equal Employment Opportunity Commission (EEOC). See title 5
      of the U.S. Code, section 7702(b)(1) (5 U.S.C. § 7702(b)(1)). If you submit your
      request by regular U.S. mail, the address of the EEOC is:
                                 Office of Federal Operations
                          Equal Employment Opportunity Commission
                                       P.O. Box 77960
                                  Washington, D.C. 20013

      If you submit your request via commercial delivery or by a method requiring a
      signature, it must be addressed to:
                                                                                19

                           Office of Federal Operations
                    Equal Employment Opportunity Commission
                                131 M Street, NE
                                  Suite 5SW12G
                            Washington, D.C. 20507

        You should send your request to EEOC no later than 30 calendar days after
your receipt of this order. If you have a representative in this case, and your
representative receives this order before you do, then you must file with EEOC no
later than 30 calendar days after receipt by your representative. If you choose to
file, be very careful to file on time.
Discrimination and Other Claims: Judicial Action
        If you do not request EEOC to review this final decision on your
discrimination claims, you may file a civil action against the agency on both your
discrimination claims and your other claims in an appropriate U.S. district court.
See 5 U.S.C. § 7703(b)(2). You must file your civil action with the district court
no later than 30 calendar days after your receipt of this order. If you have a
representative in this case, and your representative receives this order before you
do, then you must file with the district court no later than 30 calendar days after
receipt by your representative. If you choose to file, be very careful to file on
time.    If the action involves a claim of discrimination based on race, color,
religion, sex, national origin, or a disabling condition, you may be entitled to
representation by a court-appointed lawyer and to waiver of any requirement of
prepayment of fees, costs, or other security.        See 42 U.S.C. § 2000e-5(f)
and 29 U.S.C. § 794a.

FOR THE BOARD:                           ______________________________
                                         Jennifer Everling
                                         Acting Clerk of the Board
Washington, D.C.