Court Opinion

ID: 2736672
Source: CourtListenerOpinion
Date Created: 2014-09-24 22:02:32.190245+00
Date Added: 2024-06-11T09:48:23.284110
License: Public Domain

Filed 9/24/14 Switzer v. Cal. Dept. of Corrections etc. CA2/4
                  NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS
California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
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              IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                     SECOND APPELLATE DISTRICT

                                                 DIVISION FOUR

TERRI SWITZER,                                                          B246005

         Plaintiff and Respondent,                                      (Los Angeles County
                                                                        Super. Ct. No. BC444513)
         v.

CALIFORNIA DEPARTMENT OF
CORRECTIONS AND REHABILITATION,

         Defendant and Appellant.

         APPEAL from a judgment of the Superior Court of Los Angeles County,
Robert L. Hess, Judge. Affirmed in part; reversed in part.
         Kamala D. Harris, Attorney General, Celine M. Cooper, Patricia A. Nevonen and
Michael Yi, Deputy Attorneys General, for Defendant and Appellant.
         LA Superlawyers, William W. Bloch; Klapach & Klapach and Joseph S. Klapach
for Plaintiff and Respondent.
       Plaintiff Terri Switzer brought the present action against her employer, the
California Department of Corrections and Rehabilitation (CDCR), alleging failure to
accommodate her psychiatric disability and to engage in an interactive process in
violation of the Fair Employment and Housing Act (FEHA), Government Code section
12940, subdivisions (m) and (n).1 Following a three-week bench trial, the trial court
entered judgment for plaintiff, awarding her emotional distress damages of $35,000, an
injunction against any future failure to accommodate, and attorney fees.
       The CDCR contends on appeal that (1) substantial evidence did not support the
trial court’s finding that it failed to accommodate plaintiff’s disability, (2) the trial court
abused its discretion in entering a permanent injunction, and (3) the trial court failed to
adequately explain the basis for its attorney fee award. We conclude that the trial court’s
findings were supported by substantial evidence and the attorney fee award was not an
abuse of discretion. We thus affirm in significant part. However, while the trial court
had discretion to enter a permanent injunction, the injunction it entered was overly broad.
We therefore reverse the grant of an injunction and remand to the trial court to craft a
new and different injunction consistent with the views expressed in this opinion.

                               FACTUAL BACKGROUND

I.     Background Events
       Plaintiff is a teacher employed by the CDCR. Since 1994, she has worked at the
men’s prison in Lancaster, California (the prison or the Lancaster prison). She has taught
both high school equivalency (GED) and adult basic education (ABE) classes.

       A.     The Lancaster Prison
       The Lancaster prison is divided into four facilities or yards, designated A, B, C,
and D. There is a separate facility for minimum security prisoners, many of whom work

1
       All subsequent undesignated statutory references are to the Government Code.

                                               2
outside the prison for part of the day. The minimum security facility is outside the
prison’s secure perimeter.
        Each prison yard contains two distinct areas. The main yard, which is subject to
the highest security, contains inmate housing, an exercise yard, and a “program building”
or “education building,” which houses classrooms and a library. The doors that connect
these secure areas to the outside require special keys, referred to as Folger-Adams keys.
At all times relevant to this action, teachers were not permitted to carry Folger-Adams
keys. Each prison yard also has a second area, sometimes referred to as a vocational
area, which is separated from the main yard by a fence and is accessed through a port or
gate area referred to as “work change.” The vocational areas house classrooms, among
other things. Only inmates of lower security classes are permitted in the vocational areas.
The exterior doors of classrooms in the vocational areas do not require Folger-Adams
keys.

        B.    The 1997 Inmate Attack
        On January 6, 1997, Switzer was attacked by an inmate in a program building
classroom. Switzer was not permitted to leave the classroom immediately, but was
ordered by custodial officers to remain in the classroom for some time. Plaintiff’s
physical injuries were minor, but she suffered significant mental trauma and was off work
for almost seven months.
        When plaintiff prepared to return to work, she submitted a request for reasonable
accommodation, in which she said she suffered from a “fear of being locked in [a]
classroom complex and unable to get out” and “fear of locked doors and windowless
enclosure[s].” She sought a key to the outer door of the education complex and pepper
spray. She supported her request with a letter from her treating psychologist,
Dr. Kathleen Murphy, who said Switzer was experiencing anxiety about being in a
locked area with inmates and asked that Switzer be allowed to carry a Folger-Adams key
or pepper spray for approximately one month.

                                             3
       The prison’s Reasonable Accommodation Committee determined that, for security
reasons, plaintiff could not be given a Folger-Adams key or pepper spray. However, the
committee offered to reassign Switzer to a classroom in the vocational area of D yard,
where she had immediate outside access. Effective August 4, 1997, Dr. Murphy released
plaintiff to return to work “with no restrictions except being placed in a classroom where
she has direct access to outside the building.”

       C.     Plaintiff’s Workers’ Compensation Claim
       Following the inmate attack, plaintiff pursued a workers’ compensation claim for
“psychiatric disability as a result of a cumulative trauma due to events occurring in the
course of her employment.” In a report dated October 16, 2000, Dr. James Wells, the
agreed medical examiner (AME), found plaintiff “did undergo a significant change
following [the January 1997 assault]. She was more wary, anticipatory of harm and
developed phobic attitudes, particularly in dark and enclosed spaces. She says that her
claustrophobia has somewhat alleviated over time, but significant residuals remain.”
Dr. Wells concluded that “[t]here appears to be a medical certainty that [plaintiff] does
have a diagnosis of Specific Phobia and that diagnosis springs from the specific injury of
January 6, 1997.” He continued: “I believe that Ms. Switzer did experience a psychiatric
disorder arising out of employment. I believe that the condition is now Permanent and
Stationary for rating purposes. . . . [Plaintiff’s] specific phobia would preclude her from
a small segment of the open labor market; thus, there is a degree of Permanent Partial
Disability.” He concluded: “There is Permanent Partial Disability consisting of a
syndrome of claustrophobia, vigilance, apprehension, anticipation of harm with lowered
sense of mastery and lowered stress tolerance. . . . [¶] Ms. Switzer is capable of carrying

                                             4
out her present assignment which has been modified to accommodate her psychiatric
difficulty.”2
       In a December 18, 2000 letter clarifying his October 16, 2000 report, Dr. Wells
said: “Having submitted the report of an Agreed Medical Evaluation in Psychiatry dated
October 16, 2000, concerning Terri Switzer, I am now in receipt of an inquiry from the
parties requesting clarification on the matter of work restrictions. . . . [¶] In regard [to]
locale, the applicant does have a specific phobia in which anxiety is generated in dark or
confined spaces. This was manifest in my office at the time of [the] interview. I believe
that Ms. Switzer should be placed in a classroom in which there is relatively easy egress
and where, to the extent possible, windows open onto open space. I believe that whether
the classroom should have direct access to outside the building might be negotiable if
ready egress were otherwise provided and if the setting was not one which initiated or
intensified claustrophobic symptomatology. I consider this work restriction . . .
derivative [of] the specific injury when she was attacked by the inmate in the classroom.”
       After he received Dr. Wells’s report, the prison’s associate warden issued a memo
stating that “[e]ffective immediately and until further notice,” plaintiff would “[u]nder no
circumstances . . . be expected to work in the “Education Complex” areas[, i.e., a]reas
with halled passages” and would remain in her present classroom “[u]ntil her classroom
situation can be re-evaluated.” As a result, plaintiff was assigned to a classroom in the
vocational area of D yard, an arrangement that apparently continued until approximately
August 2008.

II.    Plaintiff’s August 2008 Transfer to the Bridging Program
       Sometime after March 2007, the Lancaster prison became a “reception center”
which received inmates new to the prison system. Because these inmates had not yet

2
        The trial court observed that, from plaintiff’s testimony, it appeared she
interpreted the letter granting her permanent disability benefits as meaning that her duty
restrictions/accommodations were also permanent.

                                               5
been assigned security classifications, they were not permitted to go outside the secure
perimeter or to attend regular education classes. As a result, a new educational program,
referred to as the “bridging program,” was implemented at Lancaster prison to allow
unclassified inmates to receive educational credits. The bridging program required
frequent testing, which was conducted in the classrooms in program buildings on the
various yards. By August 2008, most, but not all, of the prison’s academic teachers had
been assigned to the bridging program.
       In early August 2008, an incident occurred between plaintiff and a Muslim inmate
in the D yard vocational area. As a result, on August 6, 2008, plaintiff was reassigned to
teach in the bridging program and given a classroom in C yard.

III.   The August 2008 Request for Accommodation
       On August 7, 2008, plaintiff met with Patricia Castillo, one of the prison’s return
to work coordinators, and said that her new assignment in C yard did not comply with her
1997 request for reasonable accommodation. Plaintiff said she needed direct access to
the outside, and that while her classroom provided direct access, the testing areas did not.
       Castillo responded with a written memorandum, dated August 11, 2008, which the
trial court characterized as an example “of the inadequate communication and
miscommunication between the Lancaster administration and Ms. Switzer which
occurred repeatedly thereafter.”3 The memorandum said the prison “is of the opinion that
your present assignment meets your original request for reasonable accommodation”
because two of the available testing rooms “have direct access to the outside by walking
through the Program hallway to the exterior door, a distance of no more than 30 feet,”
plaintiff had a key to the exterior door of the classroom (but not to the outside of the
building), and “there are multiple teachers in the same classroom during testing periods

3
       The trial court noted that the letter reflected “a misunderstanding both of
Ms. Switzer’s issues and needs, and of the physical arrangements in the program
building.”

                                              6
and additionally, a custody officer is posted in the hall area of the Program office for any
security concerns.” The memorandum also offered plaintiff the option of working in the
minimum security facility, Monday through Friday, 12:30 p.m. to 9:00 p.m., and said that
if plaintiff preferred that assignment, she should contact the principal “no later than [the]
close of business Wednesday, August 13, 2008.” Finally, the memorandum said that if
plaintiff wanted her accommodation to be reassessed, “you may be required to submit
updated medical verification.”
       Plaintiff testified that the C yard position did not satisfy her accommodation
request because the testing classrooms did not have exits to the outside. These
classrooms exited into an interior hallway, from which the outside could be accessed only
through doors secured with a Folger-Adams key. Further, plaintiff did not believe the
offer of a position in the minimum security facility was genuine because no such position
then existed.4
       After she received the August 11 memorandum, plaintiff sought a meeting with
Warden Brian Haws. The two met on or about September 23, 2008, and Warden Haws
suggested that plaintiff submit a list of alternative positions consistent with the
accommodation she sought. Plaintiff did so the following day, proposing five different
positions for which she was qualified and which met her accommodation request.
       Warden Haws responded in writing on October 1, 2008, stating that the prison was
in full compliance with plaintiff’s 1997 request for reasonable accommodation, but that if
plaintiff felt “unable to report to any of [her] assigned work areas or . . . to perform [her]
assigned duties because of any health concerns,” she should “inform [her] immediate

4
        Although the court acknowledged plaintiff’s testimony, it credited other testimony
“that there was a perceived need for a new program in the Minimum Security Facility at
those hours, and that the classroom to be used had immediate direct outside access
comparable to classrooms in the vocational areas. The Court infers that had Ms. Switzer
responded affirmatively, this class would have been created for her; the Court accepts the
testimony that it was in fact created for a different teacher. Ms. Switzer did not discuss
this offer with anyone in Lancaster administration, and she did not respond to it.” (Fn.
omitted.)

                                               7
supervisor of the reasons why and request to be temporarily assigned alternative tasks for
that day.” Alternatively, if plaintiff wished to have her request for reasonable
accommodation reassessed, she should “submit an updated medical verification . . .
together with the Request for Reasonable Accommodation form to the Office of
Employee Wellness.”
       During September and October 2008, plaintiff was assigned to an office in the
vocational area of C yard. She was not provided with teaching materials and did not
teach any students during this period. At the direction of Glenn Brooking, the prison’s
principal, plaintiff was asked daily whether she could test bridging inmates in the
program area of C yard; when plaintiff said she could not, she was given “alternative
assignments,” which consisted primarily of sharpening pencils.
       On December 5, 2008, plaintiff was transferred from the education department to
plant operations while she was investigated for unrelated misconduct. While in plant
operations, plaintiff worked as a clerical receptionist. The work area to which plaintiff
was assigned had windows and outside access.

IV.    Plaintiff’s March 2009 Return to the Bridging Program and the April 2010
       Notice of Adverse Action
       In late March 2009, plaintiff was told that she would be transferred back to the
bridging program effective April 1. Plaintiff was concerned that she would again be
asked to test and tutor inmates in classrooms without direct outside access, and so on
March 26, she submitted a new request for reasonable accommodation. The request
stated that plaintiff suffered from “panic attacks from being locked in [a] classroom/work
area and being unable to get out IMMEDIATELY (claustrophobia).” Plaintiff requested
a “classroom/work area location with DIRECT outside access” and noted that “previous
teaching assignment locations have met this accommodation and one of those rooms will
soon be available.”
       After March 26, 2009, plaintiff was temporarily reassigned to the bridging
program in the vocational area of D yard. Plaintiff was given an office and classrooms

                                             8
with windows and direct outside access. However, on April 21, 2009, the D yard
teachers were told that they were being “loaned” to C yard, and plaintiff was directed to
work with inmates in the secured housing area of C yard. Plaintiff told her supervisor,
Steve Arriola, that she had an accommodation that permitted her not to enter C yard, and
Arriola said that if she refused to comply with his instruction, he would write her up. She
was again directed to test inmates on C yard on April 23, 2009, and plaintiff again
refused to go.
       A year later, on April 15, 2010, plaintiff received a nine-page “Notice of Adverse
Action.” Most of the document was redacted at trial,5 but one of the many incidents
identified as grounds for the adverse action was as follows: “On or about April 21, 2009,
at approximately 0800 hours[,] and on or about April 23, 2009, at approximately 0910
hours[,] Mr. Arriola directed the Facility ‘D’ staff to report to Facility ‘C’ to facilitate the
bridging inmates. You contacted Mr. Arriola and informed him that you could not go . . .
into the housing units due to work restrictions. Mr. Arriola asked you if you understood
you were being directed to go, to which you replied ‘yes’ however you were refusing to
do anything that would violate you[r] restrictions. According to the Return to Work
Coordinator, Patty Castillo[,] there [were] no work restrictions on file that precluded you
from doing as instructed by your supervisor.”
       Plaintiff remained in the D yard vocational area through early 2010, when the
bridging program was discontinued. At that time, she was reassigned to a position as an
academic teacher on C yard vocational area, where she remained through the time of trial.

V.     The CDCR’s Response to Plaintiff’s Assertion of an Existing Accommodation
       Beginning in August 2008, Castillo reviewed some of the records in plaintiff’s file
to determine the scope of plaintiff’s accommodation. Based on the limited records she
reviewed, Castillo believed that plaintiff had been given an accommodation for only a

5
       The parties stipulated that no evidence or argument would be presented regarding
the other incidents discussed in the Notice of Adverse Action.

                                               9
single month in 1997. As a result, Castillo and others repeatedly stated that they had no
documentation supporting a request for permanent accommodation in the form of direct
access from a classroom to the outside, and they repeatedly asked plaintiff to obtain new
or updated medical verification.
       Plaintiff did not submit an updated medical report until sometime in 2011. The
reasons for the several year delay were never made entirely clear, but the trial record
reveals the following. Apparently in connection with a pending workers’ compensation
claim, an agreed medical examination with Dr. Bruce Rubenstein was scheduled for
October 6, 2008. The appointment was cancelled by Dr. Rubenstein for unexplained
reasons on October 2, 2008. An appointment was then made for plaintiff to be seen by
AME Dr. Samuel Miles on June 3, 2010. That appointment was cancelled and
rescheduled for March 17, 2011, when plaintiff finally was examined.
       It appears that the appointment with Dr. Miles was set up sometime prior to
April 16, 2009, pursuant to an agreement between Luis Cubero, a State Compensation
Insurance Fund (SCIF) claims representative, and plaintiff’s workers’ compensation
attorney. There is no information in the record about why the appointment was initially
scheduled for June 2010 (i.e., more than a year later), or why it was ultimately
rescheduled for March 2011. Plaintiff testified that she did not know why the
appointment with Dr. Miles was scheduled so far in the future and she had no role in
cancelling the 2010 appointment.

VI.    The April 2011 Agreed Medical Examination Report
       In relevant part, Dr. Miles’s April 4, 2011 agreed medical examination report says
plaintiff suffers from a specified phobia and requires accommodations to perform the
essential functions of her job, as follows:
       “[Plaintiff] sustained injury on January 6, 1997 when she was assaulted by a
student. She subsequently developed excessive fears in situations which included being
in a small closed space, being in a space in which she could not see outside, and having
difficulty leaving a place. Exposure to these stimuli provoke an anxiety response almost

                                              10
each time. She recognizes the fear is excessive and unreasonable. She tries to avoid
these situations as much as possible. Sometimes she is able to endure being in one of
these situations. Thus she meets [the] criteria for a diagnosis of specified phobia,
situational type. . . .
        “[Plaintiff] is able to perform the essential functions of her job as a teacher with
accommodations. Without accommodations, her capacity to function in that role would
be sufficiently impaired by her anxiety that she would be incapable of performing the job.
        “Reasonable permanent accommodations include the necessity that her work space
be one in which she has direct access to a direct exit to the outside of the building. . . .
        “Ms. Switzer is not able to work in a prison environment without the capacity for
immediate independent egress from a work area to the outside. She should permanently
be precluded from work in the living areas of the prison, or other locations which can
only be accessed directly via sally ports controlled by custody officers.
        “She is not able to work in a room without windows.”

VII.    Interactions Subsequent to April 2011
        On August 10, 2011, return to work coordinator Tracee Simpson acknowledged
receipt of Dr. Miles’s report and “invite[d] [plaintiff] to engage in the interactive
process.” Among the options Simpson said might be available to plaintiff was a
“reasonable accommodation”: “If you believe you are disabled and that a reasonable
accommodation would enable you to perform the essential functions of your current
position . . . you may request a reasonable accommodation.” Other options included
“medical transfer/demotion,” temporary disability, retirement, and voluntary resignation.
The letter also enclosed an authorization for the release of medical information form that
will “allow us to request your doctor to review the essential functions of your job in order
to identify any limitations you may have.” Plaintiff was asked to return the enclosed
forms by August 25, 2011, to “notify us of the options you would like to discuss and
allow us to request your doctor to review the essential functions of your job in order to
identify any limitations you may have.”

                                              11
       On September 9, 2011, plaintiff was informed by Jan O’Neill, a section chief in
the Office of Employee Wellness in Sacramento, that “further processing of your requests
for reasonable accommodations” had been transferred from the prison to the Office of
Employee Wellness in Sacramento. O’Neill received a response from plaintiff’s
attorney, William Bloch, requesting that O’Neill not have any direct contact with his
client. O’Neill attempted to arrange a meeting with plaintiff and Bloch to discuss
plaintiff’s accommodation request, but Bloch said there was no need for further
communication because the case was going to trial. As a result, there was no resolution
of plaintiff’s request for accommodation.

                               PROCEDURAL HISTORY

       Plaintiff filed the present action on August 26, 2010. Several causes of action
were dismissed prior to trial, and plaintiff’s remaining claims—for failure to
accommodate a disability in violation of FEHA and failure to engage in an interactive
process—were tried to the court over 16 days between May 29 and June 19, 2012.
       The trial court issued a lengthy statement of decision on September 26, 2012,
which said in relevant part as follows:
       “The Return to Work Coordinator Medical Personnel Action Reference Manual
addresses the subject of reasonable accommodations. As no party has suggested it does
not accurately set forth the appropriate standard, it will be quoted as a convenient
summary. It defines a person with a disability as one who ‘has an impairment that limits
one or more major life activities.’ Impairments may be physical or mental. ‘Temporary
non-chronic impairments that do not last for a long time and that have little or no long
term impact usually are not disabilities.’
       “It provides, in pertinent part:
       “The purpose of this policy is to eliminate barriers to employment for qualified
individuals with disabilities without waiving the essential function(s) of the job or
position in order to retain valued and experienced qualified employees. . . .

                                             12
       “An employer must make [reasonable accommodation] for the known physical or
mental disability of an employee, unless doing so will create undue hardship. The
[reasonable accommodation] may be, but is not limited to:
       “. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
       “* Job restructuring, e.g., modifications of work hours, change in time base, job
sharing, and/or changes in job duties, authorizing leave of absences and/or use of leave
credits, providing frequent rest breaks.
       “* Reassignment to a vacant budgeted position for which the employee meets the
minimum qualifications and can perform the essential job function(s), e.g., alternative job
assignments through transfer or reclassification.
       “The [reasonable accommodation] must not require the waiver of an essential
function(s).
       “. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
       “An employee does not have to use the phrase, ‘reasonable accommodation.’ It is
sufficient for the employee to advise the employer [or return to work coordinator] of their
need for adjustment or change that will allow the employee to perform the essential
function(s) of their position; or of their inability to perform the essential function.
       “. . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . .
       “It shall never be assumed that an employee is disabled, has a medical condition,
or requires [reasonable accommodation]. If the employee states that they need
assistance to perform their job due to a disability or medical condition, medical
verification of work limitations outlining the need for [reasonable accommodation] will
be required. A medical diagnosis shall not be requested.
       “The Court is persuaded that there was nothing inappropriate about CDCR’s wish
in 2008 to seek an update on Ms. Switzer’s mental condition to determine whether (and
what) accommodation was still necessary. This was particularly true since it appeared
Ms. Switzer was not and had not been treating for this mental condition since Dr. Wells’
report in 2000.

                                                                 13
       “The conflict arose because of conflicting assumptions. On the one hand,
Ms. Switzer (and Valerie Lee, the union steward) erroneously assumed that Ms. Switzer’s
permanent partial disability through workers’ compensation equated to a right to a
permanent accommodation, which could never be reviewed or questioned. On the other
hand, Ms. Castillo, Mr. Cubero, and probably others apparently assumed that whatever
accommodation Ms. Switzer had been granted in 1997 had been temporary and had long
expired, and Ms. Switzer was entitled to nothing until she proved otherwise.
       “The problem was further exacerbated by the extraordinary and largely
unexplained delay in obtaining an updated evaluation of Ms. Switzer’s condition. She
had originally been scheduled to see Dr. Bruce Rubenstein on October 6, 2008, but the
appointment apparently was canceled because the doctor felt treating state employees
was a conflict of interest. Neither Dr. Kathleen Murphy nor Dr. James Wells—who had
seen Ms. Switzer in 1997 and 2000, respectively—[was] available to see her again.
Dr. Eileen McGrath was her primary care physician, treating her for (among other things)
hypertension, and was not an appropriate person to do a mental evaluation.
       “On April 16, 2009, Mr. Cubero wrote to Warren Green, apparently Ms. Switzer’s
workers compensation attorney, to confirm that an appointment had been set up for
plaintiff to be evaluated by Dr. Samuel Miles. For reasons never explained to the Court,
that appointment was not scheduled to occur until June 3, 2010, almost 15 months later.
Indeed, even that appointment was rescheduled, and Dr. Miles did not see her until
March 17, 2011.[6] Indeed, although Dr. Miles’ report was dated April 4, 2011, and was
sent to Heidi Pelayo at the SCIF, Ms. Castillo and Ms. O’Neill apparently did not review
it until August 2011.
       “In addition, it appears to the Court that the return to work staff and others at
Lancaster had a perception that Ms. Switzer’s self-reported limitations on the physical

6
      “Ms. Castillo testified that as return to work coordinator, she could not direct that
employees submit to medical evaluation[;] however, the office of employee wellness
(above Ms. Castillo’s level) could direct an evaluation as part of the fitness for duty
process. This testimony still does not explain why this review took so long to occur.”

                                             14
environments in which she could work or be present had expanded over time, or that they
changed depending on other circumstances. This perception may have contributed to
skepticism about her claims. This perception may have been, in part, the result of unclear
description of what Ms. Switzer’s limitations were, both by Ms. Switzer and by her
doctors, dating back to 1997.
       “The most serious incidents in this chain of events were the two occasions when
Ms. Switzer was written up for her refusal to participate in facilitat[ing] bridging inmates
by entering locked inmate housing, which subsequently was part of the Notice of Adverse
Action. At trial, Ms. Switzer clearly communicated that she felt going into housing units
was unnecessary and ineffectual; it is probable that she communicated this attitude to her
supervisors. The Court’s ultimate conclusion is that while there were occasions when it
[was] necessary for teachers to enter inmate housing units, they were infrequent, and
arrangements could have been made to exchange duties among teachers to accommodate
Ms. Switzer’s claustrophobia.
       “The Court accepts Dr. Reading’s conclusion that Ms. Switzer had a specific
phobia resulting from the inmate attack in January 1997 which was never treated, but
only accommodated. The August 2008 withdrawal of what Ms. Switzer had thought was
a permanent accommodation resulted in anxiety and depression which negatively affected
both Ms. Switzer’s perception of events and her interactions with others. CDCR’s
inadequate investigation, inadequate communication or miscommunication, the infinitely
protracted process of trying to develop essential function lists, and a truly unconscionable
delay in having Ms. Switzer evaluated psychologically, all exacerbated Ms. Switzer’s
adjustment disorder. It defies belief that Ms. Switzer’s March 26, 2009, request for
reasonable accommodation had not been resolved by the time Mr. Bloch shut down the
process in September 2011.
       “The Court concludes that Ms. Switzer is and was at all pertinent times a person
with a disability. The Court also concludes that Ms. Switzer is and was at all pertinent
times able to perform the essential functions of her job as a bridging or academic teacher
at Lancaster with reasonable accommodations. The Court therefore further concludes

                                             15
that Ms. Switzer has proven her claims for both disability discrimination and failure to
engage in the interactive process.
       “The damages claimed by Ms. Switzer are essentially for emotional distress. The
Court has carefully considered all the evidence, and has concluded that she should be
awarded the sum of $35,000.00. The Court further finds that Ms. Switzer’s need for a
reasonable accommodation is permanent, and that she has proven her entitlement to a
permanent injunction substantially along the lines of Dr. Reading’s conclusions.
       “In its Request for Statement of Decision, CDCR asks the Court to answer a series
of questions. Some of these have been discussed above. To the extent the Court deems
further discussion appropriate, it makes the following points.
       “First, Dr. Wells’ reports in 2000 gave no suggestion that the need for a
reasonable accommodation would disappear over time. Moreover, there was no time
limit placed on the accommodation given by Lancaster following receipt of his reports.
The lapse of time during which Ms. Switzer apparently did not receive treatment for
these conditions until the sudden need for reassignment in August 2008 meant it was not
reasonable for Lancaster to seek updated information on whether there was a continued
need for accommodation. However, Lancaster’s official position—as articulated by
Ms. Castillo—was not that updated information was needed to reconfirm a continuing
need for accommodation, but rather that Ms. Switzer had no accommodation at all.
       “Second, in August 2008, Ms. Switzer had no updated information to give
Lancaster, and the Court is not persuaded that it was Ms. Switzer’s obligation to find a
doctor and obtain a further psychiatric review (presumably at her own expense). Since
the prior evaluation had not placed a time limit on the need for accommodation, the Court
is persuaded that the onus was properly on Lancaster to take the necessary steps to have
an updated review done if it wanted updated information.
       “Third, the Court is unwilling to charge Ms. Switzer with responsibility for the
delays before the examination occurred. The Court infers, in the absence of credible
evidence to the contrary, that both Dr. Rubenstein and later Dr. Miles were chosen to
perform the updated evaluation because they were on a CDCR-approved list of persons to

                                            16
perform this type of service. CDCR was aware of the delay before the examinations and
evaluations would occur, but chose not to make alternate arrangements to advance the
process.[7] The Court finds no ‘waiver’ by Ms. Switzer’s acceptance of this arrangement.
       “Fourth, Ms. Switzer began treating with Ms. Schaad in December 2009, well
after CDCR and/or Mr. Cubero had chosen Dr. Miles to do the evaluation. The
immediate need for that treatment was not the inmate attack which had led to the specific
phobia, but rather the anxiety disorder resulting from the ongoing dispute with Lancaster
over her accommodation. Her ‘failure to advise CDCR that she was treating with
Ms. Schaad and failure to request medical verification from Ms. Schaad’ did not cause a
breakdown in the interactive process.[8]
       “Fifth, the August 11, 2008, memo offering to assign Ms. Switzer to the Minimum
Yard was apparently the only communication from Lancaster to Ms. Switzer on this
subject. While Ms. Switzer did not respond, the Court rejects the notion that this single
memo was sufficient to discharge Lancaster’s duty to accommodate, particularly in view
of its other content.
       “Sixth, on the question whether going into housing units was an ‘essential
function’ of a bridging teacher, the CDCR’s Personnel Action Reference Manual defines
‘essential functions’ as ‘[f]undamental job duties of the position or classification. It is
those functions the individual must be able to perform unaided or with the assistance of
[Reasonable Accommodation].’ There was insufficient credible evidence presented by
CDCR to persuade the Court that facilitating bridging inmates inside the housing units
was an essential function as opposed to a ‘marginal function.’ The need to facilitate

7
       “Since one purpose of the examination supposedly was to have the examiner
evaluate Ms. Switzer’s ability to perform the essential functions of her job, the lack of an
approved essential functions list at different times and for different positions may have
contributed to the delay. This situation was not of Ms. Switzer’s making.”
8
       “Indeed, there was no credible evidence that a report from Ms. Schaad would have
been sufficient, especially since Dr. Miles’ qualifications were significantly different than
those of Ms. Schaad.”

                                              17
inmates in the housing units arose relatively rarely, and the argument why it was
‘essential’ was not well developed. In addition, the definition of essential function
permits performance with the assistance of a reasonable accommodation, which in
Ms. Switzer’s case would have been the temporary exchange of duties among teachers
when facilitating was necessary.” (Internal record references and some fns. omitted.)
       Judgment was entered on October 15, 2012, and notice of entry of judgment was
served October 29, 2012. Plaintiff filed a motion for attorney fees and costs on
December 14, 2012. The trial court granted the motion on April 29, 2013, awarding fees
of $579,800 and costs of $64,739.66. The CDCR timely appealed from the judgment and
attorney fee order.

                               STANDARD OF REVIEW

       The CDCR challenges the trial court’s findings that it failed to reasonably
accommodate plaintiff and to appropriately engage in the interactive process. With
regard to these issues, we apply the substantial evidence standard of review.
“‘Substantial evidence means evidence which is of ponderable legal significance—
evidence which is reasonable in nature, credible and of solid value. [Citation.]’ (Horn v.
Oh (1983) 147 Cal. App. 3d 1094, 1099.) ‘In general, in reviewing a judgment based upon
a statement of decision following a bench trial, “any conflict in the evidence or
reasonable inferences to be drawn from the facts will be resolved in support of the
determination of the trial court decision. [Citations.]” [Citation.]’ (Estate of Young
(2008) 160 Cal. App. 4th 62, 75-76.) ‘We may not reweigh the evidence and are bound by
the trial court’s credibility determinations. [Citations.] Moreover, findings of fact are
liberally construed to support the judgment. [Citation.]’ (Id. at p. 76.) The testimony of
a single witness may be sufficient to constitute substantial evidence. (In re Marriage of
Mix (1975) 14 Cal. 3d 604, 614.)” (Lui v. City and County of San Francisco (2012) 211
Cal. App. 4th 962, 969.)

                                             18
       The CDCR also challenges the trial court’s entry of a permanent injunction and
award of attorney fees. The grant of a permanent injunction and award of attorney fees
generally are reviewed for abuse of discretion; to the extent there are any disputed factual
issues, the trial court’s findings are reviewed for substantial evidence. (Grail
Semiconductor, Inc. v. Mitsubishi Electric & Electronics USA, Inc. (2014) 225
Cal. App. 4th 786, 801 [permanent injunction]; Soni v. Wellmike Enterprise Co. Ltd.
(2014) 224 Cal. App. 4th 1477, 1481 [attorney fees].)

                                       DISCUSSION

I.     Substantial Evidence Supported the Trial Court’s Conclusions That the
       CDCR Failed to Reasonably Accommodate Plaintiff’s Disability and to
       Engage in the Interactive Process
       A.     Legal Framework—Failure to Accommodate and to Engage in the
              Interactive Process
       Plaintiff alleged the CDCR breached its duty to provide her a reasonable
accommodation in violation of FEHA, section 12940, subdivision (m). Subdivision (m)
imposes on the employer the obligation to make reasonable accommodation: “It is an
unlawful employment practice, unless based upon a bona fide occupational qualification,
or, except where based upon applicable security regulations established by the United
States or the State of California . . . [¶] (m) For an employer or other entity covered by
this part to fail to make reasonable accommodation for the known physical or mental
disability of an applicant or employee.” (§ 12940, subd. (m).) However, an employer is
not required to make an accommodation “that is demonstrated by the employer or other
covered entity to produce undue hardship . . . to its operation.” (Ibid.)
       The elements of a claim for failure to accommodate under subdivision (m) are
(1) the plaintiff has a disability under the FEHA, (2) the plaintiff is qualified to perform
the essential functions of the position, and (3) the employer failed to reasonably
accommodate the plaintiff’s disability. (Scotch v. Art Institute of California (2009) 173

                                             19
Cal. App. 4th 986, 1009 (Scotch).) The plaintiff bears the burden of proving his or her
ability to perform the essential functions of a job with accommodations. (Nadaf-Rahrov
v. Neiman Marcus Group, Inc. (2008) 166 Cal. App. 4th 952, 977 (Nadaf-Rahrov).)
       “The term ‘reasonable accommodation’ is defined in the FEHA regulations only
by means of example: ‘“Reasonable accommodation” may include either of the
following: [¶] (1) Making existing facilities used by employees readily accessible to,
and usable by, individuals with disabilities. [¶] (2) Job restructuring, part-time or
modified work schedules, reassignment to a vacant position, acquisition or modification
of equipment or devices, adjustment or modifications of examinations, training materials
or policies, the provision of qualified readers or interpreters, and other similar
accommodations for individuals with disabilities.’ (§ 12926, subd. (n); see Cal. Code
Regs., tit. 2, § 7293.9, subd. (a); accord, 42 U.S.C. § 12111(9).)” (Scotch, supra, 173
Cal.App.4th at p. 1010.) Several appellate courts have adopted the definition of
“reasonable accommodation” found in the federal Equal Employment Opportunity
Commission (EEOC) interpretive guidance on the Americans with Disabilities Act of
1990 (42 U.S.C. § 12101 et seq.) (ADA)—i.e., “‘a modification or adjustment to the
workplace that enables the employee to perform the essential functions of the job held or
desired.’” (Scotch, supra, at p. 1010; e.g., Nadaf-Rahrov, supra, 166 Cal.App.4th at
pp. 975-976.)9
       Plaintiff also alleged the CDCR failed to engage in an “interactive process” as
required under section 12940, subdivision (n). Section 12940, subdivision (n) makes it
unlawful “[f]or an employer or other entity covered by this part to fail to engage in a
timely, good faith, interactive process with the employee or applicant to determine
effective reasonable accommodations, if any, in response to a request for reasonable

9
       The Nadaf-Rahrov court reasoned, “[b]ecause the California Legislature has
modeled the reasonable accommodation requirements of section 12940[, subdivision] (m)
and 12940[, subdivision] (n) on the parallel federal requirements, the EEOC’s definition
of ‘reasonable accommodation’ appropriately guides our construction of the state laws.”
(166 Cal.App.4th at p. 974.)

                                              20
accommodation by an employee or applicant with a known physical or mental disability
or known medical condition.”
       “‘The “interactive process” required by the FEHA is an informal process with the
employee or the employee’s representative, to attempt to identify a reasonable
accommodation that will enable the employee to perform the job effectively. [Citation.]
Ritualized discussions are not necessarily required.’ [Citation.]” (Scotch, supra, 173
Cal.App.4th at p. 1013.) It “imposes burdens on both the employer and employee. The
employee must initiate the process unless the disability and resulting limitations are
obvious. ‘Where the disability, resulting limitations, and necessary reasonable
accommodations, are not open, obvious, and apparent to the employer, . . . the initial
burden rests primarily upon the employee . . . to specifically identify the disability and
resulting limitations, and to suggest the reasonable accommodations.’ [Citation.]” (Ibid.)

       B.     The CDCR’s Failure to Accommodate
       The CDCR contends substantial evidence did not support the trial court’s
conclusion that it failed to reasonably accommodate plaintiff’s work restrictions because
it (1) offered her a teaching position in the minimum security facility, (2) assigned her
temporary alternative tasks when she said she could not enter testing classrooms, and
(3) allowed her to perform other teaching duties when she could not enter the housing
units. Further, the CDCR claims it did not fail to accommodate plaintiff by disciplining
her for failing to enter the housing units in April 2009, because it did not then have
medical verification of her inability to do so. For the reasons that follow, we conclude
that substantial evidence supported the trial court’s contrary conclusions.

              1.     The September 2008 Offer to Teach in the Minimum Security
                     Facility
       The CDCR contends that it reasonably accommodated plaintiff by offering her a
position in the minimum security facility, which was located outside the prison’s secure
perimeter. The offer came in an August 11, 2008 memorandum from Castillo to plaintiff,

                                             21
which said the CDCR was “of the opinion that your present assignment meets your
original request for reasonable accommodation,” but offered plaintiff the option of
“[w]orking in Minimum Security Facility, Monday through Friday, work hours of
12:30 PM to 9:00 PM.” The memorandum said that if plaintiff preferred this assignment,
she should contact Principal Brooking “no later than close of business Wednesday,
August 13, 2008”—i.e., within two days. The memorandum also suggested that plaintiff
might be required to submit updated medical verification to substantiate her need for an
accommodation and “enclose[d] a Request for Reasonable Accommodation to be utilized
in this process.” (Emphasis omitted.)
       The trial court credited testimony that this was a genuine offer, and it concluded
that had plaintiff responded affirmatively, a class in the minimum security facility would
have been created for her. However, the court noted that Castillo’s August 11
memorandum was apparently the only communication from the CDCR to plaintiff
regarding the minimum security facility offer, and while plaintiff did not respond, “the
Court rejects the notion that this single memo was sufficient to discharge Lancaster’s
duty to accommodate, particularly in view of its other content.”
       Substantial evidence supports the trial court’s conclusion. The employer’s
obligation to work with a disabled employee to find a reasonable accommodation does
not end with a first attempt at accommodation. Instead, once the employee initiates the
interactive process, “the employer’s obligation to engage in the process in good faith is
continuous. ‘[T]he employer’s obligation to engage in the interactive process extends
beyond the first attempt at accommodation and continues when the employee asks for a
different accommodation or where the employer is aware that the initial accommodation
is failing and further accommodation is needed. This rule fosters the framework of
cooperative problem-solving contemplated by the ADA, by encouraging employers to
seek to find accommodations that really work . . . .’ (Humphrey v. Memorial Hospitals
Ass’n (9th Cir. 2001) 239 F.3d 1128, 1138.)” (Scotch, supra, 173 Cal.App.4th at
p. 1013.) Whether an employer has engaged in the interactive process and reasonably
accommodated an employee’s disability generally are questions of fact subject to

                                            22
substantial evidence review. (Wilson v. County of Orange (2009) 169 Cal. App. 4th 1185,
1193; Prilliman v. United Air Lines, Inc. (1997) 53 Cal. App. 4th 935, 954.)
       The Ninth Circuit Court of Appeals discussed the employer’s continuing burden to
work with an employee to find a reasonable accommodation in Humphrey v. Mem’l
Hosps. Ass’n, supra, 239 F.3d 1128 (Humphrey). There, the employee suffered from
obsessive compulsive disorder that made it difficult for her to arrive at work on time.
The employer initially accommodated the employee by offering her a flexible work
schedule, but when that was not successful, it denied her request to work from home and
ultimately terminated her. (Id. at pp. 1130-1133.) The Ninth Circuit held that as a matter
of law, the employer failed to reasonably accommodate the employee as required by the
ADA. The court explained that although the employer properly initiated the interactive
process and offered an initial accommodation, once it became clear that the
accommodation was not working, the employer had a duty to explore further
arrangements. (Id. at p. 1138.) Instead, when plaintiff asked to work at home, the
employer “denied her request without suggesting any alternative solutions, or exploring
with her the possibility of other accommodations. Rather than fulfill its obligation to
engage in a cooperative dialogue with [employee], [the employer’s] e-mail suggested that
the matter was closed . . . . [Memorial Hospitals Association’s] rejection of Humphrey’s
work-at-home request and its failure to explore with Humphrey the possibility of other
accommodations, once it was aware that the initial arrangement was not effective,
constitutes a violation of its duty regarding the mandatory interactive process.” (Id. at
pp. 1138-1139.)
       The present case is analogous. Plaintiff testified that she received Castillo’s
August 11 memorandum “[s]omewhat after” August 11, 2008, and thus the trial court
reasonably could have concluded that plaintiff did not have an adequate opportunity to
consider the proposed accommodation before it expired on August 13. Further, there is
abundant evidence that the CDCR never spoke with plaintiff about the minimum security
offer or otherwise responded substantively to her request for an alternative assignment.
Plaintiff testified that she repeatedly tried to contact Brooking regarding her assignment

                                             23
after August 11, but he did not return her calls. Ultimately, when she was unable to reach
Brooking, she requested a meeting with Warden Haws, which took place on
September 22, 2008. Warden Haws asked plaintiff to provide a list of assignments she
felt she could do, and plaintiff responded in writing the following day, requesting that she
be assigned to a classroom with direct outside access and proposing five alternative
assignments for which she was qualified. Warden Haws’s October 1, 2008 response did
not address any of these five alternative positions, but instead reiterated the CDCR’s
position that it was “in full compliance with” plaintiff’s 1997 request for reasonable
accommodation. Taken together, these facts support the trial court’s conclusion that
although the CDCR made an initial offer of accommodation, it failed to engage in
“cooperative problem solving” with plaintiff when she sought a different
accommodation. Indeed, as in Humphrey, the CDCR “denied [plaintiff’s] request
without suggesting any alternative solutions, or exploring with her the possibility of other
accommodations.” (Humphrey, supra, 239 F.3d at p. 1138.)

              2.     The 2008 “Temporary Alternative Teacher Tasks”
       The CDCR contends that it reasonably accommodated plaintiff’s inability to test
bridging students in the fall of 2008 by “assigning her temporary alternative teacher tasks
such as preparing student files and testing materials.” The record reflects that the
“alternative assignments” plaintiff was given throughout this period consisted primarily
of sharpening pencils. The CDCR cites no authority—and we are not aware of any—for
the proposition that requiring a credentialed teacher to spend entire days sharpening
pencils is a “reasonable” accommodation as a matter of law.

              3.     The 2009 Assignment of Alternative Tasks
       The CDCR contends it accommodated plaintiff in April 2009 by allowing her to
perform alternative teacher tasks in her office instead of facilitating inmates in the
housing units. While it is true that plaintiff performed alternative tasks on several days in
April 2009 instead of entering the housing units, it is also the case—as the CDCR itself

                                             24
acknowledges—that plaintiff was disciplined for refusing to enter the housing units. The
CDCR cites no authority for the proposition that permitting an employee with a disability
to perform alternative tasks but disciplining her as a result constitutes a reasonable
accommodation. (See Reese v. Barton Healthcare Sys. (E.D. Cal. 2010) 693 F. Supp. 2d
1170, 1175-1176, 1187 [reasonable juror could conclude that employer failed to
reasonably accommodate lab technician where, although employer never forced
technician to perform more exams than she said her disability permitted, it harassed and
shamed technician about her disability, reduced her hours, and disciplined her].)

       C.     Failure to Engage in the Interactive Process
       The CDCR contends that even if the trial court was correct in concluding that
reasonable accommodations would have allowed plaintiff to perform the essential
functions of her job, it was not required to provide those accommodations because
plaintiff failed to engage in the interactive process and was responsible for its breakdown.
Specifically, the CDCR urges that it repeatedly asked plaintiff to provide updated
medical verification of her work restrictions, but plaintiff refused to do so. As a result,
the CDCR says, it had no duty to accommodate plaintiff until 2011, when plaintiff finally
provided updated medical information.
       Although the duty to engage in the interactive process is separate from the duty to
make reasonable accommodations, the employer will be liable for a failure to
accommodate only if it bears responsibility for the breakdown of the interactive process.
(EEOC v. Sears, Roebuck & Co. (7th Cir. 2005) 417 F.3d 789, 797.) Thus, for example,
in Jensen v. Wells Fargo Bank (2000) 85 Cal. App. 4th 245, 265-267, the court held the
employer was not entitled to summary judgment because it failed to establish the absence
of a triable issue of material fact with respect to reasonable accommodation or that the
employee was responsible for the breakdown in the interactive process.10 Similarly, in

10
       “On these conflicting and equivocal facts, it cannot be said that Wells Fargo met
its burden of establishing the absence of a triable issue of material fact with respect to

                                             25
EEOC v. Sears, Roebuck & Co., supra, 417 F.3d at pages 805-808, the court held the
employer was not entitled to summary judgment where the employee made several
requests for accommodations “which Sears simply denied.” We therefore consider
whether substantial evidence supported the trial court’s finding that the CDCR was
responsible for the breakdown of the interactive process.

              1.     The Interactive Process Prior to the First Failure to Accommodate
                     (August to November 2008)
       As we have said, the first failure to accommodate occurred between August and
November 2008, when plaintiff daily was asked whether she could test inmates in the
program/education area and ordered to sharpen pencils when she said she could not.
During this period, the CDCR took the position that any accommodation plaintiff had
been afforded in 1997 and 2000 had been intended for only a short period and had
expired prior to 2008. It thus asserted that it had no duty to accommodate plaintiff’s
disability until plaintiff submitted updated medical information.
       The CDCR repeats this position on appeal, suggesting that it could not rely on the
2000 AME report from Dr. Wells because the report did not contain specific work
limitations and did not indicate whether plaintiff could enter the program building or
housing units. Further, the CDCR says, the 2000 AME report from Dr. Wells did not
entitle plaintiff to an accommodation in 2008 because plaintiff’s work limitations “may
have resolved since 2000.” For the reasons that follow, the CDCR errs.

reasonable accommodation or that [plaintiff] Jensen was responsible for the breakdown
in the informal, interactive process. It is possible that Jensen was not acting in good faith
by adding to her list of restrictions for the purpose of discouraging job offers, or that her
list of restrictions was unworkable and that she was simply unqualified for any opening at
the bank during the period after the robbery which met her restrictions and qualifications.
But Wells Fargo did not establish that there were no disputed facts concerning these
points, and, as the moving party, failed to meet its burden to establish a right to summary
judgment on the FEHA claim.” (Jensen, supra, 85 Cal.App.4th at pp. 266-267, fn.
omitted.)

                                             26
       As an initial matter, we do not agree that Dr. Wells’s report did not clearly define
plaintiff’s work restrictions. As the trial court noted, Dr. Wells’s report said plaintiff had
a “Permanent Partial Disability” consisting of “a syndrome of claustrophobia, vigilance,
apprehension, anticipation of harm with lowered sense of mastery and lowered stress
tolerance.” Dr. Wells opined that plaintiff was “capable of carrying out her present
assignment which has been modified to accommodate her psychiatric difficulty.” (Italics
added.) The modification was described as follows: “[Plaintiff] said that the educational
complex has no windows and she could not work there. She said that she was presently
assigned in the vocational area which has large windows and access to the outside.”
Following receipt of Dr. Wells’s report, the prison’s associate warden issued a
memorandum directing that “until further notice . . . [u]nder no circumstances will
Ms. Switzer be expected to work in the ‘Education Complex,’ [i.e., a]reas with halled
passages.” Further, “[u]ntil her classroom situation can be re-evaluated, Ms. Switzer
shall remain in her present classroom.” Taken together, Dr. Wells’s report and the
associate warden’s memorandum demonstrate, contrary to the CDCR’s contentions, that
Dr. Wells’s report contained specific work limitations and that the CDCR understood
what those limitations were.
       We also do not agree that because Dr. Wells’s report was eight years old, it
imposed on the CDCR no duty to accommodate. The CDCR suggests that because eight
years had elapsed between Dr. Wells’s report and plaintiff’s reassignment in 2008, it was
reasonable for the prison to seek updated information on whether there was a continued
need for accommodation. We agree. The relevant question on appeal, however, is not
whether it was reasonable for the CDCR to seek updated information, but rather whether
it was reasonable to refuse to accommodate plaintiff until she submitted such updated
information—and, more specifically, whether in the absence of updated information, the
CDCR had a duty to accommodate plaintiff in August, September, October, and
November 2008.
       Substantial evidence supported the trial court’s conclusion that the CDCR had a
duty to accommodate plaintiff between August and November 2008. First, as the trial

                                              27
court correctly noted, Dr. Wells’s report gave no suggestion that the need for
accommodation would disappear over time, and there was no time limit placed on the
accommodation ordered by the associate warden in 2000. Thus, while it was not
unreasonable for the CDCR to seek updated medical information, it was unreasonable to
refuse to accommodate plaintiff for some reasonable period while she obtained that
information.
       Substantial evidence also supported the trial court’s implicit conclusion that
plaintiff’s failure to obtain updated medical information between August and November
2008 was not unreasonable and did not cause the breakdown in the interactive process.
Plaintiff was not being treated for her psychiatric disability when she was assigned to the
bridging program in August 2008, and she therefore did not have a relationship with a
doctor from whom she readily could have sought an opinion about the necessity of work
restrictions/accommodations. Moreover, in connection with plaintiff’s pending workers’
compensation claim, an agreed medical examination had been scheduled with Dr. Bruce
Rubenstein for October 6, 2008. In view of that scheduled appointment, it was
reasonable for plaintiff to rely on the report she expected would be generated after that
exam to verify her continuing need for accommodation. In view of these facts, although
it was not unreasonable for the CDCR to ask plaintiff to obtain updated medical
verification in August 2008, substantial evidence supported the trial court’s conclusion
that the CDCR was required to honor plaintiff’s existing accommodation while she
attempted to obtain that updated verification.

               2.    The Interactive Process Prior to the Second Failure to Accommodate
                     (April 2009)
       As discussed, the second failure to accommodate occurred between March and
April 2009. In late March 2009, plaintiff was told that she would be transferred back to
the bridging program effective April 1. Plaintiff was concerned that she again would be
asked to test and tutor inmates in classrooms without direct outside access, and so she
immediately submitted a new request for accommodation. Plaintiff initially was

                                            28
accommodated with an office and classrooms with windows and direct outside access,
but on April 21 and 23, she was directed to facilitate inmates in the secured housing area
of C yard. When she refused to do so, she was disciplined.
       The CDCR contends that because plaintiff still had not submitted updated medical
verification, substantial evidence did not support the trial court’s conclusion that it was
required to accommodate plaintiff in April 2009. We disagree. On April 1, 2009,
approximately a week after plaintiff submitted an updated request for accommodation,
plaintiff met with Castillo and Barrie Hafler, who said plaintiff would be required to
submit updated medical information, and asked for permission to contact plaintiff’s
doctors. Plaintiff denied Castillo permission to contact Dr. McGrath, but she agreed to
allow Castillo to contact Dr. Murphy, the psychologist who had signed the work
limitation request in 1997.11 Castillo apparently did not attempt to contact Dr. Murphy
until May 5, 2009, and she did not tell plaintiff until June 19 that Dr. Murphy had not
responded. Accordingly, as of April 21 and 23, it was reasonable for plaintiff to believe
that Dr. Murphy would provide the updated medical verification the CDCR had
requested. Plaintiff’s failure to seek additional medical verification at that time therefore
did not cause a breakdown in the interactive process. In view of these facts, substantial
evidence supported the trial court’s conclusion that plaintiff was not responsible for a
breakdown in the interactive process prior to April 2009, and thus that the CDCR’s
failure to accommodate constituted a violation of section 12940, subdivisions (m) and
(n).

11
       Plaintiff said she did not want Castillo to contact Dr. McGrath because
Dr. McGrath was her personal physician and she “[didn’t] want [Castillo] in my personal
medical life.” On May 22, 2009, Castillo sent Dr. Murphy a letter requesting her medical
opinion as to plaintiff’s ability to work in the prison environment in classrooms that did
not have direct outside access, but Dr. Murphy apparently did not respond.

                                             29
II.    The Permanent Injunction Is Overly Broad
       The judgment included a permanent injunction enjoining the CDCR “from
(1) transferring, demoting, or reassigning Plaintiff TERRI SWITZER from her position
as Academic Teacher at CDCR’s Los Angeles County Prison, Lancaster (the ‘Prison’);
(2) transferring or reassigning Plaintiff TERRI SWITZER from a classroom in the
Vocational area, Yard C, of the Prison, where she is currently assigned, to any of the
Program Buildings of the Prison or, based on a demonstrated security need, to any room
to perform her duties as Academic Teacher that does not provide immediate egress to the
outside of the room and/or the building, without depending on a correctional officer or
other person to unlock the door; (3) requiring that Plaintiff TERRI SWITZER conduct
testing, attend training, enter or attend any meeting, deliver materials, or otherwise
perform any duties in any area of the Prison where she does not have immediate egress
(i.e., where she cannot immediately leave without depending on a correctional officer or
other third party to unlock the door); (4) requiring that Plaintiff TERRI SWITZER
conduct testing, attend training, enter or attend any meeting, deliver materials, tutor
inmates, or otherwise perform any duties in any area of inmate housing; (5) doing
anything to deprive Plaintiff TERRI SWITZER of adequate security, materials, furniture,
or other necessary items required to perform her duties as an Academic Teacher.”
       The CDCR contends that the trial court abused its discretion by entering the
injunction because no evidence was presented that the CDCR has failed to accommodate
plaintiff since April 2009 or that it is likely to do so in the future, and the CDCR cannot
be enjoined from making personnel decisions and managing its employees. We conclude
that the trial court acted well within its discretion in granting a permanent injunction, but
that the injunction it entered was overly broad.

       A.     Legal Standards
       “‘A permanent injunction is a determination on the merits that a plaintiff has
prevailed on a cause of action . . . against a defendant and that equitable relief is
appropriate.’ (Art Movers, Inc. v. Ni West, Inc. (1992) 3 Cal. App. 4th 640, 646.) The

                                              30
grant or denial of a permanent injunction rests within the trial court’s sound discretion
and will not be disturbed on appeal absent a showing of a clear abuse of discretion.
(Shapiro v. San Diego City Council (2002) 96 Cal. App. 4th 904, 912.) The exercise of
discretion must be supported by the evidence and, ‘to the extent the trial court had to
review the evidence to resolve disputed factual issues, and draw inferences from the
presented facts, [we] review such factual findings under a substantial evidence standard.’
(Ibid.) We resolve all factual conflicts and questions of credibility in favor of the
prevailing party and indulge all reasonable inferences to support the trial court’s order.
(Cabrini Villas Homeowners Assn. v. Haghverdian (2003) 111 Cal. App. 4th 683,
688-689.)” (Horsford v. Board of Trustees of California State University (2005) 132
Cal. App. 4th 359, 390.)

       B.     The Trial Court Had Discretion to Enter a Permanent Injunction, But the
              Injunction It Entered Is Overly Broad
       The CDCR contends that the trial court abused its discretion by entering a
permanent injunction because no evidence was presented that the CDCR has failed to
accommodate plaintiff since April 2009 or that it is likely to do so in the future. We do
not agree. Our Supreme Court has described the court’s power to enjoin conduct
violative of FEHA as follows: “It is beyond question that, in general, both the
Department of Fair Employment and Housing and courts enforcing the FEHA are
empowered not only to redress past instances of employment discrimination, but to
prevent a recurrence of such misconduct. Section 12920 states that the purpose of the
FEHA is ‘to provide effective remedies which will eliminate’ employment
discrimination. Section 12920.5 adds: ‘In order to eliminate discrimination, it is
necessary to provide effective remedies that will both prevent and deter unlawful
employment practices and redress the adverse effects of those practices on aggrieved
persons.’ . . . [C]ourts can, and often do, issue injunctions prohibiting the recurrence or
continuation of employment discrimination. We have held ‘that, in a civil action under
the FEHA, all relief generally available in noncontractual actions . . . may be obtained.’

                                             31
(Commodore Home Systems, Inc. v. Superior Court (1982) 32 Cal. 3d 211, 221.) This
includes injunctive relief. (Snipes v. City of Bakersfield (1983) 145 Cal. App. 3d 861,
869-870.)” (Aguilar v. Avis Rent A Car System, Inc. (1999) 21 Cal. 4th 121, 131-132
(Aguilar), italics added.)
       Injunctive relief is not unnecessary merely because a defendant has ceased its
unlawful conduct during the pendency of legal proceedings. “‘[M]any courts have
rejected arguments against injunctive relief where defendants changed their practices
only in response to being sued.’ (2 Lindemann, Employment Discrimination Law (3d ed.
1996) ch. 40, p. 1748, fn. omitted.) ‘Generally, a person subjected to employment
discrimination is entitled to an injunction against future discrimination [citation], unless
the employer proves it is unlikely to repeat the practice [citations]. . . . An employer that
takes curative actions only after it has been sued fails to provide sufficient assurances that
it will not repeat the violation to justify denying an injunction.’ (E.E.O.C. v. Goodyear
Aerospace Corp. (9th Cir. 1989) 813 F.2d 1539, 1544; EEOC v. Frank’s Nursery &
Crafts, Inc. (6th Cir. 1999) 177 F.3d 448, 467-468 [‘upon a finding of any intentional
employment discrimination, a district court possesses broad discretion to craft an
injunction that will ensure the employer’s compliance with the law’]; Dombeck v.
Milwaukee Valve Co. (7th Cir. 1994) 40 F.3d 230, 238 [injunction proper although
harasser and victim had been reassigned to different work areas]; U.S. E.E.O.C. v.
Gurnee Inn Corp. (7th Cir. 1990) 914 F.2d 815, 817 [injunction prohibiting future sexual
harassment proper although the employment of the sole harasser had been terminated];
cf. Marin County Bd. of Realtors, Inc. v. Palsson (1976) 16 Cal. 3d 920, 929 [‘“[T]he
voluntary discontinuance of alleged illegal practices does not remove the pending charges
of illegality from the sphere of judicial power or relieve the court of the duty of
determining the validity of such charges where by the mere volition of a party the
challenged practices may be resumed.” [Citation.]’].)” (Aguilar, supra, 21 Cal.4th at
p. 133.)
       In the present case, although the CDCR accommodated plaintiff during the
pendency of this litigation, it has never recognized her need for or right to an

                                             32
accommodation. Indeed, the trial court found that “Ms. Switzer’s March 26, 2009,
request for reasonable accommodation had not been resolved by the time Mr. Bloch shut
down the process in September 2011”—a delay that the trial court found “defies belief.”
Under these circumstances, an injunction requiring the CDCR to accommodate plaintiff
as required by the FEHA was well within the trial court’s discretion.
       However, although the trial court had discretion to enjoin future unlawful conduct,
the injunction it entered was overly broad. The first provision of the injunction enjoins
the CDCR from “transferring, demoting, or reassigning Plaintiff TERRI SWITZER from
her position as Academic Teacher at CDCR’s Los Angeles County Prison, Lancaster (the
‘Prison’).” We agree with the CDCR that this provision unduly limits the department’s
ability to discipline or reassign plaintiff in accordance with future need—indeed, it
essentially grants plaintiff permanent employment regardless of any future misconduct on
her part or any changes within the correctional system. For example, should plaintiff fail
to maintain her teaching credential or to show up for work, the injunction prohibits
reassignment or discipline. Similarly, the injunction prohibits reassignment should the
state eliminate academic teacher positions entirely or close the Lancaster prison.
       The second provision of the injunction is equally problematic. It enjoins the
CDCR from “transferring or reassigning Plaintiff TERRI SWITZER from a classroom in
the Vocational area, Yard C, of the Prison, where she is currently assigned, to any of the
Program Buildings of the Prison or, based on a demonstrated security need, to any room
to perform her duties as Academic Teacher that does not provide immediate egress to the
outside of the room and/or the building, without depending on a correctional officer or
other person to unlock the door.” Although this limitation is appropriate under current
circumstances, we can imagine future events—for example, the closure of all or parts of
the Lancaster Prison—that could make honoring the injunction impossible or impractical.
       As we have said, section 12940, subdivision (m) requires an employer to make
“reasonable accommodation” for an employee’s known physical or mental disability only

                                            33
if doing so will not produce “undue hardship”—i.e., significant difficulty or expense
when considered in light of a variety of factors.12 (§§ 12940, subd. (m), 12926, subd.
(u).) Because the present injunction does not permit the CDCR to balance plaintiff’s
need for an accommodation against the difficulty or expense of providing such
accommodation in the case of future changes to the prison’s physical structure, inmate
population, or legal mandate, it exceeds the scope of the trial court’s discretion under the
FEHA.
       The present case is analogous to Sturgill v. UPS (8th Cir. Ark. 2008) 512 F.3d
1024 (Sturgill). There, the plaintiff, a full-time driver for the United Parcel Service
(UPS), was terminated when he refused to complete his route on a particular day because
working past sundown on a Friday violated his beliefs as a member of the Seventh Day
Adventist Church. He sued UPS for religious discrimination in violation of Title VII of
the Civil Rights Act of 1964, 42 United States Code section 2000e-2(a)(1). After a
lengthy trial, a jury found that UPS violated Title VII by failing to reasonably
accommodate plaintiff’s religious observance, and the district court awarded plaintiff
reinstatement, front pay, compensatory damages, and an injunction requiring UPS “‘to
accommodate [plaintiff’s] religious observation of the Sabbath in the future.’” (Id. at
p. 1027.)
       The Eighth Circuit affirmed the award of compensatory damages, reinstatement,
and front pay, but reversed the grant of “overly-broad” injunctive relief. (Sturgill, supra,
512 F.3d at p. 1027.) It noted that a “reasonable” accommodation need not eliminate all

12
        The factors are: “(1) The nature and cost of the accommodation needed. [¶]
(2) The overall financial resources of the facilities involved in the provision of the
reasonable accommodations, the number of persons employed at the facility, and the
effect on expenses and resources or the impact otherwise of these accommodations upon
the operation of the facility. [¶] (3) The overall financial resources of the covered entity,
the overall size of the business of a covered entity with respect to the number of
employees, and the number, type, and location of its facilities. [¶] (4) The type of
operations, including the composition, structure, and functions of the workforce of the
entity. [¶] (5) The geographic separateness or administrative or fiscal relationship of the
facility or facilities.” (§ 12926, subd. (u).)

                                             34
religion-work conflict: “To be sure, there may be many situations in which the only
reasonable accommodation is to eliminate the religious conflict altogether. But in close
cases, that is a question for the jury because it turns on fact-intensive issues such as work
demands, the strength and nature of the employee’s religious conviction, the terms of an
applicable [collective bargaining agreement], and the contractual rights and workplace
attitudes of co-workers. Bilateral cooperation under Title VII requires employers to
make serious efforts to accommodate a conflict between work demands and an
employee’s sincere religious beliefs. But it also requires accommodation by the
employee, and a reasonable jury may find in many circumstances that the employee must
either compromise a religious observance or practice, or accept a less desirable job or less
favorable working conditions.” (Id. at p. 1033.) Accordingly, the court vacated the
injunction, noting that it was “‘overbroad’” and “it is not at all clear what
accommodations will be reasonable in the future.” (Id. at p. 1035.)
       As in Sturgill, the injunction in the present case was overly broad because it
required accommodation of plaintiff’s work limitations without consideration of undue
hardship in light of possible future institutional changes. We therefore reverse it and
remand to the trial court for entry of a new and different injunction that complies with the
dictates of section 12940, subdivision (m). Specifically, the injunction should grant a
permanent accommodation consistent with the recommendations of Dr. Reading, so long
as such accommodations can be granted without undue hardship within the meaning of
section 12940, subdivision (m).

III.   The Attorney Fee Award
       Following trial, plaintiff sought attorney fees pursuant to section 12965,
subdivision (b) as follows: a lodestar award of $166,421 to the Law Offices of
Richard A. Stavin, and a lodestar award of $452,834 to the Excelus Law Group, Inc.,
both enhanced by a multiplier “within the court’s discretion of between 1.4 and 2.0 times
the lodestar request.” The trial court denied the request for a multiplier, and awarded
Stavin fees of $151,600 and Excelus fees of $428,000, for a total of $579,600.

                                             35
       Notably, the CDCR does not contend on appeal that the trial court was without
power to award attorney fees or that the fees awarded were excessive. Instead, it urges
that we should reverse the award because the trial court “did not show how the . . .
attorneys’ fees award was calculated,” and it suggests that “[w]hen the record is unclear
as to whether the award of attorneys’ fees is consistent with the applicable legal
principles, the award may be reversed and remanded to the trial court for further
consideration and amplification of its reasoning.”
       The court rejected a similar contention in Taylor v. Nabors Drilling USA, LP
(2014) 222 Cal. App. 4th 1228, 1250 (Taylor). While the court noted that the trial court
“would have facilitated appellate review if it had specified the factors it had considered in
[awarding attorney fees],” it held that the failure to do so did not compel a reversal. The
court explained: “‘In reviewing a challenged award of attorney fees and costs, we
presume that the trial court considered all appropriate factors in selecting a multiplier and
applying it to the lodestar figure. [Citation.] This is in keeping with the overall review
standard of abuse of discretion, which is found only where no reasonable basis for the
court’s action can be shown. [Citation.]’ (Ramos v. Countrywide Home Loans, Inc.
(2000) 82 Cal. App. 4th 615, 621; accord, Downey Cares v. Downey Community
Development Com. (1987) 196 Cal. App. 3d 983, 998.)
       “The following excerpt from Gorman v. Tassajara Development Corp. (2009) 178
Cal. App. 4th 44, 67, is instructive: ‘We find no California case law . . . requiring trial
courts to explain their decisions on all motions for attorney fees and costs, or even
requiring an express acknowledgment of the lodestar amount. The absence of an
explanation of a ruling may make it more difficult for an appellate court to uphold it as
reasonable, but we will not presume error based on such an omission. . . . “‘“All
intendments and presumptions are indulged to support [the judgment] on matters as to
which the record is silent, and error must be affirmatively shown.”’ (Denham v. Superior
Court [(1970)] 2 Cal. 3d 557, 564 . . . .)” In the absence of evidence to the contrary, we
presume that the trial court considered the relevant factors. [Citation.]’” (Taylor, supra,
222 Cal.App.4th at pp. 1249-1250.)

                                             36
       Harman v. City and County of San Francisco (2006) 136 Cal. App. 4th 1279, 1308,
on which the CDCR relies for the proposition that an attorney fee award may be reversed
for abuse of discretion if the record does not show how the trial court calculated the
award of fees, does not support it. Harman considered an award of fees under the federal
Civil Rights Attorney’s Fees Awards Act of 1976, 42 United States Code section 1988.
(Id. at pp. 1306-1307.) Harman noted that while California courts do not require
statements of decision with regard to fee awards, federal law is different, requiring the
lower court “‘to provide a concise but clear explanation of its reasons for the fee award.’”
(Id. at p. 1308.) The court concluded that “in reviewing a federal remedy, it is reasonable
to insist on a record adequate to allow a meaningful review of federal standards
governing the remedy.” (Ibid.) The holding has no application to the present case, where
plaintiff’s claims were brought under state, not federal, law.13
       Because California law does not require trial courts to show how attorney fee
awards are calculated, the trial court’s failure to do so here was not an abuse of
discretion.

13
        Graciano v. Robinson Ford Sales, Inc. (2006) 144 Cal. App. 4th 140 also does not
assist the CDCR. There, the trial court abused its discretion in awarding attorney fees
because its order suggested that it “arbitrarily relied upon what it considered to be a
reasonable rate for generic expert attorney testimony fixed by [Imperial County Superior
Court] local rule 3.12,” rather than “the prevailing rate in the community for comparable
professional legal services.” (Id. at p. 156.)

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                                     DISPOSITION

       We affirm the grant of judgment and award of attorney fees to plaintiff. We
reverse the permanent injunction and remand the matter to the trial court for further
proceedings consistent with this opinion. Costs are awarded to plaintiff.

       NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS

                                                             *
                                                 EDMON, J.

We concur:

       EPSTEIN, P. J.

       WILLHITE, J.

*
 Judge of the Los Angeles Superior Court, assigned by the Chief Justice pursuant to
article VI, section 6 of the California Constitution.

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