Court Opinion

ID: 9365924
Source: CourtListenerOpinion
Date Created: 2023-01-25 16:03:22.736748+00
Date Added: 2024-06-11T17:15:48.270206
License: Public Domain

DISTRICT COURT OF APPEAL OF THE STATE OF FLORIDA
                               FOURTH DISTRICT

                JOYCE BULLEN GAY and ADENA TESTA,
                       Petitioners-Appellants,

                                       v.

                JUPITER ISLAND COMPOUND, LLC,
              a Delaware limited liability company, and
        DOLPHIN SUITE, LLC, a Florida limited liability company,
                      Respondents-Appellees.

                      Nos. 4D22-1007 and 4D22-1030

                             [January 25, 2023]

   Consolidated petition for writ of certiorari and appeal of nonfinal order
from the Circuit Court for the Nineteenth Judicial Circuit, Martin County;
Gary L. Sweet, Judge; L.T. Case No. 432022CA000093.

  Christopher J. Stearns of Johnson, Anselmo, Murdoch, Burke, Piper &
Hochman, P.A., Fort Lauderdale, for petitioner/appellant Joyce Bullen
Gay.

   Jesse Panuccio, Stuart H. Singer and James Grippando of Boies
Schiller Flexner LLP, Fort Lauderdale, for petitioner/appellant Adena
Testa.

  Ethan J. Loeb, Cynthia G. Angelos, Elliot P. Haney, Steven Gieseler,
and Nicholas M. Gieseler of Bartlett, Loeb, Hinds & Thompson, PLLC,
Tampa, for respondents/appellees.

GERBER, J.

  In an earlier order, we had consolidated the above-captioned case
numbers 4D22-1007 and 4D22-1030 for consideration by the same panel.
We now consolidate these cases for opinion purposes as well.

   Case number 4D22-1007 arises from a public official’s petition for a
writ of certiorari. In that petition, the public official challenges the circuit
court’s nonfinal order denying the public official’s motion to dismiss two
landowners’ action against her for tortious interference with business
relationships. The public official argues she was entitled to dismissal at
the pleading stage based on common law absolute immunity because, as
pled in the landowners’ complaint, her alleged tortious interference
occurred in the scope of her official duties. We agree with the public
official’s reading of the landowners’ complaint, and therefore grant her
certiorari petition. We direct the circuit court, on remand, to vacate its
prior order and issue a final judgment granting the public official’s motion
to dismiss the landowners’ action against her with prejudice based on
common law absolute immunity.

    Case number 4D22-1030 arises from the public official’s appeal of the
same nonfinal order denying the public official’s motion to dismiss, but
alternatively based on immunity under section 768.28(9)(a), Florida
Statutes (2020). See Fla. R. App. P. 9.130(a)(3)(F)(ii) (“Appeals to the
district courts of appeal of nonfinal orders [include] those that … deny a
motion that … asserts entitlement to immunity under section 768.28(9),
Florida Statutes ….”); § 768.28(9)(a), Fla. Stat. (2020) (“No officer,
employee, or agent of the state or of any of its subdivisions shall be held
personally liable in tort or named as a party defendant in any action for
any injury or damage suffered as a result of any act, event, or omission of
action in the scope of her or his employment or function, unless such
officer, employee, or agent acted in bad faith or with malicious purpose or
in a manner exhibiting wanton and willful disregard of human rights,
safety, or property.”).

   Our holding in case number 4D22-1007—that the public official was
entitled to dismissal with prejudice at the pleading stage based on common
law absolutely immunity—moots the public official’s argument in case
number 4D22-1030 for immunity under section 768.28(9)(a).

    However, to the extent our common law absolute immunity holding in
case number 4D22-1007 may be subject to review which necessitates our
reaching the merits in case number 4D22-1030, our holding in case
number 4D22-1030 would have been that the public official was not
entitled to dismissal at the pleading stage for immunity under section
768.28(9)(a). Although the landowners’ complaint pleads that the public
official acted in the scope of her official duties, the landowners’ complaint
also pleads the public official acted in bad faith or with malicious purpose,
thus precluding the public official from obtaining dismissal at the pleading
stage based on immunity under section 768.28(9)(a).

   We present this opinion in three parts:
   1. The landowners’ complaint;
   2. Our certiorari review of the absolute immunity argument; and
   3. Our rule 9.130 review of the section 768.28(9)(a) argument.

                                     2
                     1. The Landowners’ Complaint

   Respondents-Appellees Jupiter Island Compound LLC and Dolphin
Suite LLC (collectively, “the landowners”) sued Joyce Bullen Gay (“the
public official”) for engaging in tortious interference while serving as the
Town of Jupiter Island’s Impact Review Committee chairperson. The
landowners also sued three Town residents—Adena Testa, Anne Geddes
and Michael Brooks—who allegedly conspired with the public official to
commit the tortious interference. In the complaint, the landowners
materially alleged, in pertinent part, as follows.

    The landowners’ properties are located in the Town of Jupiter Island
and face the Atlantic Ocean. The landowners intended to construct beach
houses on their respective properties.       To properly submit their
construction applications to the Town, the landowners retained various
professionals whose services required payment on an hourly basis. One
of the landowners submitted their construction application to the Town in
November 2020, and the other landowner submitted their application to
the Town in March 2021.

    The Town’s Code of Ordinances required the landowners to obtain
approval of their construction applications from the Town’s appointed five-
person Impact Review Committee (“the IRC”). The IRC’s duty was to
ensure the landowners’ proposed construction: (i) would not adversely
affect the public interest; and (ii) would conform with the Town’s
neighborhood character. IRC members sat as quasi-judicial officers and
were required to disclose ex parte communications which they had with
other people regarding the landowners’ construction applications. Those
disclosures would have allowed the landowners to seek to disqualify IRC
members for possible bias before having their construction applications
determined.

     When the landowners submitted their construction applications to the
IRC, the public official was the IRC chair. According to the landowners’
complaint, as the IRC chair, the public official’s duties included: (i) helping
other IRC members gather information to support or deny an application;
(ii) setting the agenda, timing, and tone of any hearing; (iii) controlling the
timing and participation of individuals at any hearing; (iv) testing other
IRC members’ viewpoints and shifting viewpoints of a hearing into a
certain direction; and (v) delaying any hearing if she deemed it necessary.

    The landowners’ complaint further alleged that although the public
official was aware the landowners’ applications had satisfied the IRC’s

                                      3
approval criteria, the public official embarked upon a series of acts with
her three co-conspirators to delay the landowners’ applications and
interfere with their relationships with their retained professionals. The
landowners’ complaint detailed the public official’s acts as follows.

    Sometime in or before February 2021, the public official had oral
communications with Testa and Geddes to discuss the goals of delaying,
and preventing the approval of, the landowners’ construction applications.
Testa and Geddes then recruited Brooks to join the effort. Brooks initiated
meetings between Testa, Geddes, and other Town residents to spread a
false narrative surrounding the landowners’ applications so that the public
official could delay approval and increase the landowners’ costs.

   On March 4, 2021, the IRC held a hearing at which it initially
considered the first landowner’s construction application.

   On March 6, 2021, the public official e-mailed Testa, stating that an
environmental organization official would be calling to advise of the
possibilities of having the landowners’ parcels designated for conservation.
The public official also asked Testa if she and her husband would make a
substantial cash donation to the environmental organization.

   On March 23, 2021, after the public official learned that the second
landowner had submitted their construction application, the public official
e-mailed Geddes and Testa with the following message:

      Just got my [IRC] package today … another house on the
      ocean parcel. Get to work. I will go down to prevent [approvals
      before the IRC] from happening. Hope you can help. Sorry
      about this but another set of letters may be necessary. …

    Geddes and Testa then prepared letters making allegedly false
statements that the landowners’ planned construction would destroy
beach dunes on their parcels and would cause severe environmental harm
to the Town.

    Throughout the remainder of March 2021, the public official allegedly:
(i) attended private, in-person meetings with Testa and Geddes; (ii)
introduced Testa to other Town residents who could help provide financial
support to further interfere with the landowners’ construction
applications; (iii) indicated she would try to sway other IRC members to
delay and deny the applications; and (iv) directed Testa and Geddes to
obtain other IRC members’ commitments to deny the applications.

                                     4
   On April 1, 2021, the IRC held another hearing at which it considered
both landowners’ construction applications. The public official began the
meeting by requiring all IRC members to disclose any ex parte
communications which they had with other people regarding the
landowners’ construction applications. The public official falsely stated:
“I … have had no ex parte communications.”

   On May 28, 2021, the public official e-mailed Testa, stating, in
pertinent part:

         We have received our packs for the [June 3, 2021, IRC]
      meeting. Not a mention of any information from the residents
      who oppose the development. … Our information has been
      presented to us as if NOTHING is disputed. …

         Time to sue the town … I guess.

   On June 3, 2021, the IRC held another hearing at which it considered
both landowners’ construction applications. During the disclosure period,
the public official falsely stated: “I have had no ex parte communications.
Let me just think. No, no ex parte communication. … I have spoken to
no one.” After discussion, the IRC voted 3-2 to approve the first
landowner’s application, with the public official being one of the “no” votes.

   On August 5, 2021, the IRC held another hearing at which it considered
the second landowner’s application. During the disclosure period, the
public official falsely stated: “I have had no ex parte communications.”
After discussion, the IRC voted 3-2 to approve the second landowner’s
application, with the public official being one of the “no” votes.

   Testa—with Geddes’ assistance—appealed to the Town Commission the
IRC’s approval of the first landowner’s construction application. By this
time, Brooks had been elected to the Town Commission.

   On August 17, 2021, the Town Commission held a hearing to consider
Testa’s appeal. Brooks did not disclose his prior communications with
Testa and Geddes before having been elected to the Town Commission.
The Town Commission voted 4-1 to overturn the IRC’s approval of the first
landowner’s construction application, with Brooks being one of the votes
to overturn the approval.

   Following the Town Commission’s ruling, the landowners served
various public records requests. Through these requests, the landowners
discovered that the public official, Testa, Geddes, and Brooks had engaged

                                      5
in efforts to delay the landowners’ construction applications in order to
cause damages to the landowners during the IRC process.

   The landowners’ complaint then pled causes of action against—
individually—the public official, Testa, Geddes, and Brooks.

   The landowners’ cause of action against the public official was for
tortious interference. The landowners alleged, in pertinent part:

         [The public official] knew of the substantial business
      relationships that [the landowners] had with third party
      consultants and professionals, and that any delays of the IRC
      process would result in additional expenses and damages to
      [the landowners].

         Likewise, [the public official] knew that the [the
      landowners’] Applications met the IRC’s criteria and that [the
      landowners] thereby had a legitimate expectation of procuring
      Town approval for the proposed developments.

          Rather than make the proper disclosures as required by
      law to allow [the landowners] to properly disqualify [the public
      official’s] participation in any of the multiple IRC hearings,
      [the public official] elected to conceal such information and
      falsely represent her intentions to create, delay, and prevent
      any development on the [landowners’] waterfront parcels of
      land … by denying the [the landowners’] Applications.

         [The public official] knew of her ethical and legal
      obligations to disclose all communications with Testa and
      Geddes, and that acts of concealment would be illegal, as well
      as detrimental to [the landowners].

         [The public official] elected to violate Florida and local laws
      so that she could continue to sit as the chair of the IRC and
      harm [the landowners].

         There is no valid justification for [the public official’s]
      behavior, specifically:

      a. concealing   the    existence   of     highly    relevant
         communications indicating her bias and impermissible
         motive surrounding the [landowners’] Applications;

                                      6
       b. lying to others at the IRC hearings whereupon [the public
          official]  contended     she   did   not  have    written
          communications with others; and

       c. utilizing Testa as a tool to communicate with other IRC
          members surrounding the [landowners’] Applications in an
          effort to create delay and undue influence in a quasi-
          judicial setting.

          Indeed, as detailed herein, [the public official] acted with
       malice and used improper means and methods to interfere
       with [the landowners’] substantial and legitimate business
       relationships and economic advantages.

          As a result of [the public official’s] activities, [the
       landowners] have been harmed.

(paragraph numbers omitted).

    The landowners’ individual causes of action against Testa, Geddes, and
Brooks were for conspiracy to tortiously interfere. Those causes of action
alleged that Testa, Geddes, and Brooks each had:

   •   “conspired with and assisted [the public official’s] efforts at delaying
       and denying [the landowners’] Applications”;

   •   “[been] part of an agreement with [the public official] to cause harm
       to [the landowners]”;

   •   “substantially acted and assisted [the public official] in furtherance
       of her efforts to delay and damage [the landowners]”; and

   •   “acted with malice and used improper means and methods to
       interfere with [the landowners’] substantial business relationships.”

   The public official filed a motion to dismiss the landowners’ action
against her on the basis of: (1) common law absolute immunity; and (2)
immunity under section 768.28(9)(a), Florida Statutes (2020). The circuit
court entered an order summarily denying the public official’s motion to
dismiss, without providing any differentiation between the public official’s
common law absolute immunity argument and her argument for immunity
under section 768.28(9)(a). From that order, the public official filed the
cases now before us—her certiorari petition in case number 4D22-1007,
and her rule 9.130 appeal in case number 4D22-1030.

                                       7
    2. Our Certiorari Review of the Absolute Immunity Argument

   “[C]ertiorari [review] [is] an appropriate method of challenging the
denial of a motion to dismiss based upon principles of immunity from
suit.” Crowder v. Barbati, 987 So. 2d 166, 167 (Fla. 4th DCA 2008). More
specifically, certiorari review is available to challenge a lower court’s denial
of a motion to dismiss a tortious interference action, when the motion to
dismiss is based on common law absolute immunity. City of Stuart v.
Monds, 10 So. 3d 1134, 1134 (Fla. 4th DCA 2009).

   As with all certiorari petitions, “[t]he petitioning party must
demonstrate that the contested order constitutes (1) a departure from the
essential requirements of the law, (2) resulting in material injury for the
remainder of the case, (3) that cannot be corrected on postjudgment
appeal.” Bd. of Trs. of Internal Improvement Tr. Fund v. Am. Educ. Enters.,
LLC, 99 So. 3d 450, 454 (Fla. 2012) (citations, alteration and internal
quotation marks omitted).

    Further, as with the review of any motion to dismiss, we look only to
the four corners of the landowners’ complaint, accept the landowners’
allegations as true, and view all reasonable inferences arising therefrom in
their favor. See Peterson v. Pollack, 290 So. 3d 102, 105, 109 (Fla. 4th
DCA 2020) (“[I]n reviewing a motion to dismiss, a court may not go beyond
the four corners of the complaint and must accept the allegations therein
as true, viewing all reasonable inferences arising therefrom in favor of the
plaintiff.”) (citation omitted).

   Under Florida common law, absolute immunity for words spoken or
written by public servants—however false, malicious, or badly motivated
the words may be—extends to public servants in judicial and legislative
activities, and to county and municipal officials in legislative or quasi-
legislative activities. Hauser v. Urchisin, 231 So. 2d 6, 8 (Fla. 1970).

  Our supreme court has described the basis for common law absolute
immunity as follows:

         [Common law absolute immunity is] based chiefly upon a
      recognition of the necessity that certain persons, because of
      their special position or status, should be as free as possible
      from fear that their actions in that position might have an
      adverse effect upon their own personal interests.           To
      accomplish this, it is necessary for them to be protected not
      only from civil liability, but also from the danger of even an

                                       8
      unsuccessful civil action. To this end, it is necessary that the
      propriety of their conduct not be inquired into indirectly by
      either court or jury in civil proceedings brought against them
      for misconduct in their position. Therefor[e] the privilege, or
      immunity, is absolute and the protection that it affords is
      complete. [The immunity] is not conditioned upon the …
      absence of ill will on the part of the actor.

Fridovich v. Fridovich, 598 So. 2d 65, 68 (Fla. 1992) (quoting Restatement
(Second) of Torts § 584, at 243) (emphasis omitted).

   Adding to our supreme court’s description of the basis for common law
absolute immunity, we have described the controlling factor in deciding
when common law absolute immunity applies:

          The controlling factor in deciding whether the absolute
      privilege applies is whether the communication was within the
      scope of the [public official’s] duties. The scope of [a public
      official’s] duties is to be liberally construed. The term “duties”
      is not confined to those things required of the [public official],
      but rather extends to all matters which [the public official] is
      authorized to perform. Because the balancing of interests
      favors the public official, it is considered better to leave
      unredressed the wrongs done by dishonest [public officials]
      than to subject those who try to do their duty to the constant
      dread of retaliation.

Cassell v. India, 964 So. 2d 190, 194 (Fla. 4th DCA 2007) (internal
citations and other quotation marks omitted). See also Cameron v.
Jastremski, 246 So. 3d 385, 387-88 (Fla. 4th DCA 2018) (“Conduct is
within the scope of one’s employment if it is the type of conduct which the
employee is hired to perform, the conduct occurs substantially within the
time and space limits authorized or requested by the work to be performed,
and the conduct is activated at least in part by a purpose to serve the
employer.”) (citations omitted).

   Here, we agree with the public official’s argument that, as pled in the
landowners’ complaint, her alleged tortious interference occurred in the
scope of her duties as an IRC member and as its chair.

   More specifically, as pled in the landowners’ complaint, the IRC’s duty
was to ensure the landowners’ proposed construction: (i) would not
adversely affect the public interest; and (ii) would conform with the Town’s
neighborhood character. In our reading of the landowners’ complaint, and

                                      9
accepting the landowners’ allegations as true, the public official’s actions
were indeed driven to serve those ends—albeit using false, malicious, and
badly-motivated means to accomplish those ends.

   Further, as pled in the landowners’ complaint, the public official’s
duties, as the IRC chair, included: (i) helping other IRC members gather
information to support or deny an application; (ii) setting the agenda,
timing, and tone of any hearing; (iii) controlling the timing and
participation of individuals at any hearing; (iv) testing other IRC members’
viewpoints and shifting viewpoints of a hearing into a certain direction;
and (v) delaying any hearing if she deemed it necessary. In our view, all of
the actions which the landowners’ complaint alleges the public official
undertook—in an attempt to delay or defeat the landowners’ construction
applications—fall under those duties, regardless of whether those actions
occurred outside of, or during, an IRC meeting, and however false,
malicious, or badly motivated those actions may have been.

    At its core, the landowners’ tortious interference action ultimately
focuses on the public official’s multiple failures to disclose, and her
multiple false representations regarding, her ex parte communications
regarding the landowners’ construction applications. However, as our
supreme court made clear in Hauser and Fridovich, the landowners’
allegations that the public official falsely and repeatedly stated she had
not engaged in ex parte communications regarding the landowners’
construction applications is not relevant to whether those actions occurred
in the scope of her duties as an IRC member and as its chair. Hauser, 231
So. 2d at 8; Fridovich, 598 So. 2d at 68. As we held in Cassell, the fact
that the public official had the authority—as an IRC member and as its
chair—to address the landowners’ construction applications was sufficient
to bring her statements within the scope of her duties, regardless of
whether those statements were false. 964 So. 2d at 195. Further, the fact
that the landowners may view the public official’s statements as having an
unworthy or non-public purpose does not destroy her common law
absolute immunity. Id.

    In sum, we conclude the public official has demonstrated that the
circuit court’s order denying her motion to dismiss based on common law
absolute immunity constitutes: (1) a departure from the essential
requirements of the law, (2) resulting in material injury for the remainder
of the case, (3) that cannot be corrected on postjudgment appeal.

   Thus, we grant the public official’s certiorari petition in case number
4D22-1007. We direct the circuit court, on remand, to vacate its prior
order and issue a final judgment granting the public official’s motion to

                                    10
dismiss the landowners’ action against her with prejudice based on
common law absolute immunity. See Blake v. City of Port Saint Lucie, 73
So. 3d 905, 907 (Fla. 4th DCA 2011) (“We conclude that dismissal with
prejudice can occur at the pleading stage where, as here, the plaintiff
alleges that the public official made the statements within the scope of the
official’s duties.”).

                    3. Our Rule 9.130 Review of the
                Section 768.28(9)(a) Immunity Argument

    As stated above, to the extent our granting the public official’s certiorari
petition in case number 4D22-1007 may be subject to review, we shall
proceed with our rule 9.130 review in case number 4D22-1030, to consider
whether the public official was entitled to dismissal at the pleading stage
for immunity under section 768.28(9)(a), Florida Statutes (2020).

    For that issue, our standard of review is de novo. See Peterson, 290 So.
3d at 108 (whether a state employee or agent is entitled to section
768.28(9)(a) immunity is a pure question of law reviewed de novo) (citation
omitted); Execu–Tech Bus. Sys., Inc. v. New Oji Paper Co., 752 So. 2d 582,
584 (Fla. 2000) (“A trial court’s ruling on a motion to dismiss based on a
question of law is subject to de novo review.”). Again, we look only to the
four corners of the landowners’ complaint, accept the landowners’
allegations as true, and view all reasonable inferences arising therefrom in
their favor. Peterson, 290 So. 3d at 109.

   Section 768.28(9)(a) provides:

          No officer, employee, or agent of the state or of any of its
      subdivisions shall be held personally liable in tort or named
      as a party defendant in any action for any injury or damage
      suffered as a result of any act, event, or omission of action in
      the scope of her or his employment or function, unless such
      officer, employee, or agent acted in bad faith or with malicious
      purpose or in a manner exhibiting wanton and willful
      disregard of human rights, safety, or property.

§ 768.28(9)(a), Fla. Stat. (2020) (emphasis added).

   Section 768.28(9)(a) immunity can extend to appointed municipal
committee members—such as the public official in this case—if section
768.28(9)(a)’s requirements are satisfied. See § 768.1355(3), Fla. Stat.
(2020) (“Members of elected or appointed boards, councils, and
commissions of the state, counties, municipalities, authorities, and special

                                      11
districts shall incur no civil liability and shall have immunity from suit as
provided in s. 768.28 for acts or omissions by members relating to
members’ conduct of their official duties. …”).

    Because we already have concluded the landowners’ complaint facially
pleads that the public official’s alleged tortious interference actions
occurred in the scope of her official duties, the issue remaining before us
is whether the landowners’ complaint sufficiently alleged that the public
official nevertheless acted “in bad faith” or “with malicious purpose,” thus
precluding the public official from obtaining dismissal at the pleading
stage based on immunity under section 768.28(9)(a). The issue of whether
the public official acted “in a manner exhibiting wanton and willful
disregard of human rights, safety, or property” is not before us.

    We initially acknowledge that the landowners’ complaint does not
expressly use the section 768.28(9)(a) phrases “in bad faith” or “with
malicious purpose” to characterize the public official’s alleged actions.
Instead, the landowners’ complaint, after specifying the public official’s
alleged actions, summarizes that the public official “acted with malice and
used improper means and methods” to interfere with the landowners’
business relationships.

   However, we do not view the complaint’s non-use of the section
768.28(9)(a) phrases “in bad faith” or “with malicious purpose” as causing
the complaint to have been insufficiently pled. Rather, viewing all
reasonable inferences arising from the landowners’ complaint in their
favor, we consider whether the landowners’ allegations could demonstrate
that the public official acted “in bad faith” or “with malicious purpose” to
preclude section 768.28(9)(a) immunity. See Peterson, 290 So. 3d at 110
(concluding that although the plaintiffs’ amended complaint contained no
specific allegation describing how a deputy’s conduct fit those synonymous
phrases, “we can foresee how a reasonable trier of fact could find that the
deputy’s alleged conduct, in certain respects, meets those standards”).

    As we have previously observed, “the Florida Statutes do not define the
phrases ‘in bad faith’ or ‘with malicious purpose’ … as those phrases are
used in section 768.28(9)(a).” Id. at 109. But we have recognized that
“[t]he phrase ‘bad faith,’ as used in section 768.28(9)(a), has been equated
with the actual malice standard.” Id. (citation and other internal quotation
marks omitted). And we have recognized that “[t]he phrase ‘malicious
purpose,’ as used in section 768.28(9)(a), has been interpreted as meaning
the conduct was committed with ill will, hatred, spite, [or] an evil intent.”
Id. (citation and other internal quotation marks omitted). “Or perhaps

                                     12
stated more simply, the subjective intent to do wrong.” Id. (citation and
internal quotation marks omitted).

   Applying those definitions to the allegations contained in the four
corners of the landowners’ complaint, the complaint sufficiently pleads the
public official acted “in bad faith” or “with malicious purpose,” thus
precluding the public official from obtaining dismissal at the pleading
stage based on immunity under section 768.28(9)(a). According to the
complaint:

   •   Although the public official was aware the landowners’ applications
       had satisfied the IRC’s approval criteria, the public official allegedly
       embarked upon a series of acts with her three co-conspirators to
       delay the landowners’ applications and interfere with their
       relationships with their retained professionals.

   •   Those alleged acts included spreading a false narrative surrounding
       the landowners’ applications so that the public official could delay
       approval and increase the landowners’ costs; notifying Testa that an
       environmental organization official would advise of the possibilities
       of having the landowners’ parcels designated for conservation, while
       asking Testa and her husband to make a substantial cash donation
       to that environmental organization; and directing Testa and Geddes
       to engage in a second letter-writing campaign, which letters made
       allegedly false statements that the landowners’ planned
       construction would destroy beach dunes on their parcels and would
       cause severe environmental harm to the Town.

   •   Lastly, the public official—at three separate IRC meetings—failed to
       disclose, and instead falsely stated, she had not had any ex parte
       communications       regarding     the   landowners’       construction
       applications. Even though the IRC ultimately voted to approve the
       construction applications, the public official’s timely prior disclosure
       of such ex parte communications would have allowed the
       landowners to seek to disqualify the public official for bias before
       having their construction applications determined.

   Based on the foregoing, the landowners’ complaint sufficiently alleged
the public official’s actions showed “the subjective intent to do wrong,” i.e.,
that she acted “in bad faith” or “with malicious purpose.” Peterson, 290
So. 3d at 109. Thus, we conclude the public official was not entitled to
dismissal at the pleading stage based on immunity under section
768.28(9)(a).

                                      13
                                 Conclusion

    In sum, we conclude the public official was entitled to dismissal at the
pleading stage based on common law absolute immunity because, as pled
in the landowners’ complaint, her alleged tortious interference occurred in
the scope of her official duties. We therefore grant the public official’s
certiorari petition in case number 4D22-1007. As stated above, we direct
the circuit court, on remand, to vacate its prior order and issue a final
judgment granting the public official’s motion to dismiss the landowners’
action against her with prejudice based on common law absolute
immunity.

    Our holding in case number 4D22-1007—that the public official was
entitled to dismissal with prejudice at the pleading stage based on common
law absolutely immunity—moots the public official’s argument in case
number 4D22-1030 for immunity under section 768.28(9)(a). However, to
the extent our common law absolute immunity holding in case number
4D22-1007 may be subject to review which necessitates our reaching the
merits in case number 4D22-1030, our holding in case number 4D22-
1030 would have been that the public official was not entitled to dismissal
at the pleading stage for immunity under section 768.28(9)(a).

   We make two final points for clarity’s sake in issuing this opinion.

   First, in neither case number 4D22-1007 nor case number 4D22-1030
have we reached the issues of whether the landowners’ complaint stated a
cause of action for tortious interference, or whether such a cause of action
would have been meritorious. Nothing in this opinion should be construed
as commenting on those issues.

    Second, earlier in these cases, we accepted Testa’s notice of joinder and
permitted Testa to either file briefs limited to supporting the public
official’s petition, or formally adopting the public official’s petition. Testa
chose to file briefs. However, Testa’s briefs went beyond supporting the
public official’s petition, by requesting us to direct the circuit court to
dismiss the action with prejudice as to all defendants, including her. Testa
argued that precluding the landowners from pursuing their tortious
interference action against the public official would derivatively preclude
the landowners from pursuing their individual conspiracy actions against
Testa, Geddes, and Brooks. See, e.g., Palm Beach Cnty. Health Care Dist.
v. Pro. Med. Educ., Inc., 13 So. 3d 1090, 1096 (Fla. 4th DCA 2009) (“An act
which does not constitute a basis for an action against one person cannot
be made the basis of a civil action for conspiracy.”). However, we cannot
consider Testa’s request, because the circuit court has not reviewed such

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a request in the first instance. Our opinion is without prejudice to Testa
(or the other defendants) making this request to the circuit court on
remand. Nothing in this opinion should be construed as commenting on
the merits of that request.

    Certiorari petition granted in case number 4D22-1007; non-final appeal
in case number 4D22-1030 dismissed as moot.

LEVINE and CONNER, JJ., concur.

                           *        *        *

   Not final until disposition of timely filed motion for rehearing.

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