Court Opinion

ID: 9841133
Source: CourtListenerOpinion
Date Created: 2023-09-21 15:01:28.577736+00
Date Added: 2024-06-11T08:40:07.811796
License: Public Domain

UNITED STATES DISTRICT COURT
                            FOR THE DISTRICT OF COLUMBIA

JAMES TRINKA,                                    :
                                                 :
       Plaintiff,                                :       Civil Action No.:      21-2904 (RC)
                                                 :
       v.                                        :       Re Document Nos.:      14, 15
                                                 :
DENIS MCDONOUGH, et al.,                         :
                                                 :
       Defendants.                               :

                                 MEMORANDUM OPINION

GRANTING IN PART AND DENYING IN PART WITHOUT PREJUDICE DEFENDANTS’ MOTION FOR
 SUMMARY JUDGMENT; GRANTING IN PART AND DENYING IN PART WITHOUT PREJUDICE
PLAINTIFF’S CROSS-MOTION FOR SUMMARY JUDGMENT; AND REMANDING TO THE AGENCY

                                       INTRODUCTION

       Plaintiff James Trinka (“Plaintiff” or “Trinka”) brings the instant action against the

United States Department of Veterans Affairs (the “VA”) and Secretary of Veterans Affairs

Denis McDonough (the “Secretary”) (collectively, “Defendants”) to challenge the termination of

his employment as a career appointee in the Senior Executive Service of the VA. Specifically,

the VA removed Trinka from his position for conduct unbecoming a federal supervisor because,

according to the VA’s Office of Accountability and Whistleblower Protection (“OAWP”),

Trinka provided false or inaccurate information to the VA Office of Inspector General (“OIG”)

when he stated during an interview that he had disclosed his wife’s undocumented immigration

status to three supervisors. Trinka now raises various claims. First, he claims that his

termination violated the Due Process Clause of the Fifth Amendment because Defendants denied

him access to certain evidence, an evidentiary hearing, and a meaningful opportunity to be heard;

relied improperly on ex parte communications; applied an unconstitutional evidentiary standard;

and unlawfully applied 38 U.S.C. § 713 retroactively. Compl. ¶¶ 208–62, ECF No. 1. Second,
Trinka claims that his removal was not in accordance with the law because it violated the Due

Process Clause, 38 U.S.C. § 713, and the VA’s policies and procedures as set out in its Corporate

Senior Executive Management Office Letter No: 006-17-1 – Senior Executive Accountability

and Grievance Procedures (“CSEMO Letter”). Id. ¶¶ 263–83. Third, Trinka claims that his

termination was arbitrary, capricious, and/or an abuse of discretion. Id. ¶¶ 290–307. Fourth, and

finally, Trinka claims that his termination was not supported by substantial evidence. Id. ¶¶

308–19.

       Defendants and Trinka have filed cross-motions for summary judgment. For the reasons

explained below, the Court grants in part and denies in part without prejudice Defendants’

motion for summary judgment. Further, the Court grants in part and denies without prejudice

Trinka’s cross-motion for summary judgment. Finally, the Court remands the matter to the

agency for further consideration consistent with this Opinion.

                                        BACKGROUND

                           A. Statutory and Regulatory Framework

                                  1. Civil Service Reform Act

       The Civil Service Reform Act of 1978 (“CSRA”) “provides a ‘framework for evaluating

adverse personnel actions against federal employees’ and ‘prescribes in great detail the

protections and remedies applicable to such action, including the availability of administrative

and judicial review.’” Esparraguera v. Dep’t of the Army, No. 21-cv-421, 2022 WL 873513, at

*1 (D.D.C. Mar. 24, 2022), appeal docketed, No. 22-5150 (D.C. Cir. 2022) (quoting United

States v. Fausto, 484 U.S. 439, 443 (1988)). Established by Congress in Title IV of the CSRA,

see Senior Executives Ass’n v. United States, 576 F. Supp. 1207, 1209 (D.D.C. 1983), the Senior

Executive Service (“SES”) “is a division of ‘high-level’ federal employees who wield

                                                2
‘significant responsibility—including directing organizational units, supervising work, and

determining policy,’” Esparraguera, 2022 WL 873513, at *1 (citation omitted).

                                        2. 38 U.S.C. § 713

        On June 23, 2017, Congress enacted the Department of Veterans Affairs Accountability

and Whistleblower Protection Act of 2017 (the “Act”). Sayers v. Dep’t of Veterans Affs., 954

F.3d 1370, 1374 (Fed. Cir. 2020) (citing Pub. L. No. 115-41, 131 Stat. 862). Among other

provisions, the Act established the VA’s OAWP, see Pub. L. No. 115-41, 131 Stat. at 863, tasked

with “[a]dvising the Secretary on all matters of the Department relating to accountability,

including accountability of employees of the Department, retaliation against whistleblowers, and

such matters as the Secretary considers similar and affect public trust in the Department,” 38

U.S.C. § 323(c). The Act also amended 38 U.S.C. § 713, relating to the removal of Senior

Executives from the VA. See Pub. L. No. 115-41, 131 Stat. at 868.

        Pursuant to Section 713, the Secretary of Veterans Affairs may “reprimand or suspend,

involuntarily reassign, demote, or remove a covered individual from a senior executive position

at the Department if the Secretary determines that the misconduct or performance of the covered

individual warrants such action.” 38 U.S.C. § 713(a)(1). One who is subject to such an action is

then entitled to:

        (A) advance notice of the action and a file containing all evidence in support of the
        proposed action;
        (B) be represented by an attorney or other representative of the covered individual's
        choice; and
        (C) grieve the action in accordance with an internal grievance process that the Secretary,
        in consultation with the Assistant Secretary for Accountability and Whistleblower
        Protection, shall establish for purposes of this subsection.

Id. § 713(b)(1). In total, “[t]he aggregate period for notice, response, and decision” on the action

“may not exceed 15 business days.” Id. § 713(b)(2)(A). The Senior Executive is accorded seven

                                                 3
business days to respond to the advance notice, id. § 713(b)(2)(B); the decision must then be

issued no later than 15 business days after notice of the action is provided to the Senior

Executive, id. § 713(b)(2)(C); and the grievance process established by the Secretary must

“take[] fewer than 21 days,” id. § 713(b)(3).

       The statute then provides for judicial review to any “covered individual adversely

affected by a decision . . . that is not grieved, or by a grievance decision.” Id. § 713(b)(5). The

court conducting the judicial review must set aside VA action found to be:

       (A) arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with a
       provision of law;
       (B) obtained without procedures required by a provision of law having been followed; or
       (C) unsupported by substantial evidence.

Id. § 713(b)(6). This section does not specify the court to conduct this judicial review. But the

Federal Circuit has determined that the federal district courts have jurisdiction to review final

grievance decisions governed by 38 U.S.C. § 713(b)(5). See Order, McLafferty v. Wilkie, No.

20-1772, at 2 (Fed. Cir. Aug. 31, 2020), ECF No. 10.

                                         B. Agency Policy

       In July 2017, the VA issued the CSEMO Letter, which provided procedures for

implementing, among other statutory provisions, 38 U.S.C. § 713. CSEMO Letter § 1, Tab R of

Joint App. at 384, ECF No. 22-3. Allegations of misconduct, poor performance, or

whistleblower retaliation involving Senior Executives are referred to OAWP. Id. § 7.a.i. Upon

conclusion of OAWP’s investigation, OAWP and the VA Office of General Counsel (“OGC”)

must brief the Secretary or his or her designee “on the results of the investigation and whether

disciplinary action is recommended,” with the recommendation being “limited to whether

disciplinary action should be pursued.” Id. § 7.a.iii.3.

                                                  4
       Should the Secretary or the designee concur with the recommendation, a Proposing

Official must be “briefed regarding the results of the investigation and the evidence gathered.”

Id. § 7.a.iii.4. This Proposing Official will then “review the available evidence to determine

whether a Reprimand, Suspension, Demotion, or Removal should be proposed; or whether no

action is warranted.” Id. § 7.b.i. In proposing a penalty, “‘no action’ may be warranted if the

Proposing Official determines, by Substantial Evidence, that the evidence does not support any

of the allegations against the Senior Executive.” Id. § 7.b.ii. The Proposing Official will provide

a copy of the Proposal to the Senior Executive, who then has seven business days after receiving

the Proposal to respond, in writing, to the Deciding Official. Id. §§ 7.d.i., ii. Within 15 business

days of the date of the Proposal, the Deciding Official must “issue an Initial Decision, after

independently reviewing the Proposal, the evidence being relied upon, and considering the

Senior Executive’s reply.” Id. § 7.d.v. In total, “[t]he aggregate period for notice, reply, and

Initial Decision on a proposed action may not exceed 15 business days.” Id. § 7.d.vi.

       A Senior Executive who receives an Initial Decision is entitled to grieve the Initial

Decision to a Grievance Official and must submit such a grievance within seven business days

from the date of receipt of the Initial Decision. Id. § 8.a.iii.2. The grievance must contain “[t]he

reasons for which the individual believes that the action was not supported by Substantial

Evidence; is arbitrary, capricious, an abuse of discretion, or otherwise not in accordance with a

provision of law; or obtained without procedures required by a provision of law having been

followed.” Id. § 8.a.ii. Within 20 calendar days of receiving the grievance, the Grievance

Official will issue a recommendation to the Secretary through OAWP on the grievance. Id. §

8.a.iii.4. After reviewing the record, the Secretary will then issue a Final Decision. Id. §

8.a.iii.5. The Final Decision “will not uphold an Initial Decision” if the Secretary determines

                                                 5
that the action was not supported by Substantial Evidence; arbitrary, capricious, an abuse of

discretion, or otherwise not in accordance with a provision of law; or obtained without

procedures required by a provision of law having been followed. Id. § 8.a.iii.6. The Final

Decision is then subject to judicial review under 38 U.S.C. §§ 713(b)(4)–(6). Id. § 8.a.iii.7.

       The CSEMO Letter also specifies that the “‘Standard of Proof’ refers to the degree of

evidence necessary to sustain an action taken under 38 U.S.C. § 713,” and that, “[f]or actions

taken under this authority, Substantial Evidence is the Standard of Proof.” Id. § 6.gg. The

CSEMO Letter further defines “Substantial Evidence” to mean “relevant evidence that a

reasonable person, considering the record as a whole, might accept as adequate to support a

conclusion, even though other reasonable persons might disagree.” Id. § 6.hh.

                            C. Factual and Procedural Background

       Trinka first joined the VA in a career SES position on January 25, 2012. Compl. ¶ 80. In

June 2014, he was assigned to serve as Chief Learning Officer for the VA’s Office of

Information and Technology. Id. ¶ 81. Trinka was then promoted to Chief Talent Management

Officer of the Office of Information and Technology in July 2017. Id. ¶ 82. He had previously

also served as the Director of Leadership and Organizational Effectiveness at the Internal

Revenue Service (“IRS”). Id. ¶ 79.

       Around May 2014, id. ¶ 100, OIG began an investigation involving Trinka “based on

information received from a special agent with [the Department of Homeland Security,

Homeland Security Investigations],” which “alerted OIG that an email sent to [Plaintiff]’s VA

email account was from an individual believed to be involved in a sex trafficking organization,”

Joint App. at 327, ECF No. 22. In August 2014, Trinka submitted an Electronic Questionnaire

for Investigations Processing (“e-QIP”) form that stated incorrectly on one page that his wife,

                                                 6
Piyaporn Trinka, had been born in the United States and was a United States citizen. Compl. ¶¶

95–96. On another page of the e-QIP form, however, Trinka stated correctly that his wife’s

place and country of birth was Chiang Rai, Thailand. Id. ¶ 96. During a supplemental interview

with the Office of Personnel Management’s Federal Investigative Services, Trinka told

investigators that he had, among other errors included on his e-QIP form, mistakenly listed his

spouse as a U.S. citizen. Id. ¶¶ 97–98. Trinka allegedly did not, however, disclose to the

investigators that his wife had been in the United States illegally. Joint App. at 3.

       In December 2018, OIG asked John Oswalt, Trinka’s supervisor, to escort Plaintiff to

OIG for an interview. Compl. ¶ 103. During this walk, Trinka told Oswalt that “he believed the

interview may be regarding his wife’s immigration and/or citizenship status,” and that “his wife

had no legal immigration status.” Id. The interview with OIG was then delayed until later that

month, when OIG interviewed Trinka by telephone. Id. ¶¶ 104–05. OIG’s interview with Trinka

on December 21, 2018 was recorded. Id. ¶ 106; Joint App. at 303. According to the OIG’s

Memorandum of Interview dated April 24, 2019, Trinka learned in 2011 that his future spouse

was in the country illegally. Joint App. at 303. They married in December 2013. Id. Using his

wife’s IRS-assigned Tax Identification Number, Trinka obtained a military dependent

identification card for his wife, which allowed her to obtain health insurance through Trinka’s

military retirement benefits. Id. Trinka also listed this tax ID number in lieu of a Social Security

number on various forms to apply for federal health and life insurance benefits for his wife. Id.

at 304; Compl. ¶ 91. Trinka allegedly told OIG that, having previously worked for the IRS, he

“knew that the first three digits of his wife’s tax ID number meant it was issued to someone with

no lawful immigration status.” Joint App. at 304; see also Compl. ¶ 93.

                                                  7
        OIG’s Memorandum of Interview stated further that Trinka “said he verbally disclosed

his wife’s undocumented immigration status to three different supervisors who managed him

during his tenure in the VA Office of Information Technology,” and that “none of his supervisors

had an issue with his wife’s immigration status.” Joint App. at 304. But after its interview of

Trinka, OIG then interviewed three of his supervisors: Oswalt, Richard Chandler, and Martha

Orr. Compl. ¶ 112. Oswalt told OIG that, when he escorted Trinka to OIG in December 2018,

Trinka admitted that his wife was in the country illegally; Oswalt stated that he did not know

about her immigration status prior to this date. Joint App. at 306. Both Chandler and Orr said

that Trinka had not informed them about his wife’s immigration status. Id. at 308, 310.

        In January 2020, OIG referred the matter to OAWP “for further action as appropriate,”

noting that OIG had developed evidence that Trinka made false statements in official

government records. Id. at 324–25. On July 16, 2020, OAWP provided a memorandum to

Dominic Cussatt, Principal Deputy Assistant Secretary of the Office of Information and

Technology, that stated that OAWP had concluded that Trinka “made false or inaccurate

statements or provided false or inaccurate information to the government on at least two

occasions: when completing his [e-QIP] and when he stated to OIG investigators that he had

informed three supervisors about his wife’s immigration status.” Joint App. at 1. OAWP

recommended that Trinka be removed from federal service. Id. Citing 38 U.S.C. § 323(f)(2), the

recommendation noted that, should Cussatt or his designee “fail to propose the disciplinary

action recommended in this paragraph within 60 calendar days from the date of this

memorandum,” he must then “provide OAWP with a detailed justification why the

recommended action was not proposed,” and the justification “will be provided to Congress.”

Id. at 1–2.

                                                8
       Paul Cunningham, Deputy Assistant Secretary and Chief Information Officer of the

Office of Information and Technology, was appointed the Proposing Official. Compl. ¶ 134. On

September 11, 2020, Cunningham proposed to remove Trinka from the SES and federal service

“in accordance with 38 U.S.C. § 713” based on the charge of Conduct Unbecoming a Federal

Supervisor, see Joint App. at 3, 5, with the specification that Trinka had provided “false or

inaccurate information” to OIG investigators on December 21, 2018 “when [he] stated that [he]

informed three supervisors about [his] wife’s immigration status,” id. at 3. But as background,

the memorandum also highlighted other allegedly false statements identified by OIG: the

erroneous listing of Plaintiff’s wife as a U.S. citizen on Trinka’s e-QIP and his failure to disclose

that his wife was in the United States illegally, as well as his failure to disclose her immigration

status when adding her as a dependent for life and health insurance benefits and the use of her

tax ID to obtain a military dependent identification card. Id. at 4. As aggravating factors,

Cunningham noted that “[t]he evidence demonstrate[d] that [Plaintiff had] a propensity to

misinform, mislead or otherwise provide false answers and narratives” because “[o]n numerous

occasions, it seems clear that you have willfully misinformed federal financial, insurance,

medical, and security programs on the citizenship status of your spouse.” Id. He further added

that Trinka’s “failure to disclose information seemed to be intentional[.]” Id. Although “the

investigation did not specifically state that [Plaintiff] or [his] spouse [were] currently engaged in

or affiliated with” criminal activities, it had “documented an ongoing association with several

individuals involved in known or suspected criminal activities.” Id. at 5. “[C]oupled with [his]

lack of candor and [his] spouse’s past affiliation with illegal activity,” Cunningham stated, “the

preponderance of evidence provide[d] and support[ed] a narrative of high-risk behaviors

unbecoming of the position [Plaintiff held].” Id.

                                                  9
       On September 22, 2020, in response to the proposed removal, Trinka submitted a reply

that in part emphasized that the VA had “provide[d] no evidence for its charge save hearsay”

given that it had not provided him with a transcript or recording of his interview with the VA

OIG, in violation of his constitutional due process rights. Id. at 353, 360–61. Trinka further

contended that he was not provided access to certain evidence, even though the links to this

evidence were purportedly made available to Cussatt. See id. at 361. More broadly, Trinka

alleged that 38 U.S.C. § 713 unconstitutionally limited his opportunities to contest his removal,

see id. at 355–57, and the agency violated its own internal procedures in terminating him, see id.

at 357–60.

       Then, on October 2, 2020, Cussatt issued an Initial Decision that found that “substantial

evidence support[ed] the proposed charge” and upheld the charge, specification, and penalty of

removal. Id. at 529. The Initial Decision stated that Trinka had “engaged in conduct

unbecoming a Federal Supervisor when [he] provided false and inaccurate information to [OIG]

investigators.” Id. The Initial Decision rejected the various arguments that Trinka had raised in

his reply to the Proposal. See id. at 529–34. Cussatt denied that 38 U.S.C. § 713 was

unconstitutional because it limited the window for Trinka’s response and removed the post-

termination hearing at the Merit Systems Protection Board (“MSPB”), stating that due process

required only that the agency provide Plaintiff with “notice of the charges, and explanation of the

employer’s evidence, and an opportunity to present his side of the story.” Id. at 531–32 (quoting

Young v. Dep’t of Hous. & Urb. Dev., 706 F.3d 1372, 1377 (Fed. Cir. 2013)). Not only could the

agency rely on hearsay evidence, see id. at 529, but it had provided Trinka with the evidence file

in support of the proposed action; given that the Proposing Official did not rely on a transcript or

recording of his interview with the VA OIG, the agency was not required to furnish this evidence

                                                 10
to Trinka. See id. at 530. He further explained that Trinka had been provided with the additional

evidence to which Plaintiff sought access, see id. at 533, and denied that the agency had engaged

in ex parte communications or violated its internal policies, see id. at 532, 534. Cussatt

concluded “that substantial evidence support[ed] the charge and removal [was] warranted for

such action.” Id. at 530; see also id. at 534 (“The burden of proof in this case is limited to

substantial evidence pursuant to 38 U.S.C.§ 713(6)(C). I find that the charge is supported by

substantial evidence.”); id. at 535 (“I find that pursuant to 38 U.S.C. § 713 the charge is

supported by substantial evidence. After weighing the evidence and considering the nature and

seriousness of your misconduct and the fact that you are an SES employee, I find, in accordance

with 38 U.S.C. § 713, that your conduct warrants removal from federal service.”).

       Trinka’s grievance of October 14, 2020 again demanded reversal of the proposed

removal. According to Plaintiff, not only had the agency initially informed Trinka that it was

applying a preponderance of the evidence standard to later reverse course and apply a substantial

evidence standard of proof, but hearsay evidence also could not be used to meet the agency’s

burden of proof where Trinka would not be provided a post-termination hearing. See id. at 543.

Though Trinka demanded both a post-termination name-clearing hearing and a post-termination

evidentiary hearing, he also claimed that VA officials such as the Secretary could not serve as an

independent decisionmaker as required for due process. See id. at 539–42.

       James Gfrerer, the Assistant Secretary for Information and Technology, served as the

Grievance Official. Compl. ¶ 197. Gfrerer reiterated the agency’s positions as to Trinka’s other

arguments, denying that the agency had violated Trinka’s due process rights or denied him

access to evidence. Joint App. at 743–45. Gfrerer’s grievance recommendation letter concluded,

“contrary to [Plaintiff]’s assertions to the opposite, that the charge [was] supported by substantial

                                                 11
evidence and removal [was] an appropriate penalty.” Id. at 749. In responding to Trinka’s

grievance arguments, Gfrerer specifically denied that the VA had applied an incorrect standard

of evidence. Id. at 745–46. Acknowledging that the Proposal had referred to a preponderance of

evidence, the grievance recommendation letter noted that the Proposal nevertheless “specifically

state[d] in paragraph 1 that [Plaintiff]’s proposed removal was in accordance with 38 U.S.C. §

713,” which “specifically provides the applicable standard of proof as substantial evidence.” Id.

at 745. Gfrerer also concluded that, even if it was an error for the agency to apply a

preponderance of the evidence standard, such an error “[was] harmless, because the agency

actually held itself to a higher standard than what is actually necessary, which is the substantial

level of evidence.” Id.; see also id. at 746 (“Clearly, if the agency has a preponderance of

evidence in favor of its decision, then the substantial level had to have been met. . . . The fact

that preponderance of the evidence was mentioned in the proposed removal does not have a

substantial and injurious effect or influence on the deciding official’s decision.”).

       Finally, on November 3, 2020, the Secretary sustained the penalty of removal. Id. at 751.

In his Grievance Decision, the Secretary rejected the contention that the agency had violated

Trinka’s due process rights, that Trinka was entitled to a post-determination evidentiary hearing

and a post-termination name-clearing hearing, and that he had been denied access to evidence

and an opportunity to confront witnesses. See id. at 752–53. The Secretary stated that “the

Deciding Official found that substantial evidence supported the proposed charge,” and that the

“Deciding Official also found that even if preponderant evidence were required to support the

charge, preponderant evidence supported the charge as well.” Id. at 750. Like the Grievance

Official, the Secretary rejected Trinka’s argument that the agency applied an incorrect standard,

responding that 38 U.S.C. § 713 “specifically provides the applicable standard of proof as

                                                 12
substantial evidence” and that the agency “actually held itself to a higher standard than what is

actually necessary, which is the substantial level of evidence.” Id. at 754 (emphasis in original).

In concluding, the Secretary asserted that “[Plaintiff’s] removal was supported by substantial

evidence,” but also added further that “[i]n fact, the removal was supported by the higher

standard of preponderant evidence, if necessary.” Id. at 758.

       On November 3, 2021, Trinka filed the instant Complaint against Defendants to raise

various challenges to his removal. First, according to Trinka, his termination violated the Due

Process Clause of the Fifth Amendment because Defendants denied him access to certain

evidence, an evidentiary hearing, and a meaningful opportunity to be heard; relied improperly on

ex parte communications; applied an unconstitutional evidentiary standard; and unlawfully

applied 38 U.S.C. § 713 retroactively. Compl. ¶¶ 208–62. Second, Trinka alleges that his

removal was not in accordance with the law because it violated the Due Process Clause, 38

U.S.C. § 713, and the VA’s policies and procedures as set out in the CSEMO Letter. Id. ¶¶ 263–

45. Third, Trinka alleges that his termination was arbitrary, capricious, and/or an abuse of

discretion. Id. ¶¶ 290–307. Fourth, and finally, Trinka alleges that his termination was not

supported by substantial evidence. Id. ¶¶ 308–19. Among other relief, Trinka requests that the

Court set aside his removal from the SES, expunge his removal and any documents

memorializing his removal from his official personnel file, retroactively reinstate him to his prior

SES appointment and position, award him all back pay and benefits with interest, and award

Plaintiff his costs and attorney’s fees. Id. at 50–51.

       Defendants filed their Answer to Trinka’s Complaint on January 28, 2022. See generally

Defs.’ Answer, ECF No. 11. In relevant part, Defendants’ Answer averred that, although the VA

OIG possessed a recording of its interview with Trinka, OAWP never obtained a copy of that

                                                 13
recording; it further denied that a transcript of that interview, or recordings or transcripts of the

VA OIG’s interviews with Plaintiff’s supervisors, were ever made. Id. ¶¶ 117, 224–25; Defs.’

Mem. of P. & A. in Supp. Defs.’ Mot. Summ. J. (“Defs.’ Mem. Supp. Mot. Summ. J.”) at 11,

ECF No. 14-1 (“[W]hile OIG recorded Trinka’s interview, it never transcribed this interview,

and never recorded or transcribed his supervisors’ interviews. Except for the recording of

Trinka’s interview, the transcripts and recordings to which Trinka claims he was entitled do not,

as a matter of fact, exist.” (internal citation omitted)). Defendants have filed a motion for

summary judgment, see generally Defs.’ Mot. for Summ. J., ECF No. 14, and Trinka filed a

Cross-Motion for Summary Judgment, see generally Pl.’s Cross-Mot. for Summ. J. and Opp’n to

Defs.’ Mot. for Summ. J., ECF No. 15. Because the parties’ cross-motions for summary

judgment have been briefed, both motions are now ripe for consideration.

                                       LEGAL STANDARD

       Summary judgment is appropriate only where the summary judgment “movant shows

that there is no genuine dispute as to any material fact and the movant is entitled to judgment as a

matter of law.” Fed. R. Civ. P. 56(a). “When, as in this case, both parties file cross-motions for

summary judgment, each must carry its own burden under the applicable legal standard.”

Ehrman v. United States, 429 F. Supp. 2d 61, 67 (D.D.C. 2006); see also Adair v. Solis, 742 F.

Supp. 2d 40, 50 (D.D.C. 2010), aff'd, 473 F. App’x 1 (D.C. Cir. 2012). “[T]he [C]ourt must

review each motion separately on its own merits ‘to determine whether either of the parties

deserves judgment as a matter of law.’” Fam. Tr. of Mass., Inc. v. United States, 892 F. Supp. 2d

149, 154 (D.D.C. 2012) (quoting Rossignol v. Voorhaar, 316 F.3d 516, 523 (4th Cir. 2003)),

aff’d, 722 F.3d 355 (D.C. Cir. 2013). “[N]either party waives the right to a full trial on the

merits by filing its own motion; each side concedes that no material facts are at issue only for the

                                                  14
purposes of its own motion.” Hodes v. U.S. Dep’t of Treasury, 967 F. Supp. 2d 369, 373

(D.D.C. 2013) (quoting Sherwood v. Wash. Post, 871 F.2d 1144, 1147 n.4 (D.C. Cir. 1989)). “If

the Court determines that one party is not entitled to summary judgment, it changes tack on the

cross motion and gives the unsuccessful movant all of the favorable factual inferences that it has

just given to the movant’s opponent.” Trudel v. SunTrust Bank, 288 F. Supp. 3d 239, 245

(D.D.C. 2018), aff’d, 924 F.3d 1281 (D.C. Cir. 2019). “It is nonetheless still possible for a court

to deny summary judgment to both sides.” Id. Where the record, when “taken as a whole, could

not lead a rational trier of fact to find for the nonmoving party, there is no genuine issue for trial,

and summary judgment must be granted in favor of the movant.” New-Howard v. Shinseki, No.

09-cv-5350, 2012 WL 2362546, at *5 (E.D. Pa. June 21, 2012) (citing Matsushita Elec. Indus.

Co. v. Zenith Radio Corp., 475 U.S. 574, 587 (1986)). 1

                                             ANALYSIS

       Although Defendants assert correctly that the Grievance Official’s ex parte

communication with the Secretary did not raise due process concerns, Defendants’ removal of

Plaintiff from his employment otherwise suffered from various deficiencies that deprived

Plaintiff of procedural due process, necessitating that the Court first remand the matter to the VA

for further consideration consistent with this Opinion. 2 Not only did Defendants apply 38 U.S.C.

       1
         Because the Court is remanding the matter to the agency, it does not review the
agency’s action under the arbitrary and capricious standard set forth in Section 713.
Nevertheless, the Court notes that this case would appear to potentially require the application of
the general standard for cross-motions for summary judgment as well as the deferential arbitrary
and capricious standard for review of agency action. Cf. New-Howard, 2012 WL 2362546, at
*5, 11 (setting forth legal standard for a motion for summary judgment, but reviewing MSPB’s
decision on non-discrimination claims under arbitrary and capricious standard of Section
7703(c)).
       2
        Plaintiff asserts that, given that he had a property interest in his continued employment,
he was entitled to “constitutionally adequate due process before and after his removal from the

                                                  15
§ 713 retroactively and impermissibly, in addition to depriving Plaintiff of access to evidence

central to his ability to raise a defense, but Defendants also applied an unconstitutional

evidentiary standard by removing Plaintiff from federal service based on a substantial evidence,

rather than a preponderance of the evidence, standard. Given the need to remand these issues to

the agency, however, the Court does not address Plaintiff’s remaining arguments challenging his

removal, which the agency enacted without providing post-termination evidentiary and name-

clearing hearings, as more broadly having further violated his due process rights or having been

contrary to law or arbitrary and capricious. 3 Should these issues arise again in the agency’s re-

consideration of Plaintiff’s removal, the parties may then re-file renewed cross-motions for

summary judgment that address those arguments.

civil service.” Compl. ¶¶ 211–15. Given that Defendants do not dispute that Plaintiff had a
property interest in his employment that permits him to raise such due process claims, the Court
does not analyze this issue further.
       3
          The Court also does not address Plaintiff’s objection to OAWP having recommended
Plaintiff’s removal, as opposed to merely limiting its recommendation to whether disciplinary
action should be pursued. See, e.g., Compl. ¶ 279. Plaintiff points to the CSEMO Letter, which
provides that “OAWP will brief the Secretary on ‘whether disciplinary action is recommended’
and that ‘the recommendation will be limited to whether disciplinary action should be pursued.’”
Pl.’s Mem. Supp. Cross-Mot. Summ. J. at 37 (quoting CSEMO Letter § 7.a.iii.3). In
“specifically recommend[ing] Trinka be terminated” and “coupl[ing] this recommendation with a
warning to the Proposing Official [that he] would be forced to justify his decision [not to follow
OAWP’s recommendation] to Congress,” Plaintiff contends, “OAWP exceeded its authority”
and acted “[i]n violation of the CSEMO Letter.” Id.
        Plaintiff’s argument appears to assume that the CSEMO Letter has the force and effect of
law, but does not provide any support for that premise. In particular, neither party has briefed
whether it would first be necessary for the Court to consider whether the CSEMO Letter
constitutes a legislative or interpretive rule. To the extent still necessary, the parties should
address this issue in the next round of briefing.

                                                 16
                                         A. Retroactivity

       First, Plaintiff claims that Defendants applied 38 U.S.C. § 713 retroactively and

unconstitutionally removed Plaintiff based on conduct that predated the Act. Compl. ¶¶ 258–62.

Defendants respond that not only did Plaintiff not raise this issue during the agency proceedings,

but it is also “well-settled that a penalty does not trigger retroactivity concerns merely because it

is enhanced based on prior misconduct.” Defs.’ Mem. Supp. Mot. Summ. J. at 26–27.

                                     1. Waiver of Argument

       It is true that “the D.C. Circuit has consistently held that courts ‘are bound to adhere to

the hard and fast rule of administrative law, rooted in simple fairness, that issues not raised

before an agency are waived and will not be considered by a court on review.’” Tindal v.

McHugh, 945 F. Supp. 2d 111, 129 (D.D.C. 2013) (quoting Coburn v. McHugh, 679 F.3d 924,

929 (D.C. Cir. 2012)) (cleaned up); see also Seafarers Int’l Union of N. Am. v. United States, 891

F. Supp. 641, 649 (D.D.C. 1995), aff’d sub nom. Clifford v. Pena, 77 F.3d 1414 (D.C. Cir. 1996)

(“[A] party’s objection to agency action may be deemed waived if it did not first raise the

objection before the agency.”). But a court determines, “in its discretion, whether the policies

served by the exhaustion requirement call for application of the waiver rule under the

circumstances of the case.” Seafarers, 891 F. Supp. at 649 (citing R.R. Yardmasters of Am. v.

Harris, 721 F.2d 1332, 1338 (D.C. Cir. 1983). “The principal policy underlying the waiver rule

is that ‘judicial review might be hindered by the failure of the litigant to allow the agency to

make a factual record, exercise its discretion, or apply its expertise.’” Salt Lake Cmty. Action

Program, Inc. v. Shalala, 11 F.3d 1084, 1087 (D.C. Cir. 1993) (quoting Yardmasters, 721 F.2d at

1338). Given that waiver “is a discretionary issue,” the Federal Circuit has “recognized several

reasons for considering issues raised for the first time on appeal: (i) the issue involves a pure

                                                 17
question of law; (ii) the proper resolution is beyond any doubt; (iii) the appellant had no

opportunity to raise the objection before appeal; (iv) the issue presents significant questions of

general impact; or (v) the interest of substantial justice is at stake.” Harrington v. Dep’t of

Veterans Affs., 981 F.3d 1356, 1359 (Fed. Cir. 2020); see also Seafarers, 891 F. Supp. at 649

(“Thus, where the issue presented to the Court is, for example, one of statutory interpretation,

courts have not applied the waiver rule.”). Because the question here of “[w]hether or not a

statute applies retroactively is a pure question of law,” the Court declines to find that Trinka

waived this issue and instead proceeds to consider the merits of the parties’ arguments.

Harrington, 981 F.3d at 1359.

                           2. Retroactive Application of Section 713

       As Defendants acknowledge, the Federal Circuit has, in reviewing removals under 38

U.S.C. § 714, set forth guidance barring its application retroactively to conduct and evidence

predating its enactment. See Defs.’ Mem. Supp. Mot. Summ. J. at 30. In Sayers v. Dep’t of

Veterans Affs., 954 F.3d 1370 (Fed. Cir. 2020), the Federal Circuit considered the appeal of a VA

pharmacist removed by the VA under 38 U.S.C. § 714 for failing to correct violations of VA

policy in pharmacies under his supervision. Id. at 1373. Agreeing with the plaintiff’s argument

that the MSPB “erred in upholding his removal under § 714 because his alleged misconduct took

place before its enactment,” and that “the statute’s standard of proof and limitations on penalty

mitigation detrimentally affect his property right to agency employment,” id. at 1374, the Federal

Circuit explained that, “[i]f [a] statute attaches new legal consequences to events before its

enactment (and is otherwise silent about its retroactivity), the statute must not apply to those

prior events,” id. at 1380. Although 38 U.S.C. § 714 was silent on retroactivity, and the Act did

not reveal any intent that it apply retroactively, id., the VA had sought to remove the plaintiff

                                                 18
from his employment based on misconduct that predated the passage of Section 714, see id. at

1372, 1381. The plaintiff was “entitled to the legal protections in place during the period in

which the alleged misconduct occurred,” the Federal Circuit observed, “because Congress did

not provide a clear statement that it intended to modify retroactively VA employees’ rights to

those protections.” Id. at 1381–82. The “changes in proof, persuasion, and the availability of

discretionary penalty mitigation” that resulted from applying Section 714 “unquestionably

diminish[ed] [the plaintiff’s] property right in continued employment.” Id. at 1381.

       The Federal Circuit then confirmed its holding from Sayers in Brenner v. Dep’t of

Veterans Affs., 990 F.3d 1313 (Fed. Cir. 2021). Rejecting the government’s argument that the

plaintiff’s poor performance had begun prior to, but worsened following, the passage of the Act,

the Federal Circuit in Brenner noted that the MSPB had “impermissibly considered evidence

predating the enactment of the Act, irrespective of whether [the plaintiff’s] performance

worsened after its enactment.” 990 F.3d at 1329; see also id. at 1327–28 (highlighting that the

proposed removal had cited conduct that occurred prior to the effective date of the Act). “If the

VA [sought] to remove [the plaintiff] for conduct prior to the effective date of the Act,” it needed

to do so “in accordance with Chapter 75 or Chapter 43 [statutes authorizing federal agencies to

demote or remove employees].” Id. at 1329. To instead use the expedited removal procedures

allowed by Section 714, the Federal Circuit stated, the VA “may only consider events that

occurred after the effective date of the Act.” Id. Removal for conduct predating the effective

date of the Act “‘attache[d] new legal consequences’ to that conduct and thereby [gave] the Act

impermissible retroactive effect.” Id. (quoting Landgraf v. USI Film Prod., 511 U.S. 244, 270

(1994)); see also Harrington, 981 F.3d at 1357, 1359 (“[In Sayers,] we held that § 714 does not

apply to proceedings instituted based on conduct occurring before its enactment. . . . Further, [the

                                                19
plaintiff] ‘had a right to the substantive civil service protections from improper or unjustified

removal in effect at the time of his alleged misconduct.’” (citation omitted)).

       Applying these principles here, the Court concludes that, in considering Plaintiff’s

conduct predating passage of the Act, the agency applied Section 713 retroactively and in

violation of Plaintiff’s due process rights. Cunningham’s proposal to remove Plaintiff from his

employment describes “reoccurring incidents of poor [judgment] and lack of candor,” noting the

“numerous occasions” in which Plaintiff “willfully misinformed federal financial, insurance,

medical, and security programs on the citizenship status of [his] spouse.” Joint App. at 4–5; see

also Do v. Dep’t of Hous. & Urb. Dev., 913 F.3d 1089, 1094 (Fed. Cir. 2019) (“It is well-

established that, in the civil service system, ‘[o]nly the charge and specifications set out in the

Notice may be used to justify punishment . . . .’”). Though not explicit, the proposal clearly

indicates that Cunningham took into consideration not only Plaintiff’s alleged statements about

what he told his supervisors regarding his wife’s citizenship status, but also Plaintiff’s alleged

statements on his e-QIP and other forms, see Joint App. at 4–5—the latter of which all took place

before passage of the Act in 2017, see Compl. ¶ 260.

       Defendants attempt to distinguish the instant case from these Federal Circuit precedents

by drawing a comparison to criminal law and arguing that the agency was merely considering

Plaintiff’s conduct predating the Act “to fashion an appropriate penalty once an otherwise-valid

charge had already been sustained.” Defs.’ Mem. Supp. Defs.’ Mot. Summ. J. at 30. But the

concerns underlying Sayers and Brenner apply with equal force here. Although the Proposal

couches Trinka’s past conduct as “aggravating factors,” Joint App. at 4, other parts of the record,

such as the Secretary’s Grievance Decision, discuss Trinka’s conduct predating the Act as the

basis of his removal without any such caveating, see id. at 751–52. Defendants argue that the

                                                  20
consideration of the pre-Act conduct constituted merely a factor in deciding the appropriateness

of the penalty, yet the record does not reflect any discussion of whether, for example, an

alternative penalty would have been suitable absent consideration of such preceding conduct.

Thus, Brenner provides a more applicable comparison than do the criminal precedents cited by

Defendants, and at no point in Brenner did the Federal Circuit allow for the possibility that the

plaintiff’s prior conduct could have been considered to enhance the penalty. See 990 F.3d at

1329. As with Section 714, Section 713 is silent on retroactivity and the Act does not “reveal

any intent” that it should be applied retroactively. Sayers, 954 F.3d at 1380. “The statute plainly

lacks an ‘unambiguous directive’ or ‘express command’ that the statute is to be applied

retroactively.” Id. (quoting Martin v. Hadix, 527 U.S. 343, 354 (1999)) (cleaned up). Thus, in

removing Trinka under Section 713 in part based on evidence or events predating the passage of

the Act, the agency retroactively “attach[ed] new legal consequences” to that prior conduct and

stripped Plaintiff of the civil service protections to which he was entitled. Landgraf, 511 U.S. at

270. 4

         4
          Opting to draw a comparison to criminal law, Defendants do not analogize to Douglas
v. Veterans Admin., 5 M.S.P.R. 280 (1981), see Defs.’ Mem. Supp. Defs.’ Mot. Summ. J. at 26–
30, even though Trinka argued during agency proceedings that it should hold weight, see Joint
App. at 371. The 12 factors listed in Douglas are “non-exhaustive factors that the [MSPB] has
determined are ‘relevant to [the] appropriateness’ of a government employer’s decision to
discipline an employee.” Tarquinii v. Del Toro, No. 21-cv-1567, 2023 WL 2424618, at *3
(D.D.C. Mar. 9, 2023) (quoting Fogg v. Ashcroft, 254 F.3d 103, 112 (D.C. Cir. 2001)). Among
these factors is the employee’s past disciplinary record, Douglas, 5 M.S.P.R. at 305, which an
agency may consider “in determining the appropriate penalty for the subject employee,”
Tartaglia v. Dep’t of Veterans Affs., 858 F.3d 1405, 1408 (Fed. Cir. 2017). Thus, in the context
of disciplining federal employees, there does seem to be some precedent for relying upon past
conduct for determining an appropriate penalty without raising retroactivity concerns. However,
given the parties’ failure to brief the relevance, if any, of Douglas to the issue, the Court does not
discuss it further.

                                                 21
                                      B. Access to Evidence

       Trinka also asserts that due process requires that the agency provide him with the

recording of his interview with the VA OIG, during which he purportedly claimed to have told

his supervisors about his wife’s immigration status. See, e.g., Compl. ¶¶ 216–31. Defendants

respond that due process does not mandate that Trinka be furnished with the recording, given

that the VA OIG’s summary of the interview has provided Trinka with sufficient notice for a

meaningful opportunity to respond and he has not shown that his lack of access to the recording

was prejudicial. See Defs.’ Mem. Supp. Mot. Summ. J. at 12–13.

       In considering how much process is due to an individual in a given context, courts apply

a balancing test that weighs three factors:

       (1) the private interest that will be affected by the official action; (2) the risk of an
       erroneous deprivation of such interest through the procedures used, and the probable
       value, if any, of additional or substitute procedural safeguards; and (3) the Government’s
       interest, including the function involved and the fiscal and administrative burdens that the
       additional or substitute procedural requirement would entail.

Ramirez v. Dep’t of Homeland Sec., 975 F.3d 1342, 1349–50 (Fed. Cir. 2020) (citing Mathews v.

Eldridge, 424 U.S. 319, 335 (1976)). But courts have also “recognized that one ‘relatively

immutable’ principle of due process is that ‘where governmental action seriously injures an

individual, and the reasonableness of the action depends on fact findings, the evidence used to

prove the Government’s case must be disclosed to the individual so that he has an opportunity to

show that it is untrue.’” Id. at 1350 (quoting Greene v. McElroy, 360 U.S. 474, 496 (1959)).

       As another court in this District recognized in Dodson v. U. S. Capitol Police, 633 F.

Supp. 3d 235 (D.D.C. 2022), “[f]ew decisions of this Court speak to the precise point at which

notice becomes constitutionally deficient,” and “the Court has not had occasion to decide

whether the failure to provide [a certain] type of information will, inevitably, run afoul of due

                                                 22
process.” Id. at 269. There, a plaintiff who had been terminated by the U.S. Capitol Police and

only had access to the limited information contained in two notices of proposed disciplinary

action, argued that he had not received sufficient notice for due process because the agency did

not ‘provide him with the underlying evidence or any explanation [for the charges against him],’

including ‘the investigative file, interview statements, and information about how similarly

situated employees were treated for the same infraction.’” Id. at 268 (citation omitted). The

notices of proposed disciplinary action provided by the agency “only briefly summarized” the

investigation and indicated the rules that the plaintiff allegedly violated, without further

“indicat[ing] who was interviewed, what credibility judgments (if any) were made, whether any

similar cases were considered for purposes of comparison,” and whether the investigation

substantiated certain of the allegations made against the plaintiff. Id. Though the court noted

that the agency appeared to have relied on evidence that the plaintiff did not have the opportunity

to review or rebut, it also highlighted that the notices gave the plaintiff “some notice of the basis

for the proposed discipline and, in a cursory fashion, set forth ‘an explanation of the employer’s

evidence,’” such that the plaintiff “was able (albeit with limitations) to contest some of the

factual predicates for his discipline.” Id. at 270 (quoting Cleveland Bd. of Educ. v. Loudermill,

470 U.S. 532, 546 (1985)) (emphasis in original). Ultimately, the court concluded that it did not

have enough information to grant summary judgment for either party on the plaintiff’s due

process claim because the record proved insufficient for the “careful and fact-intensive

‘balancing of the competing public and private interests involved, as defined by the now familiar

Mathews factors.’” Id. at 271 (quoting Propert v. District of Columbia, 948 F.2d 1327, 1332

(D.C. Cir. 1991)).

                                                 23
       But cases from the Federal Circuit and other courts also offer helpful guidance. In

Ramirez, the Federal Circuit found that an arbitrator erred in concluding that the plaintiff did not

have a due process right to “review and challenge” the records of a psychological assessment

that Department of Homeland Security relied upon in removing him from his employment. 975

F.3d at 1352. In that case, the agency had determined that the plaintiff was not fit for duty based

on a doctor’s conclusion that the plaintiff should be restricted from any weapons-carrying

position—a conclusion that the doctor had reached using the results of the plaintiff’s written

psychological assessment as interpreted by a third-party clinical psychologist, who had found the

plaintiff to be defensive in completing the questionnaire. See id. at 1345. The plaintiff objected

to his removal in part on the ground that he had been denied access to the test records by the

agency, but the arbitrator reviewing the plaintiff’s removal denied his request for an order

mandating that the agency produce those records. See id. at 1346–47. On review, the Federal

Circuit vacated the arbitrator’s final award, rejecting the arbitrator’s reasoning that the agency

did not need to produce the records given that they were not in the agency’s custody and the

agency did not directly review or consider the records in making its removal decision. See id. at

1350. The agency’s reliance on the records, “together with the foreseeable importance of the

evidence at issue to the employee's defense, obligated the [a]gency to make the evidence

available for independent examination by the employee.” Id. at 1351. Moreover, the Federal

Circuit explained, the agency “[could not] shield the evidence underlying [the] finding [that the

plaintiff was defensive and uncooperative in completing his psychological assessment] by simply

relaying it through the report of another expert.” Id. Even if the plaintiff had an opportunity to

cross-examine the doctor or to administer a new assessment using his own expert, the plaintiff

lacked the opportunity to test the methods and standards used for the psychological assessment

                                                 24
or to verify that the third-party clinical psychologist tabulated the results accurately. See id. at

1351–52. And importantly, “[a]gainst the critical role of the . . . records for protecting against

wrongful deprivation, the [a]gency made no showing that it would have been unduly burdensome

to obtain and produce those records.” Id. at 1350. Nevertheless, as long as the plaintiff had the

opportunity to “independently review the [psychological assessment] results with the assistance

of his own expert to test their validity and reliability” during post-removal arbitration, the

agency’s failure to provide the plaintiff with those records before his termination did not

necessarily independently justify vacating the agency’s removal decision. Id. at 1353.

       The Fifth Circuit similarly concluded in a case involving two air traffic control specialists

who were removed for drug use that the agency had violated their due process right to

independently test their laboratory samples, which had been destroyed by the laboratory that the

agency had used. See Banks v. F.A.A., 687 F.2d 92, 93 (5th Cir. 1982). “[T]here [could] be no

doubt” that such independent testing was “crucial,” the Fifth Circuit stated, given that “[t]he only

persuasive evidence of drug usage was the laboratory tests.” Id. at 94. It also disagreed with the

government’s “casual treatment of the procedural rights of governmental employees,” and

rejected that the non-availability of the samples did not violate due process because the plaintiffs

could cross-examine the testing laboratory’s director and challenge the testing methods used. Id.

Given that the samples had been destroyed, and plaintiffs were denied the opportunity to submit

their laboratory samples for testing, it was not proper for the MSPB to have allowed the

introduction of those tests into evidence. See id. at 96. According to the Fifth Circuit, “[t]he

major factor in this determination [was] the importance of the evidence in question.” Id.

Recognizing that “the presence or absence of cocaine in the samples alone determined the

ultimate issue” and “[t]he results of the laboratory tests were the only credible evidence

                                                  25
supporting the [agency’s] charges,” the Fifth Circuit concluded that “even the most rudimentary

standards of due process require here that the claimants have access to the solitary piece of

incriminating evidence.” Id.

       Here, “fundamental fairness”—the “touchstone” of due process—leads the Court to find

that it was a violation of due process for the VA to deny Trinka access to the recording of his

interview with the VA OIG. United States v. Harrington, 749 F.3d 825, 828 (9th Cir. 2014)

(quoting Walters v. Nat’l Ass’n of Radiation Survivors, 473 U.S. 305, 320–21 (1985)). In so

concluding, the Court is not stating that an agency must, in every scenario, provide a recording

or transcript of an interview with the subject of an agency removal to provide him with sufficient

notice. Indeed, “[a] summary of evidence may, in certain circumstance[s], provide sufficient

notice to allow a meaningful opportunity to respond.” ASSE Int’l, Inc. v. Kerry, 803 F.3d 1059,

1076 (9th Cir. 2015). For instance, the agency here has only provided Trinka with the VA OIG’s

summaries of its interviews with his supervisors—and the Court does not conclude that

providing the evidence in this form must necessarily violate due process, particularly in light of

the fact that Defendants have averred that no recording or transcript of the interviews even exist.

But the agency’s refusal to provide Trinka access to the recording of his interview with the VA

presents greater due process concerns. Just as “the presence or absence of cocaine in the samples

alone determined the ultimate issue” in Banks, thus necessitating that the samples be made

available to the plaintiffs for testing, see 687 F.2d at 96, Trinka’s removal here turns solely on

the question of what, precisely, he said to the investigators about having disclosed his wife’s

immigration status to his supervisors. Without the recording, Trinka can neither verify nor

challenge the VA OIG’s assertion that he made a false or inaccurate statement by claiming to

have told his supervisors about his wife’s immigration status. He has no means to review or

                                                 26
rebut Defendants’ claims, aside from relying on his own memory of what he might have said to

the investigators five years ago.

       Defendants argue that, because Trinka “offers only bare speculation that a recording of

his interview might possibly reveal some helpful information” and “does not claim that the

summary memorandum was inaccurate in any way at all,” he has not demonstrated that he has

been prejudiced by his lack of access to the interview recording. Defs.’ Mem. Supp. Mot.

Summ. J. at 13. It may indeed be the case that the recording will simply confirm the VA OIG’s

representations of what Trinka said. But, as illustrated by Ramirez and Banks, the agency has

deprived Trinka of a meaningful opportunity to challenge his removal by withholding the one

piece of evidence upon which those allegations turn. The recording provides significant value in

potentially verifying or disproving the VA OIG’s conclusions, and the agency has not made any

attempt at showing that it “would have been unduly burdensome to obtain and produce” the

recording. Ramirez, 975 F.3d at 1350. And unlike in Ramirez, where the plaintiff would have

the opportunity to review the records as part of a post-removal arbitration, Plaintiff has not been

accorded post-termination administrative procedures here.

       In sum, the serious risk that Trinka may have been removed from his employment

because of an erroneous summary of his statements, when weighed against the agency’s minimal

burden in providing him with the recording, counsels in favor of concluding that Trinka was

entitled to the recording prior to his termination as a matter of due process. Having concluded

that Defendants violated due process by failing to accord Trinka access to the interview

recording, the Court does not address Trinka’s alternative arguments as to why he should have

been given access to that evidence.

                                                27
                                    C. Evidentiary Standard

       Next, Trinka claims that, in violation of the Fifth Amendment, Defendants applied an

unconstitutional evidentiary standard by removing him from federal service based on a

substantial evidence, rather than a preponderance of the evidence, standard. Compl. ¶¶ 252–57.

Defendants respond that Trinka waived this argument because he did not raise it in his grievance,

which “argu[ed] only that VA failed to notify him that it was applying the preponderance

standard—not that it had (unlawfully) applied the substantial evidence standard.” Defs.’ Reply

Supp. Mot. Summ. J. and Opp’n to Pl.’s Cross-Mot. Summ. J. (“Defs.’ Reply”) at 21, ECF No.

18. Moreover, Defendants argue, not only does substantial evidence review not violate the

Constitution, but the Secretary also did in fact find removal “to be proper under either the

preponderance or substantial evidence standards.” Defs.’ Mem. Supp. Mot. Summ. J. at 25–26.

Trinka rejects the contention that he received any agency decision applying the preponderance of

evidence standard given that the VA’s procedures required application of the substantial

evidence standard and the Secretary’s decision was “strictly circumscribed” by agency policy.

Pl.’s Mem. of P. & A. in Supp. Pl.’s Cross-Mot. Summ. J. and Opp’n Defs.’ Mot. Summ. J.

(“Pl.’s Mem. Supp. Cross-Mot. Summ. J.”) at 27–28, ECF No. 15-1.

       The Court agrees with Trinka that 38 U.S.C. § 713 requires application of a

preponderance of the evidence burden of proof, rather than a substantial evidence standard.

VA’s internal policies state clearly that the agency should apply a substantial evidence standard

during disciplinary processes initiated under 38 U.S.C. § 713. Though the Secretary stated that

Trinka’s removal could be supported by a preponderance of the evidence, and other officials in

earlier stages of the removal process referred inconsistently to such a higher standard, Trinka’s

removal was marred by muddled statements by Defendants about the appropriate burden of

                                                28
proof. Thus, even if the Court credits the Secretary’s statement that the evidence could have

satisfied a preponderance of the evidence standard, the inconsistency across officials led to

inadequate notice to Trinka of the proper standard, such that he did not have a meaningful

opportunity to respond to Defendants’ findings.

                                      1. Waiver of Argument

       As an initial matter, Defendants contend that Trinka waived his argument because he

argued in his grievance only that the agency misinformed him about the applicable standard of

proof, rather than objecting to the substantial evidence standard. See Defs.’ Reply at 21. But the

circumstances of this case do not call for finding that he waived his objections to the substantial

evidence standard. This issue is, at its current stage, primarily one of statutory interpretation—

specifically, whether the VA misinterpreted 38 U.S.C. § 713 by determining that the statute

imposes a substantial evidence standard to disciplinary action against SES employees. See

Seafarers, 891 F. Supp. at 649. To the extent that judicial review might have been hindered

because the agency’s factual record is lacking or its ability to exercise its discretion and apply its

expertise has been limited, the fault rests primarily with the agency itself, rather than with

Trinka, for the reasons explained further below. Considering the policies underlying the waiver

rule, the Court declines to conclude here that Trinka waived his argument that the agency erred

in failing to consider the evidence under a preponderance of the evidence standard.

                                        2. Burden of Proof

       Defendants raise two arguments against Trinka’s objections to the application of a

substantial evidence standard to his removal. First, Defendants contend, substantial evidence

review does not, contrary to Plaintiff’s arguments otherwise, violate the Constitution. Defs.’

Mem. Supp. Mot. Summ. J. at 25–26. Second, according to Defendants, even if the VA should

                                                  29
have applied a preponderance of the evidence standard in removing Trinka, the Secretary in fact

found removal “to be proper under either the preponderance or substantial evidence standards.”

Id. at 26. Defendants therefore argue that, given that the Secretary indicated adequate support

under a preponderance of the evidence standard, it is immaterial that other officials at earlier

stages of the proceedings analyzed the evidence under a substantial evidence standard. See

Defs.’ Reply at 23–24.

       Analogous caselaw from the Federal Circuit, however, leads this Court to conclude that

Defendants should have reviewed the evidence supporting Trinka’s removal under 38 U.S.C. §

713 under a preponderance of the evidence standard rather than a substantial evidence standard.

In Rodriguez v. Department of Veterans Affairs, 8 F.4th 1290 (Fed. Cir. 2021), the Federal

Circuit determined that substantial evidence was not the appropriate standard of proof for the VA

to apply in employee disciplinary actions instituted under 38 U.S.C. § 714. Id. at 1298. The

plaintiff in Rodriguez—who had been removed from his employment with the VA for verbally

confronting a patient and asking a subordinate to modify her witness statement, id. at 1294—

posited “that the administrative judge misinterpreted 38 U.S.C. § 714 when he ruled that

‘substantial evidence’ is the proper standard for the [VA] to apply in determining whether an

employee has engaged in misconduct that justifies discipline,” id. at 1296–97. Not only had the

deciding official in the plaintiff’s removal applied a substantial evidence standard, but the VA’s

internal guidance had also stated explicitly that substantial evidence served as the standard of

proof for actions taken under Section 714. See id. at 1297.

       Noting that “[t]he references to ‘substantial evidence’ in section 714 are all explicitly

directed to the standard of review to be applied by administrative judges and the [MSPB],” the

Federal Circuit explained that those references “[did] not address the standard of proof to be

                                                 30
applied by the [VA] in making disciplinary determinations, nor does the remaining text of

section 714 explicitly address the standard of proof in proceedings before the [VA].” Id. at 1298.

Rather, because 38 U.S.C. § 714 “provides that an employee may be removed, demoted, or

suspended ‘if the Secretary determines the performance or misconduct of the covered individual

warrants’ such action,” it “implies that the Secretary must find that it is likely, i.e., more likely

than not, that the employee has engaged in the misconduct that justifies the proposed discipline.”

Id. (citation omitted). Accordingly, “the language of section 714 implies that the proper standard

is the preponderance of the evidence.” Id.

        Distinguishing between preponderance of evidence as a burden of proof and substantial

evidence as a standard of review, the Federal Circuit then observed that “[p]reponderance of the

evidence has long been recognized as the traditional burden of proof in civil administrative

proceedings.” Id. at 1299. Applying substantial evidence as the burden of proof requirement

“would mean that the deciding official would be required to find that the employee had engaged

in the charged misconduct as long as substantial evidence supports the charge, i.e., as long as a

reasonable person might accept the evidence as adequate to support that conclusion,” but such a

standard would conflict “with the requirement that the deciding official, as the delegee of the

Secretary, ‘determine’ that the employee engaged in the misconduct justifying discipline, as

required by section 714.” Id. at 1300. It would also be inconsistent with “the traditional

principle that in order for an agency to take disciplinary action against an individual based on

predicate facts, it must find those facts; absent clear authority to the contrary, it is not enough for

an agency to conclude merely that a reasonable person could make such a finding.” Id.

Acknowledging that “[t]here may be exceptional circumstances in which a lower burden of proof

                                                  31
than preponderance of the evidence could legitimately be applied,” the court concluded that

Section 714 did “not present such unusual circumstances.” Id. at 1301.

       The Federal Circuit has since reaffirmed in other cases its conclusion from Rodriguez that

Section 714 requires that a charge be proved by a preponderance of the evidence, as opposed to

merely substantial evidence. See Bryant v. Dep’t of Veterans Affs., 26 F.4th 1344, 1346–47 (Fed.

Cir. 2022) (vacating the MSPB’s decision as to the underlying removal where deciding official

only found charge proved by substantial evidence and remanding to the MSPB for further

proceedings under the correct legal standard); Bannister v. Dep’t of Veterans Affs., 26 F.4th

1340, 1342–43 (Fed. Cir. 2022) (same).

       The Court considers the Federal Circuit’s decisions in the Rodriguez line of cases, even if

not binding on this Court and not directly on point in addressing 38 U.S.C. § 713, to nevertheless

be persuasive here. Like Section 714, Section 713 refers to a substantial evidence standard only

in describing the standard of review to be applied by a reviewing court; nowhere does the statute

“contain any language stating explicitly, or even implicitly, that the burden of proof in

disciplinary actions should be substantial evidence.” Rodriguez, 8 F.4th at 1301. Indeed,

Section 713 contains comparable language—stating that the Secretary must “determine[]” that

the misconduct warrants disciplinary action under the statutory provision, 38 U.S.C. §

713(a)(1)—comparable to that in Section 714 that the Federal Circuit interpreted to require a

preponderance of the evidence standard, see Rodriguez, 8 F.4th at 1298.

       The D.C. Circuit’s caselaw further supports the application of the Federal Circuit’s

reasoning regarding Section 714 to the Court’s interpretation of Section 713. In Charlton v.

F.T.C., 543 F.2d 903 (D.C. Cir. 1976), the D.C. Circuit reviewed an order from the Federal

Trade Commission that, based “upon substantial evidence of record,” reprimanded the plaintiff

                                                32
and suspended him from practicing before the Commission for a year. Id. at 904–05 (citation

omitted). Remarking on the “Commission’s use of a totally incorrect standard of proof in

passing on [the plaintiff’s] blameworthiness,” id. at 906, the court recognized that, “on judicial

review of agency action, administrative findings of fact must be sustained when supported by

substantial evidence on the record considered as a whole,” id. at 907. Even so, “that rule

implicates only the reviewing court; the yardstick by which the agency itself is to initially

ascertain the facts is something else again.” Id. “[R]ecall[ing] that in American law a

preponderance of the evidence is rock bottom at the factfinding level of civil litigation,” the D.C.

Circuit further commented: “Nowhere in our jurisprudence have we discerned acceptance of a

standard of proof tolerating ‘something less than the weight of the evidence.’” Id. (citation

omitted). Bearing this guidance and the Federal Circuit’s rationale in Rodriguez in mind, the

Court concludes that disciplinary action initiated pursuant to 38 U.S.C. § 713 must be justified

under a preponderance of the evidence, rather than by a substantial evidence, standard.

       As the parties’ briefing highlights, however, there is some question here as to what

burden of proof the VA even applied in removing Trinka from his position. The CSEMO Letter,

which was disseminated to implement Section 713, see CSEMO Letter § 1, makes clear that the

standard of proof to be applied by the agency in accordance with agency policy is the substantial

evidence standard, see id. § 6.gg. Yet the proposal to remove Trinka stated in part that “the

preponderance of evidence provide[d] and support[ed] a narrative of high-risk behaviors

unbecoming of the position [Plaintiff held].” Joint App. at 5. Meanwhile, the Initial Decision

emphasized the applicability of a substantial evidence standard and did not again mention a

preponderance of the evidence standard. See, e.g., id. at 529–30, 534–35. Subsequently, the

grievance recommendation letter reaffirmed that the substantial evidence standard was,

                                                 33
according to the agency, the appropriate standard to be applied under Section 713. See, e.g., id.

at 745 (“[Section 713] specifically provides the applicable standard of proof as substantial

evidence.”). It did not confirm that the Grievance Official himself concluded that Trinka’s

removal was supported by a preponderance of the evidence, but argued that the application of a

preponderance of the evidence would have been harmless error and its mention in the Proposal

“[d]id not have a substantial and injurious effect or influence on the deciding official’s decision.”

See id. at 745–46. As Defendants emphasize, however, the Secretary—who had the last word on

the matter, see Defs.’ Reply at 23—stated both that “[Plaintiff’s] removal was supported by

substantial evidence,” and that “[i]n fact, the removal was supported by the higher standard of

preponderant evidence, if necessary,” Joint App. at 758.

       Presented with this muddled explanation of the standard applied to Trinka’s removal, the

Court concludes that it is necessary to first remand this matter to the VA for the agency to

engage in further consideration consistent with this Opinion. It is not apparent to the Court that,

even if the Court were to accept Defendants’ argument that the Secretary in fact ultimately

applied the preponderance of the evidence standard, Trinka had proper notice of that standard

such that he was accorded a meaningful opportunity to respond as required for procedural due

process. “Procedural due process requires that certain substantive rights—including the property

interest established by certain kinds of federal employment—cannot be deprived unless

constitutionally adequate procedures are followed.” Young, 706 F.3d at 1376. “[T]he essential

requirements of due process . . . [are] notice and an opportunity to respond.” Id. (citation

omitted). Accordingly, “an employee is entitled to notice of the charges against him, an

explanation of the employer’s evidence, and an opportunity to present his side of the story before

termination.” Id.

                                                 34
       Even if the Secretary could be said to have applied a preponderance of the evidence

standard here, Defendants deprived Trinka of a meaningful opportunity to respond at earlier

stages of the proceedings, which provided the basis of the Secretary’s final decision. Trinka

responded to the proposed removal by arguing that “the charge is not supported by sufficient

evidence.” Joint App. at 372. But faced with the agency’s Initial Decision that relied on a

substantial evidence, rather than a preponderance of the evidence, standard, Trinka asserted in

his grievance that the agency had reversed course and “[m]isinformed” him of the applicable

standard of proof. Id. at 543. He then also put forward his argument that the decision was

“unsupported by substantial evidence.” Id. at 538, 547; see also id. at 543 (arguing that hearsay

evidence does not suffice to meet a substantial evidence burden and thus “the Decision is wrong

that hearsay evidence can be used in this instance to meet the Agency’s burden of proof”). It

thus appears to the Court that the agency’s lack of consistency between the various stages of this

process, and between the process as implemented here and its internal policies, generated some

confusion as to what standard, precisely, Trinka should be arguing that the agency failed to meet.

Indeed, as Defendants acknowledge, the Secretary’s own final decision makes a mistake about

the standard applied at an earlier stage of the proceedings. See Defs.’ Mem. Supp. Mot. Summ.

J. at 26 n.6. Thus, even if the Secretary ultimately concluded that Trinka’s removal was justified

under a preponderance of the evidence standard, the prior proceedings were so deficient in

notifying Trinka of the standard being applied by the agency that he was not accorded a

meaningful opportunity to respond. See Santosky v. Kramer, 455 U.S. 745, 757 (1982) (“Since

the litigants and the factfinder must know at the outset of a given proceeding how the risk of

error will be allocated, the standard of proof necessarily must be calibrated in advance.”); cf.

Cheney v. Dep’t of Just., 479 F.3d 1343, 1352–53 (Fed. Cir. 2007) (stating that the agency

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provided such “limited information” about the allegations against the plaintiff that he could not

“have made a meaningful response” as required by procedural protections under 5 U.S.C. §

7513).

                                  D. Ex Parte Communications

         Finally, Trinka also alleges that, because the agency denied his request for a copy of the

Grievance Official’s recommendation to the Secretary, the Grievance Official’s recommendation

constituted an ex parte communication that violated due process. 5 Compl. ¶¶ 244–51. As the

Federal Circuit has explained, “[t]he introduction of new and material information by means of

ex parte communications to the deciding official undermines the public employee’s

constitutional due process guarantee of notice (both of the charges and of the employer’s

evidence) and the opportunity to respond.” Stone v. Fed. Deposit Ins. Corp., 179 F.3d 1368,

1376 (Fed. Cir. 1999); see Vanover v. Hantman, 77 F. Supp. 2d 91, 105 (D.D.C. 1999) (“Ex

parte communications that introduce new and material information as to the reasons for the

action or the evidence supporting it violate a person’s right to due process.”), aff’d, 38 F. App’x

4 (D.C. Cir. 2002). Even so, “not every ex parte communication is a procedural defect

so substantial and so likely to cause prejudice that it undermines the due process guarantee and

entitles the claimant to an entirely new administrative proceeding.” Stone, 179 F.3d at 1376–77.

Instead, “[o]nly ex parte communications that introduce new and material information to the

deciding official will violate the due process guarantee of notice.” Id. at 1377. Accordingly, the

         5
         During the administrative process, Plaintiff argued that, because he was not provided
access to the links contained in certain documents, the agency may have engaged in additional ex
parte communications. See, e.g., Joint App. at 361. Because Plaintiff has not included such
arguments in his Complaint or cross-motion for summary judgment, the Court does not address
them here.

                                                 36
Federal Circuit has identified several factors to consider when determining if new and material

information has been introduced by means of ex parte contacts:

       (1) whether the ex parte communication introduces “cumulative” information or new
       information; (2) whether the employee knew of the communication and had a chance to
       respond; and (3) whether the ex parte communication resulted in undue pressure upon the
       deciding official to rule in a particular manner.

Young, 706 F.3d at 1376 (citing Stone, 179 F.3d at 1377).

       Gfrerer’s recommendation to the Secretary did not introduce any new and material

information, but instead presented the evidence to which Trinka already had the opportunity to

respond during prior steps of the removal process and offered the agency’s rebuttal to Trinka’s

arguments. See Vanover, 77 F. Supp. 2d at 105 (concluding that a letter between a hearing

officer and agency counsel, to which the plaintiff objected as an ex parte communication,

“passes due process review” because “[t]he letter contained no new information as to the nature

of the charges or the evidence, but rather dealt with interpretations of the governing procedures”

and did not “suggest[] that [the hearing officer’s] objectivity would be undermined”). Plaintiff

relies on Young for the contention that, because the Secretary appears to have adopted the

Grievance Official’s recommendation, the recommendation played such a “significant and

overwhelming role” in the Secretary’s decision that it must thereby be understood to have

introduced new and material information. See Pl.’s Mem. Supp. Cross-Mot. Summ. J. at 29

(citation omitted). But Young is distinguishable than the scenario here, based on the simple fact

that the deciding official there not only reviewed the proposal and supporting documents for the

removal, but also interviewed witnesses herself, such that the plaintiff “was unaware of the

content and substance of the interviews and was unable to respond to anything unearthed during

those interviews.” 706 F.3d at 1374, 1377. The deciding official then “described the ex

parte communication as a ‘huge’ departure from written statements already on the record,” and

                                                37
“admitted that the ex parte communications were the most critical statements in her mind.” Id. at

1377. By contrast, Plaintiff has not pointed to anything in the recommendation letter or

otherwise shown that Gfrerer did anything more than summarize the investigation and present

the agency’s responses to Plaintiff’s arguments.

       Moreover, Plaintiff has not demonstrated that Gferer’s letter “were of the type likely to

result in undue pressure upon the deciding official to rule in a particular manner.” Stone, 179

F.3d at 1377. Plaintiff concedes that this factor “is less significant when (as here) the deciding

official admits that the ex parte communications influenced [his] determination.” Pl.’s Mem.

Supp. Cross-Mot. Summ. J. at 29 (quotation marks omitted); see also Ward v. U.S. Postal Serv.,

634 F.3d 1274, 1280 n.2 (Fed. Cir. 2011); Young, 706 F.3d at 1377. “Under these

circumstances, the materiality of the ex parte communications appears to be self-evident from the

[Secretary’s] admission,” Ward, 634 F.3d at 1280 n.2, and the Secretary’s decision does not

reflect any undue pressure exerted by Gfrerer’s recommendation, which the Secretary merely

states that he reviewed, see Joint App. at 750. Although Plaintiff asserts that the 2017 Act and

internal policies exerted such pressure on the Secretary because he would have needed to justify

not following the recommended action, any such pressure, to the extent it existed, did not flow

from the fact that the communication was made ex parte. See Pl.’s Mem. Supp. Cross-Mot.

Summ. J. at 29–30. Accordingly, this consideration does not move the third factor toward the

conclusion that the recommendation letter presented new and material information. In short,

upon considering the content of Gfrerer’s recommendation letter, the Court concludes that the

communication is not “so substantial and so likely to cause prejudice that no employee can fairly

be required to be subjected to a deprivation of property under such circumstances.” Stone, 179

F.3d at 1377.

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                                         CONCLUSION

       In accordance with the Court’s conclusion that Defendants applied an incorrect

evidentiary standard, the Court will remand this case to the VA for further consideration

consistent with this Opinion. See Rodriguez, 8 F.4th at 1301 (reversing the administrative

judge’s ruling on the burden of proof issue and remanding for further proceedings on that issue).

But given that the Court has identified a number of additional deficiencies that undermined the

agency’s removal process, the Court remands the entire matter as a whole, and not just the issue

of the evidentiary standard, to the agency. Following the agency’s arriving at a new decision, if

necessary, the parties may file renewed cross-motions for summary judgment that may, as

appropriate, re-assert the arguments raised in this round of briefing, including those that the

Court has yet to address.

       For the foregoing reasons, Defendants’ Motion for Summary Judgment (ECF No. 14) is

GRANTED IN PART AND DENIED IN PART without prejudice. It is FURTHER

ORDERED that Plaintiff’s Cross-Motion for Summary Judgment (ECF No. 15) is GRANTED

IN PART AND DENIED IN PART without prejudice. It is FURTHER ORDERED that the

matter is REMANDED to the agency for further consideration consistent with this Opinion, and

that Defendants will file a status report with the Court 14 days after the agency renders a

decision or within 90 days of this Opinion, whichever is earlier. An order consistent with this

Memorandum Opinion is separately and contemporaneously issued.

Dated: September 21, 2023                                          RUDOLPH CONTRERAS
                                                                   United States District Judge

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