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School Law Blog

Lead by Sanmathi (Sanu) Dev, Esq., this blog is devoted to current developments in New Jersey education law affecting school districts, charter schools, students, and employees.

By: Ruhani K. Aulakh, Law Clerk

Editor: Sanmathi (Sanu) Dev, Esq.

On October 5, 2023, the New Jersey Appellate Division in A.B. v. Board of Education of the City of Hackensack affirmed that the Hackensack School Board (“Board”) was required to disclose information of a former employee’s sexual misconduct to the employee’s future employer under N.J.S.A. 18A:6-76. 

In 2013, while employed by the Board, a teacher used social media to post inappropriate and sexually suggestive content.  The Board began an investigation into the teacher’s misconduct.  Before the conclusion of the Board’s investigation, the teacher and the Board finalized a settlement agreement in which the teacher agreed to submit an irrevocable letter of resignation. 

Six years after her resignation, the teacher was offered a position with the Clifton Board of Education (“Clifton”).  Pursuant to N.J.S.A. 18A:6-76, commonly known as the “Pass the Trash” statute, Clifton was required to contact the applicant’s prior employers to obtain information relating to child abuse and sexual misconduct.  Clifton sent the Board a questionnaire in which the Board stated that the teacher was subject of a sexual misconduct investigation by the employer and that the teacher resigned from employment while allegations of sexual misconduct were under investigation.  As a result, Clifton rescinded the teacher’s offer of employment.

In August 2019, the teacher filed a complaint in the Chancery Division of the Superior Court of New Jersey, seeking to enforce the confidentiality provision of the settlement agreement between her and the Board, compel the Board to rescind and correct its response to the questionnaire, and enjoin the Board from reporting the investigation to any other prospective employer.  The Chancery court dismissed the teacher’s complaint and transferred the matter to the New Jersey Commissioner of Education who then transferred it to the Office of Administrative Law.

The Administrative Law Judge (“ALJ”) directed the parties to file simultaneous cross-motions for summary decision.  The ALJ granted the Board’s motion for summary decision and denied the teacher’s motion, ultimately dismissing the petition in its entirety.  In response, the teacher filed exceptions upon which the Commissioner issued a final agency decision that adopted the ALJ’s decision.  The teacher then appealed to the Appellate Division.

In her appeal, the teacher set forth several arguments.  First, the teacher argued that the Commissioner improperly granted summary decision because the record indicated disputed issues of material fact.  The teacher then argued that her due process rights were violated when the Commissioner denied the petitioner’s right to a hearing.  Next, she argued that the Commissioner distorted the Legislature’s plain meaning of “sexual misconduct” as defined in N.J.S.A. 18A:6-7.6 and that the Commissioner wrongfully concluded an investigation was pending for sexual misconduct at the time of her resignation.  The teacher also contended that the Commissioner erred by finding the settlement agreement was subject to the requirements of the statute because it was executed before the effective date of the statute.  Finally, the teacher argued that the Commissioner wrongfully determined she consented to the disclosure of information by signing the mandatory authorization form provided by Clifton.

In reviewing an administrative agency’s decision, the Appellate Division imposes a presumption of reasonableness upon the agency, only upsetting the agency’s determination if it was arbitrary, capricious, or unreasonable.  Here, the Appellate Division looked to each of the teacher’s arguments individually to determine whether the agency met this standard.

The Court first analyzed the teacher’s assertion that there were facts in dispute.  The teacher specifically argued that certifications from the Board’s former attorney and her former attorney dispute the principal’s certification that the Board launched an investigation into the teacher’s potential sexual misconduct.  The Court held that these certifications did not indicate that there was not an investigation; rather, these certifications simply pointed to the attorneys’ personal knowledge about the investigations.

The Court then turned to the teacher’s contention that she was never given notice or an opportunity to be heard regarding the Board’s decision.  The Court reasoned that not only is there no notice requirement in the Pass the Trash statute, but also that the Board made no factual findings, thus a hearing was not required.

Moving to the teacher’s arguments that there was no allegation of sexual misconduct nor was there a pending investigation, the Court utilized the principal’s certification.  The certification clearly noted an allegation that prompted the Board to begin an investigation.  The Court held that although the Prosecutor’s office did not press criminal charges, that did not indicate that the Board did not investigate.

Finally, the Court addressed the argument that the Legislature intended to preserve employment settlement agreements entered prior to the enactment of the statute.  To determine whether applying a statute retroactively is appropriate, the Court must look to the legislature’s intent, whether it is explicit or implicit.  Here, the statutory language required that all applicants provide all former employers within the last twenty years that were schools.  The Court held that the language clearly indicates a retroactive application of the statute.  Further, the Court reasoned that even if the language was not clear, the goal of the statute was to ensure the safety of the children and as such, the Legislature would not exempt certain teachers due to a confidentiality clause.

Upon reviewing each of the teacher’s arguments, the Court held that the administrative agency’s decision was not arbitrary, capricious, or unreasonable.  Thus, the Court affirmed the ALJ’s decision.

By: Eric Richwine, Law Clerk

Editor: Sanmathi (Sanu) Dev, Esq.

On July 3, 2023, the New Jersey Appellate Division in In re Adoption of N.J.A.C. 6A:27-5.1 upheld the New Jersey Department of Education’s (“the Department”) adoption of an amendment to its regulations governing the transportation of students. This appeal, on behalf of the New Jersey Public Charter Schools Association (“the Association”), arose from the Department’s amendment to N.J.A.C. 6A:27-5.1, which governs the allocation of transportation costs for disabled students who attend out-of-district charter schools. The new subsection, N.J.A.C. 6A:27-5(b), caps the financial responsibility of the district of residence for disabled students’ transportation costs and requires the charter school to pay the remainder of said costs.

Prior to the amendment, the State Board of Education (“the Board”) held a series of three public meetings from June to August of 2020 to discuss the proposed amendment. It also distributed memoranda detailing the proposed change and published a copy of the proposed amendment in the New Jersey Register. Most notably, on September 24, 2020, the Board published a memorandum to notify chief school administrators and charter school project leads about the proposed change. The memorandum included a hyperlink to the proposed regulation itself, as well as an avenue for administrators and members of the public to submit commentary through the Department’s website. Only five comments were received, none of which came from the Association or any charter school. The Board officially approved the amendment on January 6, 2021, and the Department followed suit on January 7, 2021.  

Soon after, the Association appealed to challenge N.J.A.C. 6A:27-5.1(b). It argued that the regulation was ultra vires, i.e., beyond the scope of the Department’s power. It also contended that the regulation should be set aside because the proposal notice did not conform to certain procedural requirements set forth by the Administrative Procedure Act (“APA”).

The Appellate Division first acknowledged that the power of administrative agencies is to be liberally construed in terms of their statutory responsibilities, but the Court does have the power to find for an ultra vires action to set the regulation aside if it is plainly at odds with the statute per the New Jersey Supreme Court’s holding in In re Freshwater Wetlands Prot. Act Rules, 180 N.J. 478, 489 (2004). However, the Appellate Division emphasized that this is a very high burden, requiring the Association to prove that the Department’s decision indicated a “clear showing that it is arbitrary, capricious, or unreasonable, or that it lacks fair support in the record” per the decision of In re Herrmann, 192 N.J. 19, 27-28 (2007).

With this in mind, the Appellate Division analyzed whether the amendment frustrated the original purpose of the statute. It determined that, under the Charter School Program Act of 1995, the legislature delegated the regulation of non-resident students’ charter school transportation to the Board. Thus, because the amended regulation governed transportation of charter school students with disabilities, the Appellate Division determined that the regulation was consistent with the legislature’s express delegation of authority to the Board to regulate transportation services for students attending out-of-district charter schools. The regulation only specified that any costs above the statutory maximum would be covered by the charter school instead of the parents and therefore did not frustrate the statute’s purpose.

The Appellate Division further rejected the Association’s assertion that the change was invalid for failure to comply with the notice requirements of the APA. Although the Association specifically targeted the proposal for amending the regulation, the Appellate Division found the amendment process to be sufficient, especially considering the fact that the Board conducted three public meetings on the proposal, published the proposed rule, notified lead officials at all charter schools, and even provided a link for the public to offer comments.

In light of its findings, the Appellate Division affirmed and upheld N.J.A.C. 6A:27-5.1(b).

By: Gabi Aste-Molina, Law Clerk

Editor: Sanmathi (Sanu) Dev, Esq.

On July 3, 2023, Governor Murphy signed legislation that expands sick leave for school district employees. Bill A5060/S3440 amends the law by allowing school district employees to use their sick leave for preventative care, care of a family member, recovery from domestic or sexual violence or that of a family member, bereavement of a family member, to attend their child’s school-related conference or meeting, and when their child’s school or place of care is closed. Previously, school district employees could only use sick leave for a personal disability due to an illness or injury or when an employee or someone in their immediate household was exposed to a contagious disease or quarantined for it. This bill does not supersede any collective bargaining rights for school district employees and does not “reduce, diminish, or adversely affect” those rights either.

The new legislation also states that a board of education may require an employee to file a physician’s certificate with its secretary only for sick leave due to a personal injury or illness (and not the new eligible uses). Finally, the bill explains when a board of education may request advance notice or reasonable documentation for sick leave use.

By: Gabi Aste-Molina, Law Clerk

Editor: Sanmathi (Sanu) Dev, Esq.

On June 29, 2023, the Supreme Court held in Students for Fair Admissions, Inc. v. President and Fellows of Harvard College that race cannot be a factor in college admissions because it violates the Equal Protection Clause of the Fourteenth Amendment.

Students for Fair Admissions (“SFFA”) filed separate lawsuits against two highly selective universities: Harvard College and the University of North Carolina (“UNC”) in November 2014, alleging that these institutions’ admissions systems violated Title VI of the Civil Rights Act of 1964 and the Equal Protection Clause of the Fourteenth Amendment by considering race as a factor. The District Courts conducted bench trials in both cases to assess whether race-conscious admission programs violated Title VI and the Equal Protection Clause.

The District Court concluded that Harvard’s race-based college admissions program was constitutionally permissible. The First Circuit affirmed. The District Court concluded that UNC’s use of race in admission was permissible under the Equal Protection clause. The Supreme Court then granted certiorari in both cases (before judgment from the Fourth Circuit in the UNC case).

The Supreme Court explained that judicial precedent allowed college admissions programs to consider race only if such programs complied with narrow restrictions. According to the majority opinion, race-based admissions programs must pass strict scrutiny, cannot use race as a negative against non-diverse applicants or to stereotype people of color, and must, at some point, end. The Court held that both Harvard and UNC’s admissions programs failed all three criteria, and thus their race-conscious admissions violated the Equal Protection Clause.

First, the Court held that the race-based admissions programs could not be evaluated under strict scrutiny. The Court said that Harvard and UNC did not provide compelling interests sufficient to warrant strict scrutiny review stating that, for example, training future leaders was not a measurable goal. Further, the Court stated that the “admissions programs fail to articulate a meaningful connection between the means they employ and the goals they pursue.” Students for Fair Admissions, Inc. v. President and Fellows of Harvard College, No. 20-1199, slip op. at 24 (U.S. June 29, 2023). On this point, the majority opinion stated it was unclear how Harvard and UNC could measure educational benefits stemming from diversity when they use broad racial categories for its student racial composition.

Second, the Court held that race-conscious admissions run afoul of the Equal Protection Clause by using race as a “negative” against non-diverse applicants and to stereotype racial minorities. Id. at 27. The Court noted that the Fifth Circuit found Harvard admitted less Asian American students and that colleges cannot afford some applicants a benefit that others do not receive because college admissions are zero-sum. In addition, the Court stated that considering race in college admissions is stereotyping because a university “engages in the offensive and demeaning assumption that [students] of a particular race, because of their race, think alike.” Miller v. Johnson, 515 U.S. 900, 911-12 (1995).

Finally, the Court stated that race-based admissions must have an end point. The Court disagreed with the universities’ assertion that race-based admissions would end when “there is ‘meaningful representation and meaningful diversity’ on college campuses.” Students for Fair Admissions, slip op. at 30. The Court pushed back stating that comparing the racial breakdown on campus is no different than racial balancing, which is unconstitutional. Fisher v. University of Tex. at Austin, 570 U.S. 297, 311 (2013).

At the end of the opinion, the Court noted some exceptions. College admissions may still consider how race has impacted an applicant’s life. The Court stated, “nothing in this opinion should be construed as prohibiting universities from considering an applicant’s discussion of how race affected his or her life, be it through discrimination, inspiration, or otherwise.” Students for Fair Admissions, slip op. at 39. In addition, military academies may still consider an applicant’s race for admission.

Editor: Sanmathi (Sanu) Dev, Esq.

Below is an article written by my colleague, Ralph R. Smith, Esq., Co-Chair of our firm’s Labor & Employment Group. If you wish to view additional articles and/or be kept up-to-date with labor & employment issues, visit our HR Resource blog by clicking here.

On Tuesday, June 27, 2023, a new federal law that expands the rights of pregnant (and postpartum) workers went into effect nationally. The Pregnant Workers Fairness Act (“PWFA”) provides several new rights and protections for pregnant workers and imposes new obligations on employers. It applies to all employers who employ 15 or more employees.   

Here are some critical provisions of the Act that all employers must know who are covered by this new law:

1.         Reasonable Accommodations: The PWFA requires employers to provide reasonable accommodations to pregnant employees. This includes things such as modifications to tasks, work schedules, or other workplace adjustments that allow pregnant individuals to continue working safely and without jeopardizing their health or the health of their unborn child. Examples of reasonable accommodations may include providing extra breaks, allowing for more frequent restroom visits, or allowing a temporary transfer to less physically demanding tasks.

2.         Protection against Discrimination: The PWFA likewise prohibits employers from discriminating against pregnant workers. It ensures that pregnancy, childbirth, and related medical conditions are protected characteristics under employment anti-discrimination laws. Employers cannot refuse to hire, fire, demote, or take adverse actions against an employee due to pregnancy or its related medical conditions.

3.         Notice and Training Requirements: The PWFA also requires employers to notify their employees of their rights under the Act. Employers must inform workers about their right to reasonable accommodations for pregnancy-related conditions and the prohibition of discrimination based on pregnancy. Additionally, the Act encourages employers to provide training to managers and supervisors to ensure compliance with the law and promote a supportive and inclusive work environment.

As most employers are aware, there were already existing laws that the Equal Employment Opportunity Commission (EEOC) enforces that make it illegal to fire or otherwise discriminate against workers on the basis of pregnancy, childbirth, and/or related medical conditions already. For example, the federal Pregnancy Discrimination Act of 1978 (“PDA”) has long banned such practices; this new law reiterates such prohibitions and expands upon an employer’s duties by actively imposing an accommodation requirement that was not expressly required by the PDA.  

The PWFA does not replace federal, state, or local laws that offer more protection to workers affected by pregnancy, childbirth, or related medical conditions. More than 30 states and cities have laws that require the provision of accommodations for pregnant workers. New Jersey happens to be one such state, which has had a reasonable accommodation mandate as part of its Law Against Discrimination since that law was amended to add the requirements in 2014, meaning that these new requirements of the federal PWFA will just impose obligations that have already existed in New Jersey since the Law Against Discrimination was modified. Moreover, like the New Jersey Law Against Discrimination, employers will be able to opt out of providing accommodations to pregnant workers under the PWFA if they can show that doing so presents an “undue hardship” on their business operations.

If you have not brought your policies in line with the modified Law Against Discrimination, the new federal law gives you a second chance to update your anti-pregnancy discrimination policies to meet these new federal requirements that largely mirror those already existing under New Jersey law.    

On June 29, 2023, the New Jersey Appellate Division issued an unpublished opinion in the matter of Zezza v. Evesham Board of Education.  The appeal arose from a citizen’s request under the Open Public Records Act (“OPRA”) and the common law right of access, for approximately thirty-five (35) seconds of surveillance footage taken from two cameras at an elementary school within the Evesham Township School District (“District”).  The District denied the request for the video footage on the basis of the security exception to OPRA and the case of Gilleran v. Twp. of Bloomfield, 227 N.J. 159 (2016) for the premise the case created a categorical OPRA exception for all public surveillance videos.

The request for the surveillance video arose after plaintiff, Helen Zezza, alleges she was threatened and accosted after her grandson’s baseball game at the elementary school.  The alleged incident was purportedly captured on two of the elementary school’s security cameras.

After the District denied the request for the surveillance video, plaintiff filed a verified complaint in the Superior Court of New Jersey seeking an order to show cause against the District, requesting the court require the District produce the requested security footage and sought attorney’s fees.  Plaintiff also argued the common law right of access to the security footage “outweighs the governmental need for confidentiality.”

The trial court found for plaintiff under both OPRA and the common law right of access.  The trial court ordered the District to produce the surveillance video and determined plaintiff was the prevailing party entitled to an award of $8,046.50 in attorney’s fees.  Specifically, the trial court determined Gilleran allowed for production of a record or portion of a record that does not reveal information about the security scheme of the public building and that it was the District’s burden to demonstrate that the footage would reveal “security compromising information” which the District failed to do.

On appeal to the New Jersey Appellate Division, the District argued the security footage was exempt from disclosure under OPRA and attorney’s fees were not mandatory under the common law right of access.  The Appellate Division disagreed with the District and affirmed the trial court’s decision.  The Appellate Division rejected the District’s contention that Gilleran created a blanket exception for all surveillance videos and also determined the District failed to establish any security concerns to prevent disclosure under OPRA.  Since it was undisputed that OPRA statutorily mandates a fee award to the prevailing party, the Appellate Division rejected the District’s remaining argument the trial judge abused her discretion by awarding attorney’s fees.

By: Eric M. Richwine, Law Clerk
Editor: Sanmathi (Sanu) Dev, Esq.

On June 12, 2023, the New Jersey Supreme Court in Parsells v. Board of Education of the Borough of Somerville held that a New Jersey teacher did not knowingly waive her tenured right to a full-time teaching position under the Tenure Act when she voluntarily moved to a part-time position, unaware that she had no right to return to her full-time role.   

Catherine Parsells, a full-time, tenured teacher employed by the Somerville Board of Education (“Board”), requested a transfer from full-time teaching to an available in-district, part-time teaching position with benefits. The Board approved the request but did not advise her in advance that she would not have a right to return to a full-time position if she voluntarily took the part-time position. When Parsells eventually wished to return to full-time work, she was informed that she had no automatic entitlement to a full-time teaching position and that if one were to become available, she would be required to apply for it. Parsells eventually applied for a full-time teaching position but was not selected.

Parsells appealed to the New Jersey Commissioner of Education (“Commissioner”), arguing that she did not waive her tenure rights by accepting a part-time position and that the Board violated her rights by hiring out-of-district teachers with no tenure for full-time positions instead of herself. The Administrative Law Judge rendered an initial decision in favor of the Board; however, the Commissioner ultimately reversed, reasoning that Parsells did not waive any rights to her full-time position and that the Board had a duty to inform Parsells of the consequences of switching to part-time employment, i.e., the loss of her right to return to full-time job status before she voluntarily switched to part-time employment.  

The Board appealed to the New Jersey Appellate Division, arguing that the Commissioner erred in finding that it was required to give notice of the impact of Parsells’ switch to a part-time role and that there was no valid waiver by Parsells. The Appellate Division extended the holding of Bridgewater-Raritan Education Association v. Board of Education of Bridgewater-Raritan School District, 221 N.J. 349 (2015) to impose a duty to notify full-time teachers who consider voluntarily transferring to part-time teaching that they may not have the right to return to their full-time position and therefore affirmed the Commissioner’s decision.

The Board challenged the Appellate Division’s decision, but the New Jersey Supreme Court unanimously affirmed the holding. The Court reasoned that Parsells did not knowingly waive her tenured right to returning to a full-time teaching position as required under the Tenure Act. However, the Court rejected the Appellate Division’s extension of Bridgewater-Raritan to impose a duty of notification on school boards in this instance. Instead, the Court held that Parsells did not abandon her right to her full-time position knowingly and unequivocally as required by the Court’s decision interpreting the Tenure Act in Knorr v. Smeal, 178 N.J. 169, 177 (2003). As such, the Court affirmed as modified.

Moving forward, despite the Court holding that there was no legal basis for a duty to notify in this instance, the Court encouraged school boards to address whether a tenured teacher is voluntarily and knowingly waiving their right to a full-time position: any waiver of a teacher’s tenure rights must be “clear, knowing, and unequivocal.”

On Wednesday, June 21, 2023 from 10:00 a.m. to 12:00 p.m., Lauren E. Tedesco, Esq. will be presenting a webinar sponsored by The Institute for Professional Development entitled, “Employee Leaves of Absence Update-Answers To The Most Frequently Asked Questions.”  This follow-up to the March 29, 2023 Webinar entitled “Employee Leaves of Absences: What Public Employers Need To Know” will answer attendees questions and discuss employee leaves of absences in further detail. For additional information and registration, please click here.

On April 20, 2023 the New Jersey Appellate Division decided an Open Public Records Act (“OPRA”) matter in the case of Owoh v. City of Camden, 2023 N.J. Super. Unpub.  LEXIS 597 (App. Div. Apr. 20, 2023).  The Appellate Division determined the City of Camden (“City”) did not deny access to requested police records and the City was not obligated to retrieve the records from the County of Camden (“County”) a separate public entity.  The firm successfully represented the City on appeal.

Plaintiff-Respondents, Rotimi Owoh, o/b/o African American Data and Research Institute, and Baffi Simmons (“Owoh”) filed an OPRA request with the City back in November of 2018 for various police department records.  The City directed the requestor to the proper custodian of the requested records, the County, as the City had not had its own police force since 2013 when the County assumed all police services for the City.  The requestor filed a denial of access complaint with the Government Records Council (“GRC”) and the GRC determined the City denied access to the requested records, was obligated to retrieve the records from the County because of the Police Services Agreement between the City and the County and awarded attorneys’ fees to Owoh.

The City appealed the GRC’s determination to the Appellate Division on the basis Owoh did not serve the proper custodian with the request, the City was not the custodian of the records and the City could not be under an obligation to retrieve records from a separate public entity.  The Appellate Division found in the City’s favor in all regards and reversed the GRC’s decision finding the City denied Owoh access to the requested records.  The Appellate Division determined the City did not unlawfully deny access to records which were made and maintained by the County and that once the City received the request properly meant for the County, the City’s Custodian complied with the statute by directing the requestor to the proper County Custodian.  Importantly, the Appellate Division vacated the award of attorneys’ fees to Owoh.

Editor: Sanmathi (Sanu) Dev, Esq.

Below is an article written by my colleague, Ralph R. Smith, Esq., Co-Chair of our firm’s Labor & Employment Group. If you wish to view additional articles and/or be kept up-to-date with labor & employment issues, visit our HR Resource blog by clicking here.

It seems like every day, I get some very unique questions in my practice. This one was a doozy. A client calls and tells me that an employee who is out of work on a medical leave of absence is posting pictures of herself on Facebook while on a wonderful vacation in the Bahamas. Needless to say, the client is irate and wants to take immediate disciplinary action against the employee, believing that the employee is not really sick and is engaged in some type of fraud under the Family and Medical Leave Act (“FMLA”). So, what can an employer do in such a circumstance?

Believe it or not, a lot.

Despite what some may think, being on FMLA leave does not shield an employee from possible disciplinary action, either for conduct that was committed before the leave or even during the leave. Employers can even fire an employee for misconduct when an employee is on an FMLA leave. The FMLA specifically states that if an employee would be subject to a possible job loss if they were physically present at work and not on a leave, the employee can lose their job even if they are taking FMLA. So, the statute itself provides an employer with some latitude in these types of situations. Obviously, any time such disciplinary action is taken there are risks, so the employer must make sure that it has solid documentation and proof to support its discipline in case the employee brings suit and claims either retaliation or interference with the ability to take FMLA leave. These are both possible claims that could be brought in such circumstances, so employers must proceed with some caution in navigating these types of factual scenarios.

In my client’s situation, the employer has every right to concern itself with possible FMLA fraud. It is real and happens much more frequently than you would think. There are a number of reported cases where courts have given employers the ability to address such situations, going as far as allowing terminations in the very scenario on which my client sought legal advice. In one such case, an employee who was on an FMLA leave for a mental condition was discovered on a vacation in Florida. The employer learned about it when the employee posted pictures of himself on the internet. After the employee was fired for FMLA fraud, he brought suit claiming retaliation and interference with his FMLA rights. In defense of his actions, the employee claimed that his doctor directed that he needed to relax more to deal with his stress condition, and that was why he took a vacation in Florida. The court rejected the claim, declaring that the point of FMLA leave is to allow an employee to recuperate from a serious medical condition and did not give an employee license to take an unauthorized surreptitious vacation from work. Thus, the employee’s termination while on FMLA leave was declared a valid disciplinary action by the employer.

Therefore, employers you do have tools available to you when you sense possible FMLA fraud. Proceed with caution, but don’t let those possible risks prevent you from imposing discipline against employees who are truly attempting to abuse the FMLA and harm your workplace.

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