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    FEDERAL MEDIATION AND CONCILIATION SERVICE

    In the Matter of the Arbitration between FMCS No. 03-03795

    Grievant R. Max Smith

    OPEIU LOCAL NO. 2001,Union,

    and

    U.S. DEPARTMENT OF ENERGY,

    Agency._______________________________/

    OPINION OF THE ARBITRATOR

    October 10, 2003

    After a Hearing Held June 25-26, 2003At the Federal Office Building in Oak Ridge, Tennessee

    For the Grievant:

    Kent L. BooherAttorney at Law

    The Maxwell Place112 Kingston Street, Suite A

    Lenoir City, TN 37771-2926

    For the Agency:

    S. Shea LunaOffice of Chief Counsel

    DOE Oak Ridge Operations OfficePO Box 2001

    Oak Ridge, TN 37831

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    I. INTRODUCTION

    I.A. Diversity Case

    This is a diversity case. Coming as it does on the heels of the Supreme

    Courts recent pronouncements on the subject, Gratz v Bollinger, 156 L Ed 2d

    257 (2003) (University of Michigan 1 or UM1) and Grutter v Bollinger, 156

    L Ed 2d 304 (2003) (University of Michigan 2 or UM2), the case is

    appropriate for consideration in light of the principles just laid down in those

    two landmark cases, in which the High Court drew heavily from Justice

    Powells principal opinion in Regents of Univ of Cal v Bakke, 438 US 265

    (1978) (Bakke).

    I.B. Background

    Grievant, Ray Maxwell (R. Max) Smith, a professional engineer licensed

    in Tennessee, Alabama, Virginia, Kansas, South Carolina, North Carolina,

    Florida, California, and Kentucky, is employed as a metallurgical engineer1 by

    the U.S. Department of Energy (DOE or Agency) in Oak Ridge, Tennessee.

    He is a member of Local 2001 of the Office and Professional Employees

    International Union, AFL-CIO (Union). Grievant alleges discrimination in the

    promotion of [JAF], a native of Puerto Rico and a graduate of the University of

    Puerto Rico, to the position of lead nuclear engineer, grade GS-14. Mr. [JAF],

    1 As Grievant classifies himself in his grievance filings, AXs 11, 13, and 15, based upon the position

    description given him by the Agency. However, he insists that he has not yet been assigned or assumed

    any Metallurgical Engineering duties at all. UX 3 @ 8.

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    who describes himself as Hispanic in his Application for Federal Employment

    SF 171 (AX 6), will be referred to as the Successful Candidate.

    The events of which Grievant complains had their genesis back in April

    of 1995, when he competed and was selected for a temporary promotion from

    nuclear engineer GS-13 to nuclear engineer GS-14. He was detailed from the

    Nuclear Safety Division to Enrichment Facilities. Shortly thereafter, the

    Successful Candidate, then a GS-13 general engineer, was transferred at his own

    request from Nuclear Safety to the Y-12 Site Office. Y-12 is a uranium

    manufacturing facility in Oak Ridge.

    Grievants work in Enrichment Facilities involved regulatory oversight

    under the supervision of J. Dale Jackson. Grievant also became involved with

    implementation of the Price-Anderson Amendments Act.2 When responsibility

    for Price-Anderson was transferred to Nuclear Safety under Martin H. McBride,

    division director (Director), Grievant continued that work, as well as

    regulatory oversight under Mr. Jackson.

    2 The Price-AndersonAmendmentsActof 1988, PL 100-408, provides indemnification (i.e., compensation

    or exemption from incurred penalties or liabilities) to DOE contractors who manage and operate nuclear

    facilities in the DOE complex. In essence, the Government acts as an insurer for these contractors againstany findings of liability arising from the nuclear activities of the contractor within the scope of its contract.

    As part of its agreement to continue indemnification coverage, in 1988 Congress mandated that the DOE

    develop and enforce nuclear safety requirements to minimize the risk of injury to workers and the public.

    The DOE must ensure that nuclear activities are conducted in a manner that protects the environment and

    human safety and health to achieve this goal. To help accomplish this, Price-Anderson provides the

    Agency with enforcement authority for nuclear safety requirements. The requirements of Price-Anderson

    are incorporated into the Atomic Energy Act in Section 234A.

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    In June of 1997, the Director insisted that Grievant be returned to Nuclear

    Safety so that he could work on Price-Anderson fulltime. Grievants detail to

    Enrichment Facilities was terminated and he was reduced back to a GS-13, but

    the very day after his return, he was sent to the Y-12 Site to work in the

    Operations Division. In March of 1998, the Successful Candidate was detailed

    from the Y-12 Site Office to the Nuclear Safety Division as a GS-13 nuclear

    engineer to serve as acting team leader for the Facility Safety Team, a position

    to which Grievant aspired.

    This move prompted the first of several memos penned by Grievant, who

    viewed it as favoritism shown by the Director toward the Successful Candidate.

    In a memo dated March 19, 1998, addressed to Adolphus Brown in personnel

    and copied to the Director, Grievant wrote:

    I must concur with the team members and conclude it is apparent that the

    incumbents appointment to this position was pre-determined; and thatMr. McBrides solicitation to NSD employees was a ruse .

    (Contained in UX 3, as well as in other exhibits.)

    Following an unsatisfactory meeting with the Director on April 9, 1998,

    Grievant wrote a memo to the Director, dated April 20, 1998, reiterating his

    concerns and stating:

    I am perplexed by your explanation that you held the position open

    for an inordinate amount of time to assure that [JAF] had an opportunityto be considered.

    I still contend that your selection process constitutes a planned

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    management action. I believe that your selection was not fair andimpartial. (Contained in UX 3, as well as in other exhibits.)

    In June of 1998, Grievant was transferred from the Operations Division

    to the Y-12 Site Office, and the Successful Candidate was transferred from that

    Office to Nuclear Safety. In August of 1999, the Successful Candidate was

    temporarily promoted, on a non-competitive basis, to GS-14 lead nuclear

    engineer to act as team leader for the Facility Safety Team. He was to occupy

    the position held by Terry B. Olberding, who was on detail to Y-12. The

    Successful Candidates temporary promotion was for the maximum allowable

    120 days.3 After that period, his grade was lowered back to GS-13.

    In December of 1999, Vacancy Announcement - # OR 00-68 was posted

    for a lead nuclear engineer GS-14 (AX 4). Although the position was advertised

    as a temporary one not to exceed one year, under CONDITIONS OF

    EMPLOYMENT, the Announcement stated:

    This position may be extended beyond 1 year without furthercompetition, and may be converted to a permanent position without

    further competition.

    Eight candidates applied for the position, six of whom were rated highly

    qualified by Human Resources (AX 5). Among those making the cut were

    Grievant and the Successful Candidate. The other four were Teresa Michelle

    3 See Article 17, Section 2.B (AX 7 @ 20).

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    Robbins,4 Randall M. DeVault, Michael R. Jugan, and John David Harris (AXs

    5 & 6). The Director appointed a panel of three to screen the six highly qualified

    applicants. The panel was headed by Brenda L. Hawks; the other members were

    David R. Allen and Daniel K. Hoag.

    The Director commissioned the panel to select the top three candidates

    and submit their names to him in alphabetical order. Panel members each

    independently selected a top three and discovered that each had selected the

    same three, although not ranking them in identical order. The top three, listed

    alphabetically, were:

    DeVault, Randall M.

    [JAF]Robbins, Teresa M.

    These three names were submitted to the Director in a memorandum dated

    February 8, 2000 (AX 10).

    The Director himself selected the Successful Candidate, whose

    appointment was effective February 13, 2000 (AX 1). Grievant responded with

    a grievance directed to Dan Hoag, acting director of the Technical Division (AX

    11), in which he sought promotion to a permanent GS-14 grade. Mr. Hoag

    denied the grievance in a memorandum dated February 25, 2000 (AX 12).

    Grievant moved on to step two of the grievance procedure, March 2,

    4 The arbitrator would be remiss if he did not note the praise heaped upon Ms. Robbins for her work in

    preventing a plutonium explosion at the Rocky Flats Nuclear Power Plant.

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    2000, in a written submission directed to Corey A. Cruz, acting assistant

    manager for Defense Programs (AX 13). The Agencys negative response was

    delivered in a memorandum dated March 22, 2000, signed by William J.

    Brumley, the new acting assistant manager for Defense Programs (AX 14).

    Undeterred, Grievant submitted his third-step grievance to G. Leah

    Dever, manager of the National Nuclear Security Administration, on March 28,

    2000 (AX 15). Ms. Dever enlisted the services of Don R. Sloan, lead contract

    specialist GS-14, to conduct a fact finding review of the events surrounding

    [the] grievance and report back to [her] on his findings (AX 16 @ 1).

    Without addressing legal issues, Mr. Sloan did as requested and reported:

    I find no basis that the selection of [JAF] for the GS-13 or GS-14

    positions was inappropriate based on the information available to me.UX 1 @ 7.

    Ms. Dever then denied the grievance in a memorandum dated June 16, 2000

    (AX 16), in which she also rejected Grievants proposed settlement through

    promotion to senior weapons quality assurance engineer GS-14.

    In an 8-page memo to Ms. Dever, dated June 29, 2000 (UX 3), Grievant

    critiqued the Sloan report (UX 1) and expressed his disappointment:

    I am disappointed that a review of my fifteen alleged violations of theProhibited Personnel Practices and Merit System Principles was not

    undertaken . UX 3 @ 1.

    He continued to urge settlement through his promotion to GS-14 as a senior

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    weapons quality assurance engineer (UX 3 @ 7-8).

    The Union demanded arbitration. The Successful Candidates temporary

    position became permanent, as the Vacancy Announcement had indicated it

    might. Apparently further attempts were made to settle the grievance, but they

    failed. A hearing was held over two arduous days in the Federal Office Building

    at Oak Ridge, Tennessee, June 25-26, 2003.

    Fourteen witnesses testified. Regrettably, no court reporter was hired to

    record their testimony, some of which was rather startling. The absence of a

    transcript necessitates discussion of the testimony at a length greater than

    otherwise would be customary. Grievant was represented by private counsel,

    and M. Dalton Cooper, DOE shop chairman, attended on behalf of the Union

    and also testified.

    I.C. Procedural Preliminaries And Arbitrability

    In the Agencys initial response to Grievant (AX 12), it sought to

    characterize his complaints as amounting to nothing more than dissatisfaction

    over his nonselection for promotion from among a group of properly ranked and

    certified candidates. The reason for this posture may be found in ORO O 320,

    Chapter VII, Merit Promotions (AX 8). The NOTE to section 1.e(2)(a)

    provides:

    Nonselection for promotion from among a group of properly ranked andcertified candidates is excluded from both grievance procedures. AX 8

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    @ VII-10.

    Oak Ridge Operations Order 320 is incorporated into the collective bargaining

    agreement via Article 2, Section 1.A (AX 7 @ 1).

    At first, the Agency proposed an initial proceeding to decide the

    threshold issue of arbitrability. A briefing schedule was set in a conference call

    with the arbitrator, who did not have a copy of the collective bargaining

    agreement at that time. After the Agency filed a motion for summary judgment,

    dated May 30, 2003, attention was called to Section 4.C of Article 12 of the

    collective bargaining agreement, which provides:

    In a grievance which includes a question of arbitrability, the arbiter will

    hear both this issue and the merits of the case at the hearing but willaddress the arbitrability question as a threshold issue in the decision. AX

    7 @ 16.

    Accordingly, the parties proceeded with a full hearing on the merits, at which

    the Agency made its argument against arbitrability of the dispute, an argument

    which it reasserts in its brief.

    Another preliminary issue was the attendance of witnesses. In the more

    than three years that had elapsed since the grievance was filed in February of

    2000, the Director had retired and seemed reluctant to testify. The parties

    consulted the arbitrator, who suggested resort to a subpoena pursuant to

    Tennessee Code Annotated 29-5-109 or 29-5-308, but that ultimately proved

    unnecessary, as the Director relented and appeared voluntarily.

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    Grievants complaints clearly are arbitrable because, as his counsel

    explained in opening statement, the issue is not nonselection but discrimination.

    In his third-step memo to G. Leah Dever (AX 15), Grievant charged the Agency

    with no fewer than 15 violations of Title 5, United States Code. If each Code

    subsection cited were in fact violated as charged, then the violations would

    number in the dozens. In any event, every grievance by an individual over a

    position of necessity will entail nonselection, since only someone passed over

    will have standing to complain.

    The NOTE to ORO O 320, Chapter VII, section 1.e(2)(a) means only

    that a grievance may not be filed over nonselection, standing alone. However,

    when nonselection results from a Prohibited Personnel Practice or violation of

    the collective bargaining agreement, Merit System Principles, or any law, rule,

    or regulation affecting conditions of employment, then an employee adversely

    affected may file a grievance, else the negotiated grievance procedure would be

    ineffectual. See 5 USC 7121(d); Article 2, Section 1.A (AX 7 @ 1); Article 3,

    Section 1 (AX 7 @ 2-3); Article 11, Sections 1.A, B (AX 7 @ 11-12); Article

    17, Section 1.D (AX 7 @ 20). Moreover, the selection process itself is subject to

    challenge under 5 CFR 335.103(d) (AX 9). The dispute is arbitrable.

    I.D. The Collective Bargaining Agreement

    And The Civil Service Reform Act of 1978

    The collective bargaining agreement (AX 7) is entitled Agreement

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    between the Oak Ridge Operations Office and the Office of Scientific and

    Technical Information U.S. Department of Energy and the Local No. 268 Office

    and Professional Employees International Union (AFL-CIO) December 1995.

    Presumably Local No. 2001 has succeeded Local No. 268 and the contract has

    been extended, although the parties do not address these issues. See Article 15,

    Section 3 (AX 7 @ 18) and Article 30, Section 1 (AX 7 @ 36). Binding laws

    and regulations are incorporated into the collective bargaining agreement in

    Article 2, Section 1.A (AX 7 @ 1).

    In Grievants third-step memo to Ms. Dever (AX 15), he charged the

    Agency with violations of 5 USC 2301(b)(1) and (2) and 5 USC

    2302(b)(4), (5), (6), (8)(A)(i) and (12)5. The Merit System Principles from the

    Civil Service Reform Act of 1978, 5 USC 2301(b), are contained in Article 3,

    Section 1 (AX 7 @ 2-3); the ones relevant to this arbitration are set forth below:

    (1) Recruitment should be from qualified individuals fromappropriate sources in an endeavor to achieve a work force from allsegments of society, and selection and advancement should be

    determined solely on the basis of relative ability, knowledge,and skills, after fair and open competition which assures that allreceive equal opportunity.

    (2) All employees and applicants for employment should receivefair and equitable treatment in all aspects of personnelmanagement without regard to political affiliation, race, color,

    religion, national origin, sex, marital status, age, or handicappingcondition and with proper regard for their privacy and constitutional

    5 5 USC 2302(b)(11), as referenced by Grievant, is now (12). PL 105-339.

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    rights.

    (8) Employees should be (A) protected against arbitrary action,personal favoritism, or coercion for partisan political purposes .

    Prohibited Personnel Practices are listed in 5 USC 2302(b); the relevant

    ones are set forth below:

    Any employee who has authority to take, direct others to take,

    recommend, or approve any personnel action, shall not, with respectto such authority

    (1) discriminate for or against any employee or applicant for

    employment - (A) on the basis of race, color, religion, sex, or nationalorigin, as prohibited under section 717 of the Civil Rights Act of 1964

    (42 U.S.C. 2000e-16);

    (4) deceive or willfully obstruct any person with respect to such

    person's right to compete for employment;

    (5) influence any person to withdraw from competition for anyposition for the purpose of improving or injuring the prospects of any

    other person for employment;

    (6) grant any preference or advantage not authorized by law, rule, orregulation to any employee or applicant for employment (including

    defining the scope or manner of competition or the requirements forany position) for the purpose of improving or injuring the prospects of

    any particular person for employment;

    (8) take or fail to take, or threaten to take or fail to take, a personnel

    action with respect to any employee or applicant for employment

    because of - (A) any disclosure of information by an employee orapplicant which the employee or applicant reasonably believesevidences - (i) a violation of any law, rule, or regulation,

    (12) take or fail to take any other personnel action if the taking of or

    failure to take such action violates any law, rule, or regulationimplementing, or directly concerning, the merit system principles

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    contained in section 2301 of this title.

    I.E. Grievants Charges

    Grievants specific charges (AX 15) are as follows; his references to 5

    USC 2302(b)(11) have been changed to (12), as previously noted:

    1) The NSD Directors design and implementation of a specially prepared position description that carefully incorporated leadership duties with

    nuclear engineering duties in early 1998 constitute a violation of 5 USC2302(b)(6).

    2) The NSD Directors decision to direct my transfer to another division soas to preclude me from consideration for the GS-13 level Team Leaderposition in early 1998 is a violation of 5 USC 2302 (b)(4), (b)(5), (b)(6),

    and (b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    3) The NSD Directors decision to omit me from consideration for the GS-13 level Team Leader position in early 1998 is a violation of 5 USC2302 (b)(4), (b)(5), (b)(6), and (b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    4) The NSD Directors decision to limit the area of consideration for theGS-13 level Team Leader position to interested candidates [within] onlythe NSD in early 1998 is a violation of 5 USC 2302 (b)(4), (b)(5), (b)(6),

    and (b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    5) The NSD Directors announcement of the selection of an individual thatwas then located in another Program Office, substantially outside the

    announced area of consideration, for the GS-13 level Team Leaderposition in early 1998 is a violation of 5 USC 2302 (b)(4), (b)(6), and(b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    6) The NSD Directors decision to overlook NSD employees that indeed didexpress interest in serving in the GS-13 level Team Leader position inearly 1998 is a violation of 5 USC 2302 (b)(4), (b)(6), and (b)(12); and 5

    USC 2301 (b)(1) and (b)(2).

    7) The NSD Directors solicitation to NSD employees in early 1998 was nottendered in good faith, which is a violation of 5 USC 2302 (b)(4), (b)(6),

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    and (b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    8) In the NSD Directors selection of both GS-13 level Team Leader inearly 1998 and the selection for Vacancy Announcement number OR 00-

    68, disparate treatment occurred to NSD employees, other highlyqualified applicants, and myself, which constitutes a violation of 5 USC

    2302 (b)(4), (b)(6), and (b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    9) The NSD Director provided favoritism for one employee both for theselection of the GS-13 level Team Leader in early 1998 as well as for the

    selection on Vacancy Announcement number OR 00-68, which is aviolation of 5 USC 2302 (b)(6), and (b)(12); and 5 USC 2301 (b)(1) and

    (b)(2).

    10) The NSD Director pre-selected an individual for both for the selection ofthe GS-13 level Team Leader in early 1998 as well as for the selection onVacancy Announcement number OR 00-68. This is a violation of 5 USC

    2302 (b)(6), and (b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    11) The NSD Director provided an individual the opportunity in early 1998to serve in a GS-13 level Team Leader position. This personnel action

    allowed the individual to accrue duties and skills for an extended periodof time to ensure a dominant posture when the position (as was

    anticipated) became available, thus constituting a planned managementaction. See McLaughlin v. Callaway [382 F Supp 885 (SD Ala 1974)].

    This is a violation of 5 USC 2302 (b)(4), (b)(6), and (b)(12); and 5 USC2301 (b)(1) and (b)(2).

    12) The NSD Director manipulated the selection process for the selection ofthe GS-13 level Team Leader in early 1998 as well as for the selection onVacancy Announcement number OR 00-68. As manipulation relates tothe Merit System Principles, this is a violation of 5 USC 2301 (b)(1) and

    (b)(2).

    13) Advertising the position as temporary, when buried in the body ofVacancy Announcement number OR 00-68 is language that permits

    conversion to a permanent position with no further competition (which is precisely what has occurred for this position), creates an implicit,

    deterring effect on other potential applicants that may not have beeninterested in a temporary position. This is contrary to 5 USC 2302 (b)(5).

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    14) By raising concerns in writing on numerous occasions, my non-selectionon Vacancy Announcement number OR 00-68 is a violation of 5 USC

    2302 (b)(8)(A)(i).

    15) The NSD Directors misrepresentation of the need for my full-timeservices in June, 1997, thereby causing the loss of my temporary

    promotion, then transferring me to the Y-12 Site Office, which wascontrary to the stated need to perform Price-Anderson Enforcement,

    constitutes retaliation. This is a violation of 5 USC 2302 (b)(5), (b)(6),and (b)(12); and 5 USC 2301 (b)(1) and (b)(2).

    I.F. The Agencys Defenses

    In addition to defending on the ground of arbitrability, the Agency insists

    that Grievants complaints about the events of 1997-1999 are untimely and may

    not be grieved at this late date. The Agency further contends that Grievant has

    failed to show that the selection of [JAF] for Lead Nuclear Engineer was

    improper. Agency Brief @ 4-7. Grievant has no grounds for complaint because

    his job assignments, even the involuntary transfers, were within managements

    discretion, which included the right to limit selection to a particular pool of

    applicants. Finally, the Agency asserts that the law does not permit a promotion

    to GS-14 to be awarded Grievant, inasmuch as such an award would contravene

    the rights reserved to Agency management under 5 USC 7106(a) and (b).

    Agency Brief @ 7-8.

    II. DISCUSSION AND ANALYSIS

    II.A. The Issues Presented

    The parties did not agree upon a joint definition of the issues presented;

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    indeed, they did not even agree upon any joint exhibits, so that the collective

    bargaining agreement itself was introduced as an Agency exhibit. In the absence

    of the parties agreement, the arbiter is empowered to define the issues of that

    particular grievance. Article 12, Section 4.A (AX 7 @ 15). The arbitrator

    therefore discusses the issues raised by the evidence or by either party in its

    opening or closing statement or in its brief.

    II.B. The Testimony Of J. Dale Jackson

    J. Dale Jackson, GS-15 and Grievants former supervisor, testified on the

    latters behalf. Grievant came to work for him during a time of program changes

    at the Paducah Gaseous Diffusion Plant DOE Site Office in Paducah, Kentucky,

    where Grievant had been stationed between 1990 and 1993. In the 1994-1995

    time frame, Mr. Jackson, predecessor to the Director, left for the Y-12 Site, to

    replace the reactor restart manager, who was retiring.

    Mr. Jackson found that safety analysis at Y-12 was chaotic. The

    Successful Candidate then was in charge of the safety analysis reports, or

    SARs, program, which Mr. Jackson described as out of control. There were

    workload problems and communication problems with a major contractor,

    Lockheed Martin Corporation. The Successful Candidate was not doing his job.

    When the Y-12 site manager left, Mr. Jackson took over that position.

    Mr. Jackson was acting site manager in January of 1998, when the Successful

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    Candidate left. After the Successful Candidates departure, the SARs program

    was brought under control, and communication with Lockheed Martin

    improved.

    The Successful Candidate filed a complaint against Mr. Jackson, who

    would not have selected the Successful Candidate for the GS-14 team leader

    position, due to poor job performance. The Successful Candidate also filed a

    complaint against Grievant.

    Although Mr. Jackson never promoted Grievant, he believes that

    Grievant is capable of functioning as a team leader at the GS-14 level. He

    considers Grievants complaints to be reasonable. He described the Directors

    request that Grievant be allowed to work fulltime on Price-Anderson as a

    pretense.

    Mr. Jackson testified that DOE has a strong diversity agenda. In

    recruiting, the Agency targets Black6 and Hispanic colleges. Certain positions

    are targeted for diversity candidates. When the Secretary of Energy wanted to

    fill a position at Paducah with a woman, one was found.

    Managers are under very real pressure to select diversity candidates and

    never are questioned when they select one. All lateral transfers must go through

    6 African-American is used in the University of Michigan cases,supra.

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    area of diversity promotion was used as both a carrot and a stick to forcesupport for the agencys diversity agenda. These tactics may help explain

    Mr. McBrides actions in preselecting a Hispanic male for a job that wasspecifically created to enhance the promotion opportunities for its

    incumbent.

    Mr. Jacksons testimony about the Agencys diversity agenda is

    corroborated by several exhibits, including the Successful Candidates own

    Application for Federal Employment SF 171 (AX 6), in which the Successful

    Candidate lists the following awards:

    Quality Step Increase, October 29, 1995: for your outstandingand enthusiastic leadership as Manager of the ORO HispanicEmployment Program Advisory Council.

    Quality Step Increase, October 30, 1994: In recognition of your dedicated leadership of the ORO Hispanic EmploymentProgram.

    Monetary Award for Special Act or Service, March 22, 1994: Inrecognition of your personal contributions to the Hispanic HeritageCelebration .

    The Ranking Factors listed in Vacancy Announcement - # OR 00-68

    reflect the importance placed upon diversity:

    1. Knowledge of concepts, principles, standards, and practices offacility safety.

    2. Skill in leadership and experience in coordinating groups ofindividuals specifically in the area of nuclear safety.

    3. Knowledge and support of equal opportunity goals and affirmativeaction programs, policies, and responsibilities.

    4. Skill in written and oral presentations.

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    5. Ability to establish and maintain effective working relationshipswith a variety of individuals and groups in a demanding

    environment. AX 4; emphasis supplied.

    Thus, diversity considerations account for a full 20% of a candidates ranking

    and are weighted equally with knowledge of nuclear facility safety.

    Form OR-11, Supervisory Appraisal Of Demonstrated Performance,

    attached to the Vacancy Announcement, similarly reflects these Ranking

    Factors/Basis of Rating, as does the Crediting Plan attached to Form OR 5,

    Merit Staffing Request (AX 3). The Crediting Plan elaborates on the diversity

    factor as follows:

    A Experience which has provided general familiarity with EEO goals

    and objectives, or training in Federal AA and EEO policies, orexperience in maintaining working relationships which required

    bias-free interpersonal skills for effective performance.

    S Direct participation in EEO or affirmative action programs andactivities on or off the job which involved efforts to improve the

    utilization of protected class members and/ or to assure theirequitable treatment.

    A stands for a required ability, and S for a required skill.

    By contrast, the Position Description (AX 2) used in 1998 for the

    Successful Candidates predecessor, Terry Olberding, emphasizes technical

    competence; e.g.:

    Develops, recommends, and interprets ORO policies for the protection ofthe safety and health of workers and the public in accordance with safety

    management system concepts. AX 2 @ 2.

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    Knowledge of the basic theories and principles of physical science,engineering, safety analyses, risk assessments, safety management,

    conduct of operations, and related technical fields sufficient tounderstand, evaluate, and manage facility safety, process safety, and

    conduct of operations programs assigned to the Facility Safety Team.AX 2 @ 4.

    Work results are considered technically authoritative and are normally

    accepted without significant change. AX 2 @ 5.

    The scope of work involves a wide range of engineering, physics, andsystem performance understanding such as required to evaluate system

    design to ensure that all potential hazards are systematically identifiedand appropriate mitigating measures are taken. AX 2 @ 7.

    The total value of operations or projects that the appraisal effort would

    include is in the range of several hundred million to several billion

    dollars. AX 2 @ 7.

    This position is covered by the Technical Qualification Program (TQP).The TQP was established as a result of the Defense Nuclear Facilities

    Safety Board Recommendation 93-3 and requires the incumbent to becompetent in his/her technical discipline as demonstrated by education,

    professional certification, examination or on-the-job performance. AX 2,Addendum to Position Description and Performance Plan.

    The fact that the requirements for team leader in the Nuclear Safety Division

    seem to have been changed so dramatically gives credence to Grievants

    allegation that the Vacancy Announcement and selection process were tailored

    to the Successful Candidate.

    Mr. Jacksons testimony was corroborated by that of his former first

    lieutenant, Randall M. DeVault, a finalist in the bidding for the temp-14 team

    leader position at issue, who took over for Mr. Jackson when Jackson moved to

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    Y-12. Grievant worked in regulatory oversight with Mr. DeVault, who was told

    that Grievant was being transferred back to Nuclear Safety to work on Price-

    Anderson, despite DeVaults requests that Grievant be allowed to remain,

    because Grievants job in regulatory oversight had not been completed.

    II.C. The Testimony Of John David Harris

    John David Harris was one of the highly qualified candidates for the team

    leader position in dispute. Mr. Harris holds a B.S. in mechanical engineering

    from Fairleigh Dickinson University, an M.S. in nuclear engineering from the

    Massachusetts Institute of Technology, and an M.S. in management from

    Rennselaer Polytechnic Institute (AX 6). He did post-masters work in nuclear

    engineering at MIT and Rennselaer (AX 6). At the time of his application, he

    listed himself as author or coauthor of thirty technical publications (AX 6). He

    has 31 years of experience as a nuclear engineer and is a registered professional

    engineer.

    Mr. Harris has known the Director as long as Mr. Harris has worked for

    the Agency; he worked for the Director at the time of his application for team

    leader. According to Mr. Harris, the Director does not have a reputation for

    truthfulness and could not be trusted. Mr. Harris suspects that the Director was

    pressured into selecting the Successful Candidate.

    Mr. Harris attended meetings with the Director regarding the acting team

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    leader GS-13 position. The Successful Candidate did not attend these meetings.

    The Director was evasive about the position. Mr. Harris believed that the GS-13

    position would lead to permanent leadership at the GS-14 level. Mr. Harris was

    led to believe that the position was open to employees of Nuclear Safety, only.

    He applied, but the Successful Candidate nevertheless was selected from

    outside, a point which the Agency concedes in its brief:

    [JAF] was selected for the position even though, as the Grievantalleges, he was not a current NSD employee at the time of the selection.

    Agency Brief @ 6.

    The Agency attempts to finesse the issue by suggesting:

    Even assuming that Mr. McBride informed other NSD employees that

    the selection for the GS-13 Team Leader position would be made fromwithin the NSD, McBrides selection of Mr. [JAF] does not constitute

    favoritism because lateral hires do not have to be selected from within theexisting division. Agency Brief @ 6.

    The ready response is that deceit is a Prohibited Personnel Practice, 5 USC

    2302(b)(4), and discrimination is against Merit System Principles, 5 USC

    2301(b)(2), and also is prohibited, 5 USC 2302(b)(1).

    Mr. Harris testified that, at one meeting, the Director stated that no

    selection was imminent. Perhaps five minutes after the meeting, he passed by

    the Directors office and overheard the Director remark on the telephone that the

    Successful Candidate had the job. Mr. Harris testified that, from this moment

    on, he knew the fix was in. While the Director did testify before Mr. Harris

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    took the witness stand, the Agency did not recall the Director to rebut Mr.

    Harris testimony about the telephone conversation.

    Mr. Harris characterized the Successful Candidates selection as an EEO

    choice. In his opinion, the Successful Candidate has little technical

    understanding and is not technically competent. The Successful Candidate does

    not understand the mathematics or the mathematical models used in nuclear

    reactor safety analysis. In 4 years of interaction with the Successful Candidate,

    he found the Successful Candidate to be wrong 9 out of 10 times. The

    Successful Candidate would make reckless technical statements, when he really

    did not know what he was talking about, and would override more

    knowledgeable professional engineers.

    Mr. Harris filed a grievance against Robert William Poe, assistant

    manager for Environment, Safety, & Quality, and the Successful Candidate,

    because the Successful Candidate attempted to coerce him into signing off on a

    report which he did not have sufficient information to approve. The report later

    was kicked back. The grievance was settled just the day before Mr. Harris

    testified, by a transfer away from the Successful Candidate.

    Mr. Harris claims that he did not file a grievance over the Successful

    Candidates selection as team leader because he feared retaliation from Mr. Poe.

    He has had encounters with Mr. Poe in which Mr. Poe threatened his job in

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    front of witnesses. He claimed to know of at least two instances of actual

    retaliation. There have been other threats by Mr. Poe.

    Mr. Harris experiences with Mr. Poes temper are shared by Mr. Cooper,

    the Union representative, who testified that Mr. Poe became angry at Grievants

    questions during meetings. Grievant himself testified that Mr. Poe became quite

    upset with him for planning to attend Price-Anderson meetings in the Directors

    absence in April of 1997, not long before his exile to Y-12. Mr. Poes demeanor

    at the hearing suggested that he was not pleased with the grievance or

    arbitration.

    Mr. Harris made no attempt to hide the depth of his feelings about the

    Successful Candidate and Mr. Poe. While Mr. Harris may have had an ax to

    grind, the victim of a hatchet job has a right to wield his own ax. The arbitrator

    does not believe that Mr. Harris, with his extensive technical education and long

    history of publications, would risk his professional reputation by making

    unfounded accusations. The arbitrator credits his testimony, which corroborates

    that of J. Dale Jackson, regarding the Successful Candidates poor job

    performance.

    II.D. The Testimony Of Screening Panel Members

    Two members from the Directors screening panel testified, Brenda

    Leigh Hawks, appointed by the Director to head the panel (although she never

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    before had served on such a panel), and Daniel K. Hoag. Their testimony was

    conflicting in important respects. The conflicts cast doubt on the validity of the

    panels assessments.

    Ms. Hawks testified that a candidates professional engineering license

    was not a factor to be considered; she did not remember which ones had PE

    certifications. Neither was an advanced degree a factor. The panel did look at

    past performance. The panel did not call references or check the accuracy of

    information submitted in the applications. Decisions were made on the basis of

    the applications themselves. The applicants were not interviewed because panel

    members agreed on the top three.

    Leadership qualities, management experience, and customer relations

    skills were rated more highly than technical competence. Although she judged

    Grievant to be extremely well qualified technically, she rated the Successful

    Candidate higher in other categories. She did not feel that the Successful

    Candidates experience as acting team leader GS-13 was particularly important.

    She conceded that past performance is a good indicator of future success. She

    rated Grievant as fourth out of the 6 candidates.

    Mr. Hoag testified that the applicants were not interviewed because the

    panel was instructed to look at just the applications. He, too, claimed to have

    given little weight to the Successful Candidates 13-level acting team leader

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    experience. However, on cross-examination, he conceded that he did note that

    experience. He went on to admit that the Successful Candidates experience

    weighed heavily, although he didnt know how well the Successful Candidate

    actually performed on the job.

    Mr. Hoag stated that he considered all information in the applications. He

    was not told to disregard unaccredited universities, education, or PE licenses.

    Selecting the top 3 was not difficult, because there was a significant gap

    between them and the rest of the pack. He did not feel that he had a conflict of

    interest in ruling on the first-step grievance (AX 12) after having served on the

    screening panel.

    In the Sloan report, Mr. Sloan wrote:

    In an interview with one of the panel members, it was indicated that

    [JAF]s experience was broader than Max Smiths in facility safety andsupervision which included [JAF]s experience working at the Y-12 Site

    Office and in the GS-13 Team Leader position in the Facility SafetyTeam, Nuclear Safety Division. UX 1 @ 4.

    Mr. Sloan did not identify the panel member of whom he wrote, but the

    interview does indicate that at least one panel member took the Successful

    Candidates acting team leader 13 experience into account seriously.

    From the foregoing, it is difficult to discern just what criteria panel

    members used to rate the candidates. There do not seem to have been any

    guidelines. It does appear, however, from Mr. Hoags testimony, that some

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    effort was made to discourage panel members from looking beyond the

    applications themselves and verifying the information contained in them. As a

    result, it is difficult for the arbitrator to credit the panels work, although he does

    wonder why all three members rated Grievant no better than fourth.

    II.E. The Successful Candidates Application

    The Vacancy Announcement (AX 4) specifies a closing date of

    01/03/2000. The Successful Candidates application is time-stamped, 01-04-

    00P01:46 RCVD. Thus, his application was not filed by the announced

    deadline. No mention of the untimeliness of his application was made by

    Human Resources, the screening panel, the Director, Mr. Sloan, or the officials

    who responded in the grievance steps. Again it appears that the rules were

    waived for the Successful Candidate.

    The Agency called Adolphus Brown, a Human Resources specialist with

    DOE since 1993. On cross-examination, Mr. Brown was shown UX 4,

    Comparison Of The Facility Safety Team Leader Position Descriptions,

    comparing the duties at the GS-14 level with those at the GS-13 level. The

    comparison was prepared by the Director. In the Successful Candidates

    application, he stated:

    In March 1998, I began Acting Team leader at the GS-13 level. During

    this period my duties were precisely as described above for the period ofmy temporary assignment [as GS-14]. AX 6, SF 171 @ 6; emphasissupplied.

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    Mr. Brown conceded that the Successful Candidates statement in his

    application may not have been true.

    In its brief, the Agency effectively confirms the falsity of the Successful

    Candidates representations that his duties as a 13 were the same as at the 14

    level:

    Mr. McBride testified that while Ms. Olberding participated in this program, he assumed her duties and, to assist him with those duties,

    created a GS-13 Team Leader position. This position, however, did not

    have the same duties and responsibilities as Ms. Olberdings position.

    See Union Exhibit 4. On the contrary, as Mr. McBride testified, this GS-13 Team Leader position assumed all the duties of the other GS-13

    positions in the Facility Safety Team with the exception of a few

    administrative duties. Agency Brief @ 4.

    There is other information in the Successful Candidates application

    which appears to have been untrue. Most glaringly, on page 8, he claims that he

    served as a general engineer GS-14 during the period 12/91-5/95. Based upon

    the evidence presented at the hearing, he did not have that much experience at

    that high a level, but panel members never questioned it. There appears to have

    been a concerted effort throughout the selection process to curb investigation

    into the facts.

    At the hearing, the Successful Candidates claim to over 3 years

    experience at the GS-14 level was brought to the attention of Philip Scott

    Barker, in personnel management at Human Resources, but he had no

    explanation for it. Mr. Barker signed AXs 3 and 5. He testified that an

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    applicants score is computed from the application. He conceded that erroneous

    information in an application could affect the score, but suggested that the

    precise effect would be difficult to assess. He admitted that he doesnt know

    whether an application is truthful and that there are no safeguards against

    misrepresentations.

    In its brief, the Agency attempts to dismiss misinformation in the

    applications:

    Even assuming, as opposing counsel alleged, that other applicants mayhave provided misleading information on their application, that

    assumption is irrelevant because, as Mr. Barker testified, the Grievant

    was nonetheless ranked Highly Qualified and his application wasreferred to the selecting official for consideration. Agency Brief @ 3.

    The fallacy with this argument is that misinformation skewed the ratings which

    were utilized in the selection process. Had correct information been used, the

    Successful Candidates score undoubtedly would have been lower.

    II.F. The Agencys Non-Responses

    When a serious charge is made against a party, that party is expected to

    rebut it promptly and vigorously, and a failure to do so may be viewed

    negatively. Elkouri & Elkouri,How Arbitration Works (ABA/BNA 5th ed 1997)

    @ 427-429, 1999 Supp @ 56-57; Hill & Sinicropi, Evidence in Arbitration

    (BNA 2nd ed 1987) @ 102. This case involves some very serious charges.

    Despite the fact that Grievant elicited strong testimony attacking the

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    Successful Candidates technical competence, the Agency made no effort to

    rebut it. Similarly, when the suggestion was made that the Successful Candidate

    had falsified his application, the Agency presented no rebuttal. Instead, the

    Agency rested on its defense that the dispute is not arbitrable.

    The arbitrator views quite negatively the Agencys failure to come

    forward with countervailing evidence on these issues. That failure gives

    credence to Grievants charge that the Successful Candidates selection was

    little more than a diversity appointment.

    II.G. The Agencys Explanations

    The primary explanations for the events at issue were provided by the

    Director himself, an experienced and well educated man (Ph. D. in

    bionucleonics) who has worked on high-profile projects, such as clean-up of the

    nuclear accident at Three Mile Island. Despite his obvious technical

    accomplishments, his testimony was a mass of contradictions, unhelpful in

    ascertaining what really transpired.

    The Director placed responsibility for termination of Grievants

    temporary GS-14 position and his transfer to Y-12 with his boss, Bob Poe. He

    also sought to implicate Dale Jackson in the transfer. The Director confessed

    that he did not know what course Grievants career might have taken had

    Grievant remained at the temp-14 job.

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    While there may have been an outside possibility that Ms. Olberding would

    return to her position as team leader in Nuclear Safety, the probability was

    slight, as she was selected to participate in the Executive Potential Program for

    rising stars and had and has her own career goals; she is now a GS-15. The

    arbitrator views her interjection into events as a red herring, except to the extent

    that the Successful Candidate filled her vacated position.

    The Director denied placing the Successful Candidate in the acting team

    leader GS-13 position in order to groom the Successful Candidate for a

    permanent position at the 14 level. The Director testified that his division was

    short of engineers at the 13 level and had no opening for a permanent 14. He

    claimed that he wanted a wanted a long-term temporary 14 with great technical

    competence. He admitted that he talked with the Successful Candidates

    supervisor at Y-12 but claimed that no mention was made of work problems. He

    did not talk with the supervisors of other applicants.

    Another red herring was the Agencys claim that Grievant was exiled to

    Y-12 because he was unhappy in Nuclear Safety. There hardly can be any

    debate that Grievant was unhappy with his treatment by that Division, whence

    his grievance and this arbitration. It is quite a different matter to suggest that he

    was so unhappy that he freely requested a transfer out of the Division, a

    suggestion which the arbitrator rejects.

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    Mr. Poe testified that Grievant returned to Nuclear Safety to work on

    Price-Anderson. He seemed unaware that Grievant was there but a day before

    being exiled to Y-12. His understanding was that Grievant had requested a

    transfer, which he approved. He did not remember becoming upset with

    Grievant not long before the exile, over Grievants insistence on attending an

    important Price-Anderson meeting.

    In Grievants Brief @ 4, his counsel argues:

    No explanation has ever been given by any person, not by MartinMcBride or by Mr. McBrides supervisor[,] Robert Poe, explaining why

    Mr. Smith was removed from the regulatory oversight job where his

    supervisor wanted to keep him, to the Y-12 site office where he waswithout substantial work for several weeks. In fact the testimony of these

    witnesses, both called by the agency[,] contradicted each other[,] eachclaiming the other was responsible for the transfer.

    The arbitrator agrees.

    In summary, the arbitrator found managements explanations of Agency

    actions to be variously vague, evasive, illogical, inconsistent, contradictory, and

    ultimately unconvincing. Mr. Sloan expressed some of his own obvious

    skepticism about managements explanations with great understatement:

    While the purpose of the termination of the detail to AMEF was stated to

    be the need for Max Smith to work full time on Price Anderson, this doesnot appear to be the ultimate plan. UX 1 @ 5; emphasis supplied.

    By contrast, Grievant and his witnesses painted a largely consistent picture,

    which seemed to explain events. In closing argument, Grievants counsel asked,

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    Whom do you believe? The arbitrators answer is Grievant and his witnesses.

    II. H. The Arbitration Procedure

    5 USC 7121(b)(1)(A) requires that the arbitration procedure in a

    collective bargaining agreement be fair. It is not clear that the procedure

    applied to Grievant would pass a basic fairness test. The same individual drafted

    all of the Agencys responses to Grievants complaints and, at each step, the

    signing official had a financial incentive to go along to get along, as

    Grievants counsel described the motivation. Moreover, Mr. Hoag, in order to

    uphold the grievance at the first step, would have had to second-guess the

    recommendations of the very screening panel on which he served.

    Melanie Kent, GS-14 and branch manager from Human Resources,

    testified on behalf of the Agency. The collective bargaining agreement (AX 7)

    was negotiated by members of her office. She drafted each of the Agencys

    responses (AXs 12, 14 and 16). She also recommended Mr. Sloan for the role of

    fact-finder. She described Grievant as a frequent complainer and echoed the

    Agencys refrain that this dispute is not arbitrable.

    Ms. Kent viewed with apparent disdain Grievants attempts to gain a

    promotion to GS-14 by conditioning his participation in the Personnel Security

    Assurance Program (PSAP) on his elevation to that grade. At the Y-12 Site,

    Grievant had access to weapons-grade nuclear material. While the PSAP

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    program originally may have been voluntary, at least after the Wen Ho Lee

    incident at Los Alamos,8 it became mandatory.

    Two of the three weapons quality assurance engineers at the GS-13 level

    declined participation in PSAP. When Grievant accepted conditionally, the

    Agency refused to accommodate him and instead insisted that he be escorted by

    another employee whenever accessing nuclear material. Grievants jockeying

    for position earned him 3 days of forced leave, which Ms. Kent insisted was not

    disciplinary in nature.

    The fact that the same high-level manager drafted all of the Agencys

    responses suggests that Grievant was not given the benefit of independent

    judgment at succeeding steps of the grievance process, especially not in the first

    step, when panel member Daniel Hoag was in charge of the Agencys response.

    Cf. the ERISA review requirements in 29 CFR 2560.503-1(h)(3)(ii).9Instead,

    it appears that the reviewing managers were constrained to toe the Agency line,

    a conclusion made more compelling by the fact that everyone involved in the

    review had some indirect financial incentive to uphold diversity.

    II.I. The UMCases And The Agencys Diversity Agenda

    At issue in UM1 was a selection index utilized for undergraduate

    8 See, for example, www.cnn.com/2000/US/09/05/scientist.secrets.ap/.9 Requiring a group health plan to provide for a review procedure that does not afford deference to the

    initial adverse benefit determination and that is conducted by an appropriate named fiduciary of the plan

    who is neither the individual who made the adverse benefit determination that is the subject of the appeal,

    nor the subordinate of such individual.

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    admissions, on which an applicant could score a maximum of 150 points. An

    applicant was entitled to 20 points based upon his or her membership in an

    underrepresented racial or ethnic minority group. In striking down the award of

    extra points to diversity applicants, the Supreme Court held:

    We conclude, therefore, that because the University's use of race in itscurrent freshman admissions policy is not narrowly tailored to achieve

    respondents asserted compelling interest in diversity, the admissions policy violates the Equal Protection Clause of the Fourteenth

    Amendment. We further find that the admissions policy also violatesTitle VI and 42 U. S. C. 1981. 156 L Ed 2d @ 284-285; footnotes

    omitted.

    By contrast, in UM2, the Supreme Court found:

    that the Law School's admissions program bears the hallmarks of a

    narrowly tailored plan. As Justice Powell made clear in Bakke, trulyindividualized consideration demands that race be used in a flexible,

    nonmechanical way. It follows from this mandate that universities cannotestablish quotas for members of certain racial groups or put members of

    those groups on separate admissions tracks. See id., at 315-316. Nor canuniversities insulate applicants who belong to certain racial or ethnic

    groups from the competition for admission. Ibid. Universities can,however, consider race or ethnicity more flexibly as a plus factor in the

    context of individualized consideration of each and every applicant. Ibid.156 L Ed 2d @ 336.

    In summary, the Equal Protection Clause does not prohibit the LawSchool's narrowly tailored use of race in admissions decisions to further a

    compelling interest in obtaining the educational benefits that flow from a

    diverse student body. Consequently, petitioner's statutory claims based onTitle VI and 42 U. S. C. 1981 also fail. See Bakke, supra, at 287(opinion of Powell, J.) (Title VI ... proscribe[s] only those racial

    classifications that would violate the Equal Protection Clause or the FifthAmendment); General Building Contractors Assn., Inc. v. Pennsylvania,

    458 U. S. 375, 389-391 (1982) (the prohibition against discrimination in1981 is co-extensive with the Equal Protection Clause). The judgment

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    of the Court of Appeals for the Sixth Circuit, accordingly, is affirmed.156 L Ed 2d @ 342.

    In the instant case, the Agency appears to use diversity more like the law

    school did in UM2 than the way the undergraduate school did in UM1. The truly

    distinguishing fact in this case is that here, everyone acting on behalf of the

    Agency has a financial incentive to select and uphold the selection of diversity

    candidates. There is no mention of any such an incentive in either of the

    University of Michigan cases. To the arbitrator, providing managers with a

    financial incentive to promote diversity by rewarding them for that promotion

    with grade increases, raises, and monetary awards, and denying same if they fail

    to go along, is more invidious than granting bonus points directly to the

    diversity candidates themselves.

    At least in UM1, the aggrieved students literally knew the score, because

    the adverse effects of the selection index were readily identifiable and

    quantifiable. Here, while the pressure to promote diversity is ever present, its

    effects are far more difficult to pinpoint, especially when no one involved in the

    process will admit to succumbing to that pressure. Instead, decision-makers

    dissemble and attempt to rationalize their behavior. As a result, Grievant can be

    expected to prove only that the pressure to promote diversity exists and is

    sufficiently strong to influence management behavior, and that the Agencys

    explanations for its actions do not hold together. He has done that.

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    It remains to be seen just how the principles enunciated in the UMcases

    will be applied in the employment context, including the requirement in UM2

    that a diversity policy be of limited duration. It does, however, seem clear that

    they will be applied, as the Supreme Court noted in UM2:

    These benefits are not theoretical but real, as major American businesseshave made clear that the skills needed in todays increasingly global

    marketplace can only be developed through exposure to widely diverse people, cultures, ideas, and viewpoints. Brief for 3M et al. as Amici

    Curiae 5; Brief for General Motors Corp. as Amicus Curiae 3-4. What ismore, high-ranking retired officers and civilian leaders of the United

    States military assert that, [b]ased on [their] decades of experience, ahighly qualified, racially diverse officer corps ... is essential to the

    military's ability to fulfill its principle mission to provide national

    security. Brief for Julius W. Becton, Jr. et al. as Amici Curiae 27. 156 LEd 2d @ 334.

    It further seems clear that the diversity principles will be applied in

    federal employment, inasmuch as footnote 43 fromBakke states:

    Equal protection analysis in the Fifth Amendment area is the same as

    that under the Fourteenth Amendment. Buckley v. Valeo, 424 U.S. 1,93 (1976) (per curiam), citing Weinberger v. Wiesenfeld, 420 U.S.

    636, 638 n. 2 (1975). 438 US @ 306.

    Whatever the implications of the UMcases for federal employment, two

    points about the present case are worth noting. First, agenda is used to

    describe the promotion of diversity within the Agency, because there was no

    evidence of any formal Agency policy, written or oral. The agenda can be

    characterized as a practice under which pressure is exerted upon managers to

    promote diversity. Second, whatever its form, there is nothing in the collective

    http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=424&invol=1#93http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=424&invol=1#93http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=420&invol=636#638http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=420&invol=636#638http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=420&invol=636#638http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=420&invol=636#638http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=424&invol=1#93http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=424&invol=1#93
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    bargaining agreement to suggest that such an agenda takes precedence over the

    agreement itself.DOD Depts of Army and Air Force Ala Natl Guard and Ala

    Assn of Civilian Techs, 55 FLRA 37 (1998) [DOD] (affirmative action plan

    may be considered in selecting candidates but does not supersede CBA).

    III. APPLICABLE LAW

    III.A. Grievants Brief

    The Agency cites not a single case in its brief. Grievant, on the other

    hand, cites a long line of Supreme Court precedents on various forms of

    discrimination: Reeves v Sanderson Plumbing Products, Inc, 530 US 133

    (2000) [age]; St Marys Honor Center v Hicks, 509 US 502 (1993) [race];

    US Postal Service Bd of Govs v Aikens, 460 US 711 (1983) [race]; Texas

    Dept of Community Affairs v Burdine, 450 US 248 (1981) [gender];Furnco

    Construction Corp v Waters, 438 US 567 (1978) [race]; McDonald v Santa

    Fe Trail Transp Co, 427 US 273 (1976) [reverse discrimination];

    McDonnell Douglas Corp v Green, 411 US 792 (1973) [race].

    The principles laid down in these cases are applicable to arbitrations.

    Fed Deposit Ins Corp and NTEU, 45 FLRA 437 (1992). Indeed, this case

    was triedwithout objectionas though it were one of reverse

    discrimination (McDonald, supra and 5 USC 2302(b)(1)), so the arbitrator

    briefly reviews those principles.

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    In Texas Affairs, the Supreme Court explained the burdens and order

    of presentation of proof as follows:

    In McDonnell Douglas Corp. v. Green, 411 U.S. 792 (1973), we setforth the basic allocation of burdens and order of presentation of proof

    in a Title VII case alleging discriminatory treatment. First, the plaintiff has the burden of proving by the preponderance of the

    evidence a prima facie case of discrimination. Second, if the plaintiffsucceeds in proving the prima facie case, the burden shifts to the

    defendant to articulate some legitimate, nondiscriminatory reason forthe employee's rejection. Id., at 802. Third, should the defendant

    carry this burden, the plaintiff must then have an opportunity to proveby a preponderance of the evidence that the legitimate reasons offered

    by the defendant were not its true reasons, but were a pretext fordiscrimination. Id., at 804.

    The nature of the burden that shifts to the defendant should be

    understood in light of the plaintiff's ultimate and intermediate burdens.

    The ultimate burden of persuading the trier of fact that the defendant

    intentionally discriminated against the plaintiff remains at all times

    with the plaintiff. See Board of Trustees of Keene State College v.Sweeney, 439 U.S. 24, 25, n. 2 (1978); id., at 29 (STEVENS, J.,

    dissenting). See generally 9 J. Wigmore, Evidence 2489 (3d ed. 1940)(the burden of persuasion never shifts). The McDonnell Douglas

    division of intermediate evidentiary burdens serves to bring the

    litigants and the court expeditiously and fairly to this ultimatequestion. 450 US @ 252-253; footnote omitted.

    In Furnco Construction, the Supreme Court observed that the

    McDonnell Douglas methodology is not inflexible:

    The central focus of the inquiry in a case such as this is alwayswhether the employer is treating some people less favorably thanothers because of their race, color, religion, sex, or national origin.

    Teamsters v. United States, supra, at 335 n. 15. The method suggestedin McDonnell Douglas for pursuing this inquiry, however, was never

    intended to be rigid, mechanized, or ritualistic. Rather, it is merely asensible, orderly way to evaluate the evidence in light of common

    http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=411&invol=792http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=439&invol=24#25http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=439&invol=24#25http://caselaw.lp.findlaw.com/cgi-bin/getcase.pl?navby=case&court=us&vol=411&invol=792
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    experience as it bears on the critical question of discrimination. A prima facie case under McDonnell Douglas raises an inference of

    discrimination only because we presume these acts, if otherwiseunexplained, are more likely than not based on the consideration of

    impermissible factors. See Teamsters v. United States, supra, at 358 n.44. And we are willing to presume this largely because we know from

    our experience that more often than not people do not act in a totallyarbitrary manner, without any underlying reasons, especially in a

    business setting. Thus, when all legitimate reasons for rejecting anapplicant have been eliminated as possible reasons for the employer's

    actions, it is more likely than not the employer, who we generallyassume acts only with some reason, based his decision on an

    impermissible consideration such as race. 438 US @ 577.

    InReeves, the High Court delineated the bottom line:

    The ultimate question in every employment discrimination case

    involving a claim of disparate treatment is whether the plaintiff wasthe victim of intentional discrimination. 530 US @ 153.

    In the instant case, after a full hearing and briefing, the arbitrator is

    faced with deciding the ultimate question. Grievant certainly made out a

    prima facie case of reverse discrimination. McDonald, supra. For purposes

    of analysis, the arbitrator credits the Agency with having articulate[d] some

    legitimate, nondiscriminatory reason for [Grievants] rejection. Texas

    Affairs, 450 US @ 253. Based upon all the evidence, however, the arbitrator

    concludes that Grievant has prove[d] by a preponderance of the evidence

    that the legitimate reasons offered by the [Agency] were not its true reasons,

    but were a pretext for discrimination.Id.

    Grievant has proved, and the arbitrator finds, that Grievant is white

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    and that the Successful Candidate is Hispanic. Grievant was highly qualified

    for the position of GS-14 lead nuclear engineer. Had the Agency enforced its

    own announced application deadline, the Successful Candidate, whose

    application was untimely, would not even have been considered for the

    position.

    The Successful Candidates application contained material

    misrepresentations, so that the ranking of candidates by Human Resources

    was unreliable. To the extent that Human Resources or the screening panel

    credited the Successful Candidate with experience at Y-12 or as GS-13 or 14

    acting team leader, the former experience was of poor quality and the latter

    was obtained only as a result of the Agencys favoritism toward the

    Successful Candidate and its arbitrary and capricious treatment of Grievant.

    The Agencys reasons proffered for its actions were factitious and

    fictitious. At each stage of the selection process, the Agency made a

    concerted effort to stifle inquiry into the underlying facts. Grievant and his

    witnesses have exposed those facts, and their testimony is credible. The

    selection process was fatally flawed. Grievant has proved a case of unlawful

    discrimination.

    The arbitrator largely agrees with the summation of Grievants

    counsel:

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    Evidence that Mr. [JAF]s application for the GS-14 Team Leader jobis chocked full of readily identifiable and deliberate

    misrepresentations, but ignored by the agencys rating and rankingprocess, or that Mr. [JAF]s application was even accepted after the

    vacancy announcement deadline had passed, is further proof that theagency is willing to ignore its own internal rules to accommodate the

    selection of diversity candidates for promotion. Mr. Smithsunexplained involuntary transfer from a job that he was successfully

    performing and in which he was needed, to another division at a timewhen his own division director untruthfully claimed to need him for

    Price-Anderson[,] is more evidence of the agencys pervasive mindsetthat minorities are to be nurtured and promoted while white men are

    to be discouraged from seeking promotion and whose advancementopportunities are to be limited or eliminated.

    Explanations by the agency for its actions in this matter are either

    non-existent or so incredible as to justify finding its actions and

    explanations a pretext for discriminatory behavior. Grievants Brief@ 13.

    Counsels reference to the agencys pervasive mindset is understood to be

    limited to the case at hand, and not to refer to a sweeping indictment of the

    DOE at large.

    III.B. The Agencys Brief

    In objecting to consideration of earlier events (1997-1999), the Agency

    fails to quote Grievant fully (Agency Brief @ 2). What he actually wrote was:

    These negative actions are further well documented, and not the subject

    of this grievance, but do form the foundation for subsequent retaliatoryactions against me. AX 15; emphasis supplied.

    The earlier events help put into context the ultimate ones at issue.

    Grievant goes on to explain:

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    Specifically, this grievance deals with the favoritism shown toward asingle employee, which excluded other employees from a short-term

    opportunity, and which was identified well in advance to lead to apromotion in the long-term. The actions of the NSD Directorconsidered

    cumulatively can only [lead to the] conclu[sion] that he tooka series of

    distinct personnel actions that led to a predetermined outcome of 1)

    providing an opportunity to a single individual to obtain the needed jobexperience, knowledge, skills and abilities, 2) under a specially prepared

    position description, that 3) ultimately led to a promotion for thatindividual. AX 15; emphasis supplied.

    The arbitrator adopts Grievants perspective, that events must be considered

    cumulatively and viewed as a series of distinct personnel actions that were part

    of an overall plan to accomplish an impermissible result. See Grievants 15

    charges from AX 15, set forth above, especially 15).

    Mr. Sloan, the Agencys hand-picked fact-finder, discussed all of these

    earlier events in detail and referred to the termination of Grievants temp-14

    assignment as being part of an ultimate plan (UX 1 @ 5). The arbitrator finds

    that the Agency acted pursuant to a plan, pattern, practice, or other continuing

    course of discriminatory conduct, which culminated in 2000 with the Successful

    Candidates promotion to GS-14 team leader. The collective bargaining

    agreement expressly provides:

    A grievance concerning a continuing practice or condition may beinitiated at any time. Article 11, Section 3.B (AX 7 @ 13).

    As a result, the grievance was timely, and consideration of earlier events is

    appropriate.

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    The Agency complains that Grievant is self-centered in the relief he

    seeks:

    [T]he Grievant only appears concerned with the disparate treatmentshown toward him because his remedy, a permanent GS-14 position, is

    focused solely upon remedying his and only his situation. The Grievant isonly concerned that he was not selected for a promotion. Agency

    Brief @ 2.

    To the arbitrator, this is not a legitimate defense. Grievants case is the only one

    before the arbitrator. The rights and remedies of others are not now at issue.

    Neither the collective bargaining agreement nor Title 5 requires altruism

    on the part of an aggrieved employee. It would be extraordinary if Grievant,

    who is paying thousands of dollars for legal representation, were not concerned

    for his own welfare. Indeed, he does not have standing to complain of wrongs to

    his coworkers.

    The Union could have brought a class action grievance under Article 11,

    Section 2.B (AX 7 @ 12), but for whatever reasons, it chose not to do so. Other

    affected employees have gone their own way. Mr. Brown testified that Mr.

    DeVault may be as high as a GS-15 today. Ms. Robbins has moved up to level

    14. Mr. Harris did not grieve out of fear of retaliation. Only Grievant matters

    here.

    Finally, the Agency objects to Grievants proposed remedy of promotion

    to grade 14, on the ground that such an remedy would violate managements

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    rights under 5 USC 7106(a) and (b), a valid objection addressed more fully

    below. As a general proposition, Title 5 must be read as a whole, including its

    proscriptions against the types of behavior in which the Agency has engaged.

    An award is being granted not to interfere with the Agencys lawful conduct of

    its own affairs, but to remedy its misconduct.

    III.C. The Remedy

    While finding liability on the part of the Agency is not difficult,

    fashioning an appropriate remedy is, because, as the Agency correctly contends,

    an outright award of a permanent GS-14 position to Grievant very well might

    interfere with managements reserved rights. SBA and AFGE Local 3906, 37

    FLRA 137 (1990) [SBA];Health and Human Services Family Support Adm

    and NTEU Local 250, 42 FLRA 347 (1991) [HHS];Panama Canal Comm

    and Marine Engineers Beneficial Assn, Dist No. 1, 56 FLRA 451 (2000)

    [Marine Engineers].

    An award of either a promotion or back pay requires a finding that, but

    for an agencys misconduct, the aggrieved employee would have been

    promoted or received the pay lost. SBA, HHS, Marine Engineers, supra.

    Grievant seems to understand this requirement, as he supplied the arbitrator with

    copies of the FLRA cases just cited and candidly concedes:

    Depriving the grievant of the opportunity to serve in the lower gradedGS-13 Team Leader position that all the witnesses agreed provided the

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    requisite experience to be best qualified for the upcoming GS-14vacancy, placed the grievant in the impossible position of proving that

    but for the improper selection, he would have been selected instead.Grievants Brief @ 14.

    While the arbitrator can say with confidence that, on the record, Grievant

    appears more qualified than the Successful Candidate, the record does not

    permit a finding that Grievant was the best qualified of the 6 highly qualified

    candidates whose names were submitted to the Director and whose

    qualifications were vetted by the screening panel. As a result, the award of a

    permanent GS-14 position with back pay cannot be sustained.

    What the record will sustain, however, is an award of back pay and

    attorneys fees for the Agencys premature termination of Grievants temporary

    promotion to GS-14, under the pretext that he was needed in Nuclear Safety to

    work fulltime on Price-Anderson. That was about as arbitrary and capricious as

    personnel actions get. Over six (6) years after the fact, the Agency still has not

    produced a plausible explanation for the move.

    The arbitrator finds that it was part of the ongoing plan to discriminate in

    favor of the Successful Candidate and against Grievant. But for the Agencys

    unjustified and unwarranted personnel action, Grievant would have remained a

    temp 14 and continued to earn income and gain experience at that level, at least

    through December 31, 1999. He then would have been in a stronger position

    either to have applied for the GS-13 acting team leader position or to have

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    competed at the GS-14 level with better experience.

    The prerequisites for an award of attorneys fees are set forth at length in

    FDIC and NTEU Ch 242, 45 FLRA 437 (1992). Under the standards discussed

    there, Grievant is entitled to an award of attorneys fees under both prongs of 5

    USC 7701(g). The award is limited, of course, to those attorneys fees

    incurred by Grievant in establishing that part of his case dealing with his temp-

    14 detail and its premature termination.

    Although the record does not justify Grievants promotion to a permanent

    14, he has proved Agency violations of the collective bargaining agreement and

    Merit System Principles and commission of Prohibited Personnel Practices. As

    a result, he must not be left without a remedy. DOD, supra; cf. Fed R Civ P

    54(c) ( every final judgment shall grant the relief to which the party in

    whose favor it is rendered is entitled, even if the party has not demanded such

    relief in the partys pleadings.).

    There are two accepted remedies in a case such as this, ordering a rerun

    of the selection process or granting the aggrieved employee priority

    consideration for a future position. Veterans Affairs Regional Office and AFGE

    Local 2571, 41 FLRA 681 (1991); HHS, supra. Grievant does not mention

    rerunning the selection process but rejects mere priority consideration:

    Granting the grievant priority consideration for the next appropriate GS-14 position does not appropriately deter the agency in continuing its

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    impermissibly unfair or discriminatory practices. Neither does it make upfor the time and money lost. Grievants Brief @ 14.

    If the selection process is not rerun, then the Agency effectively will have

    accomplished what it set out to do, namely, to pre-select a diversity candidate,

    with virtual impunity. If the selection process is rerun without safeguards, then

    the rerun may prove as tainted as the original process. For these reasons, the

    arbitrator directs that the selection process for the GS-14 team leader position be

    rerun with certain safeguards explained below.

    InPanama Canal Comm and Maritime Metal Trades Council, 52 FLRA

    404 (1996) (Maritime Trades), the FLRA upheld the arbitrators order that

    the evaluation and selection process be rerun as of the date of the original

    vacancy announcement, using the original position description without modified

    qualifications that had given rise to the grievance. The arbitrator also ordered

    that, if the selectee applies, then he should be evaluated without credit for time

    spent in the position. The Authority observed that the award did not prevent the

    agency from utilizing modified qualifications if no suitable candidate was found

    with unmodified qualifications.

    The arbitrator adopts the remedy approved in Maritime Trades. The

    evaluation and selection process for Vacancy Announcement - # OR 00-68 is to

    be rerun as of its original date. If Grievant applies, he must be given credit for

    the temp-14 experience for which back pay has been awarded in this opinion. If

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    the Successful Candidate applies, he should not be credited with his experience

    as acting team leader at the 13 or 14 level. The reason for these restrictions is to

    offset the disadvantage to Grievant and the advantage afforded the Successful

    Candidate by the Agencys improper actions.

    The rerun must be conducted in accordance with the collective

    bargaining agreement, Merit System Principles, and the 5th Amendments due

    process guarantee and its equal protection content. No attempt should be made

    to suppress inquiry into the truth of information contained in applications. The

    Agency might do well to avoid the appearance of impropriety by having the

    process conducted by qualified personnel independent of ORO and Y-12.

    In ordering a rerun, the arbitrator is not unmindful that a lot of time has

    passed since the Vacancy Announcement first was posted. However, the delay

    in proceeding with arbitration may fairly be attributed to the Agency. Mr.

    Cooper, Union shop chairman, testified that he thought the parties had reached a

    settlement, but it fell through. The case should have been settled.AFGE Local

    No. 1858 and US Army Aviation and Missile Command, 03-1 ARB 3410

    (Cornelius Arb 2003) (declining to award grievant relief beyond promotion

    employer had given her). Most importantly, nothing in this opinion should be

    construed as preventing the parties from settling the case belatedly.

    Unless the case otherwise is settled, the parties should meet within

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    fifteen (15) days of the date of this opinion, in an effort to agree upon the back

    pay, attendant benefits, and attorneys fees due Grievant. If they are unable to

    agree, within forty-five (45) days of the date of this opinion, each party should

    submit to the arbitrator and serve upon the other party, a brief explaining its

    position. Factual contentions should be supported by competent affidavits. The

    arbitrator then will endeavor to resolve the issues remaining, without the

    necessity of a further hearing.

    III.D. Findings Of Fact And Conclusions Of Law

    The arbitrators principal findings of fact and conclusions of law are

    summarized below; other findings and conclusions are interspersed throughout

    the opinion without expressly being designated as such:

    1. The Successful Candidate was not selected for promotion from among agroup of properly ranked and certified candidates.

    2. Grievants complaints are not limited to nonselection.3. The Agency and its management engaged in Prohibited Personnel

    Practices.

    4. The Agency and its management violated Merit System Principles.5. The Agency and its management engaged in unjustified and unwarranted

    personnel actions.

    6. The Agency and its management breached the collective bargaining

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    agreement.

    7. Grievant has been injured by the practices, violations, actions, andbreaches of the Agency and its management.

    8. The Successful Candidate has been afforded preferential treatment.9. Grievant has been a victim of intentional discrimination.

    IV. AWARD

    A. The grievance is sustained.B. Grievant is awarded back pay and attendant benefits based upon the

    differentials between the GS-14 and GS-13 levels, for the period of June

    9, 1997 through December 31, 1999, and reasonable attorneys fees. That

    is to say, Grievant is awarded the difference between what he would have

    earned at the higher level and what he actually earned at the lower one,

    plus allocable attorneys fees.

    C. The evaluation and selection process for Vacancy Announcement - # OR00-68 shall be rerun in a fair and equitable manner, as of its original date,

    as specified in the foregoing opinion.

    D. There shall be no retaliation against Grievant or his witnesses.Nothing said by the arbitrator precludes the parties from reaching a superceding

    settlement agreeable to themselves.

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    Dated October 10, 2003 _____________________________E. Frank Cornelius, Arbitrator