Lindsay v. Children’s Hosp. Med’l Ctr. of Akron (Full Text)
[Cite as Lindsay v. Children’s Hosp. Med. Ctr. of Akron, 2009-Ohio-1216.]
)
)ss:
) 
STATE OF OHIO
COUNTY OF SUMMIT
CAROL A. LINDSAY
CHILDREN’S HOSPITAL MEDICAL
CENTER OF AKRON, et al. 
Appellees
Appellant
v.
IN THE COURT OF APPEALS
NINTH JUDICIAL DISTRICT 
24114
C. A. No.
APPEAL FROM JUDGMENT
ENTERED IN THE
COURT OF COMMON PLEAS
COUNTY OF SUMMIT, OHIO
CV 2006-06-3987
CASE No. 
Dated: March 18, 2009
DECISION AND JOURNAL ENTRY
CARR, Presiding Judge.
{¶1} Appellant, Carol Lindsay, M.D., appeals the judgment of the Summit County
Court of Common Pleas, which granted summary judgment against her in favor of Appellees,
Children’s Hospital Medical Center of Akron (“Children’s”) and Justin Lavin, M.D. This Court
affirms, in part, and reverses, in part.
I.
{¶2} Children’s created a Maternal Fetal Medicine Department (“MFMD”) in 2004,
when it purchased the private practice of two local perinatologists, Drs. Lavin and Steven Crane.
The plan was to staff the MFMD with five full-time perinatologists, including Drs. Lavin and
Crane, who would see patients at Akron General Medical Center (“AG”), Summa Health System
(“Summa”), and various outlying high risk outpatient clinics. Dr. Lindsay was the third
perinatologist hired, although she insisted upon working only part-time. Dr. Lavin, the chairman
of the department, ultimately agreed to hire Dr. Lindsay within a part-time capacity. Children’s
2
and Dr. Lindsay executed a five-year contract for her part-time employment which commenced
on June 20, 2005. Dr. Christos Hatjis was subsequently hired by the MFMD, and he assumed
the position of vice chairman of the department. Children’s continued to work with recruitment
firms, seeking other perinatologists for the department. By a letter dated May 1, 2006,
Children’s terminated Dr. Lindsay’s employment, effective May 5, 2006.
{¶3} On June 27, 2006, Dr. Lindsay filed a complaint against Children’s and Dr. Lavin,
alleging one count of breach of contract, one count each of racial and gender discrimination
pursuant to R.C. Chapter 4112, one count of retaliation pursuant to R.C. Chapter 4112, and one
count of wrongful termination in violation of public policy. The defendants filed an answer. On
May 23, 2007, Dr. Lindsay moved for leave to file an amended complaint, which the trial court
granted. In her amended complaint, Dr. Lindsay alleged a second count of retaliation. The
defendants filed an answer.
{¶4} On October 29, 2007, Children’s and Dr. Lavin filed a joint motion for summary
judgment. Dr. Lindsay filed a memorandum in opposition, and the defendants replied. On
January 2, 2008, the defendants filed a notice of supplemental authority in support of their
motion for summary judgment in regard to the count alleging wrongful termination in violation
of public policy. On February 8, 2008, the trial court granted the defendants’ motion for
summary judgment on all counts in favor of Children’s and Dr. Lavin and against Dr. Lindsay.
Dr. Lindsay timely appealed, raising three assignments of error. This Court consolidates the
assignments of error for ease of discussion.
II.
ASSIGNMENT OF ERROR I
“THE TRIAL COURT ERRED  IN GRANTING SUMMARY JUDGMENT FOR
THE APPELLEES ON  THE APPELLANT’S RETALIATION CLAIM AS THE 
3
APPELLANT  ESTABLISHED  A  PRIMA  FACIE  CASE  OF  RETALIATION
AND  ESTABLISHED  GENUINE
ISSUES  OF  MATERIAL  FACT
CONCERNING  THE  APPELLEES’  REASONS  FOR  TERMINATING  THE
APPELLANT AND SENDING DISPARAGING LETTERS TO PROSPECTIVE
EMPLOYERS.” 
ASSIGNMENT OF ERROR II
“THE TRIAL COURT ERRED  IN GRANTING SUMMARY JUDGMENT FOR
THE  APPELLEES  ON  THE  APPELLANT’S  SEX  AND  RACE
DISCRIMINATION  CLAIMS,  AS  THE  APPELLANT  ESTABLISHED  A
PRIMA  FACIE  CASE  OF  SEX  AND  RACE  DISCRIMINATION  AND
ESTABLISHED GENUINE ISSUES OF MATERIAL FACT AS TO WHETHER
THE  APPELLEES’  ARTICULATED  REASONS  FOR  TERMINATING  THE
APPELLANT WERE A PRETEXT FOR DISCRIMINATION.” 
ASSIGNMENT OF ERROR III
“THE TRIAL COURT ERRED  IN GRANTING SUMMARY JUDGMENT FOR
THE  APPELLEES  ON  THE  APPELLANT’S  BREACH  OF  CONTRACT
CLAIM,  AS  THE  APPELLANT  ESTABLISHED,  AS  A  MATTER  OF  LAW,
THAT  THE  APPELLEES  DID  NOT  GIVE  REQUIRED  NOTICE  OF  THE
INTENT  TO  TERMINATE  THE  EMPLOYMENT  AGREEMENT,  AND  THE
APPELLANT  ESTABLISHED  GENUINE  ISSUES  OF  MATERIAL  FACT  AS
TO  WHETHER  THE  ARTICULATED  REASONS  FOR  TERMINATING  THE
EMPLOYMENT AGREEMENT CONSTITUTED ‘JUST CAUSE.’” 
{¶5} Dr. Lindsay argues that the trial court erred by granting summary judgment in
favor of Children’s and Dr. Lavin on her claims for retaliation, gender and racial discrimination,
and breach of contract. This Court agrees, in part, and disagrees, in part.
{¶6} This Court reviews an award of summary judgment de novo. Grafton v. Ohio
Edison Co. (1996), 77 Ohio St.3d 102, 105. This Court applies the same standard as the trial
court, viewing the facts in the case in the light most favorable to the non-moving party and
resolving any doubt in favor of the non-moving party. Viock v. Stowe-Woodward Co. (1983), 13
Ohio App.3d 7, 12.
{¶7} Pursuant to Civ.R. 56(C), summary judgment is proper if:
“(1)  No  genuine  issue  as  to  any  material  fact  remains  to  be  litigated;  (2)  the
moving  party  is  entitled  to  judgment  as  a  matter  of  law;  and  (3)  it  appears  from 
4
the  evidence  that  reasonable minds  can  come  to  but  one  conclusion,  and  viewing
such  evidence  most  strongly  in  favor  of  the  party  against  whom  the  motion  for
summary  judgment  is made,  that  conclusion  is  adverse  to  that  party.”    Temple  v.
Wean United, Inc. (1977), 50 Ohio St.2d 317, 327. 
{¶8} To prevail on a motion for summary judgment, the party moving for summary
judgment must be able to point to evidentiary materials that show that there is no genuine issue
as to any material fact, and that the moving party is entitled to judgment as a matter of law.
Dresher v. Burt (1996), 75 Ohio St.3d 280, 293. Once a moving party satisfies its burden of
supporting its motion for summary judgment with sufficient and acceptable evidence pursuant to
Civ.R. 56(C), Civ.R. 56(E) provides that the non-moving party may not rest upon the mere
allegations or denials of the moving party’s pleadings. Rather, the non-moving party has a
reciprocal burden of responding by setting forth specific facts, demonstrating that a “genuine
triable issue” exists to be litigated for trial. State ex rel. Zimmerman v. Tompkins (1996), 75
Ohio St.3d 447, 449.
Retaliation
{¶9} Dr. Lindsay alleged in her amended complaint that the defendants retaliated
against her in violation of R.C. Chapter 4112 for engaging in protected activity: (1) by
threatening to terminate her, by attempting to force her to resign and by terminating her
employment; and (2) by disparaging her to potential new employers and interfering with her
efforts to obtain new employment.
{¶10} R.C. 4112.02(I) prohibits retaliation and states:
“It  shall  be  an  unlawful  discriminatory  practice  ***  [f]or  any  person  to
discriminate  in  any  manner  against  any  other  person  because  that  person  has
opposed  any  unlawful  discriminatory  practice  defined  in  this  section  or  because
that person has made a charge,  testified, assisted, or participated  in any manner  in
any investigation, proceeding, or hearing under sections 4112.01 to 4112.07 of the
Revised Code.” 
5
{¶11} The state courts may look to federal case law regarding cases involving alleged
violations of R.C. Chapter 4112. Varner v. The Goodyear Tire & Rubber Co., 9th Dist. No.
21901, 2004-Ohio-4946, at ¶10, citing Plumbers & Steamfitters Joint Apprenticeship Commt. v.
Ohio Civ. Rights Comm. (1981), 66 Ohio St.2d 192, 196.
{¶12} To establish a prima facie case of retaliation, Dr. Lindsay must demonstrate:
“(1)  that  she  engaged  in  protected  activity;  (2)  that  the  employer  knew  of  her
exercise  of  protected  rights;  (3)  that  she  was  the  subject  of  adverse  employment
action;  and  (4)  that  there  is  a  causal  link  between  the  protected  activity  and  the
adverse  employment  action.”    Price  v.  Matco  Tools,  9th  Dist.  No.  23583,  2007-
Ohio-5116, at ¶38, citing Balmer v. HCA, Inc. (C.A.6, 2005), 423 F.3d 606, 614. 
The United States Supreme Court recently held that “the anti-retaliation provision does not
confine the actions and harms it forbids to those that are related to employment or occur at the
workplace.” Burlington Northern and Santa Fe Ry. Co. v. White (2006), 548 U.S. 53, 57.
{¶13} This Court has stated:
“With  respect  to  the  final  element,  a  plaintiff  must  produce  evidence  which
permits  the  inference  that  apart  from  the  protected  activity,  the  adverse  action
would  not  have  been  taken.    Nguyen  v.  Cleveland  (C.A.6,  2000),  229  F.3d  559,
563.  This determination is made with reference to the surrounding circumstances,
including  ‘evidence  that  defendant  treated  the  plaintiff  differently  from  similarly
situated employees or that the adverse action was taken shortly after the plaintiff’s
exercise  of  protected  rights[.]’    Id.    Standing  alone,  however,  temporal  proximity
does  not  establish  the  requisite  connection,  and  this  is  particularly  true  when  the
evidence  demonstrates  intervening  performance  concerns.    Id.  at  566-67,  citing
Cooper v. North Olmsted (C.A.6, 1986), 795 F.2d 1265, 1272[.]”  Price at ¶39. 
{¶14} If Dr. Lindsay establishes a prima facie case of retaliation, the burden then shifts
to the defendants “to articulate a legitimate reason for its action.” Bennett v. Roadway Express,
Inc. (Aug. 1, 2001), 9th Dist. No. 20317, quoting Chandler v. Empire Chem., Inc., Midwest
Rubber Custom Mixing Div. (1994), 99 Ohio App.3d 396, 402. “If that burden is met, the burden
then shifts back to the plaintiff ‘to show that the articulated reason was merely a pretext.’”
Bennett, supra, quoting Chandler, 99 Ohio App.3d at 402. This Court has further recognized:
6
“[A] reason cannot be proved to be ‘a pretext for discrimination’ unless it is shown both that the
reason was false, and that discrimination was the real reason.” Bennett, supra, quoting St.
Mary’s Honor Ctr. v. Hicks (1993), 509 U.S. 502, 515.
{¶15} Dr. Lindsay first claims that the defendants attempted to and ultimately
terminated her because she engaged in protected activities, specifically, because she raised
allegations of discrimination in an April 18, 2006 letter to Dr. Lavin, and copied to Candace
Zalick, MFMD Practice Manager, and Ruth Swan, Director of Human Resources at Children’s;
and because she filed a charge of discrimination and retaliation on April 27, 2006, with the Ohio
Civil Rights Commission.
{¶16} In an effort to meet their initial burden under Dresher, the defendants presented
the following evidence in support of their argument that they were unaware of Dr. Lindsay’s
exercise of protected rights. Dr. Lavin testified that the first serious issue regarding Dr.
Lindsay’s performance occurred in September 2005 when he learned that she had in excess of 50
incomplete ultrasound reports at Summa. He testified that he began keeping notes on her
performance issues after that time. Dr. Lindsay acknowledged during her deposition that Dr.
Lavin discussed performance issues with her in September or October 2005 and again in
November 2005 at a meeting with Practice Manager Candace Zalick. Dr. Lavin testified that he
shared his notes regarding Dr. Lindsay with the hospital’s attorney in February or March 2006.
{¶17} Dr. Lindsay admitted during her deposition that she attended a meeting on April
5, 2006, with Dr. Lavin and Lisa Aurilio, Children’s Director of Maternal-Fetal-Neonatal
Services, at which time Dr. Lavin vaguely brought up numerous performance issues. Dr.
Lindsay admitted that she received a copy of a letter to her from Dr. Lavin, dated April 5, 2006,
by the end of that meeting. The letter enunciates eleven specific “areas that require continued
7
performance improvement.” The last paragraph of the letter reads: “This letter will inform you
that your performance in these areas must show marked improvement. This letter should be
considered notification of your one year prior written notice for termination of your contact [sic]
unless marked improvement is noted in your performance. The period of notice may be reduced
to 30 days if there is not marked improvement in your performance.”
{¶18} Dr. Lavin testified that he experienced much frustration regarding scheduling for
Dr. Lindsay because of her part-time status and the fact that Dr. Lindsay notified him of many
days she was unavailable to work. He testified that days off were granted on a first come-first
served basis. Because two of the four perinatologists had requested and received approval for
time off on April 21, 2006, Dr. Lavin denied Dr. Lindsay’s subsequent request for that day off.
In an email dated April 11, 2006, Dr. Lindsay asserted that she would not be available to work
on April 21, 2006. Dr. Lavin testified that, immediately thereafter, he met with administration
and told them, “this is it; after all our discussions about past safety and whatnot, if she doesn’t
come in, then we have to terminate her.” He testified that administration prepared a letter to that
effect on April 17, 2006. Grace Wakulchik, Vice President of Patient Services, testified that the
final decision to terminate was made in collaboration with hospital attorneys and human
resources when they learned that Dr. Lindsay would not show up for work on April 21, 2006.
By such evidence, the defendants met their initial Dresher burden.
{¶19} Dr. Lindsay wrote a letter to Dr. Lavin, dated April 18, 2006, and not received by
him until April 19, 2006, alleging discrimination. Because the decision to terminate Dr. Lindsay
had already been made by April 17, 2006, when a termination letter was first drafted, Dr.
Lindsay failed to meet her reciprocal burden under Tompkins to present evidence that the
defendants knew of her exercise of protected rights.
8
{¶20} Further, because the decision to terminate her had already been made by April 17,
2006, there is no causal link between her April 27, 2006 filing of her complaint with the Ohio
Civil Rights Commission and her ultimate termination on May 5, 2006. “Employers need not
suspend previously contemplated employment actions upon learning of protected activity by the
employee.” Warren v. Ohio Dept. of Pub. Safety (C.A.6, 2001), 24 Fed.Appx. 259, 266. In
support of their initial burden, the defendants presented evidence that they contemplated Dr.
Lindsay’s imminent termination based on her long-term performance issues as early as April 11,
2006, when Dr. Lindsay asserted she would not report for work as scheduled on April 21, 2006.
Having given what they believed to be the requisite 30-day notice for termination for cause on
April 5, 2006, the defendants were not prohibited from terminating Dr. Lindsay effective May 5,
2006, merely because she engaged in protected activity, i.e., the April 27, 2006 complaint, in the
interim. Under the circumstances, Dr. Lindsay failed to present evidence of any causal
connection between her protected activity and her termination.
{¶21} Assuming, arguendo, that she made her prima facie case, the defendants have
again met their Dresher burden by articulating numerous legitimate business reasons for her
termination. Dr. Lavin, Ruth Swan, Candace Zalick and Lisa Aurilio all testified that they
became aware of numerous, on-going performance issues regarding Dr. Lindsay. Dr. Lavin’s
notes regarding Dr. Lindsay chronicled the following performance issues based on his good faith
belief and reports from others: September 2005: more than 50 incomplete ultrasound reports;
failure to sign AG clinic contract; inaccurate billing slips due to their untimely completion and
problems remembering services provided; not available within a reasonable time to respond to
patients in labor; suspension from AG for failure to complete records; failure to respond to
critical transfer patient; October 2005: not available to respond to emergencies in labor in a
9
timely manner; November 2005: failure to come to hospital when called by residents regarding a
patient undergoing a therapeutic termination; made an obscene gesture toward an ultrasound
technician after the technician informed her that a patient was upset after waiting 50 minutes;
demeaned the head nurse for testing in front of medical students; brought her daughter to work
which brought chaos to the office; failure to sign dictation; failure to sign additional ultrasound
charts/reports; and maintaining an office “which was one of the worse [sic] messes I have ever
seen and certainly not appropriate for a professional office.” Dr. Lavin’s notes indicate that he
met with Dr. Lindsay on November 30, 2005, and discussed the “very serious situation.” His
notes include two pages of concerns and Dr. Lindsay’s responses.
{¶22} Dr. Lavin’s notes chronicled further issues: February 2006: confrontation over
patient care between Dr. Lindsay, Dr. Crane and Nurse Marty LaConte concluding in
determination that Dr. Lindsay provided inappropriate clinical care to a patient experiencing
decelerations; Dr. Lindsay’s abandonment of a patient during labor and nearing delivery (patient
“pushing”); late for diabetic clinic and disrespectful remarks to the perinatal clinical specialist
and patients; confrontational and nonreceptive attitude to Dr. Lavin’s suggestions; disrespectful
to perinatal nurses; failure to timely complete ultrasound report and notify a referring doctor
regarding a serious complication with a patient; March 2006: failure to sign non-stress tests over
entire weekend when Dr. Lindsay was on call; second suspension of privileges for failure to sign
charts at AG; April 2006: meeting with Dr. Lindsay to discuss 11 on-going performance issues
requiring improvement and notifying her of termination in one year; failure to participate in
mandatory PLATO training (for records); April 11, 2006 email from Dr. Lindsay that she would
not work on April 21, 2006, as scheduled; failure by Dr. Lindsay to work as scheduled on April
21, 2006, necessitating that Dr. Lavin cover rounds at 2 hospitals, manage patients at 2 hospitals,
10
cancel some patients due to lack of a second physician, miss 2 meetings in violation of contract
so he could manage patients, and sign Dr. Lindsay’s late dictations.
{¶23} A review of the record indicates that the defendants presented evidence of
articulated legitimate reasons for Dr. Lindsay’s termination, by way of long-standing and
unresolved performance issues. Dr. Lindsay, however, has failed to meet her reciprocal burden
to present any evidence to show that such reasons were false and, therefore, merely pretext for
termination in retaliation for her participation in protected activity. Accordingly, the trial court
did not err by granting summary judgment in favor of the defendants on Count IV of Dr.
Lindsay’s amended complaint.
{¶24} Dr. Lindsay next claims that the defendants retaliated against her by disparaging
her to potential new employers and interfering with her efforts to obtain new employment after
she filed the instant lawsuit. Summary judgment in favor of the defendants was appropriate
because Dr. Lindsay failed to meet her reciprocal burden by demonstrating the existence of a
causal connection between the protected activity and the adverse employment action.
{¶25} On September 1, 2006, Dr. Lavin sent letters to two prospective employers, where
Dr. Lindsay was seeking to obtain employment. Dr. Lavin sent a letter to Weatherby Locums,
Inc. “in lieu of the professional reference form sent” and to Eastern Maine Medical Center “in
lieu of the verification of hospital affiliation form sent[.]” The two letters were otherwise
identical. The letters identified Dr. Lindsay’s responsibilities in the MFMD at Children’s, noted
her medical knowledge within the specialty as adequate, and asserted that she is “an ethical
clinician and generally has good medical patient management and communication skills.” The
letters further identified good performance areas and areas in which Dr. Lindsay’s performance
was lacking. Dr. Lavin recommended that the prospective employers speak with Dr. Lindsay
11
about those issues to get her perspective. Finally, Dr. Lavin opined that “Dr. Lindsay could
continue her career as a perinatologist in a setting where peers are available for mentoring.”
{¶26} The defendants argued in their motion for summary judgment that Dr. Lindsay
“can submit no evidence showing that any prospective employer did not hire her because of the
alleged negative comments.” Dr. Lindsay argued in her opposition to the motion for summary
judgment that Eastern Maine Medical Center “suddenly asked [her] to withdraw her application
for privileges.”
She further argued
that
the Weatherby recruiter suddenly stopped
communicating with her after almost daily communication during the summer of 2006.
Although Dr. Lindsay cites to pages 438-39 of her deposition in support of her statements, those
pages are not contained in the record.
{¶27} “Where *** there is no admissible evidence that the statements of the former
employer caused or contributed to the rejection by the prospective employer, the plaintiff has
failed to present a prima facie case.” Sarno v. Douglas Elliman-Gibbons & Ives, Inc. (C.A.2,
1999), 183 F.3d 155, 160. As in Sarno, Dr. Lindsay failed to present an affidavit or other sworn
testimony from either prospective employer attributing their decisions to discontinue contact
with her to Dr. Lavin’s letters to them. See id. Without any such sworn statements from the
prospective employers, Dr. Lindsay has failed to meet her reciprocal burden and “failed to
adduce any evidence sufficient to create a genuine issue to be tried as to [her] contention that
[Dr. Lavin’s letters] to [prospective employers] caused [the prospective employers] not to hire
[her] and hence was an adverse employment action.” See id. Because Dr. Lindsay failed to
demonstrate her prima facie case of retaliation as alleged in Count V of her amended complaint,
the trial court did not err by granting summary judgment in favor of the defendants on that claim.
Dr. Lindsay’s first assignment of error is overruled.
Gender and Racial Discrimination
12
{¶28} Dr. Lindsay alleged that the defendants discriminated against her on the basis of
her gender and race in violation of R.C. 4112.02 with respect to the terms and conditions of her
employment and by considering her gender and race as motivating factors in their decision to
terminate her employment.
{¶29} R.C. 4112.02 provides in relevant part:
“It shall be an unlawful discriminatory practice:
“(A)  For  any  employer,  because  of  the  race,  ***  [or]  sex  ***  of  any  person,  to
discharge without just cause, to refuse to hire, or otherwise to discriminate against
that  person  with  respect  to  hire,  tenure,  terms,  conditions,  or  privileges  of
employment, or any matter directly or indirectly related to employment.” 
The Ohio Supreme Court has stated that “federal case law interpreting Title VII of the Civil
Rights Act of 1964 *** is generally applicable to cases involving alleged violations of R.C.
Chapter 4112.” Plumbers & Steamfitters Joint Apprenticeship Commt., 66 Ohio St.2d at 196.
Therefore, this Court may look to federal case law in addition to state law to determine
resolution of this matter.
{¶30} This Court has stated:
“To  establish  a  prima  facie  case  of  discrimination,  a  plaintiff  must  show:  (1)
membership  in  a protected  class;  (2) qualification  for  the position;  (3)  an  adverse
employment  action;  and  (4)  replacement  by  a  non-protected  person.    McDonnell
Douglas Corp.  v. Green  (1973),  411 U.S.  792,  802.    ‘[A]  plaintiff  can  also make
out  a  prima  facie  case  by  showing,  in  addition  to  the  first  three  elements,  that  “a
comparable  non-protected  person  was  treated  better.”’    Mitchell  v.  Toledo  Hosp.
(C.A.6,  1992),  964  F.2d  577,  582.    See,  also,  Talley  v.  Bravo  Pitino  Rest.,  Ltd.
(C.A.6, 1995), 61 F.3d 1241, 1246-47.  When using the comparable non-protected
person  was  treated  better  element,  a  plaintiff  ‘must  produce  evidence  which  at  a
minimum  establishes  (1)  that  he  was  a  member  of  a  protected  class  and  (2)  that
for  the  same  or  similar  conduct  he  was  treated  differently  than  similarly-situated
non-minority  employees.’    Mitchell,  964  F.2d  at  582-83.    The  parties  to  be
compared  must  be  similarly-situated  in  all  respects,  that  is  they  ‘must  have  dealt
with  the  same  supervisor,  have  been  subject  to  the  same  standards  and  have
engaged  in  the  same  conduct  without  such  differentiating  or  mitigating 
13
circumstances  that would distinguish  their conduct or  the employer’s  treatment of
them  for  it.’    Id. at 583.    In Talley,  the Sixth Circuit held:  ‘showing  that  similarly
situated non-protected employees were treated more favorably than the plaintiff is
not  a  requirement  but  rather  an  alternative  to  satisfying  the  fourth  element  of  the
prima facie case[.]’   Talley, 61 F.3d at 1247.   ‘Thus, discrimination can be shown
either  by  replacement  by  a  non-protected  person  or  by  favorable  treatment  to
comparable  persons  similarly-situated.’    Howell  v.  Summit  Cty.,  9th  Dist.  No.
20958,  2002-Ohio-5257,  at  ¶15.    Finally,  a  plaintiff  may  show  that  he  was  the
victim  of  a  discriminatory  practice  by  either  direct  evidence  or  through  indirect
evidence.    Byrnes  v.  LCI  Communications  Holdings  Co.  (1996),  77  Ohio  St.3d
125,  128.”   Atkinson  v. Akron Bd. of Edn., 9th Dist. No. 22805, 2006-Ohio-1032,
at ¶28. 
{¶31} Dr. Lindsay has not alleged discriminatory conduct based on direct evidence;
rather, she argues on appeal that she was subjected to disparate treatment and, ultimately,
termination, “while her similarly situated White male colleagues were not so much as counseled
for identical or similar conduct.”
{¶32} In this case, there is no dispute that Dr. Lindsay, as an African-American female,
is a member of a protected class. In addition, there is no dispute that she suffered an adverse
employment action, specifically, that her employment was terminated.
{¶33} When evaluating the qualification prong, the Sixth Circuit has clarified the
relevant considerations, holding:
“At  the  prima  facie  stage,  a  court  should  focus  on  a  plaintiff’s  objective
qualifications to determine whether he or she is qualified for the relevant job.  See
Aka  v.  Washington  Hosp.  Ctr.  (D.C.Cir.,  1998),  156  F.3d  1284,  1298  (en  banc)
(noting  that  ‘courts  traditionally  treat  explanations  that  rely  heavily  on  subjective
considerations  with  caution,’  and  that  ‘an  employer’s  asserted  strong  reliance  on
subjective  feelings  about  the  candidates  may  mask  discrimination’);  MacDonald
v. E. Wyo. Mental Health Ctr.  (C.A.10, 1991), 941 F.2d 1115, 1121  (holding  that
a plaintiff can show  that  she  is qualified by presenting ‘credible evidence  that she
continued  to  possess  the  objective  qualifications  she  held  when  she  was  hired’).
The  prima  facie  burden  of  showing  that  a  plaintiff  is  qualified  can  therefore  be
met  by  presenting  credible  evidence  that  his  or  her  qualifications  are  at  least
equivalent  to  the  minimum  objective  criteria  required  for  employment  in  the
relevant field.  Although the specific qualifications will vary depending on the job
in  question,  the  inquiry  should  focus  on  criteria  such  as  the  plaintiff’s  education,
experience  in  the  relevant  industry,  and  demonstrated  possession  of  the  required 
14
general  skills.”    (Emphasis  omitted.)    Wexler  v.  White’s  Fine  Furniture,  Inc.
(C.A.6, 2003), 317 F.3d 564, 575-76.  
{¶34} Exhibit A to Dr. Lindsay’s employment agreement set forth a 16-point job
description, including, among other things, that she maintain an unrestricted license to practice
medicine; maintain board certification in maternal-fetal medicine; maintain clinical privileges in
good standing at Children’s, AG, Summa, and all other hospitals where Children’s
perinatologists have privileges; cooperate in the timely completion of documents; and provide all
reasonable medical services and support when called upon in an emergency situation. Dr. Lavin
testified that he compiled notes regarding complaints he received regarding Dr. Lindsay’s
deficiencies, including her chronic failure to complete medical records which resulted in the
suspension of her clinical privileges at AG and her failure to timely respond to emergencies
when called. In addition, Dr. Lavin and Dr. Crane testified that they disagreed with Dr.
Lindsay’s clinical evaluation and treatment of a patient whose fetus evidenced deceleration in
heart rate during monitoring.
{¶35} Dr. Lindsay, however, presented her curriculum vitae, evidencing her education,
experience and general qualifications as a perinatologist. Furthermore, Dr. Eric Jenison,
Chairman of OB/GYN at AG, testified that suspensions up to 57 days constitute merely
temporary suspensions and that suspensions terminate upon the completion of outstanding
records. Dr. Jenison further testified that it is not unusual for physicians to receive temporary
suspensions for delinquent medical records. He testified that, only if the suspension goes beyond
57 days does it become permanent, effecting a voluntary resignation by the physician and
requiring reapplication for privileges. There is no evidence that Dr. Lindsay’s privileges were
ever permanently suspended. Regarding disagreements with Dr. Lindsay’s clinical evaluations
and treatments, Dr. Crane conceded during his deposition that different physicians have different
15
ways of doing things and that, as long as the conduct falls within the standard of care, a
difference in practices is not problematic. Dr. Crane testified, however, that he believed that Dr.
Lindsay’s leaving a diabetic teenager in active labor, whose fetus was evidencing decelerations,
fell below the standard of care.
{¶36} Although there is some evidence that Dr. Lindsay was not subjectively qualified
to work in Children’s MFMD, there is evidence of her objective qualifications. Her education
and experience indicate that she was qualified. Dr. Lavin, in letters to prospective employers
seeking references for Dr. Lindsay, stated that Dr. Lindsay’s “medical knowledge within the
specialty is adequate.” Accordingly, a genuine issue of material fact exists regarding whether
she was qualified for the position.
{¶37} After Dr. Lindsay’s termination, Children’s hired Dr. Angela Silber as a
perinatologist member of the MFMD, first in a part-time capacity, and later full-time after Dr.
Silber completed a fellowship. The addition of Dr. Silber to the department brought the number
of perinatologists to four, and it is undisputed that the original plan was to staff the MFMD with
at least five perinatologists. Under these circumstances, the evidence does not support a finding
that Dr. Silber was hired as a replacement for Dr. Lindsay.
{¶38} The remaining element of Dr. Lindsay’s prima facie case is whether a
comparable, non-protected person was treated better than she was. She must establish that she
was treated differently than similarly-situated non-minority employees for the same or similar
conduct. See Mitchell, 964 F.2d at 582-83. The threshold issue is whether there existed in the
MFMD similarly-situated non-minority employees. “In practical terms, two employees are not
similarly-situated in all relevant respects if there is a meaningful distinction between them which
explains their employer’s differential treatment of them.” Poppy v. Willoughby Hills City
16
Council, 11th Dist. No. 2004-L-015, 2005-Ohio-2071, at ¶41, citing Ercegovich v. Goodyear
Tire & Rubber Co. (C.A.6, 1998), 154 F.3d, 344. The Sixth Circuit explained:
“We  explained  in  Mitchell  [v.  Toledo  Hosp.  (C.A.6,  1992),  964  F.2d  577]  that
when the plaintiff lacks direct evidence of discrimination, ‘the plaintiff must show
that  the  “comparables”  are  similarly-situated  in  all  respects,’  absent  other
circumstantial  or  statistical  evidence  supporting  an  inference  of  discrimination.
Id.  at  583.    Although  this  statement  appears  to  invite  a  comparison  between  the
employment  status  of  the  plaintiff  and  other  employees  in  every  single  aspect  of
their  employment,  Mitchell  has  not  been  so  narrowly  construed.    In  Pierce  v.
Commonwealth Life Ins. Co. (C.A.6, 1994), 40 F.3d 796, this court explained that
the  plaintiff  was  simply  ‘required  to  prove  that  all  of  the  relevant  aspects  of  his
employment  situation  were  “nearly  identical”  to  those  of  [the  non-minority’s]
employment  situation.’    Id.  at  802  (emphasis  added);  see  also  Holifield  v.  Reno
(C.A.11, 1997), 115 F.3d 1555, 1562 (citing Mitchell in support of the proposition
that  ‘[t]o  make  a  comparison  of  the  plaintiff’s  treatment  to  that  of  non-minority
employees,  the  plaintiff  must  show  that  he  and  the  employees  are  similarly
situated  in  all  relevant  respects’  (emphasis  added)); Neuren  v. Adduci, Mastriani,
Meeks  &  Schill  (C.A.D.C.  1995),  43  F.3d  1507,  1514  (quoting  Pierce);  Byrd  v.
Ronayne  (C.A.1,  1995),  61  F.3d  1026,  1032  (‘A  disparate  treatment  claimant
bears  the  burden  of  proving  that  she  was  subjected  to  different  treatment  than
persons  similarly  situated  in  all  relevant  aspects.’  (quotations omitted)).   Mitchell
itself  only  relied  on  those  factors  relevant  to  the  factual  context  in  which  the
Mitchell  case  arose  –  an  allegedly  discriminatory  disciplinary  action  resulting  in
the  termination  of  the  plaintiff’s  employment.    We  held  that  to  be  deemed
‘similarly-situated’  in  the  disciplinary  context,  ‘the  individuals  with  whom  the
plaintiff  seeks  to  compare  his/her  treatment  must  have  dealt  with  the  same
supervisor, have been subject to the same standards and have engaged in the same
conduct  without  such  differentiating  or  mitigating  circumstances  that  would
distinguish  their  conduct  or  the  employer’s  treatment  of  them  for  it.’    Mitchell,
964  F.2d  at  583.    These  factors  generally  are  all  relevant  considerations  in  cases
alleging  differential  disciplinary  action.    Cf.  Pierce,  40  F.3d  at  802  (explaining
that  the  distinction  in  supervisory  status  between  plaintiff  and  non-minority
employee  also  accused  of  sexual  harassment  was  relevant  because  company’s
liability  under  Title  VII  for  sexual  harassment  could  depend  on  employee’s
status).   Courts  should not assume, however,  that  the  specific  factors discussed  in
Mitchell  are  relevant  factors  in  cases  arising  under  different  circumstances,  but
should  make  an  independent  determination  as  to  the  relevancy  of  a  particular
aspect  of  the  plaintiff’s  employment  status  and  that  of  the  non-protected
employee.    The  plaintiff  need  not  demonstrate  an  exact  correlation  with  the
employee  receiving  more  favorable  treatment  in  order  for  the  two  to  be
considered  ‘similarly-situated;’  rather,  as  this  court  has  held  in  Pierce,  the
plaintiff  and  the  employee  with  whom  the  plaintiff  seeks  to  compare  himself  or
herself  must  be  similar  in  ‘all  of  the  relevant  aspects.’    Pierce,  40  F.3d  at  802
(emphasis added). 
17
“A  prima  facie  standard  that  requires  the  plaintiff  to  demonstrate  that  he  or  she
was  similarly-situated  in  every  aspect  to  an  employee  outside  the  protected  class
receiving more  favorable  treatment removes from  the protective reach of  the anti-
discrimination  laws  employees  occupying  ‘unique’  positions,  save  in  those  rare
cases  where  the  plaintiff  produces  direct  evidence  of  discrimination.    As  the
plaintiff-appellant  points  out  in  his  reply  brief,  if  the  non-protected  employee  to
whom  the plaintiff compares himself or herself must be  identically  situated  to  the
plaintiff  in  every  single  aspect  of  their  employment,  a  plaintiff  whose  job
responsibilities are unique to his or her position will never successfully establish a
prima  facie  case  (absent  direct  evidence  of  discrimination).  ***  Thus,  under  the
district  court’s  narrow  reading  of  Mitchell,  an  employer  would  be  free  to
discriminate  against  those  employees  occupying  ‘unique’  positions.    This  circuit
has  never  endorsed  such  a  narrow  construction  of Mitchell.   Rather,  as  explained
above  and  as  held  previously  by  this  court  in  Pierce,  we  simply  require  that  the
plaintiff  demonstrate  that  he  or  she  is  similarly-situated  to  the  non-protected
employee  in  all  relevant  respects.    A  contrary  approach  would  undermine  the
remedial  purpose  of  the  anti-discrimination  statutes.”    (Emphasis  in  original.)
Ercegovich, 154 F.3d at 352-53. 
{¶39} There is no evidence to indicate that the other three perinatologists in the MFMD,
Drs. Lavin, Crane and Hatjis, were anything other than Caucasian males, i.e., non-protected
employees.
{¶40} The defendants argued in their motion for summary judgment that Dr. Lindsay
was not similarly-situated to any of her male colleagues for six reasons: (1) Dr. Lindsay worked
part-time, while the other three physicians worked full-time; (2) Drs. Lavin and Hatjis were
officers, responsible for administrative/managerial duties for the MFMD, which duties Dr.
Lindsay did not share; (3) Dr. Lindsay had less experience as a perinatologist (since 1999) than
Dr. Crane (since 1995) and Dr. Hatjis (since 1983); (4) discrimination claims premised on status
as a single parent is not actionable; (5) Dr. Lindsay was subject to a different (lower)
productivity bonus scheme due to her part-time status; and (6) Dr. Lindsay’s male colleagues did
not demonstrate the same performance deficiencies (e.g., delayed completion of medical records,
revocation of privileges, failure to show up for work as scheduled, abandonment of patients, and
poor treatment of staff personnel). This Court agrees that single-parent status does not constitute
18
a protected class for purposes of anti-discrimination law and consequently does not further Dr.
Lindsay’s demonstration of a prima facie case.
{¶41} There is no evidence that Dr. Lavin and Dr. Lindsay were similarly-situated. Dr.
Lavin, as Chief of the MFMD, supervised Dr. Lindsay and coordinated with Grace Wakulchik,
Vice President of Patient Services; Ruth Swan, Director of Human Resources at Children’s; Lisa
Aurilio, Director of Maternal-Fetal-Neonatal Services for Children’s; and Candace Zalick,
Practice Manager, regarding Dr. Lindsay’s performance and professional conduct issues. Dr.
Lavin counseled Dr. Lindsay regarding those issues, co-signed the letter giving her one year’s
notice of her termination, and signed the letter purporting to terminate her employment. Dr.
Lavin and Dr. Lindsay did not have similar titles; did not report to the same supervisor; did not
receive the same salary, even taking into consideration pro-rating based on Dr. Lindsay’s part-
time status; and did not possess the same level of responsibility. See Kroh v. Continental Gen.
Tire, Inc. (2001), 92 Ohio St.3d 30, 31-2. Given these differences, the defendants presented
evidence in support of their initial Dresher burden, while Dr. Lindsay failed to meet her
reciprocal burden to demonstrate that she was similarly-situated in all relevant respects to Dr.
Lavin. Ercegovich, 154 F.3d at 353.
{¶42} Dr. Hatjis was the Vice Chair of the MFMD, and he testified to numerous specific
tasks assigned to him. For example, he testified that, although some tasks listed in the Vice
Chair’s job description overlap with tasks shared to some extent by all the perinatologists, he
personally was charged with (1) serving as the Director of Maternal Fetal Medicine at Summa,
responsible for the implementation of the contract between Children’s and Summa and
interaction with the Chair of the MFMD and Summa’s Chair of OB/GYN; (2) serving as Acting
Chairman of the MFMD during the Chairman’s absence or upon direction; (3) participating in
19
MFMD staff meetings; (4) participating in Summa Obstetrics Department faculty and staff
meetings; (5) participating in administrative and leadership development programs within
Children’s; (6) working with the MFMD Chair and Administrative Director to ensure, improve
and enhance clinical and administrative practice operations and efficiencies; (7) participating in
(non-physician) staff performance evaluations in the MFMD service areas; and (8) coordinating
with Dr. Lavin and other MFMD administrators to transition the MFMD leadership role at
Summa from Dr. Lavin to Dr. Hatjis.
{¶43} The defendants cite some authority for the proposition that an employee is not
similarly-situated with another employee who has an administrative or managerial role. See,
e.g., Lange v. Honda of America Mfg., Inc., 11th Dist. No. 14-03-49, 2004-Ohio-2060, at ¶13;
Clevidence v. Wayne Sav. Community Bank (N.D.Ohio 2001), 143 F.Supp.2d 901, 909. Dr.
Lindsay cited Kroh, supra, in support of her argument that Dr. Hatjis’ administrative and
managerial duties did not significantly distinguish his position so that the two could not still be
considered similarly-situated. In Kroh, the court determined that the plaintiff, the sole cash
manager at General Tire, had presented evidence to show that she was similarly-situated to the
male managers to whom she compared herself. Id. at 32. In that case, however, the evidence
established that General Tire considered all the manager positions, specifically, the real estate
manager, risk manager and cash manager, to be interchangeable. Id. at 31. In this case, Dr.
Lindsay’s position was not interchangeable with Dr. Hatjis’ position due to his numerous
additional duties and responsibilities.
{¶44} The instant case is more analogous to the situation in Clevidence. Dr. Lindsay
testified that she was unable to complete her medical records, which ultimately led to two
suspensions, because she was not scheduled at the main hospitals as often as the other
20
physicians. Dr. Lavin testified, however, that he spent approximately one-half of his time at AG
and one-half of his time at Children’s because he had administrative functions there. According
to copies of physicians’ schedules authenticated by Candace Zalick, who maintained them in the
regular course of her duties as Practice Manager, Dr. Hatjis spent the majority of his time at
Summa, where he had administrative duties. While both Dr. Lindsay and Dr. Hatjis performed
maternal-fetal medicine clinical duties, Dr. Hatjis was also the Vice Chair of MFM at Summa.
He was obligated to fulfill his administrative duties at Summa, necessitating his frequently
scheduled presence there, just as Dr. Lavin was required, as Chair, to generally divide his time
between Children’s and AG. Dr. Lindsay points to no evidence in the record to show that Dr.
Hatjis was never scheduled at the outlying clinics in Hudson and at the Considine Building, or
that he was scheduled frequently at Summa for any reason other than to accommodate his
administrative duties. Accordingly, while the defendants presented evidence to meet their initial
burden, Dr. Lindsay failed to meet her reciprocal burden to demonstrate that she was similarly-
situated in all relevant respects to Dr. Hatjis. Clevidence, 143 F.Supp.2d at 909; see, also,
Ercegovich, 154 F.3d at 353.
{¶45} Finally, Dr. Lindsay has not demonstrated that she was similarly-situated to Dr.
Crane. Dr. Lindsay could meet her burden if she could demonstrate that, although she evidenced
serious performance issues and unprofessional conduct, Dr. Crane exhibited the same
performance issues and unprofessional conduct, yet was neither disciplined nor disciplined so
severely. Williams v. Akron, 9th Dist. No. 21306, 2003-Ohio-7197, at ¶13, citing Clayton v.
Meijer, Inc. (C.A.6, 2002), 281 F.3d 605, citing McDonnell Douglas, 411 U.S. at 804. The
defendants asserted in their motion for summary judgment that there was no evidence that Dr.
Crane “engaged in the same questionable conduct that plagued Dr. Lindsay, and which resulted
21
in her job loss.” In her memorandum in opposition to the defendants’ motion for summary
judgment, Dr. Lindsay argues that Dr. Crane engaged in similar conduct but was not disciplined
or terminated for such conduct. She references only two examples of such conduct.
{¶46} First, she asserted that Dr. Crane was “known to exhibit short-tempered behavior
toward staff[.]” Dr. Jenison testified during deposition that nurses have reported to him that Dr.
Crane is somewhat temperamental. He testified that he handled the situation by trying to help
those nurses understand Dr. Crane’s considerations in the workplace. He further testified that he
spoke with Dr. Crane regarding the nurses’ concerns. He did not testify that he told Dr. Lavin
about any such issues involving Dr. Crane. Dr. Lavin averred in an affidavit that “Dr. Lindsay
apparently believes that Stephen Crane, M.D. (“Dr. Crane”) treated the staff unprofessionally. I
have no knowledge that Dr. Crane engaged in unprofessional treatment of the staff.” Dr. Lavin,
as Chief of the MFMD, was the physician charged with addressing performance and
professionalism issues with the other perinatologists. There is no evidence that any problematic
conduct by Dr. Crane was ever brought to Dr. Lavin’s attention, so that he could address it.
{¶47} Second, Dr. Lindsay asserted that “Dr. Crane failed to respond in a timely manner
when paged to take over for Dr. Lindsay with the delivery of the high-risk patient while on-call
(Lindsay Dep. At pp. 424-427).” A thorough review of the record indicates that pages 424-427
of Dr. Lindsay’s deposition were not filed in the trial court and are, therefore, not part of the
record before this Court. The defendants filed excerpts of Dr. Lindsay’s deposition, which did
not include those pages. Dr. Lindsay filed only the first day of her deposition testimony, which
included pages 1-321. The defendants filed additional excerpts from Dr. Lindsay’s deposition in
support of their reply memorandum, again without pages 424-427. Accordingly, Dr. Lindsay’s
assertion of Dr. Crane’s conduct is unsubstantiated by the record, as argued by the defendants.
22
Because Dr. Lindsay pointed to no evidence in the record that Dr. Crane engaged in similar
conduct, he was not similarly-situated to Dr. Lindsay in any relevant aspect. See, generally,
Williams, supra.
{¶48} Because Dr. Lindsay has failed to meet her reciprocal burden by presenting any
evidence that the other three perinatologists in the MFMD were similarly situated to her, she has
failed to satisfy the fourth prong of the McDonnell Douglas analysis and, therefore failed to set
forth a prima facie case of gender or racial discrimination. Accordingly, the trial court did not
err by granting summary judgment in favor of the defendants on Dr. Lindsay’s discrimination
claims. Dr. Lindsay’s second assignment of error is overruled.
Breach of Contract
{¶49} Dr. Lindsay alleged in her amended complaint that the defendants breached the
terms of her employment agreement by failing to honor the part-time work provisions therein
and by terminating her employment after less than one year in violation of the notice and
termination provisions contained therein. In their motion for summary judgment, the defendants
argued that Dr. Lindsay was entitled to only thirty days notice of termination, rather than one
year, because she was terminated for cause, rather than without cause. As the allegation
regarding the failure to honor her part-time status necessarily implicates issues regarding her
termination pursuant to the contract, this Court will address the breach of contract issue within
that context.
{¶50} To prevail on her claim alleging breach of contract, Dr. Lindsay must prove “the
existence of a contract, performance by the plaintiff, breach by the defendant, and damage or loss
to the plaintiff.” Kunkle v. Akron Mgt. Corp., 9th Dist. No. 22511, 2005-Ohio-5185, at ¶18,
quoting Doner v. Snapp (1994), 98 Ohio App.3d 597, 600.
23
{¶51} Dr. Lindsay was hired for a five-year term from June 20, 2005, through June 19,
2010, subject to earlier termination under certain limited circumstances. Section 5(b) of the
employment agreement provided for automatic termination upon Dr. Lindsay’s death or
conviction of a felony or misdemeanor related to the provision of or payment for health care
services. Section 5(b) further provided for termination without cause upon either Dr. Lindsay’s
or Children’s one-year prior written notice to the other. Finally, Section 5(b) provided for Dr.
Lindsay’s termination for cause under various circumstances upon written notice and subject to a
thirty-day cure period.
{¶52} By letter dated April 5, 2006, and signed by Dr. Lavin and Lisa Aurilio, Dr.
Lindsay was notified of continued complaints regarding her clinical performance and
professional conduct. The letter delineated eleven specific areas requiring her “continued
performance improvement[.]” The last paragraph of the letter read as follows:
“This  letter  will  inform  you  that  your  performance  in  these  areas  must  show
marked  improvement.    This  letter  should  be  considered  notification  of  your  one
year  prior  written  notice  for  termination  of  your  contact  [sic]  unless  marked
improvement  is noted  in your performance.   The period of notice may be reduced
to 30 days if there is not marked improvement in your performance.” 
Following Dr. Lindsay’s failure to report to work as scheduled on April 21, 2006, Dr. Lavin
caused to be sent to Dr. Lindsay by certified mail a letter dated May 1, 2006, terminating her
employment, effective at the end of business on Friday, May 5, 2006. The letter indicated that
Dr. Lindsay was being terminated for cause based on her performance issues. Dr. Lavin’s letter
served to terminate Dr. Lindsay’s employment thirty days after the April 5, 2006 letter
purporting to give her notice of the need to improve her performance.
{¶53} On its face, the May 1, 2006 termination letter does not comply with the
termination provision regarding termination without cause because Dr. Lindsay was terminated
24
long before the passing of one year. The defendants argue, however, that the April 5, 2006 letter
gave appropriate written notice of termination for cause because it included a thirty-day cure
period. By its plain language, however, the April 5, 2006 letter does not give a definitive thirty-
day notice of termination. Rather, it merely indicates that, if Dr. Lindsay failed to show marked
improvement in her performance, a thirty-day notice of impending termination might be
forthcoming. The defendants’ evidence attached in support of their motion for summary
judgment further dispels this argument.
{¶54} Lisa Aurilio, who signed the April 5, 2006 letter, testified during her deposition
that the letter gave Dr. Lindsay one year’s notice of termination, and merely that the notice
period could be reduced to 30 days in the absence of marked improvement in her performance.
Counsel inquired, “But at that point was she being given notice of termination of her
employment in 30 days?” Ms. Aurilio testified, “No.” Accordingly, a representative of the
hospital itself admitted that the April 5, 2006 letter did not properly convey a thirty-day notice of
termination. Under these circumstances, the defendants failed to meet their initial Dresher
burden to show that no genuine issue of material fact existed in regard to the breach of contract
claim alleging that the defendants terminated her in violation of the termination provisions in her
employment agreement.
{¶55} The defendants presented evidence to show that Dr. Lindsay was given one year’s
notice of her termination without cause. The defendants failed, however, to present evidence to
show that she was then only terminated after the year elapsed. In addition, the defendants failed
to present evidence that Dr. Lindsay was given thirty days’ notice of her impending termination
unless she cured the deficiencies substantiating a termination for cause in the interim.
Accordingly, the defendants failed to present evidence to show that no genuine issues of material
25
fact existed and that they were entitled to judgment as a matter of law on Dr. Lindsay’s breach of
contract claim. Therefore, the trial court erred by granting summary judgment in favor of the
defendants on the breach of contract claim. Dr. Lindsay’s third assignment of error is sustained.
III.
{¶56} Dr. Lindsay’s first and second assignments of error are overruled. Her third
assignment of error is sustained. The judgment of the Summit County Court of Common Pleas
is affirmed, in part, reversed, in part, and remanded for further proceedings consistent with this
decision.
Judgment affirmed, in part,
reversed, in part,
and cause remanded. 
The Court finds that there were reasonable grounds for this appeal.
We order that a special mandate issue out of this Court, directing the Court of Common
Pleas, County of Summit, State of Ohio, to carry this judgment into execution. A certified copy
of this journal entry shall constitute the mandate, pursuant to App.R. 27.
Immediately upon the filing hereof, this document shall constitute the journal entry of
judgment, and it shall be file stamped by the Clerk of the Court of Appeals at which time the
period for review shall begin to run. App.R. 22(E). The Clerk of the Court of Appeals is
instructed to mail a notice of entry of this judgment to the parties and to make a notation of the
mailing in the docket, pursuant to App.R. 30.
Costs taxed equally to both parties.
26
WHITMORE, J.
CONCURS 
SLABY, J.
CONCURS IN PART, AND DISSENTS, IN PART, SAYING: 
DONNA J. CARR
FOR THE COURT 
{¶57} I agree with the majority’s resolution of Lindsay’s first and second assignments of
error, but write separately because I would also affirm the trial court’s judgment with respect to
her claim for breach of contract. The majority concludes that there is a dispute of fact regarding
whether Lindsay received a thirty-day notice of termination. I disagree. It is clear that per the
contract, a one-year notice of termination was given in April 2006. Lindsay was also informed
that the notice period could be reduced to thirty days if her performance did not demonstrate
marked improvement. On this point, Lisa Aurilio’s testimony does not create an issue of fact
that is genuine. There is no evidence that Lindsay’s performance improved between April 2,
2006, and May 6, 2006, and, in fact, there are indications that her performance deteriorated.
{¶58} I would affirm the judgment of the trial court in its entirety, and I respectfully
dissent.
APPEARANCES:
TIMOTHY J. DOWNING, INAJO DAVIS CHAPPELL, and BRIAN T. ROBINSON, Attorneys
at Law, for Appellant. 
DANIEL  L.  BELL,  AMANDA  M.  LEFFLER,  and  CHRISTOPHER  F.  CARINO,  Attorneys  at
Law, for Appellees. 
