Kelly G. v. Board of Education of Yonkers
Opinion of the Court
The plaintiffs’ second cause of action alleges that the Board, among other things, failed to provide adequate supervision to the students in its care, and negligently retained and supervised the subject teacher. Although, under the circumstances of this case, the Board cannot be held vicariously liable for the subject teacher’s torts (see N.X. v Cabrini Med. Ctr., 97 NY2d 247, 251 [2002]; Doe v Rohan, 17 AD3d 509, 512 [2005]), it “can still be held liable under theories of negligent hiring, negligent retention, and negligent supervision” (Kenneth R. v Roman Catholic Diocese of Brooklyn, 229 AD2d 159, 161 [1997], cert denied 522 US 967 [1997]; see Peter T. v Children’s Vil., Inc., 30 AD3d 582, 586 [2006]; Doe v Rohan, 17 AD3d at 511). “[A] necessary element of such causes of action is that the employer knew or should have known of the employee’s propensity for the conduct which caused the injury” (Kenneth R. v Roman Catholic Diocese of Brooklyn, 229 AD2d at 161; see Ghaffari v North Rockland Cent. School Dist., 23 AD3d 342, 343-344 [2005]).
In addition, a school owes a duty to adequately supervise the students in its care, and may be held liable for foreseeable injuries proximately related to the absence of adequate supervision (see Brandy B. v Eden Cent. School Dist., 15 NY3d 297, 302
In opposition to the Board’s prima facie showing of entitlement to judgment as a matter of law, the plaintiffs raised a triable issue of fact as to whether the subject teacher’s propensity to engage in sexual misconduct with students was known to the Board or should have been known to it before these incidents occurred (see Doe v Chenango Val. Cent. School Dist., 92 AD3d 1016 [2012]; Peter T. v Children’s Vil., Inc., 30 AD3d at 586; Doe v Lorich, 15 AD3d 904 [2005]; Doe v Whitney, 8 AD3d 610, 611-612 [2004]; Colon v Jarvis, 292 AD2d 559, 560-561 [2002]; Murray v Research Found, of State Univ. of N.Y., 283 AD2d 995, 996 [2001]; cf. Ghaffari v North Rockland Cent. School Dist., 23 AD3d 342 [2005]). Specifically, the plaintiffs submitted evidence that the Board had previously commenced an administrative disciplinary proceeding against the subject teacher based on similar complaints by female students in another school in the district where he was teaching at the time. Further, certain of those allegations were sustained, with the Board concluding that the subject teacher had engaged in “unacceptable and inappropriate conduct” when interacting with female students on certain occasions, and such findings led to him being suspended without pay for one school term. Accordingly, the Supreme Court erred in granting that branch of the motion which was for summary judgment dismissing the second cause of action, as well as the fifth and eighth causes of action, which were derivative claims alleging negligent supervision brought on behalf of Kelly’s parents.
However, the Supreme Court properly granted those branches of the motion which were for summary judgment dismissing the eleventh and thirteenth causes of action, which allege violations of Executive Law § 296 (4) and (6), respectively. The Board is not an “education corporation or association” as contemplated by Executive Law § 296 (4), since it is not a “private, nonsectarian entit[y] . . . exempt from taxation under RPTL article 4” (Matter of North Syracuse Cent. School Dist. v New York State Div. of Human Rights, 19 NY3d 481, 490 [2012]). Furthermore, the plaintiffs cannot impose liability on the Board
Case-law data current through December 31, 2025. Source: CourtListener bulk data.