United States v. Taeyan Williams

U.S. Court of Appeals for the Fourth Circuit
United States v. Taeyan Williams, 130 F.4th 177 (4th Cir. 2025)

United States v. Taeyan Williams

Opinion

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PUBLISHED

UNITED STATES COURT OF APPEALS FOR THE FOURTH CIRCUIT

No. 23-4568

UNITED STATES OF AMERICA,

Plaintiff - Appellee,

v.

TAEYAN RAYMOND WILLIAMS,

Defendant - Appellant.

No. 23-4595

UNITED STATES OF AMERICA,

Plaintiff - Appellee,

v.

SCOTT ANTHONY WILLIAMS,

Defendant - Appellant.

Appeals from the United States District Court for the District of Maryland, at Greenbelt. Theodore D. Chuang, District Judge. (8:18−cr−00631−TDC−2; 8:18−cr−00631−TDC−1)

Argued: December 10, 2024 Decided: March 4, 2025 USCA4 Appeal: 23-4568 Doc: 70 Filed: 03/04/2025 Pg: 2 of 17

Before WILKINSON, QUATTLEBAUM, and BERNER, Circuit Judges.

Nos. 23-4568 and 23-4595 affirmed by published opinion. Judge Quattlebaum wrote the opinion, in which Judge Wilkinson and Judge Berner joined.

ARGUED: Brent Evan Newton, Gaithersburg, Maryland; Alfred Guillaume III, LAW OFFICES OF ALFRED GUILLAUME III, Greenbelt, Maryland, for Appellants. Thomas Ernest Booth, UNITED STATES DEPARTMENT OF JUSTICE, Washington, D.C., for Appellee. ON BRIEF: Nicole M. Argentieri, Principal Deputy Assistant Attorney General, Lisa H. Miller, Deputy Assistant Attorney General, Appellate Section, Criminal Division, UNITED STATES DEPARTMENT OF JUSTICE, Washington, D.C.; Erek L. Barron, United States Attorney, Baltimore, Maryland, William D. Moomau, Assistant United States Attorney, OFFICE OF THE UNITED STATES ATTORNEY, Greenbelt, Maryland, for Appellee.

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QUATTLEBAUM, Circuit Judge:

After a federal jury convicted a father—Scott Williams—and a son—Taeyan

Williams—of various offenses related to their drug distribution to college students, each

appealed his judgment for separate reasons. Taeyan claims there was insufficient evidence

to support his conviction for possession with intent to distribute the controlled substances

found in Scott’s home. Scott raises three issues. First, he argues the district court should

have suppressed evidence found in his home because law enforcement failed to knock and

announce before entering. Second, he asks us to remand for the district court to apply newly

promulgated U.S.S.G. § 4C1.1 to his sentence. And third, Scott contends the district court

improperly delegated judicial powers to the United States Probation Office in imposing

substance abuse and mental health counseling as a condition of supervised release. Having

considered the parties’ arguments and reviewed the record, we affirm the district court with

respect to both appeals and both judgments.

I.

This case arose from an investigation into the disappearance of a suspected drug

dealer, Noah Smothers, and a large stash of his narcotics. Smothers was the primary

marijuana supplier to Scott and Taeyan, who in turn operated a large-scale enterprise

selling drugs to college students. Smothers had plans to meet Scott and Taeyan to resolve

a dispute about money they owed him for drugs. But sometime after that scheduled

meeting, Smothers disappeared, and his drug storage facility was left empty. Investigating

these events, local law enforcement began tracking his last known locations, inspecting the

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area around the storage facility and looking into Scott and Taeyan’s potential roles in his

disappearance. Consistent with that, a Maryland State Police corporal obtained a warrant

to search Scott’s residence in Prince George’s County, Maryland for evidence related to

“Smothers, his remains, or his personal property.” J.A. 61. Although Smothers’ body was

never found, the execution of the search warrant yielded around $213,000, four firearms,

72.93 pounds of marijuana, 245.83 grams of cocaine, 546.93 grams of methamphetamine

and a drug ledger found under the mattress in Scott’s room.

A federal grand jury issued a multi-count indictment as to Scott and Taeyan. It

charged them both with (1) conspiracy to distribute and possess with intent to distribute

marijuana and cocaine; (2) conspiracy to interfere with interstate commerce by robbery and

extortion; (3) interference with interstate commerce by robbery and extortion; (4)

kidnapping with death resulting; (5) possessing, using, carrying and brandishing a firearm

during and in furtherance of a crime of violence and drug trafficking crime; and (6)

possession with intent to distribute marijuana and cocaine. The indictment charged Scott

separately with (7) possession with intent to distribute methamphetamine; (8) possession

of firearms in furtherance of a drug trafficking crime; and (9) conspiracy to destroy and

conceal evidence.

After a joint trial, the jury found both Scott and Taeyan guilty of conspiracy to

distribute and possess with intent to distribute marijuana and cocaine and possession with

intent to distribute those same drugs. It found Scott alone guilty of possession with intent

to distribute methamphetamine and conspiracy to destroy and conceal evidence. The

district court sentenced Scott to 276 months’ imprisonment for the counts of conviction,

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followed by five years of supervised release. The court sentenced Taeyan to 150 months’

imprisonment and a five-year term of supervised release. The jury acquitted both of

kidnapping with death resulting and all other charges. These appeals followed.

II.

A. Taeyan

Taeyan raises just one issue. He argues that the evidence was insufficient to convict

him of possession with intent to distribute the marijuana and cocaine found in his father’s

home during the execution of a search warrant. According to Taeyan, the evidence at trial

did not establish that he resided at Scott’s house. In advancing this argument, he points to

the testimony of Scott’s live-in girlfriend that Taeyan only visited the home on occasion

and slept in a downstairs bedroom during those visits. Taeyan also contends that testimony

of his friends—who said he lived elsewhere and even with the college students to whom

he sold drugs—supports his argument.

We review a district court’s denial of a Rule 29 motion for a judgment of acquittal

based on insufficiency of the evidence de novo. United States v. Farrell,

921 F.3d 116, 136

(4th Cir. 2019). A defendant challenging the sufficiency of the evidence bears a heavy

burden. United States v. Beidler,

110 F.3d 1064, 1067

(4th Cir. 1997). “A jury’s guilty

verdict must be upheld if, ‘viewing the evidence in the light most favorable to the

government, substantial evidence supports it.’” United States v. Haas,

986 F.3d 467, 477

(4th Cir. 2021) (quoting United States v. Wolf,

860 F.3d 175, 194

(4th Cir. 2017)).

“Substantial evidence is evidence that a reasonable finder of fact could accept as adequate

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and sufficient to support a conclusion of a defendant’s guilt beyond a reasonable doubt.”

Id.

(cleaned up). “We do not reweigh the evidence or the credibility of witnesses.” United

States v. Roe,

606 F.3d 180, 186

(4th Cir. 2010). Instead, we “assume that the jury resolved

all contradictions in the testimony in favor of the Government.”

Id.

This standard of review is not just legal jargon inserted into an appellate decision in

between the facts and the analysis. It necessarily restrains the way we consider Taeyan’s

appeal. Because of this standard, it is not enough for Taeyan to assert a non-frivolous

argument. Nor is it enough that there is some evidence that supports his position. We are

duty-bound to view the evidence in the light most favorable to the government and uphold

the verdict if a reasonable jury could find Taeyan guilty beyond a reasonable doubt.

Applying this standard, the trial evidence was sufficient to convict Taeyan of

possession with intent to distribute cocaine and marijuana. To understand why, we start

with the offense elements. To prove possession with the intent to distribute controlled

substances, the government must show: (1) possession of a narcotic controlled substance;

(2) knowledge of the possession; and (3) the intent to distribute.

21 U.S.C. § 841

(a)(1);

United States v. Collins,

412 F.3d 515, 519

(4th Cir. 2005). Intent to distribute can be

inferred from several factors, “including but not limited to: (1) the quantity of the drugs;

(2) the packaging; (3) where the drugs are hidden; and (4) the amount of cash seized with

the drugs.” Collins,

412 F.3d at 519

.

Taeyan’s appeal focuses on the possession element. He primarily claims the

government failed to satisfy that element because the trial evidence showed he did not live

at Scott’s home, where the evidence of his intent to distribute drugs was found. But that

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argument misconstrues what is required to prove possession. The government did not need

to prove that Taeyan permanently lived at the home as an element of conviction. Possession

may be actual or constructive, and it may be sole or joint. See United States v. Moody,

2 F.4th 180

, 189–90 (4th Cir. 2021). Important here, constructive possession requires

“ownership, dominion, or control over the contraband or the premises or vehicle in which

the contraband was concealed” and “knowledge of the presence of the contraband.”

Id.

(citation omitted) (noting that constructive possession requires ownership, dominion or

control over the contraband or premises in which the contraband was concealed); see also

United States v. Watkins,

662 F.2d 1090

, 1097–98 (4th Cir. 1981) (“Additionally,

possession of a large amount of marijuana among several people working together may be

sufficient to show that each has constructive possession.”).

With those principles in mind, we consider the evidence tying Taeyan to Scott’s

house. Law enforcement seized Taeyan’s birth certificate from the basement bedroom in

Scott’s home and a drug ledger from under Scott’s mattress. Having a birth certificate at a

parent’s house is not a strange circumstance by itself. But the drug ledger referred to “me,”

“Team” and “Tae”—Taeyan’s nickname—which reflects their joint efforts. J.A. 627. Also,

a witness who bought drugs from Taeyan testified that he accompanied Taeyan to the house

to pick up marijuana and drop off money. Another of Taeyan’s drug associates said he

went with Taeyan to Scott’s house and when there went to “Taeyan’s room.” J.A. 1676.

This witness also testified that when Taeyan was out of town, Taeyan directed him to pick

up drugs to sell from “Taeyan’s dad’s house” or a car outside. J.A. 1682. This evidence

connects Taeyan to the residence that served as the operating hub of the drug business and

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shows his combined efforts with Scott to sell the drugs. It also indicates his familiarity with

the house and his knowledge that drugs were present. Finally, it shows Taeyan’s dominion

and control over large amounts of drugs. From this evidence, a reasonable jury could

conclude that Taeyan constructively possessed the marijuana and cocaine. See United

States v. Sutton,

126 F.4th 869

, 875 (4th Cir. 2025) (recognizing that sufficient evidence to

determine the defendant constructively possessed hidden drugs and that “it doesn’t strain

the imagination to conclude she knew about the drugs.”). 1 Thus, we affirm Taeyan’s

conviction for possession with intent to distribute the marijuana and cocaine found in

Scott’s home.

B. Scott

Scott raises three arguments on appeal. We address each in turn.

1.

Prior to trial, Scott moved to suppress all evidence seized from law enforcement’s

search of his house. According to Scott, law enforcement failed to “knock and announce”

their presence before executing the search warrant. As a result, he claims the Fourth

Amendment and

18 U.S.C. § 3109

require suppression of the evidence obtained during the

search.

1 Alternatively, the same evidence establishes liability on a co-conspirator theory under Pinkerton v. United States,

328 U.S. 640

(1946). “Under the Pinkerton doctrine, defendants are vicariously ‘liable for substantive offenses committed by a co-conspirator when their commission is reasonably foreseeable and in furtherance of the conspiracy.’” United States v. Gillespie,

27 F.4th 934, 938

(4th Cir. 2022) (quoting United States v. Hare,

820 F.3d 93, 105

(4th Cir. 2016)). 8 USCA4 Appeal: 23-4568 Doc: 70 Filed: 03/04/2025 Pg: 9 of 17

The government admitted the police did not knock and announce before executing

the warrant. But it advanced two arguments in opposing Scott’s motion. First, the

government maintained that exigent circumstances permitted a no-knock entry. Second, it

insisted that, even if the police should have knocked and announced before entering,

suppression of evidence was not the appropriate remedy.

The district court denied Scott’s motion to suppress, adopting the government’s

second argument. It held that suppression is not the remedy for a violation of the knock

and announce rule based on the Supreme Court’s decision in Hudson v. Michigan,

547 U.S. 586

(2006). Scott had argued that Hudson at most applied to his Fourth Amendment

argument, not his § 3109 argument. But the district court disagreed, concluding that the

Fourth Amendment’s reasonableness requirement is reflected in § 3109 and that Hudson

counsels the same outcome in both instances. Cf. United States v. Bruno,

487 F.3d 304

,

305–06 (5th Cir. 2007).

On appeal, Scott contends that evidence should be suppressed when law

enforcement violates the statutory knock and announce rule under § 3109, even if Hudson

holds that suppression is not the appropriate remedy for a Fourth Amendment violation.

And because the district court’s order did not address exigent circumstances, he

alternatively argues we should remand to the district court to resolve that issue.

In reviewing the denial of a motion to suppress, however, we are not limited to the

district court’s reasoning. United States v. Bowman,

884 F.3d 200, 209

(4th Cir. 2018); see

also United States v. Brown,

701 F.3d 120, 125

(4th Cir. 2012) (recognizing we are

“entitled to reject a remand request” and affirm on any grounds if the evidence, viewed in

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the light most favorable to the government, will sustain the denial of the motion to

suppress). We may affirm on any ground supported by the record. Bowman,

884 F.3d at 209

. Assuming that the warrant was executed in a no-knock manner, we conclude the

record shows exigent circumstances that justified law enforcement’s actions. 2 We thus

need not decide whether the exclusionary rule applies to a violation of § 3109’s statutory

command.

The Fourth Amendment guards the “right of the people to be secure in their persons,

houses, papers, and effects, against unreasonable searches and seizures” and provides that

“no Warrants shall issue, but upon probable cause.” U.S. Const. amend. IV. 3 “It is, of

course, well understood that ‘[t]he Fourth Amendment generally prohibits the warrantless

entry of a person’s home, whether to make an arrest or to search for specific objects.’”

United States v. Azua-Rinconada,

914 F.3d 319, 324

(4th Cir. 2019) (quoting Illinois v.

Rodriguez,

497 U.S. 177, 181

(1990)). One element of the reasonableness inquiry is the

requirement that law enforcement announce their presence and authority prior to entering

to execute a search or an arrest warrant. See Wilson v. Arkansas,

514 U.S. 927, 931

(1995).

2 In reviewing a district court’s denial of a motion to suppress, we review the legal conclusions regarding Fourth Amendment violations de novo and any underlying factual determinations for clear error. See United States v. Kimbrough,

477 F.3d 144, 147

(4th Cir. 2007). We also construe the evidence in the light most favorable to the government. See United States v. Seidman,

156 F.3d 542, 547

(4th Cir. 1998). 3 The full text of the Fourth Amendment states: “The right of the people to be secure in their persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be violated, and no Warrants shall issue, but upon probable cause, supported by Oath or affirmation, and particularly describing the place to be searched, and the persons or things to be seized.” U.S. Const. amend. IV.

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For that reason, “[t]he knock-and-announce requirement has long been a fixture in law.”

Bellotte v. Edwards,

629 F.3d 415, 419

(4th Cir. 2011) (recognizing that “[b]efore forcibly

entering a residence, police officers ‘must knock on the door and announce their identity

and purpose.’”). The knock-and-announce requirement is also reflected in

18 U.S.C. § 3109

, which provides that an “officer may break open any outer or inner door or window

of a house, or any part of a house, or anything therein, to execute a search warrant, if, after

notice of his authority and purpose, he is refused admittance or when necessary to liberate

himself or a person aiding him in the execution of the warrant.”

18 U.S.C. § 3109

. Thus,

the statute “encompasses the constitutional requirements of the fourth amendment.” United

States v. Kennedy,

32 F.3d 876, 882

(4th Cir. 1994) (quoting United States v. Singer,

943 F.2d 758, 761

(7th Cir. 1991)); see also United States v. Banks,

540 U.S. 31

, 42–43 (2003).

Even so, no-knock entries can still be reasonable. Under both the Fourth

Amendment and § 3109, an officer need not knock and announce “when circumstances

present a threat of physical violence, or if there is reason to believe that evidence would

likely be destroyed if advance notice were given, or if knocking and announcing would be

futile.” Hudson, 547 U.S. at 589–90 (cleaned up) (citing Wilson,

514 U.S. at 936

, and

Richards v. Wisconsin,

520 U.S. 385, 394

(1997)). The bar for exigent circumstances is not

high. Police must have only a reasonable suspicion under the particular circumstances that

one of the grounds justifying a no-knock entry exists. Id. at 590; see also Richards,

520 U.S. at 394

. Here, Kyle Simms, the Maryland State Police corporal who secured the search

warrant, testified by affidavit that he suspected Scott and Taeyan were involved in

Smothers’ disappearance. Smothers’ parents told investigators that Smothers was

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scheduled to meet an individual named “Tae” and his uncle prior to his disappearance. J.A.

58. Police also learned that Smothers’ storage facility had been accessed several times after

his disappearance. And although Smothers had not accessed the facility, his pin was used

to gain entry. In addition, the police had video evidence of a light-colored Nissan Altima,

which Scott had rented, entering the storage facility. Law enforcement learned that

Smothers’ last phone pings were near Scott’s house. Finally, police had other video

evidence of the Altima following Smothers’ rented Kia to the apartment complex where

authorities later found Smothers’ unoccupied vehicle.

Based on this information, Corporal Simms “requested a search and seizure warrant

for the premises to locate Smothers, his remains, or his personal property.” J.A. 61. The

information not only justified the warrant; it also established exigent circumstances—the

need for law enforcement to pursue Smothers’ potential kidnappers and prevent the

potential destruction of a large amount of stolen drugs. Because of these circumstances, the

officers did not need to knock and announce before searching Scott’s house. As a result,

we affirm the district court’s denial of Scott’s motion to suppress. Law enforcement did

not violate the Fourth Amendment or § 3109. Thus, we need not decide whether Hudson

applies to a violation of § 3109. There was no violation to begin with.

2.

Next, Scott argues he is entitled to a two-level reduction to his sentence under

U.S.S.G. § 4C1.1(a), which was promulgated after his sentencing. The government

maintains that Scott is not entitled to the reduction. But, in any case, it insists that remand

is not appropriate. According to the government, the appropriate means for Scott to seek a

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§ 4C1.1 sentencing adjustment is through a motion under

18 U.S.C. § 3582

. We agree with

the government.

Section 4C1.1 was revised as part of Amendment 821 to the Sentencing Guidelines.

In part, it provides for a two-level reduction in offense level for certain defendants with no

criminal history points. See U.S. Sent’g Guidelines Manual app. C, amend No. 821, pt. B,

subpart 1 (2023). Under § 4C1.1(a), a defendant is eligible for an adjustment in his offense

level only if he meets all the listed criteria. See U.S.S.G. § 4C1.1(a) (clarifying that a

defendant must meet “all of the following criteria.”). Scott correctly contends that a

§ 4C1.1 reduction may be applied retroactively. See U.S.S.G. § 1B1.10(d). And he urges

us to remand for the district court to apply § 4C1.1.

But Scott does not argue that the district court misapplied the Guidelines in effect

at the time of Scott’s sentencing. And “post-sentencing Guidelines amendments do not

make a pre-amendment sentence unreasonable.” United States v. McCoy,

804 F.3d 349, 353

(4th Cir. 2015). So, we decline to remand the case for the district court to consider

Scott’s § 4C1.1(a) argument.

That, however, does not mean Scott is without a remedy on this issue. Because

Amendment 821 came into in effect after Scott’s sentencing and applies retroactively, Scott

can seek its benefit by moving for a sentence reduction under

18 U.S.C. § 3582

(c)(2). Such

a motion would allow the district court to assess in the first instance whether and how the

amendment may impact Scott’s sentence. For that reason, we need not remand for Scott to

pursue relief in the district court; he can seek relief on his own. See United States v. Brewer,

520 F.3d 367, 373

(4th Cir. 2008); see also

18 U.S.C. § 3582

(c)(2)(“in the case of a

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defendant who has been sentenced to a term of imprisonment based on a sentencing range

that has subsequently been lowered by the Sentencing Commission pursuant to 28 U.S.C.

[§] 994(o), upon motion . . . or on its own motion, the court may reduce the term of

imprisonment, after considering the factors set forth in section 3553(a) to the extent that

they are applicable, if such a reduction is consistent with applicable policy statements

issued by the Sentencing Commission.”).

3.

Lastly, Scott challenges the district court’s imposition of conditions of supervision

requiring him to participate in substance abuse treatment and mental health counseling.

According to Scott, the conditions unconstitutionally delegated discretionary authority to

determine the nature and extent of his punishment to his probation officer.

“We review special conditions of supervision for abuse of discretion, recognizing

that district courts have ‘broad latitude’ in this space” to impose conditions. United States

v. Van Donk,

961 F.3d 314, 321

(4th Cir. 2020) (citation omitted). “A district court by

definition abuses its discretion when it makes an error of law . . . such as by violating a

constitutional right.”

Id.

(citation and internal quotation mark omitted). And we review

“constitutional non-delegation challenges to conditions of supervised release de novo.”

United States v. Comer,

5 F.4th 535, 547

(4th Cir. 2021) (citation and internal quotation

mark omitted).

District courts have substantial discretion in setting the terms and conditions of

supervised release after a term of imprisonment “within parameters set by both federal

statutes and the Sentencing Guidelines.” United States v. Hamilton,

986 F.3d 413, 417

(4th

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Cir. 2021). And a defendant’s assigned probation officer is necessary and important to the

day-to-day management of supervised release.

Id.

“The district court and the probation

officer work together with substantial statutory and Guidelines discretion in the crafting

and management of supervised release.”

Id. at 418

. But even in working together, the

district court violates Article III of the Constitution if it delegates to probation officers a

“core judicial function.” United States v. Ellis,

112 F.4th 240

, 253 (4th Cir. 2024) (citation

omitted). For example, a district court cannot delegate “the authority to decide the amount

of a fine or restitution payment, or whether a defendant must attend a treatment program.”

Comer,

5 F.4th at 547

(citation and internal quotation mark omitted). On the other hand, a

district court does not violate Article III when it orders the broad principles that guide the

conditions of release and permits the probation officer to “fill in many of the details

necessary for applying the condition”; the district court retains the ultimate authority for

the condition.

Id.

Consistent with that, courts may delegate to probation officers the “details

with respect to the selection and schedule of the program.” Van Donk,

961 F.3d at 327

(citation omitted).

With these standards in mind, we turn to the conditions Scott challenges here. At

sentencing, the court orally pronounced:

You must participate in a mental health treatment program and follow the rules and regulations of that program, and the probation officer, in consultation with the treatment provider, will supervise your participation in that program . . . . You also must participate in a substance abuse treatment program and follow the rules and regulations of that program. The probation officer will supervise your participation in that program.

J.A. 2567.

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The written judgment provided:

You must participate in a mental health treatment program and follow the rules and regulations of that program. The probation officer, in consultation with the treatment provider, will supervise your participation in the program (provider, location, modality, duration, intensity, etc.) . . . .

You must participate in a substance abuse treatment program and follow the rules and regulations of that program. The probation officer will supervise your participation in the program (provider, location, modality, duration, intensity, etc.).

J.A. 2577.

The only pertinent difference in the oral and written pronouncements is the pair of

clarifying parentheticals in the written judgment, which state that the probation officer’s

supervision includes the “provider, location, modality, duration, intensity, etc.” of the

mental health and substance abuse treatment programs.

Id.

That is the part Scott says

improperly delegates judicial functions to his probation officer. Relying on United States

v. Nishida,

53 F.4th 1144

(9th Cir. 2022), Scott claims the probation officer, under this

written description of the condition, can decide whether he must participate in inpatient or

outpatient treatment. That, according to Scott, is akin to performing the core judicial

function of determining whether he should be confined.

We disagree. The district court established the broad principles of Scott’s special

conditions—that he must participate in mental health and substance abuse treatment

programs. The court only permitted the probation officer to fill in certain details, such as

the particular provider, location and schedule of the programs.

Likewise, we reject Scott’s argument that the special conditions permit probation

officers to decide whether in-patient treatment is required. Assuming without deciding that

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such a delegation would constitute an improper delegation of judicial authority, we do not

read the language Scott challenges to permit the probation officer to make such a decision.

Instead, we read the special conditions to delegate only administrative supervisory

responsibilities like the selection and schedule of the programs. Not only is that the best

reading of the special condition; it also follows the guiding principle of constitutional

avoidance. See United States v. Hansen,

599 U.S. 762, 781

(2023) (“When legislation and

the Constitution brush up against each other, our task is to seek harmony, not to

manufacture conflict.”). Finding no delegation concern, we affirm the district court’s

imposition of the substance abuse and mental health conditions.

III.

For the reasons stated above, the district court’s judgments are,

AFFIRMED.

17

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