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Curry V Bostik Inc

                  UNITED STATES DISTRICT COURT                           
                 WESTERN DISTRICT OF KENTUCKY                            
                       LOUISVILLE DIVISION                               

JOSHUA CURRY,                                            Plaintiff,      

v.                                  Civil Action No. 3:22-cv-370-DJH-CHL 

BOSTIK, INC. and ARKEMA, INC.,                         Defendants.       

                           *  *  *  *  *                                 

                MEMORANDUM OPINION AND ORDER                             

    Plaintiff Joshua Curry filed this putative class and collective action against Defendants 
Bostik, Inc. and Arkema Inc., alleging violations of the Fair Labor Standards Act (FLSA) and the 
Kentucky Wages and Hours Act (KWHA).  (Docket No. 1)  Curry’s claims against Arkema were 
dismissed by agreement early in the litigation.  (D.N. 18; D.N. 19)  Curry now moves the Court to 
facilitate notice of a collective action pursuant to the FLSA.  (Docket No. 73)  Bostik does not 
oppose the motion.  (See id.)  After careful consideration, the Court will grant the motion in part 
and deny it in part for the reasons explained below.                      
                               I.                                        
    Bostik  operates  a  facility  in  Louisville,  Kentucky  (the  Louisville  Plant),  where  it 
manufactures adhesive products.  (D.N. 27, PageID.46 ¶ 30)  Curry was employed at the Louisville 
Plant as a Maintenance Mechanic beginning January 31, 2022, but had resigned by the time Bostik 
filed its answer on August 26, 2022.  (Id., PageID.51 ¶ 19)  Curry alleges that he and other similarly 
situated employees at the Louisville Plant were required to wear personal protective equipment 
(PPE) and attend pre-shift meetings but were not compensated by Bostik for the time they spent 
donning the PPE or attending the meetings, in violation of the FLSA and KWHA.  (D.N. 1, 
PageID.3  ¶¶ 8-9,  11-12)    Curry  also  alleges  that  Bostik  violated  the  KWHA  by  requiring 
employees to work 10-to-12-hour shifts without rest breaks or bona fide meal breaks.  (Id. ¶ 10, 
PageID.16 ¶¶ 101-02)                                                      
    In January 2023, Curry moved to conditionally certify a class and facilitate notice under 
the FLSA.  (D.N. 35)  Bostik opposed that motion (D.N. 36), which was then administratively 
remanded pending the parties’ settlement conference with Magistrate Judge Lindsay.  (D.N. 44)  

The settlement conference was successful (D.N. 51), and Curry filed an unopposed motion for 
preliminary approval of the parties’ settlement, certification of the settlement class, and facilitation 
of notice to the FLSA collective.  (D.N. 58)  The Court held a preliminary fairness hearing and 
subsequent telephonic conference, during which it explained that a hybrid FLSA/Rule 23 notice 
would not be consistent with the FLSA or applicable caselaw.  (D.N. 72)  Curry accordingly 
submitted the revised motion and proposed notice now before the Court.  (D.N. 73) 
    Curry  requests  that  the  Court  facilitate  notice  of  this  action  to  “all  production  and 
warehousing technicians who work or have worked for [Bostik] at the Louisville Plant since June 
21, 2019.”  (D.N. 73, PageID.533)  He further asks that the Court apply equitable tolling to the 

statute of limitations for potential opt-in plaintiffs.  (Id., PageID.528–30)  “[F]or purposes of 
facilitating the settlement,” Bostik does not oppose Curry’s motion (id., PageID.516), though it 
does oppose the request for equitable tolling.  (Id., PageID.530)  As explained below, the Court 
concludes that both facilitation of notice and equitable tolling are appropriate here. 
                              II.                                        
    The FLSA permits plaintiffs to “litigate federal minimum-wage and overtime claims on 
behalf of other ‘similarly situated’ employees.”  Clark v. A&L Homecare & Training Ctr., LLC, 
68 F.4th 1003, 1007 (6th Cir. 2023) (quoting 29 U.S.C. § 216(b)).  But pursuant to § 216(b), “[n]o 
employee shall be a party plaintiff to any such action unless he gives his consent in writing to 
become such a party and such consent is filed in the court in which such action is brought.”  Thus, 
“unlike a Rule 23 class action, an FLSA collective action is not representative—meaning that ‘all 
plaintiffs in an FLSA action must affirmatively choose to become parties by opting into the 
collective action.’”  Clark, 68 F.4th at 1009 (quoting Canaday v. Anthem Cos., 9 F.4th 392, 402 
(6th Cir. 2021)).  Potential plaintiffs typically “come to learn about the existence of an FLSA suit” 

via court-facilitated notice.  Id. at 1007.  In Clark, the Sixth Circuit adopted a standard for “the 
showing . . . that is necessary for a district court to facilitate notice.”  Id. 
A.   Facilitation of Notice                                               
    Under the standard adopted in Clark, “for a district court to facilitate notice of an FLSA 
suit to other employees, the plaintiffs must show a ‘strong likelihood’ that those employees are 
similarly situated to the plaintiffs themselves.”1  Id. at 1011.  This “standard requires a showing 
greater than the one necessary to create a genuine issue of fact, but less than the one necessary to 
show a preponderance.”  Id.  “Whether other employees are similarly situated for the purpose of 
joining an FLSA suit typically depends on whether they performed the same tasks and were subject 

to the same policies—as to both timekeeping and compensation—as the original plaintiffs were.”  
Id. at 1010 (citing Pierce v. Wyndam Resorts, Inc., 922 F.3d 741, 745-46 (6th Cir. 2019)).  
“Whether  other  employees  are  subject  to  individualized  defenses—such  as  an  employee’s 
agreement to arbitrate a claim—can also affect whether particular employees are similarly situated 
for purposes of sending notice.”  Id. (citing Pierce, 922 F.3d at 725).  Notice may be appropriate 
even “where the employees’ job duties and their titles differed substantially,” so long as the named 


1  The  Clark  panel  expressly  rejected  “characterization  of  the  notice  determination  as  a 
‘certification,’ conditional or otherwise.”  68 F.4th at 1009 (declining to adopt the two-step 
approach set out in Lusardi v. Xerox Corp., 118 F.R.D. 351 (D.N.J. 1987), “and its lenient standard 
for ‘conditional certification’ for purposes of sending notice of an FLSA suit to other employees”).  
The Court therefore declines to “conditionally certify” a collective here. 
plaintiff can show that they were “subject to the same general corporate policies.”  Marcum v. 
Lakes Venture, LLC, No. 3:19-CV-00231-GNS-LLK, 2020 U.S. Dist. LEXIS 219816, at *6–7 
(W.D. Ky. Nov. 24, 2020) (citing Bassett v. Tenn. Valley Auth., No. 5:09-CV-39, 2013 U.S. Dist. 
LEXIS 24890, at *2-9 (W.D. Ky. Feb. 22, 2013)).  Ultimately, “[p]laintiffs are similarly situated 
when their claims are ‘unified by common theories of defendants’ statutory violations,’ such as ‘a 

single, FLSA-violating policy.’”  Gifford v. Northwood Healthcare Grp., LLC, No. 2:22-CV-4389, 
2023 U.S. Dist. LEXIS 146707, at *8 (S.D. Ohio Aug. 21, 2023) (quoting O’Brien v. Ed Donnelly 
Enters., Inc., 575 F.3d 567, 585 (6th Cir. 2009)); see also Roesel v. Dam Mgmt. LLC, No. 5:23-
cv-01584-JRA, 2025 U.S. Dist. LEXIS 130858, at *7 (N.D. Ohio July 10, 2025) (finding “no 
question that all of Defendant’s servers, bussers and bartenders are tipped employees that are 
‘“unified by common theories of defendants’ statutory violations,” such as “a single, FLSA-
violating policy[,]”’ and are therefore similarly situated” (quoting Gifford, 2023 U.S. Dist. LEXIS 
146707, at *8).                                                           
    Here, Curry asserts that he and the potential opt-in plaintiffs are similarly situated because 

they “1) have all worked for Defendant as production and warehousing technicians; and 2) were 
required to perform work prior to and after their shifts, for which they were not compensated.”  
(D.N. 73, PageID.526)  In support, Curry points to Bostik’s employee handbook, which provides: 
         All employees, including visitors[,] are required to wear necessary PPE 
    where designated.  If you’re in a production or maintenance-related role, Bostik 
    provides you with an adequate supply of uniforms. . . . Uniforms are for use while 
    on the job, and you’re not allowed to remove them from the premises.  We pay the 
    cost of laundering and replacement of your uniforms. . . .           

         Throughout our facilities, a variety of PPE is required, such as safety shoes, 
    lab coat, gloves, hard hats, safety glasses, etc. Many of these items are provided at 
    the facility.  Specific procedures are in place in the event that you’re required to 
    obtain safety shoes and/or prescription safety glasses.              
(Id., PageID.518 (emphasis removed) (omission in original) (quoting D.N. 73-4, PageID.573))  
The handbook further states:                                              
         If you’re a non-exempt employee, you’re expected to keep accurate records 
    of your work hours, using the time-keeping system at your facility.  All Bostik 
    facilities use a time clock.  If you’re an hourly employee, you must punch in so that 
    you are ready to begin your work at your scheduled starting time and punch out at 
    or after your scheduled dismissal time.  Any deviations require prior approval from 
    your direct leader.  Accurate time reporting is essential.  Talk to your direct leader 
    for more information.                                                

(Id. (emphasis removed) (quoting D.N. 73-4, PageID.572))  Curry also cites Bostik’s admission in 
its answer that “employees in the mixing, blending, packaging machines, equipment maintenance, 
and shipping and receiving are required to wear [PPE] while performing work.”  (D.N. 27, 
PageID.47 ¶ 4; see D.N. 73, PageID.517–18)  And in a sworn declaration attached to his motion, 
Curry “describes his work for [Bostik], his shift schedule, the donning and doffing process which 
he and other production and warehousing technicians followed before and after each shift, and 
[Bostik]’s compensation policies, including paying the production and warehousing technicians 
only for the time they spent during the schedule shift hours.”  (D.N. 73, PageID.527; see D.N. 73-
3)  Timesheets accompanying the declaration support Curry’s assertion that his “paid time started 
at [his] shift start time despite the fact that [he] was already dressed in mandatory PPE and attended 
a pre-shift turnover meeting.”  (D.N. 73-3, PageID.543; see id., PageID.546–69)  Curry also states 
that based on his discussions with other Bostik employees, he understands the challenged policies 
to apply to all technicians in the manufacturing process.  (Id., PageID.543–44) 
    The evidence presented in support of Curry’s motion demonstrates that the claims of Curry 
and the potential opt-in plaintiffs “are ‘unified by common theories of [Bostik’s] statutory 
violations.’”  Gifford, 2023 U.S. Dist. LEXIS 146707, at *8 (quoting O’Brien, 575 F.3d at 585).  
In light of this evidence, and absent any indication that the other Bostik employees are “subject to 
individualized defenses,” Clark, 68 F.4th at 1010, Curry has “show[n] a ‘strong likelihood’ that 
those employees are similarly situated to” him for purposes of his FLSA claim.  Id. at 1011.  
Facilitation of notice is therefore appropriate.  See id.                 
B.   Equitable Tolling                                                    
    Both the concurrence and the dissent in Clark—“i.e., a majority of the panel—endorsed 

the proposition that ‘[e]quitable considerations support the use of tolling for FLSA collective 
actions.’”  Cordell v. Sugar Creek Packing Co., 691 F. Supp. 3d 838, 849 (S.D. Ohio 2023) 
(quoting Clark, 68 F.4th at 1014 (Bush, J., concurring)); see also Clark, 68 F.4th at 1017 (White, 
J., concurring in part and dissenting in part) (agreeing with Judge Bush that “given the . . . new 
standard [set out in Clark], district courts should freely grant equitable tolling to would-be opt-in 
plaintiffs”).  Judge Bush’s concurrence observed that “[i]n situations where court delay has time-
barred a sizeable number of potential plaintiffs, many courts find that the delay alone warrants 
equitable tolling and decline to analyze the typical equitable tolling factors.”  Id. at 1015 (quoting 
Betts v. Cent. Ohio Gaming Ventures, LLC, 351 F. Supp. 3d 1072, 1077 (S.D. Ohio 2019)); see 

also Sekala v. Just Mike’s Jerky Co., No. 1:24 CV 1369, 2025 U.S. Dist. LEXIS 104787, at *11 
(N.D. Ohio June 3, 2025) (“Because delay alone warrants equitable tolling, the Court need not 
analyze the equitable tolling factors.” (citing Clark, 68 F.4th at 1015 (Bush, J., concurring))).2  In 

2 The court in Sekala nevertheless engaged in a detailed analysis because “[e]ach party set[] forth 
its respective position” regarding the applicability of equitable tolling—specifically, whether it 
was premature to grant equitable tolling before opt-in plaintiffs joined the action.  2025 U.S. Dist. 
LEXIS 104787, at *6; see id. at *6–16.  Here, in contrast, Bostik did not file a response setting out 
the basis for its opposition; instead, Curry’s motion merely notes at the close of the equitable-
tolling discussion that “[t]he Parties have met and conferred and Defendant[] oppose[s] Plaintiffs’ 
request.”  (D.N. 73, PageID.530)  Given the lack of substantive opposition and the ample authority 
supporting equitable tolling under similar circumstances, additional analysis is unnecessary.  See 
Bickerstaff v. Lucarelli, 830 F.3d 388, 396 (6th Cir. 2016) (“Issues adverted to in a perfunctory 
manner,  unaccompanied  by  some  effort  at  developed  argumentation,  are  deemed  waived.” 
(quoting McPherson v. Kelsey, 125 F.3d 989, 995 (6th Cir. 1997)).         
this case, the delay in facilitation of notice to potential opt-in plaintiffs—largely beyond Curry’s 
control—has likely “time-barred a sizeable number of potential plaintiffs.”3  Clark, 68 F.4th at 
1015 (Bush, J., concurring) (quoting Betts, 351 F. Supp. 3d at 1077).  Equitable tolling is therefore 
appropriate.  See id.; Sekala, U.S. Dist. LEXIS 104787, at *11.           
C.   Proposed Notice and Consent Form                                     

    The proposed notice, which Curry seeks leave to send via U.S. Mail and email, provides 
the case name and number; describes the claims, Bostik’s position, and who is eligible to join the 
collective action; notifies potential opt-in plaintiffs of their right to join the action, how to do so, 
and the consequences of doing so (or not); notes the Court’s neutrality; advises that the parties 
have reached a proposed settlement that has yet to be approved; explains that opt-in plaintiffs will 
not be responsible for attorney fees; and gives potential opt-in plaintiffs forty-five days to submit 
the attached consent form.  (D.N. 73-1)  Curry requests that he also be permitted to send a reminder 
notice fifteen days before the opt-in deadline.  (D.N. 73, PageID.532)    
    “A forty-five-day deadline is sufficient and reasonable.”  Gifford, 2023 U.S. Dist. LEXIS 

146707, at *14 (citing Snelling v. ATC Healthcare Servs. Inc., No. 2:11-CV-00983, 2013 U.S. 
Dist. LEXIS 49105, 2013 WL 1386026, at *6 n.3 (S.D. Ohio Apr. 4, 2013)).  And sending notice 
by both U.S. Mail and email is generally accepted in this circuit as the preferred way “to ensure 
that putative class members receive notice of the pending action.”  Id. (quoting Hall v. U.S. Cargo 
& Courier Serv., LLC, 299 F. Supp. 3d 888, 899-900 (S.D. Ohio 2018)); see also, e.g., Hall v. 
Gannett Co., No. 3:19-cv-296-BJB-RSE, 2021 U.S. Dist. LEXIS 12216, at *14-15 (W.D. Ky. Jan. 


3 Curry argues—and Bostik apparently does not dispute—that the three-year statute of limitations 
for willful FLSA violations should apply at the notice stage.  (D.N. 73, PageID.526)  This approach 
is likewise supported by ample authority.  See, e.g., Smith v. Generations Healthcare Servs. LLC, 
No. 2:16-CV-807, 2017 U.S. Dist. LEXIS 106583, at *16 (S.D. Ohio July 11, 2017) (citations 
omitted).                                                                 
22, 2021) (“Because district courts routinely allow notice to be transmitted via U.S. mail and email, 
the Court will not restrict those methods.” (citations omitted)).  A reminder notice, however, is 
“unnecessary and potentially could be interpreted as encouragement by the court to join the 
lawsuit.”  Hall, 2021 U.S. Dist. LEXIS 12216, at *18-19 (quoting Wlotkowski v. Mich. Bell Tel. 
Co., 267 F.R.D. 213, 220 (E.D. Mich. 2010)).   It thus risks running afoul of the Supreme Court’s 

admonition “that [a] court’s facilitation of notice must not ‘in form or function’ resemble ‘the 
solicitation of claims.’”  Doe v. Coliseum, Inc., No. 2:20-CV-10845-TGB-MJH, 2024 U.S. Dist. 
LEXIS 179053, at *19 (E.D. Mich. Sept. 30, 2024) (quoting Clark, 68 F.4th at 1010); see Hoffman-
La Roche v. Sperling, 493 U.S. 165, 174 (1989) (“In exercising the discretionary authority to 
oversee the notice-giving process, courts must be scrupulous to respect judicial neutrality.  To that 
end, trial courts must take care to avoid even the appearance of judicial endorsement of the merits 
of the action.”).                                                         
    The proposed notice and consent form are also deficient in that they do not advise potential 
opt-in plaintiffs of “the right to select counsel of [their] own choosing.”  Canaday, 9 F.4th at 403 

(alteration in original) (quoting Fenley v. Wood Grp. Mustang, Inc., 170 F. Supp. 3d 1063, 1073 
(S.D. Ohio 2016)) (“With this option of separate counsel, collective actions permit individualized 
claims and individualized defenses, ‘in which aggrieved workers act as a collective of individual 
plaintiffs with individual cases.’” (citation omitted)).  On the contrary, Curry’s proposed consent 
form requires opt-in plaintiffs to “designate Plaintiff[’s] Counsel . . . to represent [them] for all 
purposes in this action” and “designate the named plaintiff . . . as [their] agent to make decisions 
on [their] behalf concerning the litigation.”  (D.N. 73-2, PageID.539)  “Informing [p]otential 
[p]laintiffs of their right to select their own counsel is not only ‘an appropriate element’ of a notice, 
but failure to inform [p]otential [p]laintiffs of that right risks seriously eroding it.”  Gifford, 2023 
U.S. Dist. LEXIS 146707, at *15 (quoting Heaps v. Safelite Sols., LLC, No. 2:10 CV 729, 2011 
U.S. Dist. LEXIS 40089, 2011 WL 1325207, at *8-9 (S.D. Ohio Apr. 1, 2011)).  The proposed 
notice and consent form must be modified accordingly.                     
    Finally, to the extent Curry seeks the telephone numbers of potential opt-in plaintiffs (D.N. 
73, PageID.531), his motion will be denied.  Phone numbers are unnecessary for sending notice 

via mail and email.  The request for telephone numbers thus “is duplicative and unnecessarily 
intrusive to the privacy rights of [Bostik]’s employees at this juncture.”  Cowan v. Nationwide 
Mut. Ins. Co., No. 2:19-cv-1225, 2019 U.S. Dist. LEXIS 164312, at *34 (S.D. Ohio Sept. 25, 2019) 
(collecting cases); see also Hall, 2021 U.S. Dist. LEXIS 12216, at *15.   
                              III.                                       
    For the reasons set forth above, and the Court being otherwise sufficiently advised, it is 
hereby                                                                    
ORDERED as follows: 
     (1)    Curry’s renewed unopposed motion to facilitate notice (D.N. 73) is GRANTED 
insofar as Curry seeks a determination that he has shown a  strong likelihood that he and the 
potential opt-in plaintiffs are similarly situated.  The motion is DENIED without prejudice to the 
extent it seeks approval of the proposed notice and opt-in form. 
     (2)    Within ten (10) days of entry of this Order, the parties shall jointly submit a revised 
proposed notice and opt-in form reflecting the modifications outlined above.  The Court will 
facilitate notice upon submission of the corrected documents. 
     (3)    The three-year statute of limitations is TOLLED as to potential opt-in plaintiffs. 
     (4)    The previously remanded motion to certify (D.N. 35) and motion for preliminary 
approval (D.N. 58) are DENIED without prejudice as moot. 

     July 21, 2025 

                                       David J. Hale,  Judge 
                                   United States District Court 

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