1212 Grand Concourse LLC v. Ynguil

27 Misc. 3d 205
CourtCivil Court of the City of New York
DecidedJanuary 8, 2010
StatusPublished
Cited by3 cases

This text of 27 Misc. 3d 205 (1212 Grand Concourse LLC v. Ynguil) is published on Counsel Stack Legal Research, covering Civil Court of the City of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
1212 Grand Concourse LLC v. Ynguil, 27 Misc. 3d 205 (N.Y. Super. Ct. 2010).

Opinion

OPINION OF THE COURT

Marian C. Doherty, J.

On the consent of the parties, a total of six landlord-tenant holdover proceedings have been consolidated under the above-named case and index number. For purposes of resolving these disputes, the fact patterns and the legal issues are essentially identical. The entities that are the landlords in each case are owned or managed by a single company and are represented by the same law firm. The respondents are represented by Legal Services NYC-Bronx.

The respondents move for dismissal of the petitions pursuant to the CPLR 3211 (a) (2) and (7). In the alternative they seek summary judgment pursuant to the CPLR 3212. Thé New York City Housing Authority (NYCHA), which is named as a corespondent in these proceedings, submitted an affirmation in support of the respondents’ motion, thereby adding its distinct legal perspective in support of the motion to dismiss. The petitioners cross-move for denial of the respondents’ motion and for summary judgment pursuant to the CPLR 3212. The respondents’ motion is granted; the petitioners’ cross motion is denied.

The underlying facts are not in dispute.1 In each case the respondent tenants had been beneficiaries of Section 8 housing assistance payments (HAP), which were payments of a portion of their rents made by the NYCHA to their landlords. In due course their apartments all failed federally-mandated housing [207]*207quality standards (HQS) inspections. Thereafter, despite warnings from the NYCHA, the petitioner landlords have not as yet fulfilled their legal and contractual obligations to rectify the offending conditions. Nor have the petitioners offered any defenses or explanations, rational or otherwise, for their concerted failures to perform their duties as landlords; rather, they say that such information is immaterial.

Due to the petitioners’ refusal to remedy the HQS violations, the Section 8 payments were initially suspended by the NYCHA and ultimately, after more than 180 days without payment of the Section 8 portions of the rent, the NYCHA terminated the HAP contract, which, according to a clause in the contracts, automatically terminated the leases as well. Throughout, the respondents have continued to pay their own, non-Section 8 portion of the rent.2 Based on the termination of the HAP contract and the lease, and after certifying to the NYCHA, the petitioners served termination notices on the respondents and then commenced these holdover proceedings.

In support of their motion for dismissal, the respondent tenants in essence put forward two arguments — the first is based on their understanding of the Rent Stabilization Code. They assert that “[p]rior to commencement of a holdover proceeding against a rent stabilized tenant, a landlord must serve a termination notice which states a ground under § 2524.3 (wrongful acts of tenant), or § 2524.4 (nonrenewal of lease) of the Rent Stabilization Code.” (Respondents’ mem of law, dated Sept. 21, 2009, section II [B] [citations omitted].) Further, the respondents argue that the “notice must further elaborate the facts necessary to establish the existence of such ground.” (Id.) Therefore, the respondents reason, the termination notices each failed to state a ground under the relevant section of the Rent Stabilization Code; thus the petitions should be dismissed for failure to state a cause of action. (Id.)

The respondents’ second argument invokes equity and public policy, and also charges that the landlords’ behavior amounts to harassment under 9 NYCRR 2525.5. The respondents maintain that

[208]*208“[t]o hold that Petitioners have a claim for eviction would allow landlords to turn their own failures of performance into weapons against their tenants and thus entirely pervert and undermine both the Section 8 and rent stabilization schemes .... The claim asserted ... in these proceedings turns both state and federal tenant protections on their heads. Indeed, New York law holds the failure to maintain premises in order to remove the tenants to be a species of harassment, 9 NYCRR § 2525.5.” (Respondents’ mem of law, dated Sept. 21, 2009, section II [C] [2].)

The NYCHA in its own right as a co-respondent provides additional arguments favoring dismissal. Whereas the tenants look to the Rent Stabilization Code to support the claim that the petitioners must have a “good cause” basis to evict them, the NYCHA focuses its argument on the duties of the petitioners defined under the Williams Second Partial Consent Judgment. (See Williams v New York City Hous. Auth., 81 Civ 1801, Second Partial Consent Judgment, signed Feb. 2, 1995, attached as exhibit A to affirmation in support of respondents’ motion to dismiss and in opposition to petitioners’ cross motion, dated Nov. 13, 2009 ['Williams Second Consent Judgment].) NYCHA points out that the petitioners are bound by the Williams Second Consent Judgment, which requires a petitioner seeking to evict a Section 8 tenant to have a “good cause” basis for doing so, and that such a petitioner must, as well, certify the basis of its claim to the NYCHA. (See Williams Second Consent Judgment.)

The petitioners contest the positions taken by the tenants and the NYCHA. Their primary counterargument is that they need only satisfy section 711 (1) of the Real Property Actions and Proceedings Law. RPAPL 711 (1) authorizes a holdover proceeding based solely on the ground that a tenant “continues in possession of . . . the premises after the expiration of his term, without the permission of the landlord.” They reason that RPAPL 711 (1) applies because the lease was terminated according to the HAP contract which was terminated by the NYCHA, notwithstanding the fact that the terminations were a direct result of the petitioners’ failure to maintain HQS. Absent a lease, the petitioners believe they are freed from the constraints of 9 NYCRR 2524.3 and 2524.4, which, as indicated above, require good cause. Instead they insist that 9 NYCRR 2524.1 (c) furnishes an additional ground, to wit, that a tenant may be [209]*209removed based on a “ground authorized in this Part or under . . . the Real Property Actions and Proceedings Law,” thereby implicating RPAPL 711 (1). (See affirmation 1Í 5, contained in notice of cross motion, dated Oct. 30, 2009.)

In the same vein, the petitioners maintain that “good cause” is not a necessary element of their claims as they are no longer contractually bound by the laws and rules pertaining to Section 8. They say that because the landlord-tenant relationship had been automatically terminated they are no longer held to a contractual requirement to evict for cause and also that the “HAP Contract states that fault has no bearing.” (Id. If 14.) In addition, they believe that they should not be held to the requirements of the Williams Second Consent Judgment because the consequences of doing so would be unfair to them. The petitioners conclude that the Williams Second Consent Judgment should not serve as an obstacle to evicting the respondents solely because the leases were terminated. In addition, they assert that under these circumstances, certification to the NYCHA is not required, although in these cases they did in fact do so.

For support, the petitioners look to 1801 Weeks Ave. v Crawford (182 Misc 2d 251 [1999]). The petitioners quote and paraphrase extensively from Weeks,

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Cite This Page — Counsel Stack

Bluebook (online)
27 Misc. 3d 205, Counsel Stack Legal Research, https://law.counselstack.com/opinion/1212-grand-concourse-llc-v-ynguil-nycivct-2010.