Abbey v. Patrick

16 So. 3d 1051, 2009 Fla. App. LEXIS 13673, 2009 WL 2914193
CourtDistrict Court of Appeal of Florida
DecidedSeptember 14, 2009
Docket1D09-0298
StatusPublished
Cited by12 cases

This text of 16 So. 3d 1051 (Abbey v. Patrick) is published on Counsel Stack Legal Research, covering District Court of Appeal of Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Abbey v. Patrick, 16 So. 3d 1051, 2009 Fla. App. LEXIS 13673, 2009 WL 2914193 (Fla. Ct. App. 2009).

Opinion

PADOVANO, J.

Dr. Thomas Abbey petitions this court for a writ of certiorari to review an order by the trial court denying his motion for summary judgment. He contends that the motion should have been granted because the statute of limitations expired before the plaintiff filed suit against him for medical negligence. We conclude that the alleged error in computing the time for filing a lawsuit did not deprive Dr. Abbey of his rights under the medical malpractice pre-suit screening statutes, and that the pretrial order denying his motion for summary judgment does not otherwise meet the test for review by certiorari. We therefore deny the petition.

The plaintiff, Gertrude Patrick, filed a complaint for medical negligence against Dr. Abbey on January 17, 2007. She alleged that she had been treated by Dr. Abbey for an eye disorder, that she is now blind in her left eye, and that her blindness was caused by Dr. Abbey’s negligence. The statute of limitations for filing a medical negligence complaint would have expired on September 8, 2006, but there were several events that extended the time. The issue lying at the heart of the controversy between the parties involves a dispute over the amount of time that should have been added to the original expiration date.

Mrs. Patrick filed a notice of intent to initiate litigation on July 28, 2006, and Dr. Abbey received it on August 2, 2006, thirty-seven days before the statute of limitations would have expired. According to section 766.106(4), Florida Statutes (2006), the notice had the effect of tolling the time for a period of ninety days. This extended the statute of limitations until October 31, 2006. Section 766.106(4) also provides that, if the defendant serves a notice of intent to terminate the negotiations during the extended period of time, the plaintiff *1053 shall have sixty days or the remainder of the statute of limitations, whichever is greater, to file suit. Dr. Abbey served notice of his intent to terminate negotiations on October 31, 2006, and Mrs. Patrick received the notice on November 1, 2006.

The parties do not dispute that Mrs. Patrick was entitled to an additional sixty days from November 1, 2006 to file suit. However, the trial judge evidently concluded that, because section 766.106(4) has the effect of “tolling” the statute of limitations, she was also entitled to the thirty-seven days left on the original time period before the tolling began. If the trial judge is correct, the complaint was timely, and Dr. Abbey’s motion for summary judgment was properly denied. If the trial judge is not correct, Mrs. Patrick’s complaint is barred by the statute of limitations.

We acknowledge that some pretrial orders must be reviewed before the entry of the final judgment. However, the need for interlocutory review is addressed in Rule 9.130 of the Florida Rules of Appellate Procedure. One of the effects of this rule is that it reduces the need for common law certiorari. Quoting from an advisory committee note to the rule, the supreme court explained in Martin-Johnson, Inc. v. Savage, 509 So.2d 1097, 1098-99 (Fla.1987), “ ‘It is extremely rare that erroneous interlocutory rulings can be corrected by resort to common law certiorari. It is anticipated that, since the most urgent interlocutory orders are appealable under [rule 9.130], there will be very few cases where common law certiorari will provide relief.’ ”

Rule 9.130 identifies eleven classes of pretrial orders that are subject to review by interlocutory appeal. An order denying a motion for summary judgment in a medical malpractice case is not one of those orders. We begin then with the proposition that review is available only if this is one of the rare cases the court was referring to in Martinr-Johnson in which it would be appropriate to issue a writ of certiorari.

A pretrial order that is not ap-pealable under rule 9.130 might be reviewable by certiorari, but unlike an appeal, certiorari is not a remedy that is available as a matter of right. Certiorari is an extraordinary remedy that is entirely within the discretion of the court. See Haines City Community Dev. v. Heggs, 658 So.2d 523, 526 (Fla.1995). It is not a remedy that can be used simply because the order in question is not appealable. See State v. Smith, 951 So.2d 954 (Fla. 1st DCA 2007); Cotton States Mut. Ins. v. D’Alto, 879 So.2d 67 (Fla. 1st DCA 2004). As the court explained in Fassy v. Crowley, 884 So.2d 359, 363 (Fla. 2d DCA 2004), certio-rari should never be used to circumvent the rules governing appeals from pretrial orders.

When certiorari is used to review a pretrial order, the petitioner must show that the decision by the lower court is a departure from the essential requirements of the law and that it caused a material injury that cannot be corrected on appeal from the final judgment. See Belair v. Drew, 770 So.2d 1164 (Fla.2000); Allstate Ins. Co. v. Langston, 655 So.2d 91 (Fla.1995). Both of these requirements must be met before the petition may be properly granted.

The phrase “departure from the essential requirements of law” is defined in this context as “ ‘a violation of a clearly established principle of law resulting in a miscarriage of justice.’” Byrd v. Southern Prestressed Concrete, Inc., 928 So.2d 455, 457 (Fla. 1st DCA 2006) (applying the definition in Combs v. State, 436 So.2d 93 (Fla.1983) to a petition for writ of certiora- *1054 ri directed to a pretrial order). Appellate courts do not issue writs of certiorari merely to correct an erroneous application of the law, as would be the case in a plenary appeal.

One important point that emerges from these precedents is that certiorari is a remedy that should be used only in very limited circumstances. The strict prerequisites for the issuance of a writ of certio-rari exist for good reason. Our supreme court intentionally limited the use of cer-tiorari as a matter of policy, in order to prevent piecemeal review of pretrial orders. One of the best examples of the application of this policy is the decision of the court in Jaye v. Royal Saxon, Inc., 720 So.2d 214 (Fla.1998). In that case, the court held that an order striking a demand for a jury trial is not reviewable by certio-rari, because harm caused by the error can be corrected on appeal from the final judgment. That an order forcing a party to give up the constitutional right to a jury trial is not reviewable by certiorari is a point that should give appellate judges cause for the exercise of restraint in the use of certiorari in any case.

With these principles in mind we turn to the specific issues that arise in the review of orders entered in the course of the medical malpractice presuit screening procedure. Certiorari may be an appropriate remedy if the error is one that resulted in the deprivation of the right to the process itself. For example, in Shands Teaching Hospital v. Miller, 642 So.2d 48 (Fla. 1st DCA 1994), the plaintiff filed a notice of intent to litigate but failed to submit a corroborating affidavit. From the defendant’s point of view, the omission of the affidavit was tantamount to a complete deprivation of the mandatory screening-process.

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Bluebook (online)
16 So. 3d 1051, 2009 Fla. App. LEXIS 13673, 2009 WL 2914193, Counsel Stack Legal Research, https://law.counselstack.com/opinion/abbey-v-patrick-fladistctapp-2009.