Almon, Inc. v. Utah Liquor Control Commission

696 P.2d 1210, 1985 Utah LEXIS 773
CourtUtah Supreme Court
DecidedFebruary 7, 1985
DocketNo. 18637
StatusPublished
Cited by4 cases

This text of 696 P.2d 1210 (Almon, Inc. v. Utah Liquor Control Commission) is published on Counsel Stack Legal Research, covering Utah Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Almon, Inc. v. Utah Liquor Control Commission, 696 P.2d 1210, 1985 Utah LEXIS 773 (Utah 1985).

Opinion

STEWART, Justice:

This is an appeal from an order of the Utah Liquor Control Commission (the “Commission”) denying renewal of petitioner’s liquor store operation and liquor storage and consumption licenses. Petitioner, Almon, Inc., operating as the Collector Club (the “Club”), seeks an order vacating the Commission’s order, renewing the Club’s license, and expunging the Commission’s record of the Club’s regulatory violations. We affirm.

In October, 1981, one of the Club’s employees was cited by a Salt Lake City police officer for an alleged violation of a city ordinance. As a result of the citation, and following an informal hearing before the Commission on December 7,1981, the Commission issued an order suspending the Club’s liquor license from January 8, 1982, through February 6, 1982.

Following the hearing, on December 18, 1981, Club employees were again cited by Salt Lake City police officers for alleged violations of a city ordinance. The police officers informed the Club’s manager that the citations would be turned over to the Commission and continued violations could result in permanent closure of the Club. However, the police never presented the citations to the Commission.

Meanwhile, the Club’s manager informed the owner, Almon Covey, of the additional citations. Covey testified that based on his belief that the Commission would receive [1212]*1212notice of the citations and suspend the Club’s license further, Covey did not re-, open the Club when the suspension expired on February 6, 1982. Prior to the expiration date, Covey had not informed the Commission that the Club would remain closed and had not been ordered by the Commission to remain closed. Section A96-01-3(2)(D) of the Utah Liquor Control Rules and Regulations provides that the Commission must be informed in writing at least seven days prior to the closure of any state store which will remain closed for more than three consecutive days or 72 hours.1

In March, 1982, a Commission auditor informed Covey that the Club’s license might be in jeopardy because of the failure to reopen. In early April, Covey contacted Joe Coccimiglio, a Commission licensing and compliance officer, and informed him of the two December citations. Coccimig-lio, who had been informed that the Club was closed, told Covey that the closure could result in nonrenewal of the Club’s license. In late April, a Commission auditor informed the Club’s manager that the Commission staff would recommend nonre-newal of the Club’s liquor license for failure to give written notice of the Club’s closure pursuant to section A96-01-3(2)(D) of the Commission Rules and Regulations. This information was confirmed by letter.

The Club thereafter submitted a proper application for renewal of its liquor license. A hearing was held June 22, 1982, to consider the Commission’s objections to renewal of the Club’s license, the result of which was a recommendation of nonrenewal. The hearing examiner stated that the Commission may have in past years been lenient with respect to violations, but that the statutes were to be strictly enforced because there were more applications for licenses than there were liquor licenses. The Commission officially declined to renew the Club’s license after considering the hearing examiner’s findings and conclusions and the Club’s objections to the findings. The Commission made no findings on the Club’s objections.

Petitioner contends that: (1) it was not required to give the Commission written notice that it intended to remain closed because the Commission had actual notice; (2) the Commission’s shift from a lenient enforcement policy to a strict enforcement policy without following formal rule making procedures violated due process of law; (3) the Commission’s failure to timely notify petitioner of the nonrenewal of the liquor license was arbitrary and capricious and renders such action void; (4) the Commission is estopped from asserting that petitioner violated the applicable statutes and regulations; and (5) the Commission admitted prejudicial and irrelevant evidence and did not rule upon the Club’s objections.

I.

The Club asserts that the Commission had actual notice of the Club’s closure and therefore the Club should not have been required to give the Commission written notice of closure. Even assuming that something other than written notice to the Commission would satisfy the Club’s duty to notify the Commission prior to closing, the record does not support the contention that the Commission had actual notice. Although the Commission eventually discovered that the Club had remained closed past the date ordered for suspending the Club’s license, there is no evidence to suggest that the Commission had notice of the intention to remain closed before February 6, 1982. Utah Liquor Control Regulation A96-01-3(2)(D) specifically requires notice of intent to close a state store “at least seven (7) days prior to the closing.” In addition, the regulation requires that the notice contain information that the Commission never received, including the date of the closure, the date on which the Club expects to reopen and why the Club is closing. Therefore, the petitioner clearly [1213]*1213did not comply with the notice of closure requirements.

II.

The Club next contends that even if it violated the Commission’s regulations, it had a right to rely on the previous policy of leniency of the Commission in renewal proceedings. The Club argues that because the Commission allegedly announced a policy of strict compliance without following formal rule making procedures, the Club’s due process rights were violated. The Club’s proof of the change in the enforcement policy consists of the following statements by the hearing examiner about Commission policy. “We’re certain that the policy [of] the Commission has been not to renew, or revoke. And that’s been the guiding principle as I approached all of these hearings.” “[T]he Commission, I believe, has had a lenient policy as to compliance. Perhaps the policy is not as I perceived it.” “I don’t think it’s for me to decide whether we’re lenient or not. I don’t think we have that right. We have to look at the facts and say, ‘Are they right or are they in violation? ’ and go on that premise.”

The Club has not provided any evidence establishing that the Commission has changed its enforcement policy. But even if the Commission has changed its policy, the Commission has some discretion in setting its enforcement policies. Utah Code Ann., 1953, Section 16-6-13.10, provides that the Commission may refuse to renew a license for violation of the Utah liquor laws.2 A minor tightening of the Commission’s enforcement policy is not sufficient to invalidate enforcement action, absent some additional showing, such as illegally motivated discrimination. See, e.g., Yick Wo v. Hopkins, 118 U.S. 356, 6 S.Ct. 1064, 30 L.Ed. 220 (1886) (systematic racial discrimination by licensing officers denies equal protection).

The United States Supreme Court treated a similar issue in Federal Communications Commission v. WOKO, Inc., 329 U.S. 223, 67 S.Ct. 213, 91 L.Ed. 204 (1946). In WOKO, the Court addressed a challenge to the Federal Communication Commission’s departure from a past course of dealing in a license renewal proceeding.

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Cite This Page — Counsel Stack

Bluebook (online)
696 P.2d 1210, 1985 Utah LEXIS 773, Counsel Stack Legal Research, https://law.counselstack.com/opinion/almon-inc-v-utah-liquor-control-commission-utah-1985.