Atwood v. Sipple

357 S.E.2d 273, 182 Ga. App. 831, 1987 Ga. App. LEXIS 1846
CourtCourt of Appeals of Georgia
DecidedApril 22, 1987
Docket73736
StatusPublished
Cited by7 cases

This text of 357 S.E.2d 273 (Atwood v. Sipple) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Atwood v. Sipple, 357 S.E.2d 273, 182 Ga. App. 831, 1987 Ga. App. LEXIS 1846 (Ga. Ct. App. 1987).

Opinion

Beasley, Judge.

Plaintiffs Sipple and Gibson sued Atwood and others for breach of contract, fraud, and conversion arising out of a joint venture agreement which basically provided that 119 saltwater damaged British Leyland automobiles were to be purchased from British Leyland and then shipped to Guatemala for sale. Because of the damage, the cars could not be sold in the United States. Atwood, a retired Army officer, was at that time living in Guatemala and claimed to be involved in the import/export business there. Although a substantial shipment was sent to Guatemala, for a myriad of reasons, the business was unsuccessful and the joint venture was terminated by plaintiffs in March 1980.

The complaint was filed in April 1980, naming only two Guatemalan companies and one individual, all of whom were involved in the Guatemalan end of the enterprise. In September 1981 after a default judgment was entered against the Guatemalan individual, the complaint was amended to add Atwood as a defendant. Two years later, plaintiffs and defendant Atwood consented to an order referring the matter to an auditor pursuant to Chapter 7 of Title 9, OCGA. The auditor heard the matter in June 1984, and plaintiffs filed their 12-page “Proposed Findings of Fact and Conclusions of Law” on August 30. Defendant Atwood served but did not file his “Response to Plaintiffs’ Proposed Findings” on plaintiffs’ counsel on October 27. Defendant did not submit any proposed findings of fact and conclusions of law. The auditor’s 31-page report, finding for plaintiffs, was filed on September 23, 1985. Three days later, defendant filed the “Response to Plaintiffs’ Proposed Findings” with the court.

After two months passed, defendant filed a “Motion to Withdraw Transcript for Duplication And to Allow Extension of Time to File Amendment to Exceptions with Memorandum.” In this document, defendant contended that his Response to Plaintiffs’ Proposed Findings of Fact and Conclusions of Law “contained the substance of the exceptions this plaintiff has to the Report of the Auditor . . it was also indicated, in requesting the time extension, that defendant could *832 not afford to purchase a copy of the transcript before the auditor’s report was filed, and that thereafter “counsel for this defendant became incapacitated by reason of a medical diagnosis that required . . . tests in hospitals . . . that continued through the week of November 18, 1985. . . .” Defendant’s motion was denied on April 8, 1986.

Judgment was entered by the court for plaintiffs on June 17, 1986, the court holding that no timely exceptions had been filed by defendant to the auditor’s report. From this judgment, defendant appeals.

1. Defendant contends, based on OCGA § 9-7-14 (c), that the trial court erred in not treating his Response to Plaintiffs’ Proposed Findings of Facts and Conclusions of Law as the exceptions to the auditor’s report. A review of the statutory scheme concerning auditor’s reports, their use and purpose, however, dispels this argument.

Chapter 7 of Title 9, OCGA covers auditor’s reports and the procedures involved in using an auditor. The parties agreed to submit the factual investigation to an auditor, and a lengthy hearing was conducted. The code then requires that “the auditor shall file the evidence and a report in which he shall clearly and separately state all rulings made by him, classify and state his findings, and report his conclusions upon the law and facts.” OCGA § 9-7-8. A party having objection of law or fact to the report of the auditor must file his exceptions to the report within “20 days after the report is filed and notice is given to the parties . . .” OCGA § 9-7-14 (a). While a trial judge may grant an extension of time for the filing of exceptions, any such application for an extension must be made before the initial 20 days expire. OCGA § 9-7-14 (b); Collins v. Lyon, Lyon & Co., 222 Ga. 6 (1) (148 SE2d 428) (1966).

While defendant is correct that grounds for exceptions are no longer required to be complete in themselves, OCGA § 9-7-14 (c), he errs in his assertion that the liberal notice pleading concept of the Civil Practice Act overrides the specific requirements of the auditor’s statute. See Beck v. Cobb County, 180 Ga. App. 808, 812 (350 SE2d 818) (1986); Wise &c. Assoc. v. Rosser White &c. Inc., 146 Ga. App. 789, 794 (5c) (247 SE2d 479) (1978). Subsection (c), while not requiring the grounds for objection to be complete in themselves, goes on: “It shall be sufficient, for purposes of this Code section, if the exceptions point out by title and paragraph number such part of the pleadings, and by page number such part of the auditor’s report, and such parts of the evidence reported by the auditor as are necessary to an understanding of the errors complained of.” The reason for requiring such specificity in the factual exceptions is stated in OCGA § 9-7-17: “In all law cases where an auditor is appointed, exceptions of fact to his report shall be passed upon by the jury as in other issues of fact, *833 . . The case is submitted to the jury on the testimony reported by the auditor, OCGA § 9-7-18, and the jury is required to find “for or against each exception submitted, seriatim.” OCGA § 9-7-20.

The filing of a document which defendant “treated” as his exceptions is not sufficient for these purposes. Beck v. Cobb County, supra at 811, involved proceedings under the special statutory proceeding for condemnation, which is similar to the auditor statute. There, the condemnees raised issues concerning the county’s power to take the property, but “subsequent to the entry of the award of the special master and prior to the entry of the judgment of the trial court vesting title in the county pursuant to the special master’s award, the only action taken by appellants was the filing of what can only be denominated a notice of appeal to a jury. ... At no time did appellants file specific exceptions to the award of the special master in order to preserve their right to have the superior court pass upon their claims. . . .”

The response filed by defendant likewise does not fulfill the purpose of the exceptions required by Chapter 7, and the trial court’s failure to treat them as such was not error. It likewise follows that the court’s denial of defendant’s motion to amend this document was not error, because it did not perform the office of the requisite exceptions in the first place. It also follows that the denial of the motion to reconsider was not error, the initial determination having been correct.

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Cite This Page — Counsel Stack

Bluebook (online)
357 S.E.2d 273, 182 Ga. App. 831, 1987 Ga. App. LEXIS 1846, Counsel Stack Legal Research, https://law.counselstack.com/opinion/atwood-v-sipple-gactapp-1987.