Barton v. Snellson

735 S.W.2d 160, 1987 Mo. App. LEXIS 4415
CourtMissouri Court of Appeals
DecidedJuly 21, 1987
Docket50748
StatusPublished
Cited by29 cases

This text of 735 S.W.2d 160 (Barton v. Snellson) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Barton v. Snellson, 735 S.W.2d 160, 1987 Mo. App. LEXIS 4415 (Mo. Ct. App. 1987).

Opinion

SATZ, Presiding Judge.

Plaintiffs, Clifford and Goldie Barton (Bartons), sued defendant, Richard Snell-son (Snellson), for personal injuries. After a hearing, the trial court granted Snellson’s motion to enforce a settlement agreement *161 and dismissed the Bartons’ action. The Bartons appeal. We affirm.

In Missouri, we have no specifically defined process for enforcing an agreement settling a pending case. One would think the process should be no different than enforcing a release or settlement agreement reached prior to the filing of the action. In the latter instance, the release or settlement agreement is simply asserted as an affirmative defense. See, e.g. Winter v. Elder, 492 S.W.2d 146, 148 (Mo.App.1973). However, this Court has held a settlement agreement reached in a pending case may be enforced by a motion filed in that case. Leffler v. Bi-State Development Agency, 612 S.W.2d 835, 836 (Mo.App.1981). Wenneker v. Frager, 448 S.W.2d 932 (Mo.App.1969); see also, Southwestern Bell Tel. Co. v. Roussin, 534 S.W.2d 273, 276 (Mo.App.1976).

Following this procedure, the trial court here heard testimony and acted as a fact-finder on Snellson’s motion to enforce the settlement agreement; in effect, the action below was a court tried case on the merits of Snellson’s motion. Our review, therefore, is the same as in other court tried cases and is governed by the well-known principles of review stated in Murphy v. Carron, 536 S.W.2d 30, 32 (Mo. bane 1976).

So viewed, the record here shows that, in July 1979, the Bartons and Snellson were involved in an automobile accident. The Bartons hired an attorney, A.L. Tidlund (Tidlund), to represent them in a possible lawsuit arising out of the accident. Tid-lund and Gerald Hogg (Hogg), an employee of Snellson’s insurance carrier, negotiated from October 1979 to July, 1984, attempting to settle the Bartons’ claim. No agreement was reached.

In July, 1984, it appeared the case would be tried rather than settled. Tidlund, with the Bartons’ consent, asked another attorney, Nile Griffiths (Griffiths), to be his co-counsel. Griffiths agreed, and, from late July 1984 to August 30,1984, Griffiths negotiated with Hogg. According to' Hogg, Griffiths “settled the case” for $3,000 on August 30, 1984. The Bartons, however, personally rejected the $3,000 offer and filed suit against Snellson.

Snellson filed a motion to dismiss the Bartons’ petition and to enforce the alleged settlement agreement. At the hearing on the motion, Hogg testified the property damages were settled for $2500, and this sum was paid to the Bartons on July 1, 1979. In October, 1979, Hogg and Tidlund began negotiating the settlement of the Bartons’ claims for personal injuries. Tid-lund demanded $4500.00; Hogg countered with $1560.00; Tidlund reduced his demand to $3000.00; and Hogg countered with $1750.00. Tidlund rejected this and said he would file suit. Subsequently, in July, 1984, Hogg received a letter from Griffiths stating he would be acting as Tidlund’s co-counsel. "In August, Hogg offered Grif-fiths $2000.00, and, according to Hogg, Griffiths said “he was tied in with the previous demand of $3,000.00”. Hogg offered them $2500.00, and Hogg said, on August 30, 1984, he “concluded the matter” for $3,000.00.

Hogg never asked Griffiths or Tidlund whether either one had authority to settle the case for the Bartons. He just “presumed” they were “representing their client” and “presumed” Griffiths had authority to settle the case for $3,000. However, Clifford Barton, Tidlund and Griffiths all testified the Bartons never gave either Tidlund or Griffiths express authority to settle the case, for $3,000.00 or for any amount. Based upon this evidence, the trial court entered an order enforcing the settlement agreement for $3,000.00 and dismissed the Bartons’ petition. This appeal followed.

The trial court could have chosen to disbelieve the testimony of Clifford Barton, Tidlund and Griffiths. This simply means the Bartons failed to show their attorneys were expressly prohibited from settling their claims without their authority. This leaves Hogg’s testimony which, if believed, shows Hogg never asked Tidlund or Grif-fiths whether either was authorized to settle the claims, and neither Tidlund or Grif-fiths ever expressly volunteered this information. Hogg’s testimony does show, *162 however, that both Tidlund and Griffiths did negotiate with him about the settlement of the Bartons’ claims. Thus, the narrow issue here, is whether the negotiations of Tidlund and Griffiths bound the Bartons, or, more specifically, whether Tidlund and Griffiths, as agents, had “authority” to bind the Bartons, their principals, to the settlement as understood by Hogg.

The general principles defining the authority of an agent are easy to state. Express authority is usually created by the principal telling his agent what to do in express terms. See, e.g., Hyken v. Travelers Ins. Co., 678 S.W.2d 454, 457 (Mo.App.1984). Restatement (Second) of Agency § 7, Comments a and c (1958). 1 Implied authority consists of those powers of the agent implied by or inferred from the authority expressly granted; i.e., those powers incidental and necessary to carry out the express authority. E.g. Mark Century Corp. v. Tiger Broadcasting Co., 509 S.W.2d 737, 738 (Mo.App.1974). 2 Thus, to determine the existence and scope of express and implied authority, the focus is primarily on the principal and agent.

Apparent authority, however, differs both in concept and focus. To determine the existence and scope of apparent authority, the focus is on a third person. Apparent authority is created by the conduct of the principal which causes a third person reasonably to believe that another has the authority to act for the principal. See, e.g. Wynn v. McMahon Ford Co., 414 S.W.2d 330, 336 (Mo.App.1967). See Restatement (Second) of Agency, § 8, Comment a. (1986).

The general principles defining the authority of an attorney, as an agent, for his client, the principal, track these principles. We, in Missouri, seem to have adopted these general principles. In doing so, our courts have stated and held that, in processing a case in court, an attorney’s implied authority is limited to procedural matters. It does not extend to the surrender of any of the client’s substantive rights. See, e.g. Robinson v. Deweese, 379 S.W.2d 831, 836 (Mo.App.1964); Sudekum v.

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Bluebook (online)
735 S.W.2d 160, 1987 Mo. App. LEXIS 4415, Counsel Stack Legal Research, https://law.counselstack.com/opinion/barton-v-snellson-moctapp-1987.