OP ALA, Justice.
This public-law controversy presents three questions, the first two of which are disposi-tive of the appeal: (1) Does the Governmental Tort Claims Act [GTCA]1 shield faculty physicians, student physicians and medical-school interns — who are either teaching or participating in a graduate medical education program at Oklahoma Memorial Hospital [OMH] — from tort liability to a patient for negligence in providing medical or surgical services? (2) Did the agency’s post-notice request for additional information to be supplied about the claim, followed by the claimants’ timely submission of supplemental data, extend the statutorily-prescribed time for the government’s undisturbed consideration of the tort claim — -the 90-day bar during which no suit may be filed?2 and (3) Did the trial court err in giving summary judgment to the defendant physicians and in dismissing the suit against OMH? We answer the first question in the negative, both the second and third in the affirmative, and remand the cause for further proceedings not inconsistent with this opinion.
I
THE ANATOMY OF LITIGATION
Rosemary Williams [Williams] died on September 23, 1991 from complications of a bone marrow transplant procedure performed at OMH.3 In the course of a two-step procedure administered to her,4 the tip of a central venous “Hickman catheter”5 lacerated Williams’ vena cava superior,6 producing death-dealing hemorrhage.
The medical treatment in question was administered by four resident physicians— Drs. Thomas Ingmire, Sherri Duriea, Timothy Hepner and John Raunikar — and a resident intern, Dr. Robert Parham [collectively called students or student physicians]. These five individuals were participating in a graduate medical education program at [459]*459the University of OHahoma Health Sciences Center [OUHSC].7 Drs. George Selby, Robin Elwood, Donald Carter and Randy Eichner [faculty physicians] supervised and instructed the five student physicians regarding Williams’ treatment.
The next of kin and co-administrators of Williams’ estate [collectively called claimants or plaintiffs] notified OMH of their wrongful death claim by letter that was received December 9, 1991. At some point later, claimants were contacted by the Risk Management Division [Division] of the Office of Public Affairs and requested to supplement their notice by submitting a “Claimant’s Report” form. They completed the form and sent it to the Division on January S, 1992. On September 17, 1992 the claimants commenced this wrongful death action against the five student physicians (Drs. Ingmire, Durica, Hepner, Raunikar, and Parham), the four faculty physicians (Drs. Selby, Elwood, Carter, and Eichner), OMH, and three other defendants.8
The trial court’s order (filed January 25, 1993) dismissed with prejudice the claim against OMH as time-barred.9 On April 26 of that year the trial court gave summary judgment to the faculty10 and student11 physicians by two journal entries. The trial court’s summary relief was grounded on GTCA-conferred immunity from tort liability.12 The trial court concluded that all these defendants, when rendering medical services to Williams, were either engaged in teaching and performing administrative duties or were participating as students in an education program at OUHSC.13 The plaintiffs, who voluntarily dismissed below their suit against the remaining defendants in the case,14 timely appeal for review of (a) their OMH claim’s dismissal and of (b) the two summary judg[460]*460ment entries giving victory to the nine (student and faculty) physicians.15
II
THE GTCA DOES NOT CONFER IMMUNITY UPON A PHYSICIAN FOR NEGLIGENCE OCCURRING IN THE DELIVERY OF HEALTH-CARE SERVICES
This court’s pronouncement in Anderson v. Eichner16 is dispositive of all the issues pressed by the defendant physicians for the summary rulings’ affirmance.17 Anderson, which construes the 1986 and 1989 versions of the GTCA, holds that faculty physicians engaged in teaching or in administrative duties (and resident physicians as well as interns participating in a graduate medical education program) are employees of the state who, while on duty, are deemed acting within the scope of their employment except when they are practicing medicine.18 In short, the purview of protection from liability created by the GTCA19 does not encompass the practice of the healing art by providing medical or surgical services to patients.20
Anderson applies with equal force to the statutory scheme in effect when the alleged injuries occurred in this case — September 23, 1991. We know of no post-1989 amendment of the GTCA — made effective be[461]*461fore the critical date in 1991 — whose terms abrogate Anderson’s teachings in whole or in part, and none has been urged in the briefs.
Under the authority and rationale of Anderson, summary judgment entries for all the defendant physicians must hence be reversed. We so hold. This part of today’s opinion (Part II) disposes only of summary judgment for the faculty and student physicians. The remainder of our pronouncement will address itself to the dismissal of the plaintiffs’ claim against OMH.
Ill
A CLAIMANT’S COMPLETED SUBMISSION OF THE EARLIER TIMELY CLAIM’S NOTICE, MADE AT THE GOVERNMENT’S REQUEST AND WITHIN A REASONABLE OR STATED TIME, OPERATES TO TRIGGER A NEW STATUTORY 90-DAY BAR FOR CONSIDERATION OF THE CLAIM UNDISTURBED BY SUIT
A.
OMH pressed below for its dismissal from the suit on the sole ground that the plaintiffs’ malpractice action was time-barred when brought.21 According to OMH, (a) its request for more information had absolutely no legal effect upon the length of the 90-day bar prescribed by 51 O.S.1991 § 157(A)22 for consideration of the claim undisturbed by litigation, (b) the statutory bar of suit, which started to run when OMH received the claimants’ initial notice (December 9, 1991), expired on March 9, 1992, and (c) the terminal date for commencing an action on the claim — 180 days following March 9 — fell on September 8, 1992, several days before this suit was brought on September 17, 1992. The plaintiffs, on the other hand, take the position that when the government sought more information the time stopped running until the desired data was timely supplied. While OMH wants the 90-day period counted from December 9, 1991 (the day it received the first notice of the tort claim), the plaintiffs insist that January 3,1992 (the day they supplied the requested supplemental information) should be deemed to have started the 90-day interval. According to the plaintiffs, the action (filed September 17, 1992)
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OP ALA, Justice.
This public-law controversy presents three questions, the first two of which are disposi-tive of the appeal: (1) Does the Governmental Tort Claims Act [GTCA]1 shield faculty physicians, student physicians and medical-school interns — who are either teaching or participating in a graduate medical education program at Oklahoma Memorial Hospital [OMH] — from tort liability to a patient for negligence in providing medical or surgical services? (2) Did the agency’s post-notice request for additional information to be supplied about the claim, followed by the claimants’ timely submission of supplemental data, extend the statutorily-prescribed time for the government’s undisturbed consideration of the tort claim — -the 90-day bar during which no suit may be filed?2 and (3) Did the trial court err in giving summary judgment to the defendant physicians and in dismissing the suit against OMH? We answer the first question in the negative, both the second and third in the affirmative, and remand the cause for further proceedings not inconsistent with this opinion.
I
THE ANATOMY OF LITIGATION
Rosemary Williams [Williams] died on September 23, 1991 from complications of a bone marrow transplant procedure performed at OMH.3 In the course of a two-step procedure administered to her,4 the tip of a central venous “Hickman catheter”5 lacerated Williams’ vena cava superior,6 producing death-dealing hemorrhage.
The medical treatment in question was administered by four resident physicians— Drs. Thomas Ingmire, Sherri Duriea, Timothy Hepner and John Raunikar — and a resident intern, Dr. Robert Parham [collectively called students or student physicians]. These five individuals were participating in a graduate medical education program at [459]*459the University of OHahoma Health Sciences Center [OUHSC].7 Drs. George Selby, Robin Elwood, Donald Carter and Randy Eichner [faculty physicians] supervised and instructed the five student physicians regarding Williams’ treatment.
The next of kin and co-administrators of Williams’ estate [collectively called claimants or plaintiffs] notified OMH of their wrongful death claim by letter that was received December 9, 1991. At some point later, claimants were contacted by the Risk Management Division [Division] of the Office of Public Affairs and requested to supplement their notice by submitting a “Claimant’s Report” form. They completed the form and sent it to the Division on January S, 1992. On September 17, 1992 the claimants commenced this wrongful death action against the five student physicians (Drs. Ingmire, Durica, Hepner, Raunikar, and Parham), the four faculty physicians (Drs. Selby, Elwood, Carter, and Eichner), OMH, and three other defendants.8
The trial court’s order (filed January 25, 1993) dismissed with prejudice the claim against OMH as time-barred.9 On April 26 of that year the trial court gave summary judgment to the faculty10 and student11 physicians by two journal entries. The trial court’s summary relief was grounded on GTCA-conferred immunity from tort liability.12 The trial court concluded that all these defendants, when rendering medical services to Williams, were either engaged in teaching and performing administrative duties or were participating as students in an education program at OUHSC.13 The plaintiffs, who voluntarily dismissed below their suit against the remaining defendants in the case,14 timely appeal for review of (a) their OMH claim’s dismissal and of (b) the two summary judg[460]*460ment entries giving victory to the nine (student and faculty) physicians.15
II
THE GTCA DOES NOT CONFER IMMUNITY UPON A PHYSICIAN FOR NEGLIGENCE OCCURRING IN THE DELIVERY OF HEALTH-CARE SERVICES
This court’s pronouncement in Anderson v. Eichner16 is dispositive of all the issues pressed by the defendant physicians for the summary rulings’ affirmance.17 Anderson, which construes the 1986 and 1989 versions of the GTCA, holds that faculty physicians engaged in teaching or in administrative duties (and resident physicians as well as interns participating in a graduate medical education program) are employees of the state who, while on duty, are deemed acting within the scope of their employment except when they are practicing medicine.18 In short, the purview of protection from liability created by the GTCA19 does not encompass the practice of the healing art by providing medical or surgical services to patients.20
Anderson applies with equal force to the statutory scheme in effect when the alleged injuries occurred in this case — September 23, 1991. We know of no post-1989 amendment of the GTCA — made effective be[461]*461fore the critical date in 1991 — whose terms abrogate Anderson’s teachings in whole or in part, and none has been urged in the briefs.
Under the authority and rationale of Anderson, summary judgment entries for all the defendant physicians must hence be reversed. We so hold. This part of today’s opinion (Part II) disposes only of summary judgment for the faculty and student physicians. The remainder of our pronouncement will address itself to the dismissal of the plaintiffs’ claim against OMH.
Ill
A CLAIMANT’S COMPLETED SUBMISSION OF THE EARLIER TIMELY CLAIM’S NOTICE, MADE AT THE GOVERNMENT’S REQUEST AND WITHIN A REASONABLE OR STATED TIME, OPERATES TO TRIGGER A NEW STATUTORY 90-DAY BAR FOR CONSIDERATION OF THE CLAIM UNDISTURBED BY SUIT
A.
OMH pressed below for its dismissal from the suit on the sole ground that the plaintiffs’ malpractice action was time-barred when brought.21 According to OMH, (a) its request for more information had absolutely no legal effect upon the length of the 90-day bar prescribed by 51 O.S.1991 § 157(A)22 for consideration of the claim undisturbed by litigation, (b) the statutory bar of suit, which started to run when OMH received the claimants’ initial notice (December 9, 1991), expired on March 9, 1992, and (c) the terminal date for commencing an action on the claim — 180 days following March 9 — fell on September 8, 1992, several days before this suit was brought on September 17, 1992. The plaintiffs, on the other hand, take the position that when the government sought more information the time stopped running until the desired data was timely supplied. While OMH wants the 90-day period counted from December 9, 1991 (the day it received the first notice of the tort claim), the plaintiffs insist that January 3,1992 (the day they supplied the requested supplemental information) should be deemed to have started the 90-day interval. According to the plaintiffs, the action (filed September 17, 1992) was timely because if the 90-day time bar is counted from January 3, the 180-day period for filing a claim did not run out until September 29, 1992.23
For the reasons to be stated we hold that a claimant — who, while pressing for statutory tort redress against a public agency, responds within a reasonable or stated time to (or gives the reason for not complying with) a government’s post-notice request for more information about the claim — has in law a legitimate expectation to assume that (1) the agency request is made in good-faith pursuit of necessary information and not for the purpose of lulling the claimant into a sense of false security, (2) the perceived deficiency to be supplied in response to the request will be treated as submission of a completed claim’s notice that is to be considered anew, and (3) the new submission’s processing will take the full statutory time of 90 days during which the investigation and [462]*462evaluation must stand undisturbed by litigation.
B.
In every public entity’s post-notice request for more information dwells its implied declaration that the earlier notice is to be regarded as deficient (or otherwise unfit for consideration) and is hence, at best, to be treated as only an inchoate filing. The mere transmission of such request is patently consistent with the notion that the initial notice’s content is viewed as legally clouded. A post-notice request for more complete information can never logically be equated with the government’s silence, i.e. with its lack of response which the statute requires to be taken as the claim’s denial.24 Rather, it must be regarded as clearly incompatible not only with the notion of denial — this so because no rational agency official would press to know more about a patently unmeritorious claim— but also with the initial submission’s continued consideration. No prudent person would believe that risk managers will continue to process notice they deem deficient or one they view as having no semblance of validity. In short, an agency’s post-notice request to be better informed about the claim at hand negates the efficacy of the earlier notice and eloquently signals an end of the initially triggered cycle of consideration undisturbed by litigation.
The time of the completed submission clearly must be viewed as triggering anew the 90-day bar. A government-declared deficiency in the first notice and the agency’s expressed interest in being better informed about the claim erase the time that may have run and invite the transmission of a completed (or consummated) notice. Once a complete submission has been timely effected, both the government and the claimant may reasonably expect to benefit from a full 90-day period prescribed by law for investigation and processing to take place undisturbed by forensic combat. In short, the 90-day bar of suit should be regarded as running from the timely filing of a completed claim’s notice made at the government’s request, rather than from the earlier receipt of one found deficient or otherwise perceived as unsuitable for processing.
C.
The GTCA’s text neither authorizes25 the government to seek nor prohibits it from inviting a needed amendment of the claim’s notice beyond the quantum of data required to be furnished by 51 O.S.1991 § 156.26 Public policy would generally favor amendments. They provide unquestionable assistance in effective management and processing of claims.27 A government’s post-notice request for additional information raises a strong im[463]*463plication that (a) omission of some critical data prevents a meaningful consideration of the claim’s notice in the form initially transmitted and (b) more time is needed for a minimally adequate investigation and evaluation of the claimant’s demand. Legitimate state interest is furthered by a thorough pre-suit scrutiny of the claim’s notice in order to protect the public from unwarranted demands as well as to advance for settlement those claims which have merit and clearly warrant negotiation in advance of litigation.28 It is this public-interest element which convinces us today that an agency’s post-notice request for additional information must be regarded as impressed with serious legal effect. The request cannot be cavalierly dismissed as utterly without consequences upon the then-pending 90-day bar-of-suit interval.
We accordingly hold that when a public entity, after receiving timely notice of a claim, calls for more information, the claimant should cooperate within a reasonable or stated time by supplying the available data requested or by giving a satisfactory reason for not complying with the request. Prompt responses and more complete submissions must be encouraged to prevent premature forensic disputes over claims that, though initially perceived as legally deficient, later unfold themselves as meritorious. During the interval between the request for further information and its timely submission, the then-pending 90-day period — initially triggered by the earlier (perceived as deficient or flawed) notice — must be treated as legally arrested and erased. The time bar will not start running again until the critical information is supplied (within some reasonable or stated time) or the claimant timely explains satisfactorily why this cannot be done.29 Since the effect we ascribe to an agency’s post-notice request for more data is drawn from the government’s perceived need for more time to evaluate the completed information about a claim, today’s rule will neither benefit nor apply to any claimant-initiated (voluntary) submission of additional data.
D.
Extant GTCA jurisprudence, Trent v. Board of County Commissioners,30 Sanchez v. City of Sand Springs,31 and Doe v. Independent School Dist. No. I-89,32 has dealt with some aspects of an agency’s post-notice request for additional information. Although these cases appear to militate against today’s result, we find them clearly distinguishable on the point sub judice when viewed in light of the record in this case. The Trent claimants utterly failed to respond to the government’s request for further information; in Sanchez, the data was not tendered until some five months later; and in Doe, there is no indication in the opinion’s text that the claimant ever responded to the request. In contrast to these cases, the claimants in the present case mailed to OMH the additional information on January 3,1992, less than one month from the date of their initial notice of claim.
In support of the nisi prius dismissal OMH points out that the Attorney General, upon receiving a copy of the initial notice of claim, informed the claimants by letter that their “right to sue accrues on March 10, [464]*4641992.” The effect to be given the government’s post-notice request for more information and to the claimants’ timely response presents a pure question of law. No act, omission or statement of either party may alter the legal consequences that attach and are to be declared.33 The statutory time trigger for the 90-day bar of suit against a public tortfeasor is a law-driven mechanism which is beyond the reach of human tinkering.34
Lastly, we must observe that a public agency is not without means to protect itself from an open-ended effect which may flow from an initial notice (found deficient) that is to be supplemented at the agency’s request. It may (a) direct that supplemental information must be received on or before a stated date and (b) make it clear that if neither submission nor satisfactory explanation is timely made, the deficient claim’s notice will stand denied at the end of the initially triggered 90-day period or at some other date that follows the deadline for submission of supplemental data.
IV
OMH’S SUMMARY JUDGMENT QUEST
OMH urges that if the nisi prius order of dismissal were to be reversed, this court should direct that on remand summary judgment be entered in the hospital’s favor because the plaintiffs’ claim may not legally be rested on the negligence of the defendant ■physicians.35 This argument invokes the terms of 51 O.S.1991 § 152(5), which provide that “in no event shall the state be held liable for the tortious conduct of any physician, resident physician or intern while practicing medicine or providing medical treatment to patients.”36
An appellate court will not make first-instance determinations of disputed law or fact issues. That is the trial court’s function in every case — whether in law, equity or on appeal from an administrative body.37 Since the legal effect of § 152(5) had neither been raised nor assessed at nisi prius, we cannot craft an initial decision upon an untried question and then direct that it be followed on remand. OMH’s immunity-based challenge must first be tendered to and resolved by the trial court.
A direction from this court that summary judgment for OMH follow our remand would be procedurally inappropriate for yet another reason. OMH has lodged no counter-petition in error for relief from the [465]*465claim’s dismissal as time-barred. A successful party below who did not bring an appeal, counter- or cross-appeal may, as ap-pellee, argue only those errors which, if rectified, would support the correctness of the trial court’s judgment.38 OMH stands here in a posture restricted to the defense of the relief it was granted below39 — that of dismissal. The result which OMH presses in its brief would substitute (for the trial court dismissal’s affirmance) a vastly different form of corrective relief — a summary judgment based on the state hospital’s immunity from civil liability for negligence of physicians practising on its staff.
Even if OMH had, by counter-appeal, urged error in the trial court’s failure to enter summary judgment, the record would still be deficient. It does not show that OMH had actually tendered below its summary judgment plea as an alternative to the dismissal quest (based on the statutory time bar) and that the former relief (by summary judgment based on immunity) was denied in the nisi prius exercise of judicial preference for the claim’s dismissal as time-barred.
In sum, OMH is not asking that we affirm a favorable nisi prius disposition on some theory different from that invoked below.40 Its plea is rather for a different judgment from that entered below — one that is to be directed sans support in the record or in the trial court’s analysis of the case based on the materials tendered to it for decision.41
V
SUMMARY
The purview of protection from liability affordable by the GTCA does not encompass the practice of the healing art by providing medical or surgical services to patients. The claim against the defendant physicians arose from their treatment of Williams during a bone marrow transplant procedure.
The procedures of the GTCA are not applicable to the claim against the defendant physicians because the plaintiffs’ action was intended to redress a private tort — not to cast any obligation on the State. Plaintiffs look solely to the individual civil liability of the defendant physicians. The trial court clearly erred in giving summary relief rested on the physicians’ perceived GTCA-conferred immunity.
When a public entity requests more information after receiving initial notice of a claim, the claimant should cooperate by responding within a reasonable or stated time or by giving a satisfactory reason for not complying with the request. Upon the complete submission of notice, the claim must be given afresh consideration. During the period between the agency’s post-notice request and the data’s timely submission, the 90-day bar, triggered by the initial notice (perceived as deficient or flawed), must be treat[466]*466ed as erased and arrested. It will not start running again until the materials sought are timely supplied or a satisfactory explanation is timely made for not complying with the request. Because we hold that the claimants’ timely provision of the requested post-notice information on January 3, 1992 marked the new beginning for the 90-day bar-of-suit period, the September 17, 1992 filing of this action was timely.
Appellate courts do not make initial determinations of disputed law or fact issues. One who did not timely appeal, counter-, or cross-appeal may not seek corrective relief from a nisi prius judgment or final order. A party who brings no petition in error stands on appeal in a posture restricted to the defense of the relief granted below, but nothing will prevent that party from arguing in support of the nisi prius decision’s correctness.
The trial court’s summary judgment entries and its dismissal order are reversed; the cause is remanded for further proceedings not inconsistent with this pronouncement.
WILSON, C.J., KAUGER, V.C.J., and LAVENDER and SUMMERS, JJ., concur.
SIMMS and HARGRAVE, JJ., concur in part and dissent in part.
HODGES and WATT, JJ., dissent.