Board of Trustees v. John K. Ruff, Inc.

366 A.2d 360, 278 Md. 580, 1976 Md. LEXIS 658
CourtCourt of Appeals of Maryland
DecidedNovember 29, 1976
Docket[No. 74, September Term, 1976.]
StatusPublished
Cited by81 cases

This text of 366 A.2d 360 (Board of Trustees v. John K. Ruff, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals of Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Board of Trustees v. John K. Ruff, Inc., 366 A.2d 360, 278 Md. 580, 1976 Md. LEXIS 658 (Md. 1976).

Opinion

Orth, J.,

delivered the opinion of the Court.

This appeal, before us by grant of writ of certiorari to the Court of Special Appeals, wherein it was pending argument and decision, is in an unusual posture. The final judgment from which the appeal was taken was an order of the Circuit Court for Howard County entered in an action under the Uniform Declaratory Judgments Act brought by John K. Ruff, Inc. (Ruff) against the Board of Trustees of Howard *583 Community College (the Board). Code (1974), Courts and Judicial Proceedings Article § 3-411. Ruff sought a declaration of the rights of the parties pertaining to the payment of sales tax under a written contract dated 28 June 1974 between it and the Board whereby Ruff was the general contractor for the construction of a facility for the Board. The court’s order, issued upon grant of motion for summary judgment, declared that the Board “... shall reimburse [Ruff] for all sales taxes due and to become due for all materials purchased in furtherance of the contract between the parties, including all materials purchased by subcontractors engaged in said project.” Costs were assessed to the Board. The appeal is in an unusual posture because its crux is a point which was not raised, tried or decided below and was not presented by the parties on appeal. That point concerns the doctrine of sovereign immunity, or as it is often alternatively referred to, governmental immunity. 1

It is of no moment that the matter of sovereign imihunity was not raised below by the pleadings or otherwise. We made clear in Bd. of Education v. Alcrymat Corp., 258 Md. 508, 516, 266 A. 2d 349, 353 (1970) that “... the law is well established that counsel for the State or one of its agencies may not either by affirmative action or by failure to plead the defense, waive the defense of governmental immunity in the absence of express statutory authorization, or by necessary implication from a statute....” 2 We must consider whether the doctrine of sovereign immunity is applicable in this case even though it was not previously raised by the parties.

*584 I

Once venerated, recently vilified, and presently substantially limited, the doctrine of sovereign immunity has been long recognized by this Court. We have applied the doctrine for over a century, and a compendium of our discussions regarding it, from State v. B. & O. R. R. Co., 34 Md. 344 (1871), aff'd, 21 Wall. 456 (1875) to Calvert Associates v. Department, 277 Md. 372, 357 A. 2d 839 (1976), was set out in American Structures v. City of Balto., 278 Md. 356, 359, 364 A. 2d 55, 56 (1976):

“If an action is brought for a money judgment in contract or in tort against the State or an agency of the State without the State’s consent, actual or implied, it must be defended on the ground of sovereign immunity, which cannot be waived unless funds had been appropriated for the purpose or the agency can provide funds by taxation....”

The frequent and increasingly vigorous attacks upon the doctrine have been no more persistent than our refusal to abrogate or modify it by judicial fiat. We have consistently adhered to the view that “... it is desirable and in the public interest that any change in the doctrine of sovereign immunity should come from the legislative branch of the State Government rather than from the judicial branch inasmuch as there are fiscal considerations, administrative difficulties and other problems in balancing the rights of the State and its agencies with new possible rights of the individual citizens, which can far better be considered and resolved by the legislative branch than by the judiciary of the State.” Jekofsky v. State Roads Comm’n, 264 Md. 471, 474, 287 A. 2d 40, 42 (1972). 3 In Calvert Associates v. Department, supra, 277 Md. at 381, 357 A. 2d at 843, we found our view strengthened by the fact that the General Assembly in its 1974 session passed House Bill No. 5, which would have killed the doctrine with respect to contract actions. The Governor, however, kept it alive by his veto of *585 the Bill. Such legislation was again enacted by ch. 450, Acts 1976, and this time it was approved to take effect 1 July 1976. It provided that in the absence of a contrary provision, neither the State, its officers, departments, agencies, boards and commissions, or other unit of State government, nor any municipal corporation, or unit of municipal government, nor any county or unit of county government may raise the defense of sovereign immunity in an action based on a written contract brought within one year after the claim arose or the contract was performed, whichever is later. The Act, in any event, does not affect the case sub judice. Section 6 of ch. 450 provides that the Act shall not apply to any action based on a contract entered into or executed prior to 1 July 1976.

As far as community colleges are concerned, the doctrine of sovereign immunity has also been partially waived by ch. 549, Acts 1971, which as amended by ch. 528, Acts 1972, and now codified as Code (1957,1975 Repl. Vol.) Art. 77A, § 10A, provides that the board of trustees of such colleges:

“[S]hall carry comprehensive liability insurance to protect the board, its agents and employees, and any agents and employees of any college under its jurisdiction....
Nothing in this section shall be construed as affecting the right of the various boards of trustees, on their own behalf, from raising the defense of sovereign immunity to any amount in excess of the limit of the policy or in excess of one hundred thousand dollars ($100,000) in the case of self-insurance.”

That law has no application to this case either. As we observed in Charles E. Brohawn & Bros. v. Board, 269 Md. 164, 171-172, 304 A. 2d 819, 823 (1973), “[i]t affects only those claims which would be covered by such a ‘comprehensive liability insurance’ policy and, to the extent of the policy, provides a fund from which these can be paid.”

*586 From what we have said thus far, it is manifest that the doctrine of sovereign immunity may still be viable with respect to the contract which is the subject of the action before us. To resolve whether it is applicable to the contract at hand, we must (1) decide if the Board is an agency of the State. If the Board is an agency of the State, the doctrine would be applicable (2) unless sovereign immunity had been waived by statute, expressly or by necessary inference therefrom. Even if sovereign immunity had been so waived, the doctrine would nevertheless be applicable (3) if no funds were available to the Board for satisfaction of a judgment against it on the contract, and no power was reposed in the Board to raise such funds by taxation.

(1)

Over half a century ago this Court observed in Williams v. Fitzhugh, 147 Md. 384, 386, 128 A. 137, 137-8 (1925):

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Bluebook (online)
366 A.2d 360, 278 Md. 580, 1976 Md. LEXIS 658, Counsel Stack Legal Research, https://law.counselstack.com/opinion/board-of-trustees-v-john-k-ruff-inc-md-1976.