Burks v. Peck, Shaffer & Williams

671 N.E.2d 1023, 109 Ohio App. 3d 1
CourtOhio Court of Appeals
DecidedJanuary 29, 1996
DocketNo. 68809.
StatusPublished
Cited by4 cases

This text of 671 N.E.2d 1023 (Burks v. Peck, Shaffer & Williams) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Burks v. Peck, Shaffer & Williams, 671 N.E.2d 1023, 109 Ohio App. 3d 1 (Ohio Ct. App. 1996).

Opinion

James D. Sweeney, Judge.

Plaintiffs-appellants and cross-appellees Walter A. Burks, Burks Development Corporation, Beehive Limited Partnership and Doan Limited Partnership appeal from the trial court granting a motion to dismiss on the first amended complaint pursuant to Civ.R. 12(B)(6) in favor of the following defendants-appellees and cross-appellants: (1) the law firm of Peck, Shaffer & Williams (“Peck”); (2) attorney Mark D. Blocher (“Blocher”), who was employed at the time of the allegedly tortious acts by Peck; (3) the law firm of Gold, Rotatori, Schwartz & Gibbons Co., L.P.A. (“Gold”); (4) attorney Robert Ranallo (“Ranallo”), who was employed at the time of the allegedly tortious acts by Gold; and (5) the law firm of Rogers, Horton, Forbes & Teamor (“Rogers”). Plaintiffs’ complaint for legal malpractice, which alleges that the defendants’ negligence proximately caused plaintiffs’ subsequent indictment, is admitted by the parties to be a case of first *3 impression in Ohio. The cross-appeals argue that the trial court erred in denying summary judgment on the issue of whether plaintiffs’ cause of action was barred by the applicable statute of limitations for legal malpractice. For the reasons adduced below, we affirm in part and reverse in part, and remand the cause for further proceedings.

A review of the record on appeal indicates that the relationship between the plaintiffs and defendants originated from the plaintiffs’ attempt in the early to mid-1980s to purchase the Doan and Beehive public school buildings in the city of Cleveland and rehabilitate and convert those buildings for use as senior citizen housing, using Section 8 rent subsidy payments through the United States Department of Housing and Urban Development (“HUD”) to ensure repayment of construction bonds issued by the Ohio Housing Finance Agency (“OHFA”). Plaintiffs used the legal services of the defendants to plan, structure and finance the bond issuance through OHFA.

In October 1983, plaintiffs applied to OHFA for the financing bonds. In February 1984, following a public hearing, OHFA approved the issuance of the requested bonds.

In December 1984, plaintiffs, by their own deposition testimony, became aware of an age-related conflict between state and federal restrictions relating to the issuance of OHFA bonds and the class of eligible recipients of Section 8 payments. At the time, Ohio law restricted OHFA bond proceeds to the financing of housing only for persons sixty-two years of age or older, while HUD regulations allowed Section 8 rent subsidy payment recipients to be elderly citizens, which included disabled and handicapped individuals. Therefore, the financing scheme using Section 8 payments was in direct conflict with Ohio law.

OHFA issued the original bond in February 1985 in the amount of $2,325,000. A supplemental bond issuance was made by OHFA in June 1986 in the amount of $215,000.

On May 14, 1991, plaintiffs were indicted by the Cuyahoga County Grand Jury for, as related to this appeal, the offenses of grand theft (R.C. 2913.02) and securing writings by deception (R.C. 2913.43) surrounding the issuance of the bonds. As alleged in the first amended complaint, the age conflict was at the heart of these offenses because the OHFA bond proceeds were used beyond the scope of the authority given by the state of Ohio. On November 21, 1991, the plaintiffs were acquitted of these two offenses which related to the age conflict. 1

*4 On May 12, 1992, plaintiffs filed the original complaint herein against the defendants, alleging legal malpractice in connection with their advice, or lack thereof, on the age-conflict issue as it relates to the'bond issuance which allegedly caused the client to be indicted. All the defendants named previously filed answers to this complaint, asserting the affirmative defense that the action was barred by the statute of limitations.

On January 20, 1993, the parties stipulated in the original case management order that discovery would proceed only on issues relevant to the applicability of the statute of limitations, and that discovery on other issues would proceed, if at all, after the trial court rules on the subsequent motions for summary judgment on the statute of limitations defense.

Defendants Peck and Blocher filed a joint motion for summary judgment on the statute of limitations defense on August 16, 1993. On August 18, 1993, defendant Rogers filed its motion for summary judgment on the statute of limitations defense. On August 20, 1993, defendants Gold and Ranallo filed a joint motion for summary judgment on the statute of limitations defense.

On November 1, 1993, pursuant to a joint motion by the parties, the trial court modified the original case management order to allow additional time for discovery to respond to the defendants’ motions for summary judgment on the statute of limitations defense.

Thereafter, the parties increased their motion practice in the trial court. Plaintiffs filed, on January 3, 1994, a brief in opposition to the defendants’ motions for summary judgment on the statute of limitations defense. On January 6, 1994, defendants Gold and Ranallo filed a motion for leave to file a reply brief in support of summary judgment. On January 10, 1994, defendants Peck and Blocher filed a motion for leave to file a reply brief in support of summary judgment. Also on January 10, 1994, plaintiffs filed a brief in opposition to defendants’ leave to file reply briefs and a motion to lift the stay on discovery. On January 11, 1994, defendant Rogers filed a motion for leave to conduct additional discovery and to file a reply brief in support of summary judgment. On January 14, 1994, defendants Peck and Blocher filed a brief in opposition to plaintiffs’ motion to lift the stay of discovery. On January 18, 1994, defendants Gold and Ranallo filed a brief in opposition to plaintiffs’ motion to lift the stay on discovery.

On April 28, 1994, a hearing was conducted by the trial court, at which time plaintiffs were given leave to file an amended complaint as to the legal malpractice counts only.

On June 26, 1994, defendants Peck and Blocher and defendant Rogers filed a motion to dismiss.

*5 On August 15,1994, plaintiffs filed the first amended complaint. This amended pleading was eighty-one pages in length, contained three separate counts against the three separate groups of attorneys, and contained a total of two hundred sixteen numbered paragraphs. On August 29, 1994, prior to answering the amended complaint, defendants Gold and Ranallo filed a motion to dismiss the amended complaint. Plaintiffs filed a brief in opposition to this Gold/Ranallo motion to dismiss on September 8,1994.

On September 12, 1994, defendants Peck and Bloeher filed a motion to apply their previously filed motion to dismiss/for summary judgment to the amended complaint. On September 13, 1994, defendant Rogers filed its motion to dismiss the amended complaint or, in the alternative, for summary judgment on the statute of limitations issue. Plaintiffs filed a brief in opposition to the Peck/Blocher motion on September 22,1994.

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Cite This Page — Counsel Stack

Bluebook (online)
671 N.E.2d 1023, 109 Ohio App. 3d 1, Counsel Stack Legal Research, https://law.counselstack.com/opinion/burks-v-peck-shaffer-williams-ohioctapp-1996.