Byrne Organization, Inc. v. Cantin

147 N.E.2d 465, 16 Ill. App. 2d 31
CourtAppellate Court of Illinois
DecidedFebruary 10, 1958
DocketGen. 47,159
StatusPublished
Cited by4 cases

This text of 147 N.E.2d 465 (Byrne Organization, Inc. v. Cantin) is published on Counsel Stack Legal Research, covering Appellate Court of Illinois primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Byrne Organization, Inc. v. Cantin, 147 N.E.2d 465, 16 Ill. App. 2d 31 (Ill. Ct. App. 1958).

Opinion

JUSTICE ROBSON

delivered the opinion of the court.

This is an appeal from an order denying the appellant the right to intervene in proceedings to vacate a judgment obtained by confession. The, only issue is whether or not the appellant was entitled to intervene as a matter.-of right under Section 26.1 of the Civil Practice Act. (Ill. Rev. Stat., 1957, chap. 110.)

On January 27, 1955, Byrne Organization, Inc., a Delaware corporation, obtained a judgment by confession against Julius B. Goldberg and Hal D. Cantin for $25,850 and costs. The judgment was based upon a guaranty executed by defendants Cantin and Goldberg, and three others, to guarantee the value of certain stock certificates transferred to Byrne Organization, Inc. in payment of the balance due on a building construction contract. Defendants Cantin and Goldberg filed motions to vacate or open the judgment, asserting that the relationship between the other guarantors and the plaintiff, together with the plaintiff’s failure to obtain a judgment against those guarantors, or to make a demand on them, impaired the right of the defendants to contribution and, thus, constituted a good defense on the merits to the plaintiff’s demand. An order was entered opening the judgment and ordering plaintiff to file its reply within thirty days. Plaintiff, Byrne Organization, Inc., filed its reply on August 25, 1955, admitting that the three other parties to the guaranty had executed an agreement to indemnify defendants against the claim upon which the judgment was based. The' reply also set forth in detail that Byrne Organization, Inc. had assigned its judgment and cause of action to Omer W. Schroeder on May 19,1955. Schroeder was one of the three nondefendant parties who had signed the guaranty upon which the judgment was based. On October 5, 1956, leave was granted defendants to file a motion for judgment on the pleadings and continuing the motion until October 10, 1956. The motion was again continued until October 11, 1956. On October 11, 1956, the Neale-Phypers Company, an Ohio corporation and appellant herein, filed a motion to substitute as party plaintiff. That motion set forth that on October 8, • 1956, plaintiff’s assignee, Schroeder, had assigned the judgment in this cause to Neale-Phypers Company. The motion was denied. On November 5,1956, Neale-Pbypers Company filed a petition for leave to intervene under Section 26.1 of tbe Civil Practice Act. Tbe petition was denied on tbe same day and an order entered setting tbe cause for trial on January 7,1957, and continuing defendants’ motion for judgment on the pleadings to that date. Neale-Pbypers Company appeals from that order.

It is the sole contention of the appellant that the trial court erred in denying its petition for leave to intervene. Appellant argues that the representation of its interest by the present plaintiff is inadequate, that a judgment in the cause will be binding upon it, that its application was timely, and that for these reasons it had a right to intervene under Section 26.1 (1) (b) of the Civil Practice Act. The validity of this contention is the only issue presented by this appeal.

The appellant acquired its interest in this action through an assignment to it of the judgment by the assignee of plaintiff. Both parties to this appeal have contrived arguments which indicate a misconception of the provision of the Illinois Civil Practice Act applicable to this situation. They erroneously concede that there is no provision of the Illinois Act comparable in scope and effect to the “transfer of interest” sections of the Federal Rules of Civil Procedure or the Missouri Civil Code. (See 28 U. S. C. Sec. 2072, Rule 25 (c); V. A. M. S. Sec. 507.100.)

Section 54 of our Practice Act provides as follows (S. H. A., ch. 110, sec. 54 (1):

“Change of interest or liability. If by reason of marriage, bankruptcy, assignment, or any other event occurring after the commencement of a cause or proceeding, either before or after judgment, causing a change or transmission of interest or liability, or by reason of any person interested coming into existence after commencement of the action, it becomes necessary or desirable that any person not already a party be before tbe court, or that any person already a party be made party in another capacity, tbe action does not abate, but on motion an order may be entered that tbe proper parties be substituted or added, and that tbe cause or proceeding be carried on with tbe remaining parties and new parties, with or without a change in tbe title of tbe cause.”

Subsection 1 of Section 54 is a revision of Section 54 of tbe 1933 Practice Act. (See Joint Committee Comments, S. H. A., chap. 110, sec. 54.) Tbe 1955 revision of former Section 54 contains no substantive change material to tbe discretionary power of tbe trial court to order a substitution of parties where there has been a transfer of interest or liability after tbe commencement of a cause or proceeding. In tbe instant case, tbe trial court denied tbe motion of Byrne Organization, Inc. and tbe appellant to substitute appellant as plaintiff in this action.

As heretofore stated, plaintiff confessed tbe judgment against defendants, and one month after defendants’ motion to open tbe judgment was allowed plaintiff assigned all its interest in tbe proceeding to Scbroeder. Subsequently, almost fifteen months later, Scbroeder assigned all interest in tbe proceeding to appellant. Both Scbroeder and appellant took tbe judgment at a time when proceedings which could nullify it were pending.

Tbe appellant insists that tbe trial court bad no discretionary power in allowing or denying it tbe right to become a party to this cause. Appellant has thus sought to use intervention of right as a means of contesting an attempt to vacate a judgment which was assigned to it over a year after an order opening the judgment was entered. Section 54 of tbe Civil Practice Act clearly provides for substitution of parties where there has been a transfer of interest or liability occurring after the commencement of a cause or proceeding. Appellant sought such a substitution but did not pursue its remedy by appealing an adverse order.

The purpose of the Civil Practice Act is to provide a comprehensive and orderly procedure in furtherance of the judicial process. Under it the distinction between intervention as a matter of right and a substitution of parties where there has been a transfer of interest is not illusory. The right to intervene is a statutory remedy for the hardships which existed under prior case law severely limiting the opportunity of one not a party to litigation to protect an interest which might be adversely affected by its determination. (See Joint Committee Comments, S. H. A., chap. 110, sec. 26.1.) The situations to which this remedy applies are clearly outlined by the statute, which does not enumerate among the interests protected one created by a voluntary act of one of the parties subsequent to the commencement of suit. (See Ill. Rev. Stat., 1957, chap. 110, sec. 26.1(1).) Such an interest is, however, specifically enumerated in the provision of the Act allowing substitution.

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Bluebook (online)
147 N.E.2d 465, 16 Ill. App. 2d 31, Counsel Stack Legal Research, https://law.counselstack.com/opinion/byrne-organization-inc-v-cantin-illappct-1958.