Byron v. Carlin, Unpublished Decision (12-14-2001)

CourtOhio Court of Appeals
DecidedDecember 14, 2001
DocketCase No. 2000-L-169.
StatusUnpublished

This text of Byron v. Carlin, Unpublished Decision (12-14-2001) (Byron v. Carlin, Unpublished Decision (12-14-2001)) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law.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
Byron v. Carlin, Unpublished Decision (12-14-2001), (Ohio Ct. App. 2001).

Opinion

OPINION
Appellants/cross-appellees, Marion L. Carlin ("Marion"), Elizabeth Waylen ("Elizabeth"), Joan McCarthy ("Joan"), Catherine Burkey ("Catherine"), Mary Ellen Comella ("Mary Ellen"), and Teresa Carlin ("Teresa"), appeal the judgment entry of the Lake County Court of Common Pleas granting summary judgment in favor of appellee/cross-appellant, Barry M. Byron, as administrator WWA of the estate of Frank Veroni ("Veroni") and as trustee of the Veroni Trust No. III ("Trust No. III"), an inter vivos trust that was executed on October 10, 1986.1

On November 10, 1999, appellee filed a declaratory judgment action against appellants, Clarence C. Carlin ("Clarence") and William A. Carlin ("William"), seeking to set aside a $250,000 bequest to Veroni Trust No. II ("Trust No. II"), an inter vivos trust which was created on June 30, 1989. Appellee was appointed the successor trustee and administrator of Trust No. III after Clarence and William were removed as co-trustees.

On December 17, 1999, appellants filed an answer and counterclaim for declaratory judgment. On that same date, appellants filed a motion to dismiss Count II of appellee's complaint for declaratory judgment.2 Appellee filed an answer to the counterclaim and a memorandum in opposition to the motion to dismiss on January 28, 2000. On March 9, 2000, the trial court denied appellants' motion to dismiss and explained that:

"[w]hat is at issue in this case * * * is whether the presumption of invalidity that attaches to a bequest made to an attorney — beneficiary who also witnesses a will likewise attaches to a bequest made to a nonwitnessing beneficiary who is related to the witnessing attorney by affinity or consanguinity. Thus, to the extent that [appellee] seeks a declaration that the bequest is invalid on this basis, the complaint states a claim for which relief could be granted."

On June 12, 2000, appellee filed a motion for summary judgment. Appellants filed a cross-motion for summary judgment on July 12, 2000. In a September 11, 2000 entry, the trial court granted appellee's motion for summary judgment to the extent that "the bequest to [Trust No. II] was invalid due to the presumption of undue influence that arises when an attorney drafts a will that benefits the attorney or the attorney's immediate family." However, the court denied appellee's motion for summary judgment "as to the applicability of R.C. 2107.15 to the facts of this case and to the lack of authority to fund [Trust No. II,]" which has to do with a bequest being held void where it is made to a someone who is one of the two witnesses to a will. In that entry, the trial court also denied appellants' summary judgment motion.

The facts pertaining to this appeal are as follows. Veroni died on March 31, 1996, and his last will and testament (the "will") dated March 13, 1996, was admitted to probate court. Questions arose concerning the propriety of payments for executor commissions to Clarence and William, who were the attorneys that drafted the will and the only witnesses to the will. Clarence and William were executors of the Veroni estate and transferred $250,000 to Trust No. II, which they controlled for their family's benefit.3

The trial court ordered that the funds be transferred back from Trust No. II to Trust No. III. This court held that the $250,000 bequest made to the Trust No. II was void to the extent that Clarence and William took under the 1996 will since they were the only witnesses to that will. Inre: Estate of Veroni (Dec. 13, 1998), Lake App. No. 97-L-119, unreported, 1998 WL 964583, at 3 ("Veroni I"). In Veroni I, we reversed and remanded the matter to the trial court so that a hearing could be held at which appellants could have an opportunity to be heard.4 Id. at 6. However, in In re: Estate of Veroni (Dec. 31, 1998), Lake App. No. 98-L-024, unreported, 1998 WL 964527, at 5, ("Veroni II"), we held that the transfer of $250,000 from Trust No. III to Trust No. II was improper, unauthorized, and fraudulent.

Appellants timely filed the instant appeal and now assert the following as error:

"[1.] The trial court erred in denying [appellants'] motion to dismiss Count II and motion for summary judgment.

"[2.] The trial court erred in granting [appellee's] motion for summary judgment."

In turn, appellee timely filed a notice of cross-appeal and raises one assignment of error alleging that the bequest to Trust No. II was void because of the undue influence exerted by Clarence and William over Veroni.5

For organizational purposes, we will address appellants' second assignment of error first. In that assignment of error, appellants contend that the trial court erred in granting appellee's motion for summary judgment.

Prior to granting a motion for summary judgment, a trial court must determine that "(1) no genuine issue as to any material fact remains to be litigated, (2) the moving party is entitled to judgment as a matter of law, and (3) it appears from the evidence that reasonable minds can come to but one conclusion, and viewing such evidence most strongly in favor of the nonmoving party, that conclusion is adverse to the party against whom the motion for summary judgment is made." Mootispaw v. Eckstein (1996), 76 Ohio St.3d 383, 385. On appeal, the trial court's granting of summary judgment is reviewed de novo. Monrean v. Higbee Dept. Stores,Inc. (Dec. 29, 2000), Trumbull App. No. 99-T-0099, unreported, 2001 WL 20808, at 5.

First, we must note that the Supreme Court of Ohio has stated that "[a] presumption of undue influence, rebuttable by a preponderance of the evidence, arises when (i) the relationship of attorney and client exists between a testator and an attorney, (ii) the attorney is named as a beneficiary in the will, (iii) the attorney/beneficiary is not related by blood or marriage to the testator, and (iv) the attorney/beneficiary actively participates in the preparation of the will." Krischbaum v.Dillon (1991), 58 Ohio St.3d 58, paragraph one of the syllabus.

The elements of undue influence are as follows: (1) a susceptible party; (2) another's opportunity to exert influence; (3) the fact of improper influence exerted or attempted; and (4) the result showing the improper influence. Id. at 65. It is our view that based on the record before us, appellee has not provided the Civ.R. 56 items to establish the elements of undue influence.

Unlike the attorney in Krischbaum, appellants, in the present appeal, had no role in the actual drafting of the will. Therefore, appellants argue that the rule of law as stated in Krischbaum is inapposite to this case. However, the Supreme Court has extended Krischbaum to also apply to the beneficiaries of the attorneys via the Disciplinary Rule, DR 5-101(A)(2), which prohibits a lawyer from drafting a will for a client of the lawyer, in which the lawyer's spouse and/or the lawyer's children are named as beneficiaries. Specifically, DR 5-101(A)(2) states that:

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Bluebook (online)
Byron v. Carlin, Unpublished Decision (12-14-2001), Counsel Stack Legal Research, https://law.counselstack.com/opinion/byron-v-carlin-unpublished-decision-12-14-2001-ohioctapp-2001.