Chapman v. Basinger

592 N.E.2d 908, 71 Ohio App. 3d 5, 1991 Ohio App. LEXIS 2256
CourtOhio Court of Appeals
DecidedMay 2, 1991
DocketNo. 1-90-85.
StatusPublished
Cited by6 cases

This text of 592 N.E.2d 908 (Chapman v. Basinger) 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
Chapman v. Basinger, 592 N.E.2d 908, 71 Ohio App. 3d 5, 1991 Ohio App. LEXIS 2256 (Ohio Ct. App. 1991).

Opinion

Hadley, Judge.

This is an appeal from a summary judgment granted by the Common Pleas Court of Allen County, Ohio, in which it was decided that the attorney malpractice claim filed by plaintiff-appellant, Robert Chapman, against defendants-appellees, Malcom Basinger et al., was barred by the running of the statute of limitations.

In April or May 1981, Chapman hired Basinger to prepare a contract of sale whereby he would sell the fifty-percent interest he owned in the Ottawa Development Company to his business partner, Roland Alexander.

In November 1982, First Federal Savings & Loan brought suit against Ottawa Development Company, Roland Alexander, and Chapman, based upon a mortgage loan promissory note and open end mortgage executed in 1980, which Chapman had signed as a personal guarantor. Basinger was to represent Chapman in a 1985 hearing determining Chapman’s personal liability on the note. However, Basinger failed to file a written brief after assuring the court he would. In January 1986, a decision was entered finding Chapman *7 personally liable on the note held by First Federal. Although Basinger filed an appeal from this decision, he failed to make sure a complete transcript was filed and did not file a brief in support of this appeal. As such, the appeal was dismissed.

In 1983, Basinger filed a collection suit on behalf of Chapman against Alexander due to Alexander’s failure to pay sums owed to Chapman under the above sale agreement. This action was dismissed by the common pleas court on the basis that the 1981 buy-out agreement required such claims to be first submitted to arbitration. Basinger never appealed this dismissal nor did he attempt to arbitrate the matter. As such, Chapman has been unable to perfect a claim against Alexander.

Finally, in 1987, pursuant to the judgment against Chapman, First Federal filed a foreclosure action on property owned by Chapman. Chapman informed Basinger of this action and allegedly sent him a copy of this complaint. On December 11, 1987, Chapman sent Basinger a letter expressing his concern that he would lose property as a result of the foreclosure action. Chapman informed Basinger that his malpractice insurance carrier should pursue a settlement with First Federal due to Chapman’s belief that his liability should have been cleared or released under the sale agreement drawn up by Basing-er. In March 1988, a judgment entry was entered against Chapman since no pleading was filed on his behalf.

On January 2, 1988, Chapman sent a letter to Stephen Becker, the attorney representing First Federal in the foreclosure action against Chapman, in which he stated he had not received proper notice of the suit against him, that he had contacted an attorney in Florida, and finally, that “[i]f I experience the loss of any property, bad public exposure or clouds on my credit, you can make book on experiencing a large damage suit against all parties in this matter and not by any member of the Allen County Judicial System.” On January 9, 1988, Chapman sent Becker a second letter informing him that he had contacted Basinger on January 7, 1988, and had found out that Basinger had not yet answered the summons issued by First Federal. In this letter, Chapman instructed Becker not to contact Basinger any further regarding his affairs. Chapman also sent a letter to Basinger on this date expressly informing Basinger that he would no longer be representing him in any of his business affairs and instructing Basinger to return any documents of Chapman’s which he might still have.

On January 6, 1989, Chapman filed a legal malpractice action against Basinger and his law firm alleging negligent conduct by Basinger in his representation of Chapman in the above-referenced matters. In its memorandum decision granting summary judgment filed August 13, 1990, the trial *8 court found as a matter of law that Chapman knew of his injury and possible remedies against Basinger no later than December 11, 1987, and that “the termination date of the attorney-client relationship was no later than January 2, 1988.” As such, Chapman’s claim was barred by the one-year statute of limitations governing legal malpractice actions found in R.C. 2305.11(A).

It is from this judgment which Chapman makes two assignments of error.

Assignment of error number one:

“The trial court committed error, prejudicial to the plaintiff-appellant, by concluding that his claim is barred because the statute of limitations respecting his cause of action against the defendants-appellees accrued on January 2, 1988.”

The Ohio Supreme Court, in Zimmie v. Calfee, Halter & Griswold (1989), 43 Ohio St.3d 54, 538 N.E.2d 398, syllabus, has set forth the following test to determine when the applicable statute of limitations in an attorney malpractice action begins to run:

“Under R.C. 2305.11(A), an action for legal malpractice accrues and the statute of limitations begins to run when there is a cognizable event whereby the client discovers or should have discovered that his injury was related to his attorney’s act or non-act and the client is put on notice of a need to pursue his possible remedies against the attorney or when the attorney-client relationship for that particular transaction or undertaking terminates, whichever occurs later.”

This expanded the previous holding from Omni-Food & Fashion, Inc. v. Smith (1988), 38 Ohio St.3d 385, 528 N.E.2d 941, syllabus. The first part of this test is also called the discovery rule, and under Zimmie, supra, a “cognizable event,” notifying the client of the injury and the attorney’s responsibility is required. In this case, the court reasonably found that under the discovery rule, Chapman “was aware, discovered and/or should have been put on notice of the need for further inquiry as early as 1982 but no later than December 11, 1987.” This finding is not disputed by Chapman.

Accordingly, the court next looked to when the attorney-client relationship terminated. Chapman contended that it did not terminate until the letter dated January 9, 1988, was sent to Basinger, informing him that he no longer desired his legal representation. The court, in determining the termination date, relied upon Brown v. Johnstone (1982), 5 Ohio App.3d 165, 166, 5 OBR 347, 349, 450 N.E.2d 693, 695, where it was stated:

“[I]t is evident that conduct which dissolves the essential mutual confidence between attorney and client signals the termination of the professional relationship.”

*9 In applying this rule, the court found that there was conduct as early as 1985, after Chapman learned of his liability under the First Federal promissory note, which could act to dissolve the mutual confidence between Chapman and Basinger. The court likewise concluded that Chapman’s letter to Basing-er dated December 11, 1987, which informed Basinger that he should contact his insurance malpractice carrier, was also evidence of the breakdown of the mutual confidence in the attorney-client relationship.

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Bluebook (online)
592 N.E.2d 908, 71 Ohio App. 3d 5, 1991 Ohio App. LEXIS 2256, Counsel Stack Legal Research, https://law.counselstack.com/opinion/chapman-v-basinger-ohioctapp-1991.