Chase v. State

696 A.2d 1299, 45 Conn. App. 499, 1997 Conn. App. LEXIS 319
CourtConnecticut Appellate Court
DecidedJune 24, 1997
DocketAC 16114
StatusPublished
Cited by9 cases

This text of 696 A.2d 1299 (Chase v. State) is published on Counsel Stack Legal Research, covering Connecticut Appellate Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Chase v. State, 696 A.2d 1299, 45 Conn. App. 499, 1997 Conn. App. LEXIS 319 (Colo. Ct. App. 1997).

Opinion

Opinion

SPEAR, J.

The issue in this workers’ compensation case is whether the plaintiffs notice of injury was sufficient to trigger the statutory twenty day period1 within [501]*501which an employer may file a notice contesting liability for the claim. The commissioner ruled that the notice, sent to the “Department of Motor Vehicles” rather than to the “State of Connecticut, Department of Motor Vehicles” was insufficiently addressed to impose an obligation on the defendant to file a notice contesting liability within the twenty day period. The commissioner, therefore, denied the plaintiffs motion to preclude the defendant from contesting liability and, thereafter, dismissed the claim. The compensation review board (review board) affirmed the commissioner’s decision denying the motion to preclude,2 and this appeal followed.

The plaintiff asserts that the notice of injury was sufficiently addressed so that his employer, the state of Connecticut, had an opportunity to make a timely investigation of the claim. Therefore, the commissioner improperly denied the motion to preclude. The defendant asserts that the plaintiffs contention is contrary to the applicable precedent of the review board and is supported only by nonbinding dicta from a Supreme Court case. As alternative grounds for affirmance,3 the defendant contends that the motion to preclude was properly denied because (1) the claim here is not bona fide, (2) the alleged date or dates of injury were too vague and ambiguous to allow the timely investigation contemplated by the twenty day rule of [502]*502General Statutes (Rev. to 1989) § 31-297 (b), and (3) the plaintiff did not provide evidence that established the sufficiency of his notice. We reverse the decision of the review board because we conclude that the notice of claim was sufficient to trigger the twenty day period.

The following facts are relevant to our resolution of this appeal. On July 19,1989, the plaintiff was employed by the state of Connecticut, department of motor vehicles (defendant). On July 26, 1989, the plaintiff mailed a notice of claim to the defendant. The notice was addressed to the “Department of Motor Vehicles” at 60 State Street in Wethersfield. It stated that the plaintiff “while in the employ of Department of Motor Vehicles at Norwich, CT, on the 19th day of July, 1989, or sometime prior thereto, sustained injuries arising out of and in the course of his . . . employment as follows . . . Repetitive Trauma/Repetitive Act and/or Trauma to Back, and Repetitive Trauma/Repetitive Act and/or Trauma to Left Knee.” The defendant received the notice of claim on July 28, 1989.

On September 1,1989, thirty-five days after it received the notice of claim, the defendant sent a notice contesting liability to the plaintiff and to the workers’ compensation district office. On September 26, 1990, the plaintiff filed a motion to preclude the defendant from contesting the compensability of his alleged injury because the defendant failed to comply with the twenty day time limit set forth in § 31-297 (b). The workers’ compensation commissioner denied his motion on September 13, 1991, because the notice failed to identify the defendant as “State of Connecticut, Department of Motor Vehicles.”4

[503]*503I

The purpose of the preclusion statute is to “ensure (1) that employers would bear’ the burden of investigating a claim promptly and (2) that employees would be timely apprised of the specific reasons for the denial of their claim. These effects would, in turn, diminish delays in the proceedings, discourage arbitrary refusal of bona fide claims and narrow the legal issues which were to be contested.” Menzies v. Fisher, 165 Conn. 338, 343, 334 A.2d 452 (1973).

Before an employer’s obligation to respond is triggered, a plaintiff must first file a notice of claim. See General Statutes (Rev. to 1989) § 31-294. Until our Supreme Court decided Pereira v. State, 228 Conn. 535, 637 A.2d 392 (1995), the review board, in judging the sufficiency of a notice of claim, consistently adhered to a rule of strict compliance5 with § 31-294. See, e.g., Fuller v. Central Paving Co., 5 Conn. Workers’ Comp. Rev. Op. 92 (1988). In Pereira, however, our Supreme Court addressed, in dicta, the issue of what constitutes a sufficient notice of claim “to clarify a misconception on behalf of the review [board] regarding the standard by which the sufficiency of a notice of claim to trigger an employer’s obligation to respond under § 31-297 (b) should be judged. The rule of strict compliance adopted by the review [board] is not supported by either the plain language or the legislative history of § 31-297 (b). To the contrary, § 31-297 (b) is remedial legislation that should be liberally construed to accomplish its humanitarian purpose. . . . [I]t was enacted to require a prompt and thorough investigation of the employee’s claim so as to yield a specific disclaimer of liability and to avoid unnecessary delay in the adjudication of [504]*504workers’ claims. As a result, if the notice of claim is sufficient to allow the employer to make a timely investigation of the claim, it triggers the employer’s obligation to file a disclaimer.” (Citation omitted; emphasis added.) Pereira v. State, supra, 542-43 n.8.6

After the Pereira decision, the review board retreated from its rule of strict compliance and adopted this relaxed standard. See Bell v. Dow Corning STI, Inc., 13 Conn. Workers’ Comp. Rev. Op. 109, 111 (1995). Although the relevant language in Pereira is dicta, we are disinclined to resolve the same issue on virtually identical facts contrary to such clear and persuasive guidance from our Supreme Court. We fail to discern how the addition of the words “State of Connecticut” would have added to the effectiveness of the notice here. The defendant’s notice contesting liability states that it knew of the injury on July 19, 1989, and it is undisputed that the department of motor vehicles received the plaintiffs notice on July 28, 1989. Indeed, in the notice contesting liability the defendant lists the name of the employer as “Motor Vehicles,” an even more cryptic description than the plaintiffs. The address of the employer is listed on the disclaimer as 60 State Street, the exact address that the plaintiff used.

Any lack of opportunity to investigate the claim apparently resulted from internal misdirection of the notice. Contrary to the defendant’s assertion, we do not read General Statutes (Rev. to 1989) § 31-2947 as [505]*505requiring a plaintiff to send notice to a legal agent for service or to some other person who “could reasonably be expected to handle this sort of notice.” Because the notice went to the same place to which it would have gone if “State of Connecticut” had been added to the address, the defendant had an opportunity to make a timely investigation of the claim. The notice contesting liability came too late and the defendant should have been precluded from contesting the compensability of the claim.

II

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Cite This Page — Counsel Stack

Bluebook (online)
696 A.2d 1299, 45 Conn. App. 499, 1997 Conn. App. LEXIS 319, Counsel Stack Legal Research, https://law.counselstack.com/opinion/chase-v-state-connappct-1997.