Church v. Hanft (In Re Hanft)

274 B.R. 917, 15 Fla. L. Weekly Fed. B 128, 2002 Bankr. LEXIS 237, 39 Bankr. Ct. Dec. (CRR) 74
CourtUnited States Bankruptcy Court, S.D. Florida.
DecidedMarch 20, 2002
Docket19-12715
StatusPublished
Cited by4 cases

This text of 274 B.R. 917 (Church v. Hanft (In Re Hanft)) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, S.D. Florida. primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Church v. Hanft (In Re Hanft), 274 B.R. 917, 15 Fla. L. Weekly Fed. B 128, 2002 Bankr. LEXIS 237, 39 Bankr. Ct. Dec. (CRR) 74 (Fla. 2002).

Opinion

OPINION

LARRY L. LESSEN, Bankruptcy Judge.

The issue before the Court is whether a debt based on a medical malpractice judgment is nondischargeable under 11 U.S.C. § 523(a)(2)(A) and § 523(a)(4).

On December 31, 1970, Donald Hanft was licensed to practice medicine in the State of Florida. Dr. Hanft renewed his license in 1973,1975, and 1977. Due to Ms failure to renew his license in December, 1979, Dr. Hanft’s medical license expired and became inactive pursuant to F.S. § 458.321. For the following ten years, Dr. Hanft practiced medicine with an inactive license. During the inactive period, Dr. Hanft’s wife, who is also a physician, renewed her medical license within the required time frames. Her license remained active. At some time during that ten-year period, Dr. Hanft’s license terminated by operation of law. During the inactive period, F.S. § 458.321 changed the time period for an inactive license to automatically terminate. However, laws of Florida chapter 83-329 § 96 clearly provided that any li *920 cense inactive on October, 1983, would automatically expire after the next biennial renewal. For Dr. Hanft, this would have been December 31, 1987. In any case, Dr. Hanft certainly knew of his inactive status no later than February, 1989, when he corresponded with the Board of Medicine about reactivating his license.

On February 23, 1990, Dr. Hanft’s license was reactivated after he paid a renewal fee and completed 203 hours of continuing medical education requirements.

On October 14, 1991, the Department of Professional Regulation filed an administrative complaint regarding Dr. Hanft’s practice of medicine with an inactive license. The administrative complaint charged Dr. Hanft with practicing without an active license in violation of F.S. § 458.327(l)(a). Violations of that statute constitute third degree felonies. The administrative complaint sought relief imposing one or more of the following remedies: revocation or suspension of license, restriction of Dr. Hanft’s practice, imposition of a fine, issuance of a reprimand, or placing Dr. Hanft on probation.

The administrative complaint was resolved by a consent agreement which, among other things, formally reprimanded Dr. Hanft and imposed a fine of $5,000.

The Plaintiff, Suzanne Church, first became a patient of Dr. Hanft in March, 1980. The first event relevant to the malpractice claim occurred in July, 1988, when Dr. Hanft diagnosed the cause of Ms. Church’s failure to menstruate after discontinuing birth control pills as post-pill amenorrhea. During an office visit with Ms. Church on March 14, 1989, Dr. Hanft once again diagnosed Ms. Church with post-pill amenorrhea. At this point, Ms. Church had not had a menstruation cycle for over a year. This visit in March, 1989, was after the point in time at which the record supports Ms. Church’s allegation that Dr. Hanft was aware that his license was inactive.

Ms. Church had her last visit with Dr. Hanft on January 7, 1991. He once again diagnosed her with post-pill amenorrhea since her menstruation cycle had not resumed for more than two years. Dr. Hanft told her not to worry, that it was not a big deal that her menstruation had not resumed. Dr. Hanft assured Ms. Church that there was no problem in getting pregnant even though she was not menstruating. Dr. Hanft was not concerned with the lack of menstruation, nor did he want to treat it.

In 1993, after treatment by an ophthalmologist, Ms. Church had an MRI test which revealed a tumor that was affecting her vision.

On March 24, 1995, Ms. Church served Dr. Hanft with a Notice of Intent to Initiate Litigation for Medical Malpractice. The malpractice lawsuit was filed on July 13, 1995. At trial, Ms. Church’s expert, Dr. Comargo, testified that Dr. Hanft was negligent because he failed to perform certain customary tests during Ms. Church’s visits in 1988 and 1989 which would have revealed the tumor which, at that state and at that time, could have been treated. Instead, by the time the tumor was discovered, it had to be surgically removed, permanently affecting Ms. Church’s vision and leaving her unable to bear children.

The malpractice case went to a jury on the issue of damages and the jury returned a verdict in favor of Ms. Church in December, 1998, for $250,000.

Since 1987, the State of Florida has had a financial responsibility statute in effect to help ensure that doctors can satisfy malpractice claims. Under F.S. § 458.320(2), as a condition of licensing, a doctor with hospital privileges must comply with one of the following three meth *921 ods of demonstrating the financial capacity to pay claims and costs of a possible medical malpractice action: (1) maintain an escrow account aggregating at least $750,000; (2) carry medical malpractice insurance of not less than $250,000 per claim with an aggregate of at least $750,000; or (3) obtain and maintain an unexpired, irrevocable letter of credit of not less than $250,000 per claim with a minimum aggregate availability of at least $750,000. Dr. Hanft needed to comply with F.S. § 458.320(2) because he had hospital privileges.

In order to except a debt from discharge under 11 U.S.C. § 523(a)(2)(A), a plaintiff must show that (1) the debtor made a false representation with an intent to deceive the creditor; (2) the creditor relied on the representation; (3) the reliance was reasonably founded; and (4) the creditor sustained a loss as a result of the representation. In re Berman, 154 B.R. 991 (Bankr.S.D.Fla.1993).

The court must first determine whether a malpractice judgment is a “debt” which can be excepted under 11 U.S.C. § 523(a)(2). The United States Supreme Court has interpreted the term “debt” broadly for dischargeability purposes. See Cohen v. de la Cruz, 523 U.S. 213, 118 S.Ct. 1212, 140 L.Ed.2d 341 (1998). In that case, the Supreme Court held that “523(a)(2)(A) prevents discharge from all liability arising from fraud.” The Court also held that the term “debt” is expansive in scope and, therefore, allowed an award of treble damages to fall within the parameters of § 523(a)(2)(A). This is analogous to the instant case, as the Plaintiff here claims that the malpractice damage award represents a debt for money, property, services or credit to the extent obtained by actual fraud, thereby also falling within the provision’s broad scope.

The Plaintiff alleges two misrepresentations by Dr. Hanft: (1) that Dr. Hanft continuously represented himself or held himself out to be a medical doctor with an active license when, in fact, his license was inactive, and (2) Dr. Hanft willfully failed to inform the Plaintiff that he did not carry medical malpractice insurance or otherwise comply with the financial responsibility requirements of F.S. § 458.320.

Bankruptcy courts in the Southern District of Florida have held that “the willful misrepresentation of medical experience and expertise has been found to give rise to a nondischargeable debt.”

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Bluebook (online)
274 B.R. 917, 15 Fla. L. Weekly Fed. B 128, 2002 Bankr. LEXIS 237, 39 Bankr. Ct. Dec. (CRR) 74, Counsel Stack Legal Research, https://law.counselstack.com/opinion/church-v-hanft-in-re-hanft-flsb-2002.