City of Dover v. Kimball

616 A.2d 516, 136 N.H. 441, 1992 N.H. LEXIS 187
CourtSupreme Court of New Hampshire
DecidedNovember 25, 1992
DocketNo. 91-177
StatusPublished
Cited by4 cases

This text of 616 A.2d 516 (City of Dover v. Kimball) is published on Counsel Stack Legal Research, covering Supreme Court of New Hampshire primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
City of Dover v. Kimball, 616 A.2d 516, 136 N.H. 441, 1992 N.H. LEXIS 187 (N.H. 1992).

Opinion

Thayer, J.

The Superior Court (Temple, J.) awarded the defendants attorney’s fees, but denied their claim for damages, based on the bad faith conduct of the Dover Planning Board (the board). Because the record does not support the finding of bad faith, we reverse the award of attorney’s fees and affirm the denial of the defendants’ claim of damages against the city.

Donald and Marjorie Kimball, two of the defendants, owned a parcel of land on Dover Point Road in Dover. They conveyed a portion of the land to Edmond Daigle and Ann Shine in 1985 without first obtaining subdivision approval from the board. The lot retained by the [443]*443Kimballs will be referred to as Lot 1; the lot sold to Daigle and Shine will be referred to as Lot 2. Lot 1 was a nonconforming parcel under Dover zoning regulations and could not be used unless it was combined with an adjacent lot. The Kimballs were aware that subdivision approval was necessary when they conveyed the parcel to Daigle and Shine and knew that, because they had violated RSA 676:16, they were subject to a $500 civil penalty.

The remaining defendants, Miriam and Stanley Allen, owned the lot adjacent to the Kimballs’ Lot 1. Their lot will be referred to as Lot 3. In January 1986, the Kimballs entered into a purchase and sale agreement to sell Lot 1 to the Allens with the understanding that Lot 1 and Lot 3 would be combined with city approval. Soon thereafter, the Kimballs informed the Dover planning department that they had illegally subdivided their land in 1985 with the conveyance to Daigle and Shine. The defendants were advised by the city on how to bring Lots 1 and 2 into compliance with the city’s code.

The Kimballs and the Allens were advised to submit an application for a minor subdivision, which they did in April 1986. Some time later, they were advised to refile their application as a lot line adjustment, which they did in June 1986. The application was rejected when Daigle and Shine refused to sign it because a boundary dispute had developed. The boundary dispute arose from the fact that the deed from the Kimballs to Daigle and Shine specified 105 feet along the Little Bay boundary of Lot 2, but the survey prepared for the application showed 97.11 feet. The attorney for Daigle and Shine informed the director of the planning department of the basis for the dispute. On August 22, 1986, the Kimballs, the Allens, and Daigle and Shine all met on the property and agreed to a boundary line between Lots 1 and 2.

On September 5, 1986, the director of the planning department was informed that the boundary dispute had been settled and another application for a lot line adjustment was submitted by the Kim-balls, the Allens, and Daigle and Shine. The board rejected the application on September 30, 1986, because the regulations for both lot line adjustments and subdivisions required the entire perimeter of the lots to be certified and one lot line on the plat had not been certified by the surveyor. The uncertified lot line was not the common boundary line between Lots 1 and 2, the location of which the private parties had agreed upon; rather, it was the boundary line between Lot 2 and the lot to the south that was not certified.

Daigle and Shine revoked their acceptance of the August 22 boundary settlement and refused to sign any more applications, [444]*444which the defendants needed to obtain board approval before the conveyance of Lot 1 to the Allens could occur. A flurry of litigation among the private parties soon followed. Additionally, in February 1987, the city filed suit to enjoin the Kimballs and the Allens from transferring or using Lot 1 because it was a nonconforming lot created by an illegal subdivision. The city also sought to recover civil penalties and attorney’s fees. In March 1987, a temporary hearing was held, and the Superior Court (O’Neil, J.) ordered the city to place the defendants’ application on the next board agenda and to consider the application without the signatures of Daigle and Shine. The city placed the application on its April 1987 agenda, but the Kim-balls withdrew the application because other litigation was ongoing. The application was ultimately resubmitted in October 1987 and approved on November 23, 1987.

In the course of the litigation among the private parties, Daigle and Shine were deposed. They revealed that board member Harold Preston had gone to their property on September 28,1986, to investigate the application that was to be heard by the board on September 30, 1986. The defendants alleged that on that day Preston told Daigle and Shine that (1) their warranty deed entitled them to 105 feet of frontage on Little Bay; (2) they did not need a lawyer to resolve their boundary dispute; (3) they were getting “screwed”; (4) that he (Preston) would vote against the application; and (5) that the board would not accept the application. Upon receipt of this information, the defendants filed counterclaims against the city seeking damages and attorney’s fees based on Preston’s conduct and the board’s alleged wrongful denial of the September 30, 1986 application. The city maintains that it acted in good faith at all times and that it had a reasonable claim under the law to act as it did.

In its order of March 12,1991, the superior court ruled that Preston’s actions, just prior to the September 30, 1986 hearing, and his conduct during the hearing, constituted bad faith and that the planning board as a whole acted in bad faith in not accepting the application in spite of its “deficiencies.” The defendants were awarded attorney’s fees pursuant to Harkeem v. Adams, 117 N.H. 687, 377 A.2d 617 (1977), which allows a party to recover attorney’s feesjf bad faith is established and the party “is forced to seek judicial assistance to secure a clearly defined and established right.” Harkeem, 117 N.H. at 691, 377 A.2d at 619. The defendants also sought damages for the delays caused by the board’s failure to accept the September 1986 application, but the court dismissed their counterclaim for failure to state a cause of action. The Kimballs were assessed a [445]*445$500 penalty for violating the subdivision regulations. All parties subsequently filed motions for reconsideration that were denied by the trial court. The city appealed the award of attorney’s fees, arguing that because the defendants did not “prevail” in the action, the court was without authority to award attorney’s fees. The defendants cross-appealed the denial of their general damages claim.

Although the city argues that the defendants are not entitled to attorney’s fees because the defendants were not the prevailing parties, we need not address this issue because we determine that there was no bad faith and, therefore, the award of attorney’s fees was improper. Likewise, our holding that the city did not act in bad faith disposes of the defendants’ claim that they are entitled to an award of general damages against the city because damages against a municipality are allowed only upon a showing of bad faith. See Win-Tasch Corp. v. Town of Merrimack, 120 N.H. 6,11, 411 A.2d 144, 147 (1980).

In Keenan v. Fearon, 130 N.H. 494, 543 A.2d 1379

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Bluebook (online)
616 A.2d 516, 136 N.H. 441, 1992 N.H. LEXIS 187, Counsel Stack Legal Research, https://law.counselstack.com/opinion/city-of-dover-v-kimball-nh-1992.