Corradi v. Gene Norris Honda, Inc.

667 N.E.2d 416, 106 Ohio App. 3d 788
CourtOhio Court of Appeals
DecidedOctober 16, 1995
DocketNos. 94-L-053, 94-L-066.
StatusPublished
Cited by2 cases

This text of 667 N.E.2d 416 (Corradi v. Gene Norris Honda, Inc.) 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
Corradi v. Gene Norris Honda, Inc., 667 N.E.2d 416, 106 Ohio App. 3d 788 (Ohio Ct. App. 1995).

Opinions

Christley, Judge.

This action involves two appeals from two separate judgments of the Mentor Municipal Court. In both appeals, the appellants consist of the following parties: Gene Norris Honda, Inc., Brad Alexander, David Cveasco, John Gingerich, and Walter J. Nelson. The appellee in each appeal is Rebecca L. Corradi.

In October 1993, appellee initiated the instant action by filing a complaint for money damages against appellants. This complaint set forth the following allegations: (1) Alexander, Cveasco, Gingerich, and Nelson are employees of Gene Norris Honda, Inc.; (2) in September 1993, appellee entered into negotiations with the dealership and its employees to lease an automobile; (3) as part of these negotiations, appellee was asked to deposit the sum of $150 as earnest money; (4) appellee was told by Nelson that her check would not be negotiated, endorsed, or deposited until the “deal” had been finalized; and (5) nevertheless, when the deal could not be consummated, the dealership did not immediately return the $150 to appellee.

Based upon these allegations, appellee further asserted that the actions of the dealership and its employees, appellants, constituted a violation of the Consumer Sales Practices Act, R.C. 1345.01 et seq. For relief, she sought triple damages and attorney fees.

Prior to filing their answer to the complaint, appellants served appellee with a series of interrogatories. As part of her response to the interrogatory concerning the names of possible witnesses at trial, appellee indicated that she intended to call her attorney, Marc Silberman, as a witness on her behalf. 1

Upon answering the complaint, appellants moved the trial court to disqualify Silberman as appellee’s counsel. As the basis for this motion, they maintained that Silberman’s continued representation would violate DR 5-102(A), the attorney-witness rule. The motion did not raise any claim of conflict of interest as to themselves.

*790 On March 1, 1994, the trial court issued a judgment entry on the motion to disqualify. This entry stated: “Plaintiffs Motion to Disqualify Counsel granted.” (Emphasis added.)

Two days later, after appellee had responded to the motion to disqualify, the trial court issued a “corrected judgment entry.” Evidently, the court had become aware that it confused the parties in rendering the first judgment, since the second judgment stated: “Defendant’s Motion to Disqualify Counsel granted if Plaintiff’s counsel is to testify.” (Emphasis added.)

On March 24, 1994, appellants, the defendants in this case, filed their first notice of appeal with this court, seeking to appeal the March 3 judgment. This appeal is Lake App. No. 94-L-053. On April 13, 1994, appellee moved to dismiss the appeal for lack of a final appealable order.

Before this court could rule upon appellee’s motion to dismiss, the trial court proceeded to try the merits of appellee’s complaint on April 26, 1994. That same day, the trial court issued an entry in which it granted judgment in favor of appellee for the sum of $450 and attorney fees. As part of this entry, the court indicated that appellants had failed to appear for trial, that Silberman had withdrawn as appellee’s counsel and had testified on her behalf, and that appellee had proceeded with new counsel.

On May 2,1994, appellants filed their second notice of appeal, seeking to appeal the judgment on the merits. This appeal is Lake App. No. 94-L-066.

Once both appeals were pending before this court, we granted appellants’ motion to consolidate. We also issued a judgment which indicated to the parties that the merits of appellee’s motion to dismiss in the first appeal would be held in abeyance so that the parties could rebrief the question of jurisdiction as part of their merit briefs. This court also granted the parties leave to file supplemental briefing.

Under each appeal, appellants have raised identical assignments of error for consideration:

“1. The trial court’s entry of judgment while the case was pending on appeal was jurisdictionally void.
“2. A trial court’s sua sponte modification of its prior final order disqualifying plaintiffs counsel was jurisdictionally void.”

Since the second assignment pertains to the issue of whether the first appeal, Lake App. No. 94-L-053, is properly before us, its merits will be considered first. Under this assignment, appellants first maintain that the trial *791 court lacked jurisdiction to modify the March 1 judgment because it was a final appealable order. Consistent with this assertion, they further submit that their first appeal should not be dismissed because the March 3 judgment was likewise a final appealable order. Both aspects of this argument are predicated upon the underlying assumption that an order granting a motion to disqualify is immediately appealable because it affects a substantial right and is rendered in a special proceeding.

If we determine that both the March 1 and March 3 judgments do not constitute final orders, then they are merely interlocutory orders subject to change, even if the change goes to the merits of the judgment. Civ.R. 54(B); Pitts v. Ohio Dept. of Transp. (1981), 67 Ohio St.2d 378, 379, 21 O.O.3d 238, 238-239, 423 N.E.2d 1105, 1106, fn. 1.

Of course, a change or revision of an interlocutory order may raise questions concerning notice and due process; however, any abuse of any of these factors could be remedied in a subsequent appeal.

Accordingly, the trial court’s jurisdiction to modify the March 1 judgment will turn upon whether that judgment was a final order. Therefore, we will first address the merits of appellants’ underlying assumption concerning the finality of both judgments.

R.C. 2505.02 sets forth three basic definitions of the term “final order.” The second of these definitions provides that an order of a trial court is a final order if (1) it affects a substantial right of the appealing party, and (2) it was rendered during a special proceeding.

In applying the foregoing definition to orders in which the trial court has ruled upon a motion to disqualify counsel in a civil action, the courts of this state have held that the granting of such a motion affects a substantial right of the nonmoving party. See Ross v. Ross (1994), 94 Ohio App.3d 123, 127, 640 N.E.2d 265, 268. Moreover, the Supreme Court of Ohio has expressly held that the granting of a motion to disqualify is an order which is rendered in a special proceeding. Russell v. Mercy Hosp. (1984), 15 Ohio St.3d 37, 15 OBR 136, 472 N.E.2d 695.

Similarly, the Supreme Court of Ohio has indicated that an order denying a motion to disqualify affects a substantial right of the moving party. Bernbaum v. Silverstein

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Bluebook (online)
667 N.E.2d 416, 106 Ohio App. 3d 788, Counsel Stack Legal Research, https://law.counselstack.com/opinion/corradi-v-gene-norris-honda-inc-ohioctapp-1995.