Cox Construction Co. v. United States

36 Cont. Cas. Fed. 75,919, 21 Cl. Ct. 98, 1990 U.S. Claims LEXIS 312, 1990 WL 112552
CourtUnited States Court of Claims
DecidedAugust 7, 1990
DocketNo. 78-89C
StatusPublished
Cited by8 cases

This text of 36 Cont. Cas. Fed. 75,919 (Cox Construction Co. v. United States) is published on Counsel Stack Legal Research, covering United States Court of Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cox Construction Co. v. United States, 36 Cont. Cas. Fed. 75,919, 21 Cl. Ct. 98, 1990 U.S. Claims LEXIS 312, 1990 WL 112552 (cc 1990).

Opinion

OPINION

FUTEY, Judge.

This case is before the court on defendant’s motion to dismiss for lack of subject matter jurisdiction. Plaintiff is a joint venture which contracted to build a commissary for the United States Air Force at Vandenburg Air Force Base, California. Plaintiff seeks an equitable adjustment of its contract with defendant. Plaintiff also requests remission of the liquidated damages withheld by defendant for delay in completion of the project. In this motion, defendant asserts that the claim certification was defective because only one member of the joint venture signed it and did so without indicating that it was submitted on behalf of the joint venture.

FACTS

On September 28, 1984, the United States Air Force awarded Cox Construction Co. (Cox Co.) and Haehn Management Co. (Haehn Co.), a joint venture,1 a contract for $8,288,524.00 to construct a commissary at Vandenburg Air Force Base, California. The contract award papers show that two individuals, James M. Cox (Mr. Cox), president of Cox Construction Co. (Cox Co.), and Sylvester L. Haehn (Mr. Haehn), president of Haehn Management Co. (Haehn Co.), were authorized to sign on behalf of the joint venture.

According to the declaration of Mr. Haehn and the affidavit of Mr. Cox,2 Mr. Cox was authorized to act on behalf of the joint venture concerning all aspects of the contract.3 This is supported by the record, which shows that throughout the performance of the contract, defendant exclusively worked with Mr. Cox. Correspondence between plaintiff and defendant was directed through Mr. Cox. Change orders and United States Department of Treasury checks were issued exclusively to Cox Co.

By letter dated January 21,1988, Cox Co. submitted a claim to the contracting officer requesting an equitable adjustment in the price of the contract.4 The letter from the law firm of Corona & Prager stated that the firm had “been retained to represent the legal interests of Cox Construction Company Incorporated in regard to various delay claims involving the above referenced contract.” In addition to this letter was the certification, dated January 21, 1988, and signed by “Mr. James M. Cox, President, Cox Construction Company”; also, it referred to the number of the contract. Pursuant to the requirements set by the CDA, 41 U.S.C. § 605(c)(1) (1988), the certification attested that the claim for an equitable adjustment of $586,237.00 was [100]*100made in good faith, that the supporting data filed with the claim were accurate and complete, and that the amount requested accurately reflected the sum for which the contractor believed the government was liable. However, the certification did not identify that Mr. Cox was acting on behalf of Haehn Co., as well as Cox Co. Aside from this signature issue, the certification met all the requirements for certification set by the CDA. On July 20, 1988, the contracting officer (CO) issued a final decision to Cox Co. which denied plaintiffs claim.

In this motion, defendant asserts that the certification was defective because only one member of the joint venture signed it and did so without indicating that it was submitted on behalf of the joint venture. In response, plaintiff contends that Mr. Cox at all times was fully authorized to act on behalf of the joint venture and did so act when he submitted the claim to the CO. Plaintiff’s two main arguments are that the claim is properly certified or, alternatively, that it is in substantial compliance with the certification requirements.

On February 14, 1989, plaintiff timely filed its complaint before this court. Defendant moved to dismiss on August 10, 1989. In response on July 28, 1989, plaintiff filed an unopposed motion for a 90-day enlargement of time from the court so that it could submit the claim properly and obtain a decision from the CO, or wait 60 days for it to be deemed denied. On November 27, 1989, plaintiff changed its mind and, by leave of the court, filed its Opposition to Defendant’s Motion to Dismiss. Defendant filed its reply brief on December 7, 1990. Oral argument on the motion to dismiss was held on June 15, 1990.

DISCUSSION

A. Certification

The CDA provides the administrative procedure for the resolution of any contract dispute between an executive agency and a “party to a Government contract other than the Government.” 41 U.S.C. § 601(4) (1988). The CDA provides that:

All claims by a contractor against the government relating to a contract shall be in writing and shall be submitted to the contracting officer for a decision.

41 U.S.C. § 605(a) (1988).

For any claim in excess of $50,000.00 the aggrieved contractor must certify that: (a) the claim is made in good faith; (b) the supporting data filed therewith are accurate and complete; and (c) the amount requested accurately reflects the sum for which the contractor believes the government is liable. 41 U.S.C. § 605(c)(1) (1988).

The Claims Court has interpreted the CDA’s administrative procedure to be a jurisdictional prerequisite to judicial review. Great Lakes Educ. Consultants v. Federal Emergency Management Agency, 582 F.Supp. 193, 195 (W.D.Mich.1984). The court in Paragon Energy Corp. v. United States, 227 Ct.Cl. 176, 645 F.2d 966 (1981), aff'd, 230 Ct.Cl. 884 (1982), referred to the CO’s decision as the “linchpin” for appealing claims to the Claims Court. The CO does not have the authority to issue a decision, however, unless a valid, cognizable “claim” has been submitted. Paragon Energy Corp., 227 Ct.Cl. at 184, 645 F.2d 966. If the alleged claim is defective, it must be corrected and resubmitted before the jurisdiction of this court can be invoked. Conoc Constr. Corp. v. United States, 3 Cl.Ct. 146 (1983); T.J.D. Servs., Inc. v. United States, 6 Cl.Ct. 257, 262 (1984).

Defendant states the issues as: “[Wjhether he [Mr. Cox] had the authority to bind the joint venture by signing solely by himself for this purpose of certification ... [and] whether he did, in fact, act on behalf of the joint venture.”

The CDA merely provides that “the contractor shall certify----” 41 U.S.C. § 605(c)(1) (1988).

The Federal Acquisition Regulation (FAR) further identifies those individuals within the contractor’s organization who properly may act for the contractor in certifying:

If the contractor is not an individual, the certification shall be executed by — (i) A senior company official in charge at the [101]*101contractor’s plant or location involved; or (ii) An officer or general partner of the contractor having overall responsibility for the conduct of the contractor’s affairs. [Emphasis added.]

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Bluebook (online)
36 Cont. Cas. Fed. 75,919, 21 Cl. Ct. 98, 1990 U.S. Claims LEXIS 312, 1990 WL 112552, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cox-construction-co-v-united-states-cc-1990.