Cuffe v. Sanders Construction Co.

748 P.2d 328, 1988 Alas. LEXIS 1
CourtAlaska Supreme Court
DecidedJanuary 8, 1988
DocketNo. S-1701
StatusPublished
Cited by3 cases

This text of 748 P.2d 328 (Cuffe v. Sanders Construction Co.) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cuffe v. Sanders Construction Co., 748 P.2d 328, 1988 Alas. LEXIS 1 (Ala. 1988).

Opinion

BURKE, Justice.

This case involves the exclusive remedy provision of the Alaska Workers’ Compensation Act, AS 23.30.055. The superior court granted a directed verdict against plaintiff Thomas W. Cuffe and denied his motions for reconsideration and for new trial. Cuffe appeals these rulings.

In April, 1982, Thomas Cuffe was employed as a journeyman ironworker and certified welder by Griffard Steel Company (GSC). GSC was the erecting ironwork subcontractor in the construction of the “Butler building” on the North Slope. The general contractor on the project was Sanders Construction Company, Inc. (SCC). On April 24, 1982, a forklift operated by Rick Sanders hit a building support, dislodging an unsecured beam which fell and injured Cuffe. Cuffe brought suit for damages against Sanders and SCC, alleging that Sanders’ negligence in the operation of the forklift caused his injuries. Sanders’ employment status at the time of the accident is hotly disputed. Cuffe contends that Sanders was acting in his capacity as president and project manager for SCC at the time of the accident; Sanders asserts that he was employed solely as a forklift driver for GSC and was, thus, a “fellow employee” of Sanders, protected from suit by the exclusive remedy provision of the Workers’ Compensation Act.

The case proceeded to trial where, at the close of plaintiff’s case-in-chief, the trial court granted defendants’ motion for directed verdict as to both Sanders and SCC. The court ruled that (1) Sanders was Cuffe’s “fellow employee” at the time of the accident and, thus, immune from suit, under the exclusive remedy provisions of the Workers’ Compensation Act;1 and (2) the evidence introduced by plaintiff failed to establish that SCC had “retained control” over GSC’s operations sufficient to subject it to liability for injury to GSC’s employee. Cuffe subsequently moved the court for reconsideration of its prior order and for a new trial. The court denied Cuffe’s motion, and this appeal followed.

I. THE DIRECTED VERDICT AS TO SANDERS

In reviewing the grant of a directed verdict, our role is to determine whether the evidence and all reasonable inferences which may be drawn therefrom, viewed in the light most favorable to the nonmoving party, is such that reasonable jurors could not differ in their judgment. Dura Corp. v. Harned, 703 P.2d 396, 402 (Alaska 1985); City of Delta Junction v. Mack Trucks, 670 P.2d 1128, 1130 (Alaska 1983). Where there is conflicting evidence, or where the evidence is uncontradicted but competing inferences may reasonably be drawn therefrom, a directed verdict is improper. Bullard v. B.P. Alaska, 650 P.2d 402, 403 (Alaska 1982); see also 75 Am.Jur.2d Trial §§ 493, 494, 520-21, 537 (1974) (discussing the various standards to be applied on motion for directed verdict). Thus, we must first determine whether the trial court was correct in concluding that, after viewing plaintiff’s evidence, no reasonable juror could differ regarding Sanders’ status as Cuffe’s “fellow employee” at the time of the accident.

Cuffe contends that the trial court erred in granting a directed verdict in this case because the evidence in question is susceptible to competing inferences. He further argues that it was per se error for the trial court to grant a directed verdict at the close of plaintiff’s case-in-chief, insomuch as this constitutes an impermissible shifting of the burden of proof regarding Sanders’ coemployee defense. While we are not prepared to say that the trial court must [330]*330ignore even conclusive, unrebutted evidence of coemployee status when it is presented in plaintiff’s case-in-chief,2 it is clear that, where, as here, conflicting inferences may be drawn from the evidence actually introduced, a directed verdict is improper.

The evidence at trial established that, at the time of the accident, Sanders was operating a forklift which was being used to complete the ironwork assembly job for which GSC had contracted. There was also evidence suggesting that, while operating the forklift, Sanders was in fact taking his direction from the GSC foreman. On the other hand, Cuffe testified at trial that Sanders had personally represented to him that Sanders was “the project manager” for SCC on the job and that he (Sanders) could “do anything [he] want[ed]” on the worksite, including operate a forklift for GSC.3

Sanders contends that the foregoing evidence, even when viewed in the light most favorable to Cuffe, can reasonably lead the trier of fact to only one of two possible conclusions: either Sanders was solely in the employ of GSC at the time he drove the forklift, or he was in the employ of both GSC and SCC at that time. In either case, Sanders asserts, he is protected by the exclusive remedy provisions of AS 23.30.-055, which prohibits tort suits against a worker’s “fellow employees” concerning job-related injuries.

Our prior decisions have recognized that an employee may be employed simultaneously by two or more employers while performing a given employment function. Kastner v. Toombs, 611 P.2d 62, 65 (Alaska 1980); Laborers and Hod Carriers Union, Local No. 341 v. Groothuis, 494 P.2d 808, 812-14 (Alaska 1972); see also Kroll v. Reeser, 655 P.2d 753, 755-56 (Alaska 1982); Ruble v. Arctic General, 598 P.2d 95, 97-99 (Alaska 1979). Where the employee is performing services for the mutual benefit of both employers at the time of the accident, we think that such simultaneous employment would logically carry with it the statutory immunity afforded coemployees under the Workers’ Compensation Act.4 Accord, Marsh v. Tilley Steel, 26 Cal.3d 486, 162 Cal.Rptr. 320, 325-26, 606 P.2d 355, 360-61 (Cal.1980); Campbell v. Harris-Seybold Press, 73 Cal.App.3d 786, 141 Cal.Rptr. 55, 58 (1977). Before an employee may avail himself of such immunity, however, he must, at minimum, offer evidence sufficient to establish that such mutual employment in fact existed at the time of the accident for which the immunity is sought. Since it is axiomatic that the employer/employee relationship can only be created by contract, Selid Construction v. Guarantee Insurance, 355 P.2d 389, 393 (Alaska 1960), such evidence must be sufficient to establish the existence of an express or implied employment agreement between the parties. In the case at bar, such evidence is notably absent.

In Selid, we examined the question of whether the mere performance of duties at the direction of one other than one’s employer was sufficient to create a new or additional employment relationship. We concluded that it was not, stating:

[331]*331Once created, the [employment] relationship cannot be changed to substitute another employer without the employee’s consent.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Biles v. Exxon Mobil Corp.
22 Cal. Rptr. 3d 282 (California Court of Appeal, 2004)
Volb v. G.E. Capital Corp.
651 A.2d 1002 (Supreme Court of New Jersey, 1995)

Cite This Page — Counsel Stack

Bluebook (online)
748 P.2d 328, 1988 Alas. LEXIS 1, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cuffe-v-sanders-construction-co-alaska-1988.