Dbm Consulting Engineers, Inc. v. Joseph D. Sanders

CourtCourt of Appeals of Washington
DecidedNovember 2, 2015
Docket72053-8
StatusUnpublished

This text of Dbm Consulting Engineers, Inc. v. Joseph D. Sanders (Dbm Consulting Engineers, Inc. v. Joseph D. Sanders) is published on Counsel Stack Legal Research, covering Court of Appeals of Washington primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Dbm Consulting Engineers, Inc. v. Joseph D. Sanders, (Wash. Ct. App. 2015).

Opinion

IN THE COURT OF APPEALS OF THE STATE OF WASHINGTON

DBM CONSULTING ENGINEERS, INC., a Washington corporation, No. 72053-8-1

Respondent, DIVISION ONE

UNPUBLISHED OPINION

JOSEPH D. SANDERS and the marital community composed of Joseph D. Sanders and Jane Doe Sanders; SOOS CXI

CREEK VISTA, INC., a Washington corporation,

Appellants,

CHRISTINE POLLOCK and the marital community composed of Christine Pollock and John Doe Pollock; POLLOCK INVESTMENT CO., LLC, a Washington limited liability company,

Defendants. FILED: November 2, 2015

Appelwick, J. — Sanders and SCV challenge the trial court's order granting

summary judgment. The trial court ordered Sanders to return promissory notes and cash fraudulently transferred by SCV in order to make them available in supplemental proceedings initiated by DBM. SCV argues that the trial courtlacked the authority to grant

relief under the Uniform Fraudulent Transfer Act1 for two reasons: the transferred

Chapter 19.40 RCW. No. 72053-8-1/2

promissory notes and cash were fully secured pursuant to an antecedent debt and not

subject to the UFTA, and because the insider transfer claim was time barred under

UFTA's one year extinguishment statute. A transferee is a necessary party in an UFTA

fraudulent transfer action. Sanders was not joined within the one year period. We

reverse.

FACTS

This is the third appeal involving DBM Consulting Engineers, Inc.'s attempt to

collect a judgment from Soos Creek Vista, Inc. (SCV). See DBM Consulting Eng'rs, Inc.

v. U.S. Fid. & Guar. Co.. 142 Wn. App. 35, 37-38, 170 P.3d 592 (2007) (DBM I); DBM

Consulting Eng'rs. Inc. v. Sanders, noted at 157 Wn. App. 1051, 2010 WL 3490240, at *1

(DBM II). In 2005, DBM attempted to garnish promissory notes2 to satisfy its judgment

against SCV. DBM II, 2010 WL 3490240, at *1. When DBM did so, it discovered that, in

June 2005, the promissory notes were transferred from SCV to its owner and officer,

Joseph Sanders. Id. In October 2005, DBM initiated supplemental proceedings to levy

execution on the transferred promissory notes,3 alleging the transfers were preferential

payments to an insider in violation of the Uniform Fraudulent Transfer Act, chapter 19.40

RCW (UFTA). jd. The trial court determined SCV had made fraudulent transfers to

Sanders, and ordered Sanders to return the promissory notes to SCV. Id. Sanders had

not been made a party in his personal capacity. See jd. at *3.

2 SCV generated its income from the sale of property. The promissory notes at issue represent notes from three different sales of lots to three different buyers. Joseph Sanders, as president of SCV, assigned the promissory notes to himself, personally, on June 2, 2005. 3 Although DBM also seeks return of cash Sanders transferred from SCV's bank account, that cash was not subject to the trial court's order discussed in DBM II. No. 72053-8-1/3

Two questions were raised in DBM II: (1) whether a party must raise a UFTA claim

in a new, separate action or if it may do so in a supplemental proceeding via a

postjudgment motion and (2) whether a transferee of the allegedly transferred asset is a

necessary party to the proceeding. Id. at *2. This court determined that a separate action

was not required; an UFTA claim could be asserted in a supplemental proceeding. Id.

We also determined that the transferee of assets was a necessary party to an UFTA

claim, id. Because Sanders, the transferee, had not been added as a party, the trial

court's order was voided and the matter remanded for further proceedings. Id at *3. The

mandate in DBM II issued on March 8, 2011.

Upon remand, DBM's first motion sought an order to show cause directing Sanders

to appear on March 5, 2012. DBM was unable to serve that order on Sanders. DBM

obtained an amended order to show cause on June 20, 2012 for an August hearing date.

The superior court made a clerical error and the August hearing date was lost. On March 3, 2014—-almost three years afterthe Court ofAppeals' mandate—DBM obtained a third

orderto show cause making Sanders a party. Sanders accepted service ofthe third order

to show cause on March 6, 2014.4 Then, Sanders moved for summary judgment arguing

that DBM's UFTA claim against him was untimely and that the transfer of the promissory

notes did not constitute a fraudulent transfer under the statute, because he had a

4 DBM refers to the process of obtaining an order to show cause as a "rocky one." After the case was remanded, DBM cites to many different reasons for delay and for the gaps in time between the orders to show cause: DBM tendering the prosecution of the fraudulent conveyance claim to DBM's former attorneys and their insurance carrier, DBM reaching a settlement with the former attorneys, Sanders allegedly avoiding service ofan order to show cause, the superior court losing track of the case and making a clerical error, and the death of DBM's president. No. 72053-8-1/4

preexisting security interest in the promissory notes at issue. DBM also moved for

summary judgment.

On June 2, 2014, the trial court granted DBM's motion for summary judgment. CP

906. It concluded that the transfers of SCV's promissory notes and cash to Sanders in

June 2005 were fraudulent transfers forbidden by RCW 19.40.051. It further stated that

Sanders was to convey the promissory notes to SCV and return cash that Sanders had

transferred out of SCV's bank account. It also ordered that SCV and Sanders respond to

DBM's interrogatories and appear for examination pursuant to RCW 6.32.010 and RCW

6.32.030. And, it awarded DBM attorney fees incurred pursuing SCV from March 4, 2011

through the entry of the supplemental judgment. Sanders and SCV (together "SCV")

appeal.

DISCUSSION

SCV argues that the trial court erred when it granted DBM's motion for summary

judgment. First, it argues that the transfers of the promissory notes and cash were not

subject to the UFTA, because they were property encumbered by a valid lien. Secondly,

it argues that because DBM failed to make Sanders a party to the supplemental

proceedings within the time required under RCW 19.40.091, that its UFTA action is time

barred.5 SCV also claims that if it prevails in this appeal, it is entitled to an award of

attorney fees incurred in the supplemental proceedings below and on appeal.

5 DBM argues that SCV should have brought its statute of limitations argument in the prior appeal. It argues this is so, because the statute began to run in 2005 when the transfers were made and, as a result, this argument was available during the first action. DBM cites to Bank of Am.. N.A. v. Owens. 177 Wn. App. 181, 193,311 P.3d 594 (2013), review denied. 179 Wn.2d 1027, 320 P.3d 718 (2014), for the assertion that allowing SCV to sit on this theory and wait until it did not prevail, flies in the face of the policy against allowing piecemeal appeals.

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