Delaware County Electric Cooperative, Inc. v. Power Authority

96 A.D.2d 154, 468 N.Y.S.2d 233, 1983 N.Y. App. Div. LEXIS 20312
CourtAppellate Division of the Supreme Court of the State of New York
DecidedNovember 4, 1983
StatusPublished
Cited by19 cases

This text of 96 A.D.2d 154 (Delaware County Electric Cooperative, Inc. v. Power Authority) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Delaware County Electric Cooperative, Inc. v. Power Authority, 96 A.D.2d 154, 468 N.Y.S.2d 233, 1983 N.Y. App. Div. LEXIS 20312 (N.Y. Ct. App. 1983).

Opinion

OPINION OF THE COURT

Moule, J.

The principal question on this appeal concerns the interpretation of sections 1005 and 1009 of the Public Authorities Law.

Each of the four plaintiffs is a not-for-profit rural electric cooperative incorporated pursuant to the Rural Electric Cooperative Law for the purpose of supplying low-cost electric service to sparsely populated regions of the State which are not served by a private utility company. Defendant Power Authority of the State of New York (Power Authority) is a public authority created by section 1002 of the Public Authorities Law for the purpose of developing the State’s natural and man-made energy resources and insuring that all regions of the State are afforded sufficient and dependable power capacity (Public Authorities Law, § 1001). Defendant New York State Electric & Gas Corporation (NYSEGC) is a privately owned utility company in the business of generating, transmitting, distributing and selling electrical power.

In 1959 and 1961 the Power Authority entered into contracts with the various plaintiffs for the sale of hydroelectric power generated by the Power Authority’s Niagara and St. Lawrence power plants. Since the Power Authority lacked the transmission facilities to deliver this power to the plaintiffs, it contracted with NYSEGC to deliver the [156]*156power. Pursuant to the contracts between the plaintiffs and the Power Authority, the plaintiffs were obligated to reimburse the Power Authority for these transmission costs.

The transmission agreements between the defendants provided that Power Authority generated electricity would only be transmitted over NYSEGC transmission facilities at those times when the facilities were operating at less than full capacity. In February, 1981 the municipal and rural electric cooperative customers of the Power Authority filed a complaint with the Federal Energy Regulatory Commission (FERC) alleging that the Power Authority’s agreements with the utility companies to provide transmission services only during periods of excess capacity failed to meet the Power Authority’s statutory obligation to provide sufficient power to its preference customers. The complaint seeks to compel the Power Authority to provide the “firm transmission” of power to its customers.1

Following negotiations between NYSEGC and the Power Authority, the letter agreement, which is the subject of this litigation, was approved and executed on February 23,1982. The letter agreement provides that in consideration for substantial rate increases,2 NYSEGC shall render “firm” transmission of Power Authority energy to Power Authority customers. Pursuant to the agreement, the Power Authority also agreed not to protest NYSEGC’s filing with FERC for approval of the rate increase.

On March 30, NYSEGC filed the letter agreement with FERC pursuant to section 824e (subd [a]) of title 16 of the United States Code. FERC has exclusive jurisdiction to determine whether rates charged by public utilities for transmission services are “just and reasonable”. On April 22, 1982 the plaintiffs, through their representative, the New York State Rural Electric Cooperative Association (NYSRECA), filed a protest with FERC concerning the letter agreement. Among other things, the protest alleged that the letter agreement was invalid for noncompliance [157]*157with the hearing and approval requirements of section 1009 of the Public Authorities Law. NYSEGC and the Power Authority filed answers in opposition to the protest.

On June 4, 1982 FERC issued an order which established hearing procedures and directed that the new transmission rates go into effect July 2,1982, subject to refunds. The order also stated with respect to the Public Authorities Law that “[ijnsofar as NYSRECA raises issues of state law * * * its appropriate avenue of relief is in a court of competent jurisdiction”.

On June 23, 1982 the plaintiffs, through NYSRECA, filed an application for rehearing of FERC’s June 4 order pursuant to section 825Z (subd [a]) of title 16 of the United States Code. In part, the application contends that the letter agreement was subject to compliance with section 1009 of the Public Authorities Law and that FERC improperly declined to adjudicate this issue since it has the affirmative duty to determine the validity of the agreement under State law. The application for rehearing was denied as a result of FERC’s failure to act thereon (US Code, tit 16, § 825Z, subd [a]). The plaintiffs did not appeal to the United States Court of Appeals.

On July 21, 1982 plaintiffs commenced this action to void the letter agreement entered into by the defendants. The Power Authority and NYSEGC thereafter moved to dismiss the complaint, and plaintiffs cross-moved for partial summary judgment to declare the letter agreement void.

On February 24, 1983 Special Term decided that dismissal was not warranted due to lack of subject matter jurisdiction, nonjoinder of necessary parties, res judicata, or the running of the Statute of Limitations (118 Misc 2d 77). The court further held that the letter agreement was invalid for noncompliance with the public hearing and gubernatorial approval requirements of section 1009 of the Public Authorities Law.

Defendants, the Power Authority and NYSEGC, appeal from Special Term’s order denying their motion to dismiss plaintiffs’ complaint and granting plaintiffs’ cross motion for summary judgment.

[158]*158Four issues3 are raised on appeal: (1) that the Supreme Court lacked subject matter jurisdiction over the action; (2) that the letter agreement between the defendants is not subject to the hearing and gubernatorial approval requirements of section 1009 of the Public Authorities Law; (3) that the action is barred by res judicata or collateral estoppel; and (4) that the action is untimely under CPLR 217.

The first issue to be addressed is whether Special Term possessed subject matter jurisdiction to adjudicate whether the letter agreement was subject to the requirements of section 1009 of the Public Authorities Law. Three arguments are advanced by defendants asserting that Special Term did not have subject matter jurisdiction: (a) that FERC and the Federal courts have exclusive jurisdiction over matters concerning the validity of a rate contract; (b) that the court’s order invalidating the letter agreement violated the “filed rate doctrine”; and (c) that the plaintiffs’ proper remedy is an appeal to the Federal Court of Appeals.

Special Term held that FERC and the New York courts had concurrent jurisdiction to adjudicate the question whether the letter agreement was subject to the hearing requirements of section 1009 of the Public Authorities Law. Special Term properly noted that FERC has exclusive jurisdiction over rate determinations. It found the nub of this issue to be whether State courts have jurisdiction over State contract or statutory compliance issues which either were raised of could have been raised before FERC.

Defendants rely on City of Cleveland v Federal Power Comm. (525 F2d 845) to support their position that FERC’s exclusive jurisdiction pre-empts State court consideration of the questions presented. In City of Cleveland the municipality entered into a letter agreement with a public utility. The letter agreement was then accepted for filing by the Federal Power Commission (FERC’s predecessor) as a rate schedule.

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

Related

Thomas v. New York City Department of Education
96 A.D.3d 401 (Appellate Division of the Supreme Court of New York, 2012)
Sagal-Cotler v. Board of Education
96 A.D.3d 409 (Appellate Division of the Supreme Court of New York, 2012)
Cavallaro v. Nassau County Bd. of Elections
2003 NY Slip Op 23973 (New York Supreme Court, Nassau County, 2003)
Cavallaro v. Nassau County Board of Elections
2 Misc. 3d 880 (New York Supreme Court, 2003)
Affiliated Construction Trades Foundation v. Public Service Commission
565 S.E.2d 778 (West Virginia Supreme Court, 2002)
Village of Webster v. Town of Webster
270 A.D.2d 910 (Appellate Division of the Supreme Court of New York, 2000)
Suffolk County v. Long Island Power Authority
177 Misc. 2d 208 (New York Supreme Court, 1998)
City of Cleveland v. Cleveland Electric Illuminating Co.
684 N.E.2d 343 (Ohio Court of Appeals, 1996)
Yuschuk v. Eichas
168 Misc. 2d 775 (NYC Family Court, 1996)
People v. Powell
148 Misc. 2d 966 (New York Supreme Court, 1990)
ILC Data Device Corp. v. County of Suffolk
146 Misc. 2d 462 (New York Supreme Court, 1989)
American Motors Sales Corp. v. Brown
152 A.D.2d 343 (Appellate Division of the Supreme Court of New York, 1989)
People v. Rand
142 Misc. 2d 947 (Criminal Court of the City of New York, 1989)
Villella v. Department of Transportation
142 A.D.2d 46 (Appellate Division of the Supreme Court of New York, 1988)
Delaware & Hudson Railway Co. v. McDonald
126 A.D.2d 29 (Appellate Division of the Supreme Court of New York, 1987)

Cite This Page — Counsel Stack

Bluebook (online)
96 A.D.2d 154, 468 N.Y.S.2d 233, 1983 N.Y. App. Div. LEXIS 20312, Counsel Stack Legal Research, https://law.counselstack.com/opinion/delaware-county-electric-cooperative-inc-v-power-authority-nyappdiv-1983.