Dietrick v. Ohio Bureau of Workers' Compensation

595 N.E.2d 513, 72 Ohio App. 3d 567, 1991 Ohio App. LEXIS 795
CourtOhio Court of Appeals
DecidedFebruary 20, 1991
DocketNo. 5-89-14.
StatusPublished
Cited by5 cases

This text of 595 N.E.2d 513 (Dietrick v. Ohio Bureau of Workers' Compensation) 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
Dietrick v. Ohio Bureau of Workers' Compensation, 595 N.E.2d 513, 72 Ohio App. 3d 567, 1991 Ohio App. LEXIS 795 (Ohio Ct. App. 1991).

Opinion

Evans, Judge.

Appellant-claimant, Barbara J. Dietrick, appeals from a judgment of the Court of Common Pleas of Hancock County sustaining the motion of appellees, the Bureau of Workers’ Compensation et al., for a directed verdict.

Appellant, Barbara J. Dietrick, sustained a compensable injury on January 2, 1979, while in the course of and arising out of her employment with Wolf’s *569 Huddle Inn. More specifically, in claim No. 79-48 appellant’s application was recognized for an injury to her ankle which was dislocated and broken in three places as a result of her fall on the ice in her employer’s parking lot.

In 1983, while lifting a laundry basket, appellant’s lower back “snapped,” causing her extreme pain. Upon seeking medical treatment, her condition improved within a couple weeks. Appellant’s lower back “snapped,” again in 1986, when she bent over to pick up her grandchild. Appellant sought medical treatment from Dr. Gary Petro, who diagnosed her condition as chronic vertebra disc syndrome of the lower spine. Petro opined that appellant’s 1979 ankle injury changed her gait which, in turn, placed excessive strain on her lower back which, in turn, resulted in the condition for which appellant now seeks additional workers’ compensation benefits.

On June 25, 1986, appellant filed an application for an additional allowance to her workers’ compensation award. On July 18,1986, an Industrial Commission hearing officer rejected her claim. That decision was subsequently affirmed on appeal by the regional board of review. On September 11, 1987, appellant, pursuant to R.C. 4123.519, appealed the decision to the Court of Common Pleas of Hancock County. On January 5,1989, the matter proceeded to trial where, at the close of appellant’s case-in-chief, appellees orally moved for a directed verdict on the grounds that appellant’s application for an additional allowance was barred by the two-year statute of limitations imposed by R.C. 4123.84. Simultaneously, appellees sought leave to amend their answer to include that affirmative defense. By judgment of April 6,1989, the trial court granted appellees leave to amend their answer and sustained their motion for a directed verdict, finding that appellant should have known of her injury in 1983 and, thus, her 1986 filing was barred by the two-year statute of limitations.

It is from this judgment that appellant appeals, submitting five assignments of error, which provide as follows:

“1. The trial court erred in directing a verdict against the plaintiff-appellant, and by deciding that the statute of limitations contained in R.C. 4123.84 had expired.”

“2. The trial court erred by permitting the defendants to raise a defense not contained in their answer on the day of trial.”

“3. The trial court erred in deciding that it lacked jurisdiction over the plaintiff’s claim.”

“4. The trial court erred in not sustaining the plaintiff’s motion to compel the production of medical records.”

*570 “5. The trial court erred in not assessing court costs against the defendants for intentionally concealing a defense until the day of the trial and thereby wasting the time of the plaintiff, the jurors and the court.”

Relevant to appellant’s first assignment of error, R.C. 4123.84 provides in part as follows:

“(A) In all cases of injury or death, claims for compensation or benefits for the specific part or parts of the body injured shall be forever barred unless, within two years after the injury or death:

“(1) Written notice of the specific part or parts of the body claimed to have been injured has been made to the industrial commission or the bureau of workers’ compensation.”

Thus, an injured claimant generally has two years from the date of his or her injury within which to file an application for workers’ compensation benefits. However, this is not to say that only those related conditions which manifest themselves within two years of the original injury are compensable. Rather, allowance is made for those related conditions which surface thereafter. These related conditions are commonly referred to as “residual” or “flow through” injuries which have been defined as “one developing in a body part not originally alleged per R.C. 4123.84(A)(1).” Dent v. AT & T Technologies, Inc. (1988), 38 Ohio St.3d 187, 527 N.E.2d 821.

The application of the two-year statute of limitations to a “residual” or “flow through” injury was first addressed by the Supreme Court of Ohio in Clementi v. Wean United, Inc. (1988), 39 Ohio St.3d 342, 530 N.E.2d 909, syllabus, wherein the court concluded that:

“R.C. 4123.84 requires a claimant to file a motion for an additional allowance within two years of the time the claimant knew or should have known of the additional condition.” See, also, Edwards v. AT & T Technologies, Inc. (1989), 42 Ohio St.3d 119, 537 N.E.2d 1305.

In applying these cases and R.C. 4123.84 to the case at bar the trial court, in its judgment of April 6, 1989, concluded that:

“The plaintiff's evidence clearly establishes she knew in 1983 of her additional condition or should have known of it and taken action at that time rather than waiting until 1986.”

Appellant contends that the statute of limitations, where applied to a “residual” or “flow through” injury, does not begin to run until a claimant knows or should know not only of the condition but also of its causal relationship to his or her original injury. Conversely, appellees argue that for the statute of limitations to commence running a claimant need only know or have reason to know of the condition itself. Thus, the issue squarely before *571 us is whether, in order for the statute of limitations to commence, a claimant need know or have reason to know of the causal relationship between the original injury and the subsequent “residual” or “flow through” injury.

In Edwards, supra, 42 Ohio St.3d at 120, 537 N.E.2d at 1306, the Supreme Court of Ohio stated as follows:

“Applying dementi to the present facts, we must determine whether appellee knew or should have known of the psychiatric condition prior to December 6, 1980 — the date two years prior to her application. We answer this question in the negative. While the reports of Drs. Larrick, Smith, Loomis and Ridgeway preceded the above date, we are unconvinced that their references to a possible psychiatric condition were sufficient to put appellee on notice of a psychiatric condition related to her industrial injury. Absent such evidence we find appellee’s application timely.” (Emphasis added.)

We read this passage to clearly imply that the Supreme Court intended that a causal relationship be present in the “know or should have known” analysis.

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Cite This Page — Counsel Stack

Bluebook (online)
595 N.E.2d 513, 72 Ohio App. 3d 567, 1991 Ohio App. LEXIS 795, Counsel Stack Legal Research, https://law.counselstack.com/opinion/dietrick-v-ohio-bureau-of-workers-compensation-ohioctapp-1991.