Employers Liability Assurance Corp. v. Sheftall

103 S.E.2d 143, 97 Ga. App. 398, 1958 Ga. App. LEXIS 787
CourtCourt of Appeals of Georgia
DecidedMarch 14, 1958
Docket37073
StatusPublished
Cited by19 cases

This text of 103 S.E.2d 143 (Employers Liability Assurance Corp. v. Sheftall) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Employers Liability Assurance Corp. v. Sheftall, 103 S.E.2d 143, 97 Ga. App. 398, 1958 Ga. App. LEXIS 787 (Ga. Ct. App. 1958).

Opinion

Townsend, Judge.

The plaintiff having in his petition alleged a breach of a building contract in certain specified particulars, and the defendant in his answer having denied the breach of contract and having also alleged: “These defendants further show that all of said construction was in accordance with, at the instructions of and under the approval of said architect and these defendants are completely released from any liability, having built it in accordance with the instructions of plaintiff’s agent,” two' defensive issues were raised. One was a mere denial that the construction had not been according to contract as alleged by the plaintiff, and the other was a defense, supported by some evidence, that the architect approved the chimney in the condition in which it was actually built, although not in accordance with the specifications, and that the owner ratified all acts of the architect by giving him complete authority to agree to changes in specifications. Under the' pleadings and evidence, accordingly, it was not error for the court to charge: “Where the defendants plead and set up an affirmative defense the burden rests upon, such defendants to establish the truth of such affirmative defense by a preponderance of the evidence adduced upon the trial of the case.” Here the plaintiff made out a prima facie case by the introduction of evidence showing that the defendant had not built the chimney according to the building specifications attached to and made a part of the contract, and that as a result thereof damage occurred. The defendant was then entitled to’, *401 and did, offer evidence the purpose of which was to show that his failure to follow the specifications with exactitude was not actionable for the reason that it was a variance which had been acquiesced in by an agent of the plaintiff, and that the plaintiff had ratified such acquiescence on the agent’s part even though it was unauthorized in the first instance. While the burden of proof remains with the plaintiff throughout the trial, the burden of evidence shifts, once the plaintiff has made out a prima facie case, to establish other facts which would negative liability on the part of the defendant. Hanover Fire Ins. Co. v. Pruitt, 59 Ga. App. 777 (2 S. E. 2d 123). McCrackin v. McKinney, 52 Ga. App. 519 (2) (183 S. E. 831). The rule of law contained in this charge is not restricted to situations in which a defendant admits a prima facie case and pleads matter in confession or avoidance, thus assuming the burden of proof. See Code § 38-103. These grounds are without merit.

The court charged in part that the plaintiff denies that Mr. Thompson, the architect, was his agent clothed with authority to authorize any changes without the owner’s approval; that the question of agency is one’for the jury; that if they should believe that the architect was acting within the scope of his authority his acts would be chargeable to the plaintiff, but if they found that the plaintiff did not authorize him to allow the defendants to make any changes in the construction of the house, then, even though the architect did authorize such changes his acts in this connection would not be chargeable to the plaintiff. On this issue the evidence was in conflict, but there is supporting evidence to the effect that the plaintiff never gave Mr. Thompson any authority to waive- any terms of the contract or accept any work which did not come up to specifications. His wife testified to the same effect. The architect testified, “I had no* authority to permit any deviation from the plans and specifications.” The jury might well have reconciled this testimony with other statements of the plaintiff and his wife that they depended on Mr. Thompson, that they would endorse what he told the defendants to do, and that they ratified and agreed to his instructions, by finding that the whole testimony showed an endorsement by them of acts performed by the architect which were authorized under the contract, but not a ratification of acts in violation of the contract. *402 Where there is an issue as to whether a person is bound by the acts of another as,his agent, either,under original authority or by reason of ratification, it, is not,/error to explain to the jury the rule of law as to the extent of-an agent’s.authority. Terry v. International Cotton Co., 138 Ga. 656 (2) (75 S. E. 1044).

Thirteen of the special grounds of the amended motion for new trial complain .of the admission in evidence,.of copies of as many letters addressed to the defendants and sent from the plaintiff, his wife, his architect and his attorney., .As to each of the letters the following objection was made: “This letter is immaterial and irrelevant. It is self-serving in that .the whole content is generally concerning what they want us. to do or what we haven’t done.” None of the letters is entirely a self-serving declaration, in that each one constitutes proof of the allegation in the petition that notice of the defects was given to the defendants. The first letter is dated December 2, 1954, and contains a list of unfinished items. The last letter, dated January 18, 1957, is a notice from the plaintiff’s attorney to the, defendants demanding indemnification. ■ The intermediate letters, spanning more than a year, notify either the defendaiits or their bonding company of unfinished items, probability of rain damage, extent of prior rain damage, failure of persons sent by the defendants to repair the chimney to accomplish this purpose, particulars in which the specifications had been violated, breach of a subsequent agreement by the- defendants to employ a roofing expert to make an independent examination, and so forth. These letters and the testimony in support thereof demonstrate that the defendants were given immediate notice, not only' of the original failure to finish the construction in a workmanlike manner, but of each subsequent item of damage caused by the long period of time during which the leaks were not fixed. In order to recover the cost of the repairs, the consequential damages resulting from rain over a period of a yéar, it was certainly essential to- the plaintiff’s case that he show attempts on his'part to- minimize the damage and induce the contractors to meet the obligations of the contract, which meant informing them of flaws in subsequent corrective work, warning them of probable future- damages, and reporting such dam'age when it occurred. - Some of the letters contained irrelevant matter; and some'" ’contained self-serving *403 declarations. The general rule ,is that where a' portion of the evidence offered is admissible and a portion inadmissible, an objection to the evidence as a whole which does not point out and limit itself to the objectionable part is not sufficient. Stringer v. Wheeler, 161 Ga. 91 (2) (129 S. E. 634); Potts v. State, 86 Ga. App. 779 (1) (72 S. E. 2d 553). For the proper procedure in such a case see Kansas City Life Ins. Co. v. Williams, 62 Ga. App. 707 (1) (9 S. E. 2d 680). Under the objections interposed, no reversible error is shown in allowing these documents in evidence.

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Bluebook (online)
103 S.E.2d 143, 97 Ga. App. 398, 1958 Ga. App. LEXIS 787, Counsel Stack Legal Research, https://law.counselstack.com/opinion/employers-liability-assurance-corp-v-sheftall-gactapp-1958.