Endler v. Schutzbank

436 P.2d 297, 68 Cal. 2d 162, 65 Cal. Rptr. 297, 1968 Cal. LEXIS 153
CourtCalifornia Supreme Court
DecidedJanuary 26, 1968
DocketL. A. 29458
StatusPublished
Cited by85 cases

This text of 436 P.2d 297 (Endler v. Schutzbank) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Endler v. Schutzbank, 436 P.2d 297, 68 Cal. 2d 162, 65 Cal. Rptr. 297, 1968 Cal. LEXIS 153 (Cal. 1968).

Opinions

TOBRINER, J.

After nearly 15 years in the finance business, plaintiff finds himself unable to obtain employment in his chosen field because the Commissioner of Corporations, having labelled him a criminal on the basis of unproved accusations, threatens disciplinary action against anyone who might employ him. Plaintiff seeks an opportunity to confront his accusers and to defend his innocence; he urges that, until his guilt has been adjudicated in proper proceedings, the Constitution guarantees his right to pursue a lawful occupation unburdened by an official badge of criminality. We hold that the alleged conduct of the commissioner, rendering the plaintiff unemployable without affording him a full hearing on the charges against him, transgresses the fundamental principle that the state may deprive no man of liberty or property without due process of law. Accordingly, we conclude that the plaintiff has stated a ease for declaratory and injunctive relief and that the trial court erred in dismissing his complaint upon the commissioner’s general demurrer.

I

Given the procedural posture of this ease, we must accept as accurate the factual allegations of plaintiff’s complaint. (Rosenfield v. Malcolm (1967) 65 Cal.2d 559, 563 [55 Cal.Rptr. 505, 421 P.2d 697] ; Stanton v. Dumke (1966) 64 Cal.2d 199, 201 [49 Cal.Rptr. 380, 411 P.2d 108] ; Stigall v. City of Taft (1962) 58 Cal.2d 565, 567-568 [27 Cal.Rptr. 441, 375 P.2d 289] ; Flores v. Arroyo (1961) 56 Cal.2d 492, 497 [15 Cal.Rptr. 87, 364 P.2d 263].) For present purposes, therefore, we treat the following facts as undisputed:

[166]*166For 14% years prior to November 1965, plaintiff was employed by various financial institutions in California. He has earned his livelihood almost exclusively in the finance business and his ability to support his family will be seriously impaired unless he is permitted to hold a position with a personal property broker licensed by the state.1

In mid-November 1964, plaintiff secured such a position as office manager for Huntington Finance Corporation. At some time prior to mid-September 1965, the commissioner informed Huntington that one of plaintiff’s former employers had charged him with forgery and embezzlement and that, unless Huntington would terminate plaintiff’s employment, the commissioner would take steps to revoke or suspend Huntington's license as a personal property broker. At the time the commissioner so notified Huntington, his office had undertaken no independent investigation of the accusations lodged against plaintiff. Plaintiff requested an opportunity to present evidence in his own behalf, but the commissioner refused at that time to hold a hearing of any kind.

Huntington informed the commissioner that plaintiff was a 1 ‘ capable, conscientious and thoroughly honest employee ’ ’ who had been “of great assistance to the company” and that the employer who had allegedly accused the plaintiff of wrongdoing had told Huntington that plaintiff was a “very honest man and ... a good worker and well versed in the finance business.” Huntington concluded that “it would [therefore] be unconscionable of us to dismiss [plaintiff] on the basis of your verbal request, unsupported by independent investigation, and based upon charges made by a man who had previously given [plaintiff] a warm recommendation.” Huntington added: “If we were to comply with your request, and each new employer were to do likewise [plaintiff] would be forever barred from employment in his chosen field without ever being given a hearing or a chance to clear his name. We consider this to be fundamentally at odds with his basic [167]*167rights. We do not think it is the proper way to treat a trusted employee who has rendered faithful and effective service on our behalf. ’ ’

Several weeks after Huntington addressed this communication to him, the commissioner instituted proceedings to revoke Huntington’s license because of its refusal to discharge plaintiff. Although Huntington resisted the commissioner’s attempt, its efforts proved futile. Huntington was purchased by State Loan and Finance Management Corporation. Unwilling to risk the commissioner’s disfavor, State Loan terminated plaintiff’s employment in early November 1965. Two weeks later, the commissioner dismissed the proceedings against Huntington’s successor.

Shortly thereafter, the commissioner offered to conduct an “informal hearing” on the charges urged against plaintiff “with the understanding that said informal hearing was not undertaken pursuant to any specified statute or statutory authority, was not to be in accordance with administrative procedures applicable to formal hearings, and would be without prejudice to the rights of the parties thereto.” The commissioner indicated that, unless he were favorably disposed after such a hearing, he “would continue to threaten disciplinary action against any . . . licensees who employed plaintiff.” Plaintiff did not agree to subject himself to the proposed proceeding.

The commissioner then embarked upon a policy of “directing its licensees . . . not to employ plaintiff on threat of revocation or suspension of their personal property broker’s license” with the result that “it has become impossible for plaintiff to obtain employment anywhere in the State of California with a licensed personal property broker or with any other licensee of the office of the Commissioner of Corporations.”

Alleging that he would suffer irreparable injury if the commissioner were permitted to persist in directing others not to employ him, the plaintiff sought declaratory, injunctive, and mandatory relief, together with whatever other relief the court might deem proper. The commissioner demurred on the ground that the complaint failed to state facts sufficient to constitute a cause of action. In June 1966, the trial court sustained the demurrer without leave to amend and ordered plaintiff’s action dismissed. Plaintiff then instituted this appeal.

[168]*168II

At the threshold, we are met by the Attorney General’s contention that, having failed to exhaust the administrative remedy offered to him in late 1965, plaintiff cannot now seek judicial protection. The argument does not require extended discussion. We have recently held that an opportunity for administrative review does not constitute the sort of “remedy” which a party must exhaust before invoking the assistance of the courts unless the statute or regulation under which such review is offered “establishes clearly defined machinery for the submission, evaluation and resolution of complaints by aggrieved parties.” (Rosenfield v. Malcolm, supra, 65 Cal.2d at p. 566; see the cases discussed at pp. 566-567; see also People v. Broad (1932) 216 Cal. 1, 7-8 [12 P.2d 941].)

We recognize that the issue in Bosenfield turned on whether or not a well-defined remedy existed, whereas in the instant ease a remedy of sorts was offered. The commissioner, however, proposed only a manifestly defective “hearing.” Without pausing to consider its more technical shortcomings,2 we need only recall that the commissioner suggested a hearing that would be “without prejudice to the rights of the parties” and that would bind the commissioner only at his own discretion.

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Bluebook (online)
436 P.2d 297, 68 Cal. 2d 162, 65 Cal. Rptr. 297, 1968 Cal. LEXIS 153, Counsel Stack Legal Research, https://law.counselstack.com/opinion/endler-v-schutzbank-cal-1968.