Frasier v. State

11 Misc. 3d 497, 810 N.Y.S.2d 818
CourtNew York Court of Claims
DecidedNovember 21, 2005
DocketClaim No. 110342
StatusPublished
Cited by1 cases

This text of 11 Misc. 3d 497 (Frasier v. State) is published on Counsel Stack Legal Research, covering New York Court of Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Frasier v. State, 11 Misc. 3d 497, 810 N.Y.S.2d 818 (N.Y. Super. Ct. 2005).

Opinion

OPINION OF THE COURT

Richard E. Sise, J.

[498]*498The following papers were read on claimant’s motion for “relief from mistake of law or fact”: notice of motion and supporting affidavit of Susan Frasier, pro se; affirmation in opposition of Stephen J. Maher, Assistant Attorney General;1 claim and answer.

On January 10, 2005, claimant filed a pro se claim seeking to recover money damages for what she defined as intentional tort and fraud arising from her interactions with the New York State Division of Veterans’ Affairs. Attached to her claim was a completed “Affidavit in Support of Application Pursuant to CPLR 1101 (d),” by which she requested waiver of the Court of Claims’ $50 filing fee. On January 21, 2005, the court issued an order denying the request for waiver or reduction of the filing fee and directing claimant to pay the fee within 120 days of the date of the order. The order further stated that if the fee was not paid within that time period, the clerk of the court was to close the file without further judicial action.

Claimant did not pay the filing fee, but two days before expiration of the 120-day grace period, she commenced the instant motion. She states that the relief she is seeking by this motion is “relief from mistake of law or fact,” citing CPLR 3005. That statute, however, has no relevance to this motion or to the underlying claim.2 A review of claimant’s moving papers makes it very clear that the mistake to which claimant refers is the court’s alleged mistake in denying her application for waiver of a filing fee. Consequently, it appears that she has, in fact, brought a motion to reargue and/or renew (CPLR 2221).

On a motion for leave to reargue a prior order, a party has the opportunity to establish that the court overlooked or misapprehended the relevant facts or misapplied a controlling principle of law. On a motion for leave to renew, a party has the [499]*499opportunity to present new proof of material facts (Siegel, Practice Commentaries, McKinney’s Cons Laws of NY, Book 7B, CPLR C222L7, at 182). Indigent claimants, many of whom are appearing pro se, typically apply for a waiver or reduction of a filing fee by making use of a simple application form, on which the claimant does little more than provide a list of his or her financial assets. This form does not request or leave room for arguments to be presented in support of the motion or for documentary evidence in support of the motion. The instant motion, therefore, presents the first practical opportunity claimant has had to either make legal arguments or to present evidence to the court.

For that reason, and with deference to her pro se status, the court grants leave to consider her application anew. On this motion, claimant has both presented argument in support of the relief sought and submitted one piece of documentary evidence. Consequently, the motion will be deemed one for both reargument and renewal and, again in light of her pro se status, the court will not require that she “identify separately and support separately each item of relief sought” (CPLR 2221 [i]).

Claimant makes several, apparently novel arguments in support of her contention that the court erred in denying her application for a waiver of the filing fee. She states that she had been granted permission to proceed in forma pauperis in a federal action in the United States District Court for the Northern District of Alabama and provides a copy of that order (Frasier affidavit, 2d exhibit), implying that what is good for one court should be good enough for another. She also argues that because the Court of Claims has no “published universal income standard” to establish who is entitled to poor person relief, it may not deny such status to anyone {id. HIT 5, 8). The majority of claimant’s assets cannot rightfully be considered by the court, she contends, because they consist of “[disability and work relief income” {id. 11 4) or are the assets of a disabled, incapacitated person {id. 1Í1I 6, 7). Finally, claimant argues that denial of poor person status in connection with this action would be unduly burdensome because she intends to file “other spawned and related” cases in other courts and against other parties and, if denied permission to proceed as a poor person, she would not be able to pay filing fees in all of those courts {id. 119).

Although she has presented arguments and evidence in support of the motion, claimant has nevertheless omitted one of the [500]*500critical first steps that is required in any application for relief under CPLR 1101 (a): providing the court with information about “the nature of the action” with “sufficient facts so that the merit of the contentions can be ascertained.”3 Often, as a practical matter, the facts from which the merits of an applicant’s contentions can be ascertained will not be part of the moving papers but, rather, are found in a claim or other document that is already on file with the court (see e.g. Harris v State of New York, Ct Cl 2001, Fitzpatrick, J., No. 2001-018-065, Claim No. 95469, Motion No. M-62645; Milland v State of New York, Ct Cl 2001, McNamara, J., No. 2001-011-514, Claim No. 102801, Motion No. M-62544). As noted above, claimant’s original affidavit in support of her CPLR 1101 application was made on a preprinted form, containing only the statement that the facts of her case “are described in my claim and other papers filed with the court.” In the papers submitted in connection with this motion, claimant makes no additional reference to the nature or merit of her underlying claim and, therefore, it is the filed claim that the court must consider.

Claimant is a veteran who states that she is disabled as a result of exposure to PCBs while stationed at Fort McClellan in Anniston, Alabama.4 She apparently sought the services of the State Division of Veterans’ Affairs (SDVA) to represent her in connection with her disability claim. The SDVA is part of the Executive Department (Executive Law, árt 17, §§ 350-364), and serves to coordinate the services and facilities available to members of the armed services and veterans within the state and to oversee the work of local veterans’ service organizations. This court does have jurisdiction to hear claims based on allegations that an employee of the SDVA was negligent in carrying out a ministerial duty in the course of providing services to a veteran (Di Maio v State of New York, 135 Misc 2d 1021 [Ct Cl [501]*5011987]; Di Maio v State of New York, 128 Misc 2d 101 [Ct Cl 1985] [allegations that an employee failed to forward a disability claim to the Veterans’ Administration and then hid the fact]).

To obtain the services of a veterans’ service organization in prosecuting her disability claim, claimant was required to sign a Veterans’ Administration form, Form 21-22, entitled “Appointment of Veterans Service Organization as Claimant’s Representative.” This form states on its face that it is a “power of attorney.”5 Claimant apparently understood this reference to mean that SDVA was required to provide an attorney to represent her. Her claim is based on that contention and on the fact that she was assigned a representative who was not a lawyer. The relief claimant seeks is described as follows:

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Cite This Page — Counsel Stack

Bluebook (online)
11 Misc. 3d 497, 810 N.Y.S.2d 818, Counsel Stack Legal Research, https://law.counselstack.com/opinion/frasier-v-state-nyclaimsct-2005.