Fromer v. Two Hundred Post Associates

631 A.2d 347, 32 Conn. App. 799, 1993 Conn. App. LEXIS 395
CourtConnecticut Appellate Court
DecidedSeptember 14, 1993
Docket10786
StatusPublished
Cited by19 cases

This text of 631 A.2d 347 (Fromer v. Two Hundred Post Associates) is published on Counsel Stack Legal Research, covering Connecticut Appellate Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Fromer v. Two Hundred Post Associates, 631 A.2d 347, 32 Conn. App. 799, 1993 Conn. App. LEXIS 395 (Colo. Ct. App. 1993).

Opinion

Lavery, J.

This is an appeal from the dismissal by the trial court of an appeal by the plaintiff, an abutting owner of a condominium, from the granting by the defendant city of New London conservation commission-inland wetlands agency (commission) of a second extension of an inland wetlands permit to the developer, the defendant Two Hundred Post Associates, doing business as Georgetown Associates (Georgetown).1 We affirm the judgment of the trial court.

The plaintiff claims that the commission did not have the power to grant a second extension, that an inland-wetlands permit does not run with the land, and that estoppel and tolling are not appropriate vehicles to uphold the commission’s decision.

The pertinent facts are as follows: In October, 1987, Georgetown applied to the commission for a permit to conduct a regulated activity, the building of a condominium project, on its property. On December 21, 1987, the permit was granted subject to the developer’s obtaining all necessary zoning permits and meeting various other conditions.2 The plaintiff, an [801]*801owner of a condominium unit located on adjoining property, appealed to the trial court from the decision granting the permit. That appeal was dismissed on May 5, 1988.

On April 11, 1988, Georgetown applied to the New London planning and zoning commission for a site plan approval and a coastal site plan approval for a fifty unit residential condominium project. On June 29, 1988, after extensive hearings, that application was approved. The plaintiff in this case also appealed to the trial court from the decision granting the site plan approvals. Judgment in that case was rendered on February 15, 1990, for the defendant. The trial court found that there was ample evidence in the record to justify the site plan approvals.

[802]*802In December, 1988, the commission granted the defendant Georgetown a one year extension of the inland wetlands permit. On November 13,1989, prior to the expiration of the permit, Georgetown sought an additional one year extension by letter. The commission did not act on the reply until January 8,1990, when it granted the extension retroactive to December 22, 1989, the date on which the first extension expired. This appeal is taken by the plaintiff from the granting of the second extension. Subsequent to the commission’s decision granting the second extension, Georgetown conveyed the subject property to the defendant Saybrook Bank and Trust Company (Saybrook Bank). The trial court granted Saybrook Bank’s motion to be made a defendant and, after hearing the case, found in favor of the commission and Saybrook Bank. In December, 1991, after the trial court’s decision, the Federal Deposit Insurance Corporation (FDIC) became the receiver of Saybrook Bank. The FDIC’s motion to be made a substitute defendant was granted by this court.

We hold (1) that the permit to conduct a regulated activity runs with the land and not with the applicant, and (2) that, on the facts of this case, in which a valid permit was issued to conduct a regulated activity within a specified time period and appeals from the granting of the necessary permits to conduct that activity were not resolved within the time period during which the activity was required to begin, that time period is tolled until all litigation is completed.

The plaintiff argues that an inland wetlands permit is a personal permit attached to the individual applicant that does not attach to the land and follow the title. We disagree. A review of the applicable statutes shows that the permit process is concerned with the property and not the applicant. In enacting ordinances and regulations and in granting, denying or limiting any per[803]*803mit for a regulated activity, an inland wetlands agency is required to consider those factors set forth in General Statutes §§ 22a-41, 22a-42a (d) and 22a-42e.3

[804]*804A permit is issued or denied on the basis of conditions relating to the land such as the topography, soil type, and the nature, extent, and effect of the proposed activity on the land. The factors in the statutes that can be considered by the inland wetlands agencies pertain only to the land and not to the applicants or owners.

Our Supreme Court has recognized the legal principle that a zoning variance runs with the land and not with the property owner. In Garibaldi v. Zoning Board of Appeals, 163 Conn. 235, 239, 303 A.2d 743 (1972), the court said: “By its very definition, a variance is granted with respect to a particular piece of property; it can be enjoyed not only by the present owner but by all subsequent owners. 2 Anderson, American Law of Zoning § 14.29, p. 662.” See T. Tondro, Connecti[805]*805cut Land Use Regulation (2d Ed. 1992), p. 124. Courts in other jurisdictions have recognized that conditional use permits run with the land and not with the owner. See County of Imperial v. McDougal, 19 Cal. 3d 505, 564 P.2d 14, 138 Cal. Rptr. 472 (1977); Northpointe Plaza v. Rochester, 457 N.W.2d 398, 401 (Minn. App. 1990).

We hold that an inland wetlands permit is concerned solely with the property to be regulated, and that the change of ownership does not affect the validity of the permit.

The plaintiff next claims that the permit has expired by the passage of time and that the commission had no authority to grant the second extension from which this appeal arises. Georgetown first applied for the inland wetlands permit, and it was granted, in December, 1987, and the plaintiff appealed. The wetlands permit was granted subject to zoning approval. In April, 1988, Georgetown applied simultaneously for zoning site plan approval and coastal area management site plan approval, which the New London planning and zoning commission granted. The plaintiff immediately appealed from that decision also. In December, 1988, the commission granted a one year extension of the wetlands permit, and, in January, 1990, the commission granted a second extension retroactive to December, 1989, from which the present appeal was taken. The appeal from the granting of the inland wetlands permit was dismissed in May, 1988, and the appeal from the site plan approvals was dismissed on February 15, 1990. The defendants have been involved with the present application for an inland wetlands permit since 1987 because of the appeals brought by a single plaintiff.

The plaintiff argues that since there was no stay in effect, the defendant Georgetown, and its successors, [806]*806could have begun construction. We, however, agree with the court in McGavin v. Zoning Board of Appeals, 26 Conn. Sup. 251, 255, 217 A.2d 229 (1965), that to have begun construction during the pendency of the appeal might have been considered “reckless conduct” on the part of the landowner. This is especially true in this case because the wetlands permit was conditioned on obtaining the necessary zoning permits, and there were two appeals from the initial granting of the permits.

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Bluebook (online)
631 A.2d 347, 32 Conn. App. 799, 1993 Conn. App. LEXIS 395, Counsel Stack Legal Research, https://law.counselstack.com/opinion/fromer-v-two-hundred-post-associates-connappct-1993.