Georgia Real Estate Commission v. Syfan

383 S.E.2d 605, 192 Ga. App. 3, 1989 Ga. App. LEXIS 874
CourtCourt of Appeals of Georgia
DecidedJune 20, 1989
DocketA89A0770
StatusPublished
Cited by5 cases

This text of 383 S.E.2d 605 (Georgia Real Estate Commission v. Syfan) 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
Georgia Real Estate Commission v. Syfan, 383 S.E.2d 605, 192 Ga. App. 3, 1989 Ga. App. LEXIS 874 (Ga. Ct. App. 1989).

Opinion

Carley, Chief Judge.

The facts, insofar as they are relevant to this appeal, are as follows: Appellee’s real estate license was revoked in 1975. In 1987,.he was considering his reentry into the real estate business and, to that end, he placed a telephone call to the appellant Georgia Real Estate Commission (Commission). According to appellee, he disclosed in that conversation that his license had been revoked in 1975, but was told by an unidentified Commission employee that there was “nothing on the record to indicate that.” The Commission then sent appellee an application for the reinstatement of his license. This application provided a space for the applicant to certify, by his signature, “that the information contained in this application is true and correct and that I have not been convicted of a crime or disciplined by a licensing agency (if you have, attach details).” (Emphasis supplied.) Appellee signed the application, but did not disclose either the fact or the details of the 1975 revocation of his license. As the result of this application, appellee was reissued a license. Subsequently, the Commission ascertained that it had misfiled the record of appellee’s 1975 license revocation. When this was discovered, the Commission began an investigation into the reinstatement of appellee’s license. This investigation culminated in the Commission’s revocation of appellee’s reinstated license. On appeal to the superior court, the Commission’s decision to revoke appellee’s license was reversed. This court granted the Commission’s application for a discretionary appeal from the order of the superior court.

1. Appellee’s violation of OCGA § 43-40-15 (c) was among the grounds cited by the Commission for its revocation of his license. That statute provides: “Where an applicant or licensee has made a false statement of material fact on his application . . . , such action *4 may, in itself, be a sufficient ground for the refusal, suspension, or revocation of the license.” (Emphasis supplied.) Appellee’s application clearly contained an erroneous or .untrue statement of material fact, insofar as it indicated that he had never previously been disciplined by a licensing agency. However, “falsity . . . implies] ‘more than erroneous or untrue.’ [Cits.]” Abercrombie v. Hair, 185 Ga. 728, 734 (4) (196 SE 447) (1938). “ ‘In jurisprudence, “false” and “falsely” are [most often] used to characterize a wrongful or criminal act, such as involves an error or untruth, intentionally or knowingly put for ward'.’ [Cit.]” (Emphasis supplied.) Laughlin v. Bon Air Hotel, 85 Ga. App. 43, 46 (2) (68 SE2d 186) (1951). See also Georgia Real Estate Comm. v. James, 152 Ga. App. 193, 195 (262 SE2d 531) (1979) (holding that “substantial misrepresentation” as employed in OCGA § 43-40-25 (a) (2), is analogous to fraud and requires an “intention to mislead.”) Accordingly, the issue presented for resolution is whether there was “any evidence” that appellee had intentionally or knowingly put forward the application containing the false statement that he had not been disciplined by a licensing agency. If there was, the superior court erred in reversing the Commission even if there was evidence to the contrary. The resolution of conflicts in the evidence is for the Commission, sitting as the trior of fact, and not for the superior court, sitting as an appellate tribunal. See Hall v. Ault, 240 Ga. 585 (242 SE2d 101) (1978).

“Fraud is of itself subtle, and slight circumstances may be sufficient to carry conviction of its existence. [Cit.]” Rose Mill Homes v. Michel, 155 Ga. App. 808, 810 (2) (273 SE2d 211) (1980). “ ‘The intention to deceive and the immoral element are supplied by knowledge of the falsity of the representations when they were made.’ [Cit.]” Bill Spreen Toyota v. Jenquin, 163 Ga. App. 855, 859 (3) (294 SE2d 533) (1983). Appellee obviously knew at the time he submitted the application that his license had previously been revoked. The application that appellee was asked to submit clearly and unambiguously asked him to disclose whether he had been disciplined by a licensing agency and, if so, to supply the details. Notwithstanding appellee’s knowledge and the clear and unambiguous directive on the application, he nevertheless signed the application without attaching the details of his 1975 license revocation, thereby falsely certifying to the Commission that he had never been disciplined. Nothing in the purported telephone conversation with the unidentified Commission employee would demand a finding that appellee had been misled into honestly believing that his 1975 license revocation was no longer a relevant consideration. According to appellee, he had been told only that the Commission’s records did not reflect his previous revocation. The application did not qualify its directive and ask that an applicant acknowledge and detail only those disciplinary actions which may *5 have been reflected in the Commission’s files. To the contrary, the application’s directive was unqualified as to the disclosure of previous disciplinary actions and, as such, clearly contemplated that an applicant acknowledge and detail any and all disciplinary actions, including those which, for whatever reasons, the Commission may have been unable to verify by immediate resort to its own files. Since nothing in the telephone conversation or application authorized the conclusion that the mere absence of a notation in an applicant’s official file obviated his responsibility to disclose relevant information requested by the Commission, the Commission was authorized to find that appellee gave a “palpably untrue answer to an unambiguous question with the knowledge that it [was] false.” Life & Cas. Co. of Tenn. v. Gaines, 59 Ga. App. 545, 547 (5) (2 SE2d 153) (1939). “ ‘An intention to deceive, or a fraudulent intent in the legal acceptation of the term, depends upon the knowledge or belief respecting the falsehood of the statement, and not upon the actual dishonesty of purpose in making the statement.’ [Cit.]” Northwestern Life Ins. Co. v. Montgomery, 116 Ga. 799, 808 (2) (43 SE 79) (1902). It follows that the Commission was authorized to find that appellee had made a false statement of material fact on his application and that he had, therefore, violated OCGA § 43-40-15 (c).

2. Appellee urges that the Commission should nevertheless be es-topped to revoke his license because it was the Commission that misfiled his record and a Commission employee who advised him that there was no record of that revocation.

One who claims the benefit of an estoppel must demonstrate his “lack of knowledge of the truth as to the facts in question. . . .” Bell v. Studdard, 220 Ga. 756, 760 (4a) (141 SE2d 536) (1965). Notwithstanding the Commission’s faulty record-keeping and the telephone conversation with the Commission employee, appellee knew the truth as to the fact in question, which was that his license had been revoked in 1975.

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Bluebook (online)
383 S.E.2d 605, 192 Ga. App. 3, 1989 Ga. App. LEXIS 874, Counsel Stack Legal Research, https://law.counselstack.com/opinion/georgia-real-estate-commission-v-syfan-gactapp-1989.