Gormley v. State Employees Retirement Commission

582 A.2d 764, 216 Conn. 523, 1990 Conn. LEXIS 449
CourtSupreme Court of Connecticut
DecidedNovember 27, 1990
Docket14067
StatusPublished
Cited by13 cases

This text of 582 A.2d 764 (Gormley v. State Employees Retirement Commission) is published on Counsel Stack Legal Research, covering Supreme Court of Connecticut primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Gormley v. State Employees Retirement Commission, 582 A.2d 764, 216 Conn. 523, 1990 Conn. LEXIS 449 (Colo. 1990).

Opinion

Borden, J.

The dispositive issue in this appeal is whether the trial court correctly determined that the application to the plaintiff of General Statutes § 51-287 (e),1 which provides for the suspension of pension benefits to a retired state’s attorney who is receiving benefits under the state’s attorney’s retirement fund (SARF) and who is subsequently appointed a judge, constituted an impermissible retrospective application of that statute in violation of General Statutes § 55-3.2 The trial court reversed a declaratory ruling of the state employees retirement commission (commission) that suspended the plaintiff’s pension and demanded the return of benefits paid after his appointment as a judge. Because at the time of the plaintiff’s retirement § 51-287 did not require him to choose between retaining his benefits or accepting a judgeship, the court held that the application of § 51-287 (e), enacted after the plaintiff’s retirement but previous to his appointment, constituted the retrospective imposition of a “new obligation” in violation of § 55-3. The defendant appealed to the Appellate Court, and, pursuant to Practice Book § 4023, we transferred the case to ourselves. We affirm the judgment of the trial court.

[525]*525The facts are undisputed. In 1962, the plaintiff was appointed a per diem assistant state’s attorney and, in 1963, was appointed an assistant state’s attorney for Fairfield county. In 1969, the plaintiff was appointed state’s attorney for that county and thereafter, in 1973, was appointed Connecticut’s chief state’s attorney. From 1962 until his retirement in 1978, the plaintiff contributed 5 percent of his salary to SARF as statutorily mandated. General Statutes § 51-278 (b) (3).3 SARF is administered and funded separately from the state employees retirement fund (SERF).

In October, 1978, the plaintiff retired and began receiving an actuarially reduced retirement income, having satisfied the statutory requirements of at least ten years of creditable service. See General Statutes § 51-287 (c).4 At the time of his retirement, § 51-287 (e) was not a part of SARF and, as distinguished from [526]*526SERF, SARF contained no provision for the suspension of pension rights upon a retiree’s reemployment with the state.5

In 1985, the legislature enacted No. 85-517, § 4, of the 1985 Public Acts, which provided: “Any such [state’s] attorney who is retired under this section and who is appointed a judge shall not receive a retirement salary pursuant to this section during the period such retired attorney serves as a judge.” The 1985 public act is now codified as General Statutes § 51-287 (e). In July, 1987, the plaintiff was sworn in as a Superior Court judge, and continued to collect his SARF pension until November, 1988. At that time, the commission, acting pursuant to § 51-287 (e), suspended the plaintiff’s retirement income and demanded repayment of $26,049.18, the amount paid to the plaintiff after his appointment.

The plaintiff sought a declaratory ruling from the commission claiming that his pension income from SARF became a vested contractual or statutory right upon his retirement in 1978, and, therefore, that either § 55-3 or the impairment of contracts clause of article [527]*527one, § 10, of the constitution of the United States6 prohibited the application of § 51-287 (e) to him. After a fact-finding hearing, the commission issued a declaratory ruling that, although the plaintiff had acquired statutory rights in SARF, § 51-287 (e) operated to suspend those rights during the time of the plaintiffs appointment.

The plaintiff appealed to the Superior Court, claiming that the application of § 51-287 (e) to him (1) constituted an impermissible retroactive application of the statute, and (2) impaired vested contractual or statutory rights in his pension in violation of the federal constitution’s contract clause. See footnote 6, supra. The trial court reversed the decision of the commission, concluding that the application of § 51-287 (e) to the plaintiff operated as an impermissible retroactive application of that statute. In view of that conclusion, the court did not address the issue of whether § 51-287 (e) unconstitutionally impaired the vested rights of the plaintiff. This appeal followed.

In enacting § 51-287 (e), the legislature intended to prevent “double-dipping,” the collection by one person of a pension and a salary, both paid by the state. The parties agree that the legislature intended this statute to apply prospectively only.7 They disagree, however, [528]*528over whether the application of § 51-287 (e) to the plaintiff constitutes a retrospective application. The commission claims that the application of the statute to the plaintiff was prospective only, because it was the appointment to a judgeship seventeen months after the statute was enacted, and not the retirement and receipt of retirement income seven years prior to the enactment, that triggered the statute.8 Therefore, according to the commission, no new obligation was being placed upon the plaintiff in violation of § 55-3. The plaintiff claims that because he possessed vested statutory or contractual rights in his pension on retirement, the application of § 51-287 (e) to him after his retire[529]*529ment would impose a “new obligation” in violation of § 55-3, because it would require him to choose between maintaining his pension or accepting the judgeship.9 We conclude that § 51-287 (e) must be interpreted narrowly so as not to apply to the plaintiff, because to do otherwise would impose a “new obligation” on him in violation of § 55-3.

In describing the application of new legislation to preexisting transactions, § 55-3 provides that “[n]o provision of the general statutes, not previously contained in the statutes of the state, which imposes any new obligation on any person or corporation, shall be construed to have a retrospective effect.” “The ‘obligations’ referred to in the statute are those of substantive law”; Nagle v. Wood, 178 Conn. 180, 186, 423 A.2d 875 (1979); and “ [legislation which limits or increases statutory liability has generally been held to be substantive in nature.” Little v. Ives, 158 Conn. 452, 457, 262 A.2d 174 (1969). “[W]e have uniformly interpreted § 55-3 as a rule of presumed legislative intent that statutes affecting substantive rights shall apply prospectively only.” Darak v. Darak, 210 Conn. 462, 467, 556 A.2d 145 (1989); Westport v. State, 204 Conn. 212, 219, 527 A.2d 1177 (1987). “The legislature only rebuts this presumption when it ‘clearly and unequivocally’ expresses its intent that the legislation shall apply retrospectively.” Darak v. Darak, supra, 468; see also State v. Lizotte, 200 Conn. 734, 741, 517 A.2d 610 (1986).

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Bluebook (online)
582 A.2d 764, 216 Conn. 523, 1990 Conn. LEXIS 449, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gormley-v-state-employees-retirement-commission-conn-1990.