Gotthardt v. Candle

723 N.E.2d 1144, 131 Ohio App. 3d 831, 1999 Ohio App. LEXIS 725
CourtOhio Court of Appeals
DecidedFebruary 22, 1999
DocketNo. 97-CO-50.
StatusPublished
Cited by11 cases

This text of 723 N.E.2d 1144 (Gotthardt v. Candle) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Gotthardt v. Candle, 723 N.E.2d 1144, 131 Ohio App. 3d 831, 1999 Ohio App. LEXIS 725 (Ohio Ct. App. 1999).

Opinion

Cox, Judge.

This matter presents a timely appeal from a decision rendered by the Columbiana County Common Pleas Court, Probate Division, dismissing the complaint for concealment of assets filed by plaintiff-appellant, Evelyn Éarline Gotthardt, executor of the estate of Elva E. Mark, deceased, and finding in favor of defendant-appellee, Gladys Candle, with regard to her counterclaim for declaratory judgment.

Elva E. Mark died on January 12,1997. In November 1992, years prior to her death, the decedent had executed a general power of attorney to her niece, the appellee. Pursuant to the power of attorney, appellee withdrew $80,582.30 on January 3, 1997, from an account located at Bank One in Salem, Ohio, which was held in the sole name of the decedent.

Appellee placed $30,582.30 in a savings account at Citizens Banking Company in Washingtonville, Columbiana County, Ohio, to be held solely in her name. Appellee further placed $50,000 into a certificate of deposit at Citizens Banking Company to be held in a joint and survivorship account in her name and the name of the decedent. Appellee stated that she visited the decedent on January 3, 1997, and received explicit instructions to make these transactions. Appellee explained that once the transactions were completed, she again visited the decedent, notified her, and received her express approval concerning them. Appellee acknowledged that there were no witnesses to her verbal exchange with the decedent regarding these transactions.

Immediately following the decedent’s death, appellee withdrew $10,000 from the savings account at Citizens Banking Company, ostensibly under the belief that she would be required to pay the decedent’s expenses upon her death. Although appellee placed these funds into her own personal account, she returned it to the savings account two weeks later upon learning that she was not the executor of the decedent’s estate. On February 12, 1997, appellee had a check issued to the decedent’s estate in the amount of $31,161.86, representing the original deposit of $30,582.30 into the savings account at Citizens Banking Company held solely in her name, plus interest.

*834 On February 24, 1997, appellant filed a complaint for concealment of assets against appellee addressing the ownership of the $50,000 certificate of deposit held in joint and survivorship form in the names of appellee and the decedent at Citizens Banking Company. Appellee filed an answer and counterclaim for declaratory judgment on March 21, 1997.

Appellant thereafter moved for a determination that appellee had the burden of proof on the issue of fairness of the transaction and that appellee was in a fiduciary relationship with the decedent, and, therefore, had the burden of rebutting the presumption of invalidity concerning the transfer of the decedent’s assets by clear and convincing evidence. Both parties submitted trial briefs with regard to these issues, and on July 11, 1997, the trial court filed a judgment entry determining that counsel would have an adequate opportunity to argue questions of law as they occurred during the trial.

This matter proceeded to a bench trial on July 16, 1997. Both parties stipulated that Citizens Banking Company had no documentation that would be probative of the pending issues and that it did not have a signature card on record for the certificate of deposit in question. The trial court issued its opinion and judgment entry on August 13, 1997, finding that appellant had failed to establish any fraud, duress, undue influence, or lack of mental capacity and that the establishment of the' certificate of deposit was conclusive evidence of the decedent’s intent to transfer to appellee the balance remaining in that account at the time of her death. The trial court additionally addressed the issues presented by appellant in her motion on appellee’s burden of proof. The trial court dismissed appellant’s complaint and found in favor of appellee on her counterclaim, thereby determining that the certificate of deposit in question was the property of appellee. This appeal followed.

Appellant sets forth four assignments of error on appeal.

Appellant’s first and second assignments of error are related and allege:

“The trial court erred to the prejudice of the plaintiff-appellant by failing to rule on the motion to rule on burden of proof that the defendant, Gladys Candle, must go forward with the burden of proof on the issue of the fairness of the transaction.

“The trial court erred to the prejudice of the plaintiff-appellant by failing to rule on the motion to rule on burden of proof that the defendant, Gladys Candle, was in a fiduciary relationship with Elva Mark and had the burden of rebutting a presumption of invalidity concerning transfer of decedent’s assets to the defendant by clear and convincing evidence.”

Appellant argues that the trial court erred in its decision on her motion regarding the burden of proof on appellee. Appellant avers that appellee had the *835 burden of rebutting both a presumption of invalidity of the transaction in question and a presumption of fraud. Appellant states that appellee’s self-serving testimony was not sufficient to overcome these presumptions.

In its opinion and judgment entry filed August 13, 1997, the trial court stated: ■

“The Court, in response to a pretrial motion comparable to a motion in limine, ruled that the burden of proof herein would be governed by Wright v. Bloom. This court overruled the written argument of the plaintiff that the defendant carry the burden of proof on any issues relating to her fiduciary capacity. While the Court reviewed the written arguments of counsel with great interest and found them somewhat persuasive, plaintiffs counsel admitted during the merit hearing that he was unable to present any controlling authority requiring this Court to adopt his arguments. Nevertheless, this Court finds the evidence so compelling that it will be possible for the Court to weigh the evidence as though the burdens of proof previously set forth by plaintiffs counsel were in fact the law in this jurisdiction.” (Emphasis added.)

Appellee does not dispute that the holder of a power of attorney has a fiduciary relationship with the principal. Such a relationship is “ ‘one in which special confidence and trust is reposed in the integrity and fidelity of another * * * by virtue of this special trust.’ ” In re Scott (1996), 111 Ohio App.3d 273, 276, 675 N.E.2d 1350, 1352, quoting Stone v. Davis (1981), 66 Ohio St.2d 74, 78, 20 O.O.3d 64, 66-67, 419 N.E.2d 1094, 1097-1098. In such a relationship, the person who holds the power of attorney bears the burden of proof on the issue of the fairness of the transaction. Testa v. Roberts (1988), 44 Ohio App.3d 161, 166, 542 N.E.2d 654, 660.

Where a fiduciary relationship exists between a creator of a joint and survivorship account and a surviving beneficiary, there is suspicion that the transaction resulted from undue influence, and a presumption of undue influence arises. See Studniewski v.

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Cite This Page — Counsel Stack

Bluebook (online)
723 N.E.2d 1144, 131 Ohio App. 3d 831, 1999 Ohio App. LEXIS 725, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gotthardt-v-candle-ohioctapp-1999.