Green Island Contracting Corp. v. State

99 A.D.2d 330, 473 N.Y.S.2d 55, 1984 N.Y. App. Div. LEXIS 16958
CourtAppellate Division of the Supreme Court of the State of New York
DecidedMarch 1, 1984
DocketClaims Nos. 59950, 60017
StatusPublished
Cited by5 cases

This text of 99 A.D.2d 330 (Green Island Contracting Corp. v. State) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Green Island Contracting Corp. v. State, 99 A.D.2d 330, 473 N.Y.S.2d 55, 1984 N.Y. App. Div. LEXIS 16958 (N.Y. Ct. App. 1984).

Opinion

[331]*331OPINION OF THE COURT

Main, J.

The facts are well set out in the opinion of the Court of Claims (117 Misc 2d 435) and will be briefly stated here. Claimant commenced this action to recover damages for the alleged breach of two highway construction contracts. These contracts were for the construction of portions of Interstate Route 88. As part of the interstate highway system, this project was to be 90% Federally financed. A lawsuit to permanently enjoin construction of this highway because of the alleged failure to prepare and file an environmental impact statement as required by the National Environmental Policy Act (US Code, tit 42, § 4321 et seq. [NEPA]) was brought in Federal District Court on May 24, 1972. Nonetheless, the Federal Highway Administration granted “plans, specifications and estimates” (PSE) approval of the contracts on July 5, 1972 and August 16, 1972, and the State Comptroller granted approval of the contracts on September 6, 1972 and October 16, 1972. Thereafter, work commenced, but on November 14,1973, a preliminary injunction prohibiting the State’s receipt and disbursement of Federal funds for the project was issued by Federal District Court. Work was suspended by the State on December 27, 1973, and on March 11, 1974, with work on the contracts not more than one half completed, the State terminated the subject contracts by deleting the remaining work. The State relet the remaining work under the former contracts after the Federal court’s preliminary injunction was vacated. Construction was completed by a firm other than claimant.

After this action was commenced, the parties sought partial summary judgment. The Court of Claims denied the State’s motion and granted claimant’s cross motion “to the extent that the [State’s] defenses predicated on the contracts’ ‘Executory Clause’ and the ‘Alterations and Omissions’ clause be stricken as insufficient”. Thus, the State was held liable on all causes of action which were the subject of claimant’s cross motion and a trial was ordered on the issue of damages.

It appears that the parties have settled all claims except those relating to claimant’s demands for anticipated [332]*332profits. On this appeal, the State relies primarily on the executory clause of the contracts as prohibiting claimant from recovering anticipated profits. Specifically, the State contends that the executory clauses, which provide that “[t]he Contractor specifically agrees that the contract shall be deemed executory only to the extent of the monies available, and no liability shall be incurred by the State beyond the monies available for the purpose”, limits the State’s liability because, under the preliminary injunction, no money was available which would have permitted this primarily Federally financed project to proceed. We reject the State’s position.

As noted by the Court of Claims, executory clauses such as those in issue are commonplace in State contracts and are intended “as a shield against the imprudent use of taxpayers’ dollars and not as a sword to divorce the State, for purposes of its own convenience, from a contract fairly entered into and honestly performed” (117 Misc 2d 435, 437, supra). It has been established that an executory clause will be enforced only where it is established that in the course of ordinary budgeting procedures, funds were not available (see Starling Realty Corp. v State of New York, 286 NY 272, 277-278). Furthermore, because the State is bound by the same rules of honesty and justice as individuals when contracting (see 55 NY Jur, State of New York, § 183, p 715), any unavailability of funds must not have been the result of an improper act or omission by the State (see Cameron-Hawn Realty Co. v City of Albany, 207 NY 377, 382; 5 Williston, Contracts [3d ed], § 677, pp 224-233).

Our review of the record and pertinent law requires us to confirm the analysis and conclusion of the Court of Claims that funds were available to complete the contracts on the date of termination because ordinary budgetary procedures had been followed and moneys had been earmarked for the project. We need only emphasize that the Federal commitment was not rendered void ab initio by the mere showing that NEPA had been violated (see Sierra Club v Hennessy, 695 F2d 643, 649). Even if, however, the funds were unavailable, we would be in agreement with the Court of Claims’ conclusion that the executory clauses [333]*333could not be asserted by the State as a defense. The State asserts in its brief that case law mandating strict compliance with NEPA requirements, such as the filing of an environmental impact statement when PSE approval was after January 1, 1970, was not clear in the Second Circuit until December 18,1972, when the United States Court of Appeals for the Second Circuit decided Monroe County Conservation Council v Volpe (472 F2d 693). The State, however, should have been aware of prior unanimity among the circuits requiring an environmental impact statement under NEPA for interstate highway projects which were granted final Federal approval after January 1, 1970

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Cite This Page — Counsel Stack

Bluebook (online)
99 A.D.2d 330, 473 N.Y.S.2d 55, 1984 N.Y. App. Div. LEXIS 16958, Counsel Stack Legal Research, https://law.counselstack.com/opinion/green-island-contracting-corp-v-state-nyappdiv-1984.