Grella v. Zimmerman (In Re Art & Co.)

179 B.R. 757, 31 Fed. R. Serv. 3d 932, 1995 Bankr. LEXIS 387, 26 Bankr. Ct. Dec. (CRR) 1161, 1995 WL 140186
CourtUnited States Bankruptcy Court, D. Massachusetts
DecidedMarch 21, 1995
Docket19-10754
StatusPublished
Cited by23 cases

This text of 179 B.R. 757 (Grella v. Zimmerman (In Re Art & Co.)) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, D. Massachusetts primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Grella v. Zimmerman (In Re Art & Co.), 179 B.R. 757, 31 Fed. R. Serv. 3d 932, 1995 Bankr. LEXIS 387, 26 Bankr. Ct. Dec. (CRR) 1161, 1995 WL 140186 (Mass. 1995).

Opinion

MEMORANDUM

JOAN N. FEENEY, Bankruptcy Judge.

I. INTRODUCTION

The matters before the Court for determination are: 1) the Motion of the Defendants, Peter Zimmerman (“Zimmerman”) and Sil-verman & Kudisch, P.C. (“S & K”) (collectively the “defendants”), to Dismiss Complaint to Avoid and Recover Transfers (the “Motion to Dismiss”); and 2) the Motion of Paul Grella, the Chapter 7 Trustee of the above-referenced debtor (the “trustee” or the “plaintiff’) for Leave to File Amended Complaint (the “Motion to Amend”). The Court held a hearing on both matters on January 18, 1995 at which the parties agreed to submit to the Court the transcripts of two § 341 meetings held in the Chapter 7 ease. As the parties have requested the Court to consider materials outside of the pleadings, the Court will treat the Motion to Dismiss as a motion for summary judgment in accordance with Fed.R.Civ.P. 56, as made applicable to this proceeding by Fed.R.Bankr.P. 7056. The parties have filed memoranda of law with respect to both matters.

II. FACTS

The relevant facts are undisputed. The debtor, a Massachusetts corporation, filed a voluntary Chapter 7 petition on August 7, 1992. On August 27, 1992, the Clerk of this Court issued a notice of commencement of case which, among other things, scheduled a meeting of creditors under 11 U.S.C. § 341 for October 7, 1992 at 9:30 A.M. On August 28, Paul Grella was appointed interim trustee by the United States trustee. The appointment of the trustee was noted on the Bankruptcy Court docket on August 31, 1992. On September 29, 1992, Business Funding Group, a creditor of the debtor, filed a Motion to Remove Trustee, which it withdrew on October 19, 1992.

On October 7, 1992, the trustee commenced the § 341 meeting of creditors. The debtor’s principal, Rosalie Anjoorian (“Mrs. Anjoorian”), and attorneys for two creditors were present. Wayne Morrison, the attorney for the debtor, however, was not present. A legal assistant from his office was in at *759 tendance and reported that Attorney Morrison would not be present because of the Jewish holiday. Accordingly, she requested that the meeting be continued to October 19, 1992, the next regularly scheduled date of meetings to be conducted by the trustee.

At the § 341 meeting, Mrs. Anjoorian indicated that she did not wish to proceed without counsel. The attorneys for the two creditors objected to a continuance of the § 341 meeting. The trustee stated that he was uncomfortable going forward without debt- or’s counsel present, but that he would not continue the meeting to October 19. He continued the meeting to an unspecified date prior to October 19, 1992 and stated that he would notify the parties of the continued date. Nevertheless, the trustee administered the oath to the debtor’s principal and asked her several questions about the accounts receivable listed on the schedule of assets. At this meeting, the creditors neither voted for a trustee nor did the trustee state that he would continue as permanent trustee.

Thereafter, the trustee notified the parties that the continued § 341 meeting would be held at his office on October 13, 1992. At that meeting, the trustee again administered the oath to and examined the debtor’s principal. Several creditors also questioned the debtor’s principal. At the conclusion of the examination by one of the creditors, the trustee continued the meeting generally, refused to adjourn the meeting, and did not specify a new date. The subject of an election of a trustee did not arise at this meeting.

By letter dated February 5, 1993 to the Assistant United States Trustee concerning the invocation of the Fifth Amendment privilege by debtor’s principal, the trustee stated that “... the regularly scheduled 341(a) [sic] meeting was held on October 7, 1992.” He further indicated in the letter that the continued meeting was held on October 13, 1992.

On September 2, 1994, the trustee filed a Motion to Extend Time for Trustee to Bring Avoidance Actions (the “Motion to Extend”). In the Motion to Extend, the trustee represented that he had been selected as interim trustee on August 28, 1992, that he became trustee on September 2, 1994 pursuant to Fed.R.Bankr.P. 2008, and that the statute of limitations for avoidance actions under 11 U.S.C. § 546(a) was due to expire on September 2, 1994. After a hearing on November 15, 1994, the Court denied the Motion to Extend.

The trustee filed the complaint commencing this adversary proceeding on October 7, 1994. In the complaint, the plaintiff alleged that Zimmerman, an attorney and partner of S & K, served as incorporator, clerk, and attorney for the debtor corporation from its inception to 1992. The trustee further alleged that the defendants received payments from the debtor totalling in excess of $67,000 on numerous dates in 1991 and 1992, and other compensation on unspecified dates which exceeded the value of the services performed by the defendants and rendered the debtor insolvent. In count one of his complaint, the trustee sought to recover payments made while the debtor was insolvent to the defendants in exchange for services worth less than reasonably equivalent value. Although the trustee did not indicate the particular provision of bankruptcy or state law under which he was proceeding in count one, presumably count one was brought under either 11 U.S.C. § 548(a)(2) or Mass.Gen. Laws Ann. Ch. 109A, the state fraudulent conveyance statute.

In count two of his complaint, entitled “Reservation of Right to Amend Complaint to Bring Count for Preferential Payments and/or avoid transfers under the Trustee’s strong arm powers”, the trustee repeated and incorporated the allegations of count one, and purported to reserve his right to amend the complaint, stating “Plaintiff/Trustee specifically reserves his rights to exercise his avoidance powers under 11 U.S.C. §§ 544 and/or 547 if facts so warrant in the future of this adversary proceeding.” The defendants filed a joint motion to dismiss the complaint on November 28, 1994.

The Plaintiff filed an amended complaint, with exhibits, on January 9, 1995. In the Amended Complaint, the plaintiff repeated the factual allegations of the original complaint, and added allegations that between 1987 and 1991 the debtor paid Zimmerman in *760 excess of $728,000 and paid S & K in excess of $353,000. In the amended complaint, the plaintiff designates the following counts:

Count I Violation of 11 U.S.C. 548(a)(2) [sic] Transfers Made for Less than Equivalent Value;
Count II Violation of M.G.L.

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179 B.R. 757, 31 Fed. R. Serv. 3d 932, 1995 Bankr. LEXIS 387, 26 Bankr. Ct. Dec. (CRR) 1161, 1995 WL 140186, Counsel Stack Legal Research, https://law.counselstack.com/opinion/grella-v-zimmerman-in-re-art-co-mab-1995.