Guzick v. Kimball

869 N.W.2d 42, 2015 Minn. LEXIS 475, 2015 WL 5123605
CourtSupreme Court of Minnesota
DecidedAugust 31, 2015
DocketNo. A14-0429
StatusPublished
Cited by9 cases

This text of 869 N.W.2d 42 (Guzick v. Kimball) is published on Counsel Stack Legal Research, covering Supreme Court of Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Guzick v. Kimball, 869 N.W.2d 42, 2015 Minn. LEXIS 475, 2015 WL 5123605 (Mich. 2015).

Opinions

OPINION

ANDERSON, Justice.

A personal representative/trustee filed a complaint alleging legal malpractice against an attorney and his law firm relating to a power of attorney drafted by the attorney’s legal assistant. The district court granted the attorney’s motion to dismiss, holding that the personal representative/trustee failed to provide a satisfactory expert disclosure on each element of a prima facie case of legal malpractice, in violation of Minn.Stat. § 544.42, subd. 4(a) [44]*44(2014). The district court also held, applying our decision in Brown-Wilbert, Inc. v. Copeland Buhl & Co., 732 N.W.2d 209 (Minn.2007), that the disclosure was insufficient to qualify for the statute’s safe-harbor protection under Minn.Stat. § 544.42, subd. 6(c) (2014). A divided court of appeals reversed and remanded, holding that expert testimony was not needed to establish but-for causation or the existence of an attorney-client relationship, and that for the two other elements for which an expert was necessary, the expert disclosure satisfied the minimum requirements of Brown-Wilbert.

Contrary to the court of appeals, we hold that the personal representative/trustee’s expert disclosure on proximate cause was insufficient under BrownWWilbert. Therefore, the district court did not abuse its discretion when it dismissed the legal malpractice claim under Minn.Stat. § 544.42, subd. 6(c). We reverse.

I.

In April 2013, respondent Timothy Guz-ick, as Personal Representative of the Estate of George Nyberg and as Trustee of the George Nyberg Trust, filed a complaint against appellant Larry Kimball, an attorney, and appellant Kimball Law Office. The facts alleged in the complaint are as follows.

In 2008,- Louis Nyberg, Jr. (“Tony”) asked Colleen Bennett to prepare a power of attorney form (“POA”) authorizing Tony to act as attomey-in-fact for his uncle, George Nyberg (“George”). Bennett was a legal assistant for Larry Kimball, who practiced law at Kimball Law Office. Bennett printed a copy of the Minnesota Standard Short Form Power of Attorney (“Short Form”) and gave it to Tony to give to George. Later, at George’s house, Bennett showed George where to sign and then notarized his signature. The Short Form used by Bennett had automatically placed a checkmark on all lines, including: “This power of attorney authorizes the attorney-in-fact to transfer my property to the attorney-in-fact.” The Short Form included a disclosure that it had been drafted by Kimball Law Office, and Kimball' Law Office billed George for preparing the document. Bennett never asked George if he had read the form, and never discussed with George the level of authority that George sought to grant to Tony. Kimball, Bennett’s supervisor, never reviewed the POA or met with George to talk about the POA.

After George was hospitalized in early 2009, Tony went to Wells Fargo to add his name as a joint owner with a right of survivorship on two of George’s accounts. Tony provided Wells Fargo with the POA, and Wells Fargo consented to Tony’s request. Allegedly, George did not intend for Tony to be a joint owner of his accounts with a right of survivorship. Tony transferred money into the now-jointly owned accounts from other accounts owned by George and his trust, and in turn transferred some of those funds to accounts owned by Tony and Tony’s wife. George died several days later. Both before and after George’s death, Tony transferred a total of $226,524 to his and his wife’s accounts.

Guzick, the personal representative of George’s estate and trustee of George’s trust, brought a conversion action against Tony and his wife. Tony and his wife then filed for bankruptcy. Guzick was awarded a judgment against Tony in Tony’s bankruptcy proceeding. Guzick also brought an' action against Wells Fargo.

Guzick then filed suit against Kimball and Kimball Law Office (collectively “Kim-[45]*45ball”).1 Guzick alleged a single count of legal malpractice against Kimball under two theories. Guzick first alleged that Kimball had a duty to supervise Bennett and ensure that her conduct and work product were “compatible with [Kimball’s] professional obligations.” Second, Guzick alleged that Kimball had a duty to meet and talk with George to assess George’s need for a POA, to assess George’s competency, to explain the scope of authority granted under the POA, to discuss the risks associated with that authority, and to determine whether Tony was the appropriate person to be named as George’s attorney-in-fact.

As required by Minn.Stat. § 544.42, subd. 2(1) (2014), Guzick served an affidavit of expert review with the complaint. Guzick’s affidavit stated that his expert had reviewed the facts alleged in the complaint, that the expert’s qualifications “provide[d] a reasonable expectation that her opinions would be admissible at trial,” and that the expert’s opinion was that “Kimball deviated from the applicable standard of care, and by that action caused damages.”

The affidavit also identified, in the expert’s opinion, 10 different acts committed by Kimball that deviated from the standard of care and caused damages: (1) failure to supervise Bennett in drafting the POA; (2) failure to have in effect measures to provide reasonable assurance of the quality of Bennett’s conduct and work; (3) failure to meet with George to assess his need and desire for a POA; (4) failure to meet with George to assess his ability to understand the POA; (5) failure to meet with George to ensure that he was not acting under undue influence or duress; (6) failure to explain the scope of authority provided by the POA; (7) failure to discuss the risks of granting the attorney-in-fact the broad powers in the POA; (8) failure to assess whether Tony was the appropriate individual to be named as attorney-in-fact; (9) failure to discuss with George which lines should be checked on the statutory Short Form POA; and (10) failure to send the draft of the POA to George’s residence to assure that he received it unaltered.

Guzick did not provide an affidavit of expert disclosure. But in response to one of Kimball’s interrogatories about expert witnesses, Guzick stated that he had regained Susan E. Johnson-Drenth as an expert, and referred Kimball to his affidavit of expert review for a summary of her opinion.

In September 2013 Kimball moved, pursuant to Minn. R, Civ. P. 56 and Minn.Stat. § 544.42 (2014), for “entry of summary judgment dismissing [Guzick’s] claims.” Kimball argued that Guzick failed to provide a satisfactory affidavit of expert disclosure within 180 days of commencement of the lawsuit, as required by Minn.Stat. § 544.42, subd. 2(2), and that Guzick did not qualify for subdivision 6’s curative provision. Kimball argued that Guzick was required to use an expert to establish all four elements of a prima facie case of legal malpractice: the existence of an attorney-client relationship, acts constituting negligence, proximate causation, and but-for causation, see Blue Water Corp. v. O’Toole, 336 N.W.2d 279, 281 (Minn.1983), and that for each of those elements, Guzick’s disclosure failed to comply with subdivision 4, [46]*46which requires disclosure of “the facts and opinions to which the expert is expected to testify, and a summary of the grounds for each opinion.” Minn.Stat. § 544.42, subd. 4(a).

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Bluebook (online)
869 N.W.2d 42, 2015 Minn. LEXIS 475, 2015 WL 5123605, Counsel Stack Legal Research, https://law.counselstack.com/opinion/guzick-v-kimball-minn-2015.