Hamrick v. Hamrick

58 S.E.2d 145, 206 Ga. 564, 1950 Ga. LEXIS 534
CourtSupreme Court of Georgia
DecidedFebruary 13, 1950
Docket16972
StatusPublished
Cited by16 cases

This text of 58 S.E.2d 145 (Hamrick v. Hamrick) is published on Counsel Stack Legal Research, covering Supreme Court of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hamrick v. Hamrick, 58 S.E.2d 145, 206 Ga. 564, 1950 Ga. LEXIS 534 (Ga. 1950).

Opinion

Duckworth, Chief Justice.

The sole purpose of the petition *566 here is to oust the jurisdiction of the court of ordinary; wrest the-administration of the estate from the hands of the executor who-was chosen and named by the testator, and has been duly qualified; and to have a court of equity assume jurisdiction and administer the estate by a receiver appointed by that court. Although it is the established rule that, where two courts have concurrent jurisdiction, the court first taking jurisdiction will retain it (Code, § 37-122; Mordecai v. Stewart, 37 Ga. 364; Spooner v. Bank of Donalsonville, 159 Ga. 295, 125 S. E. 456; Hoffman v. Chester, 204 Ga. 296, 49 S. E. 2d, 760), yet it is contended that, in giving courts of equity concurrent jurisdiction with the ordinary over the settlement of accounts (Code- § 113-2203), the matter of settlement of accounts is thereby separated'from the regular administration, and a suit in equity involving this alone is a separate action from that made by the-regular administration. From this premise it is contended that, the requirement of Code § 37-403 that, before a court of equity will interfere, there must be danger of loss, has no application-in a suit for settlement of accounts of administrators.'

There have, for a long time, existed two apparently conflicting lines of decisions of this court on the question here involved. Counsel for the opposing sides in the instant case cite and rely upon numerous decisions of this court which apparently support their opposing positions. Counsel for the petitioner rely upon Ewing v. Moses, 50 Ga. 264, and numerous decisions following-the ruling there made, which, on casual reading, appears to-hold that, irrespective of the existence of adequate remedies-at law in the court of ordinary, since Code § 113-2203 gives equity concurrent jurisdiction, a court of equity will exercise jurisdiction of an action for the settlement of accounts of administrators. We shall not here list the numerous decisions following that ruling. The conflict of the decisions was mentioned in Morris v. Nicholson, 198 Ga. 450 (31 S. E. 2d, 786), and it was there held that we felt bound by the decision in Ewing v. Moses, supra.

The other line of decisions holds that equity will not interfere-with the administration of estates in the court of ordinary except for the purposes and upon the conditions stated in Code § 37-403. This rule is clearly stated in Evans v. Pennington, 177 Ga. 56 *567 (169 S. E. 349), and is as follows: “Equity will not interfere to require an accounting and settlement of an executrix at the instance of other parties claiming an interest in the estate, unless there is danger of loss or other injury to them.”

While recognizing the conflict in the decisions, this court applied the rule just quoted in Hoffman v. Chester, supra. In Gaines v. Gaines, 171 Ga. 169 (154 S. E. 883), in an opinion prepared by Justice Atkinson it was held that as a general rule equity will not interfere, and to authorize interference the facts must clearly show a good reason for so doing, citing in support thereof, Morrison v. McFarland, 147 Ga. 465 (94 S. E. 569), and Beck & Gregg Hardware Co. v. McKenzie, 149 Ga. 699 (101 S. E. 806). Chief Justice Russell and Justice Hines dissented, and in the dissenting opinion prepared by Justice Hines he sought to draw a distinction between the regular administration and the settlement of accounts of administrators, contending that as. to the former good reason must be shown for interference, but as to the latter no reason is required. That decision was rendered September 13, 1930, and on September 15, 1930, Justice Atkinson prepared the opinion in Thompson v. Thompson, 171 Ga. 185 (154 S. E. 889), where it was held that “a receiver should not be appointed to take the assets out of the hands of the legally appointed representatives, except in cases of manifest danger of loss or destruction, or material injury to the assets.” In support of this ruling, the following cases were cited: Dougherty v. McDougald, 10 Ga. 121; Harrup v. Winslet, 37 Ga. 655; Powell v. Quinn, 49 Ga. 523. All of these cases are older decisions than that in Ewing v. Moses, supra, and must control over the ruling there made. Justice Hines concurred in the majority ruling.

In the Harrup case, the question involved, as stated in the opinion was, “did the court exercise a prudent discretion in taking possession of this tract of worn-out land, in bad repair as a farm, and turning the administrator out?” The court answered this question in the negative. The opinion recognized that a court of equity had such power, and cited in support of this conclusion Walker & Bradford v. Morris, 14 Ga. 326, and Johns v. Johns, 23 Ga. 35. The following was quoted from the latter opinion: “In regard to the question of jurisdiction raised *568 by the exception, it may be remarked that executors are trustees, and as such, are amenable to a Court of Chancery for the faithful execution of their trusts. That Court here, exercises, in such cases, a concurrent jurisdiction with the Ordiñary, as it does in England with the Spiritual Court. Middleton v. Dodwell, 13 Ves., Jr., 268. The Ordinary has power to compel an executor to give bond with approved security, for the faithful execution of his trust, when it is made to appear to him, that the executor is in insolvent circumstances, and that the estate is likely to be wasted by his improper conduct. Cobb, 314. The Judge of the Superior Court has the like power, on application of any devisee, legatee, or creditor, who shall establish a charge of neglect or malpractice against such executor. Cobb, 307. The executor may be superseded or dismissed, if he fails to give such security. Cobb, 307. The same matters are within the ordinary jurisdiction of a Court of Chancery.” The opinion then quotes the following: “In general, the application, to secure the rights of parties against the mismanagement of fiduciaries appointed by the Court of Ordinary, should be made to that Court, and it is only in extraordinary circumstances that equity will interfere.”

In Powell v. Quinn, supra, it was held that there ought to be a strong case, indeed, to justify a court of equity in appointing a receiver to take the assets of an estate out of the hands of an administrator duly appointed by the court of ordinary.

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58 S.E.2d 145, 206 Ga. 564, 1950 Ga. LEXIS 534, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hamrick-v-hamrick-ga-1950.