Hancock-Nelson Mercantile Co. v. Weisman

340 N.W.2d 866, 1983 Minn. App. LEXIS 95
CourtCourt of Appeals of Minnesota
DecidedDecember 7, 1983
DocketCX-83-1767
StatusPublished
Cited by19 cases

This text of 340 N.W.2d 866 (Hancock-Nelson Mercantile Co. v. Weisman) is published on Counsel Stack Legal Research, covering Court of Appeals of Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hancock-Nelson Mercantile Co. v. Weisman, 340 N.W.2d 866, 1983 Minn. App. LEXIS 95 (Mich. Ct. App. 1983).

Opinion

OPINION

POPOVICH, Chief Judge.

Application for a writ of prohibition pursuant to Civil Appellate Procedure Rule 120 to restrain the entry of the order of Judge Crane Winton of the Hennepin County District Court dated November 9, 1983 and stayed to November 11, 1983 to permit this application. At oral argument the parties agreed to a stay until this Court acted. Judge Winton’s order found probable cause to believe the petitioners were in criminal contempt by violating Minn.Stat. Chapter 588 and had violated the court’s order appointing a receiver to operate a corporation in which the parties were stockholders. He referred the case to the Hennepin County Attorney for investigation and such further action as might be deemed appropriate. A writ will not be granted and the petition is denied.

FACTS

Petitioner Farmhouse Foods Corporation (Farmhouse) is a Wisconsin corporation engaged in the business of wholesaling grocery goods. Petitioner Hancock-Nelson Mercantile Company (Hancock) located in St. Paul, Minnesota, is a division of Farmhouse. In September of 1982, Farmhouse and respondent R. Weisman formed petitioner R. Weisman Company, Inc. (the Company) a Minnesota corporation located in St. Paul. It is a wholesale distributor of dry grocery goods servicing small retailers. Most of the merchandise sold by the Company is supplied to it by Hancock. From November of 1982 through August 13,1983, respondent was a stockholder, director, president and general manager of the Company.

In March of 1983, the Company applied for and obtained from Norwest Bank Metro South a $350,000 credit line, payable on demand. The credit line was secured by inventory in the Company warehouse and was personally guaranteed by the respondent. Thereafter, the parties corporate relationship became disputed.

In August of 1983, Farmhouse notified respondent of a shareholders’ and directors’ meeting for the purpose of electing new directors and officers. Upon receiving notice of the meeting, respondent commenced action and on August 12, moved for a temporary injunction enjoining the petitioners from holding the meeting. The motion was denied by order of Hennepin County District Judge Eugene Minenko. At the August 13 meeting respondent R. Weisman was purportedly removed as director and president of the Company. Richard McEl-derry, an employee of Farmhouse, was purportedly elected president.

On September 2, 1983, respondent moved to enjoin the actions taken at the August 13 meeting and, in the alternative, sought appointment of a receiver for the Company.

*868 Judge Winton denied the motion for an injunction but ordered appointment of a receiver. In pertinent part, Judge Winton’s order of September 2, 1983 stated:

1. The Court finding that an exigency exists, does hereby appoint as a receiver of R. Weisman Company, a Minnesota corporation, Byron Frank, to serve until further order of the Court.
2. Said receiver shall exercise all powers authorized by law and the Court does hereby order a further hearing to determine specific powers of the receiver before the judge assigned to this case.
* * ⅜ * #
7. The receiver shall operate the business and make all necessary day-to-day business decisions, until his responsibilities are defined by further order of this Court.
8. This case is referred to the Chief Judge for assignment.

Contrary to Judge Winton’s recommendation, Chief Judge Patrick Fitzgerald on September 14, 1983 denied a motion to assign the matter to a specific judge.

On October 11, 1983, the Company executed and filed a financing statement in favor of Hancock under Article 9 of the Uniform Commercial Code with the Secretary of State. Through execution of this statement, Hancock obtained a security interest on “all inventory which is sold or delivered”. Notice was provided to the bank after the filing.

The Uniform Commercial Code financing statement form was signed on behalf of the Company by its “president,” Richard McEl-derry. The Company did not obtain the receiver’s signature nor was he notified of it until October 13, 1983. At the hearing the receiver indicated he would not have signed the financing agreement.

On October 12, the bank demanded payment of $85,500 the amount of money still owing on the Company’s line of credit. The amount, however, was paid from the Company’s account with the bank thus affecting the liquidity of the receivership, and the Company became insolvent.

On November 4, 1983, respondent brought a motion before Judge Winton seeking to have all the petitioners found in civil and criminal contempt for entering into the financing statement. At the same hearing, Byron Frank, the operating receiver moved to be named as liquidating receiver. Judge Winton found probable cause to believe petitioners committed acts of criminal contempt by violating Minn.Stat. Chapter 588. He referred the matter to the county attorney for investigation and appropriate action.

Petitioners now seek a writ of prohibition to prevent the Hennepin County District Court from entering the order and from proceeding any further with the action for criminal contempt.

ISSUES

1. Should a writ of prohibition be issued to restrain a court for finding probable cause to believe, its order appointing a receiver was violated and referring the matter to the county attorney for investigation and such action as may be deemed appropriate?

2. Whether there is probable cause to believe criminal contempt occurred for willfully violating an order of the Court where the order does not specifically prohibit entering into a financing statement without consent of an operating receiver?

ANALYSIS

Before a writ of prohibition may issue three essential elements must be shown to exist: (1) the court, officer or person against whom it is issued must be about to exercise judicial or quasi-judicial power; (2) the exercise of such power must be unauthorized by law; and (3) the exercise of such power will result in injury for which there is no other adequate remedy at law. State v. Hartman, 261 Minn. 314, 112 N.W.2d 340 (1961); Bellows v. Ericson, 233 Minn. 320, 46 N.W.2d 654 (1951); Nemo v. Hotel and Restaurant Employees’ Local No. 556, 227 Minn. 263, 35 N.W.2d 337 (1948).

*869 As the underlying order of Judge Winton has been stayed to permit hearing on the petition, the first requirement has been met.

Petitioners argue that the second requirement is met because the underlying order of Judge Winton appointing the receiver is so vague and indefinite as to make willful disobedience of that order impossible, citing, Mr. Steak, Inc. v. Sandquist Steaks, Inc., 309 Minn. 408,

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Cite This Page — Counsel Stack

Bluebook (online)
340 N.W.2d 866, 1983 Minn. App. LEXIS 95, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hancock-nelson-mercantile-co-v-weisman-minnctapp-1983.