Harmon Care Centers, Inc. v. Knight

340 N.W.2d 872, 215 Neb. 779, 1983 Neb. LEXIS 1345
CourtNebraska Supreme Court
DecidedNovember 28, 1983
Docket83-268, 83-269
StatusPublished
Cited by10 cases

This text of 340 N.W.2d 872 (Harmon Care Centers, Inc. v. Knight) is published on Counsel Stack Legal Research, covering Nebraska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Harmon Care Centers, Inc. v. Knight, 340 N.W.2d 872, 215 Neb. 779, 1983 Neb. LEXIS 1345 (Neb. 1983).

Opinion

Caporale, J.

Plaintiff-appellant, Harmon Care Centers, Inc., challenges the District Court’s dismissal of its petitions following the sustaining of demurrers filed by the defendants-appellees, two former directors of the Nebraska Department of Public Welfare and their sureties. These two cases involve claims that *781 the directors required Harmon to reimburse certain sums to the Department of Public Welfare under invalid rules and regulations. Harmon requests an accounting and repayment. The two cases have been consolidated on appeal, as the issues involved in each are identical. We affirm.

In case No. 83-268 Harmon brings suit against John Knight and his surety, State Farm Fire and Casualty Company. The suit in No. 83-269 is against Eldin J. Ehrlich and his sureties, Ohio Farmers Insurance Company and State Farm Fire and Casualty Company.

Each suit purports to be on behalf of Harmon and “all other nursing care facilities similarly situated, located and licensed in the State of Nebraska.” In summary, the suits allege that the Department of Public Welfare, under the direction of the individual director defendants, required Harmon and other licensed nursing homes to provide the department with cost reimbursement projections under which the department advanced and, after audit, adjusted payments made to Harmon and such others. The refunds made to the department by Harmon and the others in excess of actual costs were made under rules and regulations claimed to be invalid because they had not been properly filed with the Revisor of Regulations of the State of Nebraska, as required by law. By enforcing said invalid rules and regulations, the directors, according to Harmon, breached their duty to administer the department “as provided by law,” for which breach the directors and their sureties become liable to Harmon and the other members of the class for the loss of the use of their money. There is no allegation the adjustments were incorrect in amount or that an accounting was demanded from and refused by the directors.

The defendants demurred on the grounds that the trial court lacked jurisdiction because the State had not waived its sovereign immunity to be sued in the form presented by the petitions; that Harmon has no *782 capacity to sue; that there is a defect of parties plaintiff and defendant; and that each of the petitions fails to state a cause of action.

The trial court sustained the demurrers on the ground that it lacked jurisdiction.

Harmon assigns as its operative claim of error that a suit against a former director of the Department of Public Welfare and his sureties is not a suit against the State of Nebraska and, thus, is not subject to sovereign immunity considerations.

The first attack made by defendants upon Harmon’s petitions, and the one which the court below accepted as valid, is that a suit against a former state official is, in essence, a suit against the State itself and, thus, is subject to sovereign immunity considerations.

In support of this position defendants cite language from Burke v. City of South Omaha, 79 Neb. 793, 113 N.W. 241 (1907), a case involving a suit by a city employee who was injured while repairing a city street. That case states: “The state cannot, without its consent expressed through legislation, be sued for injuries resulting from an act done in the exercise of its lawful governmental powers and pertaining to the administration of government. When this power is exercised, as it must be, through an agent, the agent cannot be sued for injuries resulting from a strict performance of the agency. In such case the act is regarded as the act of the state, and not of the agent, who is the mere instrument of the state, and nothing more . . . .” Id. at 794-95, 113 N.W. at 241.

This language is inapposite to the present case. In its petitions Harmon is complaining that the acts taken by the former state employees were not within the State’s lawful exercise of its governmental powers. Harmon further contends that the State’s agents acted outside the scope of the authority granted to them by the State, in that the State required that rules and regulations be filed with the Revisor of Regulations.

*783 At common law, “[W]here the duty imposed on a public official is not of a discretionary character, but ministerial, the official will be held liable to third persons for the negligent performance of his duties, and in this respect, a public official’s duty is ministerial when it is absolute, certain, and imperative, involving merely the execution of a set task, and when the law which imposes it prescribes and defines the time, mode, and occasion of its performance with such certainty that nothing remains for judgment or discretion. More specifically, where the law imposes on the officer the performance of ministerial duties in which a private individual has a special, direct, and distinctive interest, the officer is liable to such individual for any injury which he may proximately sustain in consequence of the failure to perform the duty at all, or to perform it properly.” 67 C.J.S. Officers § 208 c. at 686 (1978).

The cases cited to us by the defendants for the proposition that a state officer is cloaked in the State’s immunity when exercising his powers all involve an officer who negligently or otherwise performed a discretionary duty. Those cases are not applicable to the claims made here by Harmon, as the duty claimed is ministerial in nature.

Defendants refer us to no statute in derogation of the common-law rule, a rule which we have specifically embraced in Larson v. Marsh, 144 Neb. 644, 14 N.W.2d 189 (1944). The facts of Larson are highly analogous to the present case. Therein, this court found that a cause of action was stated in a petition filed by a candidate for railway commissioner against the Secretary of State, his deputy, and their respective bonding companies, when it was alleged that the Secretary of State had failed to place the candidate’s address on the ballot during an election as required by statute.

Even though we conclude that the reasoning used by the District Court to sustain the defendants’ demurrers is incorrect, we are bound by the rule that *784 an order or decree sustaining a demurrer will be affirmed if any one ground of the demurrer is well taken, irrespective of whether the ruling is based on an erroneous ground. Morse v. Mayberry, 183 Neb. 89, 157 N.W.2d 881 (1968). We therefore proceed to a consideration of the other grounds urged upon the trial court.

The first of these remaining grounds is the claim that Harmon lacks the capacity to sue. No arguments are presented to us on this issue, and the only problem we can discern in this connection is whether Harmon may bring this suit as a class action. However, even if Harmon cannot maintain class actions, the question as to whether the suit might proceed on Harmon’s own individual behalf would remain. Roadrunner Development v. Sims, 213 Neb.

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Bluebook (online)
340 N.W.2d 872, 215 Neb. 779, 1983 Neb. LEXIS 1345, Counsel Stack Legal Research, https://law.counselstack.com/opinion/harmon-care-centers-inc-v-knight-neb-1983.