Hommel v. Micco

602 N.E.2d 1259, 76 Ohio App. 3d 690
CourtOhio Court of Appeals
DecidedDecember 13, 1991
DocketNo. 90-L-15-101.
StatusPublished
Cited by16 cases

This text of 602 N.E.2d 1259 (Hommel v. Micco) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hommel v. Micco, 602 N.E.2d 1259, 76 Ohio App. 3d 690 (Ohio Ct. App. 1991).

Opinion

Christley, Presiding Judge.

This is an appeal from a judgment of the Mentor Municipal Court, finding in favor of appellees, Jerome Micco and R.R. Buescher, on the complaint of appellant, Frederick Hommel, d.b.a. Hommel Electric.

This action was based upon certain events which took place during a two-year period in the mid-1980s. At that time, appellee Micco was a major shareholder in an Ohio corporation, known as “Micco and Company.” Also duri*g this period, appellee Buescher was a major shareholder in a second Ohio corporation, known as “Buescher and Associates.”

In approximately 1980, these two entities, with appellees acting as agents for their respective companies, entered into a joint venture and formed an Ohio general partnership, known as “Harbor Creek Company.” In turn, the Harbor Creek Company became the sole general partner in a limited partnership, known as “Harbor Creek Limited.” In addition to being shareholders and officers in their own corporations, appellees were limited partners in Harbor Creek Limited.

The limited partnership was formed for the purpose of constructing a condominium complex, appropriately known as “Harbor Creek.” At the beginning of the project, the limited partnership hired a construction supervisor, whose primary duties included purchasing the materials and dealing with the contractors. In performing these duties, the supervisor primarily consulted with appellee Buescher, although he also had contact with appellee Micco.

At some point in 1985, the limited partnership began to experience financial difficulty, and the construction supervisor was released. At that point, appellee Micco began to make many of the day-to-day decisions on the construction site.

Appellant is an electrical contractor and operates his own business, known as “Hommel Electric.” In 1984, before the construction supervisor was released, appellant submitted a bid to the limited partnership concerning certain electrical work in the project. This bid was accepted, and appellant *694 was hired as a subcontractor. Over the next two years, appellant worked on a number of the condominium units, including the unit owned by appellee Micco and his wife. Micco paid appellant directly for the work on his own unit.

During 1985, appellant worked under the direction of the construction supervisor. However, in both submitting his bid to Harbor Creek Limited and performing his work after the supervisor had been released, appellant had direct contact with appellees Micco and Buescher. Moreover, appellant submitted his invoices concerning the work he had performed directly to appellee Micco. During the early stages of his work, he did receive some payment from Harbor Creek Limited.

Due to the financial problems of Harbor Creek Limited, appellant was not paid for the majority of the work which he performed. Concerning the few invoices that were paid, there was no testimony as to who actually paid them. Accordingly, in May 1989, appellant initiated the instant action. In his complaint, appellant alleged that he had entered into an oral agreement with appellees to perform the work in question. In answering, appellees asserted that the oral agreement had been with the limited partnership, Harbor Creek Limited, and that they were not personally responsible for the debt owed.

An abbreviated trial was held before the trial court. Based upon the evidence presented, the court found that in representing the limited partnership and supervising the construction project, appellees had exercised some control over the management of the business. Nevertheless, the court held that under the relevant statutory law, appellees had not acted beyond the rights and powers of limited partners and therefore could not be held liable for the debts incurred by the limited partnership.

On appeal to this court, appellant has assigned the following as error:

“The trial court erred as a matter of law in holding the defendants-appellees, as limited partners, has [sic] no liability to plaintiff-appellant, notwithstanding its finding that they exercised control/management of partnership business substantially the same as a general partner and the evidence that they had exclusive control of the company business.”

The foregoing assignment essentially raises a question of statutory interpretation. As was mentioned earlier, the trial court specifically found that appellees had exercised some control over the management of the limited partnership. The court then held that under the relevant statutory law, this fact was not sufficient to warrant the extension of liability to appellees for the debt owed to appellant. Under his sole assignment, appellant maintains that the court’s legal conclusion as to the liability of a limited partner was erroneous.

*695 The liability of a limited partner is governed by R.C. 1782.19. Section (A) of this statute states:

“(A) Except as provided in division (D) of this section, a limited partner shall not become liable for the obligations of a limited partnership unless he is also a general partner or, in addition to the exercise of his rights and powers as a limited partner, he takes part in the control of the business. However, if the limited partner’s participation in the control of the business is not substantially the same as the exercise of the powers of a general partner, he is liable only to persons who transact business with the limited partnership with actual knowledge of his participation in control.”

Section (B) of the statute provides that a limited partner does not exercise “control of the business” by performing certain functions for the limited partnership. These functions include (1) acting as an agent, employee, or contractor for the limited partnership; (2) consulting with the general partner concerning the business of the limited partnership; and (3) voting on certain matters.

In its judgment entry, the trial court gave the following interpretation of section (A):

‘‘This Statute [R.C. 1782.19] says that a Limited Partner will not be liable unless:
“1. He is a General Partner or
“2. Takes part in the control of the business beyond ‘his rights and powers as a limited partner’ and then only if
“a. he exercises control outside that permitted under [section (B)] or
“b. he exercises control not substantially the same as that of a General Partner.” (Emphasis sic.)

The trial court then stated that “ * * * any of the control/management exercised by the Defendants constitute other than that which could have been performed by the General Partner.”

Based upon the foregoing statements, it is evident that under the trial court’s interpretation of R.C. 1782.19(A), one of the ways in which a limited partner can become liable for the obligations of the limited partnership is to exercise control which is substantially different or “other than” that which is exercised by the general partner. Stated differently, the trial court appears

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Cite This Page — Counsel Stack

Bluebook (online)
602 N.E.2d 1259, 76 Ohio App. 3d 690, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hommel-v-micco-ohioctapp-1991.