Huff v. Uhl

647 P.2d 730, 103 Idaho 274, 1982 Ida. LEXIS 261
CourtIdaho Supreme Court
DecidedJune 18, 1982
Docket13929
StatusPublished
Cited by20 cases

This text of 647 P.2d 730 (Huff v. Uhl) is published on Counsel Stack Legal Research, covering Idaho Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Huff v. Uhl, 647 P.2d 730, 103 Idaho 274, 1982 Ida. LEXIS 261 (Idaho 1982).

Opinion

BAKES, Chief Justice.

The appellants in this action contest a judgment against them for damages arising out of a vehicular collision. Defendant appellant Chris Uhl was driving a dump truck in the scope of his employment with defendant appellant Minidoka Irrigation District when he turned out from a private roadway in front of the plaintiff respondent Huff. Huff attempted to avoid an accident by veering left into the barrow pit; however, Uhl’s dump truck crossed into the left hand lane and came into contact with plaintiff’s vehicle while it was in the barrow pit. Uhl claimed his brakes had failed.

Huff unsuccessfully endeavored to have defendants pay for the damages, had his truck repaired, and then filed an action against the defendants in small claims court to recover the costs of repairing his truck. Judgment was entered in his favor for the sum of $688.07 plus costs of $17.50. Defendants appealed to the district court. The district court held a trial de novo and granted judgment in favor of Huff for $688.33, but limited the award of costs to $50, including the costs of filing in small claims court, and limited attorney fees to $25. Defendants have appealed the judgment, and plaintiff Huff cross appeals.

Appellants first argue that Huff failed to adequately comply with the notice provisions of the Idaho Tort Claims Act, Idaho Code title 6, chapter 9. The facts relevant to this issue were found by the district court to be as follows:

“About four days after the collision the plaintiff went to the M.I.D. business office. He was greeted by a receptionist. He gave his name, told the receptionist that he had been involved in an accident with one of M.LD.’s trucks, and handed repair estimates (Exhibits 1 and 2) to the receptionist. The receptionist went over to Nelda Spevak, secretary treasurer of M.I.D. and had a discussion with her while holding in her hands the estimates. The receptionist then went to the copy machine and made copies of the estimates, after which the receptionist returned plaintiff’s estimates to plaintiff. About 3 — 4 weeks later the plaintiff again went to the M.I.D. office and talked with Spevak and the receptionist. Spevak advised the plaintiff that M.I.D.’s insurance carrier would take care of the matter, or that she was turning the matter over to their insurance company. Following that event the plaintiff telephoned M.I.D. at least twice, in course of which calls the plaintiff was given the name and telephone number of the M.I.D. insurance agency. A month or so after the collision the plaintiff telephoned the insurance agent to inquire about the collision settlement. At that time plaintiff explained to the insurance agent (who had received no information from M.I.D.) the facts of the collision and inquired if he should get the pickup repaired. At the request of the insurance agency plaintiff sent him his copies of the repair estimates because they had not received them from M.I.D. One Larry Stonely, presumably an insurance adjuster for the insurance carrier, came to plaintiff’s place and looked over the pickup some two months after the collision; and within the 120 day time limit for notice under the Tort Claims Act, plaintiff advised Larry Stonely of plaintiff’s claim.... ”

Although the evidence on some of the above findings is conflicting, there is substantial competent evidence to support them, and we will therefore not disturb those findings on appeal. E.g., Cougar Bay Co., Inc. v. Bristol, 100 Idaho 380, 597 P.2d 1070 (1979). The question thus presented to us is whether the above facts as found by the district court support the conclusion that respondent Huff’s notice of claim was sufficient as measured by the requirements of the Tort Claims Act.

In particular, appellant challenges the sufficiency of Huff’s notice based upon the following statutes:

“6-902. DEFINITIONS. — As used in this act:
*276 “7. ‘Claim’ means any written demand to recover money damages from a governmental entity or its employee which any person is legally entitled to recover under this act as compensation for the negligent or otherwise wrongful act or omission of a governmental entity or its employee when acting within the course or scope of his employment.” (Emphasis added.)
“6-906. FILING CLAIMS AGAINST POLITICAL SUBDIVISION OR EMPLOYEE — TIME.—All claims against a political subdivision arising under the provisions of this act and all claims against an employee of a political subdivision for any act or omission of the employee within the course or scope of his employment shall be presented to and filed with the clerk or secretary of the political subdivision within one hundred twenty (120) days from the date the claim arose or reasonably should have been discovered, whichever is later.” (Emphasis added.)
“6-907. CONTENTS OF CLAIMS— FILING BY AGENT OR ATTORNEY-EFFECT OF INACCURACIES. — All claims presented to and filed with a governmental entity shall accurately describe the conduct and circumstances which brought about the injury or damage, describe the injury or damage, state the time and place the injury or damage occurred, state the names of all persons involved, if known, and shall contain the amount of damages claimed, together with a statement of the actual residence of the claimant at the time of presenting and filing the claim and for a period of six (6) months immediately prior to the time the claim arose.... A claim filed under the provisions of this section shall not be held invalid or insufficient by reason of an inaccuracy in stating the time, place, nature or cause of the claim, or otherwise, unless it is shown that the governmental entity was in fact misled to its injury thereby.”

First, it is argued that the written estimate of damages presented by Huff was not a “written demand” as required under I.C. § 6-902(7) because the writing itself did not contain a statement of demand upon M.I.D., and that the written estimate was also deficient as notice in that it did not contain all of the information required under I.C. § 6-907. In Smith v. City of Preston, 99 Idaho 618, 586 P.2d 1062 (1978), this Court, by reason of the following language in I.C. § 6-907, declined to take such a narrow view concerning the form that a notice of claim under the Tort Claims Act should take:

“A claim filed under the provisions of this section shall not be held invalid or insufficient by reason of an inaccuracy in stating the time, place, nature or cause of the claim, or otherwise, unless it is shown that the governmental entity was in fact misled to its injury thereby.”

In light of that provision in I.C. § 6-907, we pointed out in Smith that the primary function of notice under the Tort Claims Act was to “put the governmental entity on notice that a claim against it is being prosecuted,” and that notice serving that function would not be insufficient unless the governmental entity was “misled to its injury.” 98 Idaho at 621-22, 586 P.2d at 1066-67. The facts of this case show that although the written estimate itself did not contain a statement of demand, M.I.D.

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Cite This Page — Counsel Stack

Bluebook (online)
647 P.2d 730, 103 Idaho 274, 1982 Ida. LEXIS 261, Counsel Stack Legal Research, https://law.counselstack.com/opinion/huff-v-uhl-idaho-1982.