In Re Patterson

111 B.R. 395, 1989 Bankr. LEXIS 2438, 20 Bankr. Ct. Dec. (CRR) 303, 1989 WL 188892
CourtUnited States Bankruptcy Court, N.D. New York
DecidedOctober 13, 1989
Docket15-61209
StatusPublished
Cited by2 cases

This text of 111 B.R. 395 (In Re Patterson) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, N.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Patterson, 111 B.R. 395, 1989 Bankr. LEXIS 2438, 20 Bankr. Ct. Dec. (CRR) 303, 1989 WL 188892 (N.Y. 1989).

Opinion

MEMORANDUM-DECISION, FINDINGS OF FACT CONCLUSIONS OF LAW AND ORDER

STEPHEN D. GERLING, Bankruptcy Judge.

This cause comes before the Court on the motion of the United States Trustee (“UST”) to hold Carl W. and Bonnie M. Patterson (“Debtors”) in civil contempt for violation of this Court’s Order dated January 26, 1989 directing Debtors to file certain documents with the Court and award of monetary sanctions not to exceed $500.00 per day for each day of noncompliance and reasonable costs and attorney’s fees to UST not to exceed $350.00.

JURISDICTIONAL STATEMENT

This Court has jurisdiction of this core proceeding pursuant to 28 U.S.C. §§ 1334(a), (b); 157(a), (b)(1), (b)(2)(0) and 11 U.S.C. § 105(a), (c) (West 1979 & Supp. 1989).

STATEMENT OF FACTS

Debtors filed a voluntary petition pursuant to Chapter 11 of the Bankruptcy Code, 11 U.S.C.A. §§ 101-1330 (West 1979 & Supp.1987) (“Code”) on September 26, 1986. As a result of the UST’s motion to dismiss or convert, an Order of Conversion was entered on April 25, 1988.

On October 18, 1988, UST filed a motion, returnable December 20, 1988, pursuant to Bankruptcy Rule (“Bankr.R.”) 1019 for an order compelling Debtors to file a) Final Report; b) Schedule of Post-Petition Debts; c) Mailing Matrix; d) Statement of Executory Contracts; e) Statement of Intentions; and f) Schedule of Current Income and Expenses, or face dismissal of the case. That motion went unopposed, although service was made on the Debtors and the Debtors' attorney as required by Bankr.R. 9014 and 7004 and Federal Rules of Civil Procedure (“Fed.R.Civ.P.”) 4.

After a hearing, the Court entered an Order dated January 26, 1989, requiring the Debtor to file the necessary documents by February 21, 1989. Certificate of Service by UST indicates that the January 26, 1989 Order was mailed to Debtor’s attorney and the Chapter 7 Trustee on January 31, 1989, but no personal service was made upon the Debtors. By way of certified mail, however, Debtors’ attorney sent a copy of the January 26th Order to Debtors. The mailing was “unclaimed” by the Debtors and returned to their attorney.

The UST moved on April 20, 1989 to hold both the Debtors and their attorney in contempt due to their failure to comply with the Order of January 26, 1989. Certificate of Service indicates mailing of that motion to Debtors’ attorney, Debtors and the Chapter 7 Trustee. Debtors’ counsel filed a cross-motion to withdraw due to Debtors’ non-cooperation. The Affidavit of Service of that motion indicates that it was mailed *397 to the UST, Chapter 7 Trustee, and Mr. and Mrs. Carl Patterson at Olive Street and Hamilton Street addresses in Watertown, New York. Both motions were heard on May 23, 1989 in Syracuse, New York.

Debtors’ counsel appeared at the May 23, 1989 hearing and attested to repeated difficulty in contacting his clients from May 17, 1988 through February 7, 1989. It is undisputed that the Debtors last communicated with their attorney on July 11, 1988 in response to a letter he sent them on or about June 23, 1988. It is also undisputed that Debtors did not appear at the § 341 meeting of creditors on July 15, 1988 or at the adjourned meetings on September 16, November 18, 1988 or January 20, and March 17, 1989. Debtors’ counsel attended all three of the creditors’ meetings and has sent a number of letters to the Debtors. The letters sought to inform them of the dates of adjourned meetings, the consequences of a failure to respond and requested that the Debtors contact the attorney. The Debtors have not contacted their attorney or this Court since June 23, 1988. The attorney’s repeated efforts to contact the Debtors regarding the January 26,1989 Order were found to be in earnest and in good faith at the May 23, 1989 hearing. The Court reserved decision on the UST’s motion, while granting the motion of Debtors’ counsel to withdraw as counsel.

The UST subsequently withdrew that part of his motion directed at Debtors’ attorney, so that the instant motion seeks a judgment of contempt solely against the Debtors and its officers.

ISSUES

Does this Court have civil contempt power?

Must an Order be served on the Debtors personally for them to be held in contempt in the event of their noncompliance?

What are the appropriate sanctions?

DISCUSSION

“The ability to enforce orders and judgment through the contempt power is essential to the orderly administration of justice.” In re Shafer, 63 B.R. 194, 197 (Bankr.D.Kansas 1986) (citations omitted). This Court has previously stated, in dicta, its position of approval regarding the powers of bankruptcy courts to issue orders of civil contempt. See In re Sheldrick, Case No. 87-01123, slip op. at 16-18 & n. 5 (Bankr.N.D.N.Y.1988), rev’d in part on other grounds, United States of America v. Sheldrick (In re Sheldrick), Case No. 89-CV-612, 1989 WL 95603 (Aug. 14, 1989). Other courts have held similarly. See e.g. Haile v. New York State Higher Education Services Corp., 90 B.R. 51, 54 (W.D.N.Y.1988); Miller v. Mayer (In re Miller), 81 B.R. 669, 673-79 (Bankr.M.D.Fla.1988). Such authority is articulated in 11 U.S.C. § 105 wherein it states that the Court may, sua sponte, issue any order appropriate to prevent an abuse of process. Id. But see Plastiras v. Idell (In re Sequoia Auto Brokers, Ltd., Inc.), 827 F.2d 1281 (9th Cir.1987).

In contrast to criminal contempt sanctions, civil contempt sanctions are intended to compensate parties injured by non-compliance with court orders. See In re Crabtree, 60 B.R. 147 (Bankr.E.D.Tenn.1986); In re McCary, 60 B.R. 152 (Bankr.N.D.Ill.1986). Furthermore, awarding contempt sanctions acts as an incentive to encourage future compliance.

In a civil contempt proceeding, the query is not focused on the individual’s intent. See In re Sheldrick, supra at 16 (citing In re Wagner, 74 B.R. 898 (Bankr.E.D.Pa.1987; Kellogg v. Chester, 71 B.R. 36, 38 (N.D.Tex.1987)). As long as the individual has knowledge of the order, “accidental, inadvertent or negligent conduct can be grounds for imposing civil contempt sanctions, and those sanctions may include attorney fees.” In re Shafer, supra, 63 B.R. at 198.

Notice to parties of an order of this Court is governed by Fed.R.Civ.P. 5 as referenced in Bankr.R. 9022 and 7005. Fed.R.Civ.P. 5(b) provides therein that notice to a party of entry of an order shall be *398

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Bluebook (online)
111 B.R. 395, 1989 Bankr. LEXIS 2438, 20 Bankr. Ct. Dec. (CRR) 303, 1989 WL 188892, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-patterson-nynb-1989.