In re Starbuck

221 A.D. 702, 225 N.Y.S. 113, 1927 N.Y. App. Div. LEXIS 6545
CourtAppellate Division of the Supreme Court of the State of New York
DecidedNovember 18, 1927
StatusPublished
Cited by17 cases

This text of 221 A.D. 702 (In re Starbuck) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of 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 Starbuck, 221 A.D. 702, 225 N.Y.S. 113, 1927 N.Y. App. Div. LEXIS 6545 (N.Y. Ct. App. 1927).

Opinion

Carswell, J.

On March 17, 1927, upon a petition pursuant apparently to section 231-a of the Surrogate’s Court Act (as added by Laws of 1923, chap. 526), the surrogate held a hearing to fix and determine the sendees of Graef & Arnold, the attorneys for the petitioner, Emma S. Starbuck, as executrix for Charles A. Starbuck,. deceased. On April 5,1927, the return day of the citation, the petitioners appeared in support thereof, as did also the Empire Trust Company and the Bank of the Manhattan Company, creditors, in opposition thereto. A complete disclosure of the entire situation was then had, and the surrogate allowed counsel fees of $35,000, for what [703]*703the petitioners claimed were unusual services as a matter of extent. The surrogate, on April 5, 1927, announced the amount of the allowance. A decree was prepared and noticed for settlement on April 8, 1927, when the same respondents appeared in opposition as had appeared at the time of the original tentative fixation of the allowance. On both these occasions it was made known to the surrogate that the gross estate was $482,000, of which $300,000 was collateral held by creditors, leaving $182,000 for distribution to general creditors. The surrogate on this occasion exacted a stipulation from the attorneys, Graef & Arnold, that the amount of their allowance was to cover their legal services up to and including the final accounting. On April 8, 1927, a decree in accordance with the foregoing was made by the surrogate, and payments thereunder made by the executrix on April 15, 1927.

On April 27, 1927, the surrogate of his own motion filed a memorandum wherein he assumed to reconsider his decree of April 8, 1927, and to reduce the allowance theretofore decreed to Graef & Arnold from $35,000 to $20,000, for all services including final account.” Thereupon the respondent Bank of the Manhattan Company noticed for settlement a proposed amended decree based on this memorandum of the surrogate, dated April 27, 1927, at which time Graef & Arnold filed an affidavit in opposition. The amended decree was signed and entered by the surrogate on May 17, 1927.

The appellants urge that the surrogate was without power to modify his decree of April 8, 1927, and reduce the allowance therein made to counsel, and that, therefore, the May 17, 1927, decree should be reversed and the April eighth decree reinstated. They urge that the Surrogate’s Court Act gives no power to make the May 17, 1927, decree.

The Court of Appeals, per Collin, J., in Matter of Martin (211 N. Y. 328, 330), said: A surrogate can exercise only such jurisdiction as has been specially conferred by statute, together with those incidental powers which may be requisite to effectually carry out the jurisdiction actually granted. (Matter of Underhill, 117 N. Y. 471.) Those claiming under the order or decree of the surrogate must show affirmatively his authority to make it, and the facts which give him jurisdiction.”

The statute which fixes the surrogate’s power in a situation of this character is section 20 of the Surrogate’s Court Act, which reads:

“ § 20. Incidental powers of the surrogate. A surrogate, in or out of court, as the case requires, has power: * * *
“ 6, To open, vacate, modify, or set aside, or to enter as of a

[704]*704former time, a decree or order of his court; or to grant a new trial or a new hearing for fraud, newly discovered evidence, clerical error, or other sufficient cause. The powers conferred by this subdivision must be exercised only in a hke case, and in the same manner, as a court of record and of general jurisdiction exercises the same powers.”

The foregoing limits the power of the surrogate to open or vacate a decree to cases where “ fraud, newly discovered evidence, clerical error, or other sufficient cause ” is shown. The phrase “ or other sufficient cause ” has been construed to mean “ causes of hke nature with those specifically named.” (Matter of Tilden, 98 N. Y. 434, 442.)

There is no suggestion herein of fraud, newly-discovered evidence or clerical error. That which the surrogate has herein recognized as amerror is a judicial error.

This court, per Mr. Justice Woodward speaking for a unanimous court, in Matter of Peck (131 App. Div. 81) said: Clearly the deliberate language made use of in a judicial decree, made and entered with all the formahties of law, cannot be said to constitute a clerical error; it is, if anything, a judicial error, and the correction of judicial error is not intrusted by the statute to the surrogate, but to the appellate courts. Any party aggrieved may appeal (§ 2568) within thirty days after the service of a notice of the decree (§ 2572), and we are of the opinion that the provisions of the Code of Civil Procedure above cited, making provision for opening a decree for fraud, newly-discovered evidence, clerical error or other sufficient cause, necessarily precludes the idea that a judicial error may be corrected by a motion .made before the surrogate. If it may, then a decree which, by the terms of section 2742 of the Code of Civil Procedure, becomes conclusive evidence against all the parties upon certain facts may, at any time after the time for appeal has expired, be subject to be opened or set aside, for it was held in Matter of Henderson [157 N. Y. 423] that there was no limit of time imposed upon the exercise of the powers granted under the provisions of section 2481 of the Code of Civil Procedure. No such intention may be imputed to the Legislature, and the dignified and orderly administration of justice requires that judicial errors shall be corrected, not at the caprice or whim of the court of original jurisdiction, but in the method clearly pointed out by law and sanctioned by ages of usage. (See Matter of Soule, 72 Hun, 594, 597, and authorities there cited.) ” To the same effect is Matter of Barnum (129 App. Div. 418).

[705]*705The respondent Bank of the Manhattan Company practically concedes that the surrogate’s action herein may not be sustained under section 20 of the Surrogate’s Court Act. It asserts that that section and the cases relating to it have no pertinency. Its point is that these cases concern a situation where an application was made after the time for appeal had expired. It argues that there is no difference between what the surrogate did here and what the surrogate might have done before the expiration of the time within which an appeal might be had, if a motion for a reargument had been made within that period. It further asserts that a Supreme Court justice could do that which the surrogate did, and that the Supreme Court practice is to be assimilated to the Surrogate’s Court. The difficulty with that approach to the problem presented is that the practice of the Supreme Court, so far as it is to be assimilated to the practice in the Surrogate’s Court, is to be exercised only in a like case, and in the same manner, as a court of record and of general jurisdiction exercises the same powers.” (Surr. Ct. Act, § 20, subd. 6.)

Nor does section 316 of the Surrogate’s Court Act (as amd. by Laws of 1922, chap. 653) aid the respondent. It provides:

§ 316. Certain provisions made applicable to proceedings in Surrogates’ Courts. Except where a contrary intent is expressed in, or plainly implied from the context of this act,

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Bluebook (online)
221 A.D. 702, 225 N.Y.S. 113, 1927 N.Y. App. Div. LEXIS 6545, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-starbuck-nyappdiv-1927.