Joel Erik Thompson, Ltd. v. Holder

965 P.2d 82, 192 Ariz. 348
CourtCourt of Appeals of Arizona
DecidedJuly 22, 1998
Docket1 CA-CV 97-0616A
StatusPublished
Cited by15 cases

This text of 965 P.2d 82 (Joel Erik Thompson, Ltd. v. Holder) is published on Counsel Stack Legal Research, covering Court of Appeals of Arizona primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Joel Erik Thompson, Ltd. v. Holder, 965 P.2d 82, 192 Ariz. 348 (Ark. Ct. App. 1998).

Opinion

OPINION

FIDEL, Presiding Judge.

¶ 1 When legal malpractice occurs in the course of litigation, the malpractice claim does not accrue, and the statute of limitations does not start to run, until the appellate process in the underlying litigation is “completed or is waived by a failure to appeal.” Amfac Distribution Corp. v. Miller, 138 Ariz. 152, 154, 673 P.2d 792, 794 (1983). But when is the appellate process completed in an appeal finally resolved by the court of appeals *349 without a petition for supreme court review? Is it completed when the deadline passes for filing a petition for review, or not until the court of appeals issues its mandate bringing the appeal to a formal, final end? On that margin, here a matter of four days, turns compliance with the statute of limitations in this case.

¶ 2 We hold that the mandate establishes the completion of the appellate process and that the trial court, which used the earlier date, erred in entering summary judgment for Defendants on statute-of-limitations grounds. We uphold summary judgment, however, upon the independent basis that the parties had no attorney-client relationship.

History

¶ 3 Plaintiff Joel Erik Thompson, Ltd. 1 assigned a collection matter concerning an unpaid client fee to Transworld Systems, Inc., dba Credit Management Services (“CMS”). Plaintiffs agreement with CMS authorized CMS to “sue, settle or adjust any claims as may be necessary.” As assignee, CMS was entitled to do so in its own name. CMS retained the Defendant law firm, Skarecky, Cales & Holder (“SCH”), to handle the collection. Plaintiff retained a 50% contingency interest in whatever recovery SCH might achieve for CMS.

¶ 4 SCH brought suit on behalf of CMS against Plaintiffs former clients, the Powers-es, whose answer included a third-party complaint against Plaintiff alleging that, contrary to owing him any further fee, they should be refunded a sum that they had overpaid. Plaintiff filed his own answer to the third-party complaint, having been advised by SCH that CMS did not authorize that firm to do so on his behalf.

¶ 5 The lawsuit was set for arbitration. Before the hearing, Plaintiff advised William Holder, an attorney with SCH, that he had suffered a heart attack and must move to continue the arbitration. Holder responded that he and CMS preferred to proceed with the hearing as scheduled, at which, as CMS and Plaintiff had common positions on disputed matters, Holder could “handle everything.” Relying upon that representation, Plaintiff did not move to continue. Though he ultimately attended the arbitration, he deferred to Holder to prepare for and conduct it.

¶ 6 The Powerses presented expert testimony at arbitration concerning the unreasonableness of Plaintiff’s fee, and CMS presented none to counter. Nonetheless, the arbitrator ruled in favor of CMS in the amount of $4,587.35, plus interest, and dismissed the third-party complaint against Plaintiff. After the hearing, anticipating that the Powerses would appeal and seek a trial de novo in superior court, Plaintiff asked Holder to present expert testimony to support the reasonableness of the fee if the case went to trial.

¶ 7 When the Powerses did appeal, Plaintiff phoned Holder and named two attorneys who would testify as experts regarding the reasonableness of the unpaid fee. By then, however, the deadline for listing additional witnesses had passed. Holder decided not to attempt to secure the testimony of Plaintiffs experts by filing an untimely list of supplementary witnesses, but instead by arguing that Plaintiff’s experts, though unlisted by name, had been adequately disclosed in a catch-all pre-arbitration listing of “[a]ll witnesses listed by all other parties.” As the Powerses, before the arbitration, had listed “other attorney to testify on the issue of the reasonableness of [Plaintiffs] charges,” Holder argued that Plaintiffs experts fell within this category and had been sufficiently disclosed.

¶8 The Powerses objected to the proposed testimony of unnamed expert witnesses, and the trial court sustained the objection. Thereafter, the trial court ruled against CMS on the original complaint, awarded the Powerses $1,812.65 in damages on their third-party complaint against Plaintiff, and awarded them attorneys’ fees of $2500 and costs of $78.25 against both CMS and Plaintiff.

*350 ¶ 9 The award to the Powerses was reduced to judgment, appealed, and upheld by this court in 1 CA-CV 93-0180. The deadline to petition for review of our decision was September 9, 1994. After the deadline passed with no petition, this court issued its mandate in favor of the Powerses on September 13,1994.

¶ 10 In the interim, during the pendency of the appeal, SCH filed a separate suit in justice court on behalf of CMS against Plaintiff seeking reimbursement for its expenses in the underlying case. Plaintiff, when served with that lawsuit, objected that SCH’s representation of CMS constituted a conflict of interest. In the face of this objection, SCH withdrew from representing CMS. Substituted counsel later provided Plaintiff with copies of correspondence from SCH to CMS recommending and drafting a demand letter to be submitted to Plaintiff.

¶ 11 On September 12, 1996, Plaintiff filed the present action. He initially denominated it as one for “Legal Malpractice,” but on October 2, 1996, filed a First Amended Complaint denominated as one for “Legal Malpractice and Breach of Contract.” In Counts I and II, Plaintiff alleged that SCH had breached its duty as his representative by failing to timely list his expert witnesses. In Count III, Plaintiff alleged that, when SCH counseled CMS to file suit against him, SCH’s actions constituted both a conflict of interest and a breach of contract.

¶ 12 SCH moved for summary judgment on all claims and to dismiss Count III for failure to state a claim. Following hearings, the trial court granted SCH’s motions, and Plaintiff filed a timely notice of appeal.

Statute of Limitations

¶ 13 The trial court ruled that Plaintiffs three claims were barred by the statute of limitations. To review the validity of this ruling, we must determine whether Plaintiffs cause of action accrued on September 9, 1994, when the deadline passed for filing a petition for review from this court’s decision in the underlying case, or on September 13, 1994, when this court issued its mandate bringing that case to a formal, final end. Assuming a two-year statute of limitations for all counts, 2 if the cause of action accrued on September 9, 1994, Plaintiff filed an untimely complaint on September 12, 1996; if the cause of action accrued on September 13, 1994, Plaintiffs September 12, 1996, complaint was timely.

¶ 14 The parties’ arguments turn entirely upon a nuance that emerges from comparison of this court’s decision in Amfac Distribution Corp. v. Miller, 138 Ariz. 155, 673 P.2d 795 (App.) (“Amfac I”), af f'd, 138 Ariz.

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Bluebook (online)
965 P.2d 82, 192 Ariz. 348, Counsel Stack Legal Research, https://law.counselstack.com/opinion/joel-erik-thompson-ltd-v-holder-arizctapp-1998.