Kuzma, Admrx. v. Peoples Trust & Sav. Bank

176 N.E.2d 134, 132 Ind. App. 176, 1961 Ind. App. LEXIS 130
CourtIndiana Court of Appeals
DecidedJune 29, 1961
Docket19,285
StatusPublished
Cited by14 cases

This text of 176 N.E.2d 134 (Kuzma, Admrx. v. Peoples Trust & Sav. Bank) is published on Counsel Stack Legal Research, covering Indiana Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Kuzma, Admrx. v. Peoples Trust & Sav. Bank, 176 N.E.2d 134, 132 Ind. App. 176, 1961 Ind. App. LEXIS 130 (Ind. Ct. App. 1961).

Opinion

Ryan, P. J.

This is a companion case to Cause No. 19286 entitled “Ethel Laura Kuzma, by Joseph J. Kuzma, as her Next Friend, vs. Peoples Trust & Savings Bank, Boonville, Indiana, as Personal Representative of the Estate of Lysle Eugene Emmons, Deceased,” which was consolidated for the purpose of oral argument and is decided contemporaneously with this case.

It seems that Rosemary Kuzma, while riding in an automobile being driven by her sister, Ethel Kuzma, was involved in a collision with an automobile being driven by one Lysle E. Emmons on February 5, 1955. Rosemary Kuzma died on February 6, 1955, as did Lysle E. Emmons.

The briefs which were submitted and the record before us present some variance as to the dates of various pleadings and actions which were taken in the trial court, but the transcript which imports verity and which we must accept as being correct, shows the following:

*179 On January 19, 1957, the court appointed the Peoples Trust & Savings Bank as the personal representative of the estate of Lysle E. Emmons, deceased. On May 8, 1957, the Peoples Trust & Savings Bank filed its oath and qualified to act as administrator, and on the same day letters of personal representation were issued by the clerk of the Warrick Circuit Court. Anna M. Kuzma, as administratrix of the estate of Rosemary Kuzma, filed a claim against the estate of Emmons on January 22, 1957. A demurrer was filed on December 7, 1957, and the demurrer was sustained after the court heard oral argument on September 10, 1958. The appellant refused to plead over after the sustaining of the demurrer, and judgment was entered against the appellant on October 9,1958. The appellant now appeals from such ruling on the demurrer.

The demurrer was on the ground that the claim did not state facts sufficient to constitute a cause of action.

The appellant asserts that her claim is based on wrongful death, and that Burns’ §2-404, 1946 Replacement [Acts 1881 (Spec. Sess.), ch. 38, §8, p. 240; 1899, ch. 177, §1, p. 405; 1933, ch. 12, §1, p. 708; 1937, ch. 292, §3, p. 1341; 1949, ch. 42, §1, p. 126; 1951, eh. 140, §1, p. 367; 1957, ch. 25, §1, p. 43], which provides in part as follows:

“2-404. Action for wrongful death. — When the death of one is caused by the wrongful act or omission of another, the personal representative of the former may maintain an action therefor against the latter, if the former might have maintained an action had he or she (as the case may be) lived, against the latter for an injury for the same act or omission. When the death of one is caused by the wrongful act or omission of another, the action shall be commenced by the personal representative of the decedent within two (2) years, . . .”

*180 and that in accordance with such statute appellant’s action could be brought at any time within two (2) years after the death of her decedent.

The appellee in turn relies on Burns’ §7-801 (d), 1953 Replacement [Acts 1953, ch. 112, §1401, p. 295], 1 which is as follows:

“7-801. Limitations on filing claims — Statutes of limitation — Claims barred when no administration commenced — Liens not affected.—
“(a) All claims against a decedent’s estate, other than expense of administration and claims of the United States, and of the state and any subdivision thereof, whether due or to become due, absolute or contingent, liquidated or unliquidated, founded on contract or otherwise, shall be forever barred against the estate, the personal representative, the heirs, devisees and legatees of the decedent, unless filed with the court in which such estate is being administered within six (6) months after the date of the first published notice to creditors.
“(d) All claims barrable under the provisions of subsection (a) hereof shall, in any event, be barred if administration of the estate is not commenced within one (1) year after the death of the decedent.”

and asserts that the demurrer was correctly sustained since the administration of the appellee’s estate did not commence within one (1) year after his death and thus appellant cannot enforce her claim.

The appellant further urges that an interpretation of §7-801 (d), supra, in limiting the appellant’s action herein would cause conflict with §7-107 Burns’ 1953 Replacement [Acts 1953, ch. 112, §707, p. 295; 1955, ch. 258, §4, p. 667], which provides as follows:

*181 “7-107. Notice of appointment of personal representative — Creditors to file claims — Form of notice. — As soon as letters testamentary or of administration, general or special, have been issued, the clerk shall cause to be published a notice hereof, in which notice there shall be included notice to creditors of the decedent to file their claims as required by law.
“All persons having claims against said estate, whether or not now due, must file the same in said court within six months from the date of the first publication of this notice or said claims will be forever barred.”

In discussing §7-801, supra, we find the following statement made in 1 Henry’s Probate Law and Practice, ch. 18, §9, at p. 419:

“. . . not a statute of limitations, but a denial of right of action. ... It imposes a condition precedent to the enforcement of a right of action, while statutes of limitation create defenses that must be pleaded and may be waived. The court is without power to extend the time.”

This language has been quoted with approval by this court in the cases of Otolski v. Estate of Nowicki (1958), 129 Ind. App. 492, 158 N. E. 2d 296, and Russell, Administrator, etc. v. Moore (1960), 130 Ind. App. 351, 164 N. E. 2d 670.

And at page 857 of 1 Henry’s Probate Law and Practice, ch. 23, §6, the following:

“Care must be taken to distinguish between the legal effect of statutes of limitations and nonclaim statutes. The statutes of limitations of ac- . tions ordinarily only bar the remedy. The right remains and the statute may be waived, and ordinarily does not run against those under a disability. The effect of the nonclaim stat *182 ute, however, is that, regardless of any other statute, all claims against a decedent perish at his death, except those claims that are presented against his estate within the time and in the manner prescribed by such nonclaim statute. Thus claims held by those under a disability perish, as do all others, and the right being destroyed, the claim cannot be revived by waiver on the part of the personal representative, or otherwise.
“The Probate Code, however, in barring claims not timely filed, makes no distinction between claimants under a disability and otherwise.

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Bluebook (online)
176 N.E.2d 134, 132 Ind. App. 176, 1961 Ind. App. LEXIS 130, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kuzma-admrx-v-peoples-trust-sav-bank-indctapp-1961.