Langford v. Roman Catholic Diocese

177 Misc. 2d 897, 677 N.Y.S.2d 436, 1998 N.Y. Misc. LEXIS 389
CourtNew York Supreme Court
DecidedJune 23, 1998
StatusPublished
Cited by23 cases

This text of 177 Misc. 2d 897 (Langford v. Roman Catholic Diocese) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Langford v. Roman Catholic Diocese, 177 Misc. 2d 897, 677 N.Y.S.2d 436, 1998 N.Y. Misc. LEXIS 389 (N.Y. Super. Ct. 1998).

Opinion

OPINION OF THE COURT

Herbert Kramer, J.

Can plaintiff parishioner maintain a cause of action against [898]*898her priest for damages she allegedly sustained when their pastoral relationship developed into a sexual relationship? Although this is a question of first impression in New York,1 it has been vigorously litigated across the country. Some of the courts considering this question were willing to sustain a cause of action for breach of fiduciary duty,2 while others declined on First Amendment grounds.3 Defendants seek summary judgment contending that it is impossible to try this case without trespassing onto constitutionally forbidden territory. Thus, it is this court’s task to determine whether the issues can be framed for the jury in secular rather than sectarian terms.

Plaintiff’s complaint sets forth 12 causes of action, but if her cause is to survive, it will do so only on the strength of her claim of breach of fiduciary duty.4 Plaintiff’s narrative begins with her being diagnosed with multiple sclerosis in January of 1989. In February of 1989, “with nowhere and no one to turn to [she] looked to God for direction * * * [and] as a Catholic, [her] only thought was to seek the assistance of a priest.” Monsignor Sivillo began to visit plaintiff three and four times a week and encouraged her dependance upon him by emphasizing the mystical and esoteric nature of his power to cure her.5 [899]*899Plaintiff asserts that she lacked the power to resist the defendant’s physical advances because she “was addicted to him and the [religious] power he possessed to halt the spread of the multiple sclerosis * * * [she believed that if she angered him, she] would lose her lifeline to God and continued health.”6

Civil controversies involving religious parties or institutions may be adjudicated without offending the First Amendment7 as long as neutral laws of general applicability are utilized in their resolution. (Presbyterian Church v Hull Church, 393 US 440, 449 [1969].) Neutral principles are “wholly secular legal rules whose application to religious parties or disputes does not entail theological or doctrinal evaluations.” (Elmora Hebrew Ctr. v Fishman, 125 NJ 404, 414-415, 593 A2d 725, 730 [1991].)

The secular rule to be applied in this case is the law of fiduciaries. This area of the law recognizes that there is an imbalance inherent in certain relationships8 which places one party at a disadvantage in its dealings with the other party. Courts have therefore imposed additional obligations upon the [900]*900advantaged party to compensate for the disparity.9 Because the parameters of á fiduciary relationship have been vaguely defined10 and the range of relationships that can potentially be characterized as fiduciary is extensive, we are grateful for the guidance offered by one commentator who has distilled four elements that we believe are essential to the establishment of a fiduciary relationship: (1) The vulnerability of one party to the other which (2) results in the empowerment of the stronger party by the weaker which (3) empowerment has been solicited or accepted by the stronger party and (4) prevents the weaker party from effectively protecting itself.11

Finally, we must recognize that in making a “neutral principles” analysis, it is not sufficient to be able to identify relevant secular rules. It is also necessary to insure that there exist neutral facts to which to apply those rules. Neutral facts consist of “evidence from which the court may discern the objective intention of the parties” such as “the language of ** * * deeds, the terms of [a] local church charter * * * State statutes governing the holding of church property [and the like]” (First Presbyt. Church v United Presbyt. Church, 62 NY2d 110, 121, 122 [1984]), without resorting to matters of doctrine or dogma.12

[901]*901Here, in order for plaintiffs cause of action to meet constitutional muster, the jury would have to be able to determine that a fiduciary relationship existed and premise this finding on neutral facts.13 The insurmountable difficulty facing plaintiff, this court holds, lies in the fact that it is impossible to show the existence of a fiduciary relationship without resort to religious facts. In order to consider the validity of plaintiffs claims of dependency and vulnerability, the jury would have to weigh and evaluate, inter alia, the legitimacy of plaintiffs beliefs, the tenets of the faith insofar as they reflect upon a priest’s ability to act as God’s emissary and the nature of the healing powers of the church. To instruct a jury on such matters is to venture into forbidden ecclesiastical terrain. On the other hand, if we try to salvage plaintiffs claim by stripping her narrative of all religious nuance, what is left14 makes out a cause of action in seduction — a tort no longer recognized in New York — but not in breach of a fiduciary duty.15

[902]*902Accordingly, the defendants’ motion is granted. The plaintiffs complaint is dismissed.

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Bluebook (online)
177 Misc. 2d 897, 677 N.Y.S.2d 436, 1998 N.Y. Misc. LEXIS 389, Counsel Stack Legal Research, https://law.counselstack.com/opinion/langford-v-roman-catholic-diocese-nysupct-1998.