Manes v. France (In Re Humphrey's Pest Control Co.)

80 B.R. 687, 1987 Bankr. LEXIS 1906, 1987 WL 21798
CourtUnited States Bankruptcy Court, E.D. Pennsylvania
DecidedDecember 10, 1987
Docket19-11565
StatusPublished
Cited by4 cases

This text of 80 B.R. 687 (Manes v. France (In Re Humphrey's Pest Control Co.)) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, E.D. Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Manes v. France (In Re Humphrey's Pest Control Co.), 80 B.R. 687, 1987 Bankr. LEXIS 1906, 1987 WL 21798 (Pa. 1987).

Opinion

OPINION

DAVID A. SCHOLL, Bankruptcy Judge.

A. INTRODUCTION AND PROCEDURAL HISTORY

This proceeding, which is present in our court due only to an unusual set of procedural circumstances, reveals, in the series of cross-claims filed, the very human tendency to blame third parties for situations which arise in large part from the attempts of persons to serve their own self-interests at the expense of concern for the consequences upon others. We conclude that the Plaintiff home purchasers are entitled to damages of $2,700.00 from the seller of the home and her daughter for the cost of making repairs to the roof of the premises due to the failure of the daughter to produce a roof certification, as was clearly required by the Agreement of Sale. We also hold that the buyers are entitled to damages of $2,696.00 from the seller and her daughter and from the seller’s real estate broker due to the failure of these parties to disclose a report that termite infestation was found on the premises to the buyers. Finally, we hold that a company which produced a report, contrary to the undisclosed report, that no termite infesta *689 tion was present is liable over to the seller’s daughter and the broker for $672.00 of the termite-related damages awarded.

Had several of these parties not displayed some measure of opportunistic conduct on their own part, they would, in our eyes, have fared better. The buyers undermined their credibility that the termite damage was far more serious than we find it to be by refusing to open the walls to discover the actual damages thereto and by failing to disclose any of their claims in this lawsuit in a recent application to refinance the mortgage on their home. On the other hand, the seller’s daughter and the broker could not in any manner justify their failure to disclose the unfavorable termite-inspection report to the buyers. The daughter enhanced her liability by refusing to be cooperative in resolving this matter with anyone. The rather apparent negligence of the second termite inspector was diminished in force by the failure of the seller’s daughter to disclose the unfavorable report to him. We therefore consider our result equitable as well as supported by the relevant case law.

On May 2, 1985, the Plaintiffs, the buyers of a premises located at 2847 Winchester Avenue, Philadelphia, Pennsylvania 19136, (herein referred to as “the Premises”), JOHN AND ROSEMARIE MANES (herein referred to as “the Buyers”), filed this action at April Term, 1985, No. 6631, in the Court of Common Pleas of Philadelphia County. Originally named as Defendants were the late MARGARET PRANCE, the seller of the Premises to them (herein referred to as “the Seller”); WILLIAM C. WILLIAMS, the real estate broker in the sale (herein referred to as “the Broker”); and STEVEN MARCOE, the agent who initially procured the sale (herein referred to as “the Salesman,” despite that he is a licensed broker in his own right). In their Answers, the Broker and the Salesman, represented by the same counsel, on one hand, and the Seller, on the other hand, asserted cross-claims against each other. The Seller also joined, as a third-party Defendant, GLENSIDE, INC., t/a HUMPHREY’S PEST CONTROL CO., INC. (herein referred to as “Glenside”), a corporate entity which had purchased the assets of the Debtor Corporation in this case, HUMPHREY’S PEST CONTROL COMPANY, INC. (herein “the Debtor”), in a transaction approved by this Court on January 18, 1985.

On December 5, 1985, Glenside (1) removed this entire case from the Philadelphia Court of Common Pleas to this Court as an adversarial proceeding in the Debt- or’s bankruptcy; and (2) filed what it termed a Third-party Complaint, but which appears to in fact have been a Second Third-party 'Complaint, against JAMES R. MELINSON, Trustee of the Debtor’s Estate (hereinafter referred to as “the Trustee”). On January 13,1986, the Broker and the Salesman filed a cross-claim against Glenside.

Then, on March 6, 1986, Glenside filed a Motion for Summary Judgment, contending that it was relieved of all libility to the Seller, the Broker, and the Salesman, on the ground that the transaction preceded its acquisition of the Debtor and the Bill of Sale precluded its liability for pre-purchase transactions. On April 9,1986, this Motion was granted, leaving Glenside out of the ease but also leaving this Court, without the party which brought it here, with this lawsuit. At this point, the presence of the Trustee as a party was the only even remote connection of this matter with the bankruptcy court.

On September 3,1986, the Buyers moved to amend their Complaint to change their pleading of damages originally sought, which was granted on October 7, 1986. However, on October 30, 1986, the Buyers moved to file a Second Amended Complaint, seeking to add MARY A. SCHUEH-ING, ESQUIRE, the daughter and the ad-ministratrix of the estate of the Seller (hereinafter referred to as “the Daughter”), as a party defendant. This Motion was granted on December 4, 1986. On January 14, 1987, the Second Amended Complaint was filed by the Buyers. On February 9,1987, the Broker and the Salesman filed an Answer, including a cross-claim against the Daughter and the Trustee. On February 17, 1987, the Daughter *690 filed an Answer, including cross-claims against the Broker and the Salesman and the Trustee.

On April 28, 1987, we attempted to bring to a close this burgeoning thicket of cross-pleadings and cross-accusations by issuing a Pre-trial Order which, inter alia, set July 23, 1987, as a trial date. The Daughter then filed a Motion to “remand” this matter to the District Court, where it had in fact never previously been, and requested a Jury Trial. After an Order scheduling briefing on this Motion on June 11, 1987, in which Order we posed a specific question as to the timeliness of the Jury demand, the Daughter withdrew the Motion on June 16, 1987.

The trial was ultimately continued by agreement of the parties to September 9, 1987, and heard that day and in a long session on September 11, 1987. After completion of the trial, we entered an Order of September 14, 1987, requesting the parties to file Proposed Findings of Fact, Conclusions of Law, and any post-trial Briefs to supplement those requested per our PreTrial Order by October 19, 1987 (the Buyers) and November 20, 1987 (all other parties). With receipt of the Daughter’s materials on November 25, 1987, the remittances per our Order were complete.

In light of Bankruptcy Rule 7052 and Federal Rule of Civil Procedure 52(a), and the prime importance of factual determinations and credibility evaluations arising from the counter-testimony from a veritable multitude of witnesses, we are preparing our Opinion in the form of Findings of Fact and Conclusions of Law. The elaboration of pertinent legal principles required, being relatively less significant than in many of our decisions, is included within extended discussions in our respective Conclusions of Law rather than in a separate Discussion portion of the Opinion.

B. FINDINGS OF FACT

1.On March 21, 1984, John B. France, then husband of the Seller, was hospitalized permanently through the date of his death on August 4, 1984.

2.

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80 B.R. 687, 1987 Bankr. LEXIS 1906, 1987 WL 21798, Counsel Stack Legal Research, https://law.counselstack.com/opinion/manes-v-france-in-re-humphreys-pest-control-co-paeb-1987.