Merkley v. Beaslin

778 P.2d 16, 113 Utah Adv. Rep. 45, 1989 Utah App. LEXIS 127, 1989 WL 83669
CourtCourt of Appeals of Utah
DecidedJuly 26, 1989
Docket880191-CA
StatusPublished
Cited by17 cases

This text of 778 P.2d 16 (Merkley v. Beaslin) is published on Counsel Stack Legal Research, covering Court of Appeals of Utah primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Merkley v. Beaslin, 778 P.2d 16, 113 Utah Adv. Rep. 45, 1989 Utah App. LEXIS 127, 1989 WL 83669 (Utah Ct. App. 1989).

Opinion

OPINION

GARFF, Judge:

Plaintiff/appellant, J. Ray Merkley, appeals from a summary judgment dismissing his malpractice action against defendant/respondent, John C. Beaslin. The trial court concluded that if respondent committed any legal malpractice, it occurred in 1976 when respondent drafted legal documents for the sale of a business for appellant, and, therefore, that Merkley’s action by the statute of limitations. We reverse and remand.

We recite only the pertinent facts. In 1975, respondent, an attorney licensed to practice law in Utah, assisted appellant in setting up a recreational vehicle dealership corporation, Merkley Motors, Inc., in Vernal, Utah. Appellant and his wife, Janet, owned ninety-nine percent of the capital stock in the corporation.

In February 1976, Tal R. Merkley, who owned one percent of the capital stock, his wife Wyoma, Charles Glen Merkley, and his wife Charlene (the other Merkleys) offered appellant and his wife $120,000.00 for the business. Appellant retained respondent to prepare the documents necessary to sell his capital stock to the other Merkleys. The sale was to be secured by the real property upon which the business was located and by -the business’s unencumbered inventory. On February 23,1976, the parties executed the sale. On May 4,1976, respondent filed a financing statement (UCC-1) on the unencumbered inventory and personal property owned by Merkley Motors, Inc. with the Lieutenant Governor’s office. The UCC-1 listed Merkley Motors as the debtor, R. Jay and Janet Merkley as the secured parties, and was signed by Tal R. and Charlene Merkley.

According to appellant, although respondent filed the UCC-1, he did not institute any follow-up procedures for renewal of the document on a periodic basis nor did he advise appellant that it would have to be renewed in five years to retain its efficacy. Neither appellant nor respondent renewed the UCC-1 filing in May 1981, as required to maintain appellant’s security interest.

On December 6,1983, approximately two years- after the UCC-1 filing should have been renewed, Merkley Motors filed for bankruptcy. Appellant filed a timely proof of claim, but the record does not indicate what, if any, distribution he received.

Appellant argues that respondent continued to represent him in other legal matters, but neglected to handle this matter. However, in his deposition, appellant stated that he had no further communications with respondent until just before Merkley Motors filed for bankruptcy, over seven years later. Respondent indicates that appellant left Vernal and moved to Salt Lake City shortly after the execution of the sales contract, and terminated his lawyer-client relationship with him.

On February 23, 1984, Merkley Motors’s bankruptcy auction took place in Vernal, Utah. Although appellant claims that the value of the property which was supposedly secured by the UCC-1 was in excess of the amount of money still owed on the contract, the net proceeds of the sale of all property not secured by other creditors amounted to only $7,669.23. Appellant received notice of the bankruptcy sale, was present, and bid about $4,000.00 for the bulk of the items. These items were sold to a third party for approximately $4,200.00.

*18 Appellant brought a legal malpractice suit against respondent on July 30, 1984, alleging that: (1) he had lost the remaining value of the contract, $54,360.18 plus interest, because respondent had neither renewed the UCC-l,nor had he advised appellant that it had to be renewed in five years; and (2) respondent had failed to secure the contract with the real property. 1 Respondent moved for summary judgment, alleging that the applicable four-year statute of limitations had run. The trial court ruled in favor of respondent. Appellant then brought this appeal.

In determining whether the trial court properly granted summary judgment as a matter of law, we do not defer to the trial court, but review its legal conclusions for correctness. CEGO Corp. v. Concrete Specialists, Inc., 772 P.2d 967, 969 (Utah 1989).

Utah Code Ann. § 78-12-1 (1981) states, “Civil actions can be commenced only within the periods prescribed in this chapter, after the cause of action shall have accrued, except where in special cases a different limitation is prescribed by statute.” 2 (Emphasis added.) Utah Code Ann. § 78-12-25(1) (1981) then imposes a four-year limitation on several actions including, by implication, legal malpractice claims. 3

The critical issue in the present matter is the date the alleged malpractice action accrued. Appellant argues the application of either of two rules: (1) the discovery rule, wherein the accrual date begins at the time the injured party discovers, or in the exercise of reasonable care should discover, the negligent act; or (2) the damage rule, wherein the accrual date commences at the time actual injury occurs. Respondent, on the other hand, assumes the position that (1) the accrual date begins at the time of occurrence, the performance of the contract between the attorney and client; or (2) upon termination of legal services to the client in the particular matter.

Although some states have defined the accrual date of malpractice actions through legislative enactment, see e.g., Martin v. Clements, 98 Idaho 906, 575 P.2d 885, 887 (1978); 4 most state legislatures, including Utah’s, have left the definition of accrual in legal malpractice actions to judicial interpretation. See e.g., Hendrickson v. Sears, 365 Mass. 83, 310 N.E.2d 131, 134 (1974).

The weight of authority in recent years has shifted toward the view that the statute of limitations for a legal malpractice *19 action accrues at the time the client discovers, or through the use of reasonable diligence should have discovered, the attorney’s negligent act. See Woodruff v. Tomlin, 511 F.2d 1019, 1021 (6th Cir.1975); Fort Myers Seafood Packers, Inc., v. Steptoe and Johnson, 381 F.2d 261, 262 (D.C. Cir.1967); Greater Area Inc. v. Bookman, 657 P.2d 828, 829-30 (Alaska 1982); Amfac Distrib. Corp. v. Miller, 138 Ariz. 152, 673 P.2d 792, 794 (1983); Neel v. Magana, Olney, Levy, Cathcart & Gelfand,

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Bluebook (online)
778 P.2d 16, 113 Utah Adv. Rep. 45, 1989 Utah App. LEXIS 127, 1989 WL 83669, Counsel Stack Legal Research, https://law.counselstack.com/opinion/merkley-v-beaslin-utahctapp-1989.