Montoya v. Kirk-Mayer, Inc.

903 P.2d 861, 120 N.M. 550
CourtNew Mexico Court of Appeals
DecidedAugust 23, 1995
Docket15914
StatusPublished
Cited by7 cases

This text of 903 P.2d 861 (Montoya v. Kirk-Mayer, Inc.) is published on Counsel Stack Legal Research, covering New Mexico Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Montoya v. Kirk-Mayer, Inc., 903 P.2d 861, 120 N.M. 550 (N.M. Ct. App. 1995).

Opinion

OPINION

DONNELLY, Judge.

1. Appellants, Kirk-Mayer, Inc. and CNA Insurance Companies, appeal from an order of the Workers’ Compensation Judge (WCJ) granting Worker’s motion for partial summary judgment and striking Appellants’ affirmative defense that Worker’s claim for compensation benefits was barred by the statutory limitation prescribing the time for filing a workers’ compensation claim as set forth in NMSA 1978, Section 52-1-31 (Repl. Pamp.1991). Appellants also appeal from that portion of the compensation order which awarded Worker twenty-one percent permanent partial disability. For the reasons discussed herein, we reverse.

FACTS

2. Worker was employed in Los Aamos, New Mexico, by Kirk-Mayer, Inc. as a computer keyboard operator. On January 14, 1992, he suffered a work-related injury to his back. He received workers’ compensation temporary total disability benefits until April 30, 1992, when payment of benefits was terminated.

3. Worker was treated initially by his chosen physician, Dr. Christopher Cecil, until April 13, 1992, when Appellants changed his health care provider to Dr. Paul Legant. Dr. Legant found that Worker had reached maximum medical improvement on April 27,1992, that he had a zero percent impairment rating, and that he should be released to return to his prior job. Following his release by Dr. Legant, Worker still was experiencing low back pain and some restriction of movement. Approximately seven-and-one-half months later, on December 23, 1992, Worker again consulted Dr. Cecil concerning his back injury. At that time, Dr. Cecil informed Worker that in his opinion he had a twenty-percent partial permanent impairment.

4. Worker filed a claim for workers’ compensation benefits on July 19, 1993, and an amended claim for workers’ compensation benefits on August 19, 1993. Appellants denied Worker’s claim and, among other things, raised as an affirmative defense that the claim was barred by the statute of limitations. Worker filed a motion for partial summary judgment requesting that Appellants’ affirmative defense be stricken. Following a hearing, the WCJ entered an order determining that “summary judgment in favor of Worker on [Appellants’] defense of the statute of limitations is granted.”

5. Prior to trial, the WCJ appointed an independent medical examiner, Dr. Robert Benson, whose testimony was presented by deposition. Dr. Benson opined that Worker had an impairment rating of twenty-one percent as a result of his accident. After trial on the merits, the WCJ found that Worker suffered a work-related accident to his back resulting in a permanent impairment of twenty-one percent to his body as a whole.

PROPRIETY OF SUMMARY JUDGMENT

6. Appellants contend that the WCJ erred in striking their affirmative defense which asserted that Worker’s claim was barred by the statute of limitations. Appellants argue that the order granting summary judgment was improper because their response to the motion relied on deposition testimony of Worker, who himself indicated that there were genuine disputed issues of material fact concerning whether he knew or reasonably should have known that he suffered a compensable disability following the termination of the payment of his workers’ compensation on April 30, 1992, so as to require that his claim be filed prior to July 19, 1993.

7. Appellants point out that Worker was injured on January 14, 1992, and his complaint was first filed on July 19, 1993, over one-and-one-half years following his accident. Appellants argue that under Section 52-1-31(A), Worker was required to file his claim within one year and thirty-one days after his employer or insurer failed or refused to pay additional compensation benefits. See Whittenberg v. Graves Oil & Butane Co., 113 N.M. 450, 454, 827 P.2d 838, 842 (Ct.App.1991), cert. denied, 113 N.M. 352, 826 P.2d 573 (1992).

8. Appellants also note that their response to the motion for summary judgment cited to testimony given by Worker indicating that in April 1992, although “Dr. Legant wanted [him] to work light duty and not [to work] a forty hour ... week, [but only] part time,” and payment of his compensation had been stopped, he was still experiencing pain in his back and felt that he was entitled to compensation benefits “until [he] got better.” Appellants refer to statements of Worker indicating that in April 1992 when he went to Dr. Legant’s office, the doctor did not examine his back but told him that in his opinion he was ready to return to work, and that Worker felt this examination was insufficient. Additionally, Appellants assert that a factual issue existed concerning when Worker knew he had a disability because Worker admitted that after he was told by Dr. Legant in April 1992 that he had no further disability, Worker questioned this decision and consulted an attorney approximately three weeks later.

9. Worker responds to these arguments by asserting that the statute of limitations could not have begun running prior to December 23, 1992, because there was no expert medical evidence indicating that Worker had suffered a permanent impairment resulting from a work-related accident. Worker also points to the Workers’ Compensation Act in effect at the time of his injury on January Í4, 1992, and argues that because the Act was substantially amended effective January 1, 1991, his disability could not reasonably be ascertained until three separate requirements were met. See NMSA 1978, § 52-l-24(A) (Repl.Pamp.1991) (effective January 1, 1991). First, an “anatomical or functional abnormality” must be shown to exist; second, Worker’s abnormality must be capable of determination by a “medically or scientifically demonstrable finding”; and third, evidence must be available indicating that the medically or scientifically demonstrable abnormality suffered by Worker is “based upon ... the American [M]edical [Association's [G]uide [AMA Guide] to the evaluation of permanent impairment or comparable publications of the American [M]edical [Association.” Id.

10. Worker contends that since he was required under Section 52-l-24(A) to substantiate that he had sustained a compensable injury by presenting proof through a qualified medical care provider that he had suffered an anatomical or functional abnormality after achieving maximum medical improvement based on the most recent edition of the AMA Guide or comparable publications of the AMA he should not have been expected to file a claim for compensation benefits before a medical care provider had informed him of the existence of an impairment. Thus, he asserts that until he was advised by Dr. Cecil on December 23, 1992, that he had sustained an impairment, there was no medically or scientifically demonstrable finding of an anatomical or functional abnormality as determined by the AMA Guide or comparable publications of the AMA. He also argues that had he filed a claim prior to December 23, 1992, his claim would have been subject to dismissal because he had no evidence to sustain such claim or expert medical testimony to satisfy the requirements of Section 52-1-24.

11. Worker argues that since Dr.

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Bluebook (online)
903 P.2d 861, 120 N.M. 550, Counsel Stack Legal Research, https://law.counselstack.com/opinion/montoya-v-kirk-mayer-inc-nmctapp-1995.