Muir v. Hadler Real Estate Management Co.

446 N.E.2d 820, 4 Ohio App. 3d 89, 4 Ohio B. 170, 1982 Ohio App. LEXIS 10962
CourtOhio Court of Appeals
DecidedApril 22, 1982
Docket81AP-482
StatusPublished
Cited by80 cases

This text of 446 N.E.2d 820 (Muir v. Hadler Real Estate Management Co.) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Muir v. Hadler Real Estate Management Co., 446 N.E.2d 820, 4 Ohio App. 3d 89, 4 Ohio B. 170, 1982 Ohio App. LEXIS 10962 (Ohio Ct. App. 1982).

Opinion

Whiteside, P.J.

Defendant and third-party plaintiff-appellant Hadler Real Estate Management Company (Had-ler) appeals from a judgment of the Franklin County Court of Common Pleas and raises two assignments of error, as follows:

“ 1. The trial court erred by applying the one year limitation of action set forth under Section 2305.11, R.C., instead of the six year statute of limitations set forth under Section 2305.07, R.C.
“2. The trial court erred in its conclusion that the record reflects that the attorney-client relationship between the appellant and appellee terminated on or before June 2, 1978.”

Plaintiff brought this action against defendant Hadler, seeking to recover damages resulting from an alleged wrongful eviction of plaintiff from an apartment on or about June 26, 1978. Defendant Hadler filed a third-party complaint against third-party defendants David T. Milligan and Ted Hysell, Clerk of Courts. As third-party plaintiff, Hadler alleged that third-party defendant Milligan was its attorney in handling the eviction proceedings against plaintiff and further alleged that, if plaintiff were damaged as alleged in his complaint, it was caused by negligence of third-party defendant Milligan. The prayer of the third-party complaint seeks indemnification or contribution from third-party defendant Milligan, as well as from the third-party defendant, Ted Hysell, Clerk of Courts.

Third-party defendant Milligan filed a motion for summary judgment supported by his affidavits and by his deposition. The essential basis of the motion for summary judgment is that plaintiffs claim is barred by the applicable statute of limitations for attorney malpractice, R.C. 2305.11. The trial court sustained the motion for summary judgment and found, pursuant to Civ. R. 54(B), no just cause for delay in entering that judgment separately from the judgment with respect to the other parties.

By the first assignment of error, defendant Hadler contends that the applicable statute of limitations is that set forth in R.C. 2305.07 with respect to a contract not in writing. Essentially, Hadler contends that its claim against third-party defendant Milligan is predicated upon indemnification, rather than malpractice. We disagree. An action *90 against one’s attorney for damages resulting from the manner in which the attorney represented the client constitutes an action for malpractice within the meaning of R.C. 2305.11, regardless of whether predicated upon contract or tort or whether for indemnification or for direct damages. This is not a true case of primary-secondary liability, with the person secondarily liable having paid the claim and seeking indemnification from the person primarily liable, inasmuch as an attorney is not liable to third persons for damages arising from the performance of the attorney’s professional activities on behalf of, and with the knowledge of, his client, even though the client may become liable because of the attorney’s activities. See W.D.G., Inc. v. Mutual Mfg. & Supply Co. (App. 1976), 5 O.O. 3d 397.

Malpractice by any other name still constitutes malpractice. As stated in Richardson v. Doe (1964), 176 Ohio St. 370, at page 372 [27 O.O.2d 345], malpractice consists of “the professional misconduct of members of the medical profession and attorneys.” Such professional misconduct may consist either of negligence or of breach of the contract of employment. It makes no difference whether the professional misconduct is founded in tort or contract, it still constitutes malpractice. See Gillett v. Tucker (1902), 67 Ohio St. 106. Accordingly, the one year malpractice statute of limitations set forth in R.C. 2305.11 is applicable.

Defendant Hadler further contends that its claim is predicated in part upon contribution so that R.C. 2307.32(B) and (C) would apply. We disagree. In order for R.C. 2307.31 or 2307.32, relative to contribution among joint tortfeasors, to be applicable, there must be joint tort-feasors. As clearly indicated by R.C. 2307.31(A), these statutes are applicable only “where two or more persons are jointly or severally liable in tort for the same injury.” As we have previously indicated, defendant Milligan, as defendant Hadler’s attorney, is not liable to third persons for professional misconduct in his representation of defendant Hadler, even though Hadler may become liable to such third person as a result of representation by defendant Milligan. In other words, the parties are not joint tortfeasors. There can be no contribution. If anything, it would be indemnification under a primary-secondary liability principle which would be applicable because of the agency relationship were it not for the immunity of attorneys for liability to third persons resulting from their representation of their clients.

Accordingly, the trial court applied the proper statute of limitations, and the first assignment of error is not well taken.

By the second assignment of error, defendant Hadler contends that the trial court erred in finding as a matter of law that the attorney-client relationship between defendant Milligan and defendant Hadler terminated on or before June 2, 1978.

The trial court predicated this determination upon a statement in an affidavit submitted by defendant Milligan in support of his motion for summary judgment, the trial court stating as follows:

“Milligan asserts in his affidavit that the attorney-client relationship terminated on June 2, 1978. The Defendant has not shown by way of affidavit or any other method authorized by Civil Rule 56 that there is a genuine issue of fact.”

The record reflects this statement of the trial court to be erroneous. One of the forms of evidence to be considered in determining a motion for summary judgment pursuant to Civ. R. 56(C) is answers to interrogatories. The record reflects that third-party defendant Milligan posed certain interrogatories to defendant Hadler, with the fourth interrogatory specifically requesting the date that defendant Hadler contends third-party defendant Milligan rendered his last professional service in connection with the *91 municipal court eviction case, which is the subject of this action. To this interrogatory, defendant Hadler responded: “December 12, 1979, at the latest.” Accordingly, construing the evidence most strongly in favor of defendant Hadler, as Civ. R. 56 requires, the last services performed by defendant Milligan with respect to the municipal court eviction case, which is the subject of this action, were on or about December 12,1979, not June 2, 1978, as found by the trial court. Since the third-party complaint was filed within a year after that date, it is quite clear that reasonable minds could reach different conclusions upon the factual issue as to whether the claim was filed within one year after the last professional services were rendered by defendant Milligan with respect to the municipal court eviction case.

In addition, the deposition of third-party defendant Milligan indicates that his last professional services rendered on behalf of defendant Hadler were on December 23, 1980.

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Cite This Page — Counsel Stack

Bluebook (online)
446 N.E.2d 820, 4 Ohio App. 3d 89, 4 Ohio B. 170, 1982 Ohio App. LEXIS 10962, Counsel Stack Legal Research, https://law.counselstack.com/opinion/muir-v-hadler-real-estate-management-co-ohioctapp-1982.