Murray v. Inhabitants of the Town of Lincolnville

462 A.2d 40, 1983 Me. LEXIS 733
CourtSupreme Judicial Court of Maine
DecidedJuly 1, 1983
StatusPublished
Cited by17 cases

This text of 462 A.2d 40 (Murray v. Inhabitants of the Town of Lincolnville) is published on Counsel Stack Legal Research, covering Supreme Judicial Court of Maine primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Murray v. Inhabitants of the Town of Lincolnville, 462 A.2d 40, 1983 Me. LEXIS 733 (Me. 1983).

Opinion

McKUSICK, Chief Justice.

Both James C. Murray II and Frank W. Kibbe (“the abutters”) own property in the Town of Lincolnville adjoining the tract of land of about 23 acres that is the focus of this lawsuit. In separate administrative proceedings, Robert P. Bahre was granted permission by the Maine Board of Environmental Protection (“BEP”) and the Lincoln-ville Planning Board (“Planning Board”) to construct a 44-unit condominium development on the land. The abutters challenged both administrative actions in the Superior Court (Waldo County). In a single decision and order, the Superior Court rejected their arguments in both cases, and the abutters have come to this court on timely appeals, which are here consolidated. Their sole claim on appeal is that Bahre lacked any “right, title or interest” in the land he proposed to develop and that he therefore lacked “administrative standing” to seek and win development approval from the BEP or the Planning Board. We hold that Bahre’s contract to purchase the 23-acre tract, conditioned upon the seller’s obligation to obtain any necessary subdivision approval, conferred upon him the requisite standing before the administrative agencies. We therefore deny the abutters’ appeals.

Since 1971, the land in question has been owned by Gilbert Harmon as trustee for the Land-Ho Real Estate Trust. On May 27, 1981, Harmon entered into a “Contract for the Sale of Real Estate” with Bahre and his wife Sandra. The contract recited that the Bahres had paid Harmon $10,000 as an “earnest money deposit” toward a total purchase price of $260,000. The contract went on to state, in paragraph 3:

The seller represents that the premises are not part of a subdivision, or if part of a subdivision, the seller has obtained or will obtain approval of the subdivision from appropriate state and local agencies. Failure of the seller to obtain approval of a subdivision plan, prior to the closing date, shall entitle the purchasers at their option to withdraw all monies deposited by them pursuant to this Agreement and be relieved of all obligations.

On June 8, 1981, Bahre applied to the Planning Board under 30 M.R.S.A. § 4956 (1978) for permission to subdivide his contracted-for land into 44 condominium units. 1 *42 On June 18, Bahre applied to the BEP under the Site Location Act, 38 M.R.S.A. §§ 481-489 (1978 & Supp. 1982-1983) for its permission to carry out the proposed condominium development. 2

Appearing at public hearings in opposition to the development, the abutters argued to both the Planning Board and the BEP that Harmon, the owner of the land, needed subdivision approval himself before he could sell the subject property. They pointed out that the 23 acres Bahre wanted to buy were part of a larger parcel purchased by Harmon in 1971, and that Harmon had, in 1975 and 1976, conveyed out two small lots from the original parcel without obtaining subdivision approval from the Lincolnville authorities.

The Planning Board “tabled” Bahre’s application on June 19, 1981, and no action was taken on it until November 9. On that day, the Planning Board approved Gilbert Harmon’s application for subdivision approval to sell to Bahre 3 and “untabled” Bahre’s own pending application. On December 22, 1981, the Planning Board voted unanimously to approve Bahre’s condominium proposal.

On January 27, 1982, the BEP issued an order finding that Bahre’s proposal met all of the criteria listed in 38 M.R.S.A. § 484 and that Bahre had “sufficient title, right or interest to the property to have standing” before the BEP. The order approved Bahre’s application subject to various conditions specified by the BEP. A modified order, issued on May 12,1982, changed some of the conditions imposed on the developer but otherwise left the BEP’s findings intact.

The crux of the abutters’ claim is that the “Contract for the Sale of Real Estate” between Harmon and the Bahres was void because at the time it was executed it violated 30 M.R.S.A. § 4956(4). Since a void contract is a legal nullity, they argue, the document gave Bahre no “independently existing relationship to regulated land in the nature of a ‘title, right or interest’ in it which confers legal power to use it, or control its use.” Walsh v. City of Brewer, 315 A.2d 200, 207 (Me.1974). Therefore, the abutters contend, Bahre had no standing to apply to the BEP or to the Planning Board in June of 1981 for permission to develop the land he sought to purchase.

The abutters’ argument, however, fails at its inception because the contract signed by Harmon and the Bahres did not violate section 4956(4) when made. The statute states, in pertinent part:

No person ... or other legal entity may sell ... or convey for consideration, offer or agree to sell ... or convey for consideration any land in a subdivision which has not been approved by the municipal reviewing authority of the municipality where the subdivision is located.

Although the 23-acre lot that the Bahres wished to purchase was “land in a subdivision,” and although the subdivision had not been approved by the Planning Board when the contract between Harmon and the Bahres was signed, that contract did not *43 constitute an agreement to sell land in an unapproved subdivision, nor did it contemplate the sale of unapproved subdivision land. Instead, it embodied an agreement to sell land in an approved subdivision, and contemplated a sale that would conform to the requirements of section 4956(4). Paragraph 3 of the contract required the seller, Harmon, to “obtain approval of a subdivision plan” prior to the closing date specified in the document. We cannot read section 4956 to prohibit the making of a contract for the sale of land in a subdivision that is unapproved at the time of the making of the contract, where the agreement by its terms requires the seller to obtain subdivision approval before the sale is consummated. 4 The proposed seller and purchasers did not violate section 4956(4) when they entered into their May 27, 1981, contract for the sale of real estate. 5 That valid contract conferred standing upon Robert Bahre to seek administrative approval for his condominium development from the BEP and the Planning Board.

The concept of administrative standing was explained in Walsh v. City of Brewer, 315 A.2d at 207, as an “indispensable and valid condition for ‘applicant’ eligibility.” An applicant for a license or permit to use property in certain ways must have “the kind of relationship to the ... site,” id., that gives him a legally cognizable expectation of having the power to use that site in the ways that would be authorized by the permit or license he seeks. This principle is intended to prevent an applicant from wasting an administrative agency’s time by applying for a permit or license that he would have no legally protected right to use. Walsh

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Bluebook (online)
462 A.2d 40, 1983 Me. LEXIS 733, Counsel Stack Legal Research, https://law.counselstack.com/opinion/murray-v-inhabitants-of-the-town-of-lincolnville-me-1983.