Noble C. Quandel Co. v. Slough Flooring, Inc.

558 A.2d 99, 384 Pa. Super. 236, 1989 Pa. Super. LEXIS 1266
CourtSupreme Court of Pennsylvania
DecidedMay 2, 1989
Docket242
StatusPublished
Cited by14 cases

This text of 558 A.2d 99 (Noble C. Quandel Co. v. Slough Flooring, Inc.) is published on Counsel Stack Legal Research, covering Supreme Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Noble C. Quandel Co. v. Slough Flooring, Inc., 558 A.2d 99, 384 Pa. Super. 236, 1989 Pa. Super. LEXIS 1266 (Pa. 1989).

Opinion

OLSZEWSKI, Judge:

This is an appeal from a judgment entered upon a jury verdict by the Court of Common Pleas of Dauphin County in favor of appellee (hereinafter “Quandel”), and against appellant (hereinafter “Slough”). Slough presents two issues for review: (1) whether the trial court erred in its charge to the jury; and (2) whether the trial court abused its discretion relating to the admission of Quandel’s damages. 1

Quandel is a general construction company. In December of 1979, Quandel contracted with Greenwood School District in Perry County to build a school. Part of the school building included a multi-purpose room with a synthetic floor. The construction of the floor was beyond the expertise of Quandel, therefore, it subcontracted with Slough Flooring, Inc. to do the work.

*239 Quandel was responsible for pouring a cement sub-floor, which had to be within certain tolerances before the synthetic floor could be poured by Slough. Quandel was unable to bring the sub-floor within the specified tolerances and entered into a separate cost-plus contract with Slough to level and pour the floor. Slough poured the floor; however, at certain spots delamination occurred. Eventually, the floor was torn up and replaced.

Quandel then sued Slough for damages arising from Slough’s alleged breach of its subcontract agreement with Quandel. Slough, in a separate action, sued Quandel for consequential damages arising from Quandel’s alleged breach of the same subcontract. By stipulation of the parties, the cases were consolidated for trial.

The case was tried before a jury on June 8, 1987, resulting in a verdict in favor of Quandel and against Slough in the amount of $28,688.85. Slough then filed post-trial motions which were denied by the trial court on February 29, 1988. On March 28, 1988, judgment was entered on the jury verdict. Slough then filed the instant appeal.

Slough presents two issues for review: (1) whether the trial court erred in its charge to the jury; and (2) whether the trial court abused its discretion regarding the admission of Quandel’s damages.

Slough first argues that the trial court’s charge to the jury was erroneous in two respects: first, the trial court improperly vested responsibility for interpreting the terms of a clear written agreement to the jury; and second, it improperly instructed the jury that all final responsibility was Slough’s pursuant to the contract terms. Slough asserts that the clear written language provides that Quandel was to be responsible for the condition of the sub-floor and that Slough was to be responsible for the synthetic floor. Despite these terms, however, Slough argues that the trial court instructed the jury that it could find Slough responsible for both the sub-floor and the synthetic floor. According to Slough, this was error as insufficient evidence was introduced at trial to indicate a modification of the clear *240 written agreement. Therefore, Slough argues that the instruction was erroneous. We disagree.

When a challenge is made as to the sufficiency of a charge to the jury, our function as an appellate court is to examine the charge in its entirety against the background of the evidence to determine whether error has been made which prejudices the complaining party. Unless we conclude that the charge as a whole was erroneous and may have prejudiced the appellant, we will not reverse for isolated inaccuracies. In making such a determination, we are careful to construe the offending portions in their proper context. Reimer v. Tien, 356 Pa.Super. 192, 206, 514 A.2d 566, 573 (1986).

Keeping this standard in mind we must reject Slough’s initial claims. In regards to Slough’s first argument, it is well-settled that where conflicting evidence is presented concerning parol modification of a contract, it is within the province of the jury to define its terms; unless the proponent’s own version fails to support an alleged modification, the trial court should not declare that a modification does not exist. East Texas Motor Freight, Diamond Div. v. Lloyd, 335 Pa.Super. 464, 484 A.2d 797 (1984). In the present case, our review of the record indicates that conflicting evidence was introduced regarding modification of the existing contract between the parties. Under these circumstances, we find no error on the part of the trial court for instructing the jury that they were to determine the effect of the alleged modification, if any, on the responsibilities of the parties.

Regarding the second argument, Slough cites several excerpts from the jury instruction and claims that they are erroneous and prejudicial. Upon careful review of the entire jury charge, however, we fail to find any merit in this contention. These same excerpts, when placed in their proper context and read together with the complete charge, do not demonstrate error or prejudice. Accordingly, we reject this argument.

Next, Slough contends that the trial court abused its discretion by admitting certain evidence of Quandel’s dam *241 ages. Two arguments are advanced: first, that testimony elicited from Quandel’s president concerning the amount of damages violated the “best evidence” rule; and second, it was improper to allow Quandel to submit corporate records as evidence of damages during rebuttal. As an alternative, Slough argues that the admission of both types of evidence together resulted in prejudice on its part.

Initially, Slough contends that the testimony offered by Quandel’s president regarding damages violated the “best evidence” rule. Slough asserts that Quandel’s president had no independent knowledge of the damage figures, but instead testified from the complaint as to amounts which were derived from corporate records not available in court during his examination. Under these circumstances, Slough argues that Quandel offered no admissible proof of damages as part of its case-in-chief.

The trial court counters that Slough’s claim is without merit. In so doing, the court noted that Quandel’s president was personally involved in negotiating all phases of the subcontract with Slough, and that all of the cost figures supplied in preparation of Quandel’s case were prepared by him. According to the court, while the witness did not testify from Quandel’s business records, he nevertheless was competent to testify regarding any alleged damages suffered by Quandel. We agree.

Slough has clearly misconstrued the meaning of the “best evidence” rule. The rule itself requires a party who seeks to prove a writing for the purpose of establishing its terms to produce the writing unless the nonfeasability of production is satisfactorily established. Warren v. Mosites Construction Co., 253 Pa.Super. 395, 385 A.2d 397 (1978). Application of the rule is limited to those situations where the contents of the document are at issue and must be proved to make a case or provide a defense. Mars v. Meadville Telephone Co., 344 Pa.

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Bluebook (online)
558 A.2d 99, 384 Pa. Super. 236, 1989 Pa. Super. LEXIS 1266, Counsel Stack Legal Research, https://law.counselstack.com/opinion/noble-c-quandel-co-v-slough-flooring-inc-pa-1989.