Oliver v. Routh

184 S.W. 843, 123 Ark. 189, 1916 Ark. LEXIS 442
CourtSupreme Court of Arkansas
DecidedMarch 27, 1916
StatusPublished
Cited by16 cases

This text of 184 S.W. 843 (Oliver v. Routh) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Oliver v. Routh, 184 S.W. 843, 123 Ark. 189, 1916 Ark. LEXIS 442 (Ark. 1916).

Opinion

Hart, J.,

(after stating the facts). (1) It is claimed •by counsel for appellant that the decree of foreclosure in the case of the Madison ‘County Bank against the widow and minor child of Geo. B. Oliver, deceased, was void because the writ of summons was without the official seal of the clerk; but this court has decided adversely to him in regard to this contention. In the case of Rudd v. Thompson and Barnes, 22 Ark. 363, the court held that a writ of summons is not void for want of the official seal of the clerk and that it may be amended on application to the court. The court further held that if no application to amend has been made, the defect is ground of reversal of a judgment rendered by default but that the writ can not be treated as void.

(2) Again it is contended that the judgment of the Madison chancery court foreclosing the vendor’s lien on the property in controversy should be set aside because certain installments of the purchase money for which the decree of foreclosure was had were not then due and for the further reason that certain credits were not allowed which should have been allowed in that case. It must be remembered however, that this is a collateral attack on the decree. In the case of Whitford v. Whitford, 100. Ark. 63, the court held: “In determining the validity of a judgment upon collateral attack, a distinction must be observed between those facts which involve the jurisdiction of the court over the parties and subject-matter, and those quasi-jurisdictional facts, without allegation of which the court can not properly proceed and without proof of which a decree should not be made; absence of the former renders the judgment void upon collateral attack, but not so as to the latter.” To the same effect see Citizens Bank v. Commercial National Bank, 107 Ark. 142; McDonald v. Ft. Smith & Western Rd. Co., 105 Ark. 5; Crittenden Lumber Co. v. McDougal, 101 Ark. 390. So the decree in the chancery case referred to might have been erroneous but this would depend upon the facts before the court. If it was erroneous it could have been set aside on appeal; but the' validity of it can not be attacked collaterally except on the ground that it was procured by fraud. There is no allegation or proof in the present action that the decree in the chancery case was procured by fraud. It follows that the decree of the chancellor on this branch of the case was correct and must be affirmed.

We now come to the question of the judgment of the Madison probate court ordering the administrator of the estate of Geo. B. Oliver, deceased, to execute to Thos. J. Oliver a deed to an undivided one-half interest in the homestead of decedent.

(3-4) The property in controversy was the homestead of Geo. B. Oliver. An order of the probate court directed the administrator of his estate to specifically execute a contract which the decedent had made with his brother before he died. The authority to grant specific performance of an executory contract to convey land against the executor or administrator of a decedent is a special power conferred upon the probate court by sections 209-214 of Kirby’s Digest. It is to be exercised in a special manner and not according to the course of the common law. In eases falling within the usual powers of the probate court, the rule is that where the record is silent with respect to any fact necessary to give the court jurisdiction it will be presumed that the court acted within its jurisdiction. Massey v. Doke, 123 Ark. 211. But where special powers conferred or exercised in special manner, not according to the course of the common law, or where the general powers of the court are exercised over a class not within its ordinary jurisdiction upon the performance of prescribed conditions, no such presumption of jurisdiction will attend the judgment of the court. The facts essential to the exercise of the special jurisdiction must appear in such cases from the record. Beakley v. Ford, 123 Ark. 383. See also, Hindman v. O’Connor, 54 Ark. 627. This distinction was pointed out in Massey v. Doke.

(5-6) As we have already seen, the land in controversy was the homestead of Geo. B. Oliver at the time of his death and the probate court had no power to render a judgment of specific performance of an executory contract to convey the homestead. Under the act of March 18, 1887,

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Cite This Page — Counsel Stack

Bluebook (online)
184 S.W. 843, 123 Ark. 189, 1916 Ark. LEXIS 442, Counsel Stack Legal Research, https://law.counselstack.com/opinion/oliver-v-routh-ark-1916.