Richardson v. Roberts

210 Cal. App. 2d 603, 26 Cal. Rptr. 829, 1962 Cal. App. LEXIS 1608
CourtCalifornia Court of Appeal
DecidedDecember 10, 1962
DocketCiv. 26318
StatusPublished
Cited by8 cases

This text of 210 Cal. App. 2d 603 (Richardson v. Roberts) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Richardson v. Roberts, 210 Cal. App. 2d 603, 26 Cal. Rptr. 829, 1962 Cal. App. LEXIS 1608 (Cal. Ct. App. 1962).

Opinion

BURKE, P. J.—

Appeal from a judgment after demurrer to the second amended complaint was sustained without leave to amend.

The question presented is whether or not a licensed real estate loan broker may recover commissions shared with another who fraudulently represented himself as holding powers of attorney from lenders, but was not licensed to act as a broker or salesman under the Real Estate Act.

The complaint alleged defendant informed plaintiff that he had power of attorney to irrevocably commit lenders to make loans secured by real property and that defendant personally guaranteed these loans to his principals. Defendant told plaintiff that all of his clients desired to net 10 per cent per annum interest on their loans, the legal limit permitted by law, and *605 did not want to diminish their returns by compensating for the considerable accounting and tax service that he performed in connection with said loans; that since his activities did not require licensing as a real estate broker plaintiff could properly compensate defendant for such services out of commissions earned by plaintiff in obtaining the loans on behalf of his client borrowers; that defendant would supply plaintiff with a ready source of funds for his clients thus avoiding the necessity of plaintiff spending time and money in locating such available funds.

The complaint further alleged that plaintiff believed in and relied on the representations made to him by defendant and agreed to defendant’s proposal; beginning in August 1957 plaintiff requested various loans on behalf of his clients from defendant which were made by him, defendant handling all of the details and plaintiff never having any contact with any of the lenders involved. The total of such commissions paid by plaintiff to defendant for loans transacted was some $29,278.09 between the period August 17, 1957, to March 15, 1960.

Defendant’s plan was approved by his various clients and they knew of the payments made to him by plaintiff. In each instance that such a loan was made, plaintiff always advised his own client making the loan that he, plaintiff, would have to pay a certain sum to defendant and in almost all such eases the borrower personally signed escrow instructions setting forth the fact and the amount of the payment to be made to defendant. Defendant never at any time performed any services on behalf of or to any of plaintiff’s clients.

The complaint further alleged that on or about March 15, 1960, plaintiff prosecuted a loan application on behalf of one of his clients to defendant for the sum of $12,500, the loan to be secured by a second deed of trust on certain real property. After reviewing the matter, defendant advised plaintiff he would make the loan on behalf of one of his clients, but the following day defendant advised plaintiff that his client had reconsidered and would not make the loan. The complaint alleged plaintiff realized for the first time that defendant did not have full authority to commit a client to a loan. Plaintiff then learned defendant never held powers of attorney from his clients, that he had had dealings with other real estate brokers wherein he made loans on behalf of his clients and rendered no services to those clients other than to nego *606 tiate the loan, or in other words he acted solely as a real estate loan broker.

Plaintiff then alleges, on information and belief, that defendant was acting as a real estate broker without any state license and without any general power of attorney from his clients.

Plaintiff contends that because of the misrepresentations of defendant as above set forth plaintiff was fraudulently induced to pay $29,278.09 to defendant Roberts for his unlicensed and illegal operations as a real estate broker.

It is clear from allegations in the complaint that defendant was an unlicensed person who performed acts within the scope of the Real Estate Act (Bus. & Prof. Code, §§ 10130-10221); consequently payment of portions of plaintiff’s commissions as compensation for those acts was unlawful (Williams v. Kinsey, 74 Cal.App.2d 583 [169 P.2d 487]). Under such circumstances an action based on the contract pursuant to which such payments are made must fail.

The law governing real estate transactions is clear. It is unlawful for a real estate broker or salesman to split commissions or make other payments for services embraced within the Real Estate Act to any person who is not licensed under the act, unless that person is known to be licensed or presents tangible evidence of the fact (Bus. & Prof. Code, §§ 10137-10138). Further, it is unlawful for an unlicensed person to receive payment or perform such services (Bus. & Prof. Code, § 10139).

. “ [I]t has repeatedly been declared in this state that ‘a contract made contrary to the terms of a law designed for the protection of the public and prescribing a penalty for the violation thereof is illegal and void, and no action may be brought to enforce such contract’ [citations] ; and that ‘whenever illegality appears, whether the evidence comes from one side or the other, the disclosure is fatal to the ease’.” (Loving & Evans v. Blick, 33 Cal.2d 603, 607 [204 P.2d 23] ; see Mansfield v. Hyde, 112 Cal.App.2d 133, 138 [245 P.2d 577].)

Manifestly, defendant could not recover in part commissions on transactions previously consummated while he was unlicensed. (Bus. & Prof. Code, § 10136; see Holm v. Bramwell, 20 Cal.App.2d 332, 337 [67 P.2d 114].) But ‘ ‘ [n] either can plaintiff recover the monies paid pursuant to the terms of the contract. It is a well settled general rule that a party to an illegal contract may not obtain the aid of the courts , . , to recover any consideration parted with pur *607 suant thereto; the law leaves the parties where it finds them. ’ ’ (Mansfield v. Hyde, supra, 112 Cal.App.2d 133, 139; see also Rest., Contracts, § 598.)

Plaintiff’s argument that he relied in good faith on defendant’s representation of possession of a power of attorney from each of his lenders (which if true he asserts would exempt defendant from the licensing requirements under Bus. & Prof. Code, § 10133, subd. (b), supra) cannot be sustained. Section 10138 proscribes payment to anyone who fails to present tangible evidence of compliance with licensing requirements. There is no allegation in the second amended complaint that such evidence was either demanded or presented. In that respect it fails to allege justifiable reliance. A person making such payments must actively acquire knowledge that the other has been licensed, or make the payments at his own peril. We cannot read this section to permit reliance on oral representations that other exemptions in the Real Estate Act have been met.

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Bluebook (online)
210 Cal. App. 2d 603, 26 Cal. Rptr. 829, 1962 Cal. App. LEXIS 1608, Counsel Stack Legal Research, https://law.counselstack.com/opinion/richardson-v-roberts-calctapp-1962.