Rogan v. Sear-Brown Group

183 Misc. 2d 364, 702 N.Y.S.2d 795, 2000 N.Y. Misc. LEXIS 14
CourtNew York Supreme Court
DecidedJanuary 19, 2000
StatusPublished
Cited by1 cases

This text of 183 Misc. 2d 364 (Rogan v. Sear-Brown Group) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rogan v. Sear-Brown Group, 183 Misc. 2d 364, 702 N.Y.S.2d 795, 2000 N.Y. Misc. LEXIS 14 (N.Y. Super. Ct. 2000).

Opinion

OPINION OF THE COURT

Raymond E. Cornelius, J.

Based upon a motion argued on June 24, 1999, this court previously granted summary judgment in favor of the Sear-Brown Group, formerly known as Sear-Brown Associates, P. C. [365]*365(Sear-Brown), in regard to plaintiffs’ claims, as set forth in the complaint. The plaintiff, Reginald Rogan, sustained an injury on July 18, 1994, while working on an underground irrigation system located at Hobart &' William Smith Colleges. A number of different entities, including some of the defendants named in the complaint, had been involved in the original project, which included installation of the system. Sear-Brown had completed the design drawings, and therefore, its part of the project, as of February 1987. Further, it would appear that the irrigation system, itself, had been completed before July 10, 1987.

This action was commenced by filing the summons and complaint on July 10, 1997, which would have been more than 10 years beyond any negligent act committed by Sear-Brown. The basis for granting summary judgment, in favor of this defendant, was CPLR 214-d (1), which, in relevant part, provides as follows: “Any person asserting a claim for personal injury * * * against a licensed architect, engineer * * * which is based upon the professional performance, conduct or omission by such licensed architect, engineer * * * occurring more than ten years prior to the date of such claim, shall give written notice of such claim to each such architect, engineer * * * at least ninety days before the commencement of any action or proceeding against such licensed architect, engineer.” Plaintiffs acknowledged that written notice, as required by the statute, was not given prior to the commencement of the action. Accordingly, the court granted the motion of Sear-Brown, because of the failure to comply with this condition precedent.

The plaintiffs have now made a motion for reargument of the previous summary judgment motion. Counsel takes the same position, as previously advanced at the argument of the original summary judgment motion, and contends that the reference to “such claim,” contained in the statute, refers to the date of injury. Therefore, in the pending case, because the injury occurred to the plaintiff within 10 years of the act of alleged negligence, and notwithstanding the fact that the action was commenced beyond such 10-year period, there would be no requirement of a 90-day notice of claim. In addition, the court’s attention has now been directed to the provisions of CPLR 214-d (6), which, in relevant part, provides as follows: “No claim for personal injury, or wrongful death or property damage, or a cross or third-party claim for contribution or indemnification arising out of an action for personal injury, wrongful death or property damage may be asserted against a licensed architect, engineer, land surveyor or landscape [366]*366architect or such firm arising out of conduct by such licensed architect, engineer, land surveyor or landscape architect or such firm occurring more than ten years prior to the accrual of such claim shall be commenced or interposed against any such licensed architect, engineer, land surveyor or landscape architect or such firm unless it shall appear by and as an allegation in the complaint or necessary moving papers that the claimant has complied with the requirements of this section.” Counsel contends that the use of the word “accrual,” in subdivision (6), lends support to their position that the 10-year time period, for purposes of the notice requirement under subdivision (1), should be measured from the date of the injury. Generally, an action to recover damages for negligence accrues upon the date of an injury. (See, e.g., Brooklyn Union Gas Co. v Hunter Turbo Corp., 241 AD2d 505 [2d Dept 1997].)

In this court’s opinion, it is unnecessary to determine whether or not use of the word “accrual,” in CPLR 214-d (6), encompasses not only an injury but also proof of compliance with any condition precedent, or is simply an example of somewhat careless legislative draftsmanship. Also, in the court’s opinion, the reference to “accrual” in the decision of Dorst v Eggers Partnership (265 AD2d 294 [2d Dept 1999]), cited by plaintiffs, does not establish that the date of injury is the critical date for purposes of determining the applicability of the notice of claim requirement. The purpose for enacting CPLR 214-d may be clearly ascertained from its legislative history. This statute has been described as a “unique form of ‘tort reform’ legislation,” and attempted to address the problem of exposing architects or engineers to liability long after completion of a project. (Alexander, Practice Commentaries, McKinney’s Cons Laws of NY, Book 7B, CPLR 214-d, 1999 Pocket Part, at 247.) Thus, the intent of CPLR 214-d was to provide “ ‘an expedited procedural device to quickly dispose of cases brought against a design professional more than ten years after completion that lack a basis in substantial evidence.’ ” (Alexander, Practice Commentaries, McKinney’s Cons Laws of NY, Book 7B, CPLR 214-d, 1999 Pocket Part, at 248, quoting Mem of Senate in Support, 1996 McKinney’s Session Laws of NY, at 2614.)

It would appear that the purpose was hoped to be accomplished by giving the architect or engineer notice at the earliest possible time in order to permit discovery, and the possible early determination of the case on its merits. In a fact situation similar to the pending case, namely, an injury occurring [367]*367within. 10 years after the alleged negligent act, but the action commenced beyond such 10-year period, the interpretation proposed by plaintiffs would defeat the intent of the statute. For example, under this interpretation, notice would not be required if an injury occurred a day short of 10 years from the date of the alleged negligent act, and therefore a defendant would have no knowledge of such claim for almost 13 years if the claimant waited until the end of the Statute of Limitations to commence the lawsuit. It should be emphasized that, under the statute, the 90-day notice requirement relates to the date of commencement, and not the date of injury.

Finally, counsel for the plaintiffs requests that the court determine whether or not they may recommence the action within six months, following dismissal, upon proof of compliance with the notice requirement, pursuant to the tolling provisions of CPLR 205 (a), which, in relevant part, reads as follows: “If an action is timely commenced and is terminated in any other manner than by a voluntary discontinuance, a failure to obtain personal jurisdiction over the defendant, a dismissal of the complaint for neglect to prosecute the action, or a final judgment upon the merits, the plaintiff * * * may commence a new action * * * within six months after the termination provided that the new action would have been timely commenced at the time of commencement of the prior action.” Counsel for the plaintiffs relies upon case law, wherein the courts have applied the six-month tolling provisions of CPLR 205 (a), notwithstanding the fact that the first action was dismissed for the failure of the claimants to comply with some legal obligation, which may be considered a condition precedent. (See, e.g., Matter of Morris Investors v Commissioner of Fin. of City of N. Y., 69 NY2d 933 [1987]; Carrick v Central Gen. Hosp., 51 NY2d 242 [1980]; Secor v Town of Orangetown, 250 AD2d 588 [2d Dept 1998]; Kowalski v County of Erie, 170 AD2d 950 [4th Dept 1991], lv denied 78 NY2d 851 [1991]; Fleming v Long Is. R. R.,

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183 Misc. 2d 364, 702 N.Y.S.2d 795, 2000 N.Y. Misc. LEXIS 14, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rogan-v-sear-brown-group-nysupct-2000.