Rogers v. Division of Real Estate of the Department of Business Regulations

790 P.2d 102, 131 Utah Adv. Rep. 78, 1990 Utah App. LEXIS 58, 1990 WL 38998
CourtCourt of Appeals of Utah
DecidedMarch 30, 1990
Docket890021-CA
StatusPublished
Cited by8 cases

This text of 790 P.2d 102 (Rogers v. Division of Real Estate of the Department of Business Regulations) is published on Counsel Stack Legal Research, covering Court of Appeals of Utah primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rogers v. Division of Real Estate of the Department of Business Regulations, 790 P.2d 102, 131 Utah Adv. Rep. 78, 1990 Utah App. LEXIS 58, 1990 WL 38998 (Utah Ct. App. 1990).

Opinion

OPINION

GREENWOOD, Judge:

Juanita Taft Rogers appeals the Real Estate Commission’s (Commission) order revoking her real estate broker’s license. Rogers claims the Commission’s action was barred by a statute of limitations and that *104 the order was unduly harsh and inequitable. We affirm.

During 1982, Rogers was a real estate agent licensed by the Utah Department of Business Regulation’s Real Estate Division (Division). In January 1982, Barbara Hom-eyer entered into an oral agreement with Rogers. Rogers agreed to act as Homey-er’s real estate agent and find a prospective seller who would accept Homeyer’s personal property as down payment for the purchase of a home. Homeyer delivered the property to Rogers so that Rogers could have access to the property if a prospective buyer was located.

By April 1982, Homeyer found two homes for possible purchase, but a satisfactory arrangement could not be reached as to which items of personal property would be acceptable in lieu of a cash down payment. Homeyer then authorized Rogers to sell certain items to provide cash for a down payment. Rogers had some of the property appraised and sold certain items in antique shows. However, Homeyer did not authorize sale of some of the items actually sold by Rogers. Rogers never delivered any proceeds from the sales to Homeyer. In addition, Rogers never advised her broker of these activities, nor did she deliver to him any of the funds she obtained from the sale of Homeyer’s property.

In May 1982, Homeyer was told she had cancer. On May 5, 1982, Homeyer and Rogers executed a written agreement that assigned all of Homeyer’s personal property to Rogers and authorized Rogers to liquidate the property for the benefit of Homeyer. The agreement provided that if Homeyer died before all the property was liquidated, the remaining funds would be placed in trust for her two children.

During the next two months, Rogers never advised Homeyer regarding the property and Homeyer was unable to contact Rogers. In July 1982, Homeyer retained counsel and demanded in writing that Rogers return all personal property still in her possession and provide an accounting of the property sold or otherwise disposed of.

In October 1982, Rogers responded by letter to Homeyer’s demands. She told Homeyer of her efforts to appraise, restore, and sell the property and the costs she had incurred as a result. She requested that Homeyer keep her informed with regard to “the housing thing” and told Homeyer of a listing for a two bedroom townhouse duplex, suggesting that Homey-er could live in one side and rent the other.

In a subsequent letter, Homeyer responded that purchase of the duplex was not economically feasible. She again asked for an accounting. Homeyer then sent another letter to Rogers demanding that Rogers return all items of personal property entrusted to her. Rogers did not respond. Homeyer then initiated litigation.

On August 17, 1983, the Commission suspended Rogers’s real estate license for one year for her conduct in 1982 concerning Homeyer, followed by a two-year probation, subject to certain terms and conditions. Rogers’s conduct was found to constitute gross incompetence and a violation of the fiduciary duty owed to her client. The Commission’s order was affirmed by the Third District Court on July 11, 1985.

On July 9, 1986, Rogers returned certain items to Homeyer pursuant to a writ of replevin. On October 30, 1986, the Fourth District Court entered judgment in favor of Homeyer for $18,150 against Rogers, for breach of contractual and fiduciary duties to Homeyer and for conversion of personal property and sales proceeds.

On January 15, 1987, Rogers obtained a principal broker’s license. On November 25, 1987, the Division filed a petition with the Commission to revoke Rogers’s real estate broker’s license based upon her activity with Homeyer in 1982. Rogers filed a motion to dismiss on the basis that the Division’s action was barred by a statute of limitations. Rogers’s motion to dismiss was denied. On September 20, 1988, a hearing was held before an Administrative Law Judge (A.L.J.) of the Department of Business Regulation. The A.L.J. concluded that Rogers had violated Utah Code Ann. *105 § 61-2-11(8) (1986) 1 and Utah Code Ann. § 61-2-11(15) (1986) 2 in conjunction with rule 9(a)(7) (1978) 3 of the Rules and Regulations of the Real Estate Commission. The Commission adopted the A.L.J.’s findings, conclusions, and recommended order and revoked Rogers’s license on December 14, 1988.

On appeal, Rogers claims (1) the Division’s action to revoke her principal broker’s license was barred by the four-year limitation period under Utah Code Ann. § 78-12-25(2) (1987) and, (2) the Commission’s order revoking her license was unduly harsh and inequitable.

STATUTE OF LIMITATIONS

Section 78-12-25(2) states that “an action for relief not otherwise provided for by law” must be commenced within four years. Rogers argues that this catch-all provision is applicable to the commencement of the second proceeding against her before the Commission for two reasons. First, she contends that the administrative disciplinary proceeding against her was a civil proceeding. Utah Code Ann. § 78-12-1 (1987) states that “[ejivil actions may be commenced only within the periods prescribed in this chapter, after the cause of action has accrued, except in specific cases where a different limitation is prescribed by statute.” Rogers asserts that because Utah Code Ann. §§ 61-2-1 to -23 (1987), which governs the Division, does not impose limitations on actions by the Division, 4 a disciplinary proceeding by the Division is subject to the appropriate limitation of actions prescribed in Utah Code Ann. §§ 78-12-1 to -47 (1987).

Second, Rogers argues that section 78-12-33, which states that “[tjhe limitations prescribed in this article shall apply to actions brought in the name of or for the benefit of the state in the same manner as to actions by private parties,” subjects administrative disciplinary proceedings brought by the state to the provisions of sections 78-12-1 to -47.

Rogers concludes that the Commission was barred from revoking her license because the time between the acts complained of and commencement of the second administrative proceeding against her exceeded the four-year limitation imposed by section 78-12-25(2).

We disagree with Rogers. In the absence of specific legislative authority, civil statutes of limitation are inapplicable to administrative disciplinary proceedings.

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Cite This Page — Counsel Stack

Bluebook (online)
790 P.2d 102, 131 Utah Adv. Rep. 78, 1990 Utah App. LEXIS 58, 1990 WL 38998, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rogers-v-division-of-real-estate-of-the-department-of-business-regulations-utahctapp-1990.