Schoenhut v. Commonwealth, State Real Estate Commission

455 A.2d 225, 71 Pa. Commw. 230, 1983 Pa. Commw. LEXIS 1206
CourtCommonwealth Court of Pennsylvania
DecidedJanuary 17, 1983
DocketAppeal, No. 1635 C.D. 1981
StatusPublished
Cited by2 cases

This text of 455 A.2d 225 (Schoenhut v. Commonwealth, State Real Estate Commission) is published on Counsel Stack Legal Research, covering Commonwealth Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Schoenhut v. Commonwealth, State Real Estate Commission, 455 A.2d 225, 71 Pa. Commw. 230, 1983 Pa. Commw. LEXIS 1206 (Pa. Ct. App. 1983).

Opinion

Opinion by

Judge Doyle,

This is an appeal by William F. Schoenhut (Petitioner) and the W. F. Schoenhut Corporation from a decision and order of the State Real Estate Commission (Commission) revoking their respective real estate licenses. We affirm.

Petitioner, who was employed by Central Penn National Bank (Central Penn) as an assistant vice-president at the time, was issued a Pennsylvania real estate broker’s license on July 6, 1973. Shortly thereafter, on July 19, 1973, Petitioner received shares of stock in the Green Meadow Holding Company. Green Meadow owned all the stock of the Karlee Corporation [232]*232and the .stock in Green Meadow was given to Petitioner for his services in procuring for Karlee a loan and credit extension from Central Penn Bank valued at approximately $1,495,000. As a result of his participation in this transaction, Petitioner, who had left Central Penn in 1974 to start his real estate practice, was convicted, on May 8, 1979, in the United .States District Court for the Eastern District of Pennsylvania of:

(1) receiving, as an employee of the bank, a commission and/or .gift for aiding in the procurement of a loan in violation of 18 U.S.C. §215;
(■2) participating in a criminal conspiracy in violation of 18 U.S.C. §371; and
(3) submitting false reports to Central Penn in violation of 18 U.S.C. §1005.

The District ¡Court subsequently fined Petitioner $10,000 and imposed a prison sentence on him of one year and one day.

On August 1,1980, the Commission issued Petitioner a citation for a hearing to .show cause why his real-estate license should not be revoked, because of his convictions, pursuant to .Sections 10(a) and 11(b) of the Real Estate Brokers Act of 1929 (Act),1 63 P.S. §§440(a) and 441(b). At a hearing on the matter held on November 13, 1980, the -Commission’s case against [233]*233Petitioner consisted entirely of proof of bis criminal convictions. Petitioner, in turn, offered Ms own testimony as to Ms activities as a real estate broker plus that of three character witnesses who attested to Petitioner ’s reputation for ability and honesty in the real estate 'community. Also introduced into evidence were •two letters praising Petitioner’s conduct as a real estate broker. On June 9, 1981, the 'Commission issued a decision and order finding Petitioner in violation of Sections 10(a)(1)2 and 11(b)3 of the Act. The Commission therefore revoked Petitioner’s real estate li[234]*234cense as well as that of his company, the W. F. Schoenhut Corp. The appeal to this Court followed.

This Court’s scope of review of decisions by the Commission which revoke a broker’s license, “is limited to determining whether the Commission abused its discretion, committed an error of law, or made findings of fact not based on substantial evidence.” Shober v. State Real Estate Commission, 62 Pa. Commonwealth Ct. 110, 113, 435 A. 2d 284, 286 (1981).

Petitioner’s initial challenge to the decision of the Commission is that application of Sections 10(a)(1) and 11(b) of the Act to Petitioner is “unconstitutional” because the record is devoid of evidence indicating any likelihood of, or potential for, harm to the .public if Petitioner is allowed to continue the practice of real estate. The Commission, however, is under no obligation to conform its decision to any assessment of Petitioner’s character. Petitioner, .solely by virtue of his conviction for offenses outlined by Section 11(b) of the Act and activities encompassed by Section 10 (a), is in violation of the Act and a license revocation is appropriate. See Ginsberg v. Department of State, Bureau of Professional and Occupational Affairs, 55 Pa. Commonwealth Ct. 255, 422 A.2d 1239 (1980); Meth, v. State Real Estate Commission, 14 Pa. Commonwealth Ct. 203, 321 A.2d 221 (1974).

Petitioner also argues that the 'Commission has committed an abuse of discretion by applying Sections 10(a) (1) and/or 11(b) of the Act to Petitioner in that the convictions introduced as evidence of a violation of the Act were unrelated to the practice of real estate. Even assuming arguendo that Petitioner’s convictions were unrelated to the .practice of real estate, we disagree.

The Act is penal in nature and must be strictly construed. Grasso v. State Real Estate Commission, 14 Pa. Commonwealth Ct. 196, 320 A.2d 912 (1974). Sec[235]*235.tion 10(a) of the Act permits the Commission to “investigate any action or business transaction of any-licensed real estate broker. ...” (Emphasis added.) Insofar as the portion of Section 10(a) pursuant to which Petitioner’s -license was revoked, i.e., a substantial misrepresentation under -Section 10(a) (1), is concerned, there is no language restricting its application to the practice of real estate. Similarly, the only qualification placed on a license revocation pursuant to a conviction for one of the' crimes of dishonesty itemized in Section 11(b) is that the conviction must have arisen during the term of the license. Petitioner’s convictions at issue herein arose during the term of his license, they involved crimes encompassed by Section 11(b), and they involved substantial misrepresentation on the part of Petitioner. Thus, the Commission did not commit an abuse of discretion by revoking Petitioner’s -license. Such a holding is consistent with, and a logical expansion of, the holding of the Superior Court in State Real Estate Commission v. Tice, 200 Pa. Superior Ct. 553, 190 A.2d 188 (1963) where, in ruling that the Act applies not only to persons involved in an agency transaction, but also to a broker who is selling his own property,4 that court stated:

The court below construed our Real Estate Brokers License Act so that it would apply only to persons in connection with an agency transaction and would not apply to a person who was selling his own property. In our judgment, there can be no justification of an interpretation of the licensing act -which would allow a broker to be honest as a broker and dishonest as a property owner. A broker who is dishonest or incompetent in the real estate activities in which [236]*236he is involved as owner, is not likely to be honest or competent in his activities which are purely brokerage in nature. The purpose of real estate licensure is to bar the dishonest or incompetent from entry into this occupation____
Our licensing law requires an individual broker applicant to furnish to the commission evidence of his “honesty, truthfulness, and good repute.” Section 7(b) of the Real Estate Brokers License Act, 63 P.S. §437(b).

Id. at 559, 190 A.2d at 190-191 (citation omitted).

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455 A.2d 225, 71 Pa. Commw. 230, 1983 Pa. Commw. LEXIS 1206, Counsel Stack Legal Research, https://law.counselstack.com/opinion/schoenhut-v-commonwealth-state-real-estate-commission-pacommwct-1983.