Scott v. Thompson & Ford Lumber Co.

291 S.W. 565
CourtCourt of Appeals of Texas
DecidedFebruary 5, 1927
DocketNo. 1462. [fn*]
StatusPublished
Cited by3 cases

This text of 291 S.W. 565 (Scott v. Thompson & Ford Lumber Co.) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Scott v. Thompson & Ford Lumber Co., 291 S.W. 565 (Tex. Ct. App. 1927).

Opinion

O’QUINN, J.

Earl Scott, being a minor, by his father, C. C. Scott, as next friend, brought this suit against appellee to recover damages because of injuries received while working for appellee on September 1, 1923, the petition alleging that the injuries were proximately caused by negligence on the part of appellee.

Appellee answered by general denial, and specially pleaded that appellant should not recover because appellee was entitled to protection under the Workman’s Compensation Act (Vernon’s Ann. Civ. St. 1925, arts. 8306-8309), and that at the time of the injury it had insurance with the Lumberman’s Reciprocal Association, and pleaded notice of such insurance to the Industrial Accident Board and to appellant, and that it had fully complied with all the requirements of the law.

The case was tried before the court with the aid of a jury, but at the conclusion of the evidence the court instructed a verdict for appellee, and judgment was accordingly rendered. Motion for a new trial was overruled. The case is before us on appeal.

The action of the court in instructing a verdict for appellee involves the finding that the undisputed proof showed that appellee was a subscriber under the Workman’s Compensation Act at the time appellant received his injury, and entitled to the protection of said act, and, therefore, appellant was not entitled to recover by his common-law action.

By three assignments of error, appellant attacks this finding, and asserts:

(1) That appellee, Thompson & Ford Lumber Company, failed to comply with the requirements of the Workman’s Compensation Act, in that it failed to give appellant notice that it was a subscriber under the terms of *567 said act. Appellee was a corporation doing a lumber manufacturing business, at Grayburg, Tex., with, a log camp or front at a place called “Mary C.” It toot out a policy of insurance under the Workman’s Compensation Act, November 20, 1920, which became effective at midnight November 30, 1920. It is not questioned but that said policy was kept in force at all times since. Appellant was employed by appellee on January 18,1922. An indorsement on the policy shows that it was issued under and in accordance with the Workman’s Compensation Act of 1913 (Laws 1913, c. 179), as amended by the Act of March 28, 1917 (Laws 1917, c. 103). It appears that, upon the taking out of the policy of insurance, notice to employés in the form prescribed by the Industrial Accident Board was posted at different places about appellee’s premises — at the office, sawmill, the planing mill, office window at Mary C., and in the caboose in which the men rode to and from work — and that these notices were kept posted until the new form of notice was prescribed and furnished, and that on April .15, 1922, that form of notice was posted up and kept in the same places for the same purpose of giving notice to the employés that compensation insurance was provided by appellee. Appellant’s insistence is that, when the policy of insurance was taken out and became effective November 30, 1920, and the first notices posted, appellant was not an employé, and hence section 19, part 3, of the act (Vernon’s Ann. Civ. St. 1925, art. ’8308) providing that “every subscriber shall, as soon as he secures a policy, give notice in writing or print, or in such manner or way' as may be directed or approved to the board, to all persons under contract of hire with him that he has provided for payment of compensation” did not apply, but that section 20 of said act, providing that “every subscriber shall, after receiving a policy, give notice in writing or print, or in such manner or way as may be directed or (approved) by the board to all persons with whom he is about to enter into a contract of hire that he has provided for payment of compensation for injuries,” was applicable, and that no notice in compliance with this provision of the law was posted until April-15, 1922; appellant having entered into employment with appellee on January 18, 1922, which was before the posting of the notices.

We do not think this contention can be sustained. Appellee, upon taking out the policy, posted the notice then required under the law of 1913, as amended by the Act of 1917, und kept same posted until the new form of notice was prescribed by the board, and then posted the new form of notice, and kept the same posted as required by law. If this was not a literal compliance with the law as to notice, it was at least a substantial compliance. We think the posting should be held a full compliance. The notice was there in the manner and in the form required, actually existing every day, and it is thought that it was daily notice to any and all of the em-ployés, whether already in the employ of ap-pellee or just entering into, or about to enter into,, a contract of employment.

Moreover, we think appellant had actual personal notice of the fact that appellee had insurance protecting its employés. It is shown that, at the time appellant applied for work, he was told that he must secure a minor’s release before he could be given work. A blank form of release was given appellant to carry home to be signed by his father, which he took, and later returned duly signed, and was then put to work. True, he and his father testified that they did not sign the release, but same bore the signature of both himself and his father, -and they both admit that it was given to appellant by appellee, and that it was returned by appellant to appellee. This blank release contained printed thereon an acknowledgment of the receipt in writing, of notice that appellee had provided compensation insurance for the protection of its employés. It is shown that appellant could read and write, and, the notice having been delivered to him in person, we hold that such was actual personal notice to him of the fact that his employer had provided compensation insurance for the protection of its employés.

(2) Appellant’s second contention is that appellee failed to comply with the requirements of the Workman’s Compensation Act in respect to giving notice to the Industrial Accident Board that it had become a subscriber under the terms of said act. This contention is based upon section ISa, part 3, of the Workman’s Compensation Act (article 8308), which provides that “whenever any employer of labor in this state becomes a subscriber to this law, he shall- immediately notify the board of such fact,” etc.; and that, as the policy was issued and became effective on November 30, 1920, and notice to the board of its becoming a subscriber was not given until June 12, 1923, it was not .effective because not immediately given .within contemplation of said law. In fact, as we understand it, appellant insists that no notice at all was given by appellee to the board of its becoming a subscriber, because the notice executed by it was not mailed to the board by appellee, but was mailed by its insurer, the Lumberman’s Reciprocal Association. That the notice duly executed by appellee was mailed to and received by the board is not disputed, and the fact that it was mailed by another party is of no moment. As to the effect of not giving immediate notice to the board, there is no provision in the law making the failure to immediately, that is, at once, give the required notice to the board, have the effect of voiding the policy, or rendering appellee a nonsubscriber. It is true *568

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Cite This Page — Counsel Stack

Bluebook (online)
291 S.W. 565, Counsel Stack Legal Research, https://law.counselstack.com/opinion/scott-v-thompson-ford-lumber-co-texapp-1927.