Sitton v. Print Direction, Inc.

718 S.E.2d 532, 312 Ga. App. 365, 2011 Fulton County D. Rep. 3079, 2011 Ga. App. LEXIS 849
CourtCourt of Appeals of Georgia
DecidedSeptember 28, 2011
DocketA11A1055
StatusPublished
Cited by18 cases

This text of 718 S.E.2d 532 (Sitton v. Print Direction, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sitton v. Print Direction, Inc., 718 S.E.2d 532, 312 Ga. App. 365, 2011 Fulton County D. Rep. 3079, 2011 Ga. App. LEXIS 849 (Ga. Ct. App. 2011).

Opinion

Mikell, Judge.

Larry Sitton was fired from his job after his employer discovered, from e-mails on the computer Sitton used at work, that he was taking part in a competing business on the side. After his discharge, Sitton sued his former employer, Print Direction, Inc. (“PDI”), and [366]*366its president and chief executive officer, William S. Stanton, Jr. (collectively “appellees”), for invasion of privacy and for computer theft and trespass in violation of OCGA § 16-9-93.1 Appellees counterclaimed on several grounds. Following a two-day bench trial, the trial court entered judgment against Sitton and awarded appel-lees $39,257.71 in damages. Sitton appeals, contending that the trial court erred in rejecting his claims under OCGA § 16-9-93 and for common law invasion of privacy; in the admission of evidence; in finding for appellees on their counterclaim for breach of duty of loyalty; and in the calculation of damages. We affirm the judgment.

“On appeal from the entry of judgment in a bench trial, the evidence must be viewed in the light most favorable to the trial court’s findings of fact,”2 and we apply the following standard of review:

[F] actual findings made after a bench trial shall not be set aside unless clearly erroneous, and due regard shall be given to the opportunity of the trial court to judge the credibility of the witnesses. OCGA § 9-11-52 (a). The clearly erroneous test is the same as the any evidence rule. Thus, an appellate court will not disturb fact findings of a trial court if there is any evidence to sustain them.3

Properly viewed, the record reflects that PDI operated a commercial printing business and that Stanton was responsible for PDFs operations. PDI hired Sitton as an exclusive outside salesperson in January 2005 and employed him as an at-will employee until he was discharged in September 2008. As an outside salesperson, Sitton sold PDFs printing services and was required to bill all sales through PDFs accounting department, in order for the commission to be shared between PDI and Sitton.

When he was first hired, Sitton received a copy of PDFs Employee Manual, which provided that “[ejmployees may not take an outside job . . . with a customer or competitor of PDI.” Nonetheless, during his employment by PDI, and without informing PDI or Stanton, Sitton brokered more than $150,000 in print jobs through Superior Solutions Associates LLC (“SSA”), a print brokerage [367]*367business which Sitton’s wife started in October 2007 and of which Sitton served as manager. Sitton’s work for SSA was in competition with PDI and continued through the date of his discharge from PDI. By brokering print jobs through SSA, Sitton was able to keep all the profit on the job rather than share the profit with his employer, PDI.

PDI provided Sitton with a laptop computer for use in connection with his work for PDI. However, Sitton chose to use his own computer, which he brought to his office at PDI, connected to PDFs system network, and used for PDI work. Sitton also used this computer for SSA work. When Stanton “caught wind” that Sitton was competing with PDI, he entered Sitton’s office, moved the computer’s mouse, clicked on the e-mail listing which appeared on the screen, and printed certain e-mails from Sitton relating to a job for Apex Printing Company. These e-mails, which were on a separate e-mail address from Sitton’s PDI-issued e-mail address, confirmed that Sitton was using SSA to compete with PDI. Stanton subsequently terminated Sitton as an employee of PDI.

1. Sitton contends that the trial court erred in determining that Stanton’s viewing and printing the incriminating e-mails found on Sitton’s personal computer did not constitute computer theft, computer trespass, or computer invasion of privacy under OCGA § 16-9-93. The court found that Stanton’s use of Sitton’s computer was not “without authority” within the meaning of the statute. We find no error.

The criminal offenses of computer theft, computer trespass, and computer invasion of privacy are set forth in OCGA § 16-9-93, which also provides for civil liability and a civil remedy.4 Computer theft is committed by one “who uses a computer or computer network with knowledge that such use is without authority and with the intention of” taking, obtaining, or converting property of another.5 Similarly, a person commits computer trespass when he “uses a computer or computer network with knowledge that such use is without authority and with the intention of” deleting any computer program or data; obstructing or interfering with use of a computer program or data; or altering, damaging, or causing to malfunction a computer, computer network, or computer program.6 A person commits computer invasion of privacy when he uses a computer or computer network “with the intention of examining any employment, medical, salary, credit, or any other financial or personal data relating to any other person with [368]*368knowledge that such examination is without authority.”7

It can be seen that these three computer offenses include at least the following elements: that the proscribed actions be taken “with knowledge” that the use of the computer or the examination of the other person’s data was “without authority” and that the actions be taken with the requisite intent.

We first note that the evidence fails to show that Stanton’s use of Sitton’s computer was “with the intention of” performing any of the acts forbidden by the statute. Stanton did not, nor did he intend to: take, obtain, or convert Sitton’s property (computer theft); delete any computer program or data, obstruct or interfere with a computer program or data, or alter or damage a computer, computer network, or computer program (computer trespass); or examine Sitton’s personal data (computer invasion of privacy). Thus, Stanton’s actions do not fall within the scope of subsections (a), (b), or (c) of OCGA § 16-9-93.

Another element of these offenses — lack of authority — is also absent.8 The term “without authority” is defined to include “the use of a computer or computer network in a manner that exceeds any right or permission granted by the owner of the computer or computer network.”9 In the case at bar, Stanton found the incriminating e-mails on the computer Sitton used to conduct business for PDI. This computer was located in PDFs offices but was actually owned by Sitton. The trial court found that Stanton had authority to inspect this computer pursuant to the computer usage policy contained in PDFs Employee Manual, which Sitton had agreed to abide by when he started work with PDI.

Contrary to Sitton’s contention, PDFs computer usage policy was not limited to PDI-owned equipment.

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Cite This Page — Counsel Stack

Bluebook (online)
718 S.E.2d 532, 312 Ga. App. 365, 2011 Fulton County D. Rep. 3079, 2011 Ga. App. LEXIS 849, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sitton-v-print-direction-inc-gactapp-2011.