Smith v. Butler Mountain Estates Property Owners Ass'n

375 S.E.2d 905, 324 N.C. 80, 1989 N.C. LEXIS 16
CourtSupreme Court of North Carolina
DecidedFebruary 9, 1989
Docket260A88
StatusPublished
Cited by10 cases

This text of 375 S.E.2d 905 (Smith v. Butler Mountain Estates Property Owners Ass'n) is published on Counsel Stack Legal Research, covering Supreme Court of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Smith v. Butler Mountain Estates Property Owners Ass'n, 375 S.E.2d 905, 324 N.C. 80, 1989 N.C. LEXIS 16 (N.C. 1989).

Opinion

*81 MITCHELL, Justice.

The plaintiffs, who own a lot in Butler Mountain Estates, instituted this declaratory judgment action seeking to have certain restrictive covenants declared void and unenforceable. As alternative relief, the plaintiffs sought to have the defendant, Butler Mountain Estates Property Owners Association, Inc., enjoined from enforcing the restrictions.

Evidence introduced in the trial court tended to show that Butler Mountain Estates is a residential development consisting of forty-eight lots. At the time this action was commenced, houses had been constructed on twelve of the lots and houses were under construction on three of the other lots. All lots in the subdivision are subject to restrictive covenants set out in the provisions of a recorded restrictive agreement. The restrictive agreement provides, inter alia, that any house built in the subdivision must have a habitable floor space on its main level, exclusive of basements, porches and garages, of at least 1,100 square feet. 1 Furthermore, the restrictive agreement provides in provision number nine that all building plans “require the approval of the developer and/or Property Owners Association.” 2 The restrictive agreement specifically provides in provision number one that the covenants and restrictions set out in the agreement are to be covenants running with the land and shall be binding on all parties and their heirs, assigns and successors in interest.

Initially, plans for houses proposed for construction in the subdivision were taken by the president of the association to the owners of existing homes in the subdivision and approved or disapproved by those individual homeowners. Subsequently, the defendant association formed an architectural review committee which consisted of the board of directors of the association and the owners of lots in the subdivision on which houses had been *82 constructed. Thereafter, the committee reviewed plans for proposed houses and accepted or rejected them.

In October 1985, the plaintiffs submitted a set of plans to the architectural review committee for approval. Those plans, which were not for a geodesic dome house, were rejected solely because they failed to call for the required minimum area of 1,100 square feet on the main level of the proposed house.

The plaintiffs submitted another set of plans for a proposed house to the architectural review committee for approval in December 1985. These plans were for a geodesic dome house and were rejected by the architectural review committee. The president of the defendant association then wrote the plaintiffs a letter indicating that the “proposed structure reflects a marked departure from home-building styles prevailing throughout the area” and that the plaintiffs “might consider a design closer to the home-building styles that exist on Butler Mountain Estates.” At trial, the president of the association testified that the plans were not rejected on the basis of the minimum square footage covenant, even though they “could have been rejected for that reason” because the house called for by the plans would be 30 to 50 square feet short of the required 1,100.

The architectural review committee did not have any written standards as to what constituted acceptable building plans. However, an informal “format” was established by which to review plans submitted by property owners, based upon the committee’s belief that the homes in the subdivision should “conform and blend together.”

After the committee rejected the plaintiffs’ second set of plans, the plaintiffs instituted this declaratory judgment action, which was tried without a jury. The trial court, having made findings of fact and conclusions of law, entered its judgment granting the defendant’s motion to dismiss pursuant to Rule 41(b) of the North Carolina Rules of Civil Procedure.

The plaintiffs appealed to the Court of Appeals which, with one judge dissenting, affirmed the trial court. The Court of Appeals first concluded that there was sufficient competent evidence to support the trial court’s finding of fact that the plaintiffs’ second set of plans did not meet the minimum square footage re *83 quirements of the restrictive covenants. The Court of Appeals also concluded that the trial court did not err in its conclusion that the defendant association properly rejected the plans on that basis. Next, the Court of Appeals concluded that there was sufficient competent evidence to support the trial court’s findings of fact that: (a) the defendant had developed an architectural style as construction took place; (b) the existing housing was of a common, similar or like design; and (c) the plaintiffs’ second set of plans was a marked departure from existing homes in the development and did not meet the roofline designs of homes in the area. Finally, the Court of Appeals concluded that the rejection of the plaintiffs’ second set of house plans was not arbitrary or capricious, because the record on appeal shows that those plans did not call for a house that would fit into the present and existing general plan or development scheme of the homes in the area.

In his dissenting opinion, Judge Cozort opined that there was no evidence to support a finding that the second set of plans were rejected by the defendant association on the basis of insufficient square footage. Furthermore, he did not believe that the evidence would support a conclusion that it was proper for the defendant association to reject the plans because of the geodesic dome design.

On the record before us in this case, we only find it necessary to decide: (1) whether there was sufficient competent evidence to support the trial court’s finding of fact that the plaintiffs’ second proposed house plans violated the minimum square footage requirement of the restrictive covenants and, if so, (2) whether that finding was sufficient to support the trial court’s dismissal of the action. We conclude in this regard that the evidence supported the trial court’s finding of fact, which in turn supported the trial court’s dismissal of the plaintiffs’ action.

The plaintiffs argue that there was no competent evidence to support the trial court’s finding that “said plans did not meet the square footage requirement” or its holding — erroneously denominated a “finding of fact” — that “[t]he rejection of the Plaintiffs’ second plans is upheld [by the trial court] based upon their failure to meet the square footage requirement of the restrictive covenants; no finding is made as to the facade or geodesic design.” Further, the plaintiffs contend that the trial court erred in con- *84 eluding as a matter of law that “[t]he rejection of the Plaintiffs’ second set of plans [by the defendant] due to square footage requirements was a valid exercise of authority under the restrictive covenants that were a matter of public record.” They argue in support of this contention that there is simply no evidence to support a finding that the plans were rejected by the defendant association on the basis of inadequate square footage.

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Bluebook (online)
375 S.E.2d 905, 324 N.C. 80, 1989 N.C. LEXIS 16, Counsel Stack Legal Research, https://law.counselstack.com/opinion/smith-v-butler-mountain-estates-property-owners-assn-nc-1989.