Suerth v. Mapson (In Re Mapson)

93 B.R. 161, 1988 Bankr. LEXIS 1905, 1988 WL 122128
CourtUnited States Bankruptcy Court, C.D. Illinois
DecidedOctober 26, 1988
Docket19-90054
StatusPublished
Cited by6 cases

This text of 93 B.R. 161 (Suerth v. Mapson (In Re Mapson)) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, C.D. Illinois primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Suerth v. Mapson (In Re Mapson), 93 B.R. 161, 1988 Bankr. LEXIS 1905, 1988 WL 122128 (Ill. 1988).

Opinion

AMENDED MEMORANDUM, OPINION & ORDER

ROBERT E. GINSBERG, Bankruptcy Judge.

This matter comes before the court on a series of motions filed by the plaintiff in this adversary proceeding. The first motion seeks to have this Court reconsider and vacate its earlier order granting the debtor defendant’s motion under Bankruptcy Rule 9024 and Federal Rule of Civil Procedure 60(b) vacating a default judgment the court had entered against the debtor in this proceeding. The second and third motions seek sanctions against the debtor and his former attorney for their activities leading up to the entry of default judgment and their actions seeking to have that judgment vacated. A fourth motion *163 seeks the assessment of interest on sanctions imposed. 1

The facts leading up to the motions presently before the court are bizarre. The debtor filed a Chapter 7 petition in 1983. In 1984 the plaintiff filed his complaint seeking to have the debt the debtor owed him determined to be nondischargeable. For a variety of reasons, including the unexpected sudden resignation of one of the sitting bankruptcy judges in this district, the matter had not come to trial by the beginning of 1987. The undersigned was assigned by the United States Court of Appeals for the Seventh Circuit as a visiting bankruptcy judge to assist in reducing the backlog confronting the overworked remaining bankruptcy judges in the district.

Trial in the adversary proceeding was set for June 15, 1987 in Danville before the undersigned. The Clerk’s office sent counsel for the plaintiff and defendant notice of that trial date. Neither side sought a continuance. However, at the appointed time only the plaintiffs attorney appeared ready for trial. Nobody appeared for the defendant. Attempts by personnel from the Clerk’s office to contact the defendant’s then attorney, Mr. Lawless, proved fruitless. 2 Since plaintiff was there with his witnesses prepared to prove the allegations in the complaint, a default judgment was subsequently entered against the defendant on July 6, 1987.

Shortly thereafter, Mr. Lawless filed a motion under Bankruptcy Rule 9024 and Rule 60(a) of the Federal Rules of Civil Procedure seeking to vacate the default judgment. Although the motion was filed within ten days after the entry of the default judgment, it did not allege any of the usual Rule 59 grounds such as excusable neglect on the part of defendant’s attorney in miscalendaring the trial date or family or professional emergency precluding attendance at trial. 3 Instead, Mr. Lawless cited clerical error as the basis of his motion under Rule 60(a), claiming in an affidavit that the notice he received from the Clerk’s office had set the trial for June 26, 1987, not June 15. He attached a document purporting to be a copy of the notice he received.

Since the document attached to the motion was rather clearly a copy of an altered version of the original notice for a June 15 trial date issued by the Clerk as found in the court file and received by plaintiff’s attorney, the obvious question was whether the notice had been altered before or after it was received by Mr. Lawless. 4 If the notice had been altered before receipt by Mr. Lawless, presumably by someone in the Clerk’s office, the motion would have to be granted on due process grounds for failure to give proper notice of the trial date. If the notice had been altered by Mr. Lawless or someone in his office after he *164 received it, the motion could not be granted on the grounds alleged. 5

Plaintiff strongly opposed the motion to vacate the default judgment, and extensive discovery was had to determine the contents of the trial notice actually received by Mr. Lawless. During the course of that discovery, Mr. Lawless claimed to be unable to locate the actual notice he received from the clerk. The court ordered him to produce the original. At a deposition some ten weeks later, on or about December 7, 1987, Mr. Lawless produced what he said was the original notice he had received. 6 Pursuant to telephonic order of this court, the court reporter took the alleged original notice, placed it in a signed sealed envelope and delivered it to the Clerk for safekeeping.

On June 7, 1988, this court held a hearing on the motion to vacate. At that hearing, the envelope containing the alleged original notice Mr. Lawless claimed to have received was unsealed by the court and the alleged original was introduced into evidence. Testimony was given by the debtor, Mr. Lawless and Mr. Lawless’s secretary with respect to the receipt of the notice and alleged preparation for a June 26 trial date. It appeared from that testimony that Mr. Lawless was out of state on personal business on June 15, 1987. However, absolutely no credible documentary evidence was presented to confirm his claim of receiving a notice setting a June 26 trial date. He produced two letters he claimed he sent to the debtor before June 26 notifying him of a June 26 trial date, but he could produce no evidence as to when those letters were in fact written or whether and when they were mailed. He had no envelopes with postmarks or return receipts. The letters notifying his client of the date for trial allegedly were not sent using any mail procedure such as certified mail requiring the debtor to acknowledge receipt, which seems an incredibly sloppy practice in this emerging era of attorney malpractice. No' credible evidence was presented as to when or whether the debtor received any letters from Mr. Lawless regarding the trial. It does not appear that Mr. Lawless actually met with his client regarding the trial in advance of either June 15 or June 26.

By the same token, little weight could be given to the secretary’s testimony. Obviously, it was in her economic self-interest to support Mr. Lawless’s story. Again, no credible documentary evidence could be produced which would corroborate her version of the receipt of the notice with the alleged June 26th trial date or the mailing and delivery of the letters regarding the trial date. Her testimony was vague at best, and her tone and demeanor led the court to give it little weight. She seemed more interested in defending her boss (and to that extent, her job) than in anything else.

However, the ultimate damning testimony came from Mr. Lawless himself. Mr. Lawless testified that he misplaced the original notice he received from the court, only to find it several months later in a volume of the Illinois Revised Statutes. The alleged original was in pristine condition. The edges were not frayed despite the fact that the plaintiff’s attorney demonstrated that the edges of the 8V2 inch by 11 inch document would protrude if placed in a 5% inch by 9V2 inch book. Mr. Lawless sought to explain this away by saying that the book containing the notice had lain on a table or shelf and that nothing had bumped up against the overflowing edges of the notice during the several months it had been in that book.

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Cite This Page — Counsel Stack

Bluebook (online)
93 B.R. 161, 1988 Bankr. LEXIS 1905, 1988 WL 122128, Counsel Stack Legal Research, https://law.counselstack.com/opinion/suerth-v-mapson-in-re-mapson-ilcb-1988.