Thole v. Structural Pest Control Board

42 Cal. App. 3d 732, 117 Cal. Rptr. 206, 1974 Cal. App. LEXIS 1262
CourtCalifornia Court of Appeal
DecidedOctober 28, 1974
DocketCiv. No. 43346
StatusPublished
Cited by5 cases

This text of 42 Cal. App. 3d 732 (Thole v. Structural Pest Control Board) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Thole v. Structural Pest Control Board, 42 Cal. App. 3d 732, 117 Cal. Rptr. 206, 1974 Cal. App. LEXIS 1262 (Cal. Ct. App. 1974).

Opinion

Opinion

KAUS, P. J.

Administrative mandate. Carl Thole, petitioner, appeals from a superior court judgment denying a writ of mandate, after respondent Structural Pest Control Board (Board), in a decision after reconsideration, suspended his license as a pest control operator for 60 days.

Facts

Since this disciplinary action involves six separate residences and a total of two dozen violations of four Business and Professions Code sections plus two Board regulations, some background about the regulatory scheme for structural pest control operators will be helpful.

Structural pest control operators are licensed by the state. (Bus. & Prof. Code, § 8560 et seq.)1 Their methods of operations are also regulated. (§ 8500 et seq.) They are subject to discipline by the Board. (§ 8620 et seq.) Petitioner was subject to discipline for the following conduct; failure to prepare required reports (§ 8516); failure to complete an operation for the contracted price (§ 8638); commission of a grossly negligent act (§ 8642); and failure to comply with an applicable statute or regulation (§ 8641).

The applicable statute and regulations with which petitioner failed to comply concerned the contents of termite inspection reports. (§ 8516; Cal. [735]*735Admin. Code, tit. 16, § § 1900, 1991.)2 Briefly, the operator must disclose and diagram termite infestation and structural conditions likely to lead to termite infestation (§ 8516, subds. (b) 6, 7, 8) and recommend corrective measures for the reported conditions (§8516, subd. (b) 9). Copies of these reports must be filed with the Board. (§8516, subd. (b).) After the work is completed, a notice of completion must be filed with the Board. (§ 8518.) The reporting requirements are amplified by Board regulations. (Reg., §§ 1900, 1991.) As relevant here, the regulations further define conditions likely to lead to infestation (reg., § 1990, subd. (h)) and specify acceptable corrective measures (reg., § 1991, subd. (a).)

Petitioner in some instances failed to report conditions or to recommend corrective measures, thus violating the reporting requirements. Some of these failures were considered to constitute grossly negligent acts. All of the failures violated the duty to comply with applicable statutes and regulations. Also, in some instances, where conditions were disclosed, petitioner filed completion reports stating falsely that corrective action had been completed; such conduct constituted breach of contract and in some instances gross negligence.

The Violations

The violations, involving six separate properties for which inspection or completion reports were filed, covered a period from July 1968 through September 1969.

(1) Manning Property.3 Petitioner stipulated that his inspection report failed to describe and recommend corrective treatment for fungus in the subfloor area and in the abutments and for cellulose debris in the subarea. He stipulated that he filed a completion report which stated, contrary to fact, that he had installed concrete plugs to seal defects, fumigated the attic, and treated termites in the garage. Petitioner later corrected these conditions. He also stipulated that he failed to remove or cover termite pellets.4

(2) Kilkea Property. The Board’s evidence showed that petitioner failed to report and recommend correcting a faulty grade level, that is, defective [736]*736flashwalls5 and had filed a notice of completion that stated, contrary to fact, that work involving a shower installation had been completed; further, petitioner failed to replace damaged boards and timbers in the area of the shower.

(3) Manhattan Property. Petitioner stipulated that he failed to report and to recommend corrective action for cellulose debris in the subarea. The Board’s evidence showed that petitioner filed a completion report representing, contrary to fact, that a porch had been sealed. He stipulated that he failed to cover or remove termite pellets. He later completed this work.

(4) 95th Street Property. The Board’s evidence showed that petitioner failed to cover or remove termite pellets after fumigating the attic.

(5) Oaklawn Property. The Board’s evidence showed that petitioner failed to report excessive moisture on a garage slab roof.

(6) Oakhurst Property. Petitioner stipulated that he described but failed to recommend corrective action for faulty grade levels and that, contrary to his completion report, he failed to remove cellulose from the subarea. The Board’s evidence showed that petitioner failed to report damage to joists and studs in the attic and failed to remove boards, timbers and other debris from the subarea.

“Weight of the Evidence”

We can quickly dispose of petitioner’s contention that the trial court’s— and the Board’s—conclusions are not supported by the “weight of the evidence.” First, substantiality, not weight, is the standard of review in this court. (E.g., Patty v. Board of Medical Examiners, 9 Cal.3d 356, 367 [107 Cal.Rptr. 473, 508 P.2d 1121].)6 Second, interpreting petitioner’s argument to mean there is no substantial evidence, the contention is patently without merit. Most of the facts alleged in the accusation were admitted by stipulation. Where the finding was based on the Board’s evidence, petitioner’s complaint is that the court and the Board listened to the wrong people.

[737]*737 Vagueness

Petitioner contends that Business and Professions Code section 8516 and California Administrative Code, title 16, sections 1990 and 1991, are unconstitutionally vague.

In particular petitioner points out that the parties disputed whether a report that there was fungus in the subfloor joists sufficiently disclosed fungus in the subfloor area (see § 8516, subd. (b) 7; reg. § 1990, subd. (k));7 whether broken flashwalls {ante, fn. 5) meant a faulty grade level (see § 8516, subd. (b) 7; reg. § 1990, subd. (i)); and whether a concrete slab which served as both a patio and a garage roof was subject to inspection. (See § 8516, subd. (b) 7; reg. § 1990, subd. (j).) It appears to be petitioner’s contention that whenever a word in a statute or regulation is subject to more than one interpretation, the statute or regulation is “void for vagueness.” Fortunately, the law has never required perfection. (E.g., Pacific Coast Dairy v. Police Court, 214 Cal. 668, 676 [8 P.2d 140, 80 A.L.R. 1217]; cf. Pacific Gas & E. Co. v. G. W. Thomas Drayage etc. Co., 69 Cal.2d 33, 38 [69 Cal.Rptr. 561, 442 P.2d 641, 40 A.L.R.3d 1373].)

Gross Negligence

Petitioner next contends that the specification of a “grossly negligent” act (§ 8642) as grounds for discipline is equally void for vagueness because no one knows what constitutes “gross negligence.” Since the phrase is well-defined (e.g., Weber v. Pinyan, 9

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Cite This Page — Counsel Stack

Bluebook (online)
42 Cal. App. 3d 732, 117 Cal. Rptr. 206, 1974 Cal. App. LEXIS 1262, Counsel Stack Legal Research, https://law.counselstack.com/opinion/thole-v-structural-pest-control-board-calctapp-1974.