Unifund CCR Partners v. Demers

2009 ME 19, 966 A.2d 400, 2009 Me. LEXIS 20
CourtSupreme Judicial Court of Maine
DecidedMarch 3, 2009
StatusPublished
Cited by7 cases

This text of 2009 ME 19 (Unifund CCR Partners v. Demers) is published on Counsel Stack Legal Research, covering Supreme Judicial Court of Maine primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Unifund CCR Partners v. Demers, 2009 ME 19, 966 A.2d 400, 2009 Me. LEXIS 20 (Me. 2009).

Opinion

ALEXANDER, J.

[¶ 1] Unifund CCR Partners appeals from a judgment of dismissal entered in the District Court (Biddeford, Foster, J.). Unifund argues that the court abused its discretion when it dismissed Unifund’s action with prejudice, pursuant to M.R. Civ. P. 16A(d), as a sanction for Unifund’s failure to attend a pretrial status conference. We vacate the judgment and remand for further proceedings.

I. CASE HISTORY

[¶ 2] Unifund CCR Partners filed a complaint on January 17, 2008, against Judy G. Demers. The complaint alleged that Unifund is the successor-in-interest to Chase Bank USA, N.A., and that Demers owes Unifund almost $16,000 in principal and accrued interest for charges she made on a credit card issued by “First USA.” Unifund sought judgment for the amount owed by Demers plus interest and costs.

[¶ 8] On May 6, 2008, the court scheduled a pretrial/status conference to be held on May 30, 2008. On May 9, 2008, Uni-fund filed a motion requesting leave to participate in the conference telephonically pursuant to M.R. Civ. P. 7(g). The court denied the motion, noting that it had “a large number of cases set for the same date and time making such a method unwieldy.” 1 On May 22, 2008, Unifund filed a motion for summary judgment as well as a request to postpone or cancel the May 30 pretrial conference in light of the pending summary judgment motion. The court did not act on Unifund’s motion for summary judgment or its request to postpone or cancel the pretrial conference.

[¶ 4] The court held the pretrial conference as scheduled on May 30, 2008. Demers appeared. Unifund did not appear at the pretrial conference. On its own motion, the court dismissed Unifund’s action with prejudice and without costs due to Unifund’s failure to appear for the conference. The court stated that it could not account for Unifund’s failure to appear, noting only that it had denied Unifund’s request to attend the conference telephoni-cally. The court made no reference to Unifund’s request to cancel or postpone the conference pending disposition of its summary judgment motion.2

[¶ 5] Unifund filed a motion to reconsider on June 12, 2008. Unifund explained that it had failed to appear for the pretrial conference due to its mistaken belief that the conference would be postponed to allow the court to consider the summary judgment motion. Demers did not oppose Unifund’s motion to reconsider. The court denied Unifund’s motion. Unifund then filed this appeal.

[¶ 6] Unifund admits that it mistakenly failed to appear for the scheduled confer[402]*402ence, but argues that it did not act with the serious misconduct or noncompliance with pretrial procedures that would support the dismissal with prejudice sanction that was imposed. Unifund also argues that the court abused its discretion when it dismissed Unifund’s complaint with prejudice because the sanction works a “plain and unmistakable injustice” on Unifund, forever depriving it of the opportunity to recover on its claim.

II. LEGAL ANALYSIS

[¶ 7] Maine Rule of Civil Procedure 16A, paragraphs (a) and (b), provides that the District Court may issue pretrial orders and order pretrial conferences for case management purposes. Rule 16A(d) provides that the District Court shall impose a sanction on a party for failure to comply with Rule 16A, stating:

If a party fails to comply with the requirements of this rule, to attend a conference held under this rule, or to comply with any order made hereunder, the court shall impose on the party or the party’s attorney, or both, such sanctions as the circumstances warrant, which may include the dismissal of the action or any part thereof with or without prejudice, the default of a party, the exclusion of evidence at the trial, and the imposition of costs, including attorney fees and travel. The court may expressly order, where appropriate in its discretion, that the costs of such sanctions be borne by counsel and that they shall not be passed on to counsel’s client.

[¶ 8] We review the District Court’s imposition of a sanction pursuant to M.R. Civ. P. 16A(d) for an abuse of discretion. See Coppola v. Coppola, 2007 ME 147, ¶ 1 n. 1, 938 A.2d 786, 788. “The touchstone of determining whether the [court] has properly exercised its discretion is whether in a given case that discretion is exercised in furtherance of justice.” Presnell v. Peoples Heritage Bank, 619 A.2d 1205, 1206 (Me.1993) (quotation marks omitted).

[¶ 9] We have not previously considered in a published opinion a situation in which the District Court has dismissed an action pursuant to Rule 16A(d).3 We have, however, considered whether the Superior Court has abused its discretion in dismissing a case pursuant to M.R. Civ. P. 16(d).

[¶ 10] Rule 16(d), as currently worded, is nearly identical to Rule 16A(d) except that Rule 16(d) provides that the Superior Court may impose sanctions on a party as the circumstances warrant, whereas Rule 16A(d) provides that the District Court shall impose sanctions on a party as the circumstances warrant. Between 1980 and 1999, however, Rule 16(d) provided that the imposition of sanctions was mandatory, as Rule 16A(d) now does, so as to “increase the speed and efficiency of the courts.” 4 Pelletier v. Pathiraja, 519 A.2d 187, 190 n. 4 (Me.1986).

[403]*403[¶ 11] In Pelletier, we reiterated that “ ‘[i]n exercising its discretion under Rule 16(d),’ ” the trial court must resolve certain questions, including whether to impose the sanction on the party or counsel, or both, and what sanction to impose. Id. at 190 (citing Reeves v. Travelers Ins. Cos., 421 A.2d 47, 50 (Me.1980)). “[T]he answers will depend upon the particular circumstances and [are] dependent upon the functions to be served by the sanction. The functions to be served may be several; to penalize non-compliance, remedy the effects of non-compliance, and to serve as a deterrent.” Pelletier, 519 A.2d at 190; see also Baker’s Table, Inc. v. City of Portland, 2000 ME 7, ¶ 17, 743 A.2d 287, 248 (stating that, when determining the appropriate sanction to be imposed for failure to comply with procedural rules, “the court should take into account the purpose of the specific rule at issue, the party’s conduct throughout the proceedings, the party’s bona fides in its failure to comply, prejudice to other parties, and the need for the orderly administration of justice”).

[¶ 12] In considering the imposition of the specific sanction of dismissal, the court need not find “willfulness, bad faith, or fault of the party to justify the imposition of the dismissal sanction.” Pelletier, 519 A.2d at 189-90. Instead, “the trial court should evaluate the effect pretrial violations have on the adverse party and also consider the purpose the sanctions are to serve in exercising its discretion.” Id. at 190. “[S]erious instances of non-compliance with pretrial procedures can support a trial court’s imposition of dismissal as a sanction.” Id.

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Cite This Page — Counsel Stack

Bluebook (online)
2009 ME 19, 966 A.2d 400, 2009 Me. LEXIS 20, Counsel Stack Legal Research, https://law.counselstack.com/opinion/unifund-ccr-partners-v-demers-me-2009.