Weaver v. South Carolina Coastal Council

423 S.E.2d 340, 309 S.C. 368, 1992 S.C. LEXIS 214
CourtSupreme Court of South Carolina
DecidedOctober 26, 1992
Docket23731
StatusPublished
Cited by14 cases

This text of 423 S.E.2d 340 (Weaver v. South Carolina Coastal Council) is published on Counsel Stack Legal Research, covering Supreme Court of South Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Weaver v. South Carolina Coastal Council, 423 S.E.2d 340, 309 S.C. 368, 1992 S.C. LEXIS 214 (S.C. 1992).

Opinion

Finney, Justice:

Appellant South Carolina Coastal Council (Council) appeals the order of the circuit court which directed appellant to issue a permit to Respondent Linda R. Weaver for construction of a private recreational dock encroaching upon the Folly River. We affirm.

Council was created under the South Carolina Coastal Tidelands and Wetlands Act, commonly referred to as The Coastal Zone Management Act, S.C. Code Ann. § 48-39-10, et seq., (1987) (the Act), for the purpose of administering the Act. In *370 November of 1988, respondent applied to Council for a permit to construct a 600-foot walkway extending from her undeveloped lot at 310 East Indian Avenue on Folly Beach to a fixed pierhead and floating dock resting in the Folly River in Charleston County. The proposed construction was sited in a region designated by the Act as a “critical area” defined as any of the following: (1) coastal waters, (2) tidelands, (3) beaches, and (4) primary oceanfront sand dunes. S.C. Code Ann. § 48-39-10CJ).

Section 48-39-130(A) restricts utilization of critical areas to the use which such areas was devoted on July 1, 1977, unless Council grants a permit to alter its use. Council had granted individual permits to Harris L. Crowley in 1987, and to Anna Cope and Henry Beckmann, III, in 1988 for construction of similar docks within the critical area from lots adjacent to the Weaver property.

Weaver’s application was considered by Council’s Permitting Committee (Committee). When the South Carolina Wildlife and Marine Resources Department (Department) discovered that the proposed dock would be located in the Folly River Public Oyster Ground (POG), it recommended that the permit be denied because of its presumed detrimental impact on the POG’s maintenance and environment.

Under Section 50-17-370, the Department is charged with the duty of managing areas where state residents may harvest oysters. The Folly River POG is restocked annually by mechanically spraying seed oysters from a barge onto the intertidal river bank. The Department asserted that due to the lack of maneuverability of seeding barges, the existence of pierheads in the POG would hinder its ability to maintain the area. As a further impediment, the Department envisioned environmental damage by oil and gas emitted from boats using the dock.

By notice dated March 21,1989, the Committee advised respondent that her permit had been denied based upon the “findings, policies, and criteria of the Coastal Zone Management Act, the Coastal Zone Management Program, the Rules and Regulations for Permitting in the Critical Areas of the Coastal Zone, and the individual merits of the application.”

On March 28,1989, respondent filed notice of intent to appeal the Committee’s ruling to the full Council upon grounds submitted April 11,1989, alleging that the decision, in summary,

*371 1. denied respondent equal protection of the law by failing to treat her application as the application of others similarly situated; U.S. Const, amend. XIV, S.C. Const, art. I, § 3;
2. violated S.C. Code Ann. § 48-39-150(C) (1987) and 23A S.C. Code Ann. Regs. 30-4(C) (1976), which require Council action on minor developments within thirty days;
3. denied respondent due process of law, in that it deprived her of a valuable property right without just compensation; U.S. Const, amend. V, S.C. Const, art. I, § 3; and
4. violated 23A S.C. Code Regs. 30-1(2), which requires consistency by the Council in permit evaluations.

On May 24, 1989, Council referred the matter to a hearing officer with instructions to “conduct a hearing, take testimony, issue subpoenas, produce a transcript, certify the record, and file [a] report with leave to report special matters.” The hearing officer held an evidentiary hearing on August 30,1989, and submitted her report to Council on November 27,1989, recommending that a permit be granted to the respondent.

On December 15, 1989, the full Council held a hearing at which both parties presented oral arguments. By a vote of eleven to three, Council upheld the Committee’s decision denying respondent’s permit. In its Final Administrative Order dated January 19,1990, Council found that

1. the three permits granted to Crowley, Cope and Beckmann were issued in error in that due consideration was not given to the existence of the POG and the impact the docks would have thereon; and
2. Council acted in a consistent manner in evaluating permit applications under the circumstances by taking action for removal of the three docks permitted in error.

The Final Administrative Order set forth the following conclusions of law as the basis for denial of respondent’s permit:

1. Respondent’s proposed dock would interfere with public access and use of the POG and prevent proper management thereof.
2. There is no right, under a theory of equal protection, when individuals have obtained relief based upon inadvertent error, that other individuals would be likewise entitled to such relief.
*372 3. That denial of respondent’s permit was a valid exercise of police power not automatically requiring compensation of a private property owner; U.S. Const, amend. V, S.C. Const, art. I, § 3.
4. That respondent is not entitled to a permit due to Council’s failure to act upon her application within the prescribed thirty-day period because (1) neither Section 48-39-150(C) nor Regulation 30-4(C) contain a provision for sanctions or remedies for failure to act within the statutory period; (2) negotiations were ongoing between Council and the Department seeking a resolution of problems attending the permit; and (3) respondent did not raise this issue at the hearing or during oral arguments.

Council concluded that the Committee acted properly in denying respondent a permit, and ruled that the hearing officer was without authority to present conclusions of law.

Respondent petitioned the Court of Common Pleas for Charleston County for judicial review of Council’s decision, pursuant to the South Carolina Administrative Procedures Act, S.C. Code Ann. § 1-23-310, et seq., (1986), upon the following grounds:

1. Denial of equal protection of the law; U.S. Const, amend. XIV, S.C. Const, art. I, § 3;
2. Deprivation of due process of law; U.S. Const, amend. V, S.C. Const, art. I, § 3, and S.C. Code Ann. § 48-39-30(C);
3. Inconsistent evaluation of permit applications; 23A S.C. Code Regs. 30-1(2);
4. Failure to base findings of fact exclusively on the evidence and matters officially noticed; S.C. Code Ann. § 1-23-320(i);
5. Violation of 23A S.C. Code Ann. Regs. 30-6(G), which requires that all evidence and the complete record of appeal be compiled by the hearing officer;
6.

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Bluebook (online)
423 S.E.2d 340, 309 S.C. 368, 1992 S.C. LEXIS 214, Counsel Stack Legal Research, https://law.counselstack.com/opinion/weaver-v-south-carolina-coastal-council-sc-1992.