Wood v. Brown

39 Cal. App. 3d 232, 114 Cal. Rptr. 63, 1974 Cal. App. LEXIS 963
CourtCalifornia Court of Appeal
DecidedMay 17, 1974
DocketCiv. 42294
StatusPublished
Cited by14 cases

This text of 39 Cal. App. 3d 232 (Wood v. Brown) 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
Wood v. Brown, 39 Cal. App. 3d 232, 114 Cal. Rptr. 63, 1974 Cal. App. LEXIS 963 (Cal. Ct. App. 1974).

Opinion

Opinion

DUNN, J.

This is an appeal by plaintiff from a summary judgment entered against him and in favor of defendant Jere Erie Brown, as executrix of the will of Bert M. Lewy, deceased.

On April 6, 1971, plaintiff commenced an action to recover sums of money on various theories including common counts, a promissory note, continuing guarantees, fraudulent transfers, and conversion. One of the defendants was Bert Lewy, sued as a copartner of two partnerships which also were named as defendants. Lewy died on April 27, 1971, without having been served with process in the action.

On August 24, 1971, plaintiff filed a verified first amended complaint in 10 counts, seeking damages on the same theories as originally pleaded, 1 although the original complaint was alleged in 11 counts. The caption of *235 the first amended complaint named, as additional defendants, “Does XXI through XXV, Administrators or Executors of the Estate of Bert M. Lewy.” In the body of the complaint it was alleged on information and belief that Lewy was deceased, and that the fictitiously named defendants added as parties were the administrators or executors of his estate.

On November 15, 1971, the Bank of America, as special administrator of Lewy’s estate, filed a verified answer to the first amended complaint. The answer admitted Lewy’s death and the bank’s appointment as special administrator of his estate, denied the remaining allegations of the first amended complaint and alleged various affirmative defenses as well as a general demurrer.

By order of the trial court dated July 14, 1972, Jere Erie Brown, as executrix of the will of Bert Lewy, was substituted as a defendant in place of the Bank of America. 2

On August 21, 1972, defendant executrix filed a motion for summary judgment. The motion was supported by a declaration of defendant’s attorney, who also represented defendant in her capacity as executrix in the probate proceeding. The declaration requested that the trial court take judicial notice of its file in the matter of Lewy’s estate, and such file was incorporated into the declaration by reference. 3 In addition to summarizing the events previously set forth herein, the declarant stated (and the probate record shows): on August 24, 1971, the Bank of America was appointed special administrator of Lewy’s estate and served in that capacity until June 30, 1972, when letters testamentary were issued to defendant as executrix of Lewy’s will; the bank, as special administrator, caused notice to creditors to be published initially on September 21, 1971, and on the required num *236 ber of dates thereafter; the four-month period for the filing or presentation of creditors’ claims, specified in the notice, expired on January 21, 1972; during such period, plaintiff neither filed a creditor’s claim with the clerk of the court in the probate proceeding, nor presented a creditor’s claim to the special administrator of the estate.

In his declaration opposing the motion for summary judgment, plaintiff’s attorney stated: on September 17, 1971, the attorney for the special administrator agreed to accept service of the summons and the first amended complaint; thereafter, on November 15, 1971, the answer of the special administrator was filed; at no time did the attorney for the special administrator indicate that the manner of presenting plaintiff’s claim was improper as to form, or that any additional information regarding the claim was required; therefore, “the claim of Plaintiff was fully presented and regularly rejected by the Estate of Bert M. Lewy.” At the same time he filed the opposing declaration, plaintiff moved for leave to file a supplement to the first amended complaint, pleading “presentation of claim which was presented after filing of First Amended Complaint.”

Plaintiff’s motion for leave to file a supplement to the first amended complaint was denied. The trial court granted defendant’s motion for summary judgment on the ground the supporting declaration showed plaintiff’s action had no merit, and plaintiff’s opposing declaration presented no triable issue of fact. (Code Civ. Proc., § 437c.) Plaintiff appeals.

Probate Code section 709 provides in part: “If an action is pending against the decedent at the time of his death, the plaintiff must in like manner file his claim with the clerk or present it to the executor or administrator for allowance or rejection, authenticated as required in other cases; and no recovery shall be had against decedent’s estate in the action unless proof is made of such filing or presentation; . . .” The word “claim” in this provision refers to a demand for money. (See Newberger v. Rifkind (1972) 28 Cal.App.3d 1070, 1077 [104 Cal.Rptr. 663]; Wright v. Superior Court (1948) 85 Cal.App.2d 151, 153-154 [192 P.2d 511]; Tanner v. Best (1940) 40 Cal.App.2d 442, 445-446 [104 P.2d 1084].) Since plaintiff seeks a money judgment in this action, his right to recover against defendant is contingent upon his having filed in the probate proceeding or having presented to Lewy’s personal representative for allowance or rejection, the claim upon which the action is based. The statutory requirement cannot be waived. (Agnew v. Parks (1958) 164 Cal.App.2d 837, 839 [331 P.2d 184].)

Plaintiff contends that filing or presentation of a formal creditor’s *237 claim, as described in Probate Code section 705, 4 was not necessary because service of the summons and first amended complaint upon the Bank of America, as special administrator, constituted presentation of a claim. The contention is without merit. As noted in Satterfield v. Garmire (1967) 65 Cal.2d 638, 641-642 [56 Cal.Rptr. 102, 422 P.2d 990]: “Probate Code section 707 is intended to insure that the executor or administrator of an estate will be notified within a reasonable period of time of all claims so that the estate may be expeditiously settled and distributed to the legatees or heirs. [Citations.] In.addition, it provides an opportunity for amicable disposition of a claim prior to the commencement of any action and thus protects the estate from the expenses of needless litigation. [Citations.] The statutory requirement of presentation of a claim is not satisfied by service of summons and complaint in a lawsuit, although the pleadings do in their way provide an announcement of the amount and nature of the claim.”

Citing United States Gypsum Co. v. Shaffer (1936) 7 Cal.2d 454 [60 P.2d 998

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Bluebook (online)
39 Cal. App. 3d 232, 114 Cal. Rptr. 63, 1974 Cal. App. LEXIS 963, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wood-v-brown-calctapp-1974.