Wood v. Johnson

264 N.E.2d 260, 130 Ill. App. 2d 552, 1970 Ill. App. LEXIS 996
CourtAppellate Court of Illinois
DecidedNovember 16, 1970
Docket70-42
StatusPublished
Cited by3 cases

This text of 264 N.E.2d 260 (Wood v. Johnson) is published on Counsel Stack Legal Research, covering Appellate Court of Illinois primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Wood v. Johnson, 264 N.E.2d 260, 130 Ill. App. 2d 552, 1970 Ill. App. LEXIS 996 (Ill. Ct. App. 1970).

Opinion

Mr. JUSTICE ALLOY

delivered the opinion of the court:

Plaintiff John William Wood filed a complaint against defendant Joseph M. Johnson, individually and as Executor of the Estate of William R. Johnson, deceased, alleging that he was entitled to a broker’s commission in the amount of $162,500. The complaint alleged that plaintiff, as a broker, had been employed to procure a buyer for the “Chevy-Chase Country Club property” owned by defendant; that plaintiff had presented a purchaser who was accepted by defendant; and that a valid written contract was entered into for the purchase price of $3,250,000. It was alleged that defendant agreed to pay a broker’s commission to plaintiff of five per cent (5%) of the purchase price and that although plaintiff had demanded payment, no payment was made. The transaction involving the sale of the premises occurred in December 1963.

The action from which this appeal stems was initiated on November 13, 1968. Defendant filed an answer, appearing pro se. On May 28, 1969, following notice, the cause was set for trial before a jury on July 21, 1969. Defendant was served with an additional notice of such setting on July 10, 1969. On such date plaintiff announced he was ready for trial and defendant asserted that he was not. Defendant orally stated that he was unable to go to trial at the time; that the original parties involved in the case had been underway with other proceedings, not involved directly as between the parties with respect to the commission, for a number of years prior to that time in other proceedings in the circuit court of Lake County. Defendant, who was an attorney, but who was not practicing, orally requested a continuance. Plaintiff’s attorney stated, that, following notice, he had summoned his client who had come in from Texas for the purpose of the trial of the cause. In the course of the discussion, the court stated that defendant, in making his request for a continuance, was not “following the rules”, and that he had not presented anything to the court which justified a continuance. There was some discussion between defendant and the court as to what if anything was required to justify a continuance. It is not necessary that we detail this discussion in view of our determination of this cause. The court denied the request for continuance. Thereafter, defendant stated he would not participate in the trial which the court set for 1:30 P.M. the same afternoon.

The failure of the defendant to appear and proceed at the trial resulted in a default and a formal “prove up” of the obligation before the jury, followed by a directed verdict for $162,500 as against the defendant.

The defendant in the course of the discussion with the trial court, stated that he would gladly stand trial that day if he could get his witnesses but that they were preoccupied with business or vacations. No affidavit or testimony was submitted in support of defendant’s motion. As we have indicated the continuance request was denied. At the hearing conducted in the afternoon before the jury, plaintiff testified that he lived in Midland, Texas, and came to Illinois for the trial; that he was a licensed real estate broker in Illinois and had been since 1930. Defendant in the cause lives in Lake County. Plaintiff testified that he had been employed to procure a buyer for the Chevy-Chase Country Club and had done extensive work in connection with such employment. He referred to an offer he had received for $3,000,000 for the property, which was rejected, and a subsequent offer of $3,250,000, which was accepted (after plaintiff had worked for over two years on the sale of the property). The record shows that after the offer for $3,250,000 was presented, defendant requested and received five credit reports as to the purchaser, and after the defendant had received such reports he accepted the offer of purchase and signed the contract.

Following entry of judgment in this cause, defendant filed a petition to vacate the judgment. The petition recites that an action was filed by defendant on November 25, 1964, against the purchaser for default on the December 9, 1963, contract, upon which the plaintiff contends a commission is payable. A judgment order was entered on January 28, 1965, finding that the purchaser was in default. Plaintiff in this action, was not a party to that lawsuit. It was also recited, in the petition, that another action was filed by defendant Johnson against the individual purchaser in the 1963 contract and as against plaintiff. That action alleged a conspiracy as between said defendants. The judgment order entered in that case, on October 7, 1968, found that there was no conspiracy; that defendant Johnson had requested and received credit reports as to the purchaser and judgment was entered in favor of plaintiff and the purchaser in that action.

Defendant’s affidavit indicated that he was admitted to practice law in Illinois in 1933 but that his business had been that of an investment broker and counselor and that defendant was unfamiliar with the practice of law. Defendant was shown to be a successful businessman engaged in business for more than 35 years. While he maintained an office and was referred to as an attorney, he did not practice actively. It was shown that defendant elected not to engaged an attorney to assist him at any time prior to the entry of the judgment in this cause, although he had been represented by attorneys in the previous proceedings referred to in the petition to vacate. The petition to vacate the decree was denied.

On appeal in this cause, defendant contends that the court committed reversible error in denying defendant a continuance. Defendant asserts that it is not necessary that defendant establish a meritorious defense or facts relating to a defense in the action or show reasonable excuse to justify setting aside a default, and that the entry of judgment in the cause before us was a denial of substantial justice to defendant. Defendant agrees that the motion for continuance was not made in accordance with Supreme Court Rule 231. (Ill. Rev. Stat. 1969, ch. 110A, par. 231.) It is also established of record that the cause was set for trial pursuant to notice and that thereafter special notice of the setting was given to defendant. No written motion or affidavit for continuance was presented.

As this court had indicated at considerable length in Brewer v. Martin, 96 Ill.App.2d 54, 238 N.E.2d 162, a motion to set aside a default is addressed to the sound discretion of the court. We pointed out in that case that the principles as expressed in Widicus v. Southwestern Electric Cooperative, Inc., 26 Ill.App.2d 102, 167 N.E.2d 799, and also supported in Kehrer v. Kehrer, 28 IlI.App.2d 296, 172 N.E.2d 239, and Lynch v. Illinois Hospital Services, Inc., 38 Ill.App.2d 470, 187 N.E.2d 330, were approved by the courts of this State. We pointed out there that the basic concept with which the courts are concerned is that of attaining justice through the exercise of fairness to both parties. As we emphasized in that case, the court can and should examine into such considerations as the reason for failure to present a timely defense, and, also, whether a reasonable basis for a meritorious defense in fact exists.

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Cite This Page — Counsel Stack

Bluebook (online)
264 N.E.2d 260, 130 Ill. App. 2d 552, 1970 Ill. App. LEXIS 996, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wood-v-johnson-illappct-1970.