Woods v. Department of Motor Vehicles

211 Cal. App. 3d 1263, 259 Cal. Rptr. 885, 1989 Cal. App. LEXIS 676
CourtCalifornia Court of Appeal
DecidedJune 28, 1989
DocketD008020
StatusPublished
Cited by15 cases

This text of 211 Cal. App. 3d 1263 (Woods v. Department of Motor Vehicles) 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
Woods v. Department of Motor Vehicles, 211 Cal. App. 3d 1263, 259 Cal. Rptr. 885, 1989 Cal. App. LEXIS 676 (Cal. Ct. App. 1989).

Opinion

Opinion

BENKE, J.

Respondent California Department of Motor Vehicles (Department) suspended the driver’s license of appellant Lome Atherton Woods pursuant to Vehicle Code 1 section 16070 for failure to establish proof of financial responsibility. Woods appeals from a judgment denying a writ of mandate to set aside the suspension. We affirm.

Facts

On January 9, 1987, Woods was involved in a motorcycle/automobile accident. The Department notified Woods on February 9, 1987, that his driver’s license would be suspended pursuant to section 16070 for failing to prove financial responsibility. 2 The notice stated that if Woods requested a hearing before February 24, 1987, the suspension would be stayed until further notice.

On February 20, 1987, Woods requested a formal hearing. Although section 16075, subdivision (b), provides for a hearing within 30 days of a driver’s demand, Woods’s hearing was not held until May 14, 1987. On June 15, 1987, the Department issued an order of suspension for one year pursuant to section 16070. The order allowed Woods to obtain a restricted privilege permitting him to drive to and from work if he filed proof of financial responsibility and paid a $250 penalty fee.

Woods petitioned the superior court for a peremptory writ of mandate to compel the Department to set aside the suspension. He claimed the hearing was not held within 30 days of his request as required by section 16075, subdivision (b), and further, that the hearing officer’s ruling was not supported by the weight of the evidence. The superior court denied the writ. This appeal followed.

*1266 Issue on Appeal

The sole issue raised by Woods on this appeal is whether the Department’s failure to comply with the time requirements of section 16075, subdivision (b), invalidates his suspension. We conclude it does not.

Discussion

California’s Financial Responsibility Law is codified in section 16000 et seq. Article 2 of the Financial Responsibility Law requires drivers of motor vehicles to be self-insured, to have insurance or to be otherwise financially responsible for damages caused by accidents. Under section 16070, subdivision (b), whenever the Department receives an accident report which alleges that any of the drivers involved in the accident were not properly insured, the Department must mail a notice of intent to suspend the driver’s license. The suspension notice must inform the driver of his right to a hearing under section 16075. (Ibid.)

Section 16075, subdivision (b), states: “The department shall conduct the hearing upon demand of the driver or owner, within 30 days of such demand, to determine the applicability of this chapter to such driver or owner. ...” (Italics added.) Woods argues the word “shall” renders section 16075, subdivision (b), mandatory and that his suspension must be set aside because the hearing was not held within 30 days.

While Woods is correct in concluding the word “shall” connotes administrative action is required, it does not necessarily follow that the result of a failure to act within the legislatively prescribed time period is nullification of the action or loss of jurisdiction.

The problem posed by Woods’s appeal is discussed at some length by the Supreme Court in People v. McGee (1977) 19 Cal.3d 948, 958-959 [140 Cal.Rptr. 657, 568 P.2d 382], where the court observes: “Although the parties to this action have utilized the mandatory-directory terminology in their briefs, both parties, sharing the confusion exhibited in some past judicial decisions, have improperly equated the mandatory-directory duality with the linguistically similar, but analytically distinct, ‘mandatory-permissive’ dichotomy. As we explained recently in Morris v. County of Marin (1977) 18 Cal.3d 901, 908 [136 Cal.Rptr. 251, 559 P.2d 606], in the latter context ‘the term “mandatory” refers to an obligatory [procedure] which a governmental entity is required to [follow] as opposed to a permissive [procedure] which a governmental entity may [follow] or not as it chooses. By contrast, the “directory” or “mandatory” designation does not refer to whether a particular statutory requirement is “permissive” or “obligatory,” *1267 but instead simply denotes whether the failure to comply with a particular procedural step will or will not have the effect of invalidating the governmental action to which the procedural requirement relates. [Citations.]’

“Although the mandatory-directory and obligatory-permissive dichotomies are thus analytically distinct, in some instances there is an obvious relationship between the two. If, for example, a statute simply embodies a permissive procedure with which a governmental entity may or may not comply as it chooses, the entity’s failure to comply will generally not invalidate the entity’s subsequent action. The converse of this proposition is not always true, however, for as we observed in Morris, ‘[m]any statutory provisions which are “mandatory” in the obligatory sense are accorded only “directory” effect.’ [Citation.]”

Significantly our Supreme Court has held that “generally, requirements relating to the time within which an act must be done are directory rather than mandatory or jurisdictional, unless a contrary intent is clearly expressed. (See, e.g., Garrison v. Rourke (1948) 32 Cal.2d 430, 435-436 [196 P.2d 884]; Pulcifer v. County of Alameda (1946) 29 Cal.2d 258, 262 [175 P.2d 1]; Francis v. Superior Court (1935) 3 Cal.2d 19, 27 [43 P.2d 300]; see also Radovich v. Agricultural Labor Relations Bd. (1977) 72 Cal.App.3d 36, 47 [140 Cal.Rptr. 24]; Anderson v. Pittenger (1961) 197 Cal.App.2d 188, 194 [17 Cal.Rptr. 54]; cf. City and County of San Francisco v. Cooper (1975) 13 Cal.3d 898, 931 [120 Cal.Rptr. 707, 534 P.2d 403].) In ascertaining probable intent, California courts have expressed a variety of tests. In some cases focus has been directed at the likely consequences of holding a particular time limitation mandatory, in an attempt to ascertain whether those consequences would defeat or promote the purpose of the enactment. (Morris, supra, at pp. 909-910; Pulcifer, supra, at p. 262; Francis, supra, at pp. 28-29.) Other cases have suggested that a time limitation is deemed merely directory ‘unless a consequence or penalty is provided for failure to do the act within the time commanded.’ (Garrison, supra, at pp. 435-436; see

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Bluebook (online)
211 Cal. App. 3d 1263, 259 Cal. Rptr. 885, 1989 Cal. App. LEXIS 676, Counsel Stack Legal Research, https://law.counselstack.com/opinion/woods-v-department-of-motor-vehicles-calctapp-1989.