Zifcak v. Monroe

249 A.2d 893, 105 R.I. 155, 1969 R.I. LEXIS 731
CourtSupreme Court of Rhode Island
DecidedFebruary 13, 1969
Docket440-Appeal
StatusPublished
Cited by8 cases

This text of 249 A.2d 893 (Zifcak v. Monroe) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Zifcak v. Monroe, 249 A.2d 893, 105 R.I. 155, 1969 R.I. LEXIS 731 (R.I. 1969).

Opinion

Kelleher, J.

This is a suit by a real estate broker for a commission allegedly due him from the defendants. A jury waived trial in this case was held before a justice of the superior court. At the conclusion of the presentation of the plaintiff’s evidence, the defendants without either resting or waiving their right to present evidence moved for a dismissal of the complaint and that a judgment on the merits be entered in their favor. 1 The motion was granted and the *156 plaintiff is before us on his appeal from the judgment which was thereupon entered for the defendants.

Jesse H. and Donald T. Munroe, the defendants, are brothers. Jesse lives in North Smithfield, Rhode Island. Donald is a resident of Gloucester, Massachusetts. In 1962 the Monroe brothers were joint owners of a large parcel of real estate located in Burrillville. Their tract consisted of 20 acres with a portion thereof abutting on a large body of water called Spring Lake. Jesse testified that he was authorized to act for his brother in any negotiations relating to the sale of their property.

Tile plaintiff is a duly licensed real estate broker. He has been actively engaged in this occupation for over 30 years. On July 7, 1962, plaintiff prepared a brokerage agreement on one of his printed forms whereby he was hired to sell defendants’ property. The portions of this document which are pertinent to this appeal read as follows:

“To ANTHONY P. ZIFCAK, S.E.C.
Date July 7th 1962
“For and in consideration of One Dollar ($1.00) the receipt of which is acknowledged I hereby appoint you exclusive agent to make sale of the real property herein described on reverse side for the price of $35,000.00 and you are hereby authorized to accept a deposit to be applied on the purchase price, and to excute a binding contract for sale on my behalf.
■ -.“This contract to continue until terminated by me giving unto you as agent 15 days notice in writing.” 2
/s/' Jessé H. Monroe
/s/ Donald T. Monroe
-By-J. H: Monroe

*157 While the instrument speaks of appointing Zifcak as the exclusive agent, a reading of the entire document makes it clear that plaintiff was given ,the exclusive right to sel 3 defendants’ premises. The plaintiff’s office record shows that during the balance of 1962 and the entire year of 1963 plaintiff’s sales personnel showed the Spring Lake property to prospective purchasers a grand total of five times. In August 1962, a Mr. Denicamp, who worked for the Woonsocket branch of the Y.M.C.A., looked at the property. During the spring of 1963, plaintiff’s employee brought interested individuals to this location on four separate occasions;

On January 10, 1964, defendant Jesse sent a letter to plaintiff, the relevant part of which reads thus:

“This is to inform you that I wish to terminate on January 31, 1964 our contract dated July 7, 1962.
“This notice more than covers the agreement of fifteen days notice in writing.
“Yours truly
/s/ Jesse H. Monroe”

The plaintiff acknowledged the receipt of this communica^ tion.

On February 6, 1964, another employee of the Woonsocket “Y” telephoned plaintiff’s office. He informed the salesman on duty that his organization was looking for a, new site upon which it could conduct its day camp activities. The salesman showed the employee about four different locations, including the Monroes’ 20 acres.

*158 A year and a half later, in September 1965, a committee composed of certain members of the “Y’s” board of directors went to Burrillville and inspected defendants’ land together with the numerous buildings located thereon. Although a saleslady employed by plaintiff was present as the committee toured the property, the record shows that all negotiations relative to the eventual sale were conducted by officers of the Y.M.C.A. with defendant Jesse.

In May 1966, plaintiff, who at one time had been a director of the Y.M.O.A., learned that defendants were selling their realty to the “Y” and he commenced this litigation by attaching the property. The actual sale, however, was not consummated until September 1966. The record shows that the “Y” paid defendants $43,000 for their property.

In finding for both defendant brothers, the trial justice held that Jesse’s 1964 letter effectively revoked plaintiff’s authority to act on behalf of himself or his brother Donald. The trial court further found that the revocation was made in good faith without any intention of depriving plaintiff of a commission.

In our opinion the superior court was correct in rejecting plaintiff’s suit. While plaintiff originally maintained that both brothers were liable for his commission, in oral argument he conceded that Jesse’s letter terminated the broker's authority to act for this defendant, but contended that Jesse’s failure to add anything to his signature which would show that he was also signing this communication for his Massachusetts brother is fatal to Donald’s defense and that Donald remains liable for the six per cent commission set forth in the July 1962 agreement, to wit, $2,100. We disagree.

The sole and decisive issue before us is whether or not Jesse’s letter effectively revoked plaintiff’s authority to act for either brother.

Our determination of the legal efficacy of the notice sent *159 by Jesse can be made from an examination of the stipulation in the exclusive right of sale agreement which required that the broker be given 15 days notice of the termination of his agency. The language used there is patently ambiguous. It states that t'he agreement is to continue until “terminated by me” giving the broker the requisite written notice. It is well settled that if the terms of an agreement are doubtful and uncertain, they shall be construed most strongly against the author thereof. Connors v. Dagiel, 88 R. I. 113, 143 A.2d 297; Russolino v. A. F. Rotelli & Sons, Inc., 85 R. I. 160, 128 A.2d 337. Since Zifcak prepared the brokerage agreement, it shall be interpreted against him.

A study of the record makes it obvious that plaintiff has had long experience in his chosen field of endeavor. It was within his power, if he so desired, to expressly provide that his exclusive right to sell the Spring Lake site could not be revoked until both brothers notified him of their desire to sever the relationship then existing between the parties.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Rosciti v. Liberty Mutual Insurance
734 F. Supp. 2d 248 (D. Rhode Island, 2010)
Nationwide Life Insurance v. Steiner
722 F. Supp. 2d 179 (D. Rhode Island, 2010)
Russell v. Salve Regina College
649 F. Supp. 391 (D. Rhode Island, 1986)
MacKnight v. Pansey
412 A.2d 236 (Supreme Court of Rhode Island, 1980)
Fryzel v. Domestic Credit Corp.
385 A.2d 663 (Supreme Court of Rhode Island, 1978)
Foltz v. Begnoche
565 P.2d 592 (Supreme Court of Kansas, 1977)
Elliott Leases Cars, Inc. v. Quigley
373 A.2d 810 (Supreme Court of Rhode Island, 1977)
AC BEALS COMPANY v. Rhode Island Hospital
292 A.2d 865 (Supreme Court of Rhode Island, 1972)

Cite This Page — Counsel Stack

Bluebook (online)
249 A.2d 893, 105 R.I. 155, 1969 R.I. LEXIS 731, Counsel Stack Legal Research, https://law.counselstack.com/opinion/zifcak-v-monroe-ri-1969.