Jones v. Blanton
Jones v. Blanton
Opinion
[EDITORS' NOTE: THIS PAGE CONTAINS HEADNOTES. HEADNOTES ARE NOT AN OFFICIAL PRODUCT OF THE COURT, THEREFORE THEY ARE NOT DISPLAYED.] *Page 884
The plaintiff, Edna Pauline Jones, as executrix of Ola Edna Wood's estate, appeals from a summary judgment for the defendant, Fred Blanton, Jr. We affirm.
Jones sued under the Alabama Legal Services Liability Act (ALSLA), §
Jones then claimed that Blanton had exceeded his authority as her attorney in negotiating the settlement, that she had never authorized him to enter into such an agreement, and, therefore, that she should not be bound by that agreement. In Jones v.Stedman,
*Page 885 Jones, 595 So.2d at 1355-56 (emphasis added)."Just prior to trial, the parties' attorneys announced to the judge that a settlement had been reached. Jones's attorney went on to state the precise terms of the settlement agreement; the judge then asked the parties if they were in agreement. Counsel for both sides stated that the two sides agreed to the terms stated by Jones's attorney. The evidence shows that Jones was present during these events. . . .
"Jones sat silently while her attorney told the judge that Jones wished to settle her case. Jones remained silent, though capable of hearing and speaking, while her attorney recited in detail the terms of the agreement. We therefore assume, based on this evidence, which we consider sufficient for such a finding, that the trial court found that Jones's attorney had the authority to act on her behalf in agreeing to settle her case, and we affirm."
In this case, Jones, as executrix of the Wood estate, is suing Blanton because of what she calls "willful and wrongful actions, failures, omissions, breaches of duty, breaches of conduct, insult, malice, neglect, and other stated wrongs" and "violation of the standard of care applicable to an attorney at law." These actions and this violation, she claims, proximately caused a loss to the estate. The ALSLA states, "There shall be only one form and cause of action against legal service providers in courts in the State of Alabama and it shall be known as the legal service liability action and shall have the meaning as defined herein." §
The sole basis for this action, as Jones admits in her brief, is her contention that Blanton entered into the settlement without proper authority. Because this Court has previously affirmed a trial court's judgment that was based on a finding that Blanton did have authority to settle the will contest, Blanton argues that the present action against him should be barred by the doctrine of collateral estoppel. Blanton further argues that even if there had been any malpractice on his part, the estate's cause of action accrued when the settlement agreement was entered into, i.e., on November 7, 1990. Therefore, he argues, because this action was not commenced until August 16, 1993, more than two years and nine months after the cause of action accrued, it is barred by the two-year statute of limitations for legal service liability actions, §
However, letters testamentary were not granted to Jones for the Wood estate until August 12, 1992. Jones argues that the running of the statutory period was tolled until that date, which was only one year before she filed this action. The date on which the statutory period should have commenced to run, she says, was the date on which it was first possible for the estate to assert its rights through Jones, its appointed representative. In reply to Blanton's argument that the issues raised in this case have already been decided against her, Jones offers only the bare allegation that the requirements for collateral estoppel have not been met.
Collateral estoppel would seem, on a first look, to be appropriate in this case, because the trial court in Jonesv. Stedman, supra, found that Blanton did have the authority to settle the will contest and this Court affirmed the trial court's judgment, relying on that finding. However, Blanton was not a party to that action, and Alabama follows the rule first set out by this Court in Wheeler v. FirstAlabama Bank of Birmingham,
Lott v. Toomey,"Collateral estoppel requires (1) an issue identical to one litigated in the prior suit; (2) that the issue [have] been actually litigated in the prior suit; and (3) that the resolution of that issue have been necessary to the prior judgment. In addition, the parties must have been the same in both suits. Where these elements are present, the parties are barred from relitigating issues actually litigated in a prior suit."
This additional requirement, that the parties be the same in both actions, is known as the doctrine of mutuality of estoppel. It is a judicially created doctrine declaring that unless both parties in a second action are bound by the judgment in a previous case, neither party in the second action should be bound, i.e., a nonparty as to the first action may not use the prior judgment as determinative of the same issue in the second action. See, Blonder-Tongue Laboratories,Inc. v. University of Illinois Foundation,
Furthermore, we would be rash to abandon the mutuality requirement in this case, and to do so would not determine the outcome here. The first action was between Jones, as the proponent of Wood's will, and several contestants. The trial court found in that case that as between Jones and the will contestants — who were third parties as to any dispute between Jones and Blanton — Blanton had the authority to bind Jones to an agreement. Blanton's authority to bind Jones in that first case was derived from hisapparent authority as her attorney. However, it would be the rare client who had the knowledge and confidence to stand up in a courtroom and declare that her lawyer did not have the authority to act on her behalf. There was never a finding that Jones had expressly given Blanton the authority to settle the dispute. The issue of whether Blanton had the express authority to settle the agreement would have been for the finder of fact, had Jones filed this action within the statutory period.
"(a) All legal service liability actions against a legal service provider must be *Page 887 commenced within two years after the act or omission or failure giving rise to the claim, and not afterwards. . . .
"(b) Subsection (a) of this section shall be subject to all existing provisions of law relating to the computation of statutory periods of limitations for the commencement of actions, namely, Sections
6-2-1 ,6-2-2 ,6-2-3 ,6-2-5 ,6-2-6 ,6-2-8 ,6-2-9 ,6-2-10 ,6-2-13 ,6-2-15 ,6-2-16 ,6-2-17 ,6-2-30 , and6-2-39 . . . ."
§
The act that gave rise to this claim occurred on November 7, 1990, when in the will contest action Blanton read and agreed to the proposed settlement. From that moment, the estate was bound to pay over the agreed-to sum. This complaint was not filed until August 16, 1993, more than two years and nine months after the act complained of occurred.
Jones points to our holding that "the time limits in the [ALSLA] are to be measured from the date of the accrual of a cause of action and not from the date of the occurrence of the act or omission." Michael v. Beasley,
Jones argues that the running of the period was tolled until she could maintain an action in the name of the estate. We agree that until the will was admitted to probate, the estate had no legal existence, and, therefore, could not maintain an action. Jones would have us go further and hold that the statutory period was tolled until she was granted letters testamentary on August 12, 1992. That, she argues, was the date from which the statutory period began to run, because, until then, she was not entitled to maintain an action in the name of the estate, and, therefore, she says, until then the cause of action could not have "accrued."
However, the real party in interest in this case is the estate, not Jones. "Every action shall be prosecuted in the name of the real party in interest." Rule 17(a), Ala.R.Civ.P. It is irrelevant when Jones was entitled to prosecute this action. The date that counts was the date on which theEstate of Wood was entitled to do so. The will was probated on March 26, 1991; that was still more than two years before Jones filed this action. Jones's assertion that the estate could not maintain an action until letters testamentary were granted is incorrect. Section
"When, in any proceeding in any court, the estate of a deceased person must be represented, and there is no executor or administrator of such estate, or he is interested adversely thereto, it shall be the duty of the court to appoint an administrator ad litem of such estate for the particular proceeding, without bond, whenever the facts rendering such appointment necessary shall appear in the record of such case or shall be made known to the court by the affidavit of any person interested therein."
§
Jones, as a "person interested therein," could have submitted an affidavit to the court showing the need to appoint an administrator ad litem to pursue the present action before the statutory period had run.
None of those sections listed in §
Because this claim was not filed within the time allowed for the commencement of a legal service liability action, the trial court's summary judgment in favor of Blanton is affirmed.
AFFIRMED.
HORNSBY, C.J., and KENNEDY, J., concur.
ALMON and COOK, JJ., concur in the result.
Reference
- Full Case Name
- Edna Pauline Jones, as of the Estate of Ola Edna Wood v. Fred Blanton, Jr.
- Cited By
- 27 cases
- Status
- Published