Bradley v. Tattnall Bank
Bradley v. Tattnall Bank
Opinion of the Court
Levy J. Spivey agreed to purchase a 95% interest in the San-Reid Apartments from Theron L. Rogers. He also agreed to assume the outstanding mortgage on the apartments to the Farmers Home Administration (FHA). Following the signing of their sales agreement on December 31, 1979, they entered into a partnership to manage and operate the apartments. They also entered into an employment contract with Jesse Bradley to perform “other acts in connection with the partnership agreement.” Spivey borrowed $135,000 from the Tattnall Bank to finance the purchase and that sum was deposited in the partnership account in the Tattnall Bank. The promissory note of Spivey was guaranteed by Rogers and Bradley. In addition the note was secured by “DSD covering San-Reid Apartments dated 12/31/79” and “BSSA covering accounts receivable, furniture and fixtures of San-Reid Apartments dated 12/31/79.” Rental receipts from the San-Reid Apartments were deposited in the partnership account.
The sales contract between Spivey and Rogers also provided that it was subject to approval by the FHA and was to expire 60 days from the date of execution “12/31/79.” In June 1980, the FHA notified the parties that the application had been denied. They prepared a second application and submitted it to the FHA on June 24, 1980. On September 29, 1980, Rogers informed Spivey that the agreement was terminated. Spivey filed an action for specific performance (80-285) and the trial court granted summary judgment to Rogers. The Supreme Court affirmed. Spivey v. Rogers, 249 Ga. 179 (288 SE2d 555).
The bank filed a motion to strike or dismiss the third, fourth, fifth and sixth defenses, the counterclaim, and third-party complaint of Spivey. The bank also moved for summary judgment. After hearing, on August 23, 1982, Judge Harvey denied the bank’s motion for summary judgment, the motion to strike the third-party complaint, and reserved ruling on the dismissal of the defenses of Spivey. The bank’s motion to strike Spivey’s counterclaim was granted. On June 23, 1983, a different judge, Judge Findley, ruled that “anything in any previous order of this court pertaining to any motion or pleading filed by either party in this case (81-224) is hereby set aside or denied, as the holding here demands.” He gave judgment for the bank against all defendants, jointly and severally, on the note, plus accrued interest and attorney fees. An auditor was appointed to apportion and dispense the sums from the registry of the court to each defendant. Defendants Spivey and Bradley appeal. Held:
1. Error is enumerated in the ruling of the second trial judge granting summary judgment for plaintiff, where the record had not been expanded following the first trial judge’s denial of the motion. Defendants argue that the ruling of the first trial judge on the bank’s motions must be taken as “the law of the case.” The “law of the case” has been defined as a controlling legal rule established by a previous decision between the same parties in the same case. See generally 21 CJS 330, Courts, § 195 (a). However, it is a rule of practice, and is distinguishable from res judicata and stare decisis. Id. Legal proceed
Inasmuch as our Civil Practice Act was patterned after the Federal Rules of Civil Procedure we can look to federal court decisions for guidance. A collection of cases expressing different views on this issue was analyzed in Miss. Power Co. v. Peabody Coal Co., 69 FRD 558, 562 (1976), and they concluded that while a judge should be cautious about overruling prior orders of another judge in the same case “nevertheless, he may do so in the exercise of sound discretion and particularly if he is convinced that such action is dictated by the interests of justice.” Accord United States v. Koenig, 290 F2d 166, 172 (5th Cir. 1961), affd. sub nom. DiBella v. United States, 369 U. S. 121 (82 SC 654, 7 LE2d 614). Professor Moore agrees that under Rule 56 (a) and (d), and Rule 42 (b), the trial court exercises a broad authority to dispose of cases in stages and these decisions are interlocutory in character, and until entry of judgment they remain subject to change at any time. “The doctrine of the law of the case does not limit the power of the court in this respect.” 1B Moore’s Federal Practice 124, § 0.404 [4-1]. He recommends the practice of treating each successive decision as establishing the law of the case and de
We have found two federal cases directly on point as to this issue. In Dictograph Prods. Co. v. Sonotone Corp., 230 F2d 131 (2d Cir. 1956), the court held that “[a] district judge’s denial of a defendant’s motion for summary judgment did not become ‘law of the case’ so as to preclude another judge thereafter from entering summary judgment . . . notwithstanding general practice of one judge to defer to rule of the first judge as a matter of mutual respect, since there is no imperative duty to follow [the] earlier ruling.” The Ninth Circuit also found that where a second judge to whom a case had been assigned after the first judge had denied summary judgment, was convinced that an error of law had been committed, there was no abuse of discretion in his reversing the first trial judge. Castner v. First Nat. Bank, 278 F2d 376, supra. Accord United States v. Koenig, 290 F2d 166, 172, supra, affd. sub nom. DiBella v. United States, 369 U. S. 121, supra; Commerce Oil Refining Corp. v. Miner, 303 F2d 125 (5) (1st Cir. 1962); LeRoy v. Sabena Belgian World Airlines, 344 F2d 266 (3) (2d Cir. 1965); Dessar v. Bank of America &c., 353 F2d 468 (2) (9th Cir. 1965); Burns v. Mass. Inst. of Technology, 394 F2d 416 (1) (2) & (3) (1st Cir. 1968); United States v. Desert Gold Mining Co., 433 F2d 713, 715, supra; United States v. Teresi, 484 F2d 894, 899, supra; United States v. Diapulse Corp. of America, 514 F2d 1097 (2d Cir. 1975), cert. den. 423 U. S. 838. We find that the second trial judge did not abuse his discretion in reconsidering the motions ruled upon by the first trial judge.
“In the instant case, the defendant in his pleadings or otherwise gave no indication as to the manner in which petitioner ‘failed to
“As written, Code Ann. § 81A-156 [now OCGA § 9-11-56] places the burden on the moving party to show that no material issues of fact exist. The burden of proof can be shifted, however, when a prima facie showing is made that the moving party is entitled to judgment as a matter of law. The opposite party must come forward with rebuttal evidence at that time, or suffer judgment against him . . .
“The purpose of the Summary Judgment Act, as we have interpreted it, would be defeated if a party opposing a motion for summary judgment was permitted to defeat the motion by suggesting so vague a defense as to prevent the movant or the court from ascertaining the theory behind the defense. One opposing the motion must present the essence of his case or else suffer judgment against him. As stated in the Act itself, a response ‘must set forth specific facts showing that there is a genuine issue for trial.’ ” 239 Ga. at 180.
We interpret Meade as holding that although it is permissible to allege defenses in a conclusory format, where a plaintiff files a motion to strike such defenses, or files a motion for summary judgment, and evidence is offered on the issue, if the plaintiff establishes a prima facie right to summary judgment, a defendant may not rest upon conclusory allegations or defenses in his pleadings, but must come forward with facts showing a genuine issue remains for trial. (See § 9-11-56 (e), which provides, in pertinent part: “When a motion for summary judgment is made and supported as provided in this Code section, an adverse party may not rest upon the mere allegations or denials of his pleading, but his response, by affidavits or as otherwise provided in this Code section, must set forth specific facts showing that there is a genuine issue for trial. If he does not so respond, summary judgment, if appropriate, shall be entered against him.”)
Accordingly, plaintiff’s evidence shows a prima facie entitlement to judgment which was uncontradicted by any evidence of the defendants. Under Meade v. Heimanson, 239 Ga. at 177, 178, supra, where plaintiff’s evidence is in this posture on motion for summary judgment, “an adverse party may not rest upon the mere allegations or denials of his pleadings, but his response, by affidavits or otherwise, must set forth specific facts showing that there is a genuine issue for trial . . . even though the petition [of defendant] fairly bristles with serious allegations, if when given notice and opportunity to produce affidavits by persons competent to testify on their own knowledge to the truth of such allegations, the pleader does nothing to contradict the affidavits of the movant . . . The opposite party must come forward with rebuttal evidence at that time, or suffer judgment against him . . . The purpose of the . . . Act . . . would be defeated if a party opposing a motion for summary judgment was permitted to defeat the motion by suggesting so vague a defense as to prevent the movant or the court from ascertaining the theory behind the defense. One opposing the motion must present the essence of his case or else suffer judgment against him.” 239 Ga. at 178-180. This is consistent with our Commercial Code, OCGA § 11-3-307 (2), which states: “When signatures are admitted or established, production of the instrument entitles a holder to recover on it unless the defendant establishes a defense.” (Emphasis supplied.)
3. The trial court did not err in denying Spivey’s Motion for Partial Summary Judgment as to the issue of whether the promissory note which was the basis for this action was in compliance with the Federal Consumer Credit Protection Act and the Federal Truth in Lending Regulations. Spivey has never articulated the factual basis for such allegation. A movant must support his motion by facts presented in proper form. “As in any summary judgment, this is accomplished by a supporting affidavit, made on personal knowledge, setting forth facts which would be admissible as evidence in the trial of the case, showing that there is no genuine issue on these facts.” Dickson v. Dickson, 238 Ga. 672, 674 (235 SE2d 479). (Emphasis supplied.) “ ‘Ultimate or conclusory facts and conclusions of law . . . cannot be utilized on a summary judgment motion.’ ” Morton v. Stewart, 153 Ga. App. 636, 643 (266 SE2d 230). Spivey’s affidavit is replete with conclusions of law and fact. He recites hearsay as fact and the tenor of his affidavit is argumentative. His affidavit of “fact” in support of his motion states: “The note sued upon does not comply with the disclosure requirements of the Federal Consumer Credit Protection Act nor the Federal Truth in Lending Regulations, (Regulation Z), 12 CFR, Section 226, etc.” This is a conclusion of law and not a statement of fact. See VII Wigmore 81, § 1952; McCormick on Evid. 26, § 12; Gulf Oil Corp. v. Stanfield, 213 Ga. 436, 438 (99 SE2d 209); Morningside-Lenox Park Assn. v. State Hwy. Dept., 224 Ga. 344, 347
4. The holdings in Divisions 1 and 2 above are equally applicable to the enumerations of error made by the defendant Bradley.
5. Plaintiff’s Motion to Supplement Record on appeal is denied.
Judgments affirmed.
Concurring Opinion
concurring specially.
I concur in the decision of the majority to affirm the grant of summary judgment in favor of the appellee in the above-styled cases. I also agree with the result reached by the majority in Division 1 of the opinion to the effect that the law of the case rule did not prevent the subsequent grant of summary judgment after the earlier denial thereof. However, I believe that such result is mandated by the clear language of that portion of OCGA § 9-11-60 (h) which provides that “[t]he law of the case rule is abolished; but generally judgments and orders shall not be set aside or modified without just cause and, in setting aside or otherwise modifying judgments and orders, the court shall consider whether rights have vested thereunder and whether or not innocent parties would be injured thereby . . .” In this case, the first trial judge reserved a decision on the appellee’s motion to strike certain defenses set forth in appellant’s pleadings. The trial judge subsequently considering the case entered an order striking these defenses. After these defenses had been stricken, the second trial judge then granted summary judgment. Thus, I believe that the record adequately shows compliance of the trial court’s ruling with the criteria of OCGA § 9-11-60 (h).
Reference
- Full Case Name
- Bradley v. Tattnall Bank; Spivey v. Tattnall Bank
- Cited By
- 36 cases
- Status
- Published