After an earlier interlocutory appeal, 1 Derek Canas’s action against the Board of Regents of the University System of Georgia d/b/a Medical College of Georgia Hospitals and Clinics (“the Board”) and MCG Health, Inc. (“MCGHI”) remains pending in the Superior Court of Glynn County. This appeal concerns the trial court’s order denying the Board’s motion to dismiss Canas’s administrative failure to warn claim. 2 In the appealed order, the trial court determined that the Board is not immune from suit on the basis of sovereign immunity. The Board appeals, contending that Canas’s claim must *506 be dismissed, either because his claim accrued before January 1, 1991 (such that the Georgia Tort Claims Act does not apply), and he failed to show that the Board waived sovereign immunity by purchasing liability insurance, or, alternatively, because he failed to satisfy the ante litem notice requirements of the Act. As explained below, we affirm.
1. As Canas has moved to dismiss this interlocutory appeal based on the Board’s failure to comply with the interlocutory appeal procedures set forth in OCGA § 5-6-34 (b), our first consideration is whether we have jurisdiction over this appeal. 3 In its notice of appeal and its response to Canas’s motion to dismiss this appeal, the Board contends that this is an authorized appeal from a “collateral order.”
“A necessary prerequisite for [a direct] appeal ... is that the judgment or order appealed from be final or otherwise appealable.” (Footnote omitted.) Appellate Handbook for Georgia Lawyers, § 5-1, p. 100 (2007-2008 ed.).
4
A judgment is directly appealable as a final judgment “where the case is no longer pending in the court below, except as provided in Code Section 5-6-35 [ (concerning cases requiring an application for appeal)].” OCGA § 5-6-34 (a) (1). A trial court’s order is a final judgment within the meaning of OCGA § 5-6-34 (a) (1) “where it leaves no issues remaining to be resolved, constitutes the court’s final ruling on the merits of the action, and leaves the parties with no further recourse in the trial court.” (Citation and punctuation omitted.)
Miller v. Miller,
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A small class of decisions, however, are excepted from the final judgment rule by the collateral order doctrine.
Coopers & Lybrand v. Livesay,
2. The Board contends that, if Canas’s failure to warn claim arose before January 1, 1991, he must show that the Board waived its sovereign immunity under the law as it existed before the adoption of the Georgia Tort Claims Act, OCGA § 50-21-20 et seq., 9 and that he failed to do so. 10 Pretermitting whether Canas estab *508 lished that the Board waived its sovereign immunity under that body of law, the Board’s argument fails because Canas’s failure to warn claim accrued after January 1, 1991. OCGA § 50-21-27 (a) expressly provides that, under the Act, “[a] tort claim or cause of action shall be deemed to have accrued on the date the loss was or should have been discovered.” 11 It is undisputed that Canas did not discover his loss until April 2001, when he was diagnosed with AIDS. 12 Accordingly, Canas must show that the Board waived its sovereign immunity under the Act, not under the preexisting law.
3. The Board contends that, if (as we have concluded in Division 2, supra) Canas’s failure to warn claim accrued after January 1, 1991, such that the Georgia Tort Claims Act applies,
13
his claim must be dismissed because he failed to comply strictly with the ante litem notice requirements of the Act.
14
Specifically, the Board contends
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that Canas’s ante litem notice failed to mention the failure to warn claim, failed to state the time or place of the occurrence that gave rise to the loss, and failed to state the acts or omissions that caused the loss. “We review de novo a trial court’s ruling on a motion to dismiss based on sovereign immunity grounds, which is a matter of law. Factual findings are sustained if there is evidence supporting them, and the burden of proof is on the party seeking the waiver of immunity.” (Punctuation and footnote omitted.)
Savage v. E. R. Snell Contractor,
The record shows that, within 12 months of the date Canas discovered his loss, he provided notice to the Risk Management Division of the Department of Administrative Services and to the Board that he intended to seek recovery of “all damages properly recoverable under Georgia law flowing from the negligence of” the Board, MCGHI, Dr. Sharon Kaminer, and possibly other health care providers who acted as Board employees or agents. In terms of the time and place of the transaction or occurrence out of which the loss arose,
15
Canas’s notice referenced the continuous period of his treatment at the Board’s hospitals and clinics through February 2001. In terms of the acts or omissions which caused the loss,
16
Canas’s notice referenced the failure of Kaminer and others to take steps that would have led to an earlier detection of Canas’s HIV infection/AIDS. The record shows that Canas did not have access to much of the information that supported his failure to warn claim until the Board responded to discovery requests after Canas filed his lawsuit. In requiring that notice be “to the extent of the claimant’s knowledge and belief and as may be practicable under the circumstances,”
17
the Act’s ante litem notice provisions “clearly contemplate the possibility that a claimant may have imperfect information regarding various facets of [his] claim at the time [his] notice is submitted.”
Cummings v. Ga. Dept. of Juvenile Justice,
Judgment affirmed.
Notes
See
Canas v. Al-Jabi,
Canas claims that the Board failed to discharge a duty to notify him that his transfusions with untested blood and blood products at the Medical College of Georgia Hospital in January 1985 might have exposed him to HIV and to advise him to be tested. See
Canas v. Al-Jabi,
See also
Waye v. Continental Special Risks,
See OCGA §§ 5-6-34 (a); 9-11-54 (b); 9-11-56 (h).
See, e.g.,
State u. Ware,
See also
Britt u. State,
See also
Cameron v. Lang,
Cf.
State ofGa. v. Gober,
See OCGA § 50-21-27 (a) (the Georgia Tort Claims Act “shall not apply to tort claims or causes of action which accrued prior to January 1, 1991”);
Curtis v. Bd. of Regents &c. ofGa.,
Before it was amended in 1991, see Ga. L. 1990, p. 2435, § 1, the Georgia Constitution *508 provided that, with regard to “actions for the recovery of damages,’’ the State waived its sovereign immunity to the extent that the State had obtained liability insurance protection for such claims. See Ga. Const, of 1983, Art. I, Sec. II, Par. IX (Ga. L. 1982, p. 2546, § 1). The Board contends that Canas failed to show that the Board had waived sovereign immunity with regard to his failure to warn claim by purchasing liability insurance before January 1, 1991, which would cover his claim.
But see
Bd. of Regents &c. ofGa. v. Oglesby,
See
Kaminer v. Canas,
Since the 1991 amendment, Ga. L. 1990, p. 2435, § 1, the Georgia Constitution provides:
Except as specifically provided in this Paragraph, sovereign immunity extends to the state and all of its departments and agencies. The sovereign immunity of the state and its departments and agencies can only be waived by an Act of the General Assembly which specifically provides that sovereign immunity is thereby waived and the extent of such waiver.
Ga. Const, of 1983, Art. I, Sec. II, Par. IX (e) (1991). With regard to torts, the Constitution provides:
The General Assembly may waive the state’s sovereign immunity from suit by enacting a State Tort Claims Act, in which the General Assembly may provide by law for procedures for the making, handling, and disposition of actions or claims against the state and its departments, agencies, officers, and employees, upon such terms and subject to such conditions and limitations as the General Assembly may provide.
Ga. Const, of 1983, Art. I, Sec. II, Par. IX (a) (1991). See
Curtis v. Bd. of Regents,
The Act requires a claimant to give written notice of the claim, within 12 months of the date the loss was discovered or should have been discovered, to the Risk Management Division of the Department of Administrative Services and to the state government entity alleged to have committed the tort. OCGA § 50-21-26 (a) (1), (2). A notice of claim under OCGA § 50-21-26
shall state, to the extent of the claimant’s knowledge and belief and as may be practicable under the circumstances, the following:
*509 (A) The name of the state government entity, the acts or omissions of which are asserted as the basis of the claim;
(B) The time of the transaction or occurrence out of which the loss arose;
(C) The place of the transaction or occurrence;
(D) The nature of the loss suffered;
(E) The amount of the loss claimed; and
(F) The acts or omissions which caused the loss.
OCGA § 50-21-26 (a) (5).
OCGA § 50-21-26 (a) (5) (B), (C).
OCGA § 50-21-26 (a) (5) (F).
OCGA § 50-21-26 (a) (5).
See
Cummings v. Ga. Dept, of Juvenile Justice,
