COUNTY OF SANTA CLARA, Petitioner, v. THE SUPERIOR COURT OF SANTA CLARA COUNTY, Respondent; GASTON DELEERSNYDER et al., Real Parties in Interest.
S.F. No. 22689
In Bank
Apr. 15, 1971
545 | 4 Cal. 3d 545
Hoge, Fenton, Jones & Appel and Charles H. Brock for Petitioner.
No appearance for Respondent.
Magana, Olney, Levy & Cathcart, Daniel C. Cathcart and William M. Thon for Real Parties in Interest.
OPINION
TOBRINER, J.—The County of Santa Clara seeks prohibition to restrain the Superior Court of Santa Clara County from further proceedings in a wrongful death action against the county by plaintiffs Gaston and Germaine Deleersnyder, the parents of decedent Konrad Deleersnyder. Plaintiffs did not file a claim with the county within 100 days of the death, as required under
When Konrad Deleersnyder suffered severe injury in an automobile accident on March 4, 1960, he was taken to the county hospital. There, according to plaintiffs, county employees negligently treated Konrad, injuring his spinal cord and causing permanent quadriplegia and other disorders. Upon denial of his claim against the county, Konrad filed suit for personal injuries. After extensive pretrial discovery, the action came to trial in February 1967. During the course of the trial, Konrad died. The death certificate indicates that chronic systemic conditions stemming from the 1960 spinal cord injury caused death.
On June 23, 1967, about 130 days after the death, plaintiffs filed a request with the county for leave to present a late claim. When the county denied the request plaintiffs petitioned the superior court for relief under
In support of their petition plaintiffs submitted a declaration of Daniel C. Cathcart, who was then serving as plaintiffs’ attorney and who had previously acted as Konrad‘s attorney. It stated that “no formal claim was filed with the County of Santa Clara by claimants until it could be determined that the claimants’ decedent died of injuries proximately received at the defendant‘s hand and further determined whether or not the claimants wished to pursue their claim and cause of action. . . .” In opposition to the motion Charles Brock, attorney for the county, declared that on March 23, 1967, Mr. Cathcart sent him a letter which stated that “there undoubtedly would be a medical correlation between the quadriplegia and the boy‘s untimely death,” that the death certificate was filed on February 20, 1967, and that Mr. Cathcart procured a copy of the certificate on April 21, 1967.
At the conclusion of oral argument before the trial court, Mr. Cathcart stated: “It is not in my declaration but if I might amend it or I will be so happy to testify, the mother of this young boy nursed this young man five days plus being with him day and night. When he died her life changed. You can imagine the emotional trauma involved and litigation was hardly—I don‘t believe I represented to Mr. Brock the action might be abandoned. When my client died in the middle of the trial I was emotionally involved, also.” The judge replied, “Yes, the matter is submitted.”
The superior court granted plaintiff‘s motion, stating that “here the lateness is less than 30 days, no prejudice is involved and the Court feels that the neglect was reasonably incurred.”
1. The order of the superior court was not in excess of its jurisdiction and cannot be reviewed on a writ of prohibition.
The leading case of Abelleira v. District Court of Appeal (1941) 17 Cal.2d 280 [109 P.2d 942, 132 A.L.R. 715], pronounced the rule that prohibition may be invoked only to restrain an act in excess of jurisdiction. One year later this court, in Redlands etc. Sch. Dist. v. Superior Court (1942) 20 Cal.2d 348 [125 P.2d 490], faced the problem of applying that decision to a case involving noncompliance with a claims requirement. There, the plaintiff brought a personal injury action in a justice court against the school district, but failed to file the claim that was then required under section 2.801 of the School Code. The justice court nevertheless gave judgment for plaintiff; the superior court, on trial de novo, affirmed. Since no appeal would lie, defendants brought certiorari.
Refusing to issue the requested writ, this court reasoned that: “Not every violation of a statute constitutes excess of jurisdiction on the part of a court. The doctrine relied upon by petitioners applies only where the clear purpose of the statute is to restrict or limit the power of the court to act and where the effective enforcement of such restrictions requires the use of the extraordinary writs of certiorari or prohibition. Where, as here, the statute does not restrict the power of the court but merely sets up a condition precedent to the establishment of plaintiff‘s cause of action, we think the violation of the statutory provision constitutes an error of law rather than excess of jurisdiction.” (P. 360.)
Decreeing in Farrell v. County of Placer (1944) 23 Cal.2d 624 [145 P.2d 570, 153 A.L.R. 323], that a county could be estopped from asserting a claims limitation, we stated that compliance with such a statute does not involve jurisdiction. The county argued that “the claim statute is the measure of the power of the governmental agency in paying the torts claims involved, and hence any deviation from that procedure cannot be
Prior to Redlands, the decision in Bekins V. & S. Co. v. State of California (1933) 135 Cal.App. 738 [28 P.2d 61], had held that a court lacked the jurisdiction to entertain an action for tax refund until the claimant presented his claim to the state board of control. In 1961 the court in Spence v. State of California, 198 Cal.App.2d 332, 335-336 [18 Cal.Rptr. 302], passing upon a claim against the state, held that compliance with claims requirements did not involve jurisdiction. Quoting Witkin (1 Cal. Procedure (1954) p. 322), the court noted that “it would seem that [Redlands] overrules the Bekins case by implication, for no relevant distinction can be drawn between a suit against the state (Bekins) and against a school district (Redlands).”
Thus, as of 1963, court decisions had clearly settled that a court which erroneously entertained an action against a governmental entity, despite noncompliance with claims requirements, committed only an error of law; it did not act in excess of jurisdiction.1 Although the statutes respecting claims and actions against public entities were extensively revised in 1963, nothing in the language of the 1963 legislation, nor of the Law Revision Commission study and recommendations which preceded it, suggests any intention to alter this rule. The only case discussing the issue under the new act, Boyer v. County of Contra Costa (1965) 235 Cal.App.2d 111 [45 Cal.Rptr. 58], relies on Redlands to arrive at the conclusion that filing
Appellate review on writ of prohibition both delays trial and increases litigation expense (cf. Oceanside Union School Dist. v. Superior Court (1962) 58 Cal.2d 180, 185 fn. 4 [23 Cal.Rptr. 375, 373 P.2d 439]); yet, in view of the discretion given the trial judge and the principles of review outlined subsequently in this opinion, only in rare cases could an appellate court reverse a trial court order granting relief under
2. The superior court did not abuse its discretion in granting plaintiffs’ petition for relief.
Although we have held in this opinion that a writ of prohibition
The cases have held that the trial court exercises broad discretion in granting or denying petitions for relief under
In granting relief under
In response to plaintiffs’ offer to amend, the superior court replied,
We likewise invoke the presumption that the superior court acted regularly (see, e.g., Stephens v. Baker & Baker Roofing Co. (1955) 130 Cal.App.2d 765, 774 [280 P.2d 39]); thus, we must presume that the court did not ignore plaintiffs’ offer to amend, but ruled on that matter before taking the petition for relief under submission. Finally, we observe that it is defendant here who questions the ruling of the trial court and thus assumes the burden of showing error; the presentation of a record which, although uncertain or ambiguous, does not demonstrate error does not meet that burden. (See Conner v. Rose (1963) 219 Cal.App.2d 327, 329 [32 Cal.Rptr. 919].)
We conclude, then, that the superior court accepted plaintiffs’ offer to amend, and that their emotional trauma is part of the record on which the court based its order. Although the court did not require plaintiffs’ counsel to file his amendment in written form and to detail the facts of the trauma, the superior court had observed Konrad and his parents during the trial of Konrad‘s suit, and did not require a detailed declaration to recall the emotional impact of Konrad‘s death in the midst of that trial.
The argument has been raised that the plaintiffs’ excuse for late filing pertains to subjective medical matters and must be supported by actual testimony.
The argument proceeds that regardless of plaintiffs’ emotional condition, plaintiffs’ attorney could have filed the wrongful death claim. The attorney, however, should not so act without the authorization of his clients. The record speaks of delay until plaintiffs decided whether to pursue their claim, an indecision caused by their emotional trauma; it does not speak of any delay by plaintiffs’ attorney once his clients had resolved to prosecute their claim.
The total delay incurred by plaintiffs was only about 30 days, less than that encountered in most reported decisions denying relief.9 Plaintiffs offered a reasonable and credible explanation of that delay. Defendant claims no prejudice. The superior court found that plaintiffs filed their claim within a reasonable time after accrual of the cause of action, and defendant does not challenge that finding. Under these circumstances, we cannot find that the superior court abused its discretion in granting relief.
The alternative writ of prohibition is discharged and the petition for a peremptory writ of prohibition is denied.
Mosk, Acting C. J., McComb, J., Peters, J., and Sullivan, J., concurred.
BURKE, J.—I dissent. Although a claimant may establish excusable neglect under
The record shows that plaintiffs’ son died on February 15, 1967, that both plaintiffs and their attorney had actual knowledge of the facts underlying their claim no later than April 21, but that they delayed until June 23, before attempting to file that claim. (The 100-day statutory period expired in May 1967.) The majority point out that plaintiffs’ attorney, at the close of the hearing below, offered to amend his declaration to state that plaintiffs’ delay resulted from “emotional trauma” resulting from their son‘s death. That bare offer of proof, which was impliedly rejected by the court, did not constitute evidence sufficient to support a finding of excusable neglect. Moreover, even had the offer been accepted, the declaration of an attorney attesting to the emotional trauma of his clients, and thus pertaining to highly subjective medical matters requiring actual testimony (either by experts or by plaintiffs themselves) to appraise, would have been of no evidentiary value. Finally, plaintiffs fail to explain why their own emotional difficulties prevented their attorney from acting with reasonable diligence on their behalf. That attorney had filed the previous claim for personal injuries to plaintiffs’ son, was familiar with claims procedure, and had actual knowledge of the facts supporting the wrongful death claim. His lack of diligence cannot be explained or excused on the ground of emotional trauma.
Since plaintiffs failed to carry their burden of proving excusable neglect, the fact that the county was not prejudiced by the late claim is immaterial. (
Although, as the majority hold, prohibition does not ordinarily lie in these cases, the merits have been briefed and no purpose would be served in remanding the action to the trial court. Accordingly, I would grant the peremptory writ of prohibition.
On May 13, 1971, the opinion was modified to read as printed above.
