DEPARTMENT OF TRANSPORTATION v. JARVIE et al.
A14A0887
Court of Appeals of Georgia
NOVEMBER 17, 2014
329 Ga. App. 681 | 766 SE2d 94
Thе Georgia Department of Transportation (“DOT“) appeals from the denial of its motion to dismiss a lawsuit filed by the surviving children of William Jarvie, who died as a passenger in a collision with a construction vehicle on Interstate 95. The DOT cоntends that the trial court erred by ruling that it was not entitled to sovereign immunity, arguing that the licensing powers exception to the waiver of immunity under the Georgia Tort Claims Act (“GTCA“) prohibits liability for the DOT‘s approval of a construction methodology proposed and designed by an independent contractor. For the reasons that follow, we reverse.
“We review de novo a trial court‘s denial of a motion to dismiss based on sovereign immunity grounds, which is a matter of law. However, factual findings by the trial court in support of its legal decision are sustained if there is evidence authorizing them.”1
The plaintiffs allege that in April 2009, Jarvie was a passenger in a vehicle traveling in the left lane on Interstate 95 when the vehicle collided with a dump truck entering the highway from the median at the material storage area. The dump truck was driven by Jeffrey Wallace, an operator working for Flo Jo, a subcontractor of Seaboard. The plaintiffs sued Wallace, Flo Jo, Seaboard, and the DOT for each party‘s role in causing Jarviе‘s death. With respect to the DOT, the plaintiffs allege that the DOT negligently designed, constructed, and maintained the construction vehicle access and egress to the interstate median. In particular, the complaint alleges thаt the stockpile site lacked certain safety features such as acceleration or deceleration lanes for construction vehicles, dust control measures, proper warning signs, adequate field monitoring, and appropriate operating hours.
After filing an answer and conducting discovery, the DOT moved to dismiss the complaint on sovereign immunity grounds. Following a hearing, the trial court denied the motion in a one-sentence order, giving rise to this aрpeal.2
“Under Georgia law . . . sovereign immunity has constitutional status, and that immunity may be waived only by an act of the General Assembly or by the Constitution itself.”3 “[A]ny waiver of sovereign immunity must be established by the party seeking to benefit from that waiver,”4 and the plaintiffs here rely on the GTCA.5
In the GTCA, the Gеneral Assembly has waived the State‘s immunity “for the torts of [S]tate officers and employees while acting within the scope of their official duties or employment . . . [but] only to the extent and in the manner provided in [the GTCA].”6 Pertinent to this case, the GTCA contains the following exceptions to the waiver of immunity:
The [S]tate shall have no liability for losses resulting from:
. . .
(8) Inspection powers or functions, including failure to make an inspection or making an inadequate or negligent inspection of any property other than property owned by the state to determine whether the property complies with or violates any law, regulation, code, or ordinance or contains a hazard to health or safety;
(9) Licensing powers or functions, including, but not limited to, the issuance, denial, suspension, or revocation of or the failure or refusal to issue, deny, suspend, or revoke any permit, license, certificate, approval, order, or similar authorization; [or]
(10) The plan or design for construction of or improvement to highways, roads, streets, bridges, or other public works where such plan or design is prepared in substantial compliance with generally accepted engineering or design standards in
effect at the time of preparation of the plan or design[.]7
Here, the plaintiffs’ theory of the DOT‘s liability is, in essence, that the DOT negligently allowed Seaboard to design, install, and use a dangerous stockpile area in the interstate median. As an initial matter, we note that the GTCA‘s waiver of immunity does not include torts committed by independent contractors,8 so the DOT is not subject to suit for the conduct of its contractors, such as negligently designing the stockpile area‘s traffic plan or negligently driving the truck whiсh caused Jarvie‘s death. The DOT‘s role here amounted to approving Seaboard‘s request to stockpile the material in the median and monitoring compliance with the conditions of that approval.
With respect tо approving the stockpile area and traffic plan,9 this case is analogous to Reidling v. City of Gainesville.10 In that case, the DOT designed a parkway construction project and oversaw its construction by an independent contractor.11 The contractor responsible for disposal of excess fill material asked the DOT if it could dispose of fill material on other property owned by the city. The request was ultimately approved, and a large amount of fill material was deposited on thе property. After some time, a severe rain storm inundated the area with rain, and the newly elevated disposal site no longer functioned as a flood plain for a nearby creek, allegedly causing flooding on residential property. The property owners sued the DOT. This Court held that immunity was waived for a negligent design claim because there was evidence the DOT failed to meet generally accepted engineering and design standards when it designed
the project without any disposal site.12 But the Court also held that, pursuant to
Here, the plaintiffs’ claim is predicated on the stockpile area itself, not the design of the project as a whole. The plaintiffs’ expert witness, a former DOT project engineer, reviewed the project and stated that he had no criticisms of the overall design plans on the project. Instead, his critique focused on the stockpile plan itself. With respect to that plan, it is undisputed that Seaboard (not the DOT) was responsible for the design and construction of the stockpile plan. The stockpile location was proposed by Seaboard after the design process to save time and to “hеlp coordinate the heavy rail movements which will be required to receive this amount of [road construction] material.” Thus, the DOT‘s role was limited to reviewing and approving the stockpile location and traffic plan designed and proposed by Seaboard. Accordingly, pursuant to
We emphasize that our conclusion is premised on the fact that the plaintiffs’ claims are not based on a failure to detect during a project inspection a hidden defect or a deviation from approved plans or regulatory standards. Rather, the plaintiffs’ claims arise from the obvious risks associated with the decision to locate the stockpile in the median. “Nomenclature notwithstanding, the substance of a claim must be considered, and a party cannot do indirectly what the law does not allow to be done directly.”17 The plаintiffs seek to recover for the DOT‘s decision to allow stockpiling in the median. Whether that was a good or bad decision, the DOT‘s conduct in this case falls within the exception to the immunity waiver in the GTCA.18
Judgment reversed. Miller and Dillard, JJ., concur.
DECIDED NOVEMBER 17, 2014.
Samuel S. Olens, Attorney General, Kathleеn M. Pacious, Deputy Attorney General, Loretta L. Pinkston, Robert L. Bunner, Senior Assistant Attorneys General, for appellant.
Savage & Turner, Robert B. Turner, Conner Law Group, David M. Conner, Southeast Law, LLC, Ashleigh R. Madison, Brown, Readdick, Bumgartner, Carter, Strickland & Watkins, Richard A. Brown, for appellees.
