2005 Ohio 960 | Ohio Ct. App. | 2005
{¶ 2} In March 2004, appellant filed a complaint against the Archdiocese, the Archbishop, and Hopp alleging, inter alia, breach of fiduciary duty, negligence, respondeat superior, intentional infliction of emotional distress, corrupt activities, and punitive damages. Specifically, in appellant's first cause of action, appellant asserts that the Archdiocese breached its fiduciary duty when
Defendant Archdiocese became aware of Hopp's harmful conduct and/ormolestation of students, yet breached its fiduciary duty to Plaintiff byfailing to report Hopp's illegal and harmful conduct, by concealing suchconduct, by failing to take any action to investigate the details ofHopp's conduct, by failing to protect Plaintiff from harm, and by failingto identify Plaintiff as a victim in order to offer him aid andassistance, and by failing to warn and inform him of Hopp'spropensities.
{¶ 3} Complaint at ¶ 16. In appellant's second cause of action, appellant states that
Defendant Archdiocese became aware of Hopp's harmful conduct and/ormolestations of students, yet negligently failed to report Hopp's illegaland harmful conduct, concealed the conduct, failed to take any action toinvestigate the details of Hopp's conduct, failed to protect Plaintifffrom harm, failed to identify Plaintiff as a victim in order to offer himaid and assistance, and failed to warm and inform him of Hopp'spropensities.
{¶ 4} Id. at ¶ 20. In appellant's third cause of action, appellant claims that the Archdiocese and the Archbishop ratified Hopp's sexual abuse "through concealment of the conduct, the breach of the duties described [in the first two causes of action], and the facilitation by Defendants of further wrongdoing by Hopp." Id. at ¶ 24. In the appellant's fourth cause of action, appellant alleges that the conduct described in the first three counts of the complaint was "outrageous and has caused severe and emotional distress." Id. at ¶ 27.
{¶ 5} In his fifth cause of action the appellant further alleges that the Archdiocese, the Archbishop, and Hopp conducted an "enterprise" pursuant to R.C.
The persons controlling the affairs of the enterprise(s) have conductedand/or participated in, directly or indirectly, the affairs of theenterprise(s) through a pattern of corrupt activities or pattern orpractice of corrupt activity in violation of O.R.C. §
{¶ 6} Id. at ¶ 31. The complaint then proceeds to describe a detailed series of actions which the complaint alleges
constitutes a "pattern of corrupt activity" and violates R.C. Section
{¶ 7} Id. at ¶¶ 38. Finally, in appellant's sixth cause of action, appellant alleges that "[d]efendants' conduct was intentional, malicious and/or with reckless disregard for the welfare of the Plaintiff, justifying an award of punitive damages." Id. at ¶ 43.
{¶ 8} On April 13, 2004, the Archdiocese and the Archbishop filed a motion to dismiss appellant's complaint pursuant to Civ.R. 12 (B)(6), which was granted based on the trial court's ruling that appellant's action was barred by the statute of limitations. Appellant now appeals this decision alleging three assignments of error. For the sake of judicial economy, the three assignments of error will be discussed together.
The trial court erred in dismissing plaintiff's claims when thecomplaint adequately alleged that plaintiff's knowledge of the abuseprior to april 2002 was insufficient to apprise him of the possibilitythat the archdiocese or the archbishop had been negligent in failing toprotect him, in failing to prevent further harm or in breaching afiduciary duty to him. The trial court failed to apply the discovery rule and equitableestoppel in determining the alerting event for plaintiff's claims againstthe archdiocese, and failed to recognize that the statute of limitationsbar is a fact-sensative determination. The trial court erred in dismissing the corrupt activities act claimwhen the complaint alleged that the wrongful conduct did not terminateuntil april 2002.
{¶ 9} In O'Brien v. Univ. Community Tenants Union, Inc.
(1975),
{¶ 10} In the appeal before us, both parties agree that the Ohio Supreme Court's decision in Doe v. United Methodist Church (1994),
{¶ 11} The Doe case came before the Ohio Supreme Court on an appeal from a Civ.R. 12(B)(6)/statute of limitations dismissal, and the Court preliminarily held that because Doe was aware that he was sexually abused by Masten when he reached the age of majority, then there was sufficient notice to trigger the commencement of the applicable statute of limitations to bar his claim against Masten. Id. at 538-39. The Court stated,
a minor who is the victim of sexual abuse has one year from the date heor she reaches the age of majority to assert any claims against theperpetrator arising from the sexual abuse where the victim knows theidentity of the perpetrator and is fully aware of the fact that a batteryhas occurred.
{¶ 12} Id. at 539. Moreover, the Court ruled that because the allegations against Masten were time barred by the statute of limitations, then the derivative claims based on Masten's conduct against the church and the school district were barred as well pursuant to R.C.
{¶ 13} However, the Ohio Supreme Court also addressed the independent claims arising from the alleged negligence of the school district and First United in failing to take some action to protect Doe from Masten's conduct. Id. The Court noted that these claims were "based upon the church's and the school district's own acts or omissions and have nothing to do with any theory of derivative liability." Id. (emphasis in original). Regarding these independent claims, the Court stated:
Thus, we recognize that the facts and events which triggered thestatute of limitations on appellant's claims for sexual abuse did notnecessarily trigger the R.C.
Id. (internal citations omitted and emphasis added).
{¶ 14} Like Doe, in the instant case, appellant alleged in his complaint claims against the Archdiocese and the Archbishop that are independent of the claims against Hopp for the sexual abuse. These claims are based on the Archdiocese's and the Archbishop's own acts oromissions and have nothing to do with any theory of derivative liability. Id. Unlike Doe, however, appellant in this case has made a claim that his knowledge of the sexual abuse was insufficient to apprise him of the possibility that the church was negligent in failing to protect him from Hopp. Appellant's complaint states:
In April 2002, Plaintiff first learned that there were other victims ofHopp. Until that time, Plaintiff had no reason to believe that DefendantsArchdiocese and Pilarcyzk had ever known about Hopp's abuse. Until April2002, Plaintiff's knowledge of the abuse was insufficient to apprise himof the possibility that Defendants Archdiocese and Pilarcyzk werenegligent in failing to protect him, in failing to prevent further harmor in breaching a fiduciary duty to Plaintiff by failing to identify andassist him.
Complaint at ¶ 7 (emphasis added).
{¶ 15} In dismissing appellant's complaint in the present case, the trial court interpreted Doe as holding that, as a matter of law, "in sexual assault cases, the events triggering the limitations period for the abuse claim against the abuser also trigger the limitations period for negligence claims against the church." Decision and Order/Entry at p. 8. The trial court stated:
Plaintiff's allegations as to when he learned of Hopp's otherdiscipline are immaterial. The court in Doe . . . held that knowledge ofthe abuse itself and the identity of the clergy perpetrator is sufficientto apprise any claimants of the possibility of a claim against thechurch. The plaintiff's knowledge of the abuse, his knowledge of theperpetrator, and his knowledge that he was a priest of the Archdiocese,was sufficient to apprise him of the possibility that the Archdiocese mayhave been negligent.
Id. at 8-9.
{¶ 16} We disagree with the trial court's reading of Doe. The language quoted earlier from the Doe decision clearly indicates that only because the plaintiff in Doe "never claimed that his knowledge of the sexual abuse was insufficient to apprise him of the possibility that the church or the school district had been negligent in failing to protect him," that, under those circumstances, the Ohio Supreme Court was left toassume that knowledge of the abuse also triggered knowledge of the possibility of independent claims against the church in that case.1Doe, supra at 539.
{¶ 17} In the case before us, appellant's complaint specifically alleged insufficient knowledge to apprise him of the possibility that the Archdiocese and the Archbishop were negligent, thus falling squarely within the provisional circumstances outlined in Doe. In sum, we conclude that the appellant in this case has made the specific allegation, the absence of which was determinative in Doe, to wit: insufficiency of knowledge regarding the negligence of the Archdiocese until April 2002. As a result, if the allegations are true, the two-year statute of limitations in this case would not begin to run until that date, and the complaint is not subject to a Civ.R. 12(B)(6) dismissal. See Doe, supra at 539 (citing Browning v. Burt (1993),
{¶ 18} In appellant's third assignment of error, he alleges that he is not time barred by the five-year statute of limitations governing the Ohio Corrupt Activity Act. In response, the Archdiocese and the Archbishop argue that (1) appellant has failed to allege the appropriate elements necessary to prove an Ohio Corrupt Activities Act violation and (2) that the five-year statute of limitations has run because appellant was abused by Hopp more than five years ago. We disagree. For example, the complaint states:
The persons controlling the affairs of the enterprise(s) have conductedand/or participated in, directly or indirectly, the affairs of theenterprise(s) through a pattern of corrupt activities or pattern orpractice of corrupt activity in violation of O.R.C. §
Complaint at ¶¶ 31-39 (internal citations omitted).
{¶ 19} We have reviewed the complaint and reject the allegation of the Archdiocese and the Archbishop that the essential elements of the offense/cause of action were not sufficiently plead. See Universal Coachv. New York Transit Authority (1993),
{¶ 20} In sum, all three assignments of error are sustained, the judgment of the Common Pleas Court of Shelby County dismissing the complaint on a Civ.R. 12(B)(6) motion is reversed and the matter is remanded to that court for further proceedings according to law.
Judgment Reversed and Cause Remanded. Cupp and Bryant, JJ., concur.
Moreover, while we find the determination in Doe that Doe did not claim or argue that his knowledge was insufficient to apprise him of the possibility of negligence to be the key factor in the Doe decision on this issue, the Cramer court dismisses that language as dicta. Id. at ¶ 12 ("Although the discussion in Doe with respect to the plaintiff's discovery of the employer's culpability was obiter dicta, the appellants claim that it has been adopted in the holdings of Ohio's courts.").
Finally, the Cramer court, in our view, went beyond the scope of Civ.R. 12(B)(6) by ruling as a matter of law that appellants' knowledge that the Archdiocese had employed the priest and the fact that repeated assaults had all occurred on church property were sufficient facts to put the appellants "on notice that there was a possibility that the Archdiocese had been negligent." Id. at ¶ 16. We believe such a determination can only be made by the trier-of-fact and is not appropriately made via a motion to dismiss on the pleadings.