HUNTER v. A-1 BONDING SERVICE, INC.
No. 43613
Court of Appeals of Georgia
September 20, 1968
Rehearing Denied October 11, 1968
118 Ga. App. 498
Webb, Parker & Ferguson, Paul Webb, Jr., Turner Paschal, Smith, Gardner, Wiggins & Geer, Peter Zach Geer, for appellee.
EBERHARDT, Judge. Although the complaint was amended after the motion to dismiss was made and urged, the amendment contained nothing in the way of allegations different from those already in the complaint or changing the nature of the claim presented. It is thus immaterial that there was no renewal of the motion after the amendment.
It is somewhat difficult for us to adjust our thinking relative to the requirements as to pleadings under the Civil Practice Act, simply because of the deep impressions made by many years of experience under the Code pleading. But there is a difference, and we think it appears here.
There can be no question that prior to the effective date of the Civil Practice Act, the sustaining of the motion to dismiss would have been correct. Ford Motor Co. v. Williams, 219 Ga. 505 (134 SE2d 32). But under our ruling in Harper v. DeFreitas, 117 Ga. App. 236 (1) (160 SE2d 260), it seems to us that the petition was sufficient to withstand the assault of the motion.
As was pointed out in the recent case of Byrd v. Ford Motor Co., 118 Ga. App. 333 (163 SE2d 327), the Civil Practice Act does away with “issue pleading” and substitutes “notice pleading.” Consequently, if the complaint can be said to give notice of any claim which the plaintiff may have against the defendant that could be sustained by proper proof it should not be dismissed. Issues are made and pointed up by discovery, on pre-trial and in the pre-trial order, on motions for summary judgment, or other available techniques, and by the evidence itself, unless in instances when some matter is required to be specially pleaded. See
Whether the conduct of the defendant‘s servants was beyond the scope of their authority or was an independent personal matter on their part is a legitimate issue that may be raised. But since issues are not ordinarily raised by pleadings under the Civil Practice Act, that is to be done by some of the other available methods—not by a motion to dismiss, for the complaint does give the defendant notice of a claim against it because of the killing of the plaintiff‘s husband by the defendant‘s servants. A construction of the complaint resulting in a holding that the allegation that the servants, after going to plaintiff‘s home, left, armed themselves with pistols and returned for the purpose of killing plaintiff‘s husband discloses that the servants were then on a personal mission can be arrived at only by construing the petition against the pleader, instead of in his favor as the Act requires, and decides an issue which should be otherwise resolved.
This allegation does go far to indicate that the servants may have been on a personal mission, and on motion for summary judgment or upon a trial of the case it may stand sufficiently as an admission to justify an adverse verdict and judgment unless it has been withdrawn, or the evidence clearly demonstrates the contrary to be true.
However, it may appear upon a motion for summary judgment, or upon a trial of the case, from the evidence submitted, that the servants were still acting within their authority or upon instructions from the master when they returned to accomplish their mission. That the purpose of their return may have been partly personal, resulting from an argument that had developed,
The situation is somewhat analogous to a wrongful assault on a passenger by a railroad conductor (Mason v. Nashville, C. & St. L. R. Co., 135 Ga. 741 (70 SE 225, 33 LRA (NS) 280); Louisville &c. R. Co. v. Hudson, 10 Ga. App. 169 (73 SE 30)), or upon a third party (Savannah Electric Co. v. Wheeler, 128 Ga. 550 (58 SE 38, 10 LRA (NS) 1176)). However, we find no quarrel with the principle of law relative to the liability of the master for an unauthorized personal act of the servant, as cited in the dissents. What we deal with here is not the substantive law, but a procedural matter under the Civil Practice Act.
Judgment reversed. Bell, P. J., Jordan, P. J., Hall and Pannell, JJ., concur. Felton, C. J., Deen, Quillian and Whitman, JJ., dissent.
FELTON, Chief Judge, dissenting. If the majority view is correct, one is led to wonder why the Georgia CPA, fashioned after the Federal rules, provided in
The CPA did not wipe out or destroy the law in Georgia to the effect that a party to an action is bound by material allegations made in his pleadings so long as they remain in his pleadings. Rogers Lumber Co. v. Smith, 91 Ga. App. 632, 634 (86 SE2d 640); Carter v. Gen. Finance &c. Corp., 96 Ga. App. 423, 426 (2) (100 SE2d 99); Community Loan &c. Co. v. Bachmann-Uxbridge Worsted Corp., 96 Ga. App. 586, 588 (2) (100 SE2d 602); Grigsby v. Fleming, 96 Ga. App. 664, 665 (1) (101 SE2d 217); Head v. Lee, 203 Ga. 191, 203 (8) (45 SE2d 666); Mitchell v. Arnall, 203 Ga. 384, 386 (8) (47 SE2d 258); Corr v. Corr, 213 Ga. 699, 701 (100 SE2d 922); Brittain v. Reid, 220 Ga. 794, 797 (2) (141 SE2d 903); plus citations in all the above cases. So, at the time the motion to dismiss in this case was granted, the plaintiff could not prove a case of liability against the defendant. There follow some examples of holdings from Federal jurisdictions which illustrate the proposition that a claim is subject to dismissal when the statement of a claim is deficient in spite of the “notice pleading,” etc., arguments. In Weinberg v. Sinclair Refining Co., 48 FSupp. 203 (DCNY, 1942), it was held that
The agents could not be found to be on their master‘s business under the allegations now contained in the petition. “Every person shall be liable for torts committed by . . . his servant, by his command or in the prosecution and within the scope of his business, whether the same shall be by negligence or voluntary.”
It is impossible to determine from the complaint exactly what the scope of the master‘s business was, since this is not alleged. Even assuming that the defendant‘s agents were acting within the scope of their master‘s business in their initial visit to the decedent‘s premises, however, as is alleged and which must be
Paragraph 8 of the complaint alleges that the defendant‘s servants or agents engaged in an “argument and dispute” with the plaintiff‘s decedent on their initial visit, “and thereafter left said home of Herman Charles Hunter and armed themselves with weapons, and returned to said home of Herman Charles Hunter for the purpose of killing him.” (Emphasis supplied.)
Since, as has been said, it is not alleged that this wilful tort was committed by the command of the defendant corporation, the only other way by which the defendant might be held liable (other than by his express or implied consent, which is not alleged) would be to accept as controlling the general allegation that the act of premeditated murder was done by the agents within the scope of their authority. While such a general averment of agency is ordinarily sufficient, it must yield to specific allegations which negative the general allegation, which then becomes merely a conclusion of the pleader. Plumer v. Southern Bell T. & T. Co., 58 Ga. App. 622 (199 SE 353); Heath v. Atlanta Beer Distributing Co., 56 Ga. App. 494 (193 SE 73).
Hence, murder could not be within the scope of the business of any legally formed corporation, either under its charter or otherwise. Had the complaint alleged to the effect that the decedent was killed while the agents were engaged in the conduct of their master‘s business, a cause of action might have been stated. By alleging a purpose which could not have been within the scope of the defendant corporation‘s lawful business, however, the complaint shows as a matter of law that the liability, if any, for the tort was that of the individual employees, rather than of their corporate employer. Therefore, the court did not err in
I am authorized to state that Judges Deen, Quillian and Whitman concur in the foregoing dissent.
DEEN, Judge, dissenting. I concur in the dissent of Chief Judge Felton and for additional reasons I further dissent.
Chief Judge Benjamin Harvey Hill vividly outlines what I believe to be the applicable law in the case of Louisville &c. R. Co. v. Hudson, 10 Ga. App. 169, 171 (73 SE 30): “The courts generally have found some difficulty in holding the master liable for a homicide intentionally committed by his servant, in the absence of any express command on the part of the master, and the majority of adjudications seem to favor the theory that in the absence of express authority the master is not liable in damages for a deliberate, intentional, and wilful homicide committed by his servant. 1 Thomp. Neg. § 571. But, whatever may be the adjudications in other jurisdictions on this subject, it is settled by the statute law of this State that the master would be liable where the homicide was committed by the servant in the prosecution and within the scope of the master‘s business, whether it was actually committed by the command of the master, or was the result of negligence on the part of the servant, or his voluntary act.
“The master is not an insurer against wrongs perpetrated by his servants. It would be unjust to hold him responsible for these wrongs, unless they were done by the servant while he was in the performance of the master‘s business and was acting within the scope of his employment. The rule of liability in the case is based upon the old maxim, ‘Qui facit per alium facit per se,’ and if the servant, instead of doing that which he is employed to do, does something which he is not employed to do at all, and the act is not properly within the scope of his employment, it can not be said that the master does the act by his servant. Mr. Thompson, in his work on Negligence (section 526), lays down the test by which to determine whether a servant acts within the scope of his employment. ‘The test is not that the act of the servant was done during the existence of the employment, —that is to say, during the time covered by the employment, —but
“The decision of this court in the case just cited would seem to control the case now under adjudication, for the facts of the two cases are not so different as to afford substantial room for any different application of the rule of law. The question here to be decided, under this rule of law, is whether the killing of Hudson by Jackson was done by Jackson in the prosecution or furtherance of his employer‘s business, or whether in the killing Jackson turned aside from his master‘s business and committed an act wholly disconnected therefrom, and for the consequences of which he, and not his master, would be liable. While repeated adjudications in analogous cases leave the solution of this question not entirely free from doubt, still it seems to us, restricting our view to the facts of this transaction, and not looking beyond, or permitting ourselves to become perplexed in the maze of contradictory rulings, that we should adopt, as the most reasonable conclusion, the view that when Jackson committed this homicide he had turned aside for that purpose from his master‘s business and was engaged in his own personal matter. Jackson made against Hudson, an implied accusation of improper conduct. Hudson resented this accusation by in effect denouncing Jackson as a liar, and Jackson immediately ran to his box on the engine, secured his pistol, and instantly shot and killed Hudson. He shot Hudson, because Hudson
“The cases relied upon by counsel for the defendant in error —Savannah Electric Co. v. Wheeler, 128 Ga. 550 (58 SE 38, 10 LRA (NS) 1176), and Mason v. Nashville, Chattanooga & St. Louis Ry., 135 Ga. 741 (70 SE 225, 33 LRA (NS) 280)— are distinguished by their facts from the present case. Both of these were cases of passengers, where the rule of extraordinary diligence applies, and the master is under a duty through his agents of personally protecting the passenger from any insult either by one of his own employees or by third persons. In the Wheeler case the conductor drew a pistol and fired at a passenger, missing the passenger and killing an innocent woman passing on a public street through which the car was running, because the passenger had asked the conductor for his change. The Supreme Court held that this tort of the conductor was within the scope of his business in collecting fares. In the Mason case the passenger was drunk and disorderly, and used foul and abusive language to the conductor, which brought on a
“In explanation of the rule, this court long ago held, as the result of the authorities examined and cited, that when the servant is in the performance of his master‘s orders or authorized acts, and in the doing thereof conducts himself so negligently or unskilfully that injury results to another, then the doctrine of respondeat superior applies, and the master will be liable in an action on the case; but that, for the acts of the agent wilfully and intentionally done without the command and authorization of the master, the servant, and not the master, is liable; and that the rule has no application when the servant actually wills and intends the injury, or steps aside from the purpose of the agency committed to him, and inflicts an independent wrong.” (Emphasis supplied.) Goodloe v. Memphis & Charleston R. Co., 107 Ala. 233, 240 (18 S 166, 29 LRA 729, 54 ASR 67). “There can be no agency in the perpetration of a crime, misdemeanor, or any unlawful act, and all parties participating therein are principals.” 2 CJS 1039, 1040, Agency, § 12. “An agent cannot be said to be acting within the scope of his agency if the act complained of if done by the master would be unlawful.” Porter v. South Penn Oil Co., 125 W. Va. 361, 364 (24 SE2d 330). Parry v. Davison-Paxon Co., 87 Ga. App. 51, 55 (73 SE2d 59), holds: “The allegations of the petition negate the essential fact necessary to hold the master liable for the tortious acts of the servant, for the allegations clearly show that the assault was not committed in furtherance of the master‘s business, but, rather, clearly show the affair to be a personal matter between the manager and the plaintiff.” In Savannah Electric Co. v. Hodges, 6 Ga. App. 470, 475 (65 SE 322), it was held,
I would affirm the trial court‘s judgment dismissing the action for failure to state a claim upon which relief can be granted.
