Plaintiffs argue the trial court erred in dismissing their action based on the applicable statute of limitations and repose because defendant’s “failure to correct the deed constituted a ‘last act’ ” from which the statutory period began to run. Plaintiffs also argue the complaint sufficiently stated a cause of action against defendant for a separate claim “based upon his culpability with respect to the false affidavit itself.” We find no merit to these arguments and affirm.
Plaintiffs first contend defendant’s “refus[al] to correct his prior error” and “utterance and delivery of his false affidavit. . .
We also disagree with plaintiffs’ argument that defendant’s refusal to correct the errors bars application of the statutes of limitations and repose. N.C. Gen. Stat. § l-15(c), the applicable statute of limitations and repose for actions involving professional malpractice, states, in pertinent part:
[A] cause of action for malpractice arising out of the performance of or failure to perform professional services shall be deemed to accrue at the time of the occurrence of the last act of the defendant giving rise to the cause of action: ... Provided nothing herein shall be construed to reduce the statute of limitation in any such case below three years. Provided further, that in no event shall an action be commenced more than four years from the last act of the defendant giving rise to the cause of action. . . .
Since plaintiffs filed this action in 1995, clearly outside the respective three-year and four-year statutes of limitation and repose, the determinative issue on appeal is whether defendant’s last act, for purposes of the statute, was the drafting of the deeds in 1980 or his alleged failure and refusal to correct the error in 1992.
This issue has already been decided by this Court in
McGahren v. Saenger,
In
Hargett v. Holland,
Under the circumstances here we conclude defendant had no such continuing duty. We hold that under the arrangement alleged in the complaint, which was a contract to prepare a will after which defendant was an attesting witness to the will, defendant’s duty was simply to prepare and supervise the execution of the will. This arrangement did not impose on defendant a continuing duty thereafter to review or correct the will or to prepare another will. Absent allegations of an ongoing attorney-client relationship between testator and defendant with regard to the will from which such a continuing duty might arise, or allegations of facts from which such a relationship may be inferred, the allegations which are contained in the complaint are insufficient to place any continuing duty on defendant to review or correct the prepared will, or to draft another will.
Hargett,
The complaint alleges plaintiffs’ grandfather “contracted with Defendant Crew, as his attorney,
to prepare
two deeds conveying the two lots ... to his two daughters.” (emphasis added). The complaint further alleges “[plaintiffs’ grandfather] and defendant Crew entered into a valid and enforceable contract for the performance of professional services, namely the
preparation
of the deeds referred to here-inabove.” (emphasis added). Therefore, the complaint only alleges a contract for the preparation of two deeds. “After defendant had completed these acts, he had performed his professional obligations; and his professional duty to [the grantor] was at an end.”
Hargett,
Nor does plaintiffs’ allegation that defendant “had a close personal and professional relationship with [plaintiffs’ grandfather] and his family, knew of their desires and plans for distribution of their estates and assisted in the planning and implementation of such” give rise to a continuing duty with regard to the preparation of the deeds. We first note this allegation does not allege the relationship continued past the preparation of the deeds. However, even assuming the “close personal and professional relationship” continued after defendant prepared the deeds, the complaint does not allege the deeds were prepared as part of an on-going estate plan, and this particular allegation does little more than allege a general attorney-client relationship.
In discussing a continuing relationship for professional services in the context of a medical malpractice action under the “continued course of treatment” doctrine, this Court has said the doctrine applies “if the physician continued to treat the patient
for the particular disease or condition created by the original act of negligence." Stallings v. Gunter,
Just as a physician’s duty to the patient is determined by the particular medical undertaking for which he was engaged, an attorney’s duty to a client is likewise determined by the nature of the services he agreed to perform. An attorney who is employed to draft a will and supervise its execution and who has no further contractual relationship with the testator with regard to the will has no continuing duty to the testator regarding the will after the will has been executed.
Hargett,
Plaintiffs also argue N.C. Gen. Stat. § 47-36.1, which allows for the correction of
Plaintiffs next argue defendant is equitably estopped from asserting the statutes of limitations and repose as a defense. We also find
no merit to this argument. Equitable estoppel arises when a party has been induced by another’s acts to believe that certain facts exist, and that party “rightfully relies and acts upon that belief to his detriment.”
Thompson v. Soles,
Lastly, plaintiffs argue the trial court erred in dismissing their complaint because it stated a cause of action based on defendant’s “affirmative actions in preparing and submitting a false affidavit” which “[gave] rise to a cause of action independent of his initial negligence.” Plaintiffs’ complaint alleges defendant’s actions by submitting the affidavit, refusing to correct the errors, “and his various other failures, refusals and deliberate actions hereinbefore alleged constitute fraudulent practice and constructive fraud under the provisions of N.C. Gen. Stat. § 84-13.” However, plaintiffs have failed to state a cause of action for either fraud or constructive fraud.
“The elements of fraud are: ‘(1) False representation or concealment of a material fact, (2) reasonably calculated to deceive, (3) made with intent to deceive, (4) which does in fact deceive, (5) resulting in damage to the injured party.’ ”
McGahren,
We find no merit to plaintiffs’ remaining assertions. For the reasons stated, the order
Affirmed.
