This is an interlocutory review of the order of the trial court denying various motions of appellant/defendants to dismiss the complaint, and motions for summary judgment, based upon appellee/ plaintiffs’ failure to comply with the affidavit requirements of OCGA § 9-11-9.1 (a).
On July 22, 1991, appellee Marie Crouch filed a complaint averring a wrongful death claim as the widow of the deceased husband and averring a medical malpractice claim as the administratrix of the deceased’s estate. It was averred, inter alia, that the various appellant doctors were negligent in failing to timely diagnose deceased’s lung cancer. Mr. Crouch died on March 6, 1991; on June 3, 1991, appellee was appointed as administratrix of Mr. Crouch’s estate; until that time the estate was without representation. The claims against appellant Gwinnett Medical Center (hospital authority) provided adequate CPA notice solely as to claims of liability based upon the doctrine of respondeat superior for the averred medical negligence (malpractice) of two radiologists. No expert affidavit was filed contemporaneously with this complaint; however, in the complaint, it was averred that the claims were within ten days of the applicable statute of limitation and, accordingly, appellees attempted to invoke therein the 45-day filing delay provisions of OCGA § 9-11-9.1 (b). Appellants filed motions to dismiss and/or motions for summary judgment asserting noncompliance with the affidavit requirements of OCGA § 9-11-9.1 (a). Appellees filed an amended complaint within the 45-day delay period by filing an expert’s affidavit with attached medical records. The trial court denied appellants’ motions to dismiss and motions for summary judgment. Held:
1. Appellant hospital authority asserts that because the claims averred against it are based solely on its liability under the doctrine of respondeat superior for acts of malpractice committed by two doctors performing duties as radiologists, therefore medical affidavits were required to be filed in support of these claims pursuant to OCGA § 9-11-9.1, notwithstanding the hospital authority is not a professional within the meaning of said statute. OCGA § 9-11-9.1 (a)
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pertinently provides that “[i]n any action for damages alleging professional malpractice, the plaintiff shall be required to file with the complaint an affidavit of an expert.” In
Lamb v. Candler Gen. Hosp.,
In
Gillis v. Goodgame,
Thereafter, the Supreme Court concluded in
Lamb,
supra at 72, “[i]nsofar as [appellant’s] complaint alleges negligence against the hospital for supplying defective equipment for use in treating its patients, the case is not one against a ‘professional’
or involving ‘professional
malpractice.’ Therefore, OCGA § 9-11-9.1 is inapplicable and no affidavit is required.” (Emphasis supplied.) The essence of this holding appears to be that an appropriate affidavit is required not only when a particular claim is against a “professional” but also when a particular claim is grounded upon “professional malpractice,” that is, an act or omission caused by a “professional” which constitutes malpractice. However, as the hospital authority is not classified as such a “professional,” the affidavit requirement does not apply automatically as to any claim asserted against it.
Greene County Hosp. Auth. v. Turner,
Thus, to the extent that a complaint avers claims of hospital liability, based on the doctrine of respondeat superior, arising from acts or omissions constituting malpractice by doctors, registered professional nurses, or other “professionals,” as recognized by said statutes, an appropriate affidavit, as defined in
Thornton,
supra, at 203, is required under OCGA § 9-11-9.1.
Greene County Hosp. Auth.,
supra. However, to the extent that a complaint avers claims based on the acts or omissions of agents or staff employees who are not “established” by the movant hospital as qualifying as professionals under
Gillis,
supra, no supporting affidavit would be required and those claims could not be dismissed or summary judgment granted for want of an affidavit. (Compare
Greene County Hosp. Auth.,
supra at 214.) As, in this case, the authority’s liability under respondeat superior is based solely on averments of acts or omissions of medical malpractice by agents or employees thereof who are shown to be “professionals,” as above defined, an appropriate medical affidavit was required to be filed, in accordance with OCGA § 9-11-9.1, in support of the claims against the authority. Compare
Dozier v. Clayton County Hosp. Auth.,
2. Pursuant to the provisions of OCGA § 9-3-71, the two-year statute of limitation for wrongful death cases emanating from medical malpractice, such as the wrongful death averments in this case, begins to run from the date of death, not from the negligent act or omission of the practitioner. See generally
Hart v. Eldridge,
3. Assuming without deciding that the statute of limitation applicable to every medical malpractice claim averred on behalf of the estate normally would have expired within ten days of the filing of the complaint, the question remains whether in the case at bar the statute of limitation was tolled by operation of law by OCGA § 9-3-92 for a period of 89 days, so that in legal effect the complaint was filed *188 more than ten days before the expiration of any applicable statute of limitation (OCGA § 9-3-73). If the statute of limitation was so tolled, appellees could not then avail themselves of the 45-day delay provision of OCGA § 9-11-9.1 (b).
OCGA § 9-3-92 pertinently provides that: “The time between the death of a person and the commencement of representation upon his estate . . .
shall
not be counted against his estate in calculating any limitation applicable to the bringing of an action, provided that such time shall not exceed five years.” “This court has generally held that, unless the context clearly indicates otherwise, the word ‘shall’ is to be read as a word of command.”
Dept. of Medical Assistance v. Llewellyn,
Appellees, citing inter alia, the descriptive heading or catch line of OCGA § 9-3-92 and the case of
Lazenby v. Ware,
In view of the above, we conclude that appellants are correct in their claim that appellees were not entitled to invoke the 45-day delay provisions of OCGA § 9-11-9.1 (b), as the applicable statute of limitation would not expire as to any of appellees’ averred claims, within ten days of the date of filing of the complaint. In view of this holding, we need not address appellants’ remaining assertions in support of their enumerations of error.
4. Appellee Crouch refers in her brief to certain “constitutional issues” allegedly raised before the trial court, and asserts that “by this reference, these arguments and citations of authority are incorporated herein and hereby preserved.” These matters currently are not before this court for adjudication; appellee elected not to file timely notice of cross-appeal, together with appropriate enumerations of error, as was necessary to raise these issues for appellate consideration during this interlocutory review. We express no advisory opinion
(Board of Trustees &c. v. Kenworthy,
In view of the holdings in Divisions 1-3 above, we conclude the trial court erred in denying appellants’ motions to dismiss (as converted by consideration of matters outside the pleadings to motions for summary judgment) and motions for summary judgment, as appellees were required to file the expert affidavit in accordance with OCGA § 9-11-9.1 (a) and could not utilize the 45-day delay provision of OCGA § 9-11-9.1 (b). Compare
Kalustian v. McDonald,
Judgments reversed and remanded with direction.
