delivered the opinion of the court:
Plaintiff Yevgeniy Moiseyev sued defendants Rot’s Building and Development and Keith A. Rot, for construction negligence based on an injury arising out of a fall from a scaffold on a house that Moiseyev was working on. Plaintiff’s employer, OSI Construction, was the subcontractor and Rot was the general contractor. The trial court granted defendants’ motion for summary judgment as plaintiff could not show that defendants had the requisite control over the subcontractor’s work that would create the necessary duty of care to render defendants hable for plaintiffs injuries. Plaintiff then filed a motion to reconsider the summary judgment and a motion for leave to amend his complaint to include a new count of premises liability. The trial court denied both motions and plaintiff now appeals.
FACTS
On November 30, 1995, Yevgeniy Moiseyev was employed as a plasterer by OSI Construction, Inc. (hereineafter OSI), when he fell from a scaffold on a jobsite and was injured. OSI had been hired as a subcontractor to apply the exterior finish to the outside of a house being constructed by Rot Building and Development, Inc. (hereinafter RED), the general contractor. Plaintiff sued RED and sued individually its owner/president, Keith A. Rot, on whose Naperville residence plaintiff was working at the time of his fall.
The original complaint, filed in 1997, was dismissed in August 2001 and refiled on May 22, 2002. The 2002 complaint mirrored
Specifically, the complaint alleged that: RBD/Rot, as general contractor on Rot’s personal residence, employed various subcontractors, including OSI, for the construction of the residence; RBD/Rot supervised, directed, and controlled the work being performed by OSI and had the authority to do so; RBD/Rot also had authority to supervise, direct, and control the physical safety of OSI’s employees while working on the site. That plaintiffs injuries were caused by the carelessness and negligence of RBD/Rot in that defendants: (1) failed to provide a safe scaffold for plaintiff to work from; (2) failed to require OSI to provide a safe scaffold to work from; (3) failed to prevent plaintiff from working on the scaffold when they knew it to be unsafe; (4) failed to prevent OSI from requiring that plaintiff work on the scaffold when they knew or should have known it was not safe; (5) failed to inspect the structural safety of the scaffold that plaintiff was required to work from; (6) failed to require OSI to inspect the structural safety of the scaffold that plaintiff was required to work from; (7) failed to supervise the work required of plaintiff so as to ensure his physical safety; (8) failed to require OSI to supervise the work required of plaintiff so as to ensure his physical safety; (9) failed to provide adequate safety devices so as to ensure his physical safety; and (10) failed to require OSI to provide adequate safety devices to plaintiff.
Testimony taken at depositions of Keith A. Rot, Yevgeniy Moiseyev, and Sergei Ishkov revealed the following.
Keith Rot testified that RED acted as a general contractor on its jobsites. It coordinated the work and organized the subcontractors, but did not perform any of the physical construction work. It also did not usually require subcontractors to sign written contracts. RED would monitor the quality of the work performed by subcontractors and ensure that the work conformed to plans and specifications for a project. Rot would monitor the performance by personally being on the jobsite. Rot testified that he had control over the jobs, so that he could step in at any time and halt the subcontractors’ work if it did not conform to plans or if it appeared to be unsafe, but that he had never actually done so. Rot would also answer questions from the subcontractors. However, Rot left safety issues up to the individual subcontractors and did not instruct subcontractors in any way about safety, nor did RED have its own safety program or any type of written safety procedure in place. Rot testified that he would inspect the interior and exterior of the homes to ensure that they were being built in conformity with project specifications.
Rot began taking bids to work on the construction of his personal residence in Naperville in 1995. For the purposes of the project, Rot said the proposals came to RED and he acted as his own builder. RED was to act as the general contractor for the project, but Rot had a couple of RED employees performing interior trim carpentry on the house. Rot testified that he was acting as a construction manager for the project. Rot selected and approved all the subcontractors to be used on the house and was responsible for securing governmental permits and inspections for the house, including permits for work to be performed by subcontractors.
OSI was hired to apply the exterior finish to the outside walls of the house.
While OSI worked, Rot would visit the site and look at the work being done. His communication with OSI was limited to the business owners who could speak passable English, generally Tony Osadchuk and Peter Ishkov. Rot never had any contact with plaintiff. OSI provided all of its own materials for its entire portion of the project. RED did not provide any tools or equipment to OSI, nor did RED at any time have any discussions with OSI regarding the means and methods of OSI’s work. Rot never personally directed anyone from OSI on how to apply the materials on the house’s external surface. Rot never supervised the means OSI workers used to do their job and never corrected them on how to do their job. Rot testified that he had seen the scaffolding that OSI had constructed in order to complete the installation, but he did not inspect the scaffolding or provide any materials for the scaffolding. Rot testified that OSI was solely responsible for the construction and safety of the scaffolding. Rot testified that he had been on the construction site November 30, 1995, but only after the accident had happened. While Rot had been on scaffolds in the past, he was generally not experienced with them.
Plaintiff testified that he had been employed by OSI as a plasterer for approximately seven months before the accident and did not have any prior construction experience. Plaintiff’s job was to apply the “foam” portion of the Dryvits system to the outside of the house. To accomplish this task, a scaffold had been built by his OSI coworkers. The OSI employees were instructed in how to build the scaffolding by their bosses at OSI. Plaintiff admitted that he had worked on scaffolding similar to the one he fell from “dozens” of times and he had also built and used similar scaffolding at other OSI projects. The metal portion of the scaffold was built by plaintiff and his coworkers, while the remaining sections, including the one from which plaintiff fell, were built by Peter Osadchuck, an OSI boss.
Plaintiff had worked on the scaffold for about a week and a half before he fell. At the time of the fall, he was working on the third section from the ground up. The lowest boards of the wood portion of the scaffold came apart, causing the remainder of the wood portions of the scaffold to come apart and collapse. He landed on his shoulder.
Plaintiff never had any contact with RED personnel, nor did anyone from RED ever instruct him on how to do his job. The only instruction plaintiff ever received with regard to the house was from OSI personnel. OSI provided plaintiff all his equipment and tools. Plaintiff never spoke to anyone from RED or Keith Rot. Plaintiff testified that he was instructed by his bosses to work on the scaffold, and although he had expressed skepticism to his OSI bosses about the scaffold’s safety, he did not refuse to work on it for fear of being fired. Plaintiff never told Rot or anyone from RED that the scaffold was unsafe.
According to Sergei Ishkov, one of the owners of OSI and one of plaintiff’s bosses, OSI owned the scaffold and instructed the OSI employees about the scaffold. Ishkov also said that Rot never instructed OSI
Plaintiff filed suit against defendants on December 1, 1997, alleging common law negligence based on section 414 of the Restatement (Second) of Torts. That suit was voluntarily dismissed by plaintiff on August 1, 2001, and then refiled on May 22, 2002, again alleging common law negligence based on section 414 against defendants. A trial date was set for December 12, 2003, but that order was stricken on July 11, 2003, with a new discovery schedule set and a new trial date of February 23, 2004. On July 2, 2004, defendants substituted attorneys. On July 16, 2004, plaintiff presented his motion to schedule remaining Rule 213(f) (134 Ill. 2d R. 213(f)) discovery and set a trial date. The motion was entered and continued generally with defendants given leave to file a motion for summary judgment. On August 16,
2004, defendants filed a motion for summary judgment contending that they owed no duty to plaintiff. At the time of the motion’s filing, no new trial date had been set. After oral argument, the trial court, on March 22, 2005, granted defendants’ motion for summary judgment. The trial court concluded that the record was “devoid of any evidence that OSI was not free to do the work in its own way.”
Plaintiff then moved the court to reconsider the granting of summary judgment and vacate the order. Plaintiff also moved for leave to file a first amended complaint, which contained two additional counts for premises negligence against defendants. The complaints alleged that defendants owed “a duty to exercise ordinary care to operate, maintain, and/or manage the Construction Premises, including temporary structures erected thereon that defendants knew or should have known the existence of, in a condition that was unreasonably [sic] safe for use by persons lawfully on the Construction Premises” and that defendants breached that duty through their actions. Defendants opposed the motion, arguing that the amended complaint was untimely and would result in substantial prejudice to them if granted. Oral arguments on both motions were held September 21,
2005. The trial court entered a written order that day denying plaintiffs motion to reconsider and entered a written order October 3, 2005, denying the motion for leave to file first amended complaint as untimely. Plaintiff now appeals.
ANALYSIS
On appeal, plaintiff raises two issues: (1) whether the trial court erred in granting defendants’ motion for summary judgment when it determined plaintiff could not show defendants owed him a duty of care and (2) whether the trial court abused its discretion when it denied plaintiffs motion for leave to amend his complaint to include a count of premises liability. We will address each of these issues in turn, and we affirm the trial court’s rulings on both issues.
I
Plaintiff has appealed the trial court’s granting of defendants’ motion for summary judgment. “Summary judgment should be granted whenever the pleadings, depositions, admissions, and affidavits on file, viewed in the light most favorable to the nonmoving party, show that there are no disputed material facts between the parties and that the moving party is entitled to judgment as a matter of law.” People ex rel. Department of Public Health v. Wiley,
Plaintiff contends that the trial court erred when it granted defendants’ motion
Plaintiff relies on section 414 of the Restatement (Second) of Torts and his claim against defendants is based on common law negligence. In a negligence action, the plaintiff must present sufficient evidence to establish that defendant owed a duty to plaintiff. Whether a duty exists is a question of law to be decided by the court, and if no duty exists, there can be no recovery. Cunis v. Brennan,
Section 414 of the Restatement states:
“One who entrusts work to an independent contractor, but who retains the control of any part of the work, is subject to liability for physical harm to others for whose safety the employer owes a duty to exercise reasonable care, which is caused by his failure to exercise his control with reasonable care.” Restatement (Second) of Torts §414 (1965).
The comments to section 414 give further explanation:
“a. If the employer of an independent contractor retains control over the operative detail of doing any part of the work, he is subject to liability for the negligence of the employees of the contractor engaged therein, under the rules of that part of the law of Agency which deal with the relation of master and servant. The employer may, however, retain a control less than that which is necessary to subject him to liability as a master. He may retain only the power to direct the order in which the work shall be done, or to forbid its being done in a manner likely to be dangerous to himself or others. Such a supervisory control may not subject him to liability under the principles of Agency, but he may be liable under the rule stated in this Section unless he exercises his supervisory control with reasonable care so as to prevent the work which he has ordered to be done from causing injury to others.
b. The rule stated in this Section is usually, though not exclusively, applicable when a principal contractor entrusts a part of the work to subcontractors, but himself or through a foreman superintends the entire job. In such a situation, the principal contractor is subject to liability if he fails to prevent the subcontractors from doing even the details of the work in a way unreasonably dangerous to others, if he knows or bythe exercise of reasonable care should know that the subcontractors’ work is being so done, and has the opportunity to prevent it by exercising the power of control which he has retained in himself. So too, he is subject to liability if he knows or should know that the subcontractors have carelessly done their work in such a way as to create a dangerous condition, and fails to exercise reasonable care either to remedy it himself or by the exercise of his control cause the subcontractor to do so.
c. In order for the rule stated in this Section to apply, the employer must have retained at least some degree of control over the manner in which the work is done. It is not enough that he has merely a general right to order the work stopped or resumed, to inspect its progress or to receive reports, to make suggestions or recommendations which need not necessarily be followed, or to prescribe alterations and deviations. Such a general right is usually reserved to employers, but it does not mean that the contractor is controlled as to his methods of work, or as to operative detail. There must be such a retention of a right of supervision that the contractor is not entirely free to do the work in his own way.” Restatement (Second) of Torts §414, Comments a, b, c (1965).
The courts have had difficulty interpreting the term “control” and distinguishing between control which exposes a defendant to liability and control which is considered merely supervisory. In the Third District, we have adopted two approaches to the control requirement in the following cases: Fris v. Personal Products Co.,
In Fris, the plaintiff was employed as a sheet metal worker in a warehouse project when he injured his shoulder and arm while attempting to push large wooden pallets. Fris,
In Rangel, the plaintiff was employed as a drywall hanger by a subcontractor, Drywall, working on a job for a general contractor, Brookhaven. The plaintiff was injured when a brace on a scaffold gave way and he fell to the concrete below. Rangel,
Likewise, in Bieruta, the appellate court declined to find a duty of reasonable care from a general contractor to a subcontractor where there was not enough evidence that the general contractor retained sufficient control over the subcontractor’s work. Bieruta v. Klein Creek Corp.,
Other courts have declined to find a duty of reasonable care when there was not enough evidence that the general contractor retained sufficient control of the means, methods, and incidental aspects of the subcontractor’s work. See Shaughnessy v. Skender Construction Co.,
In support of his argument that defendant retained sufficient control, plaintiff cites to several cases, including Weber v. Northern Illinois Gas Co.,
In Weber, there was an inspector present on the work site on behalf of the defendant general contractor who made certain that the job was done to the defendant’s specifications. This inspector was aware that a job was being done with inadequate equipment and that led to an accident. Weber,
In Moorehead, this court found sufficient evidence for a duty of care to exist where the general contractor had an on-site project manager who held regular construction
Plaintiff relies particularly on Brooks v. Midwest Grain Products of Illinois, Inc.,
In Brooks the defendant Midwest maintained a great deal of control over the project, that is the defendant imposed a set of safety rules on the subcontractor and had the ability to stop the work, such as: (1) Midwest promulgated a set of safety rules that it imposed upon General Construction and General’s employees; (2) Midwest’s enforcement authority included its ability to stop work at the jobsite if its safety rules were not followed; (3) Midwest assigned a project engineer to oversee each General Construction project and, at the time of the plaintiffs accident, one of those project engineers was present; and (4) General Construction could not perform any burn work or welding without first obtaining a burn permit from Midwest. Brooks,
The question remains, in order to establish liability under section 414, must a plaintiff prove the defendant controlled the Fris “routine and incidental aspects” of the independent contractor’s work or prove pursuant to Brooks that the defendant retained control over any part of the work and failed to exercise that control with reasonable care? The latter test of retaining control of any part of the work is more broad than the test where the defendant must retain control over routine and incidental aspects of the work, as established in Fris, which relates to degree of control over the manner in which the work is done. We determine, following Fris and the Restatement, that a defendant must retain control over routine and incidental aspects of the work, which includes an operative detail analysis.
Section 414 establishes a defendant’s liability arising between the standard liability of a principal who controls an agent and the lack of liability in the traditional independent contractor relationship. The Restatement does not provide a dictionary-style analytical definition of control. In default of a definition, the Restatement provides various illustrations and examples of what is and is not control. See Restatement (Second) of Torts §414, Comments (1965). In the common law tradition it is left to the courts to provide, on a case-by-case basis, clarity for the litigants, attorneys, and judges alike on the issue of control. The Restatement, in its comments to section 414, and Illinois case law have analyzed this section by factually determining when a defendant is or is not liable.
The Restatement and the case law find control under the following circumstances: when the defendant supervises the entire job and effects the means and methods of the subcontractor’s work, preventing the subcontractor from working in its own way, and/or is consistently present on the jobsite directing operative detail of the subcontractor’s work, or supervises the entire safety program, and fails to prevent the subcontractors from doing the details of the work in a way unreasonably dangerous to others, if he knows or by the exercise of reasonable care should know that the subcontractors’ work is being so done, and has the opportunity to prevent it by exercising the power of control which he has retained in himself. E.g., Moorehead,
In the present case, there is not enough evidence to show that defendants retained sufficient control over the work of plaintiff so as to give rise to a duty of reasonable care under section 414. No contract existed at any point between defendants and subcontractor OSI, a factor that the Bieruta court took into account in finding no duty. Bieruta,
With regard to the scaffold itself, defendants had no part in its construction or maintenance. The idea for the scaffold, along with the tools and instruction necessary to build it, was supplied solely by OSI. OSI had constructed and used scaffolds at various work sites before. Plaintiff had been on these scaffolds. Plaintiff participated in the construction of this scaffold and at no time had any contact with defendant regarding the scaffold. Defendant Rot testified that he had seen the OSI scaffold on the work site, but he otherwise had nothing to do with the scaffold and never inspected it. Plaintiff informed his OSI bosses that he felt the scaffold was unsafe, but continued to work on it for fear of being fired. He never at any time made his feelings known to defendants. The scaffold was purely the creation and responsibility of OSI. There is nothing to suggest that defendants knew of or had any notice of a hazard regarding the scaffold. Bieruta,
The evidence in the record establishes that defendants did not retain enough control over the routine and incidental operations of the subcontractor OSI. Defendants
II
The following material is nonpublishable under Supreme Court Rule 23.
III
For the foregoing reasons, the trial court’s motion granting summary judgment is affirmed. The trial court’s denial of plaintiffs leave to file an amended complaint is affirmed.
Affirmed.
LYTTON and McDADE, JJ., concur.
