Lead Opinion
Relators argue that Judge Powell has no authority to adjudicate Counts II and IV of their complaint because the probate court’s limited jurisdiction under R.C. 2101.24
For a writ of mandamus to issue, relators must have a clear right to respondent’s performance of a clear legal duty and no adequate remedy in the ordinary course of the law. State ex. rel. Seikbert v. Wilkinson (1994),
Respondent argues that relators’ remedy is appeal of the jurisdictional ruling transferring their claims against Star Bank to the probate court. He relies on cases establishing the general principles that (1) jurisdictional issues may be raised on appeal, and (2) extraordinary relief is not to be used as a substitute for appeal. See, e.g., State ex rel. Smith v. Huron Cty. Probate Court (1982),
Relators respond that the transfer order is not final and appealable under R.C. 2505.02 because while it “affects a substantial right in an action,” it did not
The appeal that will eventually be available to relators is not inadequate for the following reasons. State ex rel. Willis v. Sheboy (1983),
“Where a constitutional process of appeal has been legislatively provided, the sole fact that pursuing such process would encompass more delay and inconvenience than seeking a writ of mandamus is insufficient to prevent the process from constituting a plain and adequate remedy in the ordinary course of the law.” Accord State ex rel. Casey, supra,61 Ohio St.3d at 432 ,575 N.E.2d at 184 .
To avoid the issue of an adequate legal remedy, relators further rely on State ex rel. Adams v. Gusweiler (1972),
However, we are not convinced that the probate court so patently and unambiguously lacks jurisdiction over claims for breaches of fiduciary duties seeking monetary damages that we are willing to issue a writ of mandamus and circumvent the appellate process.
The parties cite competent authority on both sides of this issue. Relators rely on Kindt v. Cleveland Trust Co. (1971),
By contrast, respondent relies on Starr v. Rupp (C.A. 6, 1970),
The parties do not attempt to reconcile these cases, and we are aware of only one case that directly addresses and explains the rule that applies when both a breach of fiduciary duty and a request for monetary damages are claimed in the same cause of action. In Goff v. Ameritrust Co., N.A. (May 5, 1994), Cuyahoga App. Nos. 65196 and 66016, unreported,
The thoughtful discussion in Goff suggests a basis for reevaluating the holdings in Kindt, supra, and Alexander, supra, that probate courts cannot award monetary damages. We conclude, therefore, that relators have failed to establish the manifest lack of jurisdiction for which we will resolve this appealable issue and grant extraordinary relief. Accordingly, the writ of mandamus is denied.
Writ denied.
Notes
. R.C. 2101.24 provides, in part:
“(A)(1) Except as otherwise provided by law, the probate court has exclusive jurisdiction:
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“(c) To direct and control the conduct and settle the accounts of executors and administrators and order the distribution of estates;
U * * *
“(j) To construe wills;
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“(1) To direct and control the conduct of fiduciaries and settle their accounts;
« # * aft
“(C) The probate court has plenary power at law and in equity to dispose fully of any matter that is properly before the court, unless the power is expressly otherwise limited or denied by a section of the Revised Code.”
. The parties do not argue whether the order is immediately appealable as having been made in a “special proceeding” pursuant to R.C. 2505.02. See Polikoff v. Adam (1993),
Dissenting Opinion
dissenting. A writ of mandamus should be available to relators who have a prima-facie case for a recognized tort but who — due to a jurisdictional
“Although mandamus normally will not issue to control a court’s discretion, * * * it will issue to require a court to exercise its jurisdiction or discharge its mandatory functions. * * * ” (Citations omitted and emphasis added.) Dapice v. Stickrath (1988),
The courts of common pleas are constitutionally obligated to exercise their jurisdiction over the tort of conversion. Section 4(B), Article IV of the Ohio Constitution provides:
“The courts of common pleas and divisions thereof shall have such original jurisdiction over all justiciable matters * * * as may be provided by law.” (Emphasis added.)
The common-law tort of conversion has long been recognized as a cause of action in Ohio. See Woods v. McGee (1836),
The cause of action of conversion is constitutionally guaranteed by other provisions of the Ohio Constitution. Section 16, Article I — which is also known as the “open courts” section — provides:
“All courts shall be open, and every person, for an injury done him in his land, goods, person, or reputation, shall have remedy by due course of law, and shall have justice administered without denial or delay.”
“It is the primary duty of courts to sustain this declaration of right and remedy, wherever the same has been wrongfully invaded.” Kintz v. Harriger (1919),99 Ohio St. 240 ,124 N.E. 168 , paragraph two of syllabus. The “open courts” section of the Constitution requires that a plaintiff with a cause of action for conversion be able to bring that action in a court. See Baltimore & Ohio RR. Co. v. Armstrong, Lee & Co. (1919),99 Ohio St. 163 ,124 N.E. 186 .
Requiring appellate review of a cause of action before it can proceed in a court of original jurisdiction is precisely the type of delay that Section 16, Article I prohibits. When the open courts section “speaks of remedy and injury to person, property, or reputation, it requires an opportunity granted at a meaningful time and in a meaningful manner.” Hardy v. VerMuelen (1987),
I, accordingly, dissent from the majority’s opinion and would grant relators’ motion requesting oral argument so that we can review this jurisdictional controversy. If we agree with relators that the general division of the court of common pleas has jurisdiction over their claims, then we should use our mandamus power to ensure that relators are provided with meaningful access to a courtroom.
