Weathington v. Hill , 2011 Ohio 5875 ( 2011 )


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  • [Cite as Weathington v. Hill, 
    2011-Ohio-5875
    .]
    IN THE COURT OF APPEALS OF OHIO
    THIRD APPELLATE DISTRICT
    MARION COUNTY
    SHIRLEY WEATHINGTON, ET AL.,
    PLAINTIFFS-APPELLEES,                          CASE NO. 9-11-16
    v.
    RALPH HILL, JR.,                                       OPINION
    DEFENDANT-APPELLANT.
    Appeal from Marion County Common Pleas Court
    Trial Court No. 10 CIV 52422
    Judgment Reversed and Cause Remanded
    Date of Decision: November 14, 2011
    APPEARANCES:
    J. C. Ratliff and Jeff Ratliff for Appellant
    Laura C. Blumenstiel and James B. Blumenstiel for Appellees
    Case No. 9-11-16
    WILLAMOWSKI, J.
    {¶1} Defendant-Appellant, Ralph E. Hill, Jr. (“Ralph”), appeals the
    judgment of the Marion County Court of Common Pleas, Probate Division,
    finding in favor of his six brothers and sisters, Plaintiffs-Appellees1 (“the Siblings”
    or “Appellees”), in their declaratory judgment action to determine the parties’
    interests in the real property that was owned by their mother prior to her death in
    1966. On appeal, Ralph contends that the trial court erred in finding that his
    affirmative defenses of statute of limitations, adverse possession and laches were
    without merit, and that the probate court erred in denying his motion to dismiss
    based upon lack of subject-matter jurisdiction. For the reasons set forth below, the
    judgment is reversed.
    {¶2} On July 29, 2010, the Siblings filed a complaint (Case No. 10 CIV
    52422) requesting the probate court to make a declaratory judgment regarding the
    parties’ respective ownership interests in real estate located at 608 Jefferson Street,
    Marion, Ohio (hereinafter, “the Property”), that was previously owned by the
    parties’ deceased parents, Ralph E. Hill, Sr. (“Father”) and Ida Loree Hill
    (“Mother”). The primary issue to be decided concerned what interests, if any, the
    1
    The Plaintiffs-Appellees are: Shirley Weathington, Juanita Hill, George Hill, Earl Hill, Marilyn Sutton,
    and Deborah Carter. All six Siblings lived outside of the state of Ohio when the complaint was filed, and
    represent that they have lived out-of-state for many years.
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    Case No. 9-11-16
    Siblings own in the Property, also known as Lot 6451 (“Lot 1”) and Lot 6452
    (“Lot 2”), that may have passed to them from their Mother upon her death in 1966.
    {¶3} On December 4, 1966, the parties’ Mother died intestate, survived by
    her husband and the seven children. At that time, the Mother and the Father each
    owned a one-half interest in the Property, as tenants in common. Since the Mother
    died intestate, her one-half ownership interest in each lot was subject to the statute
    of descent and distribution in effect in at that time. Therefore, R.C. 2105.06(C)2
    specified how her surviving spouse and children should share in the distribution of
    her one-half interest in the Property.
    {¶4} According to the statute that was in effect in 1966, the Father was
    entitled to a one-third interest of the Mother’s half interest (resulting in a 2/3
    interest in the total Property), and the seven children were entitled to inherit a two-
    thirds interest of the Mother’s half interest (resulting in a 1/3 interest in the total
    Property). Therefore, each of the seven children was entitled to inherit a 1/21st
    interest (1/3 interest divided by 7) in the Property. No estate was opened at the
    time of the Mother’s death and the Father continued to live on the Property. The
    children, except for Ralph, eventually moved out of state.
    2
    R.C. 2105.06, the statute of descent and distribution that was in effect in 1966 stated, in pertinent part:
    “When a person dies intestate having title or right to any personal property or to any real estate or
    inheritance in this state, such personal property shall be distributed and such real estate or inheritance shall
    descend and pass in parcenary, except as otherwise provided by law, in the following course: * * * (C) If
    there is a spouse and more than one child or their lineal descendants surviving, one third to the spouse and
    the remainder to the children equally, or to the lineal descendants of any deceased child, per stirpes; * * *.”
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    Case No. 9-11-16
    {¶5} In 1984 or 1985, the Father became ill and was hospitalized for more
    than a month. In an affidavit, Ralph stated that he made and helped pay for
    improvements to the property so that his Father could return to the home after his
    hospitalization. Ralph further stated that he and his wife assumed full, round-the-
    clock care for his Father from the time of his release from the hospital until his
    Father’s death in 1989.
    {¶6} On November 24, 1987, the Father signed a General Warranty Deed
    transferring his ownership interest in the Property to Ralph, although the General
    Warranty Deed was not recorded at that time. In January of 1988, Ralph opened
    an estate for his Mother in the Probate Court of Marion County (Case No. 40592).
    At that time, four of the Siblings (Deborah, Earl, Shirley and Marilyn) signed
    waivers agreeing to have Ralph administer the estate of their Mother. On January
    11, 1988, the probate court issued a Certificate of Transfer transferring the
    Mother’s half interest in Lot 1 to the Father, as her surviving spouse. The estate
    was released from administration, pursuant to R.C. 2113.03, which exempts
    estates of small monetary value from administration.
    {¶7} On January 12, 1988, the Father and Ralph entered into a Land
    Installment Contract for the purchase of Lot 1 and Lot 2, and the contract was
    recorded. On March 2, 1988, a release of the Land Installment Contract was
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    executed and recorded.      Also on that date, the previously executed General
    Warranty Deed was recorded, transferring ownership of Lots 1 and 2 to Ralph.
    {¶8} On December 16, 1989, the Father died. There is nothing in the
    record pertaining to the administration of the Father’s estate. Ralph claims he has
    resided on the Property from at least March 2, 1988, through the current court
    proceedings. In his affidavit, Ralph represents that at the time of their Father’s
    death in 1989, all family members agreed Ralph was the owner of the Property
    with full, 100% ownership interests. (Affid. of Ralph Hill, Jr., Feb. 11, 2011.)
    {¶9} On May 1, 1996, Ralph filed an Affidavit for Transfer concerning the
    transfer his Mother’s interest in Lot 2 because the original Certificate of Transfer
    issued in January of 1988 only pertained to Lot 1. Ralph did not re-open his
    Mother’s estate when he filed the Affidavit for Transfer. The Affidavit set forth
    the Mother’s interest in the lot; attested to the Father’s transfer of his interest to
    Ralph by General Warranty Deed on March 2, 1988; and stated that at the time
    that the Father conveyed the Property to Ralph, the Father “was seized in fee
    simple to title” to both of the Lots. (Ex. C to Plaintiff’s Complaint for Declaratory
    Judgment.)
    {¶10} In 2009, the Siblings contacted an attorney to investigate their
    potential ownership interests in the Property. On July 17, 2009, the Siblings filed
    an “Affidavit Relating to Title” per R.C. 5301.252, making several assertions
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    concerning the “actual ownership” of the Property. The affidavit stated that the
    Siblings were all entitled to an interest in the Property upon their Mother’s death,
    pursuant to R.C. 2105.06(C); that a fractional interest should have automatically
    vested in each child at the time of the Mother’s death; that the 1988 Certificate of
    Transfer and the 1996 Affidavit of Transfer were defective and could not have
    been used to convey an ownership interest that would have overridden each of the
    Siblings’ statutory ownership interests; that there was no recorded document that
    ever attempted to convey the Mother’s interest in Lot 2 to the Father; that the 1988
    release from administration proceedings were jurisdictionally suspect because the
    cap for such a proceeding in 1966 was only $2,000; and, that there were other
    irregularities in the proceedings, such as no appraisal and improper waiver forms.
    The affidavit further stated that it was filed to recognize the 1/21st fractional
    interest of each of the Siblings in the Property. (Affidavit re Permanent parcel No.
    12-119000.0500; File No. 2009-00004331, Book: 1099, Page: 500.)
    {¶11} On July 29, 2010, the Siblings filed a Complaint for Declaratory
    Judgment against Ralph in the probate court seeking judgment in their favor on the
    matters set forth in their Affidavit Relating to Title. They contend that the Father
    could not have transferred a greater interest than he possessed to Ralph, and that
    the Father’s only interest in the Property was his original half-interest and the one-
    third interest that he inherited upon his wife’s death. Therefore, they maintain that
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    the transfers of the portion of the Property that should have passed to the Siblings
    upon the Mother’s death were null and void. They asked the probate court to
    declare that they each had a 1/21st interest in the Property.
    {¶12} Ralph filed an Answer generally denying the allegations in the
    Complaint. Ralph further asserted several affirmative defenses, including failure to
    state a claim upon which relief could be granted, and the doctrines of unclean
    hands, estoppel, waiver, and laches. Ralph also claimed that the Siblings had
    failed to mitigate or minimize their damages and that their claims, if any, were
    barred by the applicable statute of limitation.
    {¶13} The probate court advised counsel for the parties that it would decide
    the matter based upon written arguments to be submitted according to a briefing
    schedule established at a pre-trial conference in December of 2010. Accordingly,
    Ralph submitted a Motion to Dismiss Plaintiff’s Complaint, pursuant to Civ.R.
    12(B)(6).    Ralph asserted several reasons, including that:        the declaratory
    judgment action was time-barred because the actual underlying purpose of the
    action was to assert a claim to quiet title, which is subject to a twenty-one year
    statute of limitations; Ralph’s father obtained rights to the entire property through
    adverse possession, therefore entitling him to give Ralph his interests in the entire
    property; Ralph himself could claim the property via adverse possession; and, the
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    Case No. 9-11-16
    doctrines of laches and waiver precluded any further action. Ralph also asserted
    that the matter should be dismissed because the probate court lacked jurisdiction.
    {¶14} The Siblings submitted a Memorandum Contra to the Motion to
    Dismiss, and Ralph submitted a Reply to this. The probate court considered the
    contested issues and arguments made by the parties and found that: the Mother’s
    interests in the Property would pass according to the version of R.C. 2105.06(C)
    that was in effect at the time of her death; the real estate ownership interests vested
    upon the date of death; each child’s 1/21st fractional share was never properly
    transferred through the appropriate probate administration, but this did not negate
    their respective interests; and, the matters set forth in the Siblings’ Affidavit
    Relating to Title were well-taken and were adopted and made a part of the court’s
    order.    The probate court directed the Siblings to file the necessary probate
    pleadings to effect the transfer of the various ownership interests to the surviving
    children.
    {¶15} The probate court also held:
    This Court finds it lacks jurisdiction to consider the respective
    financial interests of each party in the subject real estate and
    directs resolution of these issues pursuant to [R.C.] 5303.01,
    through an Action to Quiet Title in the Marion County Common
    Pleas Court, General Division.
    This Court further finds that [Ralph’s] arguments regarding
    lapse of any Statute of Limitations, Adverse Possession and
    Doctrine of Laches are without merit in this Declaratory
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    Case No. 9-11-16
    Judgment Proceeding, and [Ralph] is free to assert same in the
    Action to Quiet Title proceeding.
    (Apr. 8, 2011 J.E., p. 3.) Accordingly, the trial court found Ralph’s Motion to
    Dismiss was “over-ruled in part, as to the declaratory relief requested, and
    sustained in part, as to the parties’ equitable interests in the real estate in
    question.” (Id.)
    {¶16} It is from this judgment that Ralph now appeals, raising the
    following two assignments of error for our review.
    First Assignment of Error
    The trial court erred in ruling that [Ralph’s] arguments of
    statute of limitations, adverse possession and laches were
    without merit in an action for declaratory judgment.
    Second Assignment of Error
    The trial court erred by failing to dismiss [the Siblings’]
    Complaint for Declaratory Judgment as the declaratory
    judgment action was incidental to an action for recovery of real
    estate or a quiet title action, both actions which the trial court
    lacked subject-matter jurisdiction.
    {¶17} We will review the second assignment of error first, as it is
    dispositive of this appeal.   A motion to dismiss for lack of subject matter
    jurisdiction raises a question of law, subject to the de novo standard of review.
    GrozaVance v. Vance, 
    162 Ohio App.3d 510
    , 2005–Ohio–3815, 
    834 N.E.2d 15
    ,
    ¶13.
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    {¶18} On appeal, Ralph maintains that the probate court lacked jurisdiction
    to settle the controversy because the declaratory judgment action was merely
    incidental to an action for recovery of real estate or a quiet title action, which is
    not normally within a probate court’s jurisdiction.       Ralph contends that the
    Siblings filed the declaratory judgment action in order to circumvent the twenty-
    one year statute of limitations on an action to recover title to property pursuant to
    R.C. 2305.04. Ralph also asserts that the probate court should have refused to
    grant a declaratory judgment when such a judgment would not fulfill the purposes
    of the Declaratory Judgment Act.
    {¶19} Probate courts are courts of limited jurisdiction and probate
    proceedings are restricted to those actions permitted by statute and by the Ohio
    Constitution.   Corron v. Corron (1988), 
    40 Ohio St.3d 75
    , 
    531 N.E.2d 708
    ,
    paragraph one of the syllabus. The jurisdiction of a probate court is defined by
    R.C. 2101.24:
    (A)(1) Except as otherwise provided by law, the probate court
    has exclusive jurisdiction:
    ***
    (b) To grant and revoke letters testamentary and of
    administration;
    (c) To direct and control the conduct and settle the accounts of
    executors and administrators and order the distribution of
    estates;
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    Case No. 9-11-16
    ***
    (l) To render declaratory judgments, including, but not limited
    to, those rendered pursuant to section 2107.0843 of the Revised
    Code;
    ***
    R.C. 2101.24(A).          A probate court may have concurrent jurisdiction when
    another section of the Revised Code expressly confers jurisdiction upon the
    probate court and does not confer jurisdiction upon another court or agency. R.C.
    2101.24(A)(2). In addition, a probate court has concurrent jurisdiction with the
    general division of the court of common pleas when jurisdiction is stated to be
    concurrent in the Revised Code or by judicial decision; when the matter involves
    an inter vivos trust or certain specified trusts; and, in a few other specified
    instances. R.C. 2101.24(B).
    {¶20} The Declaratory Judgment Act is codified in R.C. 2721 et. seq. The
    section pertaining to probate courts, R.C. 2727.05, states that “[a]ny person
    interested as or through an executor, administrator, trustee, guardian, or other
    fiduciary, creditor, devisee, legatee, heir, next of kin, or cestui que trust, in the
    administration of a trust, or the estate of a decedent * * *, may have a declaration
    of rights or legal relations in respect to the following cases:
    3
    R.C. 2107.084 pertains to determining the validity of a will; sealing and filing a will; and the procedure
    for revoking or modifying a will.
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    (A) To ascertain any class of creditors, devisees, legatees, heirs,
    next of kin, or others;
    (B) To direct the executors, administrators, trustees, or other
    fiduciaries to do or abstain from doing any particular act in
    their fiduciary capacity;
    (C) To determine any question arising in the administration of
    the estate or trust, including questions of construction of wills
    and other writings.
    R.C. 2721.05.      Thus, taken together these sections give the probate court
    exclusive jurisdiction over declaratory actions brought “to determine any question
    arising in the administration of the estate.” (Emphasis added.) 
    Id.
    {¶21} The Siblings argue that these two statutes give a probate court the
    jurisdiction to hear declaratory judgment actions brought “to determine any
    questions arising out of the administration of an estate.” (Appellees Brief, p. 3,
    emphasis added.)      They also claim that “countless courts” have ruled that
    jurisdiction is properly with the probate court “on matters concerning the same
    issues present in this case,” and provide numerous citations. (Id. at p. 4.)
    {¶22} However, we find that the Siblings’ reasoning is incorrect on both
    grounds. First, the Siblings have misquoted and misinterpreted the statute, thereby
    changing its meaning. Second, the facts and circumstances in all of the cases cited
    by the Siblings are distinguishable and inapplicable to this case.
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    Case No. 9-11-16
    {¶23} In examining questions concerning when probate courts have
    jurisdiction to render declaratory judgments, the Supreme Court of Ohio has held
    that “the only time when the Probate Court does have the power to declare rights
    and status and the legal relations of the parties interested as heirs, executors, etc. in
    an estate is after the administration of the estate has been commenced and while it
    is still pending.”      (Emphasis added.) Radaszewski v. Keating (1943), 141 Ohio
    St.489, 499, 
    49 N.E.2d 167
    , 172.4 In dicta, the Supreme Court further commented
    that “[c]ertainly the Probate Court would not have jurisdiction to determine the
    matters at issue after the administration had been fully settled and the estate
    closed.” 
    Id.
    {¶24} The questions involved in this declaratory judgment action did not
    arise “in the administration” of any estate. The Mother died forty-four years
    earlier, and her estate was opened and then released from administration in 1988,
    twenty-two years before the Siblings filed their cause of action. The Siblings did
    not object to any of the claimed irregularities in the administration at that time and
    they did not file a timely appeal. The parties have not reopened the estate, so the
    questions posed in this cause of action did not arise in the administration of any
    4
    In Radaszewski, the Ohio Supreme Court was interpreting Section 12104-4 of the General Code, which
    “specifically confers the right to have any question determined which arises in the administration of an
    estate.” There is not any material difference between the relevant portions of Section 12104-4 of the
    General Code, effective at that time, and R.C. 2721.05, as it is written today.
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    Case No. 9-11-16
    current estate pending before the probate court. Therefore, the probate court did
    not have any statutory authority to render a declaratory judgment.
    {¶25} The cases cited by the Siblings in support of jurisdiction all involved
    declaratory actions to determine the validity of inter vivos property transfers that
    the probate court determined during the administration of an estate. See, e.g.,
    State ex rel. Lipinski v. Cuyahoga Cty. Court of Common Pleas, Probate Div., 
    74 Ohio St.3d 19
    , 22, 
    1995-Ohio-96
    , 
    655 N.E.2d 1303
    , 1306 (the allegations in the
    complaint for declaratory judgment concerning the propriety of inter vivos
    transfers were filed by the plaintiff, in her capacities as executor and administrator
    of the decedents' estates); Grimes v. Grimes, 
    173 Ohio App.3d 537
    , 2007-Ohio-
    5653, 
    879 N.E.2d 247
     (the brother, as executor, brought claims during the
    administration of the estate challenging the father’s inter vivos transfer of property
    just prior to his death); Bobko v. Sagen (1989), 
    61 Ohio App.3d 397
    , 406-07, 
    572 N.E.2d 823
     (a party responsible for the administration of an estate may bring a
    declaratory judgment action in the probate court to determine the validity of inter
    vivos transfers of property that would revert back to the estate if the transfers were
    to be found invalid). In all of the cases cited by the Siblings, it was necessary for
    the probate court to ascertain what assets were actually in the estate before making
    a final distribution. The determinations were necessary so that the probate court
    could properly administer and settle the estate. None of these cases involved the
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    interpretation and application of a statute of descent and distribution long after the
    decedent’s death nor did they involve a closed estate.
    {¶26} The facts in the case before us did not involve any inter vivos
    transfer made by the Mother prior to her death.          Furthermore, there was no
    “estate” for the property to revert back to, because the estate had been released
    from administration decades earlier.       The cases cited by the Siblings are
    completely distinguishable and are not relevant.
    {¶27} The Declaratory Judgment Act does not enlarge the jurisdiction of
    courts over subject matter. Ryan v. Tracy (1983), 
    6 Ohio St.3d 363
    , 364, 
    453 N.E.2d 661
    . Instead, it extends the power of courts to grant the additional remedy
    of declaratory relief within their respective jurisdictions. 
    Id.
     A court may grant
    declaratory relief if it finds that the action is within the spirit of the Declaratory
    Judgments Act (R.C. Chapter 2721); that a real and justiciable controversy exists
    between the parties; and that speedy relief is necessary to preserve rights that may
    otherwise be impaired or lost. Schaefer v. First Natl. Bank (1938), 
    134 Ohio St. 511
    , 
    18 N.E.2d 263
    , paragraph three of the syllabus; In re Arnott, 
    190 Ohio App.3d 493
    , 500, 
    2010-Ohio-5392
    , 
    942 N.E.2d 1124
    , 1129, ¶17. The Supreme
    Court of Ohio long ago held that the Declaratory Judgment Act is remedial in
    nature and should be liberally construed, but it does not require a court to render a
    futile judgment that would not terminate any uncertainty or controversy
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    Case No. 9-11-16
    whatsoever. Walker v. Walker (1936), 
    132 Ohio St. 137
    , 139, 
    5 N.E.2d 405
    ;
    Arnott, at ¶27. Under R.C. 2721.07, a court may refuse to render declaratory relief
    “if the judgment or decree would not terminate the uncertainty or controversy
    giving rise to the action or proceeding in which the declaratory relief is sought.”
    R.C. 2721.07.
    {¶28} The only matters that were actually decided by the probate court
    were not the questions that were the crux of the controversy between the parties.
    There was no actual controversy among the parties as to what statute applied to
    their Mother’s estate or as to what the parties were originally entitled to receive
    under the law. The issues that required resolution involved the current status of
    the title to the Property and how title to the Property may have been affected by
    the affirmative defenses raised by Ralph. And, after waiting more than four
    decades to raise these issues, the Siblings cannot claim that this is a matter that
    requires “speedy relief.” And finally, the decision clearly did not terminate the
    uncertainty or controversy as the key issues still remain to be decided by the
    general division of the court of common pleas.
    {¶29} In determining whether a declaratory judgment action is properly
    before the probate court, the primary question is whether the matter is related to
    the administration of the estate.   Zuendel v. Zuendel (1992), 
    63 Ohio St.3d 733
    ,
    736, 
    590 N.E.2d 1260
    ; Radaszewski, 141 Ohio St.489, 
    49 N.E.2d 167
    . The issues
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    in this case did not relate to the ongoing administration of an estate and were not a
    matter properly before the probate court. Accordingly, we find that the probate
    court erred when it denied Ralph’s motion to dismiss for lack of jurisdiction.
    Ralph’s second assignment of error is well-taken and is affirmed. As a result, the
    remaining assignment of error is moot.
    {¶30} Having found error prejudicial to the Appellant herein in the
    particulars assigned and argued, we reverse the judgment of the trial court and
    remand for further proceedings consistent with this opinion.
    Judgment Reversed and
    Cause Remanded
    ROGERS, P.J. and SHAW, J., concur.
    /jlr
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Document Info

Docket Number: 9-11-16

Citation Numbers: 2011 Ohio 5875

Judges: Willamowski

Filed Date: 11/14/2011

Precedential Status: Precedential

Modified Date: 10/30/2014