From the Land of Broken Dreams
February 18, 2015 § 1 Comment
I’ve posted here, here, here, here, and here about the unfortunate guardianship of Demon B. McClinton, who inherited more than $3 million dollars from his mother, who died in 1999. The guardianship was closed in 2006, but reopened later to investigate abuses in the case.
What the guardian ad litem discovered was that Demon’s guardian and others had pilfered the account to near-extinction. The attorney, Michael J. Brown, was jailed until he could either account for the missing millions, or until he could replace them. He ultimately could do neither.
Disenchanted with the chancellor’s ruling finding him in contempt, Mr. Brown appealed. You can read how the COA disposed of his appeal in In re: Guardianship of Demon B. McClinton: Michael J. Brown v. Thomas A. McClinton, decided by the COA February 3, 2015. To put it in blunt terms, his appeal was for naught.
You can read the COA’s opinion by Judge Roberts for yourself. The point I am intending to drive home here is that there are serious professional, financial, legal, and even criminal repercussions awaiting lawyers who ignore or flout their duties in fiduciary matters. Read the Uniform Chancery Court Rules, Part 6, for yourself. Or, simply consider what happened to Mr. Brown. His mishandling of this guardianship is a textbook example of how not to represent a fiduciary.
Oh, and lest you are chafing at the lawyer being saddled with the blame, check out what the court did to the guardian and his friends who benefited financially at the ward’s expense.
Sadly, however, as the opinion points out, there may be nothing that Mr. McClendon can recover from the malefactors. Whatever his dreams were for the comfortable estate that his mother left him will not be realized. There may be actions available against Mr. Brown’s malpractice carrier and the fiduciary’s bonding company. I don’t know that for a fact, but even if he pursues, those avenues, it’s doubtful that Mr. McClendon will ever recoup his losses.
Let’s not overlook the wreckage that Mr. Brown left in his wake. There is a legal practice destroyed and a reputation annihilated. The toll on his family, I am sure, has been devastating. All because he let a guardianship get out of control.
When an Estate is Unnecessary
February 17, 2015 § Leave a comment
The children and widow shuffle into your office. The father and husband has passed on, and they want you to open his estate.
The only assets are a bank account in his sole name with a balance of $6,000, and stock certificates with a value of around $10,000. They’d like you to get the estate opened up so that they can divvy things up and get on with their lives.
Is an estate necessary to get them the money in the bank account and to transfer the stock?
Don’t forget that this property is most likely exempt so that an estate would not be necessary. You can read a prior post about that subject here. But even so, how can you get the funds into the hands of the family without probate?
MCA 81-5-63 provides that any “banking institution” in Mississippi may pay to the “successor” of the decedent any sum to the credit of the decedent up to $12,500, without any court order and free of any liability. The term “successor” includes: (1) the surviving spouse; or, (2) if no surviving spouse, the adult with whom the minor children are residing; or (3) if there is no surviving spouse or no minor children, then either parent of the decedent; or (4) if none of the above, then any adult sibling of the decedent.
MCA 91-7-322 allows any person indebted to a decedent, or having personal property of the decedent, or having negotiable instruments, including stock certificates, of the decedent, to deliver, transfer, or issue the item to the decedent’s successor (as defined above). There are several conditions attached to this code section. They must be incorporated into an affidavit presented to the holder that provides as follows:
- The value of the decedent’s entire estate, excluding liens and encumbrances, can not exceed $50,000; and
- At least 30 days have elapsed since the death of the decedent; and
- No application for appointment of an executor or administrator is pending, nor has one been appointed by a court; and
- The facts of the relationship to the decedent that establish the status of “successor.”
You should read these statutes carefully before advising your clients. The language above is merely a summary. Both statutes give the successor(s) power of disposition over the funds or assets.
These are tools you can use to avoid getting entangled in one of those estates that you can’t ever seem to wind up, and to which you devote many thankless and uncompensated hours. Only last week I commiserated with an attorney about one of those cases, and we agreed that it would be advantageous if lawyers had a crystal ball to divine the future of estates before taking them on. Alas, there is no such prophetical device. One has to rely on one’s own judgment without benefit of foresight.
Courthouses of Mississippi
February 13, 2015 § 1 Comment
Today we begin our tour of Mississippi’s courthouses, chancery buildings, and historic courthouses. Readers sent in many of the pics you will see. We still have many to go, so please send yours to lprimeaux@comcast.net. They don’t have to be works of art.
Designed to Fail
February 12, 2015 § 3 Comments
The COA case Miles v. Miles, handed down January 27, 2015, is a study in how not to draft a PSA.
Carlos and Brenda Miles had gotten an irreconcilable-differences divorce in 2000. The PSA included the following language:
“[Carlos] shall place [Brenda’s] name on his Individual Retirement Account (IRA) Certificate of Deposit at [the] Bank of Mississippi, as joint tenants with full rights of survivorship.”
When Carlos went to do what the language required of him, he was spurned by the bank because an IRA (note that the I stands for Individual, not joint) can only be in the name of the owner; there is no such thing as a jointly-owned IRA.
A dozen years later, Brenda had to go back to court to get the chancellor to re-jigger the arrangement to get what she should have been entitled to in the first place. That’s a second trip to court, with a second set of attorney’s fees and separate time away from work and other lifely activities to set right what could have been addressed in 2000 with effective language in the PSA.
Aside from the glaring fact that the agreement required the parties to do the impossible, it also failed to set out the balance in the account, or to state that each party was to own one-half (or any other percentage), or to establish who would have the tax responsibility. No date was set to carry out the agreement.
When you draft a PSA, don’t just take your client’s notes and couch them in legalese sufficient to pass your judge’s scrutiny. Engage your brain and bring your training, background, and experience to bear for the benefit of your client.
Your responsibility, as a competent lawyer, is to draft an agreement in such a way that it will do everything it is supposed to do with the result that your client intended, without any court ever having to guess what the language meant. That is a lofty responsibility, and to do it right requires a thoughtful, careful approach. Slapping some words together on a page to satisfy a client today will only buy that client grief and resentment against you later (hopefully after the statute of limitations has run).
If you approach every agreement you draft with this responsibility in mind, you will not achieve the goal 100% of the time. No lawyer is perfect. But if you aim for 100%, your success rate will be considerably better than most other attorneys, and unquestionably better than that of the word-slappers.
The needless train wreck in this case could have been avoided if the agreement had said that the IRA would be divided, one-half each (or even better, stating specific amounts), and that hers would be deposited (or rolled over) into her own qualified account, and that each party would be responsible for the tax consequences associated with his or her own share of the account.
If you don’t understand how these things work, I suggest you refer these type clients to someone who can do a competent job.
… And More on Pitfalls of TRO’s …
February 11, 2015 § Leave a comment
Adding to the thoughts about TRO’s from Monday …
Chancellor David Clark rendered an opinion in a case in which he had granted a TRO without notice, but concluded at the full hearing that it was unfounded. Here is an excerpt from his opinion on the defendant’s motion for sanctions:
The dismissal of a complaint, whether by the Court or by the plaintiff, operates as a dissolution of any injunction issued thereunder. It also establishes the fact that it was wrongfully sued out and that the defendant is entitled to recover whatever damages he sustained by the issuing of the same. Warner’s Griffith, Mississippi Chancery Practice (Rev. Ed.), §463, citing Johnson v Howard, 141 So. 573 (Miss. 1932), and Day v McCandless, 142 So. 486 (Miss. 1932).
Rule 65(c), Mississippi Rules of Civil Procedure, provides:
(c) Security. No restraining order or preliminary injunction shall issue except upon the giving of security by the applicant, in such sum as the court deems proper, for the payment of such costs, damages, and reasonable attorney’s fees as may be incurred or suffered by any party who is found to have been wrongfully enjoined or restrained; provided, however, no such security shall be required of the State of Mississippi or of an officer or agency thereof, and provided further, in the discretion of the court, security may not be required in domestic relations actions. The provisions of Rule 65.1 apply to a surety upon a bond or undertaking under this rule. (Emphasis added)
In Broome v Hattiesburg Building and Trades Council, 206 So.2d 184 (Miss. 1967), the Court held that: . . . [I]t has become well settled in this state that in suits upon injunction bonds no recovery may be had against principal or sureties in excess of the penalty of the bond. Broome, 206 So.2d, 188.
Further, as noted in 42 Am Jur 2d, Injunctions, §359: It is the well-established general rule that there is no liability in tort for the damages caused by the wrongful suing out of an injunction, unless the circumstances give rise to a cause of action for malicious prosecution. . . On the other hand, the statutes of the majority of the states require an injunction bond, under which the principal and surety may be liable for damages if the injunction is wrongful or is dissolved.
Also, see 43A C.J.S., Injunctions, §314: Under statutes so providing, damages may be awarded where occasioned by the wrongful entry of an injunction, and liability may be fixed by the bond the complainant is required to give as a condition to the granting of the injunction, as discussed infra §315. Apart from such statutory liability, since the seeking of injunctive relief is not a tort, in the absence of a bond or security there may be no recovery of damages for the issuance of an injunction, even though it may have been granted without just cause; and recovery may not be had unless the person enjoined can make out a case of malicious prosecution by showing malice and want of probable cause on the part of the person who obtained the injunction.
The bottom line is this: (1) The Chancellor has the discretion, but is not required, under MRCP 65(c) to waive the requirement of bond in domestic relations actions1; (2) If the Chancellor, in the exercise of that discretion, waives the requirement of bond, the defendant is precluded from thereafter recovering damages of and from the plaintiff for the wrongful suing out of the TRO; (3) unless the defendant can make out a case of malicious prosecution by showing malice and want of probable cause on the part of the person who obtained the injunction.
In this action, since the requirement of bond was waived by the Chancellor issuing the TRO, the defendant is precluded from recovering her damages in this action. However, this does not prevent her from filing an action in tort. Therefore, the Amended Motion of the Defendant for Sanctions will be, and the same is hereby denied and dismissed.
Based on that authority, I think that the idea of a bond in domestic TRO’s without notice is something that should move from the rear of the judge’s mind to the forefront. It’s a way of establishing some balance in the situation, because we are being asked to grant immediate relief without giving the other side any opportunity to be heard. The bond requirement can discourage less-than-meritorious filings while at the same time providing insurance that the defendant will not be out attorney’s fees and costs if the case is dismissed. In other words: you can proceed with this if you really believe it will stand up, but there will be something at stake if it does not.
Of course, the chancellor can always exercise discretion to waive bond in exigent cases.
I am not aware of any cases under the Litigation Accountability Act or MRCP 11 involving dismissed TRO’s. If anyone knows of any decisions, please let us know. There should be no impediment to proceeding under either authority, as far as I know.
Finally, here are some sage observations that Judge Clark added on the subject of TRO’s without notice:
My experience has taught me that the granting of a TRO without notice only exacerbates the tension and strife between the parties, and between their counsels. I understand that. If I were at home on a Saturday watching a game on TV and a deputy Sheriff knocked on my door and told me I have to move out of my house, immediately, and allow the deputy to take my son to his mother, all without notice to me, I would be upset; I would be convinced that “the fix is in.” I have found that I can better deal with the issues if both parties are present before the Court. If I can look both parties in the eye and explain to the husband, for instance, why I feel he needs to move out of this house and why I think the children should go with their mother, he at least has had an opportunity to participate and to have his say. He may disagree with the ruling but he has not been denied his right to participate; his due process rights. In almost every case wherein I have been asked for a TRO without notice, I subsequently find at a hearing with both parties present that the factual situation has been exaggerated and distorted. Your experience may be different and I would not presume to indicate otherwise. I am only suggesting that we, as Chancellors, should be wary of TRO’s without notice. I think that is what Rule 65 requires.
A Few Thoughts about TRO’s
February 9, 2015 § 3 Comments
Before you read any farther, please go back and read this previous post about TRO’s that Work.
It seems that lawyers seeking injunctive relief via temporary restraining orders (TRO’s) is becoming a more frequent phenomenon in chancery court. The scenarios are varied, but the common thread is that the party seeking a TRO under MRCP 65 wants something pre-emptive done right now.
The most problematical TRO is the one issued without notice. It’s problematical primarily because it requires the judge to issue an order that restrains the other party without the opportunity to be heard. In case you’ve forgotten since law school, that right to be heard is not only a maxim of equity, but it is also commonly referred to as “due process,” as guaranteed in the Fifth Amendment to the US Constitution, a right generally regarded as the cornerstone of our justice system.
So here are a few thoughts:
- Judges don’t like TRO’s without notice. They go against the grain of just about everything our court system stands for. That does not mean that in the necessitous circumstance the judge will not grant it. It means rather that you can expect scrutiny, skepticism, and close questioning from the chancellor. Why can notice not be given to the party, or, in the case of pending litigation, to counsel opposite?
- Simply pleading that this is an emergency situation does not elevate your case to the standard required by MRCP 65.
- Your complaint must either be sworn to by the party with actual knowledge or include an affidavit of such a person. Specific facts must be stated. General conclusions, labels, supposition, speculation, and hearsay will not do the job.
- The complaint must describe what irreparable injury will result if the relief is not granted before the other side can be heard in opposition.
- The attorney must present a separate certificate stating the efforts, if any, that he or she has made to give notice to the other side, and reasons why advance notice should not be given.
- If you lack any of the required essentials of R65, your request will be rejected.
Asking for TRO relief is one of those things that can take a toll on your reputation with the court. Unfounded or unsuccessful TRO attempts sound like crying wolf, and can undermine your credibility with your judge. If you have to file for R65 relief, particularly without notice, make sure the claim has merit, warrants action without notice, and will bear up under cross-examination at the full hearing.
Legislation Watch
February 5, 2015 § 6 Comments
Here is a list of bills that may affect chancery court practice, are still pending before the legislature, and are “not dead” as of 2-3-15:
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Rule against perpetuities; revise with respect to certain trusts. |
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Estates; provide for a statutory order of abatement for shares of distributees of property of a deceased. |
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Foreign executor or administrator; revise authority of financial institutions to turn over property or funds of a decedent to. |
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Conservator; allow appointment for a single transaction. |
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Courts; prohibit from applying foreign law under certain circumstances. |
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Divorce; revise habitual cruel and inhuman treatment to include verbal, emotional or psychological abuse. |
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Commercial Real Estate Broker Lien Act; clarify definition of “commercial real estate” under. |
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Title disputes; clarify jurisdiction of state courts in certain. |
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Domestic violence; revise procedures related to. |
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Child abuse; clarify mandatory reporting by school officials. |
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Child neglect; add children left alone in motor vehicles to definitions of. |
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Estate bond requirement; authorize court or chancellor to waive. |
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HB 703 |
Judicial redistricting; revise. |
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Visitation rights; amend Grandparents’ Rights Law to include great-grandparents. |
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Suits against the state; Supreme Court to have original jurisdiction for claims seeking injunctive relief. |
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Landlord-tenant; provide for disposition of personal property remaining on the premises after removal of the tenant. 01/28 (H) Title Suff Do Pass |
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HB 713 |
Mississippi Private Investigation Regulatory Act; create. |
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Property Insurance Clarity Act; create. |
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Court reporters; increase salary for those in circuit, chancery and county courts. |
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HB1101 |
Professional privilege tax; impose on persons who practice in state and who are not domiciled in and do not maintain regular place of business in state. |
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HB1319 |
Marshals and constables; revise fees charged for service of process. |
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Domestic violence; clarify entry of criminal protection orders in the registry. |
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False report of child abuse or neglect; provide criminal penalties and civil liability. |
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Visitation; allow to third party under certain limited circumstances. |
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Civil commitment; include nurse practitioners as authorized evaluators. |
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Children in custody of DHS; require notification of parents of child’s siblings in conformity with federal law. |
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Child support; may continue past age of majority for a disabled child. |
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Court reporters; increase annual salary of. |
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SB2231 |
Constables; revise fees charged for service of process. |
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Easements; clarify purchase of for access. |
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Uniform Interstate Family Support Act; create (corrected). |
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Mississippi Uniform Limited Partnership Act; revise and expand. |
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Real property liens; clarify Notice of Contest of Lien form. |
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SB2390 |
Service of process; sheriff may retain fee for attempt to serve. |
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SB2542 |
Limited liability companies; delete repeal clause on fees. |
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Legal proceeding; child witness to receive accommodations. |
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Trial courts; redistrict. |
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Mourn the loss and commend the life and public service of former Senator and Judge Ray Montgomery. |
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Mourn the loss and pay tribute to the judicial leadership of former Mississippi Supreme Court Chief Justice Roy Noble Lee. |
















