IN THE MISSOURI COURT OF APPEALS
WESTERN DISTRICT
STATE OF MISSOURI ex inf. )
CHARLES J. DYKHOUSE, BOONE )
COUNTY COUNSELOR, in his official )
capacity, )
)
WD79352
Respondent, )
)
OPINION FILED:
v. )
January 17, 2017
)
)
CITY OF COLUMBIA, MISSOURI, )
)
Appellant. )
Appeal from the Circuit Court of Boone County, Missouri
The Honorable Gary M. Oxenhandler, Judge
Before Division Two: Lisa White Hardwick, Presiding Judge, and
Karen King Mitchell and Anthony Rex Gabbert, Judges
Charles J. Dykhouse filed a petition in quo warranto, purportedly in his capacity as Boone
County Counselor, seeking to oust the City of Columbia from engaging in any tax increment
financing (TIF) projects for a minimum of five years. Dykhouse argued that, while engaged in
previous TIF projects, City violated the statutory reporting requirements for municipalities
engaging in TIFs and, therefore, lost its authority to continue engaging in TIF projects by operation
of law. Despite numerous objections, writ petitions, and dispositive motions from City arguing
that Dykhouse lacked authority to file a quo warranto action and that the alleged violations did not
fall within the purview of quo warranto proceedings, the circuit court nonetheless entered a
judgment of ouster, prohibiting City “from implementing any new tax increment finance
project . . . through December 31, 2019.” Because Dykhouse lacked authority to seek quo
warranto and because City’s alleged violation is not the proper subject for a quo warranto
proceeding, we reverse the decision of the trial court with instructions to dismiss the petition.
Background
A. The TIF Act, §§ 99.800-99.8651
“The TIF Act authorizes a city to undertake a redevelopment project under certain
conditions laid out in Section 99.810.” State ex rel. City of Desloge v. St. Francois Cty., 245
S.W.3d 855, 858 (Mo. App. E.D. 2007). “Funds for the redevelopment project come essentially
from the future increase in the value of the land once the redevelopment project is complete.” Id.
“The TIF Act calls for the city implementing the plan to create a TIF Commission to formulate the
plan and oversee its implementation.” Id. “The Commission’s actions are subject to the final
approval of the governing body of the municipality.” Id. “The Commission’s recommendations
go into effect upon the municipality’s adoption of them by ordinance or resolution.” Id. “Once
the redevelopment plan is in place, the municipality begins to accumulate funding in a special
allocation fund.” Id. “Each year that the post-plan assessed value of the taxable real property
within the redevelopment project area exceeds the pre-plan assessed value, property taxes on the
increase in value are abated.” Id. “Instead of paying taxes, the landowners make payments in lieu
of taxes equal to the amount the taxes would have been after improvements.” Id. “Those payments
go into the special allocation fund.” Id.
1
All statutory citations are to the Revised Statutes of Missouri 2000, as updated through the 2013 Cumulative
Supplement, unless otherwise noted.
2
Under § 99.865, municipalities engaging in TIF projects have certain reporting obligations
regarding the status of each redevelopment plan and project. Before 2009, the statute was silent
regarding any penalty for noncompliance. But, in 2009, § 99.865.7 was enacted, and it provided:
“Any municipality which fails to comply with the reporting requirements provided in this section
shall be prohibited from implementing any new tax increment finance project for a period of no
less than five years from such municipality’s failure to comply.” 2009 Mo. Laws 379 (HB 191).
B. City’s TIF projects and quo warranto proceedings
Beginning in 2009, under the authority of the TIF Act, City engaged in the creation of three
separate TIF projects—the 10th and Locust Redevelopment Plan, the Tiger Hotel Redevelopment
Plan, and the Regency Hotel Redevelopment Plan. The 10th and Locust Redevelopment Plan was
never constructed, but both the Tiger Hotel and the Regency Hotel Redevelopment Plans were
substantially complete and in operation by 2014. In December 2013, City began an evaluation to
determine whether to establish an additional TIF district in central Columbia, and it performed a
cost-benefit analysis to determine feasibility.
On January 24, 2014, the Boone County Commission (Commission) sent a letter to City
via the city council (Council), formally requesting City to abandon any efforts to create a
downtown TIF district. The Commission identified various concerns and asked to be included in
a discussion of possible alternative solutions. The Commission’s letter closed by expressing a
desire “to avoid a needless and costly legal battle regarding Columbia’s ability to implement any
new tax increment financing projects due to its failures to provide required, annual reporting on
its existing TIF efforts.” The Commission requested that City “terminate the TIF effort currently
underway” and confirm its intent to do so no later than January 31, 2014.
3
On February 6, 2014, Dykhouse, purportedly acting ex officio as the Boone County
Counselor, filed a petition in quo warranto, naming City as Respondent, seeking a “[j]udgment of
[q]uo [w]arranto finding that [City, via the operation of § 99.865.7] lacks the authority it is
usurping to itself by attempting to engage in a new TIF project[ and] ordering that such lack of
authority will persist through at least December 31, 2017.” Dykhouse alleged that his authority to
file the petition derived from § 56.640.3.
On February 17, 2014, City abandoned its effort to create the central Columbia TIF district,
and as of April 2014, City was no longer pursuing the formation of any TIF district within its
borders.
In response to Dykhouse’s petition, City repeatedly, but unsuccessfully, argued in
dispositive motions and writ petitions that Dykhouse, as County Counselor, lacked standing to
bring a quo warranto action, that quo warranto did not lie under the facts alleged, and that the issue
was not ripe in light of the fact that City had abandoned its only effort to create a new TIF district.
The trial court rejected City’s arguments and entered findings of fact and conclusions of law,
determining that City had repeatedly violated its reporting obligations under § 99.865 and was,
therefore, “prohibited from implementing any new tax increment finance project for a period of
no less than five (5) years from the last violation of the reporting requirements of RSMo §99.865,
or through December 31, 2019.” City appeals.
Analysis
City brings nine points on appeal. In its first point, City argues that the trial court erred in
finding the matter ripe for review in light of the facts that City had abandoned its only existing
effort to create a new TIF district and had no new plans in the works. In its second point, City
argues that the trial court erred in finding that quo warranto was the appropriate vehicle for
4
Dykhouse’s challenge, as City had the power to create TIF districts and, therefore, was not a
usurper. In its third and fourth points, City argues that Dykhouse, as a County Counselor, either
lacked standing to bring a quo warranto action or failed to prove necessary facts to establish
standing. In its fifth and sixth points, City challenges the trial court’s determination that City
violated its reporting obligations. In its seventh and eighth points, City challenges the admission
of certain evidence as beyond the scope of the pleadings. And in its ninth and final point, City
argues that the trial court erred in finding that the most recent violation occurred on December 31,
2014. Because we find the second and third points dispositive, we do not reach City’s remaining
points.
A. Dykhouse lacked authority to bring a quo warranto action.
In its third point on appeal, City argues that Dykhouse lacked “standing” to bring a quo
warranto action because (among other reasons) he is neither the Attorney General nor the county
prosecutor. We find that Dykhouse had no authority to bring a quo warranto action.
“[A]ppellate review of whether a party has standing to sue is conducted de novo.” Exec.
Bd. of Mo. Baptist Convention v. Carnahan, 170 S.W.3d 437, 445 (Mo. App. W.D. 2005). “The
question of standing is determined as a matter of law, based upon the petition ‘along with any other
non-contested facts accepted as true by the parties at the time the motion to dismiss was argued.’”
Id. (quoting Inman v. Mo. Dep’t of Corr., 139 S.W.3d 180, 184 (Mo. App. W.D. 2004)). “The
question of standing is a threshold issue.” Id. “A party cannot obtain relief from a court if that
party lacks standing.” Id. (quoting Cont’l Coal, Inc. v. Mo. Land Reclamation Comm’n, 150
S.W.3d 371, 378 (Mo. App. W.D. 2004)).
5
When Dykhouse filed the petition, he purportedly did so on personal information.2
Rule 98.02,3 at the time the petition was filed in 2014, provided that, when based upon personal
information, “[a]ny of the following may be relators [in a proceeding for quo warranto]: . . . [t]he
attorney general of this state . . . or . . . [t]he prosecuting attorney.” But Dykhouse was neither the
Attorney General nor the prosecuting attorney. As County Counselor, he did not fall within the
purview of proper relators under Rule 98.02. See State ex rel. St. Charles Cty. Counselor v. City
of O’Fallon, 53 S.W.3d 211, 213-14 (Mo. App. E.D. 2001) (noting that a county counselor
constituted a private relator and, therefore, could prosecute an action in quo warranto “only . . . if
the Attorney General or the prosecuting attorney authorize[d] the action.”).
In the petition, however, Dykhouse invoked the authority of § 56.640.3. That statute
provides,
Notwithstanding any law to the contrary, the county counselor in any county of the
first classification and the prosecuting attorney of such county may by mutual
cooperation agreement prosecute or defend any civil action which the prosecuting
attorney or county counselor of the county is authorized or required by law to
prosecute or defend.
Dykhouse argued that he and the Boone County Prosecutor had entered a mutual cooperation
agreement and that Dykhouse was, therefore, authorized—by virtue of the county prosecutor’s
authority under Rule 98.02—to bring a quo warranto action. In support of his argument, Dykhouse
presented the following affidavit to the trial court from the Boone County Prosecutor:
2
Though Rule 98.02(b)(2) permits quo warranto proceedings to be brought on behalf of a private party “with
a special interest in the subject matter of the action,” Dykhouse has repeatedly stated that he brought the current action
on his own information in his official capacity as the Boone County Counselor and not as a private party.
3
All Rule references are to the Missouri Supreme Court Rules (2014), unless otherwise noted.
6
Dykhouse presented no further evidence regarding the date, nature, or scope of the agreement.4
The question then is, to the extent that § 56.640.3 is inconsistent with Rule 98.02 as to who
may be a relator in a quo warranto action, whether Rule 98.02 or § 56.640.3 controls. We have
found no case law regarding the interplay between Rule 98.02, as it existed in 2014, and § 56.640.3.
The City of O’Fallon case cited above did not involve any alleged mutual cooperation agreements
4
Though City sought disclosure of this information, Dykhouse argued below that it was protected from
discovery by attorney-client privilege. It appears that the trial court accepted this argument, and City has not
challenged that ruling on appeal. We are, however, dubious of this claim, as nothing in § 56.640.3 suggests that either
party to a mutual cooperation agreement would have the ability to ethically act in a representative capacity for the
other in entering the agreement. Though § 56.640.1 provides that “the county counselor . . . shall represent the county
and all departments, officers, institutions and agencies thereof, except as otherwise provided by law,” it is also limited
to only “civil suits or actions in which the county or any county officer . . . is a party.” Plainly, a mutual cooperation
agreement under § 56.640.3 is not a civil suit or action requiring any representation by the county counselor. While
§ 56.640.1 provides a mechanism for a county counselor to provide opinions, upon request, to any county officer,
even if such a request could involve the decision of whether to enter a mutual cooperation agreement with the county
counselor himself, such opinions, by express terms of the statute, must be in writing. Such requirements are
presumably to avoid coming within the crosshairs of Rule 4-1.11(e)(1), which provides that “[a] lawyer holding public
office shall not attempt to influence any agency of any political subdivision of which such lawyer is a public officer,
other than as a part of his or her official duties . . . .”
7
between the county counselor and the county prosecutor. Rather, the county counselor in that case
argued that its authority derived from the county’s charter, which provided that “the County
Counselor shall have . . . the authority to file an action in quo warranto.” City of O’Fallon, 53
S.W.3d at 213. The Eastern District rejected the argument, finding that, regardless of the county’s
charter provision, “the Counselor was still required to comply with Rule 98.02 and
Section 531.010,[5] which govern proceedings in Quo Warranto.” Id. at 214.
The Missouri Constitution provides that “[t]he supreme court may establish rules relating
to practice, procedure and pleading for all courts and administrative tribunals, which shall have
the force and effect of law[,]” but “[t]he rules shall not change substantive rights.” Mo. Const.
art. V, § 5. Therefore, if there is an inconsistency on a substantive issue between a statute and a
rule, the statute controls. On the other hand, if a rule is procedural in nature, it will control unless
expressly modified by the legislature under limited circumstances discussed infra. Dykhouse
argues that “The class of potential plaintiffs entitled to bring a Quo Warranto action is a substantive
5
Section 531.010 provides:
In case any person shall usurp, intrude into or unlawfully hold or execute any office or franchise,
the attorney general of the state, or any circuit or prosecuting attorney of the county in which the
action is commenced, shall exhibit to the circuit court, or other court having concurrent jurisdiction
therewith in civil cases, an information in the nature of a quo warranto, at the relation of any person
desiring to prosecute the same; and when such information has been filed and proceedings have
been commenced, the same shall not be dismissed or discontinued without the consent of the person
named therein as the relator; but such relator shall have the right to prosecute the same to final
judgment, either by himself or by attorney; provided if the person named therein is a member or
employee of the judicial branch of government, and the persons desiring to prosecute the proceeding
include the majority of the circuit and associate circuit judges of the circuit in which that person is
employed, the suit may proceed without the approval or participation of the attorney general or any
prosecuting attorney, and for all purposes under this chapter, such judges shall be considered the
“relator” and may file and prosecute such matter without costs as provided by section 531.050. If
such information be filed or exhibited against any person who has usurped, intruded into or is
unlawfully holding or executing the office of judge of any judicial circuit, then it shall be the duty
of the attorney general of the state, or circuit or prosecuting attorney of the proper county, to exhibit
such information to the circuit court of some county adjoining and outside of such judicial circuit,
and nearest to the county in which the judge so offending shall reside.
The statute was declared unconstitutional, in part, in State ex inf. Nixon v. Kinder, 89 S.W.3d 454, 458 (Mo. banc
2002), insofar as it allowed “one circuit court [to] exercise such authority over another judge of an adjoining circuit.”
8
right, not a procedural matter,” and, therefore, § 56.640.3, which arguably expands those who may
act as a relator to include a county counselor who has entered into a mutual cooperation agreement
with a county prosecutor, controls. Thus, a threshold question we must answer before determining
what effect, if any, § 56.640.3 has on Rule 98.02, is whether the Rule is procedural or substantive.
Though the parties discuss Rule 98.02 in terms of whether it provides Dykhouse with
“standing” to seek quo warranto, the concept of “standing” differs slightly from the purpose of
Rule 98.02. “Standing is a question of whether ‘the parties seeking relief . . . have some personal
interest at stake in the dispute.’” State ex rel. Collector of Winchester v. Jamison, 357 S.W.3d
589, 594 (Mo. banc 2012) (quoting Ste. Genevieve Sch. Dist. R-II v. Bd. of Alderman of the City
of Ste. Genevieve, 66 S.W.3d 6, 10 (Mo. banc 2002)). But what Rule 98.02 provides to the named
permissible relators is “not [a] personal interest in the proceedings,” but rather “authority or
qualification to sue.” Id. at 595.
Procedural law prescribes a method of enforcing rights or obtaining redress for their
invasion; substantive law creates, defines and regulates rights; the distinction
between substantive law and procedural law is that substantive law relates to the
rights and duties giving rise to the cause of action, while procedural law is the
machinery used for carrying on the suit.
Id. (quoting Wilkes v. Mo. Highway and Transp. Comm’n, 762 S.W.2d 27, 28 (Mo. banc 1988)).
Rules “dealing merely ‘with the means by which the parties may assert their underlying rights,’
but not otherwise defining ‘the nature or the extent of the underlying rights,’ are procedural.” Id.
(quoting State ex rel. K.C. v. Gant, 661 S.W.2d 483, 485 (Mo. banc 1983)).
In Jamison, the Court had to determine whether a statute, § 71.675, which purported to
preclude “cities and towns from serving as class representatives in suits to enforce or collect
business license taxes imposed on telecommunications companies,” was procedural or
9
substantive.6 Id. at 590, 594. The respondent argued that § 71.675 was related to standing, which
was a substantive issue. Id. at 594. But the Missouri Supreme Court disagreed, noting that “[w]hat
section 71.675 purports to take from cities and towns . . . is not . . . their standing to sue but rather
their right to do so as a representative of other cities and towns in suits against telecommunications
companies.” Id. at 595. The Court held that, “[a]s a statute governing the ‘machinery [to be] used
for carrying on the suit,’ and prescribing the means by which cities and towns may assert their
rights, [Missouri Supreme] Court[] precedent instructs that section 71.675 is procedural.” Id.
(quoting Wilkes, 762 S.W.2d at 28) (internal citation omitted).
The same is true here. When either the Attorney General or a prosecuting attorney acts
ex officio to bring a quo warranto action, it is not to remedy a personal interest, but instead is done
“by virtue of the power of his [or her] office” in order to “serve the public interest.” City of Lake
St. Louis v. City of O’Fallon, 324 S.W.3d 756, 760 (Mo. banc 2010) (quoting State ex inf. Graham
v. Hurley, 540 S.W.2d 20, 22 (Mo. banc 1976)). In other words, the rule addresses “merely
‘. . . the means by which . . . underlying rights’” may be asserted, but it does not define “the nature
or the extent of the underlying rights.” Jamison, 357 S.W.3d at 595 (quoting Gant, 661 S.W.2d at
485). Thus, Rule 98.02’s identification of permissible relators is procedural.
Simply characterizing a rule as procedural, however, does not insulate it from subsequent
legislative action. “The very constitutional provision giving th[e Missouri Supreme] Court the
authority to establish procedural rules that have the force and effect of law also provides the
legislature with a specific mechanism for modifying those rules by providing that ‘[a]ny rule may
6
As in this case, State ex rel. Collector of Winchester v. Jamison, 357 S.W.3d 589, 594 (Mo. banc 2012)
addressed the interplay between a statute and a rule. Section 71.675 purported to preclude cities and towns from
serving as class representatives in certain suits, while Rule 52.08 governed the requirements and qualifications for
filing class actions, generally. Id. at 591-92. The question presented was whether the statute prevailed over the rule.
Id. at 591.
10
be annulled or amended in whole or in part by a law limited to the purpose.’” Id. at 592 (quoting
Mo. Const. art. V, § 5). “Although the legislature thereby is given the authority to annul or amend
procedural rules created by the Court, ‘[t]he constitutional prescription of the manner in which the
General Assembly must act is of pristine importance.’” Id. (quoting Gant, 661 S.W.2d at 485).
“A law, to qualify as one limited to the purpose of amending or annulling a rule, must[: (1)] refer
expressly to the rule and [(2)] be limited to the purpose of amending or annulling it.” Id. (internal
quotations omitted).
The 2014 version of Rule 98.02 became effective on January 1, 1994, thus predating the
enactment of § 56.640.3 in 2003. But § 56.640 makes no mention of Rule 98.02 and is
unquestionably broader in application than Rule 98.02, given that it permits county counselors to
“prosecute or defend any civil action which the prosecuting attorney . . . is authorized . . . to
prosecute or defend.” § 56.640.3 (emphasis added). Thus, given that the legislature did not follow
the constitutionally mandated steps to amend Rule 98.02 in enacting § 56.640.3, it is evident that
altering the list of permissible relators in quo warranto actions was not the legislative intent behind
§ 56.640.3.7 Accordingly, regardless of whether Dykhouse met his burden of establishing the
existence of a mutual cooperation agreement under § 56.640.3, such an agreement would not have
provided him with the authority to bring a quo warranto action in his own name.8
Though Dykhouse did not fall within Rule 98.02’s list of proper relators at the time he filed
his petition, the Rule has since been amended. On June 10, 2015, Rule 98.02 was amended to
include county counselors in the list of approved relators for quo warranto actions, and the
7
Additionally, the legislature did not amend § 531.010 to reflect any change in permissible relators in quo
warranto actions when it enacted § 56.640.3, thus further evidencing its lack of intent to alter the procedures for filing
such actions.
8
Below, City argued that any mutual cooperation agreement executed under § 56.640.3 must be in writing.
City has abandoned that argument on appeal, and our own research discloses no direct authority requiring a writing.
That being said, however, it would seem that public policy, as articulated in Missouri’s Sunshine Law, § 610.010
et seq., would favor such agreements being in writing so as to facilitate government transparency.
11
amended Rule became effective on January 1, 2016—after the judgment was entered below but
before City filed its notice of appeal. Dykhouse argues that the amendment of the Rule simply
clarifies the Court’s intent that county counselors have the ability to seek quo warranto. We
disagree.
Quo warranto proceedings, designed to protect the public interest, are an exercise of the
police power of the state. See State ex rel. Rouveyrol v. Donnelly, 285 S.W.2d 669, 674 (Mo. banc
1956) (noting that the police power includes the power to enact laws promoting order and the
general welfare of society). This power cannot be delegated to private persons, and “[a] person,
official or private, can have no greater part in the exercise of the police power than is accorded
him by law.” Id.
Though amended Rule 98.02 would now allow Dykhouse, as County Counselor, to seek
quo warranto in his own name, a relator in a quo warranto proceeding “must have that authority
before he may proceed.” State ex rel. Schneider’s Credit Jewelers v. Brackman, 272 S.W.2d 289,
296 (Mo. banc 1954) (emphasis added). This is because the existence of a proper relator “is a
jurisdictional requirement” in a quo warranto proceeding. State ex inf. Joyce-Hayes v.
Twenty-Second Judicial Circuit, 864 S.W.2d 396, 399 (Mo. App. E.D. 1993). In other words, to
invoke the jurisdiction of the circuit court to decide a quo warranto action, the relator filing the
petition must have the authority to do so at the outset of the proceedings. See Lee v. Jamison, 338
S.W.3d 844, 846 (Mo. App. E.D. 2011) (holding that “[t]he lower court lacked jurisdiction to hear
th[e] case because it was filed without proper authority.”).
Contrary to Dykhouse’s argument, the change in Rule 98.02 does not clarify a preexisting
intent for county counselors to have the authority to bring quo warranto actions; rather, “this
amendment is ‘a significant factor’ and highly persuasive that the prior law did not contemplate
12
that [county counselors] were parties to the proceedings.” Rouveyrol, 285 S.W.2d at 677
(emphasis added) (quoting State ex inf. Gentry v. Long-Bell Lumber Co., 12 S.W.2d 64, 80 (Mo.
banc 1928)). “The specific provision of the amendment that” county counselors be allowed to
serve as relator in a quo warranto action “is a legislative construction that the right did not exist
under the law applicable to this case.” Id. (emphasis added). “In interpreting [rules], we employ
the same rules of construction that we use when interpreting statutes.” State ex rel. Office of Pub.
Counsel v. Missouri Pub. Serv. Comm’n, 301 S.W.3d 556, 565 (Mo. App. W.D. 2009).
In sum, because neither the applicable version of Rule 98.02 nor § 56.640.3 granted county
counselors authority to seek quo warranto at the time Dykhouse filed his petition, the trial court’s
jurisdiction was never properly invoked, and this case should have been dismissed.
Point III is granted. The trial court’s decision is reversed, and the matter is remanded with
instructions to dismiss.
B. Quo warranto does not lie to prevent an improper exercise of power lawfully
possessed.
Although our resolution of City’s third point fully disposes of the appeal, because county
counselors are now authorized relators in quo warranto proceedings, we find it necessary to further
address City’s second point, wherein it contends that quo warranto does not lie under the facts of
this case, as the issue may arise again.
Quo warranto proceedings are governed by § 531.010 and Rule 98. The statute and Rule
provide for the remedy of ouster “[i]n case any person shall usurp, intrude into or unlawfully hold
or execute any office or franchise.” § 531.010. Dykhouse alleged that City, by taking steps to
create a TIF, was “usurping to itself a power it [did] not possess,” on the theory that City’s existing
“power to implement new TIF programs [was] removed by operation of state law, pursuant to
RSMo § 99.865.” In other words, Dykhouse argues that the penalty provided by § 99.865.7 is
13
self-executing and automatically applied to remove City’s authority to implement new TIF
programs for a period of at least five years, upon its failure to comply with the reporting obligations
imposed in § 99.865.
Accepting—without deciding—the validity of the alleged reporting violations, there are
still two flaws with Dykhouse’s theory: first, the penalty provision of § 99.865.7 is not
self-executing; and second, quo warranto lies to correct only a usurpation of authority where none
is granted—it does not lie to correct the unlawful exercise of existing authority.
To begin, a “provision . . . is self-executing if it supplies a sufficient rule by means of which
the . . . duty which it imposes may be enforced, without the aid of” additional legislation or
intervention. State ex rel. City of Fulton v. Smith, 194 S.W.2d 302, 304 (Mo. banc 1946) (quoting
11 Am. Jur. Constitutional Law, § 74, at 691, 692). In other words, a “provision is self-executing
if there is nothing to be done . . . to put it in operation.” Id. (quoting 11 Am. Jur. Constitutional
Law, § 74, at 691, 692).
An example of a self-executing provision properly subject to a quo warranto action is the
constitutional prohibition on nepotism found in Article VII, § 6 of the Missouri Constitution:
Any public officer or employee in this state who by virtue of his office or
employment names or appoints to public office or employment any relative within
the fourth degree, by consanguinity or affinity, shall thereby forfeit his office or
employment.
Under this provision, a public officer “forfeits by the act forbidden, and therefore his act results in
a status”—that of interloper. State ex inf. Norman v. Ellis, 28 S.W.2d 363, 366 (Mo. banc 1930).
When a provision is self-executing, “quo warranto is an appropriate remedy for enforcing a
resulting forfeiture.” State ex rel. Nixon v. Belt, 873 S.W.2d 644, 646 (Mo. App. W.D. 1994).
Here, however, § 99.865.7 is not self-executing. Even if a municipality fails to comply
with the reporting requirements, it does not automatically acquire the status of interloper. This can
14
be seen in the plain language of § 99.865.7. The statute provides that “[a]ny municipality which
fails to comply with the reporting requirements . . . shall be prohibited from implementing any
new tax increment finance project for a period of no less than five years from such municipality’s
failure to comply.” (Emphasis added.) Unlike the active voice used in Article VII, § 6, of the
Missouri Constitution indicating that a public officer “forfeits” his or her office by certain acts,
§ 99.865.7 uses passive voice (“shall be prohibited”), indicating that an outside force must act
upon a municipality before the power to implement new TIF projects is removed. Furthermore,
the nepotism provision provides a clear and automatic result—forfeiture of office. The penalty
provision in § 99.865.7 is not as clear, as it provides only a minimum amount of time during which
a municipality is to be precluded from implementing TIF projects; it does not indicate the ultimate
duration of any resulting ban. For an answer to that question, judicial intervention is obviously
required.
The second flaw in Dykhouse’s argument is that he is seeking quo warranto in response to
City’s alleged error (noncompliance with statutory reporting requirements) in its exercise of a
power lawfully possessed (the power to implement TIF projects). “The writ of quo warranto is
not a substitute for mandamus or injunction nor for an appeal or writ of error.” State ex inf.
McKittrick v. Murphy, 148 S.W.2d 527, 530 (Mo. banc 1941). “It is not to be used to prevent an
improper exercise of power lawfully possessed.” Id. Rather, “[i]ts purpose is solely to prevent an
officer or corporation or persons purporting to act as such from usurping a power which they do
not have.”9 Id.
9
Though City’s alleged noncompliance with the reporting requirements could potentially result in a
temporary loss of the power to implement new TIF projects, as noted above, the penalty provision is not self-executing.
Thus, there must be a determination by an outside force (either through the court by a declaratory judgment or writ of
mandamus or through a finding of noncompliance by the agency responsible for receiving the reports) that City has
failed to comply before there can be any removal of the existing power.
15
We find this case similar to State ex inf. Nixon v. Kinder, 89 S.W.3d 454 (Mo. banc 2002).
In Kinder, the Attorney General filed a petition in quo warranto against two circuit judges, seeking
to oust them “from continuing to exercise supervisory authority over four receivership funds held
in the registry of the Circuit Court . . . , and to instead pay the money in those funds over to the
state treasurer.” Id. at 456. The Attorney General argued that the “judges no longer ha[d] authority
over the remaining funds because sections 447.539 and 447.543, RSMo 2000, . . . require[d] the
judges to report and pay over any remaining amounts to the state treasurer once the funds had been
in existence for five years.” Id. In other words, the Attorney General alleged that the judges, by
operation of statute, lost the authority they once possessed over the funds, and, by continuing to
exercise authority over the funds, the judges were unlawfully exercising a power they did not have.
The Missouri Supreme Court rejected the Attorney General’s argument on the ground that “[q]uo
warranto is available only where it is alleged that an official has exercised a power he or she does
not have, not where, as here, it is alleged that the official exercised an existing power wrongly or
for too long of a period.” Id.
Here, it is beyond question that City had the power to consider and implement TIF projects
by virtue of the TIF Act. The heart of Dykhouse’s petition is that City exercised that power
improperly by failing to comply with various reporting requirements laid out in § 99.865. But, as
was held in both McKittrick and Kinder, the wrongful exercise of an existing power is simply not
an appropriate matter for quo warranto proceedings.
Point II is granted. The judgment is reversed, and the matter is remanded with directions
to dismiss.
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Conclusion
Because county counselors were not authorized relators at the time Dykhouse filed his
petition, he failed to invoke the trial court’s jurisdiction over the quo warranto action, and it should
have been dismissed. Furthermore, the basis for Dykhouse’s petition—City’s allegedly improper
exercise of its TIF power—does not support a quo warranto proceeding. Accordingly, we reverse
the judgment of ouster and remand the matter with directions to dismiss the action.
Karen King Mitchell, Judge
Lisa White Hardwick, Presiding Judge, and
Anthony Rex Gabbert, Judge, concur.
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