The testimony'in the present record convinces us that the railroad company’s section-houses were first placed on the three acres of land in controversy about the year 1869, — -some eighteen years before this suit was brought. At that time Alexander owned the land. There is no attempt to prove that any written agreement'was entered into between Alexander and the railroad company, and we infer, and must presume, that none was entered into. There is some proof tending to show that there was a verbal agreement, or understanding, under which Alexander surrendered the land, or its use, to the railroad company, for the purpose to which the railroad applied it, in consideration that the latter would construct a side or spur-track on the former’s land, and that the railroad company did construct such side or spur-track. On the other hand, it is contended that the railroad company did not hold the possession under claim or right, but under a parol license, and permissively, not asserting any right to the possession. It is not shown at what time the side or spurtfack was constructed. The exact agreement or understanding, if any was made, under which the railroad company took possession, and constructed its section-houses, was, perhaps, the most important inquiry presented for the jury’s decision.
Our statute — Code of 1886, § 1732! — makes void all contracts for the sale of land, or any greater interest therein than a *619lease for a term not exceeding one year, unless the contract is in writing, subscribed by the party to be charged, or by some other person by him thereunto lawfully authorized in writing. But the statute has an exception. It does not apply, when the purchase-money, or a portion thereof, is paid, and the purchaser is put in possession by the seller. Hence, in this case, if Alexander and the railroad company made an agreement, by which the latter was to have the three acres of land, or its use, and in consideration thereof was to construct, and did construct the side or spur-track, this took the contract without the influence of the statute of frauds, and constituted it a valid contract of bargain and sale.—Shakespeare v. Alba, 76 Ala. 35; Martin v. Blanchett, 77 Ala. 288; 8 Amer. & Eng. Encyc. of Law, 738 et seq. And if the railroad company was in possession at the time Stocks made his purchase, this was sufficient notice to put him on inquiry as to the nature of the railroad’s claim.—3 Brick. Dig. 811, § § 136 et seq.
The claim of the railroad company, however, if made to appear as we have hypothesized, is not, per se, a legal title. It is only an equity, and is no defense to the action of ejectment. We have stated it, however, because it is introductory to another principle — the statute of limitations of ten years — which is one of the defenses relied on in this case. That defense is raised by the plea of not guilty.—3 Brick. Dig. 621, § 63.
If the railroad company took possession permissively, under a parol license, then no length of time could perfect a title in it, unless the nature of its holding had been subsequently converted into an adverse possession, of which there is no evidence in this record.—1 Amer. & Eng. Encyc. of Law, 251; Houston v. Fariss, 71 Ala. 570; s. c., 74 Ib. 162. On the other hand, if the possession was taken under purchase, as hypothesized above, then it becomes material to inquire whether the side or spur-track was constructed, and when constructed. When a purchaser of land, or of an interest therein, takes possession under his purchase, his possession does not become adverse until he pays the purchase-money. If the agreement was that the railroad company agreed to construct a side or spur-track, as the consideration for the land, or its use, and if it constructed such side or spur-track, then it complied with, its part of the executory agreement, and paid the agreed price. From the date of such payment — the completion of the side or spur-track — nothing else interfering, the railroad’s possession became adverse ; and if continued for ten years before this suit wras brought, it would mature into a title, and would be a complete defense to this action.—3 Brick. Dig. 622, §§ 71-2.
There is, also, some testimony tending to show that, while-*620•Stocks was the owner of the forty acres of land, he himself, •through his employés, had possession of one or more of the .section-houses, and that when new houses were proposed to be erected, he was inquired of in relation thereto. And there is also testimony tending to show that, at some time, Stocks was agent of .the railroad company, at a station near by. This testimony was important only, to the extent it tended to show ■the nature of the right under which the railroad company held possession, and in what right Stocks’ employés sometimes occupied one or more of the houses. If Stocks, as owner of the land, asserted the right, and took possession in virtue of his title, and this was brought home to the knowledge of the officials of the railroad, then it becomes a circumstance tending ■to show that the possession of the railroad company was only permissive, and not in independent right. If, on the other hand, such possession of the section-houses by Stocks’ employés was during the time he was agent, or was merely temporary, finding the houses vacant, or if done under circumstances not indicating asserted ownership, then such possession does not tend to establish plaintiff’s right to recover.
In stating the foregoing rules, we have been influenced by ■the conviction,, that the questions therein are the most important which this record presents, and by a desire to present the questions properly before the jury. We must not be understood as imtimating how these questions of fact should be solved. These are questions for the jury, under proper instructions from the court.
There was testimony tending to show that, after the side or spur-track was constructed, the mill on the adjacent lands was discontinued, and that subsequently the spur-track was discontinued also. The record is not full enough to inform us what effect, if any, the removal can exert on this case. It would ■depend on the nature of the original agreement, if one was made.
A very great number of exceptions were reserved to the rulings of the trial court on the introduction of téstimony; particularly in reference to the testimony of the witness Stocks. It is not our intention.to notice all these exceptions in detail. Certain general rules apply to most of them. We hold, then — First, that witnesses may testify as to who are or were •officers of a railroad, without producing evidence of their appointment. Their functions are somewhat akin to those of public officers, and knowledge that they acted in certain capacities, and were not interfered with, or questioned as to their right to so act, makes such a prima facie case of right, as that the public is authorized to deal with them as such, and wit*621nesses may testify as facts that they are the officers they assume to be.—Martin v. State, 89 Ala. 115. If this were not so, how could it be shown that A was ticket-agent, B baggage-master, 0 conductor, D engineer, or E brakeman ? The rule is different, and rests on a different principle, from that which obtains in private transactions, when proof is offered to show that one person is agent of another. Second, witnesses may testify to material facts, either single or collective, but can not testify to the uncommunicated motives or intentions with which an act is done, or omitted to be done.—3 Brick. Dig. 437-8; Ball v. Farley, 81 Ala. 288; Burks v. Bragg, 89 Ala. 204. Third, witnesses were properly allowed to testify to ownership, to possession, and to permission given. Claim of ownership, unless communicated, was improper. Nature, duration and character of possession, or, rather, the facts show ing them, were competent evidence. All beyond this, unless communicated to the railroad officials in control, was not a fact to which witnesses could testify, but was matter for the jury.
Exhibits A and B to the deposition of Stocks Were improperly admitted in evidence. The attempted settlement shown by thosepapers was not consummated; and hence the only effect which could be claimed for them was, that they were, to some-extent, an admission of right and title in Stocks. Such admissions, the officers of the railroad, being merely agents, are not shown to have had any authority to make. Their official position did not,per se, authorize them to make, admissions of past transactions, and thus bind the railroad company.—M. & G. R. R. Co. v. Cogsbill, 85 Ala. 456, The same rule applies to all other letters and documents written or made by officers- or agents of the railroad company.
It was not competent to prove that Webb told the witness-Hanks “that he sold all to Stocks.” This was hearsay.
The ruling of the court, by which Lapsley, the witness, was required to surrender certain papers to plaintiff’s counsel for inspection, scarcely falls within any rule for the production of papers, which are not files of the court. ' Yet, this question can not, in the nature of things, come again before the trial court for decision. We need not decide it.—Foster v. State, 88 Ala. 182, 187.
The first step required of plaintiff, Davis, to make out his case, was to show title in himself. He claimed to have derived his title from Slocks. He offered no witness to prove the execution of the deed, but relied on the certificate of acknowledgment, made and attached to the deed by one of the officers our statute authorizes to take and certify such acknowledg*622ment. — Code of 1886, §§ 1798, 1800. Deeds, “acknowledged or proved according to law, . . . may be received in evidence in any court without further proof.” — § 1798.. The statute, § 1802, furnishes the form of the certificate of acknowledgment. That form is as follows: “I, -hereby certify that-, whose name is signed to the foregoing conveyance, and who is known to me, acknowledgéd before me on this day, that being informed of the contents of the conveyance, he executed the same voluntarily on the day the sgme bears date.”
It will be observed that, in this certificate, the officer certifies certain things as facts within his knowledge. Thus, he certifies as facts that he knows the person whose name is signed to the conveyance, and that that person was before him on the day mentioned in the certificate. The other essentials of the certificate he does not certify as facts. He certifies that the grantor acknowledged them to be facts. The two propositions he is required to certify, not as facts, but as acknowledgment of fact, are, first, that the grantor was informed of the contents of the conveyance, and, second, that he executed it voluntarily on the day the sáme bears 'date. The legislature had the clear power to prescribe' conditions to the admissibility of deeds in evidence, wthout proof of their execution by witnesses, and they exercised that power by prescribing the form of the certificate which will dispense with such proóf. Manifestly, the certificate, to be sufficient, must contain all that is of substance in the form given.—3 Brick. Digest, 300, §§ 133 to 138, inclusive; Roney v. Moss, 76 Ala. 491.
In the deed before us, the certificate affirms as fact, not as acknowledgment, that the grantor, “being informed of the contents of the conveyance, acknowledged,” &c. This is a departure from the statutory form, and certainly does not mean the same thing. We fear to sanction such departure from what the legislature has prescribed, for we can not foresee to what lengths it might carry us.—Kellar v. Moore, 51 Ala. 340. The Circuit Court erred in receiving Stocks’ deed in evidence, without proof of its execution.
Applying the principles declared above, we hold that the Circuit Court erred in refusing to give, at defendant’s request, each of the.charges numbered 7, 11, 12, 14 and 27.
Reversed and remanded.