IN THE SUPREME COURT OF MISSISSIPPI
NO. 97-CC-01230-SCT
WALTER "BOOTS" McDERMENT
v.
MISSISSIPPI REAL ESTATE COMMISSION
DATE OF JUDGMENT: 09/04/97
TRIAL JUDGE: HON. JAMES W. BACKSTROM
COURT FROM WHICH GEORGE COUNTY CIRCUIT COURT
APPEALED:
ATTORNEY FOR APPELLANT: WILLIAM T. BAILEY, SR.
ATTORNEYS FOR APPELLEE: JOHN L. MAXEY, II
JOHN F. HAWKINS
NATURE OF THE CASE: CIVIL - STATE BOARDS AND AGENCIES
DISPOSITION: AFFIRMED IN PART; REVERSED AND REMANDED IN PART
- 9/23/1999
MOTION FOR REHEARING
FILED:
MANDATE ISSUED: 10/14/99
EN BANC.
BANKS, JUSTICE, FOR THE COURT:
¶1. This case involves the revocation of a Real Estate Broker's License by Order of the Real Estate
Commission. The real estate agent raises the issue of whether there was substantial evidence to support the
revocation of his license. We find that the evidence presented below was sufficient to support the
commission's finding that the agent violated Miss. Code Ann. § 73-35-21 (a) and (m) and the finding that
he violated Rule IV.B.4 of MREC's Rules and Regulations, and as such the judgment regarding this issue is
affirmed. However, the evidence was insufficient to support the finding that the agent violated Miss. Code
Ann. § 73-35-21(f). For this reason this case is reversed and remanded to the Commission for a determine
of whether, in its opinion, the remaining violations warrant subjecting McDerment to sanctions.
I.
¶2. Walter "Boots" McDerment ("McDerment") was licensed to sell real estate in the State of Mississippi.
On June 20, 1996, Anthony and Elizabeth Bucca (the "Buccas"), who were joint owners of real estate in
George County, Mississippi, listed their property for sale with McDerment. On September 26, 1996, the
Buccas swore out a statement of complaint against McDerment with the Mississippi Real Estate
Commission ("MREC"). Following an investigation MREC filed a formal complaint against McDerment,
alleging:
The above and foregoing acts of the respondent constitute violation of the Mississippi Real Estate
Broker's License Act of 1954 , as amended, and Rules and Regulations of the Commission, more
specifically, Section[s] 73-35-21 (a), (f) and (m) and Rule IV.B.4. of the Rules and Regulations:
73-35-21(a) Making any substantial misrepresentation in connection with a real estate transaction;
73-35-21(f) Failing, within a reasonable time, to account for or to remit any monies coming into his
possession which belong to others, or commingling of monies belonging to others with his own funds.
Every responsible broker procuring the execution of an earnest money contract or option or other
contract who shall take or receive any cash or checks shall deposit, within a reasonable period of
time, the sum or sums so received in a trust or escrow account in a bank or trust company pending the
consummation or termination of the transaction. "Reasonable time" in this context means by the close
of business of the next banking day;
73-35-21(m) Any act or conduct, whether of the same or a different character than herein above
specified, which constitutes or demonstrates bad faith, incompetency or untrustworthiness, or
dishonest, fraudulent or improper dealing.
IV.B.4. Every contract must reflect whom the broker represents by a statement over the signature of
the parties to the contract.
¶3. An evidentiary hearing was held before MREC on February 6, 1997. The testimony adduced at the
hearing revealed that the Buccas had entered into a contract with James Rayburn for the purchase and sale
of their property. The contract stated that the buyer had deposited Four Thousand Dollars ($4,000.00) in
earnest money with McDerment. The contract further provided that the earnest money would be forfeited
as liquidated damages in the event the buyer failed to perform.
¶4. The copy of the contract McDerment gave the Buccas was not signed by the buyer. Mrs. Bucca
testified that when she asked McDerment to give her a copy signed by the buyer he told her that she did not
need one. As a result Mrs. Bucca went to McDerment's office at a time that she knew he was away and
asked McDerment's son to give her copy of the contract signed by the buyer. McDerment's son gave Mrs.
Bucca a copy of the buyer signed contract after she told him that McDerment had forgotten to give her a
copy signed by the buyer.
¶5. McDerment testified that although he had a contract signed by the buyer, he had not given a copy of
that contract to the Buccas because the buyer had not deposited the earnest money with him. It was not
until after the purchaser had failed to fulfill his obligations under the contract of sale and the Buccas had
demanded their share of the earnest money, that McDerment informed them the earnest money had never
been deposited with him.
¶6. MREC further alleged the contract did not have a statement of which party McDerment represented
printed over the parties' signatures. McDerment admitted that he neglected to include such a statement on
the contract. The absence of a statement of which party he represented constituted a violation of Rule
IV.B.4., of MREC's Rules and Regulations.
¶7. After the hearing MREC issued an Order holding that the above facts constituted violations of Miss.
Code Ann. §§ 73-35-21(a), (f) and (m) and Rule IV.B.4. of the Mississippi Real Estate Commission Rules
and Regulations. The Order further held that as a result of McDerment's actions his Real Estate Broker's
License was thereby revoked.
¶8. McDerment appealed MREC's Order to the Circuit Court of George County, Mississippi. On appeal
to the circuit court, McDerment raised issues identical to those raised before this Court. In affirming
MREC's Order the circuit court found that the Commission's decision was supported by substantial
evidence. The circuit court further held that there was no legal support for McDerment's argument for a jury
trial or for his claim that the administrative proceedings were criminal in nature.
II.
¶9. In reviewing an administrative agency's findings of fact the circuit court's and this Court's appellate
authorities are limited by the arbitrary and capricious standard of review. Mississippi Real Estate
Comm'n v. Hennessee, 672 So. 2d 1209, 1217 (Miss. 1996). Matters of law will be reviewed de novo,
KLLM, Inc., v. Fowler, 589 So. 2d 670, 675 (Miss. 1991), with great deference afforded an
administrative agency's "construction of its own rules and regulations and the statutes under which it
operates." Mississippi State Tax Comm'n v. Mask, 667 So. 2d 1313, 1314 (Miss. 1995) (citations
omitted). Therefore, an agency's decision will not be disturbed on appeal absent a finding that it "'(1) was
[not] supported by substantial evidence, (2) was arbitrary or capricious, (3) was beyond the power of the
administrative agency to make, or (4) violated some statutory or constitutional right of the complaining
party.'" Mask, 667 So. 2d at 1315 (quoting Mississippi State Tax Comm'n v. Vicksburg Terminal,
Inc., 592 So. 2d 959, 961 (Miss. 1991)).
III.
A.
¶10. McDerment raises the issue of whether MREC's decision to revoke his real estate license was
supported by substantial evidence. MREC found that McDerment's actions violated Miss. Code Ann.
§§ 73-35-21(a), (f) and (m) and Rule IV.B.4. of MREC's Rules and Regulations. Without analysis the
circuit court found that there was substantial evidence presented at MREC's hearing to support the Order
revoking McDerment's Real Estate Broker's License. This ruling by the circuit court was too broad.
¶11. This Court concludes that MREC's finding that McDerment violated Miss. Code Ann. § 73-35-21(f),
as amended, was not supported by substantial evidence. Miss. Code Ann. § 73-35-21(f) (1995), states:
....
(f) Failing, within a reasonable time, to account for or to remit any monies coming into his
possession which belong to others, or commingling of monies belonging to others with his own
funds. Every responsible broker procuring the execution of an earnest money contract or option or
other contract who shall take or receive any cash or checks shall deposit, within a reasonable
period of time, the sum or sums so received in a trust or escrow account in a bank or trust company
pending the consummation or termination of the transaction. "Reasonable time" in this context means
by the close of business of the next banking day.
(emphasis added). The above subsection sets out the real estate broker's responsibility with regards to
monies held in trust for another. In order for McDerment to have violated §73-35-21(f), the earnest money
must have come into his possession. See generally Mississippi Real Estate Comm'n v. White, 586 So.
2d 805 (Miss. 1991). MREC recognized in its findings of fact that McDerment had never received any
monies from the buyer. Therefore, McDerment could not have violated §73-35-21(f).
¶12. There was substantial evidence, however, to support MREC's finding that McDerment committed the
other violations with which he was charged. A holding which is supported by substantial evidence can not
be arbitrary and capricious. City of Biloxi v. Hilbert, 597 So. 2d 1276, 1280-81 (Miss. 1992). Miss.
Code Ann. § 73-35-21 provides a real estate license may be revoked where the licensee is found to have
violated any of the enumerated subsections. MREC weighed the evidence and found that McDerment's
actions constituted a violation of Miss. Code Ann. §§ 73-35-21(a) and (m). There was also substantial
evidence to support MREC's finding that McDerment violated Rule IV.B.4 of MREC's Rules and
Regulations. McDerment admitted that he neglected to include, over the signatures on the contract, a
statement of which party he represented, in violation of Rule IV.B.4. However, because there is insufficient
evidence to support a finding that McDerment violated Miss. Code Ann. § 73-35-21(f), this case is
remanded to allow the Commission to determine if, in its opinion, the remaining violations warrant subjecting
McDerment to sanctions.(1) Mississippi Real Estate Comm'n v. White, 586 So. 2d at 811.
B.
¶13. McDerment claims that the administrative proceeding violated his constitutional right to a trial by jury.
McDerment argues that the provisions of Miss. Code Ann. § 73-35-31, subject him to penal action,
thereby entitling him to a jury trial. Miss. Code Ann. § 73-35-31 (1995), in pertinent part, provides:
§ 73-35-31. Penalties for violations of chapter.
(1) Any person violating a provision of this chapter shall, upon conviction of a first violation thereof, if
a person, be punished by a fine or not less than five hundred dollars ($500.00) nor more than one
thousand dollars ($1,000.00), or by imprisonment for a term not to exceed ninety (90) days, or both;
. . . Upon conviction of a second or subsequent violation, if a person, shall be punished by a fine of
not less than one thousand dollars ($1,000.00) nor more than two thousand dollars ($2,000.00), or
by imprisonment for a term not to exceed six (6) months, or both;
However, the case against McDerment was predicated on Miss. Code Ann. § 73-35-21, not § 73-35-31.
It must be determined whether the fact that § 73-35-31 is in the same Act as § 73-35-21, makes all
proceedings under the Act criminal in nature.
¶14. A respondent to an administrative hearing is only entitled to the protections normally afforded a
criminal defendant where the penalty is intended as a criminal punishment such as to make the proceedings
criminal in nature. Roach v. National Transp. Safety Bd., 804 F.2d 1147, 1152-53 (10th Cir. 1986);
see also Beall Constr. Co. v. Occupational Safety & Health Review Comm'n, 507 F.2d 1041 (8th
Cir. 1974). Determining whether an administrative"' penalty is civil or criminal is a matter of statutory
construction.'" Roach, 804 F.2d at 1153 (quoting United States v. Ward, 448 U.S. 242, 248 (1980)).
The fact that Congress provides for both civil and criminal penalties under the same Act does not make all
penalties under the Act criminal in nature. Roach, 804 F.2d at 1153. The separation of a penalty from the
criminal provisions of an Act is a strong indication that the penalty is civil. Id.
¶15. In the case at bar, §73-35-31 is separated from the section of the Act which grants MREC the
authority to revoke or suspend a license. Similar to Roach, this separation of regulatory penalties and
criminal penalties is a strong indication that the revocation or suspension of a license under the Act is a civil
penalty separate and distinct from the criminal penalty. See generally, Mitchell v. State, 402 So. 2d 329
(Miss. 1981). Therefore, we find that § 73-35-31, by being in the same act as § 73-35-21, does not
transform a proceeding under the latter into a criminal proceeding.
¶16. It is further determined that the civil penalty of revocation or suspension of a license is not criminal
such as to afford a respondent the right to a jury trial. In the context of bar disciplinary proceedings this
Court has held that because bar disciplinary proceedings are inherently adversary they are quasi-criminal in
nature. Mississippi Comm'n on Judicial Performance v. Russell, 691 So. 2d 929, 945 (Miss. 1997).
But the quasi-criminal nature of bar proceedings does not make the proceedings criminal such as to entitle a
respondent to the protections afforded a criminal defendant. See Emil v. The Mississippi Bar, 690 So.
2d 301, 312 (Miss. 1997). This assignment of error is without merit.
¶17. Although not addressed by the circuit court, McDerment further appears to contend that testimony
regarding the results of an investigation into his escrow account went to the issue of co-mingling of funds and
should have been excluded. During the hearing an investigator testified that McDerment's escrow account
was audited; the audit was done by another investigator; and his testimony was based on a report of the
audit. McDerment argues the testimony regarding the escrow account should have been excluded for the
following reasons: (1) McDerment was not Mirandized prior to the investigation of his escrow account; (2)
the investigator did not have a search warrant; and (3) the testimony was hearsay.
¶18. First, there is no merit to McDerment's claim that the testimony should have been excluded because he
was not Mirandized. It is well settled that a Miranda warning is applicable only where there is a custodial
interrogation. Pierre v. State, 607 So. 2d 43, 52 (Miss. 1992). There is no evidence in the record that
McDerment was ever arrested or in any way placed in police custody nor is there evidence of a police
interrogation. Also, as discussed supra, this is not a criminal case.
¶19. Secondly, there is no merit to the claim that the testimony should have been excluded because the
investigator did not obtain a search warrant prior to auditing the escrow account. This Court has held that
cases on appeal must be decided on the facts contained in the record, not on assertions made in the briefs.
Burney v. State, 515 So. 2d 1154, 1160 (Miss. 1987) (quoting Mason v. State, 440 So. 2d 318, 319
(Miss. 1983)). The burden falls on the appellant to ensure there is sufficient evidence in the record to
support an assertion of error. Burney, 515 So. 2d at 1160 (quoting Robinson v. State, 345 So. 2d
1044, 1045 (Miss. 1977)).
¶20. McDerment offers no facts in support of his claim that the testimony should have been excluded
because the investigator did not obtain a search warrant prior to auditing the escrow account. Nor is there
evidence in the record from which this Court can determine that the audit was illegal. The Investigator's
Interview Report is the only evidence of the audit procedures. From this report it can be gleaned that the
investigator interviewed McDerment as to the Buccas' allegations; the interview appears to have taken
place at the office of McDerment Realty; and at some point the investigator examined the escrow account.
This evidence is insufficient to support a finding that the account was examined illegally.
¶21. Additionally, even if the information regarding the escrow accounts had been obtained illegally, its
admission would constitute harmless error. The only information derived from the testimony was that the
earnest money had not been deposited into the escrow account. The fact that the earnest money was not in
the escrow account supports the claim that the earnest money was never given to McDerment. This is a fact
which McDerment readily admits. In fact, it is the basis of his defense.
¶22. Thirdly, there is no merit to the contention that the testimony regarding the results of the audit of the
escrow account should have been excluded as hearsay. "An administrative agency may receive hearsay
evidence where it is corroborated or where there is other satisfactory indicia of reliability." McGowan v.
Mississippi State Oil & Gas Bd., 604 So. 2d 312, 320 (Miss. 1992). As discussed supra, the testimony
established that the earnest money had not been deposited into the escrow account, a fact to which
McDerment admits. It is evident that McDerment's testimony provides corroboration as to the audit's
reliability.
CONCLUSION
¶23. McDerment raised the issue of whether there was substantial evidence to support the revocation of his
license. The finding that McDerment violated Miss. Code Ann. § 73-35-21 (a) and (m) and the finding that
he violated Rule IV.B.4 of MREC's Rules and Regulations, is affirmed. However, the evidence was
insufficient to support the finding that McDerment violated Miss. Code Ann. § 73-35-21 (f). For this
reason this case is reversed and remanded to the Commission for a determination of whether, in its opinion,
the remaining violations warrant subjecting McDerment to sanctions. Finally, the issue of whether the
administrative proceedings violated McDerment's constitutional rights is affirmed. Therefore, this matter is
affirmed in part and reversed and remanded in part.
¶24. AFFIRMED IN PART; REVERSED AND REMANDED IN PART.
PRATHER, C.J., McRAE, WALLER AND COBB, JJ., CONCUR.
SMITH, J., CONCURS IN PART. WALLER, J., SPECIALLY CONCURS
WITH SEPARATE WRITTEN OPINION JOINED BY BANKS, SMITH
AND COBB, JJ. PITTMAN, P.J., DISSENTS WITH SEPARATE
WRITTEN OPINION JOINED BY SULLIVAN, P.J., AND MILLS, J.
WALLER, JUSTICE, SPECIALLY CONCURRING:
¶25. I concur with that portion of the majority opinion which holds that McDerment did not violate Miss.
Code Ann. § 73-35-21(f) (1995) as the Mississippi Real Estate Commission failed to present any evidence
that McDerment ever had possession of any earnest money obtained on behalf of the Buccas. I write
separately because I believe the Commission, in reconsidering the sanctions on remand, should review the
scant evidence on which McDerment's license was revoked.
¶26. The burden is on the Commission to present testimony which clearly establishes McDerment's guilt.
Mississippi Real Estate Comm'n v. White, 586 So. 2d 805, 808 (Miss. 1991); Harris v. Mississippi
Real Estate Comm'n, 500 So. 2d 958, 962 (Miss. 1986); Mississippi Real Estate Comm'n v. Ryan,
248 So. 2d 790, 793-94 (Miss. 1971). The proof need not be beyond a reasonable doubt, Ryan, 248 So.
2d at 793-94, but we have held that "disciplinary charges against a professional must be proved by clear
and convincing evidence." White, 586 So. 2d at 808 (quoting State Bd. of Psychological Exam'rs v.
Hosford, 508 So. 2d 1049, 1054 (Miss. 1987)). The general rule is that this Court does not review de
novo the facts in an administrative appeal. Mississippi State Bd. of Nursing v. Wilson, 624 So. 2d 485,
489 (Miss. 1993). Notwithstanding our deference given to agency decisions, it seems appropriate here to
subject the Commission's decision to heightened scrutiny since the Commission found McDerment violated
§ 75-35-21(f) despite the fact that its own audit revealed otherwise.
¶27. The Commission made a specific finding of fact that "the contract was accepted by the sellers (the
Buccas) on the day that it was offered." The obvious problem with this finding is that McDerment never
offered a completed contract to the Buccas. It was undisputed that the contract given to the Buccas by
McDerment lacked the signature of the buyer, James Rayburn. Even Mrs. Bucca testified that they were
waiting for Mr. Rayburn to get "all his things in order to buy the house."
¶28. The only way Mrs. Bucca ever obtained a completed contract, i.e., one with all of the signatures on it,
was to purposefully wait until she was absolutely sure that McDerment was not in his office and persuade
the appraiser to give her another copy under the premise that McDerment had forgotten to give her one.
Indeed, McDerment did have in his possession a copy of the contract which contained the signatures of
both the Buccas and the Rayburns, in addition to McDerment's own signature. However, McDerment
never delivered the completed contract to the Buccas because there was no completed contract. He
testified that he was waiting until Rayburn obtained loan approval from a bank, upon which event the
earnest money would be paid, and the contract could be released.
¶29. I agree with the majority that this case should be reversed and remanded for a new determination by
the Mississippi Real Estate Commission of whether McDerment's license should be revoked, and I would
further urge the Commission to review the factual findings and conclusions in this case, and reconsider the
penalty levied on McDerment.
BANKS, SMITH AND COBB, JJ., JOIN THIS OPINION.
PITTMAN, PRESIDING JUSTICE, DISSENTING:
¶30. I agree with the majority opinion on all issues save for the remanding of the case to the Commission
due to the fact that there was insufficient evidence to support a finding that McDerment violated Miss. Code
Ann. § 73-35-21(f). I agree that there was insufficient evidence to support a finding that Miss. Code Ann. §
73-35-21(f) had been violated, however, the majority agrees that the evidence supported a finding that §§
73-35-21(a) and (m) had been violated. Further, Miss. Code Ann. § 73-35-21 (1995) provides in relevant
part that:
The commission shall have full power to refuse a license for cause or to revoke or suspend a license
where it has been obtained by false or fraudulent representation, or where the licensee in
performing or attempting to perform any of the acts mentioned herein, is deemed to be guilty
of : (a)-(m) . . . .(emphasis added).
¶31. The clear plain language meaning of this statute is that the commission is fully justified in suspending or
revoking a license where it is found that any of the acts contained in the statute were violated. Here, that
burden has been met by the commission. The commission, after viewing the evidence presented at the
hearing, has found that not one, but two of the prohibited acts occurred in violation of the statute. Under
Miss. Code Ann. § 73-35-21, the commission could have revoked or suspended the license for either of
the violations. There is no need, therefore, to remand this case back to the commission simply because the
evidence did not support a finding of a third violation of the statute. Any violation will do. For that reason, I
respectfully dissent from the majority's opinion.
SULLIVAN, P.J., AND MILLS, J., JOIN THIS OPINION.
1. The dissent suggests that because the commission could have ordered the same sanction based upon the
violations which were supported by the evidence we should affirm. What the commission could do and
what it would have done, however, may be two different things. It is for the commission to say in the first
instance whether it will impose a particular sanction for any particular violation. The commission could have
said that the sanction it imposed was founded upon each violation independently. It did not choose to do
so. Because it did not, it is appropriate to remand the case to the commission to make that finding. This is
precisely what we did in Mississippi Real Estate Comm'n v. White in similar circumstances.