Anderson v. Keller

GILBERTSON, Chief Justice.

[¶ 1.] On November 21, 2006, the circuit court of the South Dakota Seventh Judicial Circuit issued a decision granting Steve Keller’s (Keller) motion for summary judgment in connection with a personal injury claim filed against him by Robert Anderson (Anderson). An alternative motion for continuance, filed by Anderson, was denied. The circuit court entered its corresponding order on December 8, 2006. We affirm.

FACTS AND PROCEDURE

[¶ 2.] There is no dispute that on July 22, 2003, a vehicle owned by the Angostura Irrigation District (Angostura) and operated by Keller collided with one driven by Anderson. Anderson was proceeding in a southeasterly direction and had just emerged onto. Fall River County Road 416C from a private drive on his property. *37Keller, who was employed by Angostura and at the time was carrying out his duties as a “ditch runner,” was west bound on the county road when the incident occurred. Keller allegedly collided with the driver’s rear quarter of Anderson’s vehicle.1

[¶ 3.] In a sworn affidavit, Anderson alleges that following the collision, Keller called Angostura’s manager and secretary Mick Jenniges to inform him of the incident.2,3 According to Anderson, Jenniges arrived at the scene about 10-20 minutes after the collision. Anderson avers that Jenniges spoke to him and Keller at the scene and then also to a Fall River County sheriffs deputy who arrived at the scene about 45-60 minutes after the collision.

[¶ 4.] Anderson did not file his personal injury complaint against Keller until March 17, 2006. On September 14, 2006, Keller filed a motion for summary judgment alleging that Anderson had failed to comply with the statutory notice provisions of SDCL 3-21-2, which is relevant to personal injury claims against a public entity or its employees. On October 23, 2006, Anderson filed a memorandum in opposition to the motion for summary judgment and an alternative motion for continuance to conduct discovery. On November 21, 2006, the circuit court issued its decision, granting Keller’s motion for summary judgment and denying Anderson’s alternative motion for continuance. The order of the circuit court was entered on December 8, 2006.

[¶ 5.] Anderson raises two issues on appeal:

1. Whether the notice requirements of SDCL 3-21-2 were satisfied.

2. Whether the circuit court abused its discretion in not granting Anderson’s motion for continuance to conduct discovery as to the scope of notice provided to Angostura.

STANDARD OF REVIEW

In reviewing a trial court’s order granting a motion for summary judgment, “[w]e will affirm only when there are no genuine issues of material fact and the legal questions have been correctly decided.” “We view all reasonable inferences drawn from the facts in the light most favorable to the non-moving party.”

Gakin v. City of Rapid City, 2005 SD 68, ¶ 7, 698 N.W.2d 493, 497 (internal citations omitted). Questions of law, such as statutory interpretation, are reviewed de novo. Id. “We review the trial court’s rulings on discovery matters under an abuse of discretion standard.” Maynard v. Heeren, 1997 SD 60, ¶ 5, 563 N.W.2d 830, 833 (citing Weisbeck v. Hess, 524 N.W.2d 363, *38364 (S.D.1994) (citing Aberle v. Ringhausen, 494 N.W.2d 179, 182-83 (S.D.1992))).

ANALYSIS AND DECISION

[¶ 6.] 1. Whether the notice requirements of SDCL 3-21-2 were satisfied.

[¶ 7.] Keller’s employer, Angostura, is a political subdivision formed under SDCL 46A-4-19.4 Our legislature has set out the terms under which tort claims can be filed against public entities, and their employees, including irrigation districts, such as Angostura.5 SDCL 3-21-2 provides in pertinent part:

No action for the recovery of damages for personal injury, property damage, error, or omission or death caused by a public entity or its employees may be maintained against the public entity or its employees unless written notice of the time, place, and cause of the injury is given to the public entity as provided by this chapter within one hundred eighty days after the injury.

(Emphasis added). The irrigation district’s secretary is a person designated to receive notice on its behalf. SDCL 3-21-3(5).

[¶ 8.] This Court has stated that notice in accord with SDCL 3-21-2, sufficient to satisfy the statute, is notice of a claim. Gakin, 2005 SD 68, ¶ 17, 698 N.W.2d at 499. We have also commented that where a plaintiffs right to bring a cause of action against a public entity exists only by virtue of statute, the cause of action is subject to such conditions and limitations as public policy may require or deem desirable. Griffis v. State, 68 S.D. 360, 2 N.W.2d 666, 668 (1942) (citing Barnsdall Refining Corp. v. Welsh, 64 S.D. 647, 269 N.W. 853 (1936); Goodhope v. State, 50 S.D. 643, 211 N.W. 451 (1926)) (holding that there was no jurisdiction to render a judgment for claims in absence of an appropriation for their payment where a cause of action against the state was premised by statute on an available appropriation); see also Rowe v. Richards, 32 S.D. 66, 142 N.W. 664, 665 (1913) (acknowledging that in a case alleging negligence of a municipality resulting in personal injury and death, where the right to bring a cause of action can be maintained only by virtue of statute, it must be prosecuted in the manner and under the conditions specified), overruled in part on other grounds by Ulvig v. McKennan Hosp., 56 S.D. 509, 229 N.W. 383 (1930).

[¶ 9.] Anderson did not file his complaint against Keller until March 17, 2006, almost two years and eight months after the date of alleged injury that triggered the 180-day notification period under SDCL 3-21-2. See Gakin, 2005 SD 68, ¶ 15, 698 N.W.2d at 498 (citing Purdy v. Fleming, 2002 SD 156, ¶ 14, 655 N.W.2d 424, 430) (reaffirming that the triggering event for the 180-day notice period under SDCL 3-21-2 is the date of the injury, not the date that the injury is discovered). No other notice of claim is contained in the record nor alleged by Anderson.

[¶ 10.] Nevertheless, Anderson argues that the statutory notice provisions were satisfied, alleging substantial compliance *39through Keller’s insurance form. Alternatively, Anderson argues that Angostura’s secretary, Jenniges, had actual knowledge of his claim through the telephone call from Keller, informing him of the incident; through his visit to the collision scene, where Anderson alleges he spoke with the parties and a sheriffs deputy; and through Keller’s insurance form.

[¶ 11.] While this Court has never recognized actual knowledge of a person designated to receive notice for a public entity as a substitute for a plaintiffs adequate notice of claim,6 we have set out two exceptions to the express notice requirements of SDCL 3-21-2. In Smith v. Neville, 539 N.W.2d 679, 681-82 (S.D.1995), we held that when the acts of a public entity or its agents would affirmatively mislead an objectively reasonable person to believe that the proper authority of the public entity received notice of the plaintiffs injury claim, the public entity and its employees are estopped from using the plaintiffs failure to strictly comply with the statutory notice provisions as a shield to defeat his claim.7 There is nothing in the record of the instant case to suggest that Angostura in any way affirmatively misled Anderson; therefore estoppel does not apply-

[¶ 12.] In Myears v. Charles Mix County, 1997 SD 89, ¶¶ 3, 13, 566 N.W.2d 470, 474, we recognized substantial compliance as a stand alone basis for meeting the requirements of SDCL 3-21-2. In establishing this precedent, we reviewed our prior holding in Mount, recounting the affirmative acts of the plaintiff in that case to provide notice of claim. Id. ¶ 10, 556 N.W.2d at 473; see also supra note 6 (reciting material facts of Mount). We noted that prior to SDCL 3-21-2 this Court had recognized substantial compliance in Inlagen v. Town of Gary, 34 S.D. 198, 147 N.W. 965 (1914) and Walters v. City of Carthage, 36 S.D. 11, 153 N.W. 881 (1915) and implicitly in Budahl v. Gordon David Assoc., 287 N.W.2d 489 (S.D.1980) following the adoption of SDCL 9-24-2, the predecessor to SDCL 3-21-2. Myears, 1997 SD 89, ¶ 11, 566 N.W.2d at 473. We then concluded that substantial *40compliance with SDCL 3-21-2 was sufficient since that statute is materially comparable to its predecessor and that the legislature did not take the opportunity when drafting the new statute to include language requiring strict construction. Id. ¶ 10, 556 N.W.2d at 473.

[¶ 13.] In order to reacquaint those tasked with detecting its existence we restated our prior definition of substantial compliance:

“Substantial compliance” with a statute means actual compliance in respect to the substance essential to every reasonable objective of the statute. It means that a court should determine whether the statute has been followed sufficiently so as to carry out the intent for which it was adopted. Substantial compliance with a statute is not shown unless it is made to appear that the purpose of the statute is shown to have been served. What constitutes substantial compliance with a statute is a matter depending on the facts of each particular case.

Id. ¶ 13, 556 N.W.2d at 474 (emphasis added) (citations omitted). Determining the purpose of SDCL 3-21-2 to be consistent with that of its predecessor, we then confirmed the following seven objectives of SDCL 9-24-2 as still applicable:

(1) To investigate evidence while fresh; (2) to prepare a defense in case litigation appears necessary; (3) to evaluate claims, allowing early settlement of meritorious ones; (4) to protect against unreasonable or nuisance claims; (5) to facilitate prompt repairs, avoiding further injuries; (6) to allow the [public entity] to budget for payment of claims; and (7) to insure that officials responsible for the above tasks are aware of their duty to act.

Id. (citing Budahl, 287 N.W.2d at 492) (citations omitted).

[¶ 14.] In its November 21, 2006 letter decision, the circuit court determined that Keller’s, August 3, 2003 insurance form did not constitute substantial compliance with SDCL 3-21-2. In so determining, the circuit court noted that the personal injury portion of the insurance form was left blank.

[¶ 15.] We agree with the circuit court. While the insurance form states the time and location of the collision, the fact that the personal injury section is left blank falls short of meeting the objectives of the statute and hence defeats any notion of substantial compliance. Without notice of injury or claim, we cannot assume that Angostura would have conducted an investigation through the same lens as it would have with such notice and there would have been no reason to prepare for litigation. See Myears, 1997 SD 89, ¶ 13, 566 N.W.2d at 474 (citing Budahl, 287 N.W.2d at 492 setting out statutory objectives (1) and (2)). Without notice of injury or claims, objectives (3), (4) and (6), set out in Budahl and recited in Myears are moot. See id. (citing Budahl, 287 N.W.2d at 492). Only objectives (5) and (7) could conceivably be met assuming the appropriate person had been noticed and that there was some remedial measure that Angostura could have taken, to head off similar incidents. See id. (citing Budahl, 287 N.W.2d at 492).

[¶ 16.] We also conclude that there are two additional bases on which to determine there was no substantial compliance. First, there is nothing in the record to indicate to whom Keller submitted the insurance form. Substantial compliance requires that the person who receives the notice be someone who could take necessary action to ensure that the statutory objectives are met. See Myears, 1997 SD 89, ¶¶ 8, 14, 566 N.W.2d at 472, 474 (identifying several individuals, besides the coun*41ty auditor who were statutorily directed to receive notice, were notified of the plaintiffs claim, and were in a position to insure that the objectives of SDCL 3-21-2 were met). Finally, for Anderson to claim there to have been substantial compliance on the basis of this record is a misnomer since it appears that he did nothing to comply with the statute during the 180-day notice period.

[¶ 17.] Anderson’s argument for reversal on the ground that Jenniges had actual knowledge is lacking not only because we do not recognize actual knowledge as a substitute for adequate notice, but also because the underlying basis for his claim lacks evidentiary support. In addition to Keller’s insurance form, which we need address no further, Anderson argues that Jenniges had actual knowledge by virtue of Keller’s alleged call following the incident and his alleged visit to the scene of the collision. Once again, there is nothing in the record to indicate that Jenniges was informed of any injury to Anderson or alleged claim, by way of the phone call or on-scene visit. Even had he been so informed such notice would have been conveyed orally, which would have been inadequate. See Gakin, 2005 SD 68, ¶ 17, n. 4, 698 N.W.2d at 498 n. 4 (opining that written notice is the only form of notice acceptable under SDCL 3-21-2).

[¶ 18.] Based on the foregoing analysis we find no ground on which to reverse the circuit court’s order granting Keller’s motion for summary judgment.

[¶ 19.] 2. Whether the circuit court abused its discretion in not granting Anderson’s motion for continuance to conduct discovery as to the scope of notice provided to Angostura.

[¶20.] Anderson argues that the circuit court should have granted him a continuance to conduct additional discovery because “he would more fully be able to show the extent of the Angostura Irrigation District’s notice of his claim if he were allowed the opportunity to depose Steven Keller and Mick Jenniges.” From the record, it appears that the only discovery conducted by Anderson during the three years and three months between the July 2003 collision and his October 2006 motion for continuance was to submit one set of interrogatories to Keller, to which Keller appears to have responded. Anderson had ample time to conduct depositions of Keller and Jenniges, but showed no interest in doing so prior to October 2006. The circuit court may well have decided that Anderson simply wanted to engage in a fishing expedition and we see no reason to compel it to embark on such a voyage at this late date.

[¶ 21.] Affirmed.

[¶ 22.] MEIERHENRY, Justice, concurs. [¶ 23.] KONENKAMP and ZINTER, Justices, concur in part and concur in result in part. [¶ 24.] SABERS, Justice, deeming himself disqualified, did not participate.

.The record in this case contains little evi-dentiary material. Keller’s statement as to the point of impact is derived from an insurance form that he filled out and submitted following the accident. The insurance form bears a date stamp of August 3, 2003. Who asked Keller to fill out the insurance form and who he submitted it to is not revealed in the record.

Keller filed a motion to strike with this Court alleging that the insurance form and two other documents were improperly included as appendices to the Appellant’s brief because they were never filed separately with the circuit court as evidence. We subsequently denied this motion and thus consider the appendices as part of the record on appeal.

. Anderson’s affidavit is included as an appendix to the appellant's brief. Keller also filed a motion to strike this document. See supra note 1.

. Excerpts from defendant’s answers to plaintiff’s first set of interrogatories also include a statement by Keller that, following the collision, he called Jenniges to inform him of the incident. Keller also filed a motion to strike this document. See supra note 1.

. SDCL 46A-4-19 provides:

If a majority of all the votes cast are "Irrigation District-Yes,” the [Board of Water and Natural Resources] shall, by resolution, declare the territory duly organized as an irrigation district, under the name and style designated. Upon filing of a true copy of the resolution with the secretary of state, the irrigation district shall become a political subdivision of the state with the authority, powers, and duties prescribed in chapters 46A-4 to 46A-7, inclusive.

. The statutory provision designating irrigation districts as public entities can be found under SDCL 3-21-1(2).

. In Mount v. City of Vermillion, 250 N.W.2d 686, 687 (S.D.1977) we reversed the circuit court’s order, granting the City of Vermillion summary judgment for the plaintiff’s failure to comply with the notice provisions of SDCL 9-24-2, the predecessor to SDCL 3-21-2. Although we cited the city’s admission of actual knowledge, we also cited the plaintiff's numerous affirmative acts to notice the city of his claim that preceded actual knowledge. Id. at 688. The plaintiff was a city employee. Among the affirmative acts that he took to notice the city, the plaintiff filed a claim with the city's hospitalization insurer and submitted an application to the city’s accident insurer. In addition, before preparing the application, he discussed it with the city auditor, the person who was statutorily designated to receive notice of claims on behalf of the city. In holding for the plaintiff, we cited the written notice to the city's insurance carrier. Id. at 689.

. In Smith, the plaintiff was involved in a collision with a state-owned snowplow on February 13, 1993. 539 N.W.2d at 680. Within a month of the incident, the plaintiff contacted a claims adjuster, who was working on behalf of the State. Id. at 681. The plaintiff subsequently received a check for damages to his vehicle. Id. at 682. On March 16, 1993, the plaintiff received a letter and claim form from the South Dakota Department of Transportation. The return address printed on the claim form was that of an office and address other than the statutorily designated recipient of notice of claims. Along with the claim form, the plaintiff included a message requesting the status of his physical injury claim. The addressee did not respond to the plaintiff’s inquiry. Following the expiration of the 180-day notice period, the defendant filed a motion for summary judgment on the ground that the plaintiff had failed to comply with SDCL 3-21-2 and SDCL 3-21-3. Id. at 681.