(dissenting).
I agree with Justice Ransom that the judicial branch does not gain jurisdiction until an administrative agency’s order is appealed pursuant to a statute conferring the jurisdiction on an appellate court and that the appeal in this case was timely because it was taken within the time prescribed by the statute. Unlike Justice Ransom, however, I am not in “strong accord” with the rule in Ammerman v. Hubbard Broadcasting, Inc. In my view, Ammerman was incorrectly decided in significant part,1 and its rule of exclusive jurisdiction in this Court to prescribe matters touching procedures in the courts should be applied sparingly and only when necessary to protect the power of the judiciary against an unwarranted intrusion by the legislative or executive branches. This is not such a case; in fact, this is a case in which we should defer to the legislative power to prescribe the appellate jurisdiction of the court of appeals and to regulate procedures in the administrative proceedings governed by the Workers’ Compensation Act. I would therefore reverse.
I.
Of course, and despite the statement in the majority opinion, the validity of the statute in this case is not really challenged as violating the doctrine of Ammerman, 89 N.M. at 312, 551 P.2d at 1359, and of State ex rel. Anaya v. McBride, 88 N.M. 244, 246, 539 P.2d 1006, 1008 (1975), that the legislature lacks the power to prescribe rules of procedure by statute. Rather, a corollary of that doctrine is asserted: “[A]ny conflict between court rules and statutes that relate to procedure are [sic] today resolved * * * in favor of the rules.” Southwest Community Health Services, 107 N.M. at 198, 755 P.2d at 42. Nevertheless, in my view the Ammerman/McBride doctrine has in recent years been applied much more broadly than necessary. Its use should be tailored much more discriminatingly to effectuate its purpose — preservation of the separation of powers established by Article III, Section 1, of our Constitution — and restrained to that purpose in order to avoid unseemly conflicts with the legislative branch and unnecessary frustrations of other valid constitutional and legislative objectives.
As noted in Chief Justice Scarborough’s dissent in Southwest Community Health Services, 107 N.M. at 201-02, 755 P.2d at 45-46, Ammerman has been extensively criticized.
The New Mexico Supreme Court has taken what most students of procedure would consider a high-handed attitude of •denigrating legislative competence in this field. Its position that privileges are strictly procedural rather than substantive and thus not amenable to legislative action is in the extreme minority.
2 J. Weinstein & M. Berger, Weinstein’s Evidence II 501[07], at 501-95—501-96 (1989) (footnotes omitted). See also Browde & Occhialiano, Separation of Powers and the Judicial Rule-making Power in New Mexico: The Need for Prudential Constraints, 15 N.M.L.Rev. 407, 443-47 (1985); Note, 1977 B.Y.U.L.Rev. 493; Weinstein, Reform of Federal Court Rule-making Procedures, 76 Colum.L.Rev. 905, 925 (1976) (“Despite the untenability of the * * * position, courts still flex their muscles occasionally, making extravagant claims of exclusive power over rules * * *. [T]he New Mexico Supreme Court has also taken this extreme position recently.”) The doctrine is pernicious, in that it arrogates to the judiciary a power which is unnecessary to the maintenance of the judiciary’s position as a co-equal branch of government and it derogates from the historic view of shared and coordinate responsibility for judicial rulemaking. See generally Browde & Occhialiano, supra, passim. The doctrine also has spawned considerable confusion and unnecessary litigation by encouraging disputes over whether a statute, presumptively valid and applicable to resolution of a controversy, is nullified by an inconsistent court rule purporting to regulate some aspect of “procedure.”2
As indicated above in the quotations from Judge Weinstein’s article and book, New Mexico is to a considerable extent out of step with other American jurisdictions in reserving to the courts exclusive power to regulate matters of procedure in the courts. See Browde & Occhialiano, supra, app. at 477-478 (listing only thirteen states, including New Mexico, in which procedural rulemaking is exclusively a judicial function, based on separation of powers or specific constitutional rulemaking provisions). At the national level, of course, participation by the Congress in the rulemaking function has long been in effect,3 and there is no indication of a resulting diminution in the strength or vitality of the federal judiciary. At the state level, according to Judge Weinstein, and
[w]hile it may sound like heresy to the staunch supporters of unfettered judicial rulemaking, legislative control of procedure works fairly well where there are broad-based, active, well-financed agencies to prepare the necessary studies and legislation.
In sum, some sort of role-sharing between courts and legislatures is both necessary and beneficial. Where courts have insisted on exclusive control over rulemaking, the practical results have not been useful.
Weinstein, supra, at 926-27 (footnote omitted). Although, admittedly, agencies of the sort contemplated by Judge Weinstein are lacking in New Mexico, our legislature has recognized for over fifty years that rules of pleading, practice and procedure should ordinarily be prescribed by the Supreme Court. 1933 N.M. Laws, ch. 84, §§ 1 & 2 (now codified as NMSA 1978, §§ 38-1-1 and -2 (Repl.Pamp.1987). When the legislature now chooses to prescribe by statute a rule that, in some sense at least, can be described as “procedural” or “touching upon procedure,” the question whether that rule conflicts with this Court’s own authority to prescribe procedural rules should be decided by referring to the purpose of the particular statute and the extent of intrusion upon the courts’ ability to discharge their functions, not by categorizing the rule as either “substantive” or “procedural.”
II. by administrative agencies created by the legislature. See, e.g., Wylie Corp. v. Mowrer, 104 N.M. 751, 726 P.2d 1381 (1986) (overruling State ex rel. Hovey Concrete Products Co. v. Mechem, 63 N.M. 250, 316 P.2d 1069 (1957), and upholding constitutionality of new workmen’s compensation administration). Thus, the judicial power to resolve disputes is shared with the legislative branch, at least insofar as establishment of tribunals to perform that function is concerned.
The essence of judicial power is adjudication — deciding concrete cases or controversies, resolving people’s disputes when those disputes make their way into the court system established by Article VI of our Constitution. Despite the provision in Article III, Section 1, that “no person * * * charged with the exercise of powers properly belonging to one of those departments [legislative, executive and judicial], shall exercise any powers properly belonging to either of the others,” it is now firmly established that many disputes can be resolved
The essence of legislative power is legislation — passing laws, enacting rules for the governance of society. Again, despite the separation-of-powers provision in Article III, Section 1, it has long been settled that the judiciary possesses inherent power to promulgate rules governing the conduct and progress of cases within the judicial system. See, e.g., State v. Roy, 40 N.M. 397, 418-423, 60 P.2d 646, 659-62 (1936); Southwest Underwriters v. Montoya, 80 N.M. 107, 108, 452 P.2d 176, 177 (1969). Thus, the legislative power to promulgate rules of general application is shared with the judicial branch, at least insofar as rules governing the conduct of litigation in the courts are concerned.
To say, as Justice Ransom does, quoting from his opinion in Southwest Community Health Services, that pleading, practice and procedure are of the essence of judicial power is to state a proposition which is partly true and partly not. Some rules of pleading, practice and procedure are hardly of the “essence” of judicial power; some are only housekeeping rules, and it would not matter greatly whether the legislature or this Court prescribed them. Fortunately for the sake of uniformity, simplicity, and fair and expeditious resolution of lawsuits, and out of deference to the courts’ presumably greater understanding about what is workable and what is not in this arena, the legislature has recognized that the Supreme Court should promulgate most rules of pleading, practice and procedure. See Section 38-1-1. Some rules of procedure, however, transcend in importance mere housekeeping functions; such rules may relate to matters of the courts’ jurisdiction, or may embody policies deemed important by the legislature for accomplishing goals quite outside the conduct of litigation, or may relate to the functioning of courts in such essential ways that their legislative prescription might seriously intrude on and impair the courts’ ability to carry out those functions. In resolving an issue as to whether a statute or a court rule should prevail, this Court should focus on the purpose and effect of the statute and whether it does or does not trench upon the ability of courts to discharge their constitutional duties.
When the statute implements a legislative policy external to the functioning of the courts — as did the statutes at issue in Ammerman and Southwest Community Services—this Court (or any other court called upon to adjudicate the issue) should uphold the validity of the statute against a challenge that it embodies “adjective” or “procedural” law and is therefore within this Court’s exclusive power to adopt or not to adopt, unless it in some way deprives the court of “sufficient power to protect itself from indignities and to enable it effectively to administer its judicial functions.” See State ex rel. Bliss v. Greenwood, 63 N.M. 156, 162, 315 P.2d 223, 227 (1957).
Bliss contains two grounds for judicial modification. The first is that the court may strike legislation that may undercut its ability to perform its essential functions. The second is that the court may negate statutory procedures which interfere with the effective and efficient operation of the courts.
Browde & Occhialiano, supra, at 470 (citing Bliss, 63 N.M. at 161-62, 315 P.2d at 227). See also id. at 435: “[T]he court [in Southwest Underwriters v. Montoya, 80 N.M. at 109, 452 P.2d at 178] may have authorized limited legislative rulemaking so long as the legislation does not touch upon ‘those niles of pleading, practice and procedure which are essential to the performance of the constitutional duties imposed upon the courts.’ ” As Professors Browde and Occhialiano suggest, attempting to resolve the question whether a statute or a conflicting court rule should prevail by resorting to the dichotomy between substance and proceduré and characterizing the statute and rule as either “substantive” or “procedural” is doomed to failure. See Browde & Occhialiano, supra, at 444-46 & n. 227. Ammerman itself recognized (though perhaps only by way of lip service) that “the line between substance and procedure is often elusive and that authorities, in endeavoring to follow this dichotomy in the rule-making process, are not always in accord.” 89 N.M. at 310, 551 P.2d at 1357; see also Southwest Underwriters v. Montoya, 80 N.M. at 109, 452 P.2d at 178. The majority opinion in the present case relies upon this distinction and characterizes the statute here as “procedural.” In my view, this leads to the incorrect result of unthinking adherence to Rule 12-601(A) and an unwise subordination of the statutory prescription of the time for taking an appeal from the Workers’ Compensation Division.
III.
This case presents a conflict between a statute prescribing the time for an appeal to the courts in a workers’ compensation proceeding and a court rule providing for a different time and purporting to supersede the statute. In defense of the statute, it may be said that, although it does not seek to effectuate a public policy outside the context of workers’ compensation litigation, it does represent part of the comprehensive scheme established by the legislature for such proceedings. See generally NMSA 1978, Sections 52-1-1 to 52-1-70 (Workers’ Compensation Act), 52-3-1 to 52-3-60 (Occupational Disease Disablement Law), 52-5-1 to 52-5-19 (provisions relating to Workers’ Compensation Division) (Repl.Pamp.1987 & Cum.Supp.1989). In defense of the court rule, one can say that, while it does not appear to guard against any particularly menacing threats to the independence of the judiciary, it does provide a single, uniform set of time periods and procedures for appeals from administrative agencies and thus, using the word in the majority opinion, protects against “confusion.” (It is easy to imagine, however, the state of mind of the lawyer who scrupulously observes the statutory requirements for asserting a workers’ compensation claim and then finds that the statute on judicial review has been preempted by a court rule; the lawyer, not to mention the client, is probably “confused.”)
Thus there appears to be no great clash of competing interests between the purposes underlying these two prescriptions, statute and court rule, telling a lawyer how to obtain review of a workers’ compensation decision; and so it is not immediately apparent how the conflict should be resolved. Surely it is relevant in answering this question that the legislature has seen fit to provide a right of appeal directly to the court of appeals and, to that extent, has conferred a “substantive” right upon a party aggrieved by a decision of a workers’ compensation judge. See State v. Arnold, 51 N.M. 311, 314, 183 P.2d 845, 846 (1947): “The creating of a right of appeal is a matter of substantive law and outside the province of the court’s rule making power.” And it is generally held that the timely filing of an appeal, perhaps along with other steps necessary to perfect it, is “jurisdictional.” See, e.g., State v. Garlick, 80 N.M. 352, 456 P.2d 185 (1969); In re Application No. 0436-A, 101 N.M. 579, 581, 686 P.2d 269, 271 (Ct.App.1984) (“where the legislature has established statutory steps for perfecting an appeal, the steps are jurisdictional”). Where such “jurisdictional” steps necessarily affect in such a fundamental way a party’s ability to exercise a statutorily created right, it would seem that compliance with the statute which creates the right, rather than a court rule which purports to regulate the manner of its exercise, should be given effect.
It is to me an unsatisfactory answer to this argument to say, as some of our cases have said, that “reasonable regulations affecting the time and manner of taking and perfecting the [appeal] are procedural and within this court’s rule making power.” State v. Arnold, 51 N.M. at 314, 183 P.2d at 846-47; see Olguin v. State, 90 N.M. 303, 305, 563 P.2d 97, 99 (1977); State v. Garlick, 80 N.M. at 353, 456 P.2d at 186. To distinguish between a statute conferring a right of appeal and one that describes how the appeal may be taken, holding that the latter may be ruled invalid because this Court has preemptive power to promulgate rules of procedure, is to me unnecessary and counterproductive hairsplitting. Especially in this case, it violates what we said in Olguin: “[T]his court has consistently followed a policy of construing rules liberally, ‘to the end that causes on appeal may be determined on the merits where it can be done without impeding or confusing administration or perpetrating injustice.’” 90 N.M. at 305, 563 P.2d at 99: (quoting Jaritas Live Stock Tours Co. v. Spriggs, 42 N.M. 14, 16, 74 P.2d 722, 722-23 (1937)). See also In re Application No. 0436-A, 101 N.M. at 581, 686 P.2d at 271: “Where, as here, there are two possible interpretations relating to the right to an appeal, that interpretation which permits a review on the merits rather than rigidly restricting appellate review should be favored.” 4
This Court has already ruled that “the Ammerman doctrine does not apply in administrative cases until the jurisdiction of the courts is properly invoked- under the applicable statute.” Browde & Occhialiano, supra, at 447 n. 231 (citing In re Angel Fire Corp., 96 N.M. 651, 634 P.2d 202 (1981)). In Angel Fire, we said:
[T]he statute here establishes an administrative procedure for taking a case or controversy out of the administrative framework into the judicial system for review. Jurisdiction of the matters in dispute does not lie in the courts until the statutorily required administrative procedures are fully complied with. The courts have no authority to alter the statutory scheme, cumbersome as it may be.
96 N.M. at 652, 634 P.2d at 203. As Professors Browde and Occhialiano also note, administrative cases like workers’ compensation proceedings are by definition special statutory proceedings to which judicial rulemaking authority does not extend. Browde & Occhialiano, supra, at 447 n. 231, and 408-09 n. 4.
The majority’s attempt to distinguish Angel Fire is unpersuasive. What difference does it make, in deciding whether a statute is preempted by a court rule, that in one case the administrative process is completed and in another it is on-going? In both cases the statute spells out how to obtain judicial review of an administrative decision; in both cases the statute should be deemed controlling.
Finally, I find it significant that our Constitution confers on the legislature the power to prescribe the appellate jurisdiction of both this Court and the court of appeals. See N.M. Const, art. VI, §§ 2, 29. In the present case the legislature has said that the court of appeals is “invested with jurisdiction” when a notice of appeal is filed with the court of appeals within thirty days of mailing of the final order of the workers’ compensation judge. Cf. In re Application No. 0436-A, 101 N.M. at 582, 686 P.2d at 272 (in appeal from decision of State Engineer, where statute so requires, “It is the act of obtaining service of process upon a party which satisfies due process requirements and invests the court with jurisdiction * * *.”).
I would hold that the court of appeals had jurisdiction in this case because a notice of appeal was filed with it within thirty days after the hearing officer’s decision was mailed, in compliance with Section 52-5-8(A). It was therefore error for the court of appeals to dismiss the appeal for lack of jurisdiction. The majority holding otherwise, I respectfully dissent.
. There were two issues in Ammerman. The first was whether the so-called newsmen’s-privilege statute in NMSA 1953, Repl.Vol. 4 (1970), Section 20-1-12.1(A) (Supp.1975), was invalid as an unconstitutional attempt by the legislature to prescribe a rule of evidence; this Court held that it was. 89 N.M. at 309-12, 551 P.2d at 1356-59. The second was whether the provisions of subdivision (C) of the statute, relating to an "appeal” of an order of disclosure and requiring that such an appeal be heard de novo and within 20 days from its docketing, were unconstitutional as an attempt to require the Court to determine factual matters anew (in effect, to enlarge the Court’s original jurisdiction) and to regulate the appellate process within the Court; again we held that they were. Id. at 312-13, 551 P.2d at 1359-60. The first holding, in my view, improperly subordinates, to an assertion of judicial exclusivity in prescribing rules of evidence, a legislative policy that journalists should not be required to reveal their sources ”[u]nless disclosure be essential to prevent injustice * * The second holding correctly disposes of what was a good example of legislatively mandated procedures that would unduly burden the Court and interfere with its ability to carry out its constitutional duties in deciding cases and manage its workload.
. See, e.g., Southwest Community Health Services v. Smith, 107 N.M. 196, 755 P.2d 40 (1988) (statute regarding confidentiality of medical peer review organization records); American Auto. Ass'n v. State Corp. Comm'n, 102 N.M. 527, 697 P.2d 946 (1985) (statute giving parties sixty days to appeal from district court decision in motor carrier permit case); Otero v. Zouhar, 102 N.M. 482, 697 P.2d 482 (1985) (statute requiring claims against health care providers to be submitted to Medical Review Commission before filing suit); State ex rel. Gesswein v. Galvan, 100 N.M. 769, 676 P.2d 1334 (1984) (statute providing method for disqualification of district judge); In re Motion for Subpoena Duces Tecum, 94 N.M. 1, 606 P.2d 539 (1980) (statute limiting records of Organized Crime Commission to subpoena); James v. New Mexico Human Services Dep’t, 106 N.M. 318, 742 P.2d 530 (Ct.App.1987) (statute regulating appeals from Human Services Department); State v. Herrera, 92 N.M. 7, 582 P.2d 384 (Ct.App.1978) (statute regulating admission of evidence of victim’s past sexual conduct in criminal trial); State v. Doe, 90 N.M. 536, 565 P.2d 1053 (Ct.App.1977) (statute providing that defense of double jeopardy may not be waived).
. See 28 U.S.C.A. §§ 2071, 2072, 2073 & 2074 (West Supp.1989) for the 1988 revisions in the federal approach to rulemaking power and procedure. See also Browde & Occhialiano, supra, at 429 n. 140.
. See also Martinez v. Wooten Constr. Co., 109 N.M. 16, 780 P.2d 1163 (Ct.App.1989) (notice of appeal filed with Workers’ Compensation Division instead of court of appeals sufficient to give court jurisdiction over appeal). In Wooten, the court of appeals relied on In re Application No. 0436-A and its policy of permitting review on the merits to uphold the court’s jurisdiction; it distinguished the earlier case of Tzortzis v. County of Los Alamos, 108 N.M. 418, 773 P.2d 363 (Ct.App.1989), which dealt with the same issue as the present case and disposed of it in the same way as did the court of appeals below, as involving the timeliness of the notice of appeal, not whether the notice was filed with the proper court. I would overrule Tzortzis. I would also overrule James v. New Mexico Human Services Dep't, supra note 2, which held that an appeal from an order of the HSD denying benefits had to be dismissed because the notice of appeal, filed within thirty days after the appellant’s receipt of the order as provided by statute, was not filed within thirty days of its entry as provided by Rule 12-601(A).