dissenting.
I respectfully dissent, as Sisk failed to follow the law.
The legislature set out a very precise and detailed procedure to be followed in such cases, and the majority largely sweeps it away. Whether it is too demanding, and whether it should accommodate facsimile copies, is not for the court to decide unless it violates due process, a claim not advanced. If the legislature has power to establish the procedure, a point which is not challenged, then the judicial branch must honor its requirements. It is no answer to say that the Civil Practice Act is to be construed liberally, according to its own provisions. See OCGA §§ 9-11-1; 9-11-8 (f).2 OCGA § 9-11-9.1, too, is an act of the General Assembly, which has created within the Civil Practice Act the particularized requirements for professional malpractice affidavits.
The submission of a facsimile of an affidavit does not meet the requirements of OCGA § 9-11-9.1. It does not bear original signatures and thus it does not suffice to constitute an affidavit. See Miller v. Caraker, 9 Ga. App. 255, 256-257 (71 SE 9) (1911). Failure to file an original affidavit is a defect that “bear[s] directly on the determination of whether the requirements of OCGA § 9-11-9.1 were satisfied. . . .” Gooden v. Ga. Baptist Hosp. &c., 198 Ga. App. 407, 408-409 (1) (401 SE2d 602) (1991) (photocopy insufficient; affidavit also defective for lack of referenced exhibits); see also Hardman v. Knight, 203 Ga. App. 519 (417 SE2d 338) (1992) (unsigned affidavit insufficient).
Sisk does not cite any decision holding that a facsimile or other reproduction of an original affidavit can satisfy the requirement that an affidavit be filed, or that a copy will suffice when an affidavit is *161required by law in other instances. He cannot rely on an understanding of the law unsupported by precedent. He argues instead that the purpose of OCGA § 9-11-9.1, to reduce the number of frivolous malpractice suits, see Hewett v. Kalish, 264 Ga. 183, 184 (1) (442 SE2d 233) (1994), is not advanced by requiring the original affidavit rather than a facsimile, and that once the expert has rendered his opinion as to the basis of the suit, the purpose of the statute is fulfilled and the affidavit is mere evidence of that fulfillment. He contends that to rule that a facsimile of an affidavit is insufficient would be to elevate the form of the requirement over its substance.
In Brown v. Middle Ga. Hosp., 211 Ga. App. 884 (440 SE2d 687) (1994), we were similarly faced with the argument that a facsimile was sufficient or, if not, the failure to file the original was an amendable defect. We did not determine that a facsimile alone was satisfactory, but rather that it was defective and could only be considered for filing purposes if “the failure to file the proper affidavit in the first place constitutes an ‘amendable defect.’ ” Id. at 885 (1). Sisk’s arguments concerning the policy behind the statute and the ability of a facsimile to fulfill that policy have some compelling logic, especially in this age of instant facsimile transmission and often distant witnesses; the process of creating and agreeing upon an affidavit is doubtless facilitated by the technology, and securing the evidence of the expert’s opinion would be more efficient if a facsimile could be submitted. However, the simple fact is that a facsimile, or any reproduction, is not an affidavit. “A signed statement of facts, purporting to be the statement of the signer, followed by the certificate of an officer, authorized to administer oaths that it was sworn to and subscribed before him, is a lawful affidavit.” Phoenix Air Conditioning Co. v. Al-Carol, Inc., 129 Ga. App. 386, 387 (199 SE2d 556) (1973). The only question then is whether the failure to file an original was an amendable defect.
Sisk argues that Waldroup v. Greene County Hosp. Auth., 204 Ga. App. 256 (419 SE2d 36) (1992), requires that amendment of the affidavit be permitted. In that case, the plaintiff had invoked the protection of OCGA § 9-11-9.1 (b), which Sisk did not do. On the 45th day after filing the complaint,' the plaintiff filed a facsimile of an expert’s affidavit. Id. at 257 (1). Subsection (b) includes a provision that extensions of the 45-day period may be given “for good cause . . . [when] justice requires.” That language is not in subsection (e), under which Sisk must travel. Waldroup determined that a subsection (b) extension should have been granted under the facts of that case, because the facsimile showed the original was available.
In Brown, supra, with facts similar to those in this case, we looked to Waldroup and concluded that Waldroup required that a facsimile of an original affidavit would be acceptable only if the origi*162nal filing could be amended. Whether Sisk is allowed to amend is controlled by OCGA § 9-11-9.1 (e), which states that a plaintiff who fails to file an affidavit cannot amend pursuant to OCGA § 9-11-15 “unless a court determines that the plaintiff had the requisite affidavit available prior to filing the complaint and the failure to file the affidavit was the result of a mistake.”3
Sisk argues that the existence of a facsimile of the affidavit establishes the existence of the original and shows it is “available,” within the meaning and purpose of the statute. There can be no facsimile if there is no original. As an affidavit under OCGA § 9-11-9.1 must meet the standards of a pleading requirement rather than those of an evidentiary requirement, Bowen v. Adams, 203 Ga. App. 123 (416 SE2d 102) (1992), it can be considered “available” within the meaning of OCGA § 9-11-9.1 (e) when it is in existence and acquirable by plaintiff, even though not physically in the plaintiff’s possession, as here. He had, it may be said, constructive possession of it because it was in his control. This is evidenced by the fact that he soon received it.
Waldroup, supra, is clearly distinguishable because its resolution was governed by the less rigid subsection (b), however. Sisk must also satisfy the subsection (e) requirement that the failure to file the original was the result of a mistake, a requirement not found under the facts of Waldroup. Additionally, Waldroup does not control because the language Sisk wishes to rely upon concerning amendment rests upon St. Joseph’s Hosp. v. Nease, 259 Ga. 153 (1) (b) (377 SE2d 847) (1989), which predates the addition of subsections (e) and (f) to OCGA § 9-11-9.1. Id. at 155, n. 3. The trial court pointed out that plaintiff never moved the court to determine that the failure to file the proper affidavit was the result of a mistake.
It is clear from the record and pleadings that the failure to file the original affidavit contemporaneously with the complaint was not due to any mistake but rather to the fact that it was not physically in plaintiff’s possession when the complaint was filed.4 The only mistake asserted by Sisk occurred after the required time had expired, when the original affidavit arrived and was placed in an office file. OCGA § 9-11-9.1 (e) prevents the defect from being cured by amendment when there is not a “mistake” within the sense intended by the statute. Brown, supra at 886 (1). This result is consistent with Nease, supra at 155, n. 3. Here there were legal mistakes as to the effect of a *163facsimile and the procedure to be followed.
Although one might be inclined to construe the pleadings in this case to allow amendment so as to do substantial justice, satisfying both the policy behind OCGA § 9-11-9.1 and the language of OCGA § 9-11-8 (f),5 we are constrained not only by the choices made by the legislature in crafting OCGA § 9-11-9.1 and by Sisk in pursuit of his case, but as an appellate court also by the trial court’s ruling. Had Sisk invoked OCGA § 9-11-9.1 (b) when filing his complaint, no dismissal would have occurred. Even though he did not do so, had he attempted to amend his complaint to comply with subsection (b) within 45 days of filing, he may have been afforded that privilege. See Thompson v. Long, 201 Ga. App. 480, 481-482 (1) (411 SE2d 322) (1991). He did not file the original affidavit in court until over nine months after the complaint was filed and after defendant’s motion to dismiss the complaint was granted.
Sisk expressly appealed from the March 28, 1994 dismissal of his complaint, by notice filed April 26, 1994. He did not appeal from the subsequent denial of his motion to set aside and amend. The enumeration of error and argument are confined to the acceptability and amendability of the facsimile affidavit. Therefore, the attempted amendment itself is an issue not properly before us. See City of Atlanta v. Jackson, 263 Ga. 426, 428 (6) (435 SE2d 212) (1993).
Moreover, the affidavit is ineffective. The original affidavit, filed with the VA, was sworn to and subscribed before a notary public by Dr. Scheer on June 3, 1993. Suit was filed, without an original affidavit, on June 7, 1993. It had attached a facsimile copy of an affidavit signed by Dr. Scheer on May 31 and by the notary (a different one) on June 7. Thus, on its face it does not appear that Dr. Scheer swore to and subscribed the affidavit before the notary. The original of this one was filed after the complaint was dismissed in March 1994. Even if its filing had been timely, it was invalid. “ ‘In order to make an affidavit there must be present the officer, the affiant, and the paper, and there must be something done which amounts to the administration of an oath.’ ” Harvey v. Kidney Center of Central Ga., 213 Ga. App. 319, 320 (444 SE2d 590) (1994), and cases cited therein.
Although the existence of a valid affidavit at the time of filing the complaint satisfies the policy behind OCGA § 9-11-9.1, the legislature specified the requirements and procedures applicable to OCGA § 9-*16411-9.1 affidavits and we are precluded from creating a judicial exception for the problems presented by plaintiff. The form, procedure, and permitted deviations are tightly controlled by the statute. The judiciary is given very limited fields of discretion in this matter in order to achieve the purpose of the statute equitably.
The majority suggests that a facsimile be allowed to avoid the statute of limitation with the later filing of the original permitted as a “supplementary pleading.” OCGA § 9-11-9.1 (e) controls such amendments and requires that the failure to file the original was due to a mistake.
The majority also suggests that the submission of the facsimile itself should satisfy the filing requirement of OCGA § 9-11-9.1 (a), with the original being required only if the existence of the affidavit is challenged. This practical solution requires legislative loosening of the reins. There is no basis in the statute for accepting anything other than the original affidavit. As stated in Barr v. Johnson, 189 Ga. App. 136, 137 (375 SE2d 51) (1988), which also involved OCGA § 9-11-9.1, “[i]f the legislature sets forth a specific statutory means by which the plaintiff judicially enforces [his] cause of action, [h]e must follow that law, or [his] action is subject to dismissal. OCGA § 9-11-41 (b).”
In this instance, the legislature has established the method, in fact alternative methods, by which its purpose in requiring an affidavit is to be served. Plaintiffs, and the courts, can devise other and even arguably better methods. However, because they are not empowered to change the law prescribed by the legislature absent constitutional infirmity, they are bound to follow it. The liberality given pleading requirements of the Civil Practice Act (CPA) does not extend to the specific procedural requirements placed on malpractice actions by the legislature after adoption of the CPA. Nor does it apply to the prerequisites for a valid affidavit.
The principle in the majority opinion taken in quote from Gadd v. Wilson & Co., Engineers &c., 262 Ga. 234, 235 (416 SE2d 285) (1992), related to the contents and substance of the affidavit, that is, the sufficiency of affiant’s statements of fact, not the procedural requirements of the statute with respect to such affidavits. Also, as noted by the majority, Paulin v. Okehi, 264 Ga. 604 (449 SE2d 291) (1994), involves an affidavit submitted in opposition to a motion for summary judgment, which is not subject to the procedural filing requirements of OCGA § 9-11-9.1. What is more, neither of these cases dealt with a purported affidavit which lacked any of the essentials of a valid affidavit.
The law permitted Sisk’s complaint to be dismissed, as it was. It cannot be concluded that the court erred as a matter of law in its application of OCGA § 9-11-9.1 (e).
I am authorized to state that Judge Andrews and Judge Ruffin *165join in this dissent.
Decided March 17, 1995 Reconsideration denied March 31, 1995 Knight & Fisher, Ronald T. Knight, Joy H. Fisher, Davis, Gregory, Christy & Forehand, Hardy Gregory, Jr., for appellant. Watson, Spence, Lowe & Chambless, Thomas S. Chambless, Dawn G. Benson, for appellee.This view goes back to a statement by this court in Continental Invest. Corp. v. Cherry, 124 Ga. App. 863, 865 (2) (186 SE2d 301) (1971), regarding claims of fraud under OCGA § 9-11-9 (b). At that time, the requirement for malpractice affidavits did not exist; it was enacted in 1987. Ga. L. 1987, p. 887, § 3.
In order to invoke the operation of subsection (e), Patel was required to raise “the failure to file such an affidavit in [his] initial responsive pleading,” which he did. Compare Colston v. Fred’s Pest Control, 210 Ga. App. 362, 364 (436 SE2d 23) (1993).
In Gooden v. Ga. Baptist Hosp. &c., 198 Ga. App. 407, 409 (2) (401 SE2d 602) (1991), which involved application of the same language in subsection (f), there similarly was “no evidence in the record to indicate that the failure to file a satisfactory affidavit was the result of a mistake.” The dismissal of the complaint on this and other grounds was affirmed.
In Waldroup, supra at 258 (2), we noted that “our decision in Gooden . . . does not prohibit trial courts when justice so requires from considering facsimiles of affidavits that are available during the statutory period.” This was carried forward in Brown, supra at 885 (1). Gooden involved an application of subsection (f) of the statute, which like subsection (e) applicable here, governs failure to file due to a mistake. Neither subsection expressly provides discretion to act “as justice requires,” although subsection (b), not applicable here, does so.