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Mitchell v. J&M Sec., LLC

Missouri Court of Appeals Eastern District DIVISION ONE
Oct 22, 2019
590 S.W.3d 853 (Mo. Ct. App. 2019)

Opinion

No. ED 107431

10-22-2019

Velma L. MITCHELL, Tanisha L. Winston and Kayla Sanders, Appellants, v. J&M SECURITIES, LLC and Shannon Metzger, Respondents/Cross-Appellants.

ATTORNEYS FOR APPELLANT, David T. Butsch, Christopher E. Roberts, 231 South Bemiston, Suite 260, Clayton, MO 63105. ATTORNEYS FOR RESPONDENT, Mayer S. Klein, Michael J. Payne, Rachel M. Shenker, 231 S. Bemiston, Suite 1111, Clayton, MO 63105.


ATTORNEYS FOR APPELLANT, David T. Butsch, Christopher E. Roberts, 231 South Bemiston, Suite 260, Clayton, MO 63105.

ATTORNEYS FOR RESPONDENT, Mayer S. Klein, Michael J. Payne, Rachel M. Shenker, 231 S. Bemiston, Suite 1111, Clayton, MO 63105.

ROBERT G. DOWD, JR., Judge

Velma Mitchell, Tanisha Winston and Kayla Sanders (collectively "Plaintiffs") appeal from the judgment dismissing their petition for failure to state a claim against J&M Securities, LLC and Shannon Metzger (collectively "Defendants"). Defendants cross appeal, challenging the denial of their motion for attorney fees. We affirm.

All of the claims in Plaintiffs' petition were premised on allegations that Defendants engaged in the unauthorized practice of law. J&M is a limited liability company, solely owned by Metzger, and it holds itself out as a "professional judgment enforcement firm." J&M is not a law firm, and Metzger is not licensed to practice law in Missouri. According to the petition, J&M obtained judgments through collection lawsuits or by assignment. With respect to Plaintiff Mitchell, J&M obtained a default judgment against her in a collection lawsuit arising from unpaid rent. Plaintiffs Winston and Sanders also had unpaid rent, resulting in consent judgments that were allegedly assigned to J&M. To collect on each of these judgments, Metzger "filed a garnishment application and interrogatories" on behalf of J&M. The requests were directed to Mitchell’s bank account and Winston’s and Sanders’s employers, respectively. None of these documents were signed by an attorney. Copies of these garnishment applications and interrogatories were attached to the petition.

Plaintiffs alleged that because J&M is a limited liability company, only a Missouri licensed attorney was authorized to "submit court filings" on its behalf. The petition alleged that because he was not a licensed attorney, Metzger’s "filing of garnishment applications and interrogatories" on J&M’s behalf was the unauthorized practice of law. Plaintiffs alleged in Count I that Defendants' unauthorized practice of law constituted a deceptive practice, misrepresentation, false promise or unfair practice in violation of the Missouri Merchandising Practices Act ("MMPA"). In Count II, Winston and Sanders sought to hold Defendants liable for "money had and received," alleging that it would be unjust for Defendants to retain the money that had been withheld from those Plaintiffs' wages via Metzger’s unauthorized practice of law. Plaintiffs sought to establish a class action, asserting that Defendants had engaged in this practice in hundreds of cases in Missouri.

Defendants filed a motion to dismiss for failure to state a claim. Defendants argued that, according to Division of Employment Security v. Westerhold , 950 S.W.2d 618 (Mo. App. E.D. 1997), seeking a garnishment is not the practice of law and therefore the entire theory of liability in both counts failed. The court agreed, granted the motion to dismiss and ordered the petition dismissed with prejudice. Defendants moved, as the prevailing party, for attorney fees under the MMPA on the ground that Plaintiffs had pursued vexatious and frivolous claims because they directly contradicted the clear holding of Westerhold . The court entered an amended judgment, adding that the lawsuit was not frivolous and there was no basis for awarding attorney fees. This appeal and cross-appeal followed. Plaintiffs challenge the dismissal of their petition, and Defendants challenge the denial of attorney fees.

Motion to Dismiss

We review the trial court’s grant of a motion to dismiss de novo and must affirm if dismissal was appropriate on any ground supported by the motion. A.F. v. Hazelwood School District , 491 S.W.3d 628, 631 (Mo. App. E.D. 2016). A motion to dismiss for failure to state a claim is solely a test of the adequacy of the plaintiff’s petition. Id. The averments in the petition are taken as true, and all reasonable inferences therefrom are liberally construed in the plaintiff’s favor. Id. When the facts alleged are insufficient as a matter of law, dismissal is proper. Missouri Municipal League v. State , 489 S.W.3d 765, 768 (Mo. banc 2016). Because we conclude that Metzger’s acts as alleged in the petition did not, as a matter of law, constitute the unauthorized practice of law, dismissal of the petition—based entirely on that theory—was proper.

J&M is a limited liability company, which is a statutory entity. See Sections 347.010 to 347.187 ("Missouri Limited Liability Company Act"). A statutory entity cannot act at all except through individuals acting on its behalf. Naylor Senior Citizens Housing, LP v. Side Construction Company, Inc., 423 S.W.3d 238, 243 (Mo. banc 2014). No individual can practice law on behalf of another without being a licensed attorney. Id. at 244. Thus, while an individual can represent herself without a license to practice law—because she is not, in that situation, representing another—only a licensed attorney can act on an LLC’s behalf in legal matters. See id. at 244-45.

Metzger is not a licensed attorney and he acted on behalf of the LLC, not himself, when he submitted the applications for garnishments and accompanying interrogatories. Plaintiffs insist that because garnishment is a "legal matter," Metzger was unauthorized to act in any way on J&M’s behalf in the garnishment proceedings and our inquiry ends here. We disagree. As the Court in Naylor and other cases cited herein did, we must analyze the particular acts in which the non-attorney engaged to determine if they fit within the scope of the practice of law as defined by our judiciary. Id. at 245. In Naylor , little analysis was actually required because the act in question was the filing of an original petition, and "no matter what else may or may not be included ... the act of appearing in court to assert or defend claims on behalf of another lies at the very heart of the practice of law." Id. (noting that "[a] precise and comprehensive definition of the practice of law has proved elusive over the last two centuries"). But this case does not involve the filing of a petition, and we are not led "inescapably" to the conclusion that it is the practice of law as was the Court in Naylor . And, unlike that Court, we cannot avoid a deeper look into the "elusive" definition of the practice of law.

The judiciary is the sole arbiter of what constitutes the practice of law. Hargis v. JLB Corporation , 357 S.W.3d 574, 578 (Mo. banc 2011). The legislature’s definitions relating to the practice of law—unchanged since 1915—"merely act in aid of [the Supreme] Court’s regulation of the practice of law and cannot supersede or detract from, the power of the judiciary to define and control the practice of law." Id. (internal quotation marks and citations omitted). Nonetheless, the Supreme Court routinely uses the statutory definitions in Section 484.010 "as a reference point for determining the scope of the practice of law." Id. That statute provides:

1. The "practice of the law" is hereby defined to be and is the appearance as an advocate in a representative capacity or the drawing of papers, pleadings or documents or the performance of any act in such capacity in connection with proceedings pending or prospective before any court of record, commissioner, referee or any body, board, committee or commission constituted by law or having authority to settle controversies.

2. The "law business" is hereby defined to be and is the advising or counseling for a valuable consideration of any person, firm, association, or corporation as to any secular law or the drawing or the procuring of or assisting in the drawing for a valuable consideration of any paper, document

or instrument affecting or relating to secular rights or the doing of any act for a valuable consideration in a representative capacity, obtaining or tending to obtain or securing or tending to secure for any person, firm, association or corporation any property or property rights whatsoever.

Decades ago, the Supreme Court also crafted its own definition—not intended to be all-inclusive—of the practice of law, which encompasses elements from both of the above statutory definitions:

[O]ne is engaged in the practice of law when he, for a valuable consideration, engages in the business of advising persons, firms, associations, or corporations as to their rights under the law, or, appears in a representative capacity as an advocate in proceedings pending or prospective, before any court, commissioner, referee, board, body, committee, or commission constituted by law or authorized to settle controversies, and there, in such representative capacity, performs any act or acts for the purpose of obtaining or defending the rights of their clients under the law. Otherwise stated, one who, in a representative capacity, engages in the business of advising clients as to their rights under the law, or while so engaged, performs any act or acts either in court or outside of court for that purpose, is engaged in the practice of law.

Clark v. Austin , 340 Mo. 467, 101 S.W.2d 977, 982 (Mo. 1937).

These are "practically the same" definition, with some notable differences in terminology that are not dispositive here, as explained in footnote 9 of this Opinion. State ex rel. McKittrick v. C. S. Dudley & Company , 340 Mo. 852, 102 S.W.2d 895, 899 (Mo. 1937) ; see Liberty Mutual Insurance Company v. Jones , 344 Mo. 932, 130 S.W.2d 945, 955 (Mo. 1939) (noting differences).

Under the above definitions, it is the character of the acts that is dispositive under these definitions, not whether the acts occurred in or out of court. Reed v. Labor and Industrial Relations Commission , 789 S.W.2d 19, 21 (Mo. banc 1990), receded from on other grounds in Haggard v. Division of Employment Security, 238 S.W.3d 151, 155 (Mo. banc 2007) ; see also Hoffmeister v. Tod , 349 S.W.2d 5, 13 (Mo. 1961) ("[T]he character of the act performed, and not the place where it is performed, is the controlling factor"). In Reed , the Court stated that the definition of the practice of law—citing to both the judicial and statutory definitions above—encompassed "a broad range of activities," but it is "the character of the acts done ... that constitutes the decisive factor in determining whether the acts fall within the practice of law." 789 S.W.2d at 21. To determine the character of the acts at issue there, the Court looked to whether they involved any legal skill or knowledge. Id. The Court found that submitting applications to the Labor and Industrial Relations Commission for review of unemployment benefits decisions were not "merely ministerial acts." Id. Rather, the statutes governing that review "require[d] the applicant to assert facts and legal theories supporting reversal, which requires some degree of legal skill and knowledge." Id. The Court found that applying for review required advocating a legal position, namely in that case that the claimant was not entitled to benefits because she had been discharged due to "misconduct connected with work," which was a legal standard. Id. As such, the non-attorney employees who filed the applications on behalf of the corporation was asserting the corporation’s legal rights and, because they were not licensed, that conduct constituted the unauthorized practice of law. Id. at 23.

Following Reed , our courts have found that representational activities involving the application of legal knowledge and skill and the assertion of legal rights and claims constitute the practice of law. See Strong v. Gilster Mary Lee Corporation , 23 S.W.3d 234, 239 (Mo. App. E.D. 2000) ("there can be no doubt" preparing and filing application for review in workers compensation case and appearing at hearing involved application of legal skill and knowledge and assertion of legal rights). On the other hand, when the acts in question involve no legal skill or knowledge, they are not the practice of law. In State ex rel. Missouri Department of Social Services v. Administrative Hearing Commission , the Western District addressed the act of petitioning the Administrative Hearing Commission for review of a Medicaid benefits reimbursement decision. 814 S.W.2d 700 (Mo. App. W.D. 1991). Unlike the application in Reed , that court found "no requirement that the applicant for review specify the grounds upon which he claims the decision of the Department of Social Services was erroneous." Id. at 702. Rather, the applicant only had to identify the party appealing, identify the decision and request an appeal therefrom. Id. The AHC was then required to "take cognizance of the appeal and proceed;" it had no discretion to reject the appeal if the applicant failed to state grounds for relief. Id. Thus, the court concluded, drafting and filing the petition for review in that case required "no legal skill or legal training." Id. As such, the non-lawyer employees of the respective hospital providers who filed the petitions for review had not engaged in the practice of law. Id.

In Westerhold —relied on by Defendants and the trial court in this case—we applied the above principles to the act of requesting a garnishment. 950 S.W.2d at 619. There, the Division of Employment Security assessed Jeffrey Westerhold, an employer, for unpaid contributions to the State’s unemployment fund. Id. Westerhold appealed, and the decision was affirmed at all stages of the administrative review process and on appeal to the circuit court. Id. The chief of contributions at the Division then filed in the circuit court a certificate of assessment, as required by Section 288.190, which specified for the court the amount due to the Division. Id. Years later, another agent of the Division filed a request for garnishment of Westerhold’s wages, and a writ of garnishment issued. Id. Westerhold moved to quash the writ on the ground that the non-attorneys who filed the certificate of assessment and request for garnishment on behalf of the Division had engaged in the unauthorized practice of law. Id. at 619-20.

We concluded that, unlike Reed , neither filing a certificate of assessment nor requesting garnishment required "any legal skill or knowledge." Id. at 621. As to the certificate of assessment, that document "merely recited" the amounts due, the finality of the order of assessment and the fact that notice had been served on the employer. Id. "[S]imply drafting and filing" that document did not constitute the practice of law. Id. (citing Department of Social Services, 814 S.W.2d 700 ). In finding that the request for garnishment did not require any legal skill or knowledge, we stated that garnishment is a form of execution, which is issued "as a matter of course," and the issuance is a ministerial act. Id. "Furthermore," we pointed out that in the particular case of collecting delinquent contributions to the unemployment fund, an "agent" of the Division is expressly authorized by statute to request issuance of execution upon the certificate of assessment. Id. We also stated that "Division’s agent filed no interrogatories or other pleadings that would constitute the practice of law." Id.

We agree with Plaintiffs that the statute expressly authorizing an agent to act in Westerhold does not apply here. No statute specifically authorizes an agent to file a request for garnishment for an LLC, but neither do any statutes prohibit it. Plaintiffs extrapolate language from Section 525.010 (regarding who may be summoned as a garnishee) and Section 525.020 (regarding how garnishees may be summoned) and assert that these statutes forbid a non-attorney from filing a request for garnishment on behalf of an LLC. Those statutes say no such thing and do not govern the judicial determination of whether that act is the practice of law.

The request in Westerhold was filed in 1996, and at that time Rule 90.03 stated only that "If a party so requests , a notice of garnishment and summons to garnishee shall be included by the clerk when an attachment or execution is issued." Rule 90.03 (1996) (emphasis added). It is not clear—from this rule or any other authority involving requests for garnishment under this version of the rule—what, if anything, had to be contained in this request or whether it had to be in any particular format. Now, the applicable rule specifies in detail what is required when requesting a garnishment:

The clerk of the court that entered the judgment shall issue a writ of garnishment if the garnishor files a written request stating:

(a) That a judgment has been entered against the debtor and remains unsatisfied;

(b) The judgment balance, as defined in section 408.040, RSMo, and the amount remaining unpaid;

(c) That the garnishor knows or has good reason to believe that the garnishee is indebted to debtor, that the garnishee is obligated to make periodic payments to debtor, or that the garnishee has control or custody of property belonging to debtor;

(d) The requested return date of the writ, which shall be either 30, 60, 90, 120, 150, or 180 days after the filing of the request for the writ or, alternatively, that a continuous wage garnishment is requested; and

(e) Whether payments made by the garnishee shall be made to the court or to the attorney for the garnishor.

Rule 90.02 (2018). OSCA has made available a pre-printed form, CV 92 "Garnishment Application and Order," containing spaces and directions for filling in all of the information required by Rule 90.02. This was the form used by Metzger in this case. It does not appear that this form, or anything like it, existed for requesting garnishment at the time and in the Twenty-First Judicial Circuit, where the request was made in Westerhold . Nor does the Westerhold opinion contain any details about the contents or format of the request that was filed in that case.

This version of the rule has been the same since July 1, 2016. All of the applications for garnishment in this case were filed after that date.

It appears that some other circuit courts provided forms for requesting garnishment. See, e.g., Twenty-Second Judicial Circuit Local Rule 81.1 (effective 1993) ("clerk shall provide blank forms for requesting execution, garnishment and writs of sequestration").

The act of requesting a garnishment now is not necessarily the same as it was then, and without more information about the particular request in that case, we cannot blindly apply the Court’s conclusions about that act to the acts in this case. Moreover, contrary to Plaintiffs' contention, Westerhold did not address the additional act of submitting interrogatories that occurred here. That case simply does not conclusively answer whether the character of the particular acts done in this case constitute the practice of law.

There were no interrogatories filed in Westerhold , and the comment made therein—that "Division’s agent filed no interrogatories or other pleadings that would constitute the practice of law"—was dicta and does not provide binding or persuasive authority on that issue here.

Plaintiffs argue that Metzger’s conduct fits "squarely" in the definition of "practice of law" as set out in Section 484.010.1, describing his conduct in a way that tracks that statute: they claim that his conduct was an "appearance" before a Missouri court "as an advocate" for the collection of judgments on J&M’s behalf, the "performance of an act" in connection with a legal proceeding and the "drawing of" papers or documents in connection with a pending legal proceeding. But, as shown in the cases above, a mechanical application of that definition does not dictate the result here. That is to say, even if we accept Plaintiffs arguments that a garnishment application is a paper or document in a legal proceeding and that the purpose of a garnishment is to advocate for the collection of a judgment, we still must consider the character of the particular act here—completing the application—to determine the legal skill and knowledge involved, as the courts did in Reed , Department of Social Services and Westerhold . According to the attachments Plaintiffs incorporated into their petition, what Metzger did to complete that application was fill in blanks on a pre-printed standardized form prepared by OSCA. This required no legal skill or knowledge and was not the practice of law.

CV 92 "Garnishment Application and Order" provides blanks for the applicant to fill in rudimentary information about the case: the parties' names and addresses, the case number, the date and amount of the judgment and the address of the garnishee. The applicant is required to check a box as to what is to be garnished—bank account, bond, wages or "other"—and another box to indicate to whom payments should be made and how. No legal skill or knowledge was needed to provide this basic information. The applicant must attest to a pre-printed statement, consistent with Rule 90.02(a) and (c), that "a judgment has been entered" and "remains unsatisfied" and the applicant "knows or has reason to believe" that the garnishee is obligated to the debtor. Contrary to Plaintiffs' argument, this attestation does not require the applicant to make a legal assertion about the validity of that judgment, just its existence.

One of the form applications for garnishment that was attached to the petition in this case is set out in full in the appendix to this Opinion for reference. The other forms are similar enough for purposes of our analysis that we need not include them all.

Rule 90.02(b) requires that the request for garnishment state "the judgment balance, as defined in Section 408.040, and the amount remaining unpaid." The OSCA form provides the applicant with a worksheet to calculate the "amount remaining unpaid." The worksheet begins with a blank for the "judgment balance" and instructs, consistent with Section 408.040, that this means "the total amount of the judgment awarded on the day judgment is entered including, but not limited to, principal, prejudgment interest, and all costs and fees." Contrary to Plaintiffs' contention, the applicant need not engage in a statutory analysis of Section 408.040 in order to enter the judgment balance amount. Underneath the judgment balance line, there are blanks in which the applicant supplies pre-identified amounts—such as post judgment interest and credits—relevant to the ultimate calculation of the amount remaining unpaid on the judgment. The applicant just plugs in those numbers and does the math. Basic addition and subtraction does not require legal skill.

The form also leaves a blank space for the applicant to insert "Instructions for Service and/or Garnishee." Here, on the applications regarding Winston’s and Sanders’s wage garnishments, Metzger included instructions to the garnishee to garnish "all wages," etc.; on the application regarding Mitchell’s bank, he instructed the garnishee to garnish "all accounts and safe deposits." Though Plaintiffs point to this section as evidence that the applicant is required to do "more than simply fill in numbers," they do not articulate what legal skill is involved in providing these instructions.

An applicant for a garnishment is required by Rule 90.07(a) to provide written interrogatories asking for information specified in Rule 90.07(a)(1)-(5). CV 110 "Interrogatories to Garnishee" is a pre-printed list of questions seeking that required information. The applicant’s only task in completing this form is to fill in blanks with the names and addresses of the parties and the garnishee, the case number and where to send the answers and a copy thereof. The garnishor provides these interrogatories to the serving officer after the issued summons and writ are returned to the garnishor by the court so that they can be served simultaneously with the summons and writ; they are only filed with the court under certain circumstances. See Rule 90.07(a) and (e). We note that asserting objections to the answers to these interrogatories may involve more than is required to fill in the form itself, though we express no opinion here as to whether those actions constitute the practice of law. See e.g., Rule 90.07(c) ("The garnishor shall file and serve on the garnishee any exceptions to the interrogatory answers, asserting any objections to the answers and asserting all grounds upon which recovery is sought against the garnishee.")

No legal skill, knowledge or discretion was required to fill in any of the information required by either of these forms—only a basic ability to put factual information into the correct box. See Hargis , 357 S.W.3d at 585 (concluding that when completing standardized real estate forms that already identified required information, "accuracy, rather than discretion—legal or otherwise—is what is required" and thus was not practice of law). Plaintiffs' arguments to the contrary are not well-taken. They contend that legal skill and knowledge is required for an applicant to be "in a position to properly complete the garnishment papers." Specifically, they argue the applicant must ensure that the underlying judgment was valid, service was proper, there was a valid assignment (if applicable) and the amount to be collected is correctly calculated as prerequisites to filling in the form, and they claim all of those determinations involve legal skill or knowledge. Plaintiffs portend "grave consequences" resulting from completion of the request for application form by an applicant who either does not have the legal acumen supposedly needed to make these determinations or who is not supervised by an attorney who does. We do not disagree that there are potentially significant legal consequences from the issuance of a writ, as the cases Plaintiffs' cite show. See, e.g., Boone v. Lou Budke’s Arrow Finance Company, Inc., 98 S.W.3d 555, 556 (Mo. App. E.D. 2002) (discussing wrongful garnishment action filed on ground debt had been discharged in bankruptcy); Moon v. Tower Grove Bank & Trust Company , 691 S.W.2d 399, 400 (Mo. App. E.D. 1985) (discussing wrongful garnishment action filed on ground underlying judgment void for lack of personal service). Legal skill may be needed in such proceedings that challenge the validity of the garnishment after it has been issued. But these challenges need not be addressed, much less eliminated, by the applicant prior to applying for the writ.

Plaintiffs cite Hulse v. Criger, 363 Mo. 26, 247 S.W.2d 855, 862 (Mo. banc 1952), for the proposition that "form documents with legal consequences may only be prepared by a non-lawyer with appropriate supervision or oversight." This citation is to that Court’s statement that a real estate broker is permitted to, under certain circumstances, fill in the blank spaces on standardized real estate "forms prepared or approved by counsel." Id. The forms had to be approved ahead of time, but the Court said nothing about supervision or oversight in the filling in the blanks on those forms.

Rather, the only prerequisite to the act of issuing the writ of garnishment is receipt of the completed application: "Upon receipt of the garnishment application, the clerk shall process the application, issue the writ, and return the garnishment to the requesting party, who shall serve the garnishment on the garnishee as provided by Rule 90.03." Rule 90.02 (2017). The application instructs that the form "must be completed in full or your request will be returned unprocessed." At the end of the form is a box for issuing the "Writ of Garnishment," which is itself a series of blanks for the clerk of court to fill in.

Though more information is required by this form to trigger issuance under our current rules, issuance is still just as much a ministerial act as it was under the rules applicable in Westerhold, 950 S.W.2d at 621. Contrary to Plaintiffs' assertion, the Court in Westerhold did not "confuse" the request for garnishment with the issuance of garnishment, nor do we. They are obviously distinct acts done by different actors. But that does not mean, as Plaintiffs allege, that they have "nothing to do" with one another. In Westerhold , the ministerial nature of the response to a request for garnishment was instructive to the conclusion that the request required no legal skill or knowledge. See id. Likewise, in Department of Social Services , the lack of discretion to reject an appeal was instructive to the court’s conclusion that no legal skill was involved in drafting and filing the petition for that appeal to the AHC. See 814 S.W.2d 700. Similarly here, the writ of garnishment will be automatically granted by the clerk upon the receipt of the form completed with basic non-legal information. This suggests that no legal discretion was needed to complete the form. The applicant did not have to exercise any judgment in deciding what the clerk needed to issue the writ. The required information is identified by the form, and no legal skill is required to gather or supply that information, as discussed above. Short of submitting an incomplete application, the writ will issue "as a matter of course." Westerhold , 950 S.W.2d at 621.

Plaintiffs argue that our Court has "repeatedly held that non-attorneys cannot prepare legal forms for a statutory entity, even if those documents are approved by [OSCA]." Plaintiffs overstate the holdings of the cases they cite, and in any event they are distinguishable because they involved the assertion of legal claims similar to the acts in Reed. See Palmore v. City of Pacific , 393 S.W.3d 657, 664 (Mo. App. E.D. 2013). (concluding that application for trial de novo starts trial anew and, like filing of petition, is practice of law); Mayer v. Lindenwood Female College , 453 S.W.3d 307, 313 (Mo. App. E.D. 2014) (rejecting argument that notice of appeal was "ministerial act" and citing Reed regarding "assertion of legal rights"); Joseph Sansone Company v. Bay View Golf Course, 97 S.W.3d 531, 532 (Mo. App. E.D. 2003) (striking as void notice of appeal filed on behalf of corporation, without "practice of law" analysis, after corporation failed to respond to order to show cause why notice of appeal should not be stricken); Schenberg v. Bitzmart, Inc. , 178 S.W.3d 543, 544-45 (Mo. App. E.D. 2005) (rejecting argument that motion for new trial in judge-tried case is "perfunctory" and corporation not required to have attorney file motion on its behalf).

Plaintiffs' reliance on Marchant v. U.S. Collections West, Inc., 12 F. Supp. 2d 1001, 1002 (D. Ariz. 1998) is misplaced. That case involves a federal district court’s conclusion that filing a garnishment application constituted, under Arizona law, the practice of law. We need not resort to non-binding authority outside this jurisdiction, given the binding and persuasive precedent available in our own courts regarding what the Missouri judiciary says constitutes the practice of law in this State.

Filling in the blanks on the OSCA form applications for garnishment and accompanying interrogatories was not an assertion of a legal claim or legal position. There was no legal skill or knowledge involved in filling in the blanks on these OSCA forms with the basic information that automatically triggered the issuance of a writ of garnishment. Metzger’s conduct as alleged in the petition was not the practice of law. Therefore, as a matter of law, Plaintiffs' claims based on the premise that Metzger engaged in the unauthorized practice of law were properly dismissed. Plaintiffs' Points I and II are denied.

Plaintiffs take issue with the trial court’s supposed reliance on the fact that Metzger did not receive "valuable consideration" when it concluded he did not engage in the "practice of law." "Valuable consideration," they point out, is an element only of "law business" in the statutory definition, though it is included in the judicial definition of "practice of law." We need not further address the effect of this allegedly improper "conflation" of the definitions. Because Metzger’s acts required no legal skill or knowledge, they are outside the scope of the practice of law irrespective of whether he received valuable consideration.

Motion for Attorney Fees

Defendants contend in their cross-appeal that the trial court erred in denying their motion for attorney fees under the MMPA. We disagree.

We review the denial of a request for attorney fees under the MMPA for abuse of discretion. Shiplet v. Copeland , 450 S.W.3d 433, 439 (Mo. App. W.D. 2014). Attorney fees are authorized by the MMPA for prevailing defendants, but awarding them "shall be the extremely rare exception, rather than the rule." Arcese v. Daniel Schmitt & Company , 504 S.W.3d 772, 789-90 (Mo. App. E.D. 2016) (concluding that assessing attorney fees against plaintiffs who do not prevail would undercut legislature’s effort to promote vigorous enforcement of MMPA). "Trial courts shall sparingly assess attorney fees against plaintiffs and only when the defendant demonstrates the plaintiff has pursued vexatious and frivolous claims that would warrant dismissal of the claims and imposition of sanctions pursuant to Rule 55.03." Id.

Defendants claim that they "prevailed" by succeeding on their motion to dismiss, which resulted in the dismissal with prejudice of all Plaintiffs' claims, citing State Board of Registration for Healing Arts v. Warren , 820 S.W.2d 564, 564 (Mo. App. W.D. 1991). In that case, the court called the defendant, whose motion to dismiss an administrative complaint against him was granted, the prevailing party for purposes of awarding attorney fees under the Administrative Procedure Act. But the APA specifically defines "prevail" to include "dismissal ... in an agency proceeding"—a definition not found in the MMPA—and thus this APA case is not on point here. See Section 536.085(3). Nevertheless, inasmuch as Defendants' status as a prevailing party was not contested at the trial court or on appeal and it is not dispositive, we leave for future determination whether success on a defense motion to dismiss meets our courts' definition of prevailing party under the MMPA. For the sake of our analysis, we will assume that it does.

Under Rule 55.03(d), sanctions are warranted if any of the rules regarding pleadings in Rule 55.03(c) have been violated. There are essentially three categories of pleadings that warrant sanctions under this rule: those maintained for an improper purpose, those that contain legally frivolous claims and those that are factually frivolous. See Rule 55.03(c)(1)-(4). Defendants' sole ground for awarding fees here is that Plaintiffs' claims were legally frivolous because they were directly contrary to the law in Westerhold . They contend that Plaintiffs "ignored" Westerhold in favor of other authority, which is a mischaracterization of Plaintiffs' pleadings. Plaintiffs did not ignore Westerhold ; they immediately addressed it head-on when Defendants moved to dismiss the petition based on that case. Plaintiffs argued that Westerhold was distinguishable and inapplicable to this case and—because they claimed it did not apply—relied instead on other authority to support its position that Metzger’s conduct constituted the unauthorized practice of law.

This case is unlike those in which sanctions based on legally frivolous claims were warranted under Rule 55.03. For instance, in Brown v. Kirkham , the plaintiff filed a cause of action without first attempting to obtain an adequate remedy in probate, a prerequisite that was not only well-settled Missouri law, but which the plaintiff had been expressly informed about in a prior appeal in the same case. 23 S.W.3d 880, 885 (Mo. App. W.D. 2000). The court found sanctions were warranted under Rule 55.03 because the plaintiff relied only on the general law authorizing the cause of action, "while ignoring the treatment of the cause of action in Missouri case law." Id. (emphasis added). In State v. Simmons , a post-conviction pleading contained claims that had been "firmly and uniformly rejected by previous decisions of this Court and the federal courts." 955 S.W.2d 729, 745 (Mo. banc 1997). No arguments were presented "to confront and refute these decisions;" the petitioner "simply rehashed the arguments that these decisions had already rejected." Id. The Supreme Court found that did not constitute "a nonfrivolous argument for the extension, modification, or reversal of existing law" under Rule 55.03. Id.

Defendants also argue that Plaintiffs failed to set forth a "good faith argument" for overruling Westerhold . But they were not required to. Rule 55.03(c)(2) requires a pleading to set forth legal contentions that are "warranted by existing law or a nonfrivolous argument for the extension, modification, or reversal of existing law or the establishment of new law." It is implicit in Rule 55.03(c)(2) that the existing law is applicable in the first place. Again, Plaintiffs argued that Westerhold was inapplicable and they relied instead on what they asserted was the applicable existing law. Because Plaintiffs claimed Westerhold was not applicable, they were under no obligation to make a nonfrivolous argument for its reversal or modification to comply with Rule 55.03(c)(2).

According to the trial court’s judgment, it appears that at some point—perhaps at a hearing of which there is no transcript in the legal file—Plaintiffs argued "that Westerhold was wrongly decided." To the extent they made such an argument to the trial court, it was of course permissible as long as it was a "nonfrivolous argument." Defendants make no attempt to show that this argument—the details of which are not apparent to us—was frivolous. Defendants assert only that this argument was not made in "good faith," with no explanation or support in the record. Not only is this conclusory assertion unpersuasive, it is based on an outdated standard. In 1994, the Supreme Court replaced the requirement in Rule 55.03 that the argument for reversal, extension or modification of an existing law be a "good faith argument" with the requirement that it be a "nonfrivolous argument."

Under these circumstances, it was well within the trial court’s discretion to deny the motion for attorney fees under the MMPA. Defendants' point on cross-appeal is denied.

The judgment is affirmed.

Robert M. Clayton III, P.J. and Roy L. Richter, J., concur.

APPENDIX


Summaries of

Mitchell v. J&M Sec., LLC

Missouri Court of Appeals Eastern District DIVISION ONE
Oct 22, 2019
590 S.W.3d 853 (Mo. Ct. App. 2019)
Case details for

Mitchell v. J&M Sec., LLC

Case Details

Full title:VELMA L. MITCHELL, TANISHA L. WINSTON AND KAYLA SANDERS, Appellants, v…

Court:Missouri Court of Appeals Eastern District DIVISION ONE

Date published: Oct 22, 2019

Citations

590 S.W.3d 853 (Mo. Ct. App. 2019)