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Sherrod v. Mount Sinai St. Luke's

Supreme Court, Appellate Division, Second Department
Apr 27, 2022
No. 2022-02826 (N.Y. App. Div. Apr. 27, 2022)

Opinion

2022-02826 Index 56284/20

04-27-2022

Frances Sherrod, etc., appellant, v. Mount Sinai St. Luke's, et al., defendants, New Jewish Home, respondent.

Morton Povman, P.C., Forest Hills, NY (Bruce S. Povman of counsel), for appellant. Kaufman Borgeest & Ryan LLP, Valhalla, New York (David Bloom of counsel), for respondent.


Morton Povman, P.C., Forest Hills, NY (Bruce S. Povman of counsel), for appellant.

Kaufman Borgeest & Ryan LLP, Valhalla, New York (David Bloom of counsel), for respondent.

VALERIE BRATHWAITE NELSON, J.P., REINALDO E. RIVERA, ROBERT J. MILLER, JOSEPH A. ZAYAS, JJ.

DECISION & ORDER

In an action, inter alia, to recover damages for wrongful death, etc., the plaintiff appeals from an order of the Supreme Court, Westchester County (William J. Giacomo, J.), dated September 22, 2020. The order granted the motion of the defendant New Jewish Home to change the venue of the action from Bronx County to Westchester County.

ORDERED that the order is reversed, on the law, with costs, the motion of the defendant New Jewish Home to change the venue of the action from Bronx County to Westchester County is denied, and the Clerk of the Supreme Court, Westchester County, is directed to deliver to the Clerk of the Supreme Court, Bronx County, all papers filed in this action and certified copies of all minutes and entries (see CPLR 511[d]).

The plaintiff, as temporary administrator of the estate of his father, Frank Anderson (hereinafter the decedent), commenced this action against a hospital and the New Jewish Home (hereinafter the defendant), a rehabilitation center. The complaint alleged that the decedent received treatment and care at locations operated by the defendants in New York County, and asserted causes of action sounding in, inter alia, negligence, medical malpractice, and wrongful death.

The action was commenced in Bronx County. The basis of venue was the plaintiff's residence. The defendant subsequently moved, in the Supreme Court, Westchester County, pursuant to CPLR 501, 510, and 511, to change the venue of the action from Bronx County to Westchester County. The basis for the change of venue was a venue selection clause contained in an admission agreement (hereinafter the admission agreement) which was allegedly signed by the decedent's wife, Ruby Anderson (hereinafter Anderson), a nonparty to this action.

Although the defendant submitted a copy of the admission agreement, it did not provide an affidavit from anyone who signed the agreement, who was present when it was signed, or who otherwise claimed to have personal knowledge of that agreement. The admission agreement was not signed by the plaintiff or the decedent, and it did not identify or include the names of the plaintiff or the decedent anywhere on that document. The preamble at the beginning of the admission agreement, in particular, was left blank. The defendant did not provide an affidavit from the individual who allegedly executed the admission agreement on its behalf, nor did it provide the name or identity of that individual. The spaces left on the signature page for the "Name" and "Title" of that unknown individual were left blank. The defendant submitted no evidence to show that the decedent was present when the admission agreement was signed, or that he was ever made aware of its existence.

In the order appealed from, dated September 22, 2020, the Supreme Court, Westchester County, granted the defendant's motion and transferred the action to Westchester County. The plaintiff appeals, contending that the defendant failed to establish the existence of an agreement between the parties on the issue of venue, and that the court erred in binding her to a forum selection clause that was contained in an agreement which was not signed by her or the decedent, and which was not otherwise enforceable against her or the decedent.

"Although once disfavored by the courts, it is now recognized that parties to a contract may freely select a forum which will resolve any disputes over the interpretation or performance of the contract" (Brooke Group v JCH Syndicate 488, 87 N.Y.2d 530, 534; see CPLR 501). "Such clauses are prima facie valid and enforceable unless shown by the resisting party to be unreasonable" (Brooke Group v JCH Syndicate 488, 87 N.Y.2d at 534; see LSPA Enter., Inc. v Jani-King of N.Y., Inc., 31 A.D.3d 394, 395). "Forum selection clauses are enforced because they provide certainty and predictability in the resolution of disputes, particularly those involving international business agreements" (Brooke Group v JCH Syndicate 488, 87 N.Y.2d at 534).

On appeal, the plaintiff contends that the party seeking to enforce a contract which contains a forum selection clause must demonstrate, in the first instance, the existence and terms of that contract (see CPLR 501; Amica Mut. Ins. Co. v Kingston Oil Supply Corp., 134 A.D.3d 750, 752; Paz v Singer Co., 151 A.D.2d 234, 235; see also Taft v Little, 178 NY 127, 133-134; Marand Constr. Corp. v Rapid Rehabilitation Corp., 61 A.D.2d 1041, 1041). It is true that "[a] private document offered to prove the existence of a valid contract cannot be admitted into evidence unless its authenticity and genuineness are first properly established" (NYCTL 1998-2 Trust v Santiago, 30 A.D.3d 572, 573; see Fairlane Fin. Corp. v Greater Metro Agency, Inc., 109 A.D.3d 868, 870). Here, however, the plaintiff's challenge to the admissibility of the copy of the admission agreement that was submitted by the defendant in support of its motion to change venue (see CPLR 4518[a]; Garces v Windsor Plaza, LLC., 189 A.D.3d 539, 539; Clarke v American Truck & Trailer, Inc., 171 A.D.3d 405, 406; cf. Bank of Am., N.A. v Ball, 188 A.D.3d 974, 974-975; Merzon v Merzon, 210 A.D.2d 462, 463-464), raised for the first time on appeal, is not properly before this Court (see Wachovia Mtge. FSB v Macwhinnie, 175 A.D.3d 1587, 1590; see also Deutsche Bank Trust Co. Ams. v Marous, 186 A.D.3d 669, 672; Perez v City of New York, 104 A.D.3d 661, 662; Marinkovic v IPC Intl. of Ill., 95 A.D.3d 839, 839; Lowe v Meacham Child Care & Learning Ctr., Inc., 74 A.D.3d 1029, 1030; Joseph v New York City Tr. Auth., 66 A.D.3d 842, 844; Ross v Gidwani, 47 A.D.3d 912, 913).

The plaintiff also contends that the admission agreement was not enforceable against her or the decedent. In addition to demonstrating the existence and terms of a contractual forum selection clause (cf. Lischinskaya v Carnival Corp., 56 A.D.3d 116, 123), the proponent of a such a clause must also demonstrate, prima facie, that it is enforceable against the other party (see Puleo v Shore View Ctr. for Rehabilitation & Health Care, 132 A.D.3d 651, 652; Casale v Sheepshead Nursing & Rehabilitation Ctr., 131 A.D.3d 436, 436). Indeed, a forum selection clause contained in a contract is "prima facie valid and enforceable" (Brooke Group v JCH Syndicate 488, 87 N.Y.2d at 534), but only with respect to "[the] parties to [that] contract" (id. [emphasis added]; see Camacho v IO Practiceware, Inc., 136 A.D.3d 415, 416; Braverman v Yelp, Inc., 128 A.D.3d 568; see also Puleo v Shore View Ctr. for Rehabilitation & Health Care, 132 A.D.3d at 652; Casale v Sheepshead Nursing & Rehabilitation Ctr., 131 A.D.3d at 436). As a general matter, "only parties in privity of contract may enforce terms of the contract such as a forum selection clause found within the agreement" (Freeford Ltd. v Pendleton, 53 A.D.3d 32, 38; see Tate & Lyle Ingredients Ams., Inc. v Whitefox Tech. USA, Inc., 98 A.D.3d 401, 401; Bernstein v Wysoki, 77 A.D.3d 241, 251). Accordingly, unless a recognized exception applies, the "general rule" is that "a forum selection clause may not be enforced against a nonsignatory" (Lantau Holdings Ltd. v Orient Equal Intl. Group Ltd., 161 A.D.3d 714, 714; see Tate & Lyle Ingredients Ams., Inc. v Whitefox Tech. USA, Inc., 98 A.D.3d at 401; accord Matter of Belzberg v Verus Investments Holdings Inc., 21 N.Y.3d 626, 630; McCarthy v Sea Crest Health Care Ctr., LLC, 189 A.D.3d 818, 819).

Here, it is undisputed that neither the decedent nor the plaintiff signed the admission agreement (cf. Puleo v Shore View Ctr. for Rehabilitation & Health Care, 132 A.D.3d at 652; Casale v Sheepshead Nursing & Rehabilitation Ctr., 131 A.D.3d at 436). However, the defendant maintained that the decedent was bound to the admission agreement by the signature of his wife, Anderson, who "met the criteria to be the decedent's designated representative." This contention is without merit.

An admission agreement may be enforced against an individual where it was properly executed by that individual's "designated representative" (Sunshine Care Corp. v Warrick, 100 A.D.3d 981, 982). As relevant here, "[d]esignated representative shall mean the individual or individuals designated in accordance with [10 NYCRR 415.2(f)] to receive information and to assist and/or act in behalf of a particular resident to the extent permitted by State law" (10 NYCRR 415.2[f]). The subdivision lists three ways in which a designation may occur (see id. § 415.2[f][1][i]-[iii]).

As the plaintiff correctly contends, the defendant failed to establish that Anderson was properly designated in any of the three ways authorized by applicable law (see id.). First, there is no evidence that Anderson was appointed to be the decedent's designated representative "by a court of law" (id. § 415.2[f][1][i]). Second, there is no evidence in the record to support a finding that the decedent himself actually manifested any intention to have Anderson act on his behalf as his designated representative (see id. § 415.2[f][1][ii]). Finally, contrary to the defendant's contention, it also failed to demonstrate that the requirements of 10 NYCRR 415.2(f)(1)(iii) were met. That subdivision is only applicable "if the resident lacks the capacity to make [a] designation" (id.). In this regard, the defendant contended that the "medical records" that it submitted in support of its motion demonstrated that "the decedent was admitted with a diagnosis of dementia" and thus lacked the capacity to make his own designation.

In opposition to the defendant's motion, the plaintiff challenged the admissibility of the medical records submitted by the defendant. As the plaintiff correctly contended, "[t]he proponent of hearsay evidence must establish the applicability of a hearsay-rule exception" (Tyrrell v Wal-Mart Stores, 97 N.Y.2d 650, 652; see Memenza v Cole, 131 A.D.3d 1020, 1022). As relevant here, hospital and other medical records "are admissible if the proponent offers either foundational testimony under CPLR 4518(a) or certification under CPLR 4518(c)" (Matter of Kai B., 38 A.D.3d 882, 884; see Berkovits v Chaaya, 138 A.D.3d 1050, 1051).

In this case, the defendant did not dispute that the records were subject to the rule against hearsay, or deny that the medical records it provided were uncertified (see CPLR 4518[c]). Nor did the defendant attempt to lay a foundation for their admission as business records (see id. § 4518[a]; Bank of New York Mellon v Gordon, 171 A.D.3d 202, 205). Under the circumstances, the Supreme Court should not have relied upon the records submitted by the defendant to support its factual assertion that the decedent "lack[ed] the capacity to make [a] designation" at the time that the admission agreement was allegedly entered into on his behalf (10 NYCRR 415.2[f][1][iii]; see generally Grasso v Angerami, 79 N.Y.2d 813, 814; Matter of Saber v Saccone, 192 A.D.3d 1400, 1402; Anghel v Ruskin Moscou Faltischek, P.C., 190 A.D.3d 906, 908; Matter of Johnson v Johnson, 146 A.D.3d 954, 955; Green v Domino's Pizza, LLC, 140 A.D.3d 546, 546; Rampersaud v Eljamali, 100 A.D.3d 508, 509; Shafi v Motta, 73 A.D.3d 729, 730; Vickers v Francis, 63 A.D.3d 1150, 1151; Matter of Columbia County Support Collection Unit v Demers, 29 A.D.3d 1092, 1093). Since 10 NYCRR 415.2(f)(1)(iii) is only applicable "if the resident lacks the capacity to make [a] designation," we need not consider whether the defendant satisfied the additional requirements of 10 NYCRR 415.2(f)(1)(iii).

Contrary to the Supreme Court's determination, the record did not establish that Anderson "met the criteria to be the decedent's designated representative" (see id. § 415.2[f][1][i]-[iii]). Accordingly, that status could not confer upon her the authority to enter into the admission agreement on behalf of the decedent (cf. Caio v Throgs Neck Rehabilitation & Nursing Ctr., 197 A.D.3d 1030, 1030-1031; Hendricks v Wayne Ctr. for Nursing & Rehabilitation, 194 A.D.3d 648, 648- 649).

As a first alternative ground for affirmance (see Parochial Bus Sys. v Board of Educ. of City of N.Y., 60 N.Y.2d 539, 545-546), the defendant contends that it demonstrated that it reasonably relied upon Anderson's apparent authority to execute the admission agreement on behalf of the decedent. This contention is also without merit.

"The mere creation of an agency for some purpose does not automatically invest the agent with 'apparent authority' to bind the principal without limitation" (Ford v Unity Hosp., 32 N.Y.2d 464, 472). "An agent's power to bind [the] principal is coextensive with the principal's grant of authority" (id. at 472). A party that "deals with an agent does so at [its] peril, and must make the necessary effort to discover the actual scope of authority" (id.).

"Upon failure to properly determine the scope of authority, and in the face of damages resulting from an agent's misrepresentations, 'apparent authority' is not automatically available to the injured third party to bind the principal" (id. at 472-473). "Rather, the existence of 'apparent authority' depends upon a factual showing that the third party relied upon the misrepresentations of the agent because of some misleading conduct on the part of the principal-not the agent" (id. at 473). "Essential to the creation of apparent authority are words or conduct of the principal, communicated to a third party, that give rise to the appearance and belief that the agent possesses authority to enter into a transaction" (Hallock v State of New York, 64 N.Y.2d 224, 231; see generally Restatement [Third] of Agency § 2.03). "In such circumstances, the third party's reasonable reliance upon the appearance of authority binds the principal" (Standard Funding Corp. v Lewitt, 89 N.Y.2d 546, 551).

Here, the defendant failed to demonstrate that it reasonably relied upon any word or action of the decedent to conclude that Anderson had the apparent authority to enter into the admission agreement on his behalf (see generally Hallock v State of New York, 64 N.Y.2d at 231; Ford v Unity Hosp., 32 N.Y.2d at 473). To the extent that the defendant contended that it reasonably relied upon Anderson's own act of signing the admission agreement, this contention is also without merit. As indicated above, Anderson could not "by [her] own acts imbue [her]self with apparent authority" (Hallock v State of New York, 64 N.Y.2d at 231; see Standard Funding Corp. v Lewitt, 89 N.Y.2d at 551-552; Ford v Unity Hosp., 32 N.Y.2d at 473).

Finally, as a second alternative ground for affirmance (see Parochial Bus Sys. v Board of Educ. of City of N.Y., 60 N.Y.2d at 545-546), the defendant contends that it demonstrated that the admission agreement was enforceable against the non-signatory decedent on the ground that he was a third-party beneficiary of that agreement. This contention is without merit.

Courts have long recognized that "a nonparty may invoke a forum selection clause" to bind a party to an agreement containing such a clause (Freeford Ltd. v Pendleton, 53 A.D.3d at 38; see Tate & Lyle Ingredients Ams., Inc. v Whitefox Tech. USA, Inc., 98 A.D.3d at 401; Bernstein v Wysoki, 77 A.D.3d at 251), where the nonparty "is a third-party beneficiary of the agreement" (Freeford Ltd. v Pendleton, 53 A.D.3d at 39; see Bernstein v Wysoki, 77 A.D.3d at 251). However, this is not a case where a non-signatory is seeking to enforce an agreement against a party to that agreement. Rather, the defendant in this case is seeking to enforce an agreement against a non-signatory (see generally Tate & Lyle Ingredients Ams., Inc. v Whitefox Tech. USA, Inc., 98 A.D.3d at 401). The defendant has failed to cite to any legal authority to support the application of the third-party beneficiary doctrine under the circumstances present here. Contrary to the defendant's contention, it failed to demonstrate that the decedent lacked the capacity to enter into the admission agreement on his own behalf (cf. Buhler v French Woods Festival of Performing Arts, 154 A.D.2d 303, 305), and there is no evidence that he was ever made aware of it, or consented to its terms (cf. Matter of Belzberg v Verus Invs. Holdings Inc., 21 N.Y.3d at 630-631; McCarthy v Sea Crest Health Care Ctr., LLC, 189 A.D.3d at 820; Highland Crusader Offshore Partners, L.P. v Targeted Delivery Tech. Holdings, Ltd., 184 A.D.3d 116, 122-123; Matter of Long Is. Power Auth. Hurricane Sandy Litig., 165 A.D.3d 1138, 1141; Universal Inv. Advisory SA v Bakrie Telecom Pte., Ltd., 154 A.D.3d 171, 178-179; Tate & Lyle Ingredients Ams., Inc. v Whitefox Tech. USA, Inc., 98 A.D.3d at 402-403). Accordingly, the defendant's second alternative ground for affirmance is without merit.

In light of the foregoing, we reverse the order appealed from.

BRATHWAITE NELSON, J.P., RIVERA, MILLER and ZAYAS, JJ., concur.


Summaries of

Sherrod v. Mount Sinai St. Luke's

Supreme Court, Appellate Division, Second Department
Apr 27, 2022
No. 2022-02826 (N.Y. App. Div. Apr. 27, 2022)
Case details for

Sherrod v. Mount Sinai St. Luke's

Case Details

Full title:Frances Sherrod, etc., appellant, v. Mount Sinai St. Luke's, et al.…

Court:Supreme Court, Appellate Division, Second Department

Date published: Apr 27, 2022

Citations

No. 2022-02826 (N.Y. App. Div. Apr. 27, 2022)