Anthony Ventre v. Arthur E. Balsamo, Esq. ( 2024 )


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  •                                 NOT FOR PUBLICATION WITHOUT THE
    APPROVAL OF THE APPELLATE DIVISION
    This opinion shall not "constitute precedent or be binding upon any court ." Although it is posted on the
    internet, this opinion is binding only on the parties in the case and its use in other cases is limited. R. 1:36-3.
    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NO. A-3276-22
    ANTHONY VENTRE,
    executor of the Estate of
    FRANCESCO VENTRE,
    and ANTHONY VENTRE,
    individually,
    Plaintiffs-Appellants,
    v.
    ARTHUR E. BALSAMO,
    ESQ.,
    Defendant-Respondent.
    _________________________
    Argued October 16, 2024 – Decided November 12, 2024
    Before Judges Susswein and Perez Friscia.
    On appeal from the Superior Court of New Jersey, Law
    Division, Passaic County, Docket No. L-0523-23.
    Kenneth S. Thyne argued the cause for appellant
    (Simon Law Group LLC, attorneys; Kenneth S. Thyne,
    of counsel and on the briefs).
    Marshall D. Bilder argued the cause for respondent
    (Eckert Seamans Cherin & Mellott, LLC, attorneys;
    Marshall D. Bilder, of counsel and on the brief; Karlee
    M. Martin, on the brief).
    PER CURIAM
    Plaintiffs Anthony Ventre, executor of the Estate of Francesco Ventre
    (Estate), and Anthony Ventre 1 appeal from the May 17, 2023 Law Division order
    granting defendant Arthur E. Balsamo, Esq.'s motion to dismiss plaintiffs' legal
    malpractice complaint for failure to state a claim. We affirm in part, reverse in
    part, and remand for further proceedings.
    I.
    Anthony is the son of Francesco Ventre, who passed away on January 23,
    2015. In 2002, Anthony purchased property in Ridgefield using $500,000 in
    funds he had borrowed from Francesco, intending to develop and sell the
    property. After constructing a two-family home that was financed by a separate
    loan from Bergen Community Bank, Anthony and his wife at the time, Carol
    Ventre, moved into the home to accommodate their growing family. Carol was
    added to the property deed. In 2010, Anthony and Carol began experiencing
    marital problems.
    1
    Because the family members share the same surname, intending no disrespect,
    we refer to them by their first names.
    A-3276-22
    2
    In 2013, Francesco and Anthony requested Balsamo prepare a note and
    mortgage securing Francesco's loan on the Ridgefield property.           The note,
    signed by both Anthony and Carol, stated in pertinent part:
    Borrower's Promise to Pay Principal and Interest.
    In return for a loan that I received, I promise to pay
    $500,000[] (called the "principal"), plus interest to the
    [l]ender. Interest, at a yearly rate of 6% will be charged
    on that part of the principal which has not been paid
    from the date of this [n]ote until all principal has been
    paid.
    ....
    Payments. I will pay principal and interest on
    demand or in the event the property secured by the
    mortgage which is being executed simultaneously
    herewith is sold or in the event of a divorce of the above
    named mortgagors.
    [(Emphasis added).]
    In 2014, Francesco was diagnosed with a life-threatening condition,
    prompting him to quickly secure a last will and testament. On July 1, Francesco
    and Anthony met with Balsamo regarding preparation of the will. Because
    Francesco primarily spoke Italian and did not read or write English well,
    Anthony translated the conversations between Francesco and Balsamo.
    Francesco edited the drafted will three times before his last meeting with
    A-3276-22
    3
    Balsamo to finalize the will, which a third party translated. Francesco signed
    his last will and testament on July 9. Relevantly, article three of the will stated:
    THIRD: I do give, devise and bequeath the unpaid
    principal balance and accrued interest, if any, in and to
    a certain mortgage lien which I hold on the property
    known and as by the street address . . . Ridgefield, NJ
    unto my son Anthony Ventre. It is my wish and I direct
    that such debt be forgiven and the mortgage lien
    cancelled of record by my executor.
    Notably, article three remained the same in each draft of the will. Francesco
    passed away predeceasing his wife, Annunziata Ventre, his daughter, Carmela
    Ventre, and Anthony. Thereafter, the Bergen County Surrogate's Court admitted
    the will to probate on October 13, 2015.
    In 2018, Carol commenced a divorce action against Anthony. During the
    matrimonial litigation, Carol obtained a signed certification 2 from Balsamo
    stating he believed Francesco intended to forgive the loan entirely, which
    benefited both Anthony and Carol. On September 14, 2020, the Estate filed a
    verified complaint "for advice and direction" in the Chancery Division, Probate
    Part, regarding the article three language. The Estate specifically requested the
    probate court construe the language "to mean that [Francesco] bequeathed the
    unpaid principal balance and accrued interest" only to Anthony and the loan was
    2
    The record contains only the first page of the certification.
    A-3276-22
    4
    forgiven only as to Anthony "consistent with [Francesco's] intentions." The
    complaint asserted "Carol . . . ha[d] advanced an interpretation of [article three]
    that [wa]s inconsistent with the language of the [w]ill and . . . [Francesco's]
    intent."
    The probate court held a three-day trial beginning on May 17, 2021,
    during which Anthony, Carol, Carmela, and Balsamo testified. Balsamo was
    not represented by counsel. On July 19, the court issued an oral opinion,
    followed by an order on July 21, addressing Francesco's probable intent
    regarding article three of the will concerning Anthony's and Carol's loan and the
    mortgage lien on the Ridgefield property. The order "directed that the mortgage
    debt on the . . . property be forgiven as to both Carol and Anthony . . . in its
    entirety." The order further stated, "The Estate . . . is instructed that the
    mortgage lien on the . . . property is cancelled as against both Carol and
    Anthony . . . in its entirety." The probate court found Balsamo credibly testified.
    Balsamo relayed that a third party in his office had translated the final reading
    of the will before execution. The probate court determined the language in
    article three was ambiguous, concluding "based on [Balsamo]'s testimony . . .
    by a preponderance of the evidence it is more likely than not that [Francesco]
    wanted the entire debt forgiven and the lien cancelled."
    A-3276-22
    5
    The Estate appealed, and on July 8, 2022, we affirmed, holding "[t]here
    was nothing in the evidence direct or extrinsic that supported the contention that
    Francesco intended that Carol remain liable for a loan originally taken by
    Anthony in his own name." In re Francesco Ventre, No. A-0011-21 (App. Div.
    July 8, 2022) (slip op. at 18). We further noted that "Francesco directed his
    attorney to include in his will a provision that directed the debt be forgiven and
    the mortgage discharged." Ibid.
    On November 17, plaintiffs filed a four-count Law Division complaint
    against Balsamo alleging legal malpractice, breach of fiduciary duty, negligent
    misrepresentation, and breach of the implied covenant of good faith and fair
    dealing. In lieu of an answer, Balsamo moved to dismiss plaintiffs' complaint
    for failure to state a claim. On May 17, 2023, following oral argument, the Law
    Division granted Balsamo's motion to dismiss.
    The Law Division found the matter was barred under the entire
    controversy doctrine because plaintiffs' complaint was "based entirely on the
    same facts as the [probate] case which was" appealed and affirmed, and,
    therefore, "any claims [p]laintiff[s] may have had against [Balsamo] should have
    been brought against him" in the probate action. The Law Division also found
    the claims were barred under the doctrine of collateral estoppel because "any
    A-3276-22
    6
    facts as to [Francesco]'s intent would be the same facts underlying the claim of
    negligence and were necessarily resolved in the prior litigation."
    On appeal, plaintiffs argue the Law Division erroneously dismissed the
    complaint because: all legal malpractice claims are exempt from the entire
    controversy doctrine pursuant to our Supreme Court's holding in Olds v.
    Donnelly, 
    150 N.J. 424
     (1997); Balsamo failed to demonstrate inexcusable
    conduct or substantial prejudice, and therefore preclusion under the entire
    controversy doctrine is unwarranted; collateral estoppel does not bar the claims
    as the matter is distinguishable from Pivnick v. Beck, 
    326 N.J. Super. 474
     (App.
    Div. 1999), aff'd, 
    165 N.J. 670
     (2000); and the probate court made no findings
    as to the Estate's claims for counsel fees. 3
    II.
    We review de novo a trial court's order dismissing a complaint for failure
    to state a claim upon which relief can be granted pursuant to Rule 4:6-2(e).
    Baskin v. P.C. Richard & Son, LLC, 
    246 N.J. 157
    , 171 (2021). We "search[]
    the complaint in depth and with liberality to ascertain whether the fundament of
    a cause of action may be gleaned even from an obscure statement of claim,
    opportunity being given to amend if necessary." Printing Mart-Morristown v.
    3
    We note the Estate was the only plaintiff in the probate action.
    A-3276-22
    7
    Sharp Elecs. Corp., 
    116 N.J. 739
    , 746 (1989) (quoting Di Cristofaro v. Laurel
    Grove Mem'l Park, 
    43 N.J. Super. 244
    , 252 (App. Div. 1957)). "When deciding
    a motion to dismiss under Rule 4:6-2(e), the test to determine 'the adequacy of
    a pleading' is 'whether a cause of action is "suggested" by the facts.'" Doe v.
    Est. of C.V.O., 
    477 N.J. Super. 42
    , 54 (App. Div. 2023) (quoting MasTec
    Renewables Constr. Co. v. SunLight Gen. Mercer Solar, LLC, 
    462 N.J. Super. 297
    , 309 (App. Div. 2020)), certif. denied , 
    257 N.J. 232
    , 
    257 N.J. 242
    , and 
    257 N.J. 259
     (2024).
    "[W]e assume that the allegations in the pleadings are true and afford the
    [pleading party] all reasonable inferences." Sparroween, LLC v. Township of
    W. Caldwell, 
    452 N.J. Super. 329
    , 339 (App. Div. 2017). We are not concerned
    with a pleading party's ability to prove its allegations. Printing Mart, 
    116 N.J. at 746
    . "Nonetheless, 'the essential facts supporting plaintiff's cause of action
    must be presented in order for the claim to survive; conclusory allegations are
    insufficient in that regard.'" AC Ocean Walk, LLC v. Am. Guarantee & Liab.
    Ins. Co., 
    256 N.J. 294
    , 311 (2024) (quoting Scheidt v. DRS Techs., Inc., 
    424 N.J. Super. 188
    , 193 (App. Div. 2012)). We "accord no 'special deference' to
    the 'trial court's interpretation of the law and the legal consequences that flow
    from established facts.'" Cherokee LCP Land, LLC v. City of Linden Plan. Bd.,
    A-3276-22
    8
    
    234 N.J. 403
    , 415-16 (2018) (quoting Manalapan Realty, L.P. v. Twp. Comm.
    of Manalapan, 
    140 N.J. 366
    , 378 (1995)).
    "[C]ourt[s] may consider documents specifically referenced in the
    complaint 'without converting the motion into one for summary judgment.'"
    Myska v. N.J. Mfrs. Ins. Co., 
    440 N.J. Super. 458
    , 482 (App. Div. 2015) (quoting
    E. Dickerson & Son, Inc. v. Ernst & Young, LLP, 
    361 N.J. Super. 362
    , 365 n.1
    (App. Div. 2003), aff'd, 
    179 N.J. 500
     (2004)). "In evaluating motions to dismiss,
    courts consider 'allegations in the complaint, exhibits attached to the complaint,
    matters of public record, and documents that form the basis of a claim.'" AC
    Ocean Walk, LLC, 256 N.J. at 310-11 (2024) (quoting Myska, 
    440 N.J. Super. at 482
    ).
    To establish a prima facie case of legal malpractice, a plaintiff must prove
    "(1) the existence of an attorney-client relationship creating a duty of care by
    the defendant attorney, (2) the breach of that duty by the defendant, and (3)
    proximate causation of the damages claimed by the plaintiff."          Gilbert v.
    Stewart, 
    247 N.J. 421
    , 442 (2021) (quoting Nieves v. Off. of the Pub. Def., 
    241 N.J. 567
    , 583 (2020)). Attorneys owe their clients a duty "to provide their
    services with reasonable knowledge, skill, and diligence."         Ziegelheim v.
    A-3276-22
    9
    Apollo, 
    128 N.J. 250
    , 260 (1992) (citing St. Pius X House of Retreats v. Diocese
    of Camden, 
    88 N.J. 571
    , 588 (1982)).
    "The general rule in this State is that an attorney is only responsible for a
    client's loss if that loss is proximately caused by the attorney's legal
    malpractice." Granata v. Broderick, 
    446 N.J. Super. 449
    , 470 (App. Div. 2016)
    (quoting 2175 Lemoine Ave. Corp. v. Finco, Inc., 
    272 N.J. Super. 478
    , 487
    (App. Div. 1994)), aff'd, 
    231 N.J. 135
     (2017). To prove proximate causation, a
    plaintiff must establish that a defendant-attorney's breach of duty was a
    substantial factor in bringing about plaintiff's damages.        
    Ibid.
       Plaintiffs
    therefore bear the burden of showing, by a preponderance of the competent,
    credible evidence, "what injuries were suffered as a proximate consequence of
    the attorney's breach of duty." Morris Props., Inc. v. Wheeler, 
    476 N.J. Super. 448
    , 460 (App. Div. 2023) (quoting 2175 Lemoine Ave. Corp., 
    272 N.J. Super. at 488
    ).
    A. Collateral Estoppel
    Collateral estoppel is an equitable principle that provides "[w]hen an issue
    of fact or law is actually litigated and determined by a valid and final judgment,
    and the determination is essential to the judgment, the determination is
    conclusive in a subsequent action between the parties, whether on the same or a
    A-3276-22
    10
    different claim." Winters v. N. Hudson Reg'l Fire & Rescue, 
    212 N.J. 67
    , 85
    (2012) (alteration in original) (quoting Restatement (Second) of Judgments § 27
    (Am. L. Inst. 1982)). The doctrine facilitates the public policy interest in
    "finality and repose; prevention of needless litigation; avoidance of duplication;
    reduction of unnecessary burdens of time and expenses; elimination of conflicts,
    confusion and uncertainty; and basic fairness." Ibid. (quoting Olivieri v. Y.M.F.
    Carpet, Inc., 
    186 N.J. 511
    , 522 (2006)).
    The collateral estoppel doctrine applies if:
    (1) the issue to be precluded is identical to the issue
    decided in the prior proceeding; (2) the issue was
    actually litigated in the prior proceeding; (3) the court
    in the prior proceeding issued a final judgment on the
    merits; (4) the determination of the issue was essential
    to the prior judgment; and (5) the party against whom
    the doctrine is asserted was a party to or in privity with
    a party to the earlier proceeding.
    [Ibid. (quoting Olivieri, 
    186 N.J. at 521
    ).]
    "The doctrine will not be applied, however, where it is unfair to do so." Fama
    v. Yi, 
    359 N.J. Super. 353
    , 359 (App. Div. 2003).
    Plaintiffs contend reversal is mandated as collateral estoppel does not bar
    their legal malpractice claims stemming from Balsamo's ambiguously drafted
    article three will provision. Plaintiffs' malpractice complaint alleged Balsamo
    negligently drafted the will "contrary to Francesco's intent," which resulted "in
    A-3276-22
    11
    an award to Carol of forgiveness of the" loan.         Plaintiffs further claimed
    Balsamo breached his duty of care causing the "loss of the forgiveness of the
    mortgage debt as intended by Francesco." Because plaintiffs' legal malpractice
    claims partially arose from Balsamo's failure to capture Francesco's intent to
    forgive the loan to Anthony in article three of the will, and the probate court
    determined Francesco's probable intent was to forgive the loan as to Carol and
    Anthony, the claims related to the financial loss from the loan forgiveness
    interpretation in favor of Carol are precluded under the doctrine of collateral
    estoppel.
    Plaintiffs are collaterally estopped from relitigating claims regarding
    Francesco's probable intent under article three, but we part ways with the Law
    Division's dismissal of plaintiffs' legal malpractice action in its entirety. The
    Law Division correctly noted in relation to Balsamo's drafting of the article three
    provision that the probate court" found Francesco's intent was to forgive the debt
    in its entirety." The probate court's decision was a final adjudication, which we
    affirmed. Although the parties did not litigate Balsamo's negligence in the
    probate proceeding, the resolution of Francesco's intent in article three of the
    will drafted by Balsamo was the core issue presented and is a primary focus of
    the legal malpractice claim. Therefore, plaintiffs are precluded from relitigating
    A-3276-22
    12
    the issue of Francesco's probable intent under Balsamo's drafted loan provision
    and damages related to the probate court's determination that the loan was
    forgiven as to Carol. Francesco's probable intent under the will was fully and
    fairly litigated to a conclusion before the probate court.
    Plaintiffs' argument that this case is distinguishable from our decision in
    Pivnick is unavailing. In Pivnick, plaintiff filed a malpractice suit against an
    attorney who drafted a revocable trust, alleging the attorney negligently drafted
    the trust document because the decedent's intent was not captured. 
    326 N.J. Super. at 480-81
    . The Law Division dismissed plaintiff's complaint, reasoning
    the probate court had already adjudicated the issue of the decedent's intent. 
    Id. at 481
    . We affirmed the Law Division's decision, in part because "the issues in
    the two proceedings were identical" and "the probate decision was affirmed by
    the Appellate Division." 
    Id. at 486
    .
    Plaintiffs contend the rationale in Pivnick does not apply to their
    malpractice claims because the probate court determined Francesco's will was
    ambiguous. We disagree. The probate court's finding that article three was
    ambiguous does not negate that the Estate fully litigated the specific issue of
    Francesco's probable intent under article three, and the probate court ultimately
    found Francesco intended to forgive the entire loan to Anthony and Carol. We
    A-3276-22
    13
    therefore discern no reason to disturb the Law Division's decision only as to the
    application of collateral estoppel to plaintiffs' alleged malpractice claim for
    Balsamo's negligence resulting "in an award to Carol of forgiveness of the" loan.
    B. Entire Controversy Doctrine
    While we have determined plaintiffs are collaterally estopped from
    litigating Balsamo's negligence as related to Francesco's captured intent under
    article three and resulting damages directly related to the loan amount forgiven
    as to Carol, plaintiffs have a distinct claim against Balsamo for breaching the
    legal standard of care by drafting an ambiguous provision, which necessitated
    the probate action and resulting in litigation costs. Thus, we next consider
    whether, under the entire controversy doctrine, plaintiff's failure to certify in the
    probate litigation that Balsamo was a potentially liable non-party bars plaintiffs'
    remaining malpractice claim.
    "A series of court rules implement the entire controversy doctrine in our
    courts." Dimitrakopoulos v. Borrus, Goldin, Foley, Vignuolo, Hyman & Stahl,
    P.C., 
    237 N.J. 91
    , 109 (2019). "Taken together, both Rule 4:30A and Rule 4:5-
    1(b)(2) advance the same underlying purposes. As it relates to claims and to
    parties, they express a strong preference for achieving fairness and economy by
    avoiding piecemeal or duplicative litigation." Kent Motor Cars, Inc. v. Reynolds
    A-3276-22
    14
    & Reynolds, Co., 
    207 N.J. 428
    , 445 (2011). Rule 4:5-1(b)(2) provides "[e]ach
    party shall include with the first pleading a certification as to whether . . . any
    other action . . . is contemplated." The Rule also requires that "each party shall
    disclose in the certification the names of any non-party who should be joined in
    the action pursuant to [Rule] 4:28 or who is subject to joinder pursuant to [Rule]
    4:29-1(b) because of potential liability to any party on the basis of the same
    transactional facts." R. 4:5-1(b)(2).
    The entire controversy doctrine, codified in Rule 4:30A, requires joinder
    of claims with the goal of encouraging parties to resolve all their disputes in one
    action. See Dimitrakopoulos, 
    237 N.J. at 108-09
    . In 1998, our Court amended
    Rule 4:30A to restrict the scope of the entire controversy doctrine. C.P. v.
    Governing Body of Jehovah's Witnesses, 
    477 N.J. Super. 129
    , 140 (App. Div.
    2023). The Rule's "amendment limited the reach of the [entire controversy
    doctrine] to non-joinder of claims, as opposed to the pre-1998 formulation of
    non-joinder of claims and parties." 
    Ibid.
     The "[p]reclusion of a successive
    action against a person not a party to the first action has been abrogated except
    in special situations." 
    Ibid.
     (quoting Pressler & Verniero, Current N.J. Court
    Rules, cmt. 1 on R. 4:30A (2024)).
    A-3276-22
    15
    Pursuant to Rule 4:5-1(b)(2), a trial court shall not order the ultimate
    sanction of dismissal for a party's failure to certify the disclosure of a non-party
    with potential liability in a prior action unless it determines "(1) the action is a
    'successive action;' (2) the failure to provide notice of other potentially liable
    parties was 'inexcusable;' and (3) the undisclosed party's right to defend the
    successive action has been 'substantially prejudiced' by that failure." Kent
    Motor Cars, Inc., 
    207 N.J. at 440
     (2011) (quoting Kent Motor Cars, Inc. v.
    Reynolds & Reynolds Co., 
    412 N.J. Super. 1
    , 11 (App. Div. 2010)).
    Further, a court's application of the entire controversy doctrine "is fact
    sensitive and dependent upon the particular circumstances of a given case." 700
    Highway 33 LLC v. Pollio, 
    421 N.J. Super. 231
    , 236 (App. Div. 2011); see also
    Dimitrakopoulos, 
    237 N.J. at 114
    .         "The doctrine has three fundamental
    purposes: '(1) the need for complete and final disposition through the avoidance
    of piecemeal decisions; (2) fairness to parties to the action and those with a
    material interest in the action; and (3) efficiency and the avoidance of waste and
    the reduction of delay.'" Bank Leumi USA v. Kloss, 
    243 N.J. 218
    , 227 (2020)
    (quoting DiTrolio v. Antiles, 
    142 N.J. 253
    , 267 (1995)). It is well-established
    "[t]he entire controversy doctrine raises special concerns when invoked in the
    setting of legal malpractice." Dimitrakopoulos, 
    237 N.J. at 109
    .
    A-3276-22
    16
    We review a trial court's imposition of sanctions for failure to comply with
    Rule 4:5-1(b)(2) under an abuse of discretion standard.        See Karpovich v.
    Barbarula, 
    150 N.J. 473
    , 483 (1997).        "[A] trial court deciding an entire
    controversy dismissal motion must first determine from the competent evidence
    before it whether a Rule 4:5-1(b)(2) disclosure should have been made in a prior
    action because a non-party was subject to joinder pursuant to Rule 4:28 or Rule
    4:29-1(b)." 700 Highway 33 LLC, 
    421 N.J. Super. at 236
    .
    Plaintiffs contend our Supreme Court in Olds held all legal malpractice
    actions are exempt from the entire controversy doctrine, and, therefore, Rule
    4:5-1(b)(2) disclosure requirements do not apply to known claims against an
    attorney non-party from the "same transactional facts." Plaintiffs maintain Rule
    4:5-1(b)(2)'s disclosure requirements never apply to a party's legal malpractice
    claim against a non-party though the claims are related. Stated another way,
    plaintiffs posit all legal malpractice claims are exempt from the fundamental
    purposes of the entire controversy doctrine. These blanket contentions are
    unsupported.
    In Olds, our Supreme Court held the entire controversy doctrine does not
    compel a plaintiff to assert a legal malpractice claim "in an underlying action
    that gives rise to the claim." 150 N.J. at 443. The Court reasoned, "Requiring
    A-3276-22
    17
    a client to notify a trial court of a potential malpractice claim relating to one
    transaction when the attorney or firm continues to represent the client on other
    matters can intrude on the attorney-client relationship." Id. at 442. Generally,
    a plaintiff's legal malpractice claim that arises during an attorney's
    representation is not barred under the entire controversy doctrine. That does
    not, however, dictate that a known legal malpractice claim against a non-party
    to an action, in which the attorney does not or has not represented a plaintiff, is
    exempt Rule 4:5-1(b)(2)'s disclosure requirements or the application of the
    entire controversy doctrine's equitable tenets.
    Our Supreme Court in Karpovich addressed the dismissal of a plaintiff's
    legal malpractice complaint under Rule 4:5-1(b)(2) and specifically noted that
    in Olds, which was decided on the same day, the Court recognized the "purposes
    of the entire controversy doctrine are to promote a complete determination of a
    matter, to avoid prejudice to absent parties, and to promote judicial economy."
    150 N.J. at 480 (citing Olds, 
    150 N.J. at 431
    ). The Court reversed the dismissal
    of plaintiff's legal malpractice action as "too harsh" a sanction after it considered
    the specific factual circumstances surrounding the failure to disclose and the
    entire controversy doctrine's goals of "fairness to the parties and fairness to the
    system of judicial administration." 
    Id. at 480, 483
    .
    A-3276-22
    18
    We conclude the Law Division erred dismissing plaintiffs' complaint with
    prejudice in its entirety under the entire controversy doctrine.        We are
    constrained to reverse and remand for the Law Division to address plaintiffs'
    failure to comply with Rule 4:5-1(b)(2) regarding their remaining malpractice
    claim. There is no dispute Balsamo owed plaintiffs a duty of care. Pursuant to
    Rule 4:5-1(b)(2), the Law Division must consider whether plaintiffs' failure to
    file the required certification disclosing Balsamo was a potentially liable non-
    party in the probate action was inexcusable and whether Balsamo suffered
    substantial prejudice. See Kent Motor Cars, Inc., 
    207 N.J. at 445
     (quoting Rule
    4:5-1(b)(2)) (finding dismissal of a successive action shall not be ordered for a
    party's failure to comply with Rule 4:5-1(b)(2) "unless the failure of compliance
    was inexcusable and the right of the undisclosed party to defendant the
    successive action has been substantially prejudiced by not having been
    identified in the prior action"). The Law Division is required to address Rule
    4:5-1(b)(2) in the context of plaintiffs' necessity to litigate Balsamo's alleged
    ambiguous provision in the probate court and the damages incurred from
    bringing that action.
    Our Supreme Court has established that in reviewing a "violation of Rule
    4:5-1(b)(2)," the trial court "must exercise its discretion and consider the
    A-3276-22
    19
    purposes of the entire controversy doctrine before barring a subsequent action."
    Karpovich, 
    150 N.J. at 483
    . If the Law Division factually determines disclosure
    was inexcusable and Balsamo suffered substantial prejudice, it is charged under
    the Rule to consider whether lesser sanctions than dismissal are appropriate, as
    there exists a "general preference for addressing disputes on the merits." Kent
    Motor Cars, Inc., 
    207 N.J. at 447
    . "Although the Rule specifies dismissal and
    imposition of litigation costs as two enforcement mechanisms, they are not the
    only sanctions available to the court."       
    Id. at 445
    ; see also R. 4:5-1(b)(2)
    (providing for the "dismissal of a successive action against a party whose
    existence was not disclosed or the imposition on the noncomplying party of
    litigation expenses").
    The Law Division's evaluation under Rule 4:5-1(b)(2) requires a fact-
    sensitive detailed analysis. Detailed findings are required because it is well-
    recognized that "[d]ismissal is a sanction of last resort." 700 Highway 33 LLC,
    
    421 N.J. Super. at 237
    ; see also R. 1:7-4(a) (requiring trial courts to make
    sufficient "find[ings] [of] . . . fact[s] and state [their] conclusions of law"). "The
    trial court must state clearly its factual findings and correlate them with the
    relevant legal conclusions." Curtis v. Finneran, 
    83 N.J. 563
    , 570 (1980).
    A-3276-22
    20
    Plaintiffs also contend this successive action is permitted because
    Balsamo failed to demonstrate plaintiffs' actions were inexcusable. Our review
    of the record indicates defendants have sufficiently raised issues concerning
    whether plaintiffs' actions were inexcusable. Our Supreme Court has recognized
    parties may not "decline to reveal the existence of other parties in an effort to
    achieve an advantage." Kent Motor Cars, Inc., 
    207 N.J. at 446
    . The record
    reveals that when the Estate initiated the probate action, the legal malpractice
    cause of action had accrued as Anthony, the executor, acknowledged Balsamo
    had ambiguously drafted the article three provision. The probate complaint
    requested the court construe article three "consistent with [Francesco's]
    intentions" and to determine whether he intended to forgive the loan only as to
    Anthony and not Carol. The core facts alleged in each complaint concern
    Balsamo's drafting of Francesco's will. The Law Division must consider these
    facts when determining whether plaintiff's actions were inexcusable.
    We recognize that Anthony and the Estate are plaintiffs, while only the
    Estate was a party in the probate action. Nevertheless, plaintiffs are charged
    with the same knowledge because Anthony was the executor and certified to the
    facts alleged in the probate complaint.
    A-3276-22
    21
    Further, plaintiffs' argument that reversal is warranted because there is no
    evidence Balsamo suffered substantial prejudice is also without merit. Balsamo
    was a central witness in the probate litigation, was not on notice of his "potential
    liability," and was unrepresented throughout the probate proceeding. Notably,
    Balsamo drafted the will in 2014, the probate trial was in 2021, and plaintiffs
    filed the legal malpractice complaint in 2022. Approximately three years passed
    between the filing of the probate action and the Law Division action, creating a
    delay and piecemeal litigation. Plaintiffs' failure to certify Balsamo as a non-
    party with a potential interest in the probate action precluded the probate court
    from considering joinder and Balsamo from considering intervention. We are
    unpersuaded by plaintiffs' contentions that the record yields no facts supporting
    that Balsamo suffered prejudice.
    In summary, on remand, the Law Division shall specifically address under
    Rule 4:5-1(b)(2) whether plaintiffs' failure to disclose Balsamo as a potentially
    liable non-party in the probate action was inexcusable, Balsamo suffered
    substantial prejudice, and the adequacy of available lesser sanctions to address
    any discerned substantial prejudice. See 700 Highway 33 LLC, 
    421 N.J. Super. at 238-39
    ; see also Kent Motor Cars, Inc., 
    207 N.J. at 452
    . The Law Division
    may seek expansion of the record with additional submissions from the parties
    A-3276-22
    22
    with greater proofs, request argument, and conduct a hearing if deemed
    appropriate to provide a detailed fact-sensitive detailed analysis regarding
    available lesser sanctions. See Dimitrakopoulos, 
    237 N.J. at 120-21
    .
    To the extent that we have not addressed plaintiffs' remaining contentions,
    it is because they lack sufficient merit to be discussed in a written opinion. R.
    2:11-3(e)(1)(E).
    Affirmed in part, reversed in part, and remanded for further proceedings
    consistent with this opinion. We do not retain jurisdiction.
    A-3276-22
    23
    

Document Info

Docket Number: A-3276-22

Filed Date: 11/12/2024

Precedential Status: Non-Precedential

Modified Date: 11/12/2024