Lane v. Greater Cleveland Regional Transit Auth. ( 2014 )


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  • [Cite as Lane v. Greater Cleveland Regional Transit Auth., 
    2014-Ohio-4811
    .]
    Court of Appeals of Ohio
    EIGHTH APPELLATE DISTRICT
    COUNTY OF CUYAHOGA
    JOURNAL ENTRY AND OPINION
    No. 100868
    SHI’DEA LANE
    PLAINTIFF-APPELLEE
    vs.
    G.C.R.T.A., ET AL.
    DEFENDANTS-APPELLANTS
    JUDGMENT:
    AFFIRMED
    Civil Appeal from the
    Cuyahoga County Court of Common Pleas
    Case No. CV-13-803061
    BEFORE: Jones, J., Boyle, A.J., and E.A. Gallagher, J.
    RELEASED AND JOURNALIZED: October 30, 2014
    ATTORNEYS FOR APPELLANT
    John A. Sivinski
    David Mullen
    Brian J. Smith
    Sivinski & Smith, L.L.C.
    8905 Lake Avenue, 4th Floor
    Cleveland, Ohio 44102
    ATTORNEYS FOR APPELLEES
    For Shi’Dea Lane
    Dale R. Friedland
    Rapoport Spitz Friedland & Courtney
    55 Public Square, #1750
    Cleveland, Ohio 44113
    For G.C.R.T.A.
    Kathleen M. Minahan
    Greater Cleveland R.T.A.
    6 th Floor Root-McBride Building
    1240 West 6th Street
    Cleveland, Ohio 44113
    LARRY A. JONES, SR., J.:
    {¶1} Defendant-appellant, Artis Hughes, appeals the trial court’s dismissal of his
    cross-claim against defendant-appellee, Greater Cleveland Regional Transit Authority
    (“GCRTA”). We affirm.
    {¶2} In 2012, Shi’Dea Lane filed a complaint against GCRTA and Hughes in connection
    with an incident aboard a GCRTA bus that Hughes was driving.
    {¶3} Hughes filed counterclaims against Lane for assault and battery and filed
    cross-claims against GCRTA for contribution or indemnification.      In his cross-claim, which is
    the subject of this appeal, Hughes alleged that GCRTA was negligent in its failure to protect him
    from, and train him how to handle, hostile and unruly passengers like Lane.
    {¶4} GCRTA filed a motion to dismiss Lane’s complaint and Hughes’s cross-claim.          In
    GCRTA’s motion to dismiss the cross-claim, it argued that Hughes’s claim for indemnification
    was not properly pled, he was not entitled to contribution from GCRTA because he was an
    intentional tortfeasor, and GCRTA was immune from liability for any alleged negligent failure to
    train and protect Hughes. The trial court subsequently found that GCRTA was immune from
    liability, granted both motions, and dismissed Lane’s complaint and Hughes’s cross-claims.
    Lane then dismissed her remaining claims against Hughes and Hughes dismissed his counterclaim
    against Lane.
    {¶5} Hughes filed a timely notice of appeal.   Lane also appealed the trial court’s decision
    to dismiss her complaint against GCRTA, which we recently affirmed, agreeing with the trial
    court that GCRTA was statutorily immune from liability.      Lane v. Greater Cleveland Regional
    Transit Auth., 8th Dist. Cuyahoga No. 100829, 
    2014-Ohio-3917
    .
    {¶6} Here, Hughes raises the following three assignments of error, which will be
    combined for review:
    [I.] The trial court erred by granting defendant GCRTA’s motion to dismiss
    appellant’s cross-claim.
    [II.] The trial court erred by concluding that defendant GCRTA was entitled to
    immunity per R.C. 2744.03(A)(5).
    [III.] The trial court erred by not making a determination as to whether
    appellant’s cross-claim had a causal connection or causal relationship to his
    employment relationship with defendant GCRTA.
    II.   Law and Analysis
    {¶7} This court applies a de novo standard of review when reviewing a trial court’s ruling
    on a Civ.R.12(B)(6) motion to dismiss for failure to state a claim.      Perrysburg Twp. v. Rossford,
    
    103 Ohio St.3d 79
    , 
    2004-Ohio-4362
    , 
    814 N.E.2d 44
    , ¶ 5, citing Cincinnati v. Beretta U.S.A.
    Corp., 
    95 Ohio St.3d 416
    , 
    2002-Ohio-2480
    , 
    768 N.E.2d 1136
    . Under this standard of review,
    we must independently review the record and afford no deference to the trial court’s decision.
    Herakovic v. Catholic Diocese of Cleveland, 8th Dist. Cuyahoga No. 85467, 
    2005-Ohio-5985
    ,
    ¶ 13.
    {¶8} Pursuant to Civ.R. 12(B)(6), a complaint is not subject to dismissal for failure to state
    a claim upon which relief may be granted unless it appears beyond doubt that the plaintiff can
    prove no set of facts in support of his or her claim that would entitle the plaintiff to relief.   Doe v.
    Archdiocese of Cincinnati, 
    109 Ohio St.3d 491
    , 
    2006-Ohio-2625
    , 
    849 N.E.2d 268
    , ¶ 11, citing
    O’Brien v. Univ. Community Tenants Union, Inc., 
    42 Ohio St.2d 242
    , 
    327 N.E.2d 753
     (1975).
    Therefore, “[a]s long as there is a set of facts, consistent with the plaintiff’s complaint, which
    would allow the plaintiff to recover, the court may not grant a defendant’s motion to dismiss.”
    York v. Ohio State Hwy. Patrol, 
    60 Ohio St.3d 143
    , 145, 
    573 N.E.2d 1063
     (1991).
    {¶9} In resolving a Civ.R. 12(B)(6) motion, a court’s factual review is confined to the four
    corners of the complaint. Grady v. Lenders Interactive Servs., 8th Dist. Cuyahoga No. 83966,
    
    2004-Ohio-4239
    , ¶ 6. Within those confines, a court accepts as true all material allegations of
    the complaint and makes all reasonable inferences in favor of the nonmoving party.          Fahnbulleh
    v. Strahan, 
    73 Ohio St.3d 666
    , 667, 
    653 N.E.2d 1186
     (1995). “[A]s long as there is a set of
    facts, consistent with the plaintiff’s complaint, which would allow the plaintiff to recover, the
    court may not grant a defendant’s motion to dismiss.” York at 
    id.
    {¶10} GCRTA is a political subdivision of the state of Ohio, created pursuant to R.C.
    306.31 et seq. Drexler v. Greater Cleveland Regional Transit Auth., 
    80 Ohio App.3d 367
    , 
    609 N.E.2d 231
     (8th Dist.1992). R.C. Chapter 2744 sets forth a three-tiered analysis for determining
    whether governmental immunity applies to a political subdivision.            Greene Cty. Agricultural
    Soc. v. Liming, 
    89 Ohio St.3d 551
    , 556-557, 
    733 N.E.2d 1141
     (2000). First, the court must
    determine whether the entity claiming immunity is a political subdivision and whether the alleged
    harm occurred in connection with either a governmental or proprietary function.                Id.; R.C.
    2744.02(A)(1). Under R.C. 2744.02(A)(1), a political subdivision is generally “not liable for
    damages in a civil action for injury, death, or loss to person or property allegedly caused by any
    act or omission of the political subdivision * * * in connection with a governmental or proprietary
    function.”
    {¶11} The second tier of the analysis requires the court to determine whether any of the
    five exceptions to immunity enumerated in R.C. 2744.02(B) apply to reinstate liability to the
    political subdivision. Cater v. Cleveland, 
    83 Ohio St.3d 24
    , 28, 
    697 N.E.2d 610
     (1998). If the
    court finds any of the R.C. 2744.02(B) exceptions applicable, and no defense in that section
    protects the political subdivision from liability, then the third tier of the analysis requires the court
    to determine whether any of the defenses set forth in R.C. 2744.03 apply, thereby providing the
    political subdivision a defense against liability.     Colbert v. Cleveland, 
    99 Ohio St.3d 215
    ,
    
    2003-Ohio-3319
    , 
    790 N.E.2d 781
    , ¶ 9.
    {¶12} The question of whether a governmental employee or political subdivision is
    entitled to this statutory immunity is a question of law for the court to decide.   Conley v. Shearer,
    
    64 Ohio St.3d 284
    , 291, 
    595 N.E.2d 862
     (1992); Feitshans v. Darke Cty., 
    116 Ohio App.3d 14
    ,
    19, 
    686 N.E.2d 536
     (2d Dist.1996).
    {¶13} Hughes argues that the trial court erred in dismissing his cross-claim based on its
    determination that GCRTA was immune from suit. Hughes relies on R.C. 2744.09(B), which
    provides that the political subdivision immunity does not apply to:
    Civil actions by an employee, or the collective bargaining representative of an
    employee, against his political subdivision relative to any matter that arises out of
    the employment relationship between the employee and the political subdivision.
    {¶14} Hughes contends that his cross-claims alleges matters that are relative to an
    altercation with Lane that rose out of his employment relationship with GCRTA; therefore,
    GCRTA cannot claim immunity from his actions. We disagree.
    {¶15} R.C. 2744.09(B) provides exceptions to the immunity when the employee is the one
    filing suit.   Here, Hughes did not bring an action against GCRTA, he did not allege that he was
    injured as a result of GCRTA’s alleged failure to train him, and he is not seeking to recover from
    GCRTA directly.      Instead, Hughes alleged that if he is held liable for Lane’s injuries, then he
    should be entitled to recover from or be indemnified by GCRTA.                 Cross-claim at ¶ 30.
    Therefore, R.C. 2744.09(B) does not apply.
    {¶16} The core of Hughes’s allegations were that GCRTA was negligent in personnel
    matters or his training. These allegations are similar to those in Lane’s complaint. Because
    both Lane and Hughes alleged that GCRTA is liable for any injuries Lane suffered for negligently
    hiring and training Hughes, GCRTA has assumed in both cases, for the sake of argument, that the
    exception to liability under R.C. 2744.02(B)(2) applied (negligent performance of acts of their
    employees with respect to a proprietary function.)    See Lane, 8th Dist. Cuyahoga No. 100829,
    
    2014-Ohio-3917
    , at ¶ 19.
    {¶17} GCRTA contends that one of the defenses to liability set forth in R.C. 2744.03
    applies and, therefore, it is entitled to immunity from claims of negligent hiring and training.
    According to GCRTA, the following applies to reinstate its immunity:
    The political subdivision is immune from liability if the injury, death, or loss to
    person or property resulted from the exercise of judgment or discretion in
    determining whether to acquire, or how to use, equipment, supplies, materials,
    personnel, facilities, and other resources unless the judgment or discretion was
    exercised with malicious purpose, in bad faith, or in a wanton or reckless manner.
    R.C. 2744.03(A)(5).
    {¶18} We agree with GCRTA that R.C. 2744.03(A)(5) applies to shield it from liability in
    this case as it did in Lane. See Lane at ¶ 21. As with Lane, Hughes did not allege that GCRTA
    acted with malicious purpose, in bad faith, or in a wanton or reckless manner. Therefore, his
    cross-claim fails to allege sufficient facts to negate the immunity defense contained in R.C.
    2744.03(A)(5).    See Lane at 
    id.,
     citing Scott v. Dennis, 8th Dist. Cuyahoga No. 94685,
    
    2011-Ohio-12
     (in lawsuit alleging negligent hiring and supervision, college was entitled to
    immunity because plaintiff did not allege school acted with malicious purpose or in bad faith).
    {¶19} Consequently, Hughes’s cross-claim fails as matter of law and the trial court did not
    err in dismissing it.   The assignments of error are overruled.
    {¶20} Judgment affirmed.
    It is ordered that appellee recover of appellant costs herein taxed.
    The court finds there were reasonable grounds for this appeal.
    It is ordered that a special mandate issue out of this court directing the Cuyahoga County
    Court of Common Pleas to carry this judgment into execution.
    A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of the Rules
    of Appellate Procedure.
    LARRY A. JONES, SR., JUDGE
    MARY J. BOYLE, A.J., and
    EILEEN A. GALLAGHER, J., CONCUR
    

Document Info

Docket Number: 100868

Judges: Jones

Filed Date: 10/30/2014

Precedential Status: Precedential

Modified Date: 10/31/2014