Eichenberger v. Woodlands Assisted Living Residence, L.L.C. ( 2014 )


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  • [Cite as Eichenberger v. Woodlands Assisted Living Residence, L.L.C., 
    2014-Ohio-5354
    .]
    IN THE COURT OF APPEALS OF OHIO
    TENTH APPELLATE DISTRICT
    Raymond L. Eichenberger,                            :
    Plaintiff-Appellant/                :
    [Cross-Appellee],
    :                      No. 14AP-272
    v.                                                                     (C.P.C. No. 10CV-8551)
    :
    Woodlands Assisted Living Residence,                               (REGULAR CALENDAR)
    LLC et al.,                                         :
    Defendants-Appellees/               :
    [Cross-Appellants].
    :
    D E C I S I O N
    Rendered on December 4, 2014
    Raymond L. Eichenberger, for appellant/cross-appellee.
    Dworken & Bernstein Co., L.P.A., and Richard N. Selby, II,
    for appellees/cross-appellants.
    APPEAL from the Franklin County Court of Common Pleas
    CONNOR, J.
    {¶ 1} Plaintiff-appellant, Raymond L. Eichenberger, personal representative of
    Jane E. Eichenberger, deceased, appeals from a judgment of the Franklin County Court of
    Common Pleas in favor of defendants-appellees, Woodlands Assisted Living Residence,
    LLC ("Woodlands"), 7123 Industrial Park Blvd., Inc., Carol Ruff and Laura Baugus
    (collectively "appellees"). For the reasons that follow, we affirm the judgment of the trial
    court in part and reverse in part.
    A. Facts and Procedural History
    {¶ 2} This is the second time we have reviewed a judgment of the trial court
    disposing of appellant's claims prior to trial. In Eichenberger v. Woodlands Assisted
    No. 14AP-272                                                                             2
    Living Residence, L.L.C., 10th Dist. No. 12AP-987, 
    2013-Ohio-4057
     ("Eichenberger I"),
    we set forth the procedural history and the factual background of the case as follows:
    On June 8, 2010, appellant filed a complaint alleging he had
    been "duly appointed by the Franklin County Probate Court as
    the Executor of the Estate of the late Jane E. Eichenberger"
    ("decedent"). (June 8, 2010 Complaint, 2.) According to the
    complaint, decedent was a resident of Woodlands, and on
    June 12, 2008, appellees "negligently failed to exercise control
    over" and "negligently failed to provide for" the decedent
    based upon her falling from a wheelchair being operated and
    controlled by appellees. (June 8, 2010 Complaint, 2-3.)
    ***
    [O]n April 7, 2011, appellant sought leave to amend the
    complaint in order to substitute appellee Baugus for
    defendant Jane Doe 1.
    ***
    By entry dated June 15, 2011, the trial court granted
    appellant's April 7, 2011 motion to amend the complaint, and
    the amended complaint filed on April 7 was deemed filed
    instanter. Subsequently, on June 24, 2011, appellant,
    apparently without leave of court, filed an amended complaint
    that appears to be identical to those amended complaints
    previously filed.
    On June 29, 2011, appellees filed a * * * motion to dismiss the
    complaint pursuant to Civ.R. 12(B)(1) and (6). Appellees
    argued (1) dismissal of the first claim was proper because it
    was a medical claim required to be filed within one year and
    with an affidavit of merit, (2) the entire complaint was
    required to be dismissed for lack of standing, and (3) Baugus
    was entitled to dismissal because appellant did not perfect
    service on her within one year.
    ***
    On June 11, 2012, after considering evidence beyond the
    allegations of the complaint, the trial court granted appellees'
    June 29, 2011 motion to dismiss the complaint. * * * Although
    the exact basis of its decision is somewhat unclear, the trial
    court appears to have granted the motion to dismiss, pursuant
    to Civ.R. 12(B)(1), after having determined that appellant
    lacked standing at the time he commenced this litigation and
    No. 14AP-272                                                                                  3
    that the filing of a complaint after he became executor did not
    relate back to the original complaint.
    (Fn. omitted.) Id. at ¶ 2-9.
    {¶ 3} On appeal, we determined that the issue raised by appellees' motion to
    dismiss was one of capacity to sue rather than standing. Eichenberger I at ¶ 15.
    Accordingly, we found that the trial court erred when it dismissed appellant's complaint
    pursuant to Civ.R. 12(B)(1) "[b]ecause capacity to sue does not challenge the subject-
    matter jurisdiction of a court." Id. at ¶ 16, citing Washington Mut. Bank. v. Beatley, 10th
    Dist. No. 06AP-1189, 
    2008-Ohio-1679
    , ¶ 11; Vedder v. Warrensville Hts., 8th Dist. No.
    81005, 
    2002-Ohio-5567
    , ¶ 15. We also determined that the trial court improperly "relied
    on matters outside appellant's complaint to resolve appellees' motion to dismiss.
    Specifically, the court relied on a purported docket sheet from the Franklin County
    Probate Court filed in support of appellees' motion to dismiss as well as the parties'
    arguments contained therein." Id. at ¶ 18. Accordingly, we reversed the judgment of the
    trial court and remanded the case for further proceedings. Id. at ¶ 32.
    {¶ 4} Following remand, appellees filed a motion for summary judgment arguing
    that: 1) the complaint alleges a "medical claim" governed by the one-year statute of
    limitations under R.C. 2305.113; and 2) that appellant lacked the legal capacity to
    commence an action on behalf of decedent's estate and that appellant's refiled complaint
    did not relate back to the date of the original filing for purposes of the applicable statute of
    limitations. Appellant responded that the claim alleged in the complaint sounds in
    ordinary negligence and that such claims are governed by the two-year statute of
    limitations pertaining to an action for bodily injury. R.C. 2305.10. Appellant further
    argued that even though he did not have legal capacity to commence an action on behalf
    of the estate when he filed the original complaint on June 8, 2010, he subsequently
    obtained an appointment as executor from the probate court on May 9, 2011, and filed an
    amended complaint curing the defect on June 24, 2011. According to appellant, the
    amendment relates back to the date of the original complaint for purposes of the
    applicable statute of limitations.
    {¶ 5} In a decision dated March 14, 2014, the trial court determined that the
    complaint alleges a claim sounding in negligence only, and that such a claim is governed
    No. 14AP-272                                                                                 4
    by the two-year statute of limitations for actions based on bodily injury. R.C. 2305.10. The
    trial court, however, went on to conclude that appellant's amended complaint filed on
    June 24, 2011, did not relate back to the date of appellant's original filing date and that the
    statute of limitations barred appellant's cause of action "in light of [appellant's] lack of
    capacity to sue." (Trial Court Decision, 10.)
    {¶ 6} Appellant filed a timely notice of appeal to this court on April 3, 2014.
    Appellees filed a cross-appeal on April 10, 2014.
    B. Assignments of Error
    {¶ 7} Appellant assigns the following as error:
    [I.] THE TRIAL COURT ERRED AS A MATTER OF LAW
    AND ABUSED HIS DISCRETION IN RULING THAT THE
    PLAINTIFF WAS NOT THE REAL PARTY IN INTEREST IN
    THE LITIGATION, THAT PLAINTIFF HAD NO STANDING
    TO FILE THE LITIGATION, AND THAT THE AMENDED
    COMPLAINT OF THE PLAINTIFF DID NOT RELATE BACK
    TO THE FILING OF THE ORIGINAL COMPLAINT FOR
    PURPOSES OF THE APPLICABLE STATUTE OF
    LIMITATIONS.
    [II.] THE TRIAL COURT ERRED AS A MATTER OF LAW
    AND ABUSED ITS DISCRETION IN RULING THAT THE
    PLAINTIFF WAS NOT THE REAL PARTY IN INTEREST TO
    BRING THE LITIGATION IN THAT PLAINTIFF HAD
    BEEN THE TRUSTEE OF THE DECEDENT'S TRUST
    SINCE 2002. THE TRUST WAS THE SOLE BENEFICIARY
    OF THE LAST WILL AND TESTAMENT OF THE
    DECEDENT LATER ADMITTED TO PROBATE IN
    FRANKLIN COUNTY.
    [III.] THE TRIAL COURT ERRED AS A MATTER OF LAW
    AND ABUSED ITS DISCRETION IN RULING THAT THE
    CASE HAD NOT BEEN COMMENCED AGAINST
    DEFENDANT LAURA BAUGUS BY OBTAINING SERVICE
    AGAINST THAT DEFENDANT, OR SHOULD HAVE
    RECOGNIZED THAT SERVICE WAS LEGALLY OBTAINED
    THEREAFTER.
    {¶ 8} For their cross-appeal, appellees/cross-appellants assign the following as
    error:
    THE TRIAL COURT ERRED IN DETERMINING THAT
    PLAINTIFF/APPELLANT'S CLAIM WAS NOT A MEDICAL
    No. 14AP-272                                                                                 5
    CLAIM GOVERNED BY OHIO REVISED CODE SECTION
    2305.113 SUBJECT TO A ONE (1) YEAR STATUTE OF
    LIMITATIONS.
    C. Standard of Review
    {¶ 9} Summary judgment is proper only when the party moving for summary
    judgment demonstrates that: (1) no genuine issue of material fact exists, (2) the moving
    party is entitled to judgment as a matter of law, and (3) reasonable minds could come to
    but one conclusion and that conclusion is adverse to the party against whom the motion
    for summary judgment is made, that party being entitled to have the evidence most
    strongly construed in that party's favor. Civ.R. 56(C); State ex rel. Grady v. State Emp.
    Relations Bd., 
    78 Ohio St.3d 181
    , 183 (1997).
    {¶ 10} Appellate    review    of   summary     judgment        motions   is   de   novo.
    Corna/Kokosing Constr. Co. v. South-Western City School Dist. Bd. of Edn., 10th Dist.
    No. 02AP-624, 
    2002-Ohio-7028
    , ¶ 10, citing Advanced Analytics Laboratories, Inc. v.
    Kegler, Brown, Hill & Ritter, L.P.A., 
    148 Ohio App.3d 440
    , 
    2002-Ohio-3328
    , ¶ 33 (10th
    Dist.). Helton v. Scioto Cty. Bd. of Commrs., 
    123 Ohio App.3d 158
    , 162 (4th Dist.1997).
    " 'When reviewing a trial court's ruling on summary judgment, the court of appeals
    conducts an independent review of the record and stands in the shoes of the trial court.' "
    Shaw v. Thomas, 10th Dist. No. 99AP-1291, (Nov. 2, 2000), quoting Mergenthal v. Star
    Bank Corp., 
    122 Ohio App.3d 100
    , 103 (12th Dist.1997). We must affirm the trial court's
    judgment if any of the grounds raised by the movant at the trial court are found to support
    it, even if the trial court failed to consider those grounds. 
    Id.,
     citing Coventry Twp. v.
    Ecker, 
    101 Ohio App.3d 38
    , 41-42 (9th Dist.1995).
    D. Legal Analysis
    {¶ 11} In order to resolve the issues raised by appellant's assignments of error, we
    must first determine the statute of limitations applicable to appellant's claim. Accordingly,
    we will first consider the issue raised by appellees' cross-appeal.
    1. Applicable Statute of Limitations
    {¶ 12} Appellees contend that appellant's claim for relief based upon the bodily
    injury sustained by decedent sounds in medical malpractice and, as such, the one-year
    statute of limitations in R.C. 2305.113(A), governs the claim. The trial court determined
    that the complaint did not allege a medical claim. We agree with the trial court.
    No. 14AP-272                                                                                 6
    {¶ 13} There is no question that appellant's claim for relief accrued on June 12,
    2008, and that appellant filed the original complaint on June 8, 2010. Accordingly, even if
    we determine that the amended complaint filed on June 24, 2011 relates back to the
    original, the claim is still time-barred if the one-year limitations period applies. As defined
    by R.C. 2305.113(E)(3), a "medical claim" is one "asserted in any civil action against a
    physician, podiatrist, hospital, home, or residential facility, against any employee or agent
    of a physician, podiatrist, hospital, home, or residential facility, or against a licensed
    practical nurse, registered nurse, advanced practice registered nurse, physical therapist,
    physician assistant, emergency medical technician-basic, * * * and that arises out of the
    medical   diagnosis,    care,   or   treatment    of   any   person."    (Emphasis    added.)
    R.C. 2305.113(A) states that "an action upon a medical * * * claim shall be commenced
    within one year after the cause of action accrued."
    {¶ 14} In appellant's affidavit, he avers in relevant part as follows:
    5. The Defendants' assisted living facility is a residential
    facility for senior citizens and other persons who may need
    assistance with their day to day living activities, but the base
    monthly rental charges for residents in the facility do not
    include any manner of health care, only room and board.
    Defendant Carol Ruff is the administrator of Defendants'
    facility and has no formal medical training; Defendant Laura
    Baugus is an aide at Defendants' facility and has no formal
    medical training.
    6. A resident at the Defendants' facility may not be provided
    any health care services at all.
    7. Jane Eichenberger was injured on June 12, 2008 when she
    was dumped from a wheel chair in which she was riding at
    Defendants' facility, being pushed by Defendants'
    employee/Defendant Laura Baugus.
    ***
    10. At the time of the accident, Jane Eichenberger was being
    transported by Defendant Laura Baugus to the common
    dining room of the Defendants' facility in order to eat lunch.
    (Emphasis added.)
    {¶ 15} In concluding that the cause asserted in appellant's complaint was not a
    "medical claim," the trial court concluded the decedent fell out of her wheelchair on her
    No. 14AP-272                                                                               7
    way to lunch and that "[t]ransportation to lunch is not ancillary to, or 'an inherently
    necessary part of' [decedent's] treatment or care as required for the one year statute of
    limitations to apply." (Trial Court Decision, 4.) A leading case from the Supreme Court of
    Ohio on this issue is Rome v. Flower Mem. Hosp., 
    70 Ohio St.3d 14
     (1994). In that case,
    plaintiff sustained an injury when his wheelchair collapsed as he was being taken to
    physical therapy. In holding that the complaint alleged a medical claim, the court stated
    that "the transport of [the patient] from physical therapy was ancillary to and an
    inherently necessary part of his physical therapy treatment." Id. at 16.
    {¶ 16} Appellant's affidavit establishes that appellant was not transporting
    decedent to or from a prescribed medical treatment at the time she sustained her injuries.
    Consequently the rule of law in Rome supports the trial court's determination in this case.
    {¶ 17} Subsequent to the opinion of the Supreme Court of Ohio in Rome, several
    courts of appeals have considered the question whether a complaint alleges a "medical
    claim" under similar facts to those alleged herein. In Balascoe v. St. Elizabeth Hosp. Med.
    Ctr., 
    110 Ohio App.3d 83
    , 85 (7th Dist.1996), a patient fell after stepping on a piece of
    plastic on her way from the hospital bed to the bathroom. The court of appeals
    determined that the falling on the way to the bathroom did not arise directly from medical
    diagnosis, care or treatment, even though the patient had called for a nurse to assist her in
    walking to the bathroom. Id. at 86.
    {¶ 18} In Conkin v. CHS-Ohio Valley, Inc., 1st Dist. No. C-110660, 2012-Ohio-
    2816, a nursing home resident sustained her injuries while being moved from a
    wheelchair to a device known as a Hoyer lift. The trial court dismissed the action because
    plaintiff did not file the complaint within the one-year statute of limitations pertaining to
    medical claims. The court of appeals determined that the complaint did not allege a
    "medical claim" because there was no indication that the use of the lift was an inherent
    part of a medical procedure, that the use of the lift arose out of physician-ordered
    treatment, or that professional expertise or professional skill was required to transfer a
    patient to the lift.
    {¶ 19} In Hill v. Wadsworth-Rittman Area Hosp., 
    185 Ohio App.3d 788
    , 2009-
    Ohio-5421 (9th Dist.), a patient filed an action against a hospital and a nurse after she
    sustained injuries while being helped out of a wheelchair during her discharge from a
    No. 14AP-272                                                                                                  8
    hospital. The trial court determined that the complaint alleged a "medical claim" and
    granted summary judgment in favor of the nurse. The court of appeals held that the
    complaint did not allege a "medical claim" because the conduct of hospital staff in
    escorting a patient in a wheelchair was not inherently necessary for any medical test or
    treatment.1
    {¶ 20} In light of the prevailing case law, the only reasonable inference that may be
    drawn from appellant's affidavit is that decedent's transportation to the common dining
    room in order to eat lunch was neither ancillary to nor an inherently necessary part of any
    prescribed care or treatment. The undisputed evidence in this case distinguishes
    appellant's claim from the claim asserted by the plaintiff in Rome. In this case, as in
    Belasco, Conklin, and Hill, decedent's injuries did not occur during her transportation to
    or from a medical test, procedure or treatment. Consequently, appellant has not alleged
    an injury that arises out of the medical diagnosis, care, or treatment.
    {¶ 21} In appellees' motion for summary judgment, appellees' claim that certain
    portions of appellant's deposition create a factual issue whether decedent's use of a
    wheelchair was "part of [decedent's] medical treatment designed to address the mobility
    issues that resulted from [decedent's] medical condition." (October 25, 2013 Motion for
    Summary Judgment, 8.) However, even when we construe appellant's testimony in
    appellees' favor, such testimony establishes, at most, that decedent needed to use a
    wheelchair for mobility after sustaining a serious hip injury.                        Although appellant
    acknowledged that a goal of decedent's rehabilitation plan was to transition from the use
    of the wheelchair to a walker, it is not reasonable to infer from appellant's testimony that
    decedent's use of a wheelchair was ancillary to or inherently necessary for any prescribed
    medical care or treatment.
    1. Other cases supporting the conclusion that appellant's claim sounds in ordinary negligence include:
    Haskins v. 7112 Columbia Inc., 7th Dist. No. 13 MA 100, 
    2014-Ohio-4154
    , ¶ 18 (Action against nursing home
    and its employees for breaking patient's leg while moving her in the course of changing her bed linens was
    not a "medical claim" where there is no indication that changing patient's bed linens "was part of some type
    of medical test or procedure, was ordered by a doctor, or that it required any medical expertise or
    professional skill."); McDill v. Sunbridge Care Ents., Inc., 4th Dist. No. 04-11-2013, 
    2013-Ohio-1618
    (Plaintiff was allegedly injured when two employees of a rehabilitation facility failed to keep her from falling
    backwards as she stood to wash her hands. The court of appeals held that plaintiff's injury did not arise out
    of medical diagnosis, care, or treatment, and was not a "medical claim," even though plaintiff's physician
    had ordered her not to leave her bed unassisted).
    No. 14AP-272                                                                               9
    {¶ 22} In short, the evidence does not permit the inference that decedent's medical
    treatment included her use of a wheelchair to reach the dining area at appellees' facility.
    Accordingly, we hold that the trial court did not err when it determined that the claim
    asserted by appellant is not a "medical claim" within the meaning of R.C. 2305.113, and
    that the two-year limitation period pertaining to a cause for bodily injury governs the
    claim. Appellees' cross-assignment of error is overruled.
    2. Capacity and Relation Back of Amendments
    {¶ 23} Turning to appellant's first assignment of error, appellant argues that,
    pursuant to Civ.R. 17(A), the amended complaint established his legal capacity to
    commence this action on behalf of decedent's estate and that, pursuant to Civ.R. 15(C),
    the amended complaint relates back to the date of his original filing for purposes of the
    applicable statute of limitations. We agree.
    {¶ 24} The operative facts surrounding appellant's first assignment of error are not
    in dispute. Accordingly, appellant's first assignment of error presents a purely legal issue.
    Under R.C. 2305.21, "causes of action * * * for injuries to the person or property * * *
    survive; and such actions may be brought notwithstanding the death of the person
    entitled * * * thereto." In our prior decision in Eichenberger I, we noted that only the
    personal representative of decedent's estate may commence a survival action. Id. at ¶ 13.
    See also Shinaver v. Szymanski, 
    14 Ohio St.3d 51
    , 55 (1984).
    {¶ 25} When appellant filed the original complaint in 2008, the probate court had
    not yet appointed a personal representative of decedent's estate. Although the cause of
    action survived decedent's death, there was no person with the legal capacity to
    commence the action on behalf of decedent's estate. When appellant eventually obtained
    his appointment as the legal representative of the estate and filed the amended complaint,
    the two-year statute of limitations pertaining to claims for bodily injury had run. The
    question for this court is whether the amended complaint cured the defect in the original
    pleading and whether the amendment relates back to the date of the original for purposes
    of the applicable statute of limitations.
    {¶ 26} In Douglas v. Daniels Bros. Coal Co., 
    135 Ohio St. 641
    , 647-48 (1939), the
    Supreme Court of Ohio has addressed the relation back of amendments under similar
    facts to those presented herein. In Douglas, decedent's widow filed the wrongful death
    No. 14AP-272                                                                              10
    action as the decedent's personal representative under the mistaken belief that she had
    been appointed. She discovered her error after expiration of the applicable statute of
    limitations and amended her complaint to show her later appointment as administrator.
    The Supreme Court of Ohio held that the widow's amendment of the wrongful death
    complaint relates back to the date of her original filing. In so holding, the Supreme Court
    of Ohio stated:
    In the instant case the cause of action set up in the petition is
    in no way affected by the corrections contained in the
    amendment. The amendment corrects the allegations of the
    petition with respect to plaintiff's capacity to sue and relates
    to the right of action as contradistinguished from the cause
    of action. A right of action is remedial, while a cause of action
    is substantive, and an amendment of the former does not
    affect the substance of the latter. An amendment which does
    not substantially change the cause of action may be made
    even after the statute of limitations has run.
    (Citations omitted.) Id. at 647.
    {¶ 27} The Ninth District Court of Appeals applied the same reasoning in Stone v.
    Phillips, 9th Dist. No. 15908 (Aug. 11, 1993). In that case, decedent's mother filed the
    wrongful death action against defendant identifying herself as both the guardian of
    decedent's minor children and the executrix of her daughter's estate. At the time she filed
    the complaint, the probate court had not yet appointed a representative of decedent's
    estate and did not appoint an administrator until after the applicable statute of limitations
    had run. The trial court denied defendant's motion to dismiss and granted Stone leave to
    amend the complaint by substituting the name of her attorney as administrator of the
    estate. The ninth district, relying on Douglas, concluded that the trial court did not err
    when it refused to dismiss a wrongful death suit on statute of limitations grounds
    inasmuch as the amended complaint related back to the date of the original pleading. In
    so holding, the court noted that "[t]he record contains no evidence that Stone acted other
    than on the reasonable belief that, as the closest relative of the decedent, she would be
    appointed administrator." Id.
    {¶ 28} In Klinger v. Corr. Corp. of Am., Inc., N.D. Ohio No. 4:1cv2299 (Dec. 12,
    2012), decedent died intestate on October 29, 2009. On October 26, 2011, three days
    before the two-year statute of limitations expired, his son filed a wrongful death action
    No. 14AP-272                                                                                            11
    against defendants "Individually and as Administrator of the Estate." At that time,
    plaintiff had not yet opened an estate and he had not been appointed as personal
    representative of the estate. On May 24, 2012, the probate court appointed plaintiff
    administrator of his father's estate.
    {¶ 29} On July 3, 2012, defendants filed a motion for summary judgment arguing
    that plaintiff was not appointed at the time he filed the complaint and was not
    subsequently appointed until after the statute of limitations had expired. On October 4,
    2012, plaintiff filed an amended complaint for the purpose of curing the alleged defect
    regarding his capacity to sue. The district court denied the motion for summary judgment
    because the amended complaint related back to the date of the original complaint
    pursuant to Fed.R.Civ.P. 15(c)(1)(B).2
    {¶ 30} In our opinion, the holdings of the Supreme Court of Ohio in Douglas, the
    Eleventh District in Stone, and the Northern District, Eastern Division in Klinger are
    consistent with the language of the current Ohio Civil Rules. In fact, Fed.R.Civ.P.
    15(c)(1)(B), which formed the basis for the district court's decision in Klinger, is nearly
    identical to the relevant provisions of Civ.R. 15(C). As noted above, Civ.R. 15(C) states:
    "whenever the claim or defense asserted in the amended pleading arose out of the
    conduct, transaction, or occurrence set forth or attempted to be set forth in the original
    pleading, the amendment relates back to the date of the original pleading." Similarly,
    Civ.R. 17(A), pertaining to parties, provides in relevant part as follows:
    Every action shall be prosecuted in the name of the real party
    in interest. An executor, administrator, * * * or a party
    authorized by statute may sue in his name as such
    representative without joining with him the party for whose
    benefit the action is brought. * * * No action shall be
    dismissed on the ground that it is not prosecuted in the
    name of the real party in interest until a reasonable time has
    been allowed after objection for * * *substitution of, the real
    party in interest. Such * * * substitution shall have the same
    effect as if the action had been commenced in the name of
    the real party in interest.
    (Emphasis added.)
    2 Under Fed.R.Civ.P. 15(c)(1)(B), "[a]n amendment to a pleading relates back to the date of the original
    pleading when * * * the amendment asserts a claim or defense that arose out of the conduct, transaction, or
    occurrence set out--or attempted to be set out--in the original pleading."
    No. 14AP-272                                                                              12
    {¶ 31} By operation of Civ.R. 17(A), the amended complaint filed by appellant on
    June 24, 2011 had the effect of curing the defect in the original complaint regarding
    appellant's capacity to sue on behalf of decedent's estate and, pursuant to Civ.R. 15(C), the
    amended complaint relates back to the date of the original pleading because the claim
    asserted in the amended pleading arose out of the conduct, transaction, or occurrence set
    forth in the original. Thus, the action was timely filed as to the primary appellees on June
    8, 2010.
    {¶ 32} In reaching this conclusion, we are mindful that "[t]he spirit of the Civil
    Rules is the resolution of cases upon their merits, not upon pleading deficiencies."
    Peterson v. Teodosio, 
    34 Ohio St.2d 161
    , 175 (1973). "Decisions on the merits should not
    be avoided on the basis of mere technicalities; pleading is not ' "a game of skill in which
    one misstep by counsel may be decisive to the outcome * * * [rather] the purpose of
    pleading is to facilitate a proper decision on the merits." Hardesty v. Cabotage, 
    1 Ohio St.3d 114
     (1982), citing Conley v. Gibson, 
    355 U.S. 41
    , 48. For this reason, trial courts
    liberally permit pleadings to be amended to cure a defect so that determinations may be
    made on the merits. Stone citing Archdeacon v. Cincinnati Gas & Elec. Co., 
    76 Ohio St. 97
    , 107 (1907); Patterson v. V & M Auto Body, 
    63 Ohio St.3d 573
    , 577 (1992). Our ruling
    in this appeal will permit the case to be decided upon the merits and not upon a pleading
    deficiency.
    {¶ 33} We also recognize that the purpose of a statute of limitations "is to promote
    justice by preventing surprise through the revival of claims that have been allowed to
    slumber until evidence has been lost, memories have faded and witnesses have
    disappeared." Kinney v. Ohio Dept. of Adm. Servs., 
    30 Ohio App.3d 123
    , 126 (10th
    Dist.1986). A statute of limitations serves to protect against "stale claims" or "faded
    memories" and to gain the "repose" of society. Mewhorter v. Ex-Cell-O Corp., 
    23 Ohio St.3d 13
    , 14-15 (1986). In this instance, appellant filed a complaint against appellees
    within the statutory limitations period and obtained service upon the primary defendants
    shortly thereafter. In fact, the record shows that the parties had engaged in discovery and
    were preparing for trial just prior to the first appeal. Thus, our ruling in this appeal will
    not have the effect of preserving a claim that has become stale.
    No. 14AP-272                                                                                              13
    {¶ 34} In reaching the opposite conclusion, the trial court relied on the decision of
    the Fifth District Court of Appeals in Gottke v. Diebold, Inc., 5th Dist. No. CA-3484 (Aug.
    9, 1990). In that case, Diane Gottke filed a statutory wrongful death action against
    defendants "individually and as the personal representative of the estate." At the time
    Gottke filed the complaint, the decedent's husband was the duly appointed administrator
    of decedent's estate. The Gottke court noted that, under the wrongful death statute, Diane
    Gottke could have timely filed the action "in the name of" decedent's husband. R.C.
    2125.01. The court stated that "the doctrine of relation back does not apply where the
    plaintiff misrepresents his/her capacity, and fails to procure appointment within the time
    prescribed by the appropriate statute of limitations, or file 'in the name of' the personal
    representative." (Emphasis added.) Id. at 3. In ruling that Diane Gottke's later
    substitution as administrator did not relate back, the court stated:
    In the case sub judice the plaintiff had ample opportunity to
    follow the mandate of the statute and file the action in the
    name of the personal representative. Even when the defect
    was called to the attention of plaintiff prior to the expiration
    of the applicable statute of limitations plaintiff failed to alter
    course to correct the fatal deficiency.
    None of the authority cited by the appellant persuades this
    court that we should extend the principles of relation back to
    salvage the action originally filed without standing.
    Id. at 4.
    {¶ 35} In this case, appellant filed the original complaint against appellees just
    prior to the expiration of the two-year statute of limitations pertaining to claims for bodily
    injury. At that time, there was no personal representative of the estate to commence the
    action. And, as noted above, a survival action may be commenced only by the duly
    appointed representative of a decedent's estate. Eichenberger I; Shinaver at 55.3
    Consequently, unlike the plaintiff in Gottke, appellant did not have the opportunity either
    to file the complaint "in the name of" the representative of decedent's estate or to correct
    3"Under the general survival statute, R.C. 2305.21, a victim's right of action for personal injuries survives
    and passes to her personal representative, and may be instituted for the benefit of the estate,
    notwithstanding that death resulted from injuries for which an action could also be maintained under the
    Wrongful Death Act, R.C. 2125.01 et seq."
    No. 14AP-272                                                                                            14
    the deficiency in the complaint prior to the expiration of the applicable statute of
    limitations.4 Thus, this case is distinguishable from Gottke.
    {¶ 36} Nevertheless, in ruling that the amended complaint did not relate back to
    the original for purposes of the statute of limitations, the trial court focused on appellant's
    lack of veracity regarding his status at the time he filed the complaint. The trial court
    stated that, "[t]he doctrine of relation back cannot be used to circumvent the applicable
    statute of limitations when Plaintiff's standing to originally bring suit rests upon a
    misrepresentation to the Court." (Trial Court Decision, 8.) We agree that as an attorney,
    appellant knew that he was not the legal representative of decedent's estate when he filed
    the original complaint. The trial court believed that appellant's conduct in knowingly
    misrepresenting his status in the original complaint was arguably a violation of Civ.R. 11
    and his ethical obligation to the court.5 However, we do not believe that a pleader's good
    or bad faith necessarily impacts the analysis under Civ.R. 15(A). The only relevant
    limitation on the relation-back principle espoused by Civ.R. 15(C) is that "the claim * * *
    asserted in the amended pleading arose out of the conduct, transaction, or occurrence set
    forth or attempted to be set forth in the original pleading." In this instance, the claim
    asserted in the amended complaint is identical to that set forth in the original complaint.
    Similarly, Civ.R. 17(A) states that "[n]o action shall be dismissed on the ground that it is
    not prosecuted in the name of the real party in interest until a reasonable time has been
    allowed after objection for * * * substitution."
    {¶ 37} Moreover, to the extent that appellant's good or bad faith is relevant to the
    inquiry, we note that appellant's affidavit states that he and his adult sister are decedent's
    only legal heirs and that decedent's will designated him as executor. Thus, it is evident
    that when appellant identified himself as the duly appointed executor of decedent's estate,
    he was reasonably certain that the probate court would appoint him as such. Stone. In our
    view, appellant's admitted lack of diligence in obtaining his appointment does not alter
    our conclusion regarding the application of Civ.R. 17(A) and 15(C).
    4As we concluded in Eichenberger I, the dispositive issue is legal capacity rather than standing.
    5 In Toledo Bar Assn. v. Rust, 
    124 Ohio St.3d 305
    , 
    2010-Ohio-170
    , the Supreme Court of Ohio concluded
    that a lawyer did not commit an ethical violation by filing a wrongful-death action on behalf of the
    administrator of a decedent's estate even though the lawyer had not obtained the administrator's authority.
    No. 14AP-272                                                                               15
    {¶ 38} Additionally, to the extent that the trial court relied on the decision of the
    second district in Wanamaker v. Davis, 2d Dist. No. 2005-CA-151, 
    2007-Ohio-4340
    , and
    the decision of the Northern District Of Ohio, Eastern Division, in Mohat v. Mentor
    Exempted Village School Dist. Bd. of Edn., N.D. Ohio No. 1:09 CV 688, 
    2011 WL 2174671
    (June 1, 2011), each of those cases is legally distinguishable. In Wanamaker, the plaintiff
    did not file the malpractice action against the former attorney for the estate until after she
    closed the estate. Plaintiff subsequently reopened the estate but she did not obtain an
    appointment as administrator before the statute of limitations for legal malpractice had
    run. Relying on Gottke, the court of appeals determined that plaintiff's appointment as
    executor did not relate back to the date of the original complaint. Significantly, however,
    plaintiff in Wanamaker never filed an amended pleading after the probate court made
    her administrator. Thus, there was no amended pleading to relate back to the date of the
    original and there was no discussion of Civ.R. 15(A) in the decision of the court. Id. at
    ¶ 31-32.    Similarly, in Mohat, plaintiff obtained her appointment as personal
    representative of the estate in the wrong county probate court and she did not receive a
    proper appointment until after the statute of limitations had run. The court held that
    plaintiff's appointment did not relate back to the date of the original pleading. However,
    as was the case in Wanamaker, the plaintiff in Mohat did not file an amended complaint
    after she obtained her appointment from the probate court. Consequently there was no
    amendment to relate back and there was no discussion of Fed.R.Civ.P. 15(c)(1)(B) in the
    decision of the court. See Klinger (distinguishing Mohat for the same reason.)
    {¶ 39} In the final analysis, we believe that the reasoning employed by the courts in
    Douglas, Stone and Klinger is consistent with both the language and the spirit of the civil
    rules, and that the application of the relation back doctrine to the particular facts of this
    case offends none of the equitable principles underlying the statute of limitations. Thus,
    the trial court erred when it determined that appellant's amended complaint did not
    relate back to the date of the original and that the statute of limitations barred appellant's
    claims.
    {¶ 40} For these reasons, we hold that the trial court erred when it granted
    summary judgment in favor of appellees, Woodlands and Ruff, and we sustain appellant's
    first assignment of error.
    No. 14AP-272                                                                                                    16
    {¶ 41} To the extent that appellant argues in his second assignment of error that he
    had legal capacity to bring this action based upon his status as trustee of decedent's trust,
    our prior opinion in Eichenberger I disposes of that argument. Eichenberger I at ¶ 15
    ("capacity concerns a determination as to whether an individual may properly sue, either
    as an entity or on behalf of another * * * the issue here is whether the action was brought
    by a properly appointed administrator of the estate."). (Emphasis added.)
    {¶ 42} Accordingly, appellant's second assignment of error is overruled.
    3. Commencement of the Action as to Baugus
    {¶ 43} In appellant's third assignment of error, appellant contends that the trial
    court erred when it determined that appellant failed to commence the action against
    appellee, Laura Baugus. Appellant argues that his failure to obtain service upon Baugus
    within one year of filing the original complaint is excusable given appellees' dilatory
    tactics in the discovery process and the failure of the trial court to timely rule on his
    motion to compel and his motion to amend the complaint.
    {¶ 44} The facts relevant to this assignment of error are as follows. Appellant filed
    the complaint on June 8, 2010. In addition to naming defendants, Woodlands and Ruff,
    appellant identified "Jane Doe I (unidentified employee of Defendants)." On October 25,
    2010, appellees, Woodlands and Ruff, filed their initial disclosure of witnesses listing
    Laura Baugus as a witness, but not disclosing her employment or address. On or about
    August 20, 2010, appellant served discovery requests upon appellees. On September 7,
    2010, Woodlands and Ruff filed a motion to stay discovery pending the disposition of
    their previously filed motion to dismiss.6 Appellant opposed the motion arguing that the
    discovery was essential because he was "not currently aware of the identity of the * * *
    employees * * * who were pushing * * * decedent's wheelchair." (R. at 54.)
    {¶ 45} On December 17, 2010, appellees, Woodlands and Ruff, filed a
    supplemental disclosure of witness wherein they state that Baugus "[h]as knowledge
    regarding [decedent's] accident in the wheelchair." (R. at 57.) However, the disclosure
    does not include an address or telephone number for Baugus nor does it specifically
    identify Baugus as either a current or former employee of Woodlands.
    6 The motion alleged that appellant did not timely file the action within the one-year statute of limitations
    applicable to medical claims.
    No. 14AP-272                                                                            17
    {¶ 46} On March 16, 2011, appellant filed a motion to compel responses to
    outstanding discovery, including answers to interrogatories. One of the interrogatories to
    specifically requested "the name, residence address and telephone number of each person
    who was pushing or accompanying the wheelchair of decedent * * * when [she] was
    ejected from the wheelchair on June 12, 2008." Woodlands and Ruff responded with a
    memorandum contra wherein they allege that appellant failed to attempt to resolve the
    matter informally before filing the motion as required by Civ.R. 37(E). On March 22,
    2010, appellant refiled the motion to compel.
    {¶ 47} The record does not contain a written ruling on the motion to compel.
    However, on April 7, 2011, appellant filed a motion to amend the complaint in order to
    "identify party Jane Doe I with her legal name in the case (Laura Baugus), so that she can
    be served with the Amended Complaint." The proposed amended complaint provides an
    address for Baugus "c/o Woodlands Independent and Assisted Living Community, LLC."
    On April 21, 2011, Woodlands and Ruff filed a "Notice of Service of Discovery Responses"
    averring that they had responded to appellant's outstanding discovery requests on April 8,
    2011. On that same date, Woodlands and Ruff filed a memorandum in opposition to
    appellant's motion to amend the complaint.
    {¶ 48} The trial court granted appellant's April 7, 2011 motion to amend the
    complaint on June 15, 2011, one year and seven days after appellant filed the original
    complaint.     On June 24, 2011, appellant instructed the clerk to serve the amended
    complaint on Baugus "c/o Woodlands Independent and Assisted Living Community." On
    June 29, 2011, Baugus moved the court to dismiss the complaint on the grounds that
    appellant did not serve her with a summons and complaint within the time required by
    Civ.R. 3(A).
    {¶ 49} Under Civ.R. 3(A) "[a] civil action is commenced by filing a complaint with
    the court, if service is obtained within one year * * * upon a defendant identified by a
    fictitious name whose name is later corrected pursuant to Civ.R. 15(D)." " 'In general, the
    one-year time requirement in Civ.R. 3(A) cannot be enlarged.' " Apostolouski v. Sharp,
    10th Dist. No. 04AP-1105, 
    2005-Ohio-2559
    , ¶ 22, quoting Temple v. John Galt Co., 10th
    Dist. No. 96APE10-1364 (Apr. 10, 1997). However, in Robinson v. Commercial Motor
    Freight, Inc., 
    174 Ohio St. 498
     (1963), the Supreme Court of Ohio determined that when
    No. 14AP-272                                                                                18
    a clerk is forgetful or careless in failing to promptly serve the summons, the harsh
    application of a rule requiring service by a certain date may be inappropriate. Id. at 502.
    In that case, the attorney had repeatedly called and requested the clerk to serve the
    summons and had filed a document demanding that service be made. Id.
    {¶ 50} The Sixth District Court of Appeals extended the reasoning of the Robinson
    case in Scott v. Orlando, 
    2 Ohio App.3d 333
     (6th Dist.1981). In Scott, plaintiff timely filed
    a complaint on August 31, 1979, alleging medical malpractice, but plaintiff did not
    immediately request service upon defendant. Thereafter, on June 25, 1980, plaintiff
    requested that the clerk serve defendant. The clerk forwarded the case to the trial judge
    who requested that plaintiff provide a written explanation for the delay in requesting
    service. Plaintiff submitted a letter of explanation on July 16, 1980, but service upon
    defendant was not made until September 12, 1980. The trial court subsequently granted
    defendant's motion to dismiss. The court of appeals reversed the trial court holding that
    "a cause of action will not be barred by failure to obtain service within the prescribed time
    when such failure is caused by unreasonable delay attributable to the clerk of courts or the
    court itself." Id. at 334-35.
    {¶ 51} In Thomas v. Corrigan, 
    135 Ohio App.3d 340
     (11th Dist.1999), the court of
    appeals cited Robinson and Scott in excusing plaintiff's failure to obtain service upon
    defendant within one year. In that case, the court found that plaintiff's "ability to serve
    appellee within a year was defeated by the trial court's erroneous dismissal of the case."
    Id. at 346. The court of appeals ordered the case reinstated to the trial court's docket to
    allow appellant the opportunity to obtain proper service on appellee. Id.
    {¶ 52} The foregoing case law establishes that the one-year time requirement of
    Civ.R. 3(A) may be enlarged where the failure of service is the result of circumstances
    outside plaintiff's control. In this case, appellant claims that the dilatory discovery tactics
    of appellees unfairly prejudiced his ability to obtain service upon Baugus. Appellees
    respond that Baugus' identity was known to appellant as early as October 25, 2010, when
    appellees filed their initial disclosure of witnesses.
    {¶ 53} Loc.R. 43 of the Franklin County Court of Common Pleas governs the
    disclosure of lay and expert witnesses in relevant part as follows:
    43.01. (04-26-00) Initial Joint Disclosure of All
    Witnesses
    No. 14AP-272                                                                             19
    Each party shall, not later than the date for disclosure
    designated in the Case Schedule, serve on all parties and file
    with the court a written disclosure of all persons with
    relevant factual or expert knowledge whom the party
    reserves the option to call as witnesses at trial.
    43.02. (04-26-00) Supplemental Joint Disclosure of
    All Witnesses
    Each party shall, no later than the date for disclosure
    designated in the Case Schedule, serve on all parties and file
    with the court a written disclosure of all persons whose
    factual or expert knowledge did not appear relevant until the
    witnesses were initially disclosed, whom the party reserves
    the option to call as witnesses at trial.
    43.03. Scope of Disclosure
    Disclosure of witnesses under this rule shall include the
    following information:
    (a) All witnesses. Name, addresses, and business phone
    number (or home phone number, if no business number is
    available).
    (b) Lay witnesses. A brief description of witness' relevant
    knowledge.
    ***
    43.04. Exclusion of Testimony
    Any witnesses not disclosed in compliance with this rule may
    not be called to testify at trial, unless the Trial Judge orders
    otherwise for good cause and subject to such conditions as
    justice requires.
    (Emphasis added.)
    {¶ 54} Appellees' initial disclosure of witnesses, filed on October 25, 2010, did not
    comply with Loc.R. 43.01 or 43.03 of the Franklin County Court of Common Pleas
    inasmuch as appellees did not provide an address and phone number for Baugus nor did
    they include a brief description of her relevant knowledge. Had appellees complied with
    the local rule, the initial disclosure would have provided appellant with the information he
    No. 14AP-272                                                                              20
    needed to obtain service upon Baugus. There is no question that the necessary facts were
    known to appellee, Woodlands, inasmuch as Baugus has been in their employ at all times
    relevant hereto.
    {¶ 55} Appellant sought discovery from appellees in order to obtain the necessary
    information regarding the identity of Jane Doe I, and was subsequently forced to seek
    trial court intervention in the form of a motion to compel discovery when appellees failed
    to respond to appellant's discovery requests. Additionally, in their supplemental
    disclosure of witnesses, appellees briefly describe Baugus' relevant knowledge but did not
    disclose her employment status nor did they provide an address and phone number as
    required by Loc.R. 43.02 and 43.03.
    {¶ 56} In short, the record establishes that appellees never disclosed Baugus'
    address or phone number as required by the relevant local rule and that appellees did not
    respond to appellant's interrogatories until April 8, 2011, the day after appellant filed his
    motion to amend the complaint. Had appellees complied with their obligations under the
    applicable rules, appellant would have identified Baugus as Jane Doe I, and obtained a
    valid service address well before the one-year period expired. In our view, appellees'
    dilatory tactics unfairly prevented appellant from discovering the identity of a previously
    unidentified defendant and that, under the circumstances, enlargement of the one-year
    time requirement of Civ.R. 3(A) is justified.
    {¶ 57} However, even though the circumstances of this case justify an enlargement
    of the one-year time requirement of Civ.R. 3(A), we find that appellant has not complied
    with the mandatory requirements of Civ.R. 15(D) in obtaining service upon Baugus.
    Civ.R. 15(D), governing amendments where the name of a party is unknown, provides as
    follows:
    When the plaintiff does not know the name of a defendant,
    that defendant may be designated in a pleading or
    proceeding by any name and description. When the name is
    discovered, the pleading or proceeding must be amended
    accordingly. The plaintiff, in such case, must aver in the
    complaint the fact that he could not discover the name. The
    summons must contain the words "name unknown," and a
    copy thereof must be served personally upon the defendant.
    No. 14AP-272                                                                                             21
    {¶ 58} In Amerine v. Haughton Elevator Co., Div. of Reliance Elec. Co., 
    42 Ohio St.3d 57
     (1989), the Supreme Court of Ohio held that strict compliance with Civ.R. 15(D)
    is required if an amended complaint is to relate back to the original for purposes of Civ.R.
    3(A) and 15(C). Id. at 58. The Supreme Court of Ohio stated unequivocally that:
    Civ.R. 15(D) specifically requires that the summons must be
    served personally upon the defendant. In this case, service
    was performed by way of certified mail which is clearly not in
    accordance with the requirement of Civ.R. 15(D). Civ.R.
    15(D) also requires that the summons must contain the
    words "name unknown."
    (Emphasis sic.) Id.
    {¶ 59} The record reveals that, on June 24, 2011, appellant instructed the clerk to
    serve the "summons and amended complaint" by certified mail upon "Laura Baugus c/o
    Woodland Independent and Assisted Living Community." Based upon appellant's
    instructions, the summons issued June 30, 2011 did not contain the words "name
    unknown" and service of a copy of the complaint was not made personally upon Baugus. 7
    Under Amerine, appellant's failure to comply with the specific requirements of Civ.R.
    15(D) resulted in the failure of service upon Baugus. See also Brady v. Bucyrus Police
    Dept., 
    194 Ohio App.3d 574
    , 
    2011-Ohio-2460
    , ¶ 24 (3d Dist.) (Wrongful death action
    against city and previously unknown police officer was not commenced as to the officer
    where the plaintiff served the summons and complaint by certified mail without the
    phrase "name unknown").
    {¶ 60} Finally, to the extent that appellant claims that Baugus voluntarily
    submitted to the court's jurisdiction by making an appearance for the purpose of asserting
    the defense of insufficiency of service, Civ.R. 12(B)(5) specifically provides that such a
    defense may be asserted in a pre-answer motion.
    E. Conclusion
    {¶ 61} Having overruled appellees' cross-assignment of error and appellant's
    second and third assignments of error, but having sustained appellant's first assignment
    7 We note that the record does not contain a return receipt indicating completed certified mail service upon
    Baugus at the address provided by appellant.
    No. 14AP-272                                                                             22
    of error, we reverse in part the judgment of the Franklin County Court of Common Pleas
    and remand the case for further proceedings consistent with the law and this decision.
    Judgment affirmed in part, overruled in part;
    case remanded for further proceedings.
    TYACK, J., concurs.
    SADLER, P.J., concurs separately.
    SADLER, P.J., concurring separately.
    {¶ 62} In addition to agreeing with the majority's decision reversing in part and
    affirming in part the trial court's decision, I agree with the majority's disposition of
    appellant's three assignments of error and appellees' cross-assignment of error. However,
    because I believe the majority's decision includes analysis and discussion beyond what is
    necessary to determine appellant's third assignment of error, I concur separately. As set
    forth by the majority, appellant's third assignment of error must be overruled because of
    the failure to satisfy the mandatory requirements of Civ.R. 15(D). Thus, in my view, there
    is no need to determine whether or not the circumstances herein justify an enlargement of
    the one-year time requirement set forth in Civ.R. 3(A).       Therefore, I concur in the
    majority's disposition of the third assignment of error to the extent that I agree with the
    majority's analysis of Civ.R. 15(D).
    {¶ 63} Accordingly, I concur separately.
    _________________