Steven A. Edwards v. Nancy Allen ( 2005 )


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  •                  IN THE COURT OF APPEALS OF TENNESSEE
    AT NASHVILLE
    September 15, 2005 Session
    STEVEN A. EDWARDS, ET AL. v. NANCY ALLEN, ET AL.
    Appeal from the Chancery Court for Rutherford County
    No. 03-6806CV Robert E. Corlew, III, Chancellor
    No. M2004-01944-COA-R3-CV - Filed November 28, 2005
    Plaintiffs appeal the action of the trial court in granting Defendants’ Tennessee Rule of Civil
    Procedure 12.02(6) Motions to Dismiss their challenge to a November 9, 1992, amendment to the
    Rutherford County Zoning Resolution. The trial court determined that the 10-year statute of
    limitations provided by Tennessee Code Annotated section 28-3-110 barred the action and that the
    discovery rule did not apply. We hold that on the record before the Court, the November 9, 1992,
    purported amendment is void ab initio. The judgment of the trial court is reversed, and the cause
    is remanded for further proceedings.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Chancery Court Reversed
    WILLIAM B. CAIN , J., delivered the opinion of the court, in which WILLIAM C. KOCH , JR., P.J., M.S.,
    and PATRICIA J. COTTRELL, J., joined.
    Frank M. Fly, Kerry Knox, Murfreesboro, Tennessee, for the appellants, Steven A. Edwards, Sally
    Edwards, Fran Lovell, Tonia Nadeau, and Joanne M. Batey.
    D. Randall Mantooth, Mark W. Honeycutt, II, Nashville, Tennessee, for the appellee, Nancy Allen,
    Rutherford County Executive.
    John I. Harris, III, Nashville, Tennessee, for the appellee, Alan Loveless.
    G. Sumner R. Bouldin, Jr., Murfreesboro, Tennessee, for the appellees, Tommy G. Jackson and
    Susanne Jackson.
    OPINION
    Defendants Tommy G. Jackson and wife Susanne Jackson were owners of a 108.1-acre tract
    of land located at 8890 Big Springs Road, Rutherford County, Tennessee. Prior to November of
    1992, this land was zoned “residential 20" under the Rutherford County Zoning Resolution. On
    October 2, 1992, Mr. Jackson submitted a Rutherford County Land Use Application Form to the
    Rutherford County Regional Planning Commission requesting that he be allowed to use 10 acres of
    his 108.1-acre tract for “at present one skeet field and one trap field, in future possibly more skeet
    fields and trap fields.” The Planning Commission on October 10, 1992, published a Notice of Public
    Hearing in the Daily News Journal, a newspaper of general circulation in Rutherford County. This
    Notice asserted that the County Commission would hold a public hearing on Monday, November
    9, 1992, at 7:30 p.m. in the Circuit Court Room of the Rutherford County Courthouse to obtain
    public comment on pending matters which included:
    3) a request submitted by Tommy Jackson to reclassify a ten acre parcel from R-20
    to Service 7997 to allow a skeet and trap field. The parcel is located on Big Springs
    Road as referenced by Tax Map 173, Parcel No. 16.02, as recorded in deed book 243,
    page 170 in the Rutherford County Register of Deed’s office.
    Joe Black Hayes, Chairman RUTHERFORD COUNTY REGIONAL PLANNING
    COMMISSION.
    To be run: October 10, 1992.
    The Rutherford County Planning Commission held its regular meeting on October 19, 1992,
    and the minutes of that meeting provide:
    VI. C. TOMMY JACKSON A-286
    Location: Big Springs Road, Tax Map 173, Parcel Number 16.02. Mr. Jackson
    requested reclassification of a 10 acre parcel from Residential 20 to Service 7997 to
    allow skeet and trap fields.
    Mr. Jackson stated that the skeet and trap fields will be a private club. He said that
    their (sic) will be no alcoholic beverages on the property. He stated that up to five
    members would be shooting at one time and the rest would wait at the clubhouse.
    The operating hours would be from 10 a.m. to 7 p.m. on Monday through Saturday
    and from 12:30 p.m. to 7 p.m. on Sundays. They plan to have no lighting.
    Chairman Hayes opened the floor to public hearing. Mary Hawthorn stated that she
    live[s] on adjoining property and is concerned with the gun shots spooking their
    ponies. Bill Gum stated that he owns adjoining property with cattle on his property
    and is opposed to the request due to the potential of cattle being shot. Grady Jones
    stated noise from a four-wheeler or chainsaw would be greater than the shotguns
    fired on the property. Ed Barrett stated that a shot gun is much safer than a riffle (sic)
    and would not carry 300 yards. Douglas Hawthorn expressed concern of noise and
    number of people on the property.
    Following further discussion, Mr. Phillips made a motion, seconded by Dr. Fullerton
    to approve Mr. Jackson’s request with no lighting or alcoholic beverages allowed,
    -2-
    and on shooting after 7 p.m. The motion carried unanimously be (sic) roll call vote
    (11 for).
    The agenda of the Rutherford County Commission meeting for November 9, 1992, contained
    an entry disclosing:
    10)            PLANNING AND ZONING COMMISSION
    Norris Colvert, Director
    a) RE: PUBLIC HEARING - TOMMY JACKSON REZONING REQUEST
    MEMO TO: Board of Commissioners
    FROM:     Planning Department
    DATE:     November 9, 1992
    Furnished for your information and study are copies of documents
    scheduled to appear on the Board of Commissioners agenda
    November 9, 1992
    TOMMY JACKSON                A-286
    LOCATION: Big Springs Road TAX MAP: 173 PARCEL: 16.02
    COMMISSIONER: Bob Woods              SIZE OF SITE: 10 acres
    EXISTING ZONING: Residential 20
    EXISTING USE: Vacant
    ZONING REQUEST: Service 7997 (skeet and trap fields)
    PLANNING COMMISSION: October 19, 1992 – Recommends
    approval with conditions being no lighting, alcoholic beverages, or
    shooting after 7 p.m. The motion carried unanimously by roll call
    vote (11 for).
    The record contains no evidence of the actual proceedings before the Rutherford County
    Commission on November 9, 1992, other than the official minutes of such meeting which contain
    the following:
    A RESOLUTION TO AMEND
    THE RUTHERFORD COUNTY ZONING MAP,
    ADOPTED APRIL 9, 1962
    WHEREAS, the Rutherford County Regional Planning Commission in
    regular session October 19, 1992 completed a detailed analysis of property referenced
    by Zoning Map No. 173, Parcel No. 16.02, located in the 24th Civil District on Big
    Springs Road; and
    -3-
    WHEREAS, due notice was published and a hearing held in accordance with
    Tennessee Code Annotated 13-7-105 and Article IV of the Rutherford County
    Zoning Resolution; and
    WHEREAS, it had been determined that the proposed reclassification of the
    above referenced property will not adversely affect the health, safety, or general
    welfare of the citizens of Rutherford County; and
    WHEREAS, the Rutherford County Regional Planning Commission
    recommends that the subject property be reclassified from Residential 20 to Service
    7997 to allow a skeet field by a vote of 11 for.
    NOW THEREFORE BE IT RESOLVED by the Rutherford County Board of
    Commissioners that:
    The Zoning Map of Rutherford County be amended by reclassifying from
    Residential 20 to Service 7997 as referenced by Tax Map 173, Parcel Number 16.02,
    and starting from a pin in Beginning at a pin in Big Springs Road S 1° 34' 40" E
    795.8' to a pin S 15° 13' 20" W 342.8' to a pin by a 18" Hickory S 23° 4' 31" W 321.4'
    to a pin S 6° 15' W 537.2' to a pin S 84° 7' E 1071.4' to a pin S 82° 49' E 126.15' to
    a pin N 11° 40' 72" W 2139.72' to a pin N 87° 7' W 207.45' to a pin N 86° 5' W
    849.9' to a pin which is the beginning N 86° 43' W 845.65' containing 90 acres more
    or less and hereby established upon Zoning Map 173 on file as reclassification
    request A-286 at the Rutherford County Planning Department. The reclassification
    is approved with the following conditions: no artificial lighting, alcoholic beverages,
    or shooting after 7 p.m.
    November 9, 1992
    --------------------------------------------------------------------
    Chairman John B. Mankin recessed the Rutherford County Board of
    Commission Meeting to hold a Public Hearing on the Tommy Jackson rezoning
    request.
    Chairman John B. Mankin requested that all those desiring to speak for or
    against the issue to please stand, state their name and give a brief statement as to
    whether they are for or against the issue and why.
    Tommy Jackson spoke for his request briefly. Ed Barrett also spoke in favor
    or (sic) the request.
    No one spoke against the issue.
    -4-
    Chairman John B. Mankin closed the Public Hearing and called the
    Rutherford County Board of Commission Meeting back in session.1
    Thus, we see that everything from the original Application to Rezone through the Notice of
    Public Hearing through the proceedings before the Planning Commission of October 19, 1992, and
    up until the Final Resolution of the Rutherford County Commission of November 9, 1992, concerns
    only a 10-acre tract. The first time there is any mention of a 90-acre tract is in the actual rezoning
    resolution adopted by the Rutherford County Commission following the public hearing on November
    9, 1992.
    From November 9, 1992, until some time in 1999, all went well among the neighbors as Mr.
    Jackson limited his skeet range operation to the 10 acres of property for which he originally
    requested the zoning reclassification. Some time in 1999 Mr. Jackson allowed the defendant Alan
    Loveless d/b/a Big Springs Clay Target Sports to begin operation on the property, and he expanded
    the shooting range to cover approximately 60 acres of the Jackson tract.
    On June 13, 2003, the present action was filed seeking declaratory judgment that the
    Rutherford County Commission’s November 9, 1992, Resolution:
    (1) Violates the express terms of the Rutherford County Zoning
    Resolution and is therefore unlawful, invalid and of no effect
    whatsoever;
    (2) Constitutes “illegal spot zoning” because it was clearly arbitrary
    and capricious, having no relation to the public health, safety and
    welfare of the citizens of Rutherford County and because it arbitrarily
    favored individual landowners to the detriment of the surrounding
    landowners, and is therefore unlawful, invalid and of no effect
    whatsoever;
    (3) Violated Tennessee Code Annotated § 13-7-105 because the
    Rutherford County Commission provided a description of the
    property to be rezoned in its notice of hearing that was substantially,
    materially and misleadingly different from the description of the
    property actually rezoned in the November 9, 1992 Resolution so as
    to render the Resolution unlawful, invalid and of no effect
    whatsoever;
    1
    The Rutherford County Commission meeting minutes of November 9, 1992, as they appear in the record in
    this case do not disclose what action was taken on the resolution, and we are left to assume from all circumstances that
    the resolution must have received an affirmative vote of the Commission.
    -5-
    (4) Violated Plaintiffs’ procedural due process rights under the 5th
    and 14th Amendments of the Constitution of the United States
    because the Rutherford County Commission provided a description
    of the property to be rezoned in its notice of hearing that was
    substantially, materially and misleadingly different from the
    description of the property actually rezoned in the November 9, 1992
    Resolution so as to render the notice misleading and defective, and
    thus unlawful, invalid and of no effect whatsoever; and
    (5) Violated Plaintiffs’ procedural due process rights under Article I,
    Section 8 of the Constitution of the State of Tennessee because the
    Rutherford County Commission provided a description of the
    property to be rezoned in its notice of hearing that was substantially,
    materially and misleadingly different from the description of the
    property actually rezoned in the November 9, 1992 Resolution so as
    to render the notice misleading and defective, and thus unlawful,
    invalid and of no effect whatsoever.
    Each defendant filed a Tennessee Rule of Civil Procedure 12.02 Motion to Dismiss for
    Failure to State a Claim upon which Relief can be Granted. These Motions asserted that the
    Complaint showed on its face that the 60-day statute of limitations provided by Tennessee Code
    Annotated section 27-9-102 together with the 1-year statute of limitations provided by Tennessee
    Code Annotated section 28-3-104 and the 10-year statute of limitations provided by Tennessee Code
    Annotated section 28-3-110 had all expired before suit was filed.
    The trial court determined that the 10-year statute of limitations provided by Tennessee Code
    Annotated section 28-3-110 barred the cause of action and that the discovery rule did not apply.
    Plaintiffs filed a timely appeal.
    A procedural problem must be resolved at the outset. The case is before this Court on appeal
    from the grant of the trial court of Tennessee Rule of Civil Procedure 12.02(6) Motions to Dismiss.
    These Motions are based entirely on the alleged expiration of the statute of limitations with the trial
    court applying a 10-year statute. The parties and the trial court have addressed the statute of
    limitations question without first resolving the validity of the November 9, 1992, Amendment to the
    Zoning Resolution. The question of a statute of limitations cannot be resolved without first
    addressing the validity of the ordinance as these issues are inextricably interwoven. If the
    amendment to the ordinance is void ab initio, there is no applicable statute of limitations. So it is
    that before this Court can resolve the statute of limitations issues raised by the Tennessee Rule of
    Civil Procedure 12.02(6) Motions, it must first determine the validity of the November 9, 1992,
    Resolution on the record that is before the Court. The determination that follows is within the
    context of a Tennessee Rule of Civil Procedure 12.02(6) Motion and without prejudice to the rights
    of any party to further develop the record after remand.
    -6-
    Based on the record that is before this Court, the resolution of November 9, 1992, is void ab
    initio.
    Tennessee Code Annotated section 13-7-105 provides in pertinent part:
    13-7-105. Amendments of zoning ordinance provisions — Procedure. — (a)
    The county legislative body may, from time to time, amend the number, shape,
    boundary, area or any regulation of or within any district or districts or any other
    provision of any zoning ordinance; but any such amendment shall not be made or
    become effective unless the same be first submitted for approval, disapproval or
    suggestions to the regional planning commission of the region in which the territory
    covered by the ordinance is located, and, if such regional planning commission
    disapproves within thirty (30) days after such submission, such amendment shall
    require the favorable vote of a majority of the entire membership of the county
    legislative body.
    (b)(1) Except as provided in subdivision (b)(2), before finally adopting any such
    amendment, the county legislative body shall hold a public hearing thereon, at least
    fifteen (15) days’ notice of the time and place of which shall be given by at least one
    (1) publication in a newspaper of general circulation in the county. A complete
    summary of such amendment shall be published at least once in the official
    newspaper of the county or in a newspaper of general circulation in the county. The
    summary shall include a statement that a complete copy of the amendment is
    available and where such copy may be obtained. If the zoning ordinance rezones
    property, a description of the property that is rezoned shall be included in the
    summary.
    Tenn.Code Ann. § 13-7-105(a) and (b)(1).
    No amendment to the zoning ordinance purporting to rezone 90 acres of the Jackson property
    was ever submitted to the Rutherford County Regional Planning Commission, and no
    recommendation of such rezoning was ever made by the Rutherford County Planning Commission.
    The only recommendation from the Planning Commission prior to the November 9, 1992,
    Resolution of the Rutherford County Commission was a recommendation following the October 19,
    1992, meeting of the Planning Commission which recommended the rezoning of the 10 acres
    requested by Jackson. The Notice of Public Hearing published in the Daily News Journal on
    October 10, 1992, gave notice of a public hearing scheduled November 9, 1992, on Jackson’s
    application to reclassify a 10-acre parcel of land. Following the public hearing of November 9, 1992,
    the Rutherford County Commission purported by resolution to rezone, not the 10 acres that was the
    subject of the public hearing, but a 90-acre tract described by metes and bounds.
    Such a zoning resolution is void ab initio under essentially undisputed authority.
    -7-
    The Supreme Court of Rhode Island addressed such a case in DeLucia v. Town of Jamestown,
    
    265 A.2d 636
     (R.I.1970). Notice of a public hearing relative to a proposed zoning amendment had
    been properly published which provided among other things that Plaintiff’s residential district would
    require a minimum lot size of 40,000 square feet. The public hearing was timely held at which
    property owners affected expressed their objections and their approval or disapproval of the
    amendment. More than 30 days after the public hearing the town council adopted the amendment
    to the zoning ordinance, but the amendment as adopted differed significantly from the amendment
    that was disclosed in the Notice of Hearing and in the public hearing. The amendment, as adopted,
    required among other things in the Plaintiff’s district a minimum lot size of 80,000 square feet. In
    holding the amendment to the zoning ordinance to be void as beyond the jurisdiction of the town
    council, the Supreme Court of Rhode Island stated:
    Consequently, if as a result of the hearing held pursuant to such notice, the
    local legislature determines that the amendment as proposed should be substantially
    altered, acquisition of jurisdiction to adopt a substantially altered amendment
    requires that public notice thereof be given and a public hearing held thereon.
    Clearly, the purpose of holding a public hearing and giving notice thereof is
    designed to bring possibly desirable changes to the attention of the town council
    before enactment. If, notwithstanding objections to the map and ordinance as
    proposed or suggestions of substantial alterations thereto made at the hearing, the
    local legislative body finds the map and ordinance as proposed conform to a
    comprehensive plan, its adoption of them is a valid exercise of its delegated police
    power. Interested persons having notice of what the local legislature purports to do
    might well fail to attend the public hearing, being satisfied with that which is
    proposed.
    On the other hand, if the local legislature is free to make substantial
    alterations in either the proposed map or ordinance without again giving notice and
    conducting a public hearing, the holding of such hearing becomes meaningless.
    Having heretofore held in Rhode Island Home Builders, Inc., supra, that such public
    notice and hearing are conditions precedent to the local legislature’s jurisdiction to
    take final action, we conclude that the alterations to the proposed map and ordinance
    in the instant case, if substantial, were made in excess of the Jamestown Town
    council’s jurisdiction.
    ...
    It is our holding, therefore, that the action of the Jamestown Town Council
    on January 9, 1967, purporting to adopt amendments to the map and ordinance
    proposed for consideration at the public hearing of December 5, 1966, was ultra vires
    of the town council’s jurisdiction. Judgment affirmed.
    -8-
    DeLucia, 265 A.2d at 639-40.
    Addressing the same question as to deviation between the notice of public hearing and the
    zoning amendment ultimately adopted, the United States Court of Appeals for the District of
    Columbia, reversing the trial court, held such variation fatal to the validity of a zoning amendment.
    The facts before the court involved a proposed zoning change with a required public hearing thereon
    set for May 27, 1957, after proper advertisement. The notice provided that interested persons could
    examine the proposed amendment and the zoning maps made a part thereof by visiting the Office
    of the Zoning Commission. The plaintiffs in the case visited this office, and on review of the
    proposed amendment and the maps determined that the area in question was to be classified under
    the proposed amendment as in R-1-B category which would permit only detached single family
    dwellings on lots 50 feet wide and containing at least 5,000 square feet. Further requirements were
    that the dwelling occupy no more than 40 percent of the lot area and have two side yards at least 8
    feet in width. At the public hearing Plaintiffs appeared and expressed general support for the
    proposed zoning plan. Almost a year later, without further public hearing, the zoning commission
    passed the zoning amendment, but the area involving Plaintiffs’ property was downgraded from R-1-
    B classification to an R-3 classification. This category would permit the erection of row houses
    occupying 60 percent of the lot area on lots 20 feet wide containing at least 2,000 square feet. No
    notice of this change from the proposed amendment was given, and no public hearing on the change
    was held prior to its adoption. Reversing the trial court, the District of Columbia Court of Appeals
    held:
    We think it unquestionable that the notice and public hearing required by
    Section 5-415 of the Code were not given with respect to the R-3 zoning adopted for
    the area in question. The notice, by means of the map incorporated therein, made a
    specific proposal to classify the area as R-1-B for zoning purposes. Thus in terms it
    gave notice of that proposal only. To be sure, there was a general admonition in the
    notice that the zoning of all lots and parcels in the District would be affected and
    changed. But the proposal for R-1-B zoning in the notice did represent a change in
    zoning in the area. The general notice of change can hardly be construed as notice
    to the public that the zoning of the particular area involved would be changed in any
    other way than that specifically proposed.
    The statute states that before an amendment is put into effect, a public hearing
    shall be held thereon. That was not done with respect to the amendment adopted for
    the area involved. The only hearing held related to the proposed amendment which
    was finally rejected by the Zoning Commission. Before another proposal could be
    adopted, a notice and hearing relating to it were required under the plain terms of the
    statute. Cf. McClatchy Broadcasting Co. v. Federal Communications Commission,
    1956, 99 U.S.App.D.C. 199, 
    239 F.2d 19
    , certiorari denied, Sacramento Telecasters,
    Inc., v. McClatchy Broadcasting Co., 1957, 
    353 U.S. 918
    , 
    77 S. Ct. 662
    , 
    1 L. Ed. 2d 665
    .
    -9-
    The hearing on the rejected amendment cannot be treated as an acceptable
    substitute for the required hearing, since the amendment purportedly put into effect
    on May 12, 1958, represented a major and substantial change from the proposed
    amendment. It lowered the zoning standard for the area, whereas the proposal had
    been for a somewhat higher standard than that then existing. The proposal was so
    fundamentally changed that a public hearing was required before an amendment
    embodying the change could validly be adopted. This is the uniform holding under
    comparable statutes. See, e.g., Fish v. Town of Canton, 1948, 
    322 Mass. 219
    , 
    77 N.E.2d 231
    ; Village of Sands Point v. Sands Point Country Day School, 1955, 
    2 Misc. 2d 885
    , 
    148 N.Y.S.2d 312
    , 316, affirmed, 1956, 
    2 A.D.2d 769
    , 
    154 N.Y.S.2d 428
    ; cf. State ex rel. Kling v. Nielsen, 1957, 
    103 Ohio App. 60
    , 
    144 N.E.2d 278
    .
    Here, of course, the possibility of an R-3 classification was not alluded to at the
    hearing and the appellants had no opportunity to express their objections and views
    as to it. They were not required to anticipate the possibility of changes from the
    proposed amendment – changes of which not even a hint had been given. Cf.
    Callanan Road Improvement Co. v. Town of Newburgh, 1957, 
    6 Misc. 2d 1071
    , 
    167 N.Y.S.2d 780
    , affirmed, 1958, 
    5 A.D.2d 1003
    , 
    173 N.Y.S.2d 780
    .
    Castle v. McLaughlin, 
    270 F.2d 448
    , 451-52 (D.C.Cir.1959) (footnotes omitted).
    What ever may be the parameters of notice in any other context, the rule in a great majority
    of jurisdictions appears to be that the notice provisions relative to the enactment of and the
    amendment of zoning ordinances is jurisdictional. The Supreme Court of Arizona in Hart v. Bayless
    Inv. & Trading Co., 
    346 P.2d 1101
     (Ariz.1959) addressed this issue. The original zoning ordinance
    for Maricopa County had been enacted in 1949 and the issue before the Court was the validity of a
    January 25, 1951, amendment to the zoning ordinance and the validity of a June 2, 1952, amendment
    thereto. The case has certain parallels to the case at bar.
    In their answer to the amended complaint the defendants, in addition to
    asserting the legality of the ordinances, raised certain affirmative defenses which
    challenged the standing of this particular plaintiff to attack the ordinances in
    question. The allegations were that, even if the ordinances were defective, the
    plaintiff was barred from contesting their validity because of laches, estoppel, waiver,
    and lack of equity. However, after setting out these defenses, the defendants also
    presented a counterclaim asking for a judical [sic] determination of the question
    whether the ordinances were valid and enforceable. This counterclaim for
    declaratory relief squarely presented the issue of the validity of the ordinances in
    question.
    Hart, 346 P.2d at 1104-05.
    In holding that the 1951 and 1952 amendments to the zoning ordinance were void for failure
    to comply with the notice provisions of the governing statute, the Supreme Court of Arizona held:
    -10-
    The remaining question, then, is whether the failure to comply with the notice and
    hearing conditions of the Zoning Act left the Commission and Board without
    jurisdiction to adopt either or both of the ordinances in question.
    We have not previously been presented with this precise question; however,
    this Court has shown a predilection in analogous cases to demand strict compliance
    with statutory requirements concerning the zoning aspect of the police power. In
    Kubby v. Hammond, 
    68 Ariz. 17
    , 22, 
    198 P.2d 134
    , 138, we said:
    “Zoning ordinances, being in derogation of common law
    property rights, will be strictly construed and any ambiguity or
    uncertainty decided in favor of property owners.”
    That case dealt with the construction of an ordinance, rather than with the question
    of its validity. However, we feel that the principle stated therein is applicable in this
    case.
    In Wood v. Town of Avondale, 
    72 Ariz. 217
    , 219, 
    232 P.2d 963
    , 964, we said:
    “Property owners are entitled to notice before the passage of
    a zoning ordinance which would limit the use of their property.
    Berratta v. Sales, 
    82 Cal. App. 324
    , 255 P.538; Makrauer v. Board of
    Adjustment of City of Tulsa, 
    200 Okla. 285
    , 
    193 P.2d 291
    . * * *.”
    The Wood case was quoted with approval in 3 Metzenbaum, Law of Zoning 1893,
    wherein it is written, at page 1889:
    “Since the enactment of zoning regulations finds its authority
    through the police power, and since the police power must come by
    way of delegation from the state * * * it is axiomatic that, in the
    passage of zoning ordinances, the municipalities and other political
    subdivision must scrupulously comply with the state statutes which
    delegate that power.”
    In other jurisdictions, courts which have been confronted with this issue have
    found, almost without exception, that compliance with statutory requirements as to
    hearing and notice is jurisdictional and that ordinances which have not been adopted
    in conformity with the enabling Act are void. Hurst v. City of Burlingame, 
    207 Cal. 134
    , 
    277 P. 308
    ; Kelly v. City of Philadelphia, 
    382 Pa. 459
    , 
    115 A.2d 238
    ; Rhode
    Island Home Builders v. Budlong Rose Co., 
    77 R.I. 147
    , 
    74 A.2d 237
    ; Treat v. Town
    Plan & Zoning Commission, 
    145 Conn. 136
    , 
    139 A.2d 601
    ; Gendron v. Borough of
    Naugatuck, supra.
    ...
    In the Rhode Island Home Builders case, supra, the Supreme Court
    held:
    -11-
    “* * * The provisions relating to first advertising the notice of public
    hearing on a proposed amendment are in form and substance
    mandatory conditions precedent to the proper exercise of the power
    thus delegated to the council. A failure to conform thereto is not to
    be treated as a mere irregularity in the service of a personal notice
    which may be waived. In our judgment such provision is not
    directory or intended to notify only remonstrants who may actually
    appear at the hearing, but contemplates other possible remonstrants
    and is a condition precedent to the jurisdiction or power of the
    council to make any valid enactment in that regard.” 
    74 A.2d 239
    .
    ...
    Although we recognize that laches may, under some circumstances, bar an
    individual complainant from asserting the invalidity of an ordinance, we cannot agree
    that mere passage of time will suffice to instill life into an enactment which was void
    at its inception. We hold that both the 1951 and the 1952 ordinances are void and of
    no effect.
    Hart, 346 P.2d at 1109-10.
    In holding a zoning ordinance void ab initio because of inadequate notice, the Supreme Court
    of Virginia held:
    We have previously stated that, as a whole, Virginia’s zoning statutes are designed
    to prevent zoning changes from being made “suddenly, arbitrarily, or capriciously.”
    Bd. of Supervisors of Fairfax County v. Snell Construction Corp., 
    214 Va. 655
    , 658
    
    202 S.E.2d 889
    , 892 (1974).
    The history of Code § 15.2-2204(A) adds further illumination. Prior to 1992,
    the statute did not require the notice published by the locality to contain a
    “descriptive summary” or a summary of any kind. In 1992, the General Assembly
    inserted the “descriptive summary” requirement. Acts 1992 ch. 757. This change
    by the General Assembly suggests that it is not enough to provide information that
    will merely direct readers to the physical location of the actual text of the proposed
    amendments. The “descriptive summary” requirement goes beyond referral to the
    primary document.
    ...
    We hold that the notice published by the Board did not contain a sufficiently
    descriptive summary of the proposed amendments to the Spotsylvania County zoning
    ordinances. No citizen could reasonably determine, from the notice, whether he or
    -12-
    she was affected by the proposed amendments except in the most general sense of
    being located in a particular type of zoning district. Nor could a citizen determine
    whether the proposed amendments affected zoning issues that were of interest or
    concern to the citizen. Given the number of issues subsumed under the heading
    “development standards,” using that heading as a descriptive summary fails to inform
    citizens of the universe of possible zoning ordinance amendments in any meaningful
    way. Both the evolution of the statute and the treatment of analogous statutes
    illustrate that such a notice is inadequate under Code § 15.2-2204(A).
    We do not, in this opinion, attempt to dictate the exact language of future
    notices, nor do we seek to establish a bright line rule. However, considering the
    intent and language of the statute, the notice in this case was inadequate. Because the
    notice was inadequate in failing to provide a “descriptive summary,” the Board acted
    outside the powers granted to it. See Code § 15.2-2204; Potomac Greens Assoc., 245
    Va. at 378, 429 S.E.2d at 228. Consequently, the zoning ordinances passed pursuant
    to the notices published on January 23, January 30, and February 6, 2002 and at issue
    in this case are void ab initio.
    Glazebrook v. Bd. of Supervisors of Spotsylvania County, 
    587 S.E.2d 589
    , 592-93 (Va.2003).
    It is not the notice question standing alone that presents a problem in this case. There is a
    striking parallel between the holding of the Court of Appeals of Maryland in von Lusch v. Bd. of
    County Comm’rs of Queen Anne’s County, 
    302 A.2d 4
     (Md.1973) and the holding the Supreme
    Court of Tennessee in Westland West Cmty. Ass’n v. Knox County, 
    948 S.W.2d 281
     (Tenn.1997).
    The governing Maryland zoning statute contained provisions quite similar to Tennessee Code
    Annotated section 13-7-105(a) and (b)(1). The Maryland statute required that proposed amendments
    first go to the planning commission whose recommendations were advisory but not binding on the
    County Commission. The Maryland statute closely parallels the procedure of Tennessee Code
    Annotated section13-7-105 (a) and (b)(1). The amendment in issue in von Lusch involved
    requirements relative to commercial and non-commercial airports.
    In holding the amendment void because of the inadequacy of the notice of public hearing,
    the Court held:
    The text amendment as adopted by the County Commissioners provided for
    separate treatment for commercial airports and private, non-commercial airports but,
    more importantly, provided in Section 17.141 that every existing airport, airfield,
    landing strip, whether commercial or non-commercial as of the date of enactment of
    the ordinance, “shall be deemed a conditional use as of that date,” thus purporting to
    grant a special exception to those existing uses without reference to the Board of
    Appeals and provided that this ordinance would supersede all other regulations for
    those uses. This action of conferring a special exception status on the uses thereby
    -13-
    making them a permitted conforming use not subject to phasing out or other
    restrictions applicable to the originally proposed nonconforming use status is a most
    substantial change in both theory and practical application of the provisions of that
    ordinance to those uses. One might say that it was practically a 180 degree change
    of position. Such a substantial change in provisions must be the subject of another
    notice and hearing as we held in Rasnake.
    von Lusch, 302 A.2d at 9-10.
    The Court likewise held the ordinance to be void because of failure to resubmit the
    amendment to the Planning Commission.
    As we have already pointed out, Art. 66B, § 4.04 requires the local legislative
    body to provide for the manner in which amendments should be made. Pursuant to
    this requirement, inter alia, the County Commissioners provided in Section 21.23 as
    follows:
    “21.23      No change in or departure from the proposed
    amendment as recommended by the Planning Commission shall be
    made unless the same be resubmitted to said Commission for its
    further recommendation. The Planning Commission shall file its
    further recommendation within thirty (30) days, unless additional
    time is granted, after which the County Commissioners shall make
    their decision.”
    As we have already noted, Section 3.00 provides that the word “shall” is
    mandatory and not directory.
    It is apparent that the provisions of Section 21.23 are mandatory and must be
    complied with by the County Commissioners. There is sound reason for this
    mandatory requirement, i.e., that the County Commissioners should have the benefit
    of the expertise of the Planning Commission in the amendatory process. The
    appellees seek to overcome this requirement by suggesting that inasmuch as the
    counsel for the Planning Commission was present at the June 15 hearing and
    indicated that the proposed change was, in his opinion, in accord with the thinking
    of the Planning Commission, no useful purpose would be served by resubmission to
    the Planning Commission. The short answer to this contention is that the ordinance
    provides mandatorily for a return to the Planning Commission, itself, the deliberation
    of that Commission on the proposed change and a further report by that Commission
    to the County Commissioners. There is no provision that counsel for the Planning
    Commission can give that consideration and it is clear to us that he cannot commit
    the Planning Commission to the approval of a change with no re-referral and
    consideration by the Planning Commission. It is quite true that as and when the
    -14-
    proposed change is referred back to the Planning Commission and a further report
    made to the County Commissioners by that Commission, the County Commissioners
    are not bound by that Commission’s recommendations. See Bujno v. Montgomery
    County Council, 
    243 Md. 110
    , 118, 
    220 A.2d 126
    , 130 (1966); Miller v. Abrahams,
    
    239 Md. 263
    , 272, 
    211 A.2d 309
    , 314 (1965); and 1 Anderson, American Law of
    Zoning § 4.32 (1968). This does not mean, however, that the County Commissioners
    may, in effect, accept the opinion of counsel for the Planning Commission for what
    he thinks the Planning Commission will conclude and recommend and ignore the
    mandatory provisions of Section 21.23 of the Zoning Ordinance.
    For these two reasons, we have concluded that the adoption of the text
    amendments by the County Commissioners on June 22, 1971, creating new Sections
    17.14, 17.141 and 17.142 of the Zoning Ordinance was invalid and void.
    von Lusch, 302 A.2d at 10.
    In holding null and void a zoning amendment where the County Commission substantially
    deviated from the recommendations of the Planning Commission, the Tennessee Supreme Court
    held:
    The appellee, Thomas N. Schriver, filed a rezoning application with the
    Knoxville-Knox County Metropolitan Planning Commission (“MPC”). His
    application sought to amend a tract of land’s zoning from Agriculture (“A”) to
    Shopping Center (“SC”). The MPC unanimously denied Schriver’s requested
    change. He then appealed the MPC’s decision to the County Commission.
    During the hearing before the County Commission, the appellee presented a
    zoning proposal that differed from the proposal he originally submitted to the MPC.
    He requested the commission to rezone the property to Planned Commercial (“PC”)
    as opposed to SC. The County Commission approved the revised amendment
    request and rezoned the property as PC.
    The appellants, Westland West Community Association, et al., appealed the
    commission’s zoning decision to the Knox County Chancery Court. They alleged
    that the Commission’s decision was void. They argued that Tenn.Code Ann. § 13-7-
    105(a) mandated that the appellee submit his new proposal to the MPC prior to
    seeking review before the County Commission. The chancery court agreed and held
    that when the appellee changed his request from SC to PC, he was required to by
    statute to resubmit the zoning request to the MPC.
    The Court of Appeals reversed the chancery court’s decision. They found that
    resubmission of the more onerous proposed amendment to MPC would have been
    -15-
    futile due to the MPC’s previous determination that “any commercial zone would be
    contrary to the . . . Sector plan.” Pursuant to Wilgus v. City of Murfreesboro, 
    532 S.W.2d 50
     (Tenn.Ct.App.1975), the court held that resubmission is not mandated
    unless there is “a strong probability that the [regional planning] commission’s
    recommendation would have been affected by the revision.”
    The appellants argue that the Court of Appeals erred in focusing its analysis
    solely on whether the board’s decision would have been the same upon resubmission.
    They maintain that the proper inquiry should focus on the gravity of the revised
    proposal’s changes. Provided the revisions are substantial, Tenn.Code Ann. § 13-7-
    105(a) mandates resubmission. We agree in part.
    A county legislative body is vested the statutory power to amend zoning
    ordinances. Tenn.Code Ann § 13-7-105(a). A proposed zoning amendment,
    however, shall neither be granted nor become effective unless the proposed
    amendment is first submitted to the regional planning commission. Id. The regional
    commission can then either approve, disapprove, or make suggestions. Id. If the
    regional commission rejects the proposed amendment, the amendment may then be
    submitted to the county legislative body for approval. Id.
    ...
    We find the statute’s language clear. A proposed amendment to a zoning
    scheme must first be submitted to the regional planning commission. If a proposed
    zoning amendment is not first presented to the regional planning commission, the
    county commission is devoid of jurisdiction to act upon the proposal.
    Once a proposed amendment has been submitted to the regional planning
    commission, the proposal may be revised. Whether the revised proposal must then
    be resubmitted to the regional planning commission is contingent upon: (1) the
    gravity of the revision(s), and (2) whether the board’s recommendations would have
    been altered by the revision(s). Wilgus v. City of Murfreesboro, 
    532 S.W.2d 50
    , 53-
    54 (Tenn.Ct.App.1975). If the revision is inconsequential and would not have altered
    the board’s recommendation, resubmission is not mandated. If, however, the
    revision(s) substantially alters the initial proposal, the proper inquiry is: (1) whether
    there is a detrimental impact on those who would oppose the proposal; and (2)
    whether the board’s recommendations would have been altered by the revision(s).
    Id.; State v. Board of Comm’rs of Knox County Tenn., 
    806 S.W.2d 181
    , 188
    (Tenn.Ct.App.1990). An affirmative answer to either question mandates
    resubmission.
    In the present case, we are not confronted with a mere revision to a previously
    proposed zoning amendment. Accordingly, we do not revert to the test for
    -16-
    determining whether a revision was substantial. We are confronted with an entirely
    new zoning classification proposal (i.e., a new zoning amendment proposal) which
    had never been before the regional planning commission. We find a clear distinction
    between a newly proposed classification and a previously submitted classification
    that has undergone mere revisions. Tennessee Code Annotated § 13-7-105 mandates
    submission of the new classification without further inquiry.
    Accordingly, we hold that the proposed zoning change to planned commercial
    in the present case must have been presented to the regional planning commission
    before the county commission had jurisdiction to act on the proposal. The county
    commission’s review and approval was, therefore, both null and void.
    Westland West Cmty. Ass’n, 948 S.W.2d at 282-83.
    The Supreme Court has held:
    The power to restrain by local police regulation the property owner’s right to
    pursue plans for buildings and repairs depends upon valid municipal ordinances,
    authorized by an empowering statute; for the police power belongs to the state, and
    passes to municipalities and local governing bodies only when and as conveyed by
    legislative enactment. 
    6 Rawle C
    . L. p. 240, § 229; 
    19 Rawle C
    . L. p. 800, § 108; Farmer v.
    City of Nashville, 
    127 Tenn. 516
    , 156 S.W.189, 45 L. R. A. (N. S.) 240; City of
    Nashville v. Linck, 12 Lea, 499; Long v. Taxing District, 7 Lea, 134, 40 Am. Rep. 55;
    Raleigh v. Dougherty, 
    3 Hum. 11
    , 39 Am. Dec. 149.
    State ex rel. Lightman v. City of Nashville, 
    60 S.W.2d 161
    , 162 (Tenn.1933).
    Once it is determined that Tennessee Code Annotated section 13-7-101 et seq. measures the
    jurisdiction of county government in the implementation of its power to zone, it necessarily follows
    that the failure of the Rutherford County Commission to provide notice of and hold a new public
    hearing after it chose to expand the acreage to be rezoned from 10 acres to 90 acres and the failure
    to resubmit the 90-acre proposal to the Rutherford County Planning Commission renders the
    November 9, 1992, purported amendment to the zoning ordinance ultra vires and void. Brumley v.
    Town of Greeneville, 
    274 S.W.2d 12
     (Tenn.Ct.App.1954); Holdredge v. City of Cleveland, 
    402 S.W.2d 709
     (Tenn.1966); Family Golf of Nashville, Inc. v. Metro. Gov’t of Nashville and Davidson
    County, 
    964 S.W.2d 254
     (Tenn.Ct.App.1997); Haynes v. City of Pigeon Forge, 
    883 S.W.2d 619
    (Tenn.Ct.App.1994).
    It cannot reasonably be said that either of the shortcomings in the zoning amendment at bar
    can be classified as “insubstantial” deviations from the mandates of the statutory scheme in a manner
    that might make applicable. Wilgus v. City of Murfreesboro, 
    532 S.W.2d 50
     (Tenn.Ct.App.1975).
    -17-
    That the notice requirements of the statutory scheme are jurisdictional and universal is
    discussed at length in State ex rel. SCA Chemical Servs., Inc. v. Sanidas, 
    681 S.W.2d 557
    , 564-65
    (Tenn.Ct.App. 1984).
    That the failure to resubmit the amended zoning resolution to the Planning Commission after
    expanding by nine fold the territorial limits of the property originally recommended for rezoning by
    the Planning Commission is fatal to the jurisdiction of the Rutherford County Commission to enact
    the November 9, 1992, amendment is equally clear. Holdredge, 
    402 S.W.2d 709
     (Tenn.1966);
    Family Golf of Nashville, Inc., 
    964 S.W.2d 254
     (Tenn.Ct.App.1997); Westland West Cmty. Ass’n,
    
    948 S.W.2d 281
     (Tenn.1997).
    Defendants interpose in defense various statutes of limitation including the 60-day limitations
    provided by Tennessee Code Annotated section 27-9-102, the 1-year statute of limitations provided
    by Tennessee Code Annotated section 28-3-104 and the 10-year statute of limitations provided
    Tennessee Code Annotated section 28-3-110. The trial court applied the 10-year statute of
    limitations and dismissed the case.
    No statute of limitations is applicable in this case, and the passage of time is meaningless.
    An ordinance that is void ab initio is just as stillborn as is a judgment that is void ab initio.
    The unquestioned line of authority consigning a void judgment to the status of a nullity is
    equally applicable to a void ordinance.
    The Court of Appeals of Kentucky observed:
    There is no doubt that the judgment of May 23, 1931, is void, if, in fact, as
    alleged in the petition, the defendants in that action, who are the plaintiffs in the
    present action and the appellants here, were not served with process and had no legal
    notice of the pendency of the action. It is essential to the proper rendition of a
    judgment in personam that the court have jurisdiction of the parties, and a personal
    judgment without such jurisdiction is void. Ely v. United States Coal & Coke Co.,
    
    243 Ky. 725
    , 
    49 S.W.2d 1021
    ; McDonald v. Mabee, 
    243 U.S. 90
    , 
    37 S. Ct. 343
    , 
    61 L. Ed. 608
    , L.R.A. 1917F, 458; Restatement of the Law of Judgments, §§ 6, 8, and
    117; 1 Freeman on Judgments, §§ 226, 228, and 339. Ordinarily limitations must be
    pleaded and may not be raised by demurrer, but, as stated by appellees in their brief,
    there is an exception to the rule where the action is one for relief from fraud brought
    more than five years after the fraud was perpetrated. In such an action the plaintiff
    must allege facts to excuse the delay. Cox v. Simmerman, 
    243 Ky. 474
    , 
    48 S.W.2d 1078
    . KRS 413.130 provides that relief for mistake or fraud must be commenced
    within five years after discovery of the fraud or mistake but not longer than ten years
    after the commission of the act. This statute has no application to a judgment that is
    void because the defendant was not before the court. He must have been a party to
    the suit with an opportunity to know of the fraud or mistake or to discover it after it
    -18-
    was committed. A void judgment is no judgment at all, and no rights are acquired
    by virtue of its entry of record. A court may, in a proper proceeding, vacate it at any
    time. The lapse of time is no bar to such relief. Brown’s Adm’r v. Gabhart, 
    232 Ky. 336
    , 
    23 S.W.2d 551
    ; Johnson v. Carroll, 
    190 Ky. 689
    , 228 S.W.412; Gardner v.
    Lincoln Bank & Trust Co., 
    251 Ky. 109
    , 
    64 S.W.2d 497
    .
    Hill v. Walker, 
    180 S.W.2d 93
    , 95 (Ky.Ct.App.1944).
    Void judgments are the subject of Federal Rule of Civil Procedure 60(b)(4) and its
    counterpart, Tennessee Rule of Civil Procedure 60.02(3). Because the federal rule and the Tennessee
    rule are essentially identical, decisions under federal rule 60 may be considered in construing
    Tennessee rule 60. March v. Levine, 
    115 S.W.3d 892
    , 908 (Tenn.Ct.App.2003).
    An attack on a void judgment was sustained under Federal Rule of Civil Procedure 60(b)(4)
    after a lapse of 30 years in Crosby v. Bradstreet Co., 
    312 F.2d 483
     (2nd Cir.1963) with the court
    holding, “The order was void, and under Rule 60(b)(4) of the Federal Rules of Civil Procedure, the
    parties must be granted relief therefrom.” Crosby, at 485.
    The Court of Appeals of Oregon in construing the Oregon counterpart to Federal Rule of
    Civil Procedure 60(b)(4) discussed at length the rationale behind the rule.
    Plaintiff argues that Mills’s motion to set aside the judgment was not timely.
    We set aside the judgment because there is no timeliness requirement for moving to
    set aside a void judgment. ORCP 71 B(1) provides, in pertinent part:
    “On motion and upon such terms as are just, the court may
    relieve a party or such party’s legal representative from a judgment
    for the following reasons: * * * (d) the judgment is void; * * *. The
    motion shall be made within a reasonable time, and for reasons (a),
    (b), and (c) not more than one year after receipt of notice by the
    moving party of the judgment.”
    Although the rule would seem both to require Mills to have filed this motion within
    a reasonable time after learning of the judgment and to grant the trial court discretion
    in acting on the motion, neither of those requirements can apply to a motion to set
    aside a void judgment.
    In Burt & Gordon v. Stein, 128 Or.App. 350, 
    876 P.2d 338
    , rev. den., 
    320 Or. 270
    , 
    882 P.2d 603
     (1994), we held that it was an abuse of discretion for a trial court
    to refuse to set aside a void judgment. In doing so, we quoted Black’s Law
    Dictionary 1412 (5th ed. 1979), which defined a void judgment as
    “ ‘[o]ne which has no legal force or effect, [the] invalidity of
    which may be asserted by any person whose rights are affected at any
    time and at any place or collaterally. One which, from its inception
    is and forever continues to be absolutely null, without legal efficacy,
    -19-
    ineffectual to bind parties or support a right, of no legal force and
    effect whatever, and incapable of confirmation, ratification, or
    enforcement in any manner or to any degree. One that has merely
    semblance without some essential elements, as want of jurisdiction
    or failure to serve process or have party in court.’ (Citation
    omitted.)”
    128 Or.App. at 354-55, 
    876 P.2d 338
    . Because a void judgment, as the definition
    indicates, is a nullity ab initio, all that a trial court does when it sets it aside is to give
    effect to its prior determination of its nullity. It does not exercise any discretion, and
    there cannot be any time limitations on its action.
    As both the Supreme Court and this court have recognized, the source of
    ORCP 71 is FRCP 60. Both courts have also relied on federal cases in construing
    other portions of the rule. See McCathern v. Toyota Motor Corp., 
    332 Or. 59
    , 
    23 P.3d 320
     (2001); Johnson v. Johnson, 
    302 Or. 382
    , 391-92, 
    730 P.2d 1221
     (1986);
    Jansen v. Atiyeh, 96 Or.App. 54, 59-60, 
    771 P.2d 298
     (1989). A leading treatise
    describes the law under FRCP 60(b)(4), which is essentially identical to ORCP 71
    B(1)(d):
    “Rule 60(b)(4) authorizes relief from void judgments.
    Necessarily a motion under this part of the rule differs markedly from
    motions under the other clauses of Rule 60(b). There is no question
    of discretion on the part of the court when a motion is under Rule
    60(b)(4), nor is there any requirement, as there usually is when
    default judgments are attacked under Rule 60(b), that the moving
    party show that he has a meritorious defense. Either a judgment is
    void or it is valid. Determining which it is may well present a
    difficult question, but when that question is resolved, the court must
    act accordingly.
    “By the same token, there is no time limit on an attack on a
    judgment as void. The one-year limit applicable to some Rule 60(b)
    motions is expressly inapplicable, and even the requirement that the
    motion be made within a ‘reasonable time,’ which seems literally to
    apply to motions under Rule 60(b)(4), cannot be enforced with regard
    to this class of motion. A void judgment cannot acquire validity
    because of laches on the part of the judgment debtor.”
    Charles Alan Wright, Arthur R. Miller, and Mary Kay Kane, 11 Federal Practice and
    Procedure § 2862 (2d ed. 1995) (footnotes omitted).
    Those federal law principles are consistent both with the nature of a void
    judgment and with our previous cases under ORCP 71 B(1)(d). We believe that they
    accurately state Oregon law on the subject. In short, the reasonable time to move to
    -20-
    set aside a void judgment is forever, and it is an abuse of discretion for a trial court
    to fail to do so. The trial court erred by not setting aside the judgment.
    Estate of Hutchins v. Fargo, 
    72 P.3d 638
    , 642-43 (Or.Ct.App.2003).
    The Supreme Court of North Dakota, in construing its counterpart of Federal Rule of Civil
    Procedure 60(b)(4), held:
    Valid service of process is necessary to acquire personal jurisdiction over a
    defendant, and a judgment entered without personal or subject matter jurisdiction is
    void. McComb v. Aboelessad, 
    535 N.W.2d 744
    , 747 (N.D.1995). Rule 60(b)(iv),
    N.D.R.Civ.P., allows relief from a void judgment. Although the decision to vacate
    a judgment under Rule 60(b) is ordinarily left to the discretion of the trial court, the
    court has no discretion under subdivision (b)(iv) if the judgment is void. Johnson,
    Johnson, Stokes, Sandberg & Kragness, Ltd. v. Birnbaum, 
    555 N.W.2d 583
    , 585
    (N.D.1996); First Western Bank & Trust v. Wickman, 
    527 N.W.2d 278
    , 279
    (N.D.1995). If the judgment is valid, the motion to vacate must be denied; if the
    judgment is void, the court has no discretion to protect it and it must be vacated.
    Johnson, 555 N.W.2d at 585; First Western, 527 N.W.2d at 279. The question to be
    resolved is whether the judgment is void as a matter of law, and our review of the
    trial court’s decision is plenary. First Western, 527 N.W.2d at 279.
    Eggl asserts Fleetguard’s motion to vacate was untimely, coming more than
    seven years after judgment was entered. A motion to vacate a judgment under
    N.D.R.Civ.P. 60(b) “must be made within a reasonable time.” Cases construing the
    corresponding federal rule, however, clarify that there is no time limit for attacking
    a void judgment under Rule 60(b)(iv). See, e.g., New York Life Ins. Co. v. Brown,
    
    84 F.3d 137
    , 142 (5th Cir.1996); Precision Etchings & Findings, Inc. v. LGP Gem,
    Ltd., 
    953 F.2d 21
    , 23 (1st Cir.1992); Meadows v. Dominican Republic, 
    817 F.2d 517
    ,
    521 (9th Cir.), cert. denied, 
    484 U.S. 976
    , 
    108 S. Ct. 486
    , 487, 
    98 L. Ed. 2d 485
    (1987); see also 12 James Wm. Moore et al., Moore’s Federal Practice §§
    60.44[5][c], 60.65[1] (1998); 11 Charles Alan Wright et al., Federal Practice and
    Procedure §§ 2862, 2866 (1995). “[T]here is and can be no time limit on judicial
    relief from a judgment that is, in fact, already a nullity and always subject to direct
    and collateral attack,” and therefore “[a]nytime is a ‘reasonable’ time to set aside a
    void judgment.” 12 Moore, supra, § 60.65[1], at 60-197. Fleetguard’s motion was
    not untimely.
    Eggl v. Fleetguard, Inc., 
    583 N.W.2d 812
    , 814 (N.D.1998).
    In discussing the void judgment rule, the United States Fifth Circuit Court of Appeals
    observed:
    -21-
    Motions brought pursuant to Rule 60(b)(4), however, constitute such exceptional
    circumstances as to relieve litigants from the normal standards of timeliness
    associated with the rule. While Rule 60(b)(1) motions must be brought within one
    year, we have held that motions brought pursuant to subsection (4) of the rule have
    no set time limit. This court has explained that “‘[t]here is no time limit on an attack
    on a judgment as void. The one-year limit applicable to some Rule 60(b) motions is
    expressly inapplicable, and even the requirement that the motion be made within a
    “reasonable time,” which seems literally to apply to motions under Rule 60(b)(4),
    cannot be enforced with regard to this class of motion.’” New York Life Insurance
    Company v. Brown, 
    84 F.3d 137
    , 142-43 (5th Cir.1996) (quoting Briley v. Hidalgo,
    
    981 F.2d 246
    , 249 (5th Cir.1993)). Other courts have noted simply that “[u]nlike its
    counterparts, Rule 60(b)(4), which provides relief from void judgments, ‘is not
    subject to any time limitation.’” Orner v. Shalala, 
    30 F.3d 1307
    , 1310 (10th
    Cir.1994) (quoting V.T.A., Inc., 597 F.2d at 224 n. 9 and accompanying text). While
    failing to prescribe concrete time limitations, the courts have established that the
    normal temporal considerations do not apply in the Rule 60(b)(4) context.
    Carter v. Fenner, 
    136 F.3d 1000
    , 1006 (5th Cir.1998).
    The Fifth Circuit Court has likewise observed:
    Rule 60(b)(4) allows district courts to “relieve a party . . . from a final
    judgment” because the judgment is void. We typically review district court orders
    denying Rule 60(b) relief for abuse of discretion. CJC Holdings, Inc. v. Wright &
    Lato, Inc., 
    979 F.2d 60
    , 63 (5th Cir.1992). “When, however, the motion is based on
    a void judgment under rule 60(b)(4), the district court has no discretion – the
    judgment is either void or it is not.” Recreational Prop. Inc. v. Southwest Mortgage
    Serv. Corp., 
    804 F.2d 311
    , 313 (5th Cir.1986); 11 CHARLES ALAN WRIGHT , ARTHUR
    R. MILLER AND MARY KAY KANE, FEDERAL PRACTICE AND PROCEDURE § 2862 (2d
    ed. 1995). “[T]here is no time limit on an attack on a judgment as void. The one-
    year limit applicable to some Rule 60(b) motions is expressly inapplicable, and even
    the requirement that the motion be made within a ‘reasonable time,’ which seems
    literally to apply to motions under Rule 60(b)(4), cannot be enforced with regard to
    this class of motion.” Briley v. Hidalgo, 
    981 F.2d 246
    , 249 (5th Cir.1993) (quoting
    11 CHARLES ALAN WRIGHT , ARTHUR R. MILLER AND MARY KAY KANE, FEDERAL
    PRACTICE AND PROCEDURE § 2862 (1973)) (brackets in original).
    New York Life Ins. Co. v. Brown, 
    84 F.3d 137
    , 142-43 (5th Cir.1996).
    While cases involving time limitations relative to attacks on void municipal ordinances are
    sparse, it is clear that void still means void and lapse of time cannot validate an ordinance void ab
    initio. State ex rel. Welks v. Town of Tumwater, 
    400 P.2d 789
     (Wash.1965) involved an attack on
    a zoning ordinance enacted 17 years earlier and two later ordinances purporting to amend the first
    -22-
    ordinance. In holding all three zoning ordinances to be void, the Supreme Court of Washington
    held:
    The defects in ordinance No. 246 were not remedied by the enactment of
    ordinance No. 437. Ordinance No. 437 did not purport to re-enact No. 246. The rule
    is:
    “The general rule is that void ordinances cannot be amended
    and that an ordinance passed as an amendment to a previous
    ordinance, which never took effect, is invalid; a void ordinance
    cannot be vitalized by amendment, and re-enactment is necessary to
    validate that intended to be enacted by it. Hence, where an ordinance
    is passed by one branch of the legislative body at one session, and is
    not passed by the other until the next session, it is void, and a later
    amendment cannot give it any validity. Without question, where an
    ordinance is void, a subsequent ordinance, that cannot be enforced
    of itself, and that purports to amend a single section of the prior
    ordinance, is invalid. * * *.” (Italics ours.) 6 McQuillin, Municipal
    Corporations (3rd ed.) § 21.05, p. 183.
    The fact that the ordinances of the town of Tumwater, including the
    ordinances here in question, had, prior to the commencement of the present action,
    been included in the codification of the ordinances of the town of Tumwater, as
    provided for by Laws of 1957, chapter 97, does not result in the re-enactment of the
    ordinances. Such a statute does not contemplate the re-enactment or the
    republication of the ordinances, but merely their compilation for convenient use and
    to simplify the method of their proof. Defects in the ordinances or in their enactment
    are not thereby cured. Barrett v. Chicago, M. & St. P.R. Co., 
    190 Iowa 509
    , 
    175 N.W. 950
    , 
    180 N.W. 670
    .
    State ex rel. Welks v. Town of Tumwater, at 792.
    Further buttressing the view that lapse of time alone cannot validate a void ordinance is Bd.
    of Zoning Appeals of Monroe County v. Berndt, 
    502 N.E.2d 1349
     (Ind.Ct.App.1987). In that case,
    Monroe County allegedly enacted its zoning ordinance on June 3, 1974. More than 10 years later
    on July 23, 1984, the Zoning Board initiated an action against Sandra S. Berndt alleging violation
    of the zoning ordinance. Defendants answered that the 1974 ordinance was invalid because notice
    of the public hearing had been published on May 17, 1974, which was 12 days prior to the public
    hearing scheduled for May 29, 1974. The controlling statute provided, “The notice shall be
    published at least twice within ten (10) days before the time set for the hearings.” Bd. of Zoning
    Appeals of Monroe County, 502 N.E.2d at 1352. The Zoning Board argued that since one of the two
    notices had been published within 10 days prior to the May 29 hearing that its mistake in publishing
    the first notice 12 days prior to the hearing instead of within 10 days constituted “substantial
    compliance” with the controlling statute. Not so said the Indiana Court of Appeals holding that the
    -23-
    1974 zoning ordinance was null and void ab initio and further holding that the re-codification
    adopted by Monroe County on May 23, 1983, did not validate the 1974 zoning ordinance. Said the
    Court:
    If an ordinance is revised upon codification, the county commissioners first must
    satisfy all of the original conditions precedent such as public hearings and legal
    notice. An ordinance which is being revised cannot be summarily codified without
    following the normal steps for an ordinance’s original enactment or amendment.
    Since section 6 does not apply to revisions, it is obvious that it does not apply
    to invalidly enacted ordinances. Prior to codifying such an ordinance, we hold that
    the county commissioners must first satisfy the conditions precedent such as public
    hearings and notice to validly enact the ordinance. “The validating ordinance must
    be passed in the manner essential to the valid enactment of the original.” 62 C.J.S.
    Municipal Corporations, § 432(b) (1949). Only validly enacted ordinances may be
    codified under the conditions of section 6. “A codification may not have the effect
    of curing defects in ordinances or in their enactment.” 5 E. McQuillin, Municipal
    Corporations § 16.86 (3d ed. 1981); see also 62 C.J.S. Municipal Corporations §
    432(b) (1949) (“Defects in ordinances are not cured by the inclusion of the
    ordinances in a compilation for convenient use and to simplify the method of their
    proof.”); cf. City of Chester v. Elam (1962), 
    408 Pa. 350
    , 
    184 A.2d 257
    ; State ex rel.
    Weiks v. Town of Tumwater (1965), 66 Wash.2d 33, 
    400 P.2d 789
    . Put simply,
    codification cannot breath[e] life into that which is dead.
    Bd. of Zoning Appeals of Monroe County, 502 N.E.2d at 1353-54.
    It is well at this point to discuss Hutcherson v. Criner, 
    11 S.W.3d 126
     (Tenn.Ct.App.1999).
    In that case, the complaint was filed on December 7, 1995, to enforce provisions of a 1984 zoning
    resolution together with 1991 and 1992 amendments thereto. Defendant challenged the sufficiency
    of the notice for a public hearing prior to the 1984 zoning ordinance. In a non-jury trial, the trial
    judge held that the county had complied with the notice provisions prior to the public hearing. On
    appeal, the Court of Appeals held:
    With regard to the 1984 Zoning Resolution, we agree with the trial court’s
    finding that the 1984 Resolution is not invalid due to failure to comply with the
    statutory requirements. The evidence does not preponderate against the trial court’s
    findings in this regard. Moreover, “after long public acquiescence in the substance
    of an ordinance, public policy does not permit such an attack on the validity of the
    ordinance because of procedural irregularities.” Trainor v. City of Wheat Ridge, 
    697 P.2d 37
    , 39 (Colo.App.1984)(citing Edel v. Filer Township, 49 Mich.App. 210, 
    211 N.W.2d 547
     (1973); Taylor v. Schlemmer, 
    353 Mo. 687
    , 
    183 S.W.2d 913
     (1944);
    Struyk v. Samuel Braen’s Sons, 17 N.J.Super. 1, 
    85 A.2d 279
     (1951)); see also 83
    Am.Jur.2d Zoning and Planning § 581 (1992). In Trainor, the zoning ordinance
    -24-
    under attack had been in effect for over ten years before the plaintiffs filed their
    complaint. Thus, the court held that given the extensive public reliance on the
    ordinance, such was immunized from a belated attack on various procedural grounds.
    The same holds true for the 1984 Zoning Resolution that is under attack on
    procedural grounds by Mr. Hutcherson. The 1984 Zoning Resolution has been in
    effect for over ten years and has been relied on extensively by the residents of
    Lauderdale County including Mr. Hutcherson. As such, the 1984 Zoning Resolution
    is immunized from an attack on procedural grounds.
    Hutcherson, 11 S.W.3d at 134-35.
    Hutcherson was decided after a non-jury trial on the merits in which compliance with the
    notice provisions prior to the 1984 public hearing was a disputed question of fact. The Court of
    Appeals affirmed the trial court on the basis that the evidence did not preponderate against the trial
    court’s findings in this regard. As to the question of any long public acquiescence, we note that the
    case at bar is before the Court on Defendants’ Tennessee Rule of Civil Procedure 12.02(6) Motions
    to Dismiss for Failure to State a Claim upon Which Relief Can Be Granted. The allegations of the
    Complaint must be accepted as true. It is alleged therein:
    16.    EXPANSION OF THE SHOOTING RANGE:                          Despite the
    Commission’s inconsistency and lack of oversight, Mr. Jackson proceeded to operate
    a skeet range only on the 10 acres of property for which he originally requested the
    zoning reclassification. Sometime in 1999, however, Mr. Jackson allowed Defendant
    Alan Loveless d/b/a/ Big Springs Clay Target Sports to begin operation on the
    property. Mr. Loveless capitalized on the Commission’s neglect by expanding the
    shooting range to approximately six times the size of the original shooting range, or
    approximately 60 acres of Mr. Jackson’s tract.
    Since no issue is made by any party as to Mr. Jackson’s use of the original 10-acre tract for
    his skeet range and there is no dispute to the alleged fact that the expansion beyond the limits of 10
    acres did not begin until 1999, there can be no longstanding acquiescence by the public, and thus no
    public policy considerations are involved that could adversely affect Plaintiffs’ right to raise the issue
    of the void character of the November 9, 1992, zoning resolution.
    Whether the November 9, 1992, zoning resolution could be effective as to the original 10
    acres is not an issue that is before the Court in this case.
    It is clear then that the purported zoning resolution of November 9, 1992, is void ab initio
    because of the failure of the resolution to substantially comport to the recommendations of the
    Planning Commission and for failure of the County Commission to resubmit the proposed resolution
    to the Planning Commission when it decided to dramatically depart from the recommendations of
    the Planning Commission.
    -25-
    This case having been resolved on non-constitutional grounds, we decline to address the
    constitutional issues. Haynes, 
    883 S.W.2d 619
     (Tenn.Ct.App.1994); Watts v. Memphis Transit
    Mgmt. Co., 
    462 S.W.2d 495
    , 498 (Tenn.1971).
    Since the case is before this Court on appeal of dismissal under Tennessee Rule of Civil
    Procedure 12.02(6) for failure to state a claim upon which relief can be granted, the judgment of the
    trial court will be reversed and the case remanded for further proceedings not inconsistent with this
    opinion. While it would appear from the record made in this case that the void character of the
    November 9, 1992, Zoning Resolution cannot be successfully challenged under any facts that can
    be developed upon remand, such a determination at this time by this Court would be improper. We
    reverse the action of the trial court in granting the Tennessee Rule of Civil Procedure 12.02(6)
    Motions and remand the case for such further proceedings as may be necessary.
    Costs of the cause are assessed to the appellees.
    ___________________________________
    WILLIAM B. CAIN, JUDGE
    -26-
    

Document Info

Docket Number: M2004-01944-COA-R3-CV

Judges: Judge William B. Cain

Filed Date: 11/28/2005

Precedential Status: Precedential

Modified Date: 10/30/2014

Authorities (55)

Board of Zoning Appeals of Monroe County v. Berndt , 1987 Ind. App. LEXIS 2314 ( 1987 )

McComb v. Aboelessad , 1995 N.D. LEXIS 139 ( 1995 )

Johnson, Johnson, Stokes, Sandberg & Kragness, Ltd. v. ... , 1996 N.D. LEXIS 244 ( 1996 )

Ely v. United States Coal Coke Company , 243 Ky. 725 ( 1932 )

Brown's Administrator v. Gabhart , 232 Ky. 336 ( 1930 )

Brumley v. Town of Greeneville , 38 Tenn. App. 322 ( 1954 )

Glazebrook v. Board of Supervisors , 266 Va. 550 ( 2003 )

Recreational Properties, Inc., D/B/A Leisure Lakes Resort v.... , 804 F.2d 311 ( 1986 )

Trainor v. City of Wheat Ridge , 1984 Colo. App. LEXIS 1376 ( 1984 )

Edel v. Filer Township , 49 Mich. App. 210 ( 1973 )

Miller v. Abrahams , 239 Md. 263 ( 1965 )

Bujno v. Montgomery County Council , 243 Md. 110 ( 1966 )

Von Lusch v. BD. OF CTY. COMM'RS , 268 Md. 445 ( 1973 )

mcclatchy-broadcasting-company-v-federal-communications-commission , 239 F.2d 19 ( 1956 )

State Ex Rel. Weiks v. Town of Tumwater , 66 Wash. 2d 33 ( 1965 )

First Western Bank & Trust v. Wickman , 1995 N.D. LEXIS 10 ( 1995 )

Precision Etchings & Findings, Inc. v. Lgp Gem, Ltd., ... , 953 F.2d 21 ( 1992 )

S. Stewart Crosby v. The Bradstreet Company, and L. Lloyd ... , 312 F.2d 483 ( 1963 )

charles-v-meadows-george-harris-plaintiffs-appelleescross-appellants-v , 817 F.2d 517 ( 1987 )

McDonald v. Mabee , 37 S. Ct. 343 ( 1917 )

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