in Re Lee Edward Thomas ( 2022 )


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  •                     In The
    Court of Appeals
    Sixth Appellate District of Texas at Texarkana
    No. 06-21-00106-CV
    IN RE LEE EDWARD THOMAS, ET AL.
    Original Mandamus Proceeding
    Before Morriss, C.J., Burgess and Stevens, JJ.
    Memorandum Opinion by Chief Justice Morriss
    MEMORANDUM OPINION
    Who should pastor the small Collier’s Chapel Baptist Church in Harrison County and
    which group of members should control the six figure bank account of the Church are apparently
    at the heart of this dispute between two groups from that church, an unincorporated non-profit
    association.1 We will refer to the two groups as the Thomas Group (for Lee Edward Thomas,
    who featured prominently in the actions of this group)2 and the Cosby Group (for Rick Cosby,
    who was initially hired by the Church as interim pastor, and then apparently fired by action
    supported by the Thomas Group and rehired by action supported by the Cosby Group).
    As a result of this dispute, the Cosby Group3 filed this suit against the defendants below,
    the Thomas Group, and sought injunctive relief to, inter alia, gain access to the Church’s
    building, bank accounts, and financial records. Although the Thomas Group filed a plea to the
    jurisdiction, the trial court entered a temporary injunction that granted the requested relief, in
    part. After the Cosby Group filed a Second Amended Petition, the Thomas Group filed another
    plea to the jurisdiction, which the trial court denied after a hearing.
    The Thomas Group has petitioned this Court for a writ of mandamus requiring the
    Honorable Brad Morin to enter an order granting the Thomas Group’s plea to the jurisdiction,
    nullifying all previous orders entered in the case below, releasing the funds of the Church, and
    1
    See TEX. BUS. ORGS. CODE ANN. § 252.001(2). We will refer to this entity as “the Church.”
    2
    The Thomas Group includes Lee Edward Thomas (Thomas), Johnny Lee McCoy (Johnny), Willie James McCoy
    (Willie), Johnny Morse Gill (Gill), and Charles Earl McCoy (Charles). Thomas, Johnny, and Willie are three of the
    deacons of the Church. Gill is apparently an interim pastor, and Charles is an inactive member and former deacon.
    3
    The lawsuit below was brought in the name of Collier’s Chapel Baptist Church on behalf of the Cosby Group. See
    TEX. BUS. ORGS. CODE ANN. § 252.007(b). We will refer to the plaintiff below, who is the real party in interest in
    this mandamus proceeding, as the Cosby Group.
    2
    removing all restrictions placed on the Thomas Group. Because we find that the trial court
    lacked subject-matter jurisdiction to consider some of the relief sought by the Cosby Group, we
    conditionally grant, in part, the Thomas Group’s petition for a writ of mandamus.
    The dispute occurred after September 2019, when the Church’s former pastor left the
    Church and the members of the deacon board were tasked with finding an interim pastor. On
    March 7, 2020, the deacon board voted to hire Cosby as interim pastor for six months. Later, the
    deacon board decided to terminate him, and by letter dated July 8, 2020, and signed by Thomas,
    Johnny, Gill, and Charles, Cosby was informed that his services as pastor were no longer needed,
    effective July 8, 2020. The Thomas Group contends that the deacons announced their decision at
    a Bible study and that a majority of the members agreed with their decision.
    Joseph Broadnax, a deacon, testified that, after the deacon board terminated Cosby,
    Broadnax called a meeting in the Church parking lot around July 11 to vote on whether to make
    Cosby pastor. On July 21, 2020, there was another meeting4 of the members of the Church (the
    July 21 Meeting), at which several resolutions (the July 21 Resolutions) were allegedly passed.
    The evidence showed that five members of the Church attended the meeting in person, and
    eighteen members attended by telephone.5 One of the resolutions named Yutya Thomas, Charles
    4
    The record does not reflect who called this meeting or how the members were notified of this meeting.
    5
    The Cosby Group attached a list setting forth the names of the members of the Church in July 2020 according to the
    Cosby Group (the Cosby Group’s List) and a list setting forth the names of the members of the Church in July 2020
    according to the Thomas Group (the Thomas Group’s List) to their Second Amended Petition. The Cosby Group’s
    list contains thirty-six active members. The Thomas Group’s List contains thirty-nine active members. The Cosby
    Group’s List was apparently prepared by Flora Broadnax in her capacity as “Church Secretary.” The Thomas
    Group’s List was apparently prepared by Mary H. Thomas in her capacity as “Church Clerk.” “Church Clerk” is
    listed as an officer of the Church in its bylaws with duties that include “keep[ing] a registry of the members.” There
    is no provision for a “Church Secretary” in the Church’s bylaws.
    3
    Thomas, Gloria McCoy (Gloria), Flora Broadnax (Flora), and Carolyn Crumby (Carolyn) as the
    finance committee and gave them broad authority over the tithes and offerings, payment of bills,
    and securing the Church premises.6 The resolution also purportedly gave these individuals
    authority to institute legal action to gain control over the Church’s funds deposited in a financial
    institution, secure access to the Church premises, secure and obtain the records of the Church,
    and engage and pay legal counsel.                Another resolution purportedly named TB&T as the
    depository bank and named Gloria, Flora, and Carolyn as signatories on the Church’s bank
    accounts (the Banking Resolution).7
    On August 12, 2020, the Cosby Group filed its Original Petition. The Cosby Group
    alleged that the majority of the Church’s members chose Cosby as its senior pastor and that the
    Thomas Group sought to prevent Cosby from exercising his office.                          The Thomas Group
    contended that the Church has no senior pastor; that Gill is the interim pastor; that Thomas,
    Johnny, and Willie locked Cosby and his supporting members out of the Church building to
    prevent them from holding service; and that Thomas and Johnny, who had check writing
    authority, had refused to turn the financial records over to Flora, as a representative of the
    Under the Church’s constitution, only “[m]embers who are in full and active standing may act and vote in
    transacting the business of the church,” and members under sixteen years old do not have voting privileges. The
    name of one person identified as having attended the July 21 Meeting does not appear on either list. The names of
    five persons identified as having attended the July 21 Meeting do not appear on the Thomas Group’s List. The name
    of one person identified as having attended the July 21 Meeting is designated on the Cosby Group’s List as being
    underage. If the six persons not listed on the Thomas Group’s List and the underage member were not eligible to
    vote, then the total number of voting members who attended the July 21 Meeting, whether in person or by telephone,
    was sixteen.
    6
    The Thomas Group contends that this resolution was improper.
    7
    Thomas testified that the deacon board, not the members of the Church, designate the signatories on the Church’s
    bank accounts.
    4
    Church’s finance committee. The Cosby Group attached the July 21 Resolutions to its Original
    Petition.
    The Cosby Group sought a temporary restraining order and temporary and permanent
    injunctions restraining the Thomas Group from changing the locks to the Church property, from
    entering onto the Church property, and from writing checks or withdrawing funds from any
    Church bank accounts. The Cosby Group also asked that the Thomas Group be required (1) to
    turn over the Church’s financial records to Gloria, Flora, or Carolyn, (2) to require bank accounts
    to be modified and maintained in accordance with the Banking Resolution, and (3) to remove
    signatories supported by the Thomas Group as signatories on the Church’s financial accounts.
    According to the parties, the trial court granted a temporary restraining order. On August
    20, 2020, the Thomas Group filed its Plea to the Jurisdiction as to Restraining Order and argued
    that the ecclesiastical abstention doctrine barred the trial court from exercising jurisdiction over
    the matters complained about by the Cosby Group and that it lacked jurisdiction to enter the
    restraining order. On September 1, 2020, the Thomas Group filed another plea to the jurisdiction
    in which they reiterated their arguments, asserted that some of the individuals attending the July
    21 Meeting were not members of the Church, asserted that the purported pastoral election
    violated the Church’s bylaws, and entered a general denial.
    Nevertheless, on September 8, 2020, the trial court declined to rule on the plea to the
    jurisdiction and, instead, entered a temporary injunction that ordered, inter alia, the following:
    1.     The members of the Church that supported the [Cosby Group’s] positions
    . . . would have access to the church building for certain specified hours on
    Sunday, Friday, and Saturday, and all day on Tuesday and Thursday;
    5
    2.     The members of the Church that supported the [Thomas Group’s]
    positions . . . would have access to the church building for certain
    specified hours on Sunday, Friday, and Saturday, and all day on Monday
    and Wednesday;
    3.     The Church’s checking account number ending 075 (the 075 Account) at
    TB&T would be used to pay all customary and ordinary bills, e.g. water
    and electricity bills, of the Church;
    4.     The [Cosby Group’s] members and the [Thomas Group’s] members could
    each establish new checking accounts to pay their respective pastors and
    any extraordinary or unusual expense they may incur; and
    5.     Counsel for [the Thomas Group] produce all bank statements for the 075
    Account at TB&T from August 1, 2019, to August 1, 2020, within ten
    days.
    On September 17, 2020, TB&T filed a Petition in Intervention for Interpleader in which it
    sought to interplead all the Church’s funds it held. TB&T alleged that on August 17, 2020, the
    Church had opened a second checking account with number ending 082 (the 082 Account) and
    transferred almost all of the money from the 075 Account to the 082 Account, leaving a balance
    in the 075 Account of $7.20, and a balance in the 082 Account of $300,085.69 at the time of the
    interpleader. On October 29, 2020, the trial court entered an order (the October 29 Order) that
    denied the interpleader and ordered the following:
    1.     The Church open a new account at TB&T and deposit $15,000.00 from
    the 082 Account into the new account;
    2.     Flora and Thomas be the only persons with authority to write checks and
    withdraw funds from the new account, with both of their signatures and
    authorizations required;
    3.     The funds from the new account be used only for payment of the Church’s
    ordinary operating expenses, such as utility bills, insurance premiums,
    lawn care, and necessary repairs and maintenance;
    6
    4.       Statements for all of the Church’s accounts at TB&T be sent to both Flora
    and Thomas;
    5.       No funds from the 075 Account and the 082 Account may be withdrawn
    without an order from the trial court; and,
    6.       TB&T maintain a hold on the remaining funds in the 075 Account and the
    082 Account until final judgment is rendered in the lawsuit, and the trial
    court directs TB&T as to the ownership and disposition of the funds in
    each of the Church’s accounts at TB&T.8
    After conducting discovery, on April 19, 2021, the Cosby Group filed its Second
    Amended Petition. In that pleading, the Cosby Group omitted all allegations regarding the
    election of Cosby and the exclusion of Cosby’s followers from the Church building. Based on
    other allegations, it asserted causes of action against the Thomas Group for conversion of the
    Church’s funds, for breach of fiduciary duty, and for access to the books and records of the
    Church for the past five years pursuant to Section 252.010 of the Texas Business Organizations
    Code. In addition, the Cosby Group sought to enjoin the Thomas Group from writing checks,
    withdrawing funds, or having access to any of the Church’s bank accounts; to require the
    Thomas Group to disclose all financial records of the Church for the last three or five years;
    enforcement of the July 21 Resolutions; and a partition of the Church’s assets between the Cosby
    Group’s members and the Thomas Group’s members.
    The Thomas Group filed a second Plea to the Jurisdiction on the Second Amended
    Petition and again argued that the Cosby Group’s causes of action and the injunctive relief it
    sought were barred by the ecclesiastical abstention doctrine. In addition to seeking dismissal of
    8
    Except for the denial of the interpleader, we construe this order as a supplement to the temporary injunction.
    7
    the Second Amended Petition, the Thomas Group sought an order from the trial court rescinding
    the temporary injunction and the October 29 Order and returning all funds taken from the
    Church’s TB&T account to the Church’s original accounts. After a hearing, the trial court
    denied the plea to the jurisdiction.
    “Mandamus relief is appropriate when the trial court lacks jurisdiction to hear a case.” In
    re Lubbock, 
    624 S.W.3d 506
    , 512 (Tex. 2021) (citing In re Crawford & Co., 
    458 S.W.3d 920
    ,
    929 (Tex. 2015) (per curiam); In re Entergy Corp., 
    142 S.W.3d 316
    , 321 (Tex. 2004)).
    Likewise, mandamus relief is appropriate when a trial court enters an order when it lacks
    jurisdiction to hear the case. In re Sw. Bell Telephone Co., 
    35 S.W.3d 602
    , 605 (Tex. 2000). To
    be entitled to a mandamus, a relator generally must show that the trial court clearly abused its
    discretion and that it has no adequate remedy by appeal. In re Prudential Ins. Co., 
    148 S.W.3d 124
    , 135–36 (Tex. 2004) (orig. proceeding). When the trial court issues an order in a case in
    which it lacks jurisdiction, the order is void and the trial court abuses its discretion. In re Sw.
    Bell Telephone Co., 35 S.W.3d at 605. Consequently, in such a case, “the relator need not show
    it did not have an adequate appellate remedy.” Id.
    “Whether a court has subject[-]matter jurisdiction is a question of law.” Tex. Dep’t of
    Parks & Wildlife v. Miranda, 
    133 S.W.3d 217
    , 226 (Tex. 2004) (citing Tex. Nat. Res.
    Conservation Comm’n v. IT-Davy, 
    74 S.W.3d 849
    , 855 (Tex. 2002)). “Lack of jurisdiction may
    be raised by a plea to the jurisdiction when religious-liberty grounds form the basis for the
    jurisdictional challenge.” Lubbock, 624 S.W.3d at 512 (quoting Westbrook v. Penley, 
    231 S.W.3d 389
    , 394 (Tex. 2007)). “We review a trial court’s ruling on a plea to the jurisdiction de
    8
    novo.” 
    Id.
     (citing Houston Belt & Terminal Ry. Co. v. City of Houston, 
    487 S.W.3d 154
    , 160
    (Tex. 2016)).
    “The plaintiff has the initial burden in every case to plead and prove the trial court’s
    jurisdiction.” Bray v. Fenves, No. 06-15-00075-CV, 
    2016 WL 3083539
    , at *3 (Tex. App.—
    Texarkana Mar. 24, 2016, pet. denied) (citing Heckman v. Williamson Cty., 
    369 S.W.3d 137
    , 150
    (Tex. 2012)). “When a plea to the jurisdiction is filed, we look to the live pleadings to determine
    if facts have been alleged that affirmatively show the court’s jurisdiction.” 
    Id.
     (citing Miranda,
    133 S.W.3d at 226). “The pleadings are construed liberally in favor of the plaintiff, looking to
    the plaintiff’s intent.” Id. (citing Miranda, 133 S.W.3d at 226). “If the pleadings do not contain
    sufficient facts to affirmatively demonstrate the trial court[’]s jurisdiction but do not
    affirmatively demonstrate incurable defects in jurisdiction, the issue is one of pleading
    sufficiency and the plaintiffs should be afforded the opportunity to amend.” Id. (alteration in
    original) (quoting Miranda, 133 S.W.3d at 227 (citing Cty. of Cameron v. Brown, 
    80 S.W.3d 549
    , 555 (Tex. 2002))). “Conversely, ‘[i]f the pleadings affirmatively negate the existence of
    jurisdiction, then a plea to the jurisdiction may be granted without allowing the plaintiffs an
    opportunity to amend.’” 
    Id.
     (quoting Miranda, 133 S.W.3d at 226–27) (citing Brown, 80 S.W.3d
    at 555).
    When “the ‘plea to the jurisdiction challenges the existence of jurisdictional facts, we
    consider relevant evidence submitted by the parties when necessary to resolve the jurisdictional
    issues raised.’” Bray, 
    2016 WL 3083539
    , at *3 (quoting Miranda, 133 S.W.3d at 227). “If the
    evidence creates a fact question regarding the jurisdictional issue,” the plea to the jurisdiction
    9
    cannot be granted. Miranda, 133 S.W.3d at 227–28. “However, if the relevant evidence is
    undisputed or fails to raise a fact question on the jurisdictional issue,” the determination of the
    plea to the jurisdiction becomes a matter of law. Id. at 228.
    “Churches have a fundamental right under the First Amendment to decide for themselves,
    free from state interference, matters of church governance as well as those of faith and doctrine.”
    Lubbock, 624 S.W.3d at 508–09 (citing Westbrook, 231 S.W.3d at 397 (citing Watson v. Jones,
    
    80 U.S. 679
    , 728–29 (1871))). “It is a core tenet of the First Amendment that in resolving civil
    claims courts must be careful not to intrude on internal affairs of church governance and
    autonomy.” 
    Id.
     (citing Westbrook, 231 S.W.3d at 397). “Autonomy extends to the rights of
    hierarchical religious bodies to establish their own internal rules and regulations and to create
    tribunals for adjudicating disputes over religious matters.” Id. (citing Serbian E. Orthodox
    Diocese v. Milivojevich, 
    426 U.S. 696
    , 708–09, 714, 724–26 (1976)). “And it extends to a
    church’s conclusions regarding its own ecclesiastical rules, customs, and laws.” 
    Id.
     (citing
    Brown v. Clark, 
    116 S.W. 360
    , 363 (Tex. 1909)). “Government action that interferes with this
    autonomy or risks judicial entanglement with a church’s conclusions regarding its own rules,
    customs, or laws is therefore prohibited by the First Amendment.” 
    Id.
     (citing Church of the
    Lukumi Babalu Aye, Inc. v. City of Hialeah, 
    508 U.S. 520
    , 532 (1993)).
    “The ecclesiastical abstention doctrine prohibits civil courts from delving into matters of
    ‘theological controversy, church discipline, ecclesiastical government, or the conformity of the
    members of the church to the standard of morals required of them.’” 
    Id.
     at 508–09 (quoting
    Milivojevich, 
    426 U.S. at 714
     (quoting Watson, 80 U.S. at 733)). “The doctrine is grounded in
    10
    the First Amendment, which protects the right of religious institutions ‘to decide for themselves,
    free from state interference, matters of church government as well as those of faith and
    doctrine.’” Id. at 509 (quoting Kedroff v. St. Nicholas Cathedral of Russian Orthodox Church,
    
    344 U.S. 94
    , 116 (1952)).
    “Texas courts have long recognized that courts ‘should not involve themselves in matters
    relating to the hiring, firing, discipline, or administration of clergy.’” Mouton v. Christian Faith
    Missionary Baptist Church, 
    498 S.W.3d 143
    , 150 (Tex. App.—Houston [1st Dist.] 2016, no pet.)
    (quoting Lacy v. Bassett, 
    132 S.W.3d 119
    , 123 (Tex. App.—Houston [14th Dist.] 2004, no pet.)
    (citing McClure v. Salvation Army, 
    460 F.2d 553
    , 558 (5th Cir. 1972); Dean v. Alford, 
    994 S.W.2d 392
    , 395 (Tex. App.—Fort Worth 1999, no pet.); Tran v. Fiorenza, 
    934 S.W.2d 740
    , 743
    (Tex. App.—Houston [1st Dist.] 1996, no writ))). Our sister court of appeals explained, “‘The
    relationships between an organized church and its ministers is its lifeblood.’ The minister is the
    primary agent by which a church seeks to fulfill its purpose. Matters concerning this relationship
    must be recognized as of prime ecclesiastical concern.” Dean v. Alford, 
    994 S.W.2d 392
    , 395
    (Tex. App.—Fort Worth 1999, no pet.) (quoting Tran, 934 S.W.2d at 743).
    However, not all claims against religious institutions are barred by the First Amendment.
    Lubbock, 624 S.W.3d at 513 (citing Tilton v. Marshall, 
    925 S.W.2d 672
    , 677 (Tex. 1996)). “A
    court may exercise jurisdiction over a controversy if it can apply neutral principles of law that
    will not require inquiry into religious doctrine, interference with the free-exercise rights of
    believers, or meddling in church government.” 
    Id.
     (citing Westbrook, 231 S.W.3d at 398–400).
    “Under the neutral-principles methodology, ‘courts decide non-ecclesiastical issues such as
    11
    property ownership based on the same neutral principles of law applicable to other entities, while
    deferring to religious entities’ decisions on ecclesiastical and church polity questions.’” Id.
    (quoting Masterson v. Diocese of Nw. Tex., 
    422 S.W.3d 594
    , 596 (Tex. 2013)).
    While the Texas Supreme Court has not applied the neutral-principles methodology
    outside of church property disputes, it has recognized that “lower courts in Texas have found
    them applicable in certain, narrow circumstances.”         
    Id.
     (citing Shannon v. Mem’l Drive
    Presbyterian Church U.S., 
    476 S.W.3d 612
    , 624–25 (Tex. App.—Houston [14th Dist.] 2015, pet.
    denied) (concluding ecclesiastical abstention does not bar suit arising out of church’s violation of
    settlement agreement, which was not inherently ecclesiastical)). The court has stressed that “any
    exception to ecclesiastical abstention by application of neutral principles must be narrowly
    drawn to avoid inhibiting the free exercise of religion or imposing secular interests on religious
    controversies.” 
    Id.
     (citing Jones v. Wolf, 
    443 U.S. 595
    , 603–05 (1979); Milivojevich, 
    426 U.S. at 710
    ). “In other words, courts should consider not only whether a neutral principle exists without
    regard to religion, but also whether the application of neutral principles would impose civil
    liability on a church for complying with its own internal rules and regulations or resolving a
    religious matter.” 
    Id.
     (citing Westbrook, 231 S.W.3d at 400). Further, even if neutral principles
    of law are applied, free-exercise concerns, such as a church’s standard of morals or church
    discipline, may still be implicated.     Westbrook, 231 S.W.3d at 399.         In such cases, the
    ecclesiastical abstention doctrine deprives the court of jurisdiction to resolve the dispute. Id.;
    Anderson v. Truelove, 
    446 S.W.3d 87
    , 94 (Tex. App.—Houston [1st Dist.] 2014, no pet.).
    12
    To resolve these disputes under neutral principles of law may require considering
    evidence such as the church’s constitution and bylaws. See Masterson v. Diocese of N.W. Tex.,
    
    422 S.W.3d 594
    , 603 (Tex. 2013). If the application of the neutral-principles methodology
    involves the examination of a church’s constitution or bylaws, “a civil court must take special
    care to scrutinize the document in purely secular terms, and not to rely on religious precepts in”
    making its determination. Jones v. Wolf, 
    443 U.S. 595
    , 604 (1979). In some cases, the church’s
    organizational documents may preclude the court from merely construing them under neutral
    principles of law to resolve the dispute. Truelove, 446 S.W.3d at 94. For instance, if the
    church’s constitution or bylaws incorporate religious concepts in the provision relevant to the
    controversy, “then the court must defer to the resolution of the doctrinal issue by the
    authoritative ecclesiastical body.” Wolf, 
    443 U.S. at
    604 (citing Milivojevich, 
    426 U.S. at 709
    ).
    Or if the church’s bylaws do not contain provisions regarding the matter at issue, e.g., the
    termination of a minister, courts are prevented from construing the bylaws under neutral
    principles of law to resolve the dispute. Truelove, 446 S.W.3d at 94.
    “In determining whether ecclesiastical abstention applies, courts will analyze whether a
    particular dispute is ecclesiastical or merely a civil-law controversy in which the church happens
    to be involved.” Lubbock, 624 S.W.3d at 514 (citing Tran v. Fiorenza, 
    934 S.W.2d 740
    , 743
    (Tex. App.—Houston [1st Dist.] 1996, no writ)). “In making this determination, we look to the
    substance and nature of the plaintiff’s claims.” 
    Id.
     (citing Patton v. Jones, 
    212 S.W.3d 541
    , 548
    (Tex. App.—Austin 2006, pet. denied)). “Because courts are prohibited from risking judicial
    entanglement with ecclesiastical matters, . . . if the substance and nature of the plaintiff’s claims
    13
    are inextricably intertwined with matters of doctrine or church governance, then the case must be
    dismissed, Jennison v. Prasifka, 
    391 S.W.3d 660
    , 665, 668 (Tex. App.—Dallas 2013, no pet.).”
    
    Id.
    The Trial Court Lacked Jurisdiction to Enter the Temporary Injunction
    When the trial court entered the temporary injunction and the October 29 Order, the
    Cosby Group’s live pleading was its Original Petition in which it alleged that Cosby had been
    chosen as the Church’s pastor by a majority of the Church’s members, that the Thomas Group
    contended that the Church did not have a pastor but that Gill was its interim pastor, and that the
    Thomas Group had locked Cosby and his followers out of the church building. The Cosby
    Group also attached the July 21 Resolutions that were purportedly passed by a majority of the
    members in which a new finance committee was elected and new signatories to the Church’s
    bank accounts were named.       The Cosby Group sought a temporary restraining order and
    temporary and permanent injunctions restraining the Thomas Group from denying them access to
    the Church property, requiring the Thomas Group to turn over the Church’s financial records to
    Gloria, Flora, or Carolyn, and modifying the Church’s accounts at TB&T to comply with the
    Banking Resolution and to remove members of the Thomas Group as signatories to the Church’s
    financial accounts.
    The trial court also had before it the Thomas Group’s pleas to the jurisdiction that
    contended that both the Cosby Group’s pleadings and the jurisdictional facts showed that the trial
    court’s jurisdiction was barred by the ecclesiastical abstention doctrine. To its pleas, the Thomas
    Group attached Thomas’s affidavit and minutes from the deacon board’s meetings that showed
    14
    that Thomas was chairman of the deacon board and a member of the finance committee of the
    Church, that the deacon board hired Cosby as a “pastor on trial” for six months in March 2020,
    that the deacon board terminated Cosby from his duties July 8, 2020, and that Cosby would not
    return his keys to the Church on his termination, which necessitated a change of the Church’s
    locks.
    Thomas also averred that the power to hire and terminate Cosby was given to the deacon
    board by the Church’s bylaws, a copy of which was also attached to the pleas. In addition,
    Thomas averred that the July 21 Meeting had five persons who attended in person and eighteen
    who attended by telephone, even though the bylaws had no provision authorizing voting by
    telephone or holding a meeting without notice that significant changes to the working of the
    Church would be considered.
    When the office of the pastor becomes vacant, the Church’s bylaws provide for the
    election of a pastor search committee, with the duties to screen all the resumes received,
    recommend an individual to the church to become pastor, and establish a firm voting procedure
    for selecting the pastor. The bylaws also provide that a senior pastor must be called by a
    majority9 of members present during either a regular business meeting or a special called
    meeting for that purpose after the Church’s members have been notified. The notice is required
    to be given four weeks in advance of the meeting either by letter correspondence or through the
    weekly worship bulletins. The bylaws also provide that only the pastor, or the chairman of the
    9
    Broadnax admitted that there had never been a meeting in which a majority of the members voted to call Cosby as
    pastor.
    15
    deacon board in absence of a pastor, may call a special church meeting. However, the bylaws do
    not address the hiring of a “pastor on trial” or the termination of a pastor.
    The bylaws set forth a process by which a member is nominated, screened, and elected as
    a deacon. Regarding the duties and authority of the deacon board, the bylaws provide:
    In accordance with the meaning of the work and the practice in the New
    Testament, deacons are to be servants to the church. Their task is to serve with
    the Pastor in performing the pastoral ministries of leading the church in the
    achievement of its mission, proclaiming the gospel to believers and unbelievers,
    and caring for the church members.
    In counsel with the Pastor and in accordance with the teachings of the New
    Testament, they shall have oversight of the discipline of the membership of the
    church.
    The bylaws also set forth certain duties of the finance committee but do not address how the
    members of the committee are selected.
    When we examine the substance and nature of the Cosby Group’s claims asserted in its
    Original Petition, we see that the facts asserted in support of its requested injunctive relief were
    based on two specific disputes. Those were (1) whether Cosby had been validly elected pastor
    by a majority of the members of the Church, thereby entitling him to access to the Church, and
    (2) whether the Thomas Group was obligated to recognize the validity of the July 21 Resolutions
    by turning over the Church’s financial records to those persons named to the finance committee
    in the resolutions and ceding their signatory authority on the Church’s bank accounts to the
    persons designated as signatories in the resolutions. Thus, the Cosby Group’s live pleadings at
    the time the temporary injunction was entered indicated that the substance and nature of its
    claims were inextricably intertwined with two areas in which Texas courts have long held the
    16
    ecclesiastical abstention doctrine bars jurisdiction of the civil courts:          the hiring, firing,
    discipline, or administration of clergy, see Mouton, 498 S.W.3d at 150; Lacy v. Bassett, 
    132 S.W.3d 119
    , 123 (Tex. App.—Houston [14th Dist.] 2004, no pet.); Dean, 
    994 S.W.2d at 395
    ;
    Tran, 934 S.W.2d at 743, and a dispute regarding church governance, see Lubbock, 624 S.W.3d
    at 513; Westbrook, 231 S.W.3d at 397; Jennison, 391 S.W.3d at 665, 668; Tran, 934 S.W.2d at
    743.
    Even if the Original Petition did not affirmatively negate the subject-matter jurisdiction
    of the trial court to enter the temporary injunction and the October 29 Order, the undisputed
    jurisdictional facts showed that the Cosby Group’s claims were inextricably intertwined with
    matters of doctrine and church governance and that it could not resolve the controversy solely
    under the neutral-principles methodology. Although the Cosby Group alleged that a majority of
    the members had chosen Cosby as pastor, the Thomas Group produced evidence that the deacon
    board had terminated Cosby as pastor. Consequently, even assuming that a majority of the
    members chose Cosby as pastor at some time,10 the trial court would still have to determine
    whether his termination by the deacon board was valid. As previously noted, the Church’s
    bylaws do not address termination of the pastor. It has been held that when the church’s bylaws
    do not contain provisions regarding the matter at issue, the court is prevented from construing the
    bylaws merely under neutral principles of law to resolve the dispute, and the ecclesiastical
    abstention doctrine deprived the court of subject-matter jurisdiction. Truelove, 446 S.W.3d at
    94.
    10
    The Cosby Group did not allege any facts, and did not produce any evidence, that showed when or how the
    majority chose Cosby as pastor.
    17
    Further, the trial court would have to determine whether the deacon board had the
    authority to terminate the pastor.   Under the bylaws, the deacons’ duties and authority in
    governing the Church are broadly defined as being “[i]n accordance with the meaning of the
    work and the practice in the New Testament.” To determine whether the deacons’ authority
    included terminating the pastor would require the trial court to resolve a theological question,
    i.e., what is the meaning of the work and practice of deacons in the New Testament, which is
    exclusively within the province of the Church. Since the resolution of this issue would entangle
    the trial court with the Church’s conclusions regarding its own rules, customs, or laws, it was
    barred from resolving the issue. See Lubbock, 624 S.W.3d at 513 (“Government action that . . .
    risks judicial entanglement with a church’s conclusions regarding its own rules, customs, or laws
    is therefore prohibited by the First Amendment.” (citing Church of the Lukumi Babalu Aye, 
    508 U.S. at 532
    )).
    The same is true regarding the issue of whether the Thomas Group was obligated to turn
    over the Church’s financial records to the persons named in the July 21 Resolutions and to cede
    signatory authority over the Church’s bank accounts to the persons named in those resolutions.
    The Cosby Group’s live pleadings at the time the injunction was entered based its entitlement to
    relief on the July 21 Resolutions. Those resolutions showed that five individuals attended that
    meeting in person, that eighteen individuals attended by telephone, and that all the persons who
    attended voted in favor of the resolutions. However, the evidence produced by the Thomas
    Group showed that nothing in the Church’s bylaws allowed members to attend a meeting by, or
    to vote by, telephone.     We also note that there is no statutory authority applicable to
    18
    unincorporated nonprofit associations that permits a meeting to be held by, or voting by,
    telephonic means. See TEX. BUS. ORGS. CODE ANN. §§ 252.001–.018.11
    Nevertheless, this issue could not be resolved merely by determining whether a majority
    of members validly voted in favor of the July 21 Resolutions. An independent congregational
    church, such as this one, may be governed “either by a majority of its members or such other
    local organism as it may have instituted for the purpose of ecclesiastical government.” Watson v.
    Jones, 
    80 U.S. 679
    , 724 (1871). The Court explained:
    If the principle of government in such cases is that the majority rules, then the
    numerical majority of members must control the right to the use of the property.
    If there be within the congregation officers in whom are vested the powers of such
    control, then those who adhere to the acknowledged organism by which the body
    is governed are entitled to the use of the property.
    Id. at 725. In other words, if a congregational church has organizational documents that establish
    a governing body and offices and the procedure for selecting those offices, then it is not simply a
    majority vote of the members on an issue that controls. Rather, if the organizational documents
    give the governing body authority to decide an issue or provide for a process other than the
    majority vote of the members, then the governing body’s decision or the results of a properly
    followed process, not the majority vote of the members, controls. The difficulty for the civil
    courts, as we have seen, arises when the organizational documents do not address the issue or
    11
    Chapter 6 of the Texas Business Organizations Code authorizes organizations subject to that chapter, under certain
    conditions, to hold meetings and vote by telephone conference or by another suitable electronic communications
    system. TEX. BUS. ORGS. CODE ANN. § 6.002. However, only chapters 1, 4, 10, 252, and in some instances, chapter
    5, of the Texas Business Organizations Code apply to or govern an unincorporated nonprofit association. TEX. BUS.
    ORGS. CODE ANN. § 252.017. The Cosby Group contends that the Church is an unincorporated nonprofit
    association, which the Thomas Group has not disputed.
    19
    when the organizational documents couch the authority of the governing body on religious
    concepts.
    In this case, the Church’s bylaws established an ecclesiastical government that includes
    the pastor and the deacon board and set forth, at least in part, the process by which these
    positions are filled. We have already discussed the bylaws’ provision for selecting a pastor. The
    bylaws also address the selection of a number of other offices: deacon candidates are vetted by
    the board of deacons, interviewed by both the board of deacons and the pastor, and only on
    agreement by the pastor and board of deacons are submitted to the members; trustees are
    nominated through the pastor and the board of deacons; the minister of music is selected on the
    recommendation of the pastor and approval of the board of directors;12 and support staff are
    selected by the pastor and board of directors and approved by the members. In addition, the
    bylaws do not expressly provide for filling any office in the Church simply by nomination and
    election by the members. And regarding how members of the finance committee and the
    signatories on the Church’s bank accounts are selected, the bylaws are silent.
    Further, Thomas testified that the board of deacons determines the signatories on the
    bank accounts, then gets the approval of the members. As with the issue of termination of the
    pastor, determining whether the deacon board has this authority would require the court to
    resolve a theological question.
    12
    The bylaws do not provide any details regarding a board of directors but refer to that board in several places. It is
    unclear whether the referenced board of directors is a misnomer for the board of deacons.
    20
    Consequently, since the bylaws do not address how the members of the finance
    committee and the signatories on the Church’s bank accounts are selected, the trial court could
    not resolve the issue merely by applying the neutral-principles methodology, and resolving the
    issue “risks judicial entanglement with [the C]hurch’s conclusions regarding its own rules,
    customs, or laws,” which is prohibited by the First Amendment.13 Lubbock, 624 S.W.3d at 513;
    see also Truelove, 446 S.W.3d at 94.
    Just as importantly, the plea to the jurisdiction asserted that individuals who were not
    members of the Church participated in the July 21 Meeting and in passing the July 21
    Resolutions, which placed in issue whether a majority of members had voted in favor of the July
    21 Resolutions. As we previously noted, the evidence showed that the Thomas Group claims
    that there are thirty-nine active members, and the Cosby group claims that there are thirty-six
    active members. Of the twenty-three persons identified as having voted in favor of the July 21
    Resolutions, six do not appear on the Thomas Group’s list of active members. If those six
    persons were not members, then the number of members voting in favor of the resolutions was
    seventeen, which would be less than a majority under either list.
    That being the case, to determine whether a majority voted in favor of the July 21
    Resolutions, the court would have to first determine whether those six persons were members of
    the Church. The bylaws set forth three ways to become a member of the Church: (1) “[a]
    profession of faith in Jesus Christ as one’s personal Saviour and Lord and believer’s baptism by
    13
    In its response, the Cosby Group characterizes this case as a church split or schism and argues that the
    ecclesiastical abstention doctrine does not usually apply concerning which faction of a church is entitled to property
    following a split or schism. However, neither the Cosby Group’s pleadings nor the evidence supports its contention
    that there was a church split or schism. Rather, its pleadings and the evidence show that this case involved an
    internal dispute among the members regarding the governance of the Church.
    21
    immersion in water by this church”; (2) “by letter from a church of like faith and practice
    attesting to this”; and (3) “by the believer’s statement when no letter is available after due
    examination of salvation and scriptural baptism in another church of like faith and practice.”
    Thus, to determine if these six persons were members of the Church, the court would be required
    to determine what is a profession of faith, what is a church of like faith and practice, or what is a
    due examination of salvation and scriptural baptism. Yet all of these are theological questions
    reserved for the church that the courts are barred from considering by the First Amendment. See
    Watson, 80 U.S. at 730 (courts cannot decide who should be members of a church); Episcopal
    Diocese of Fort Worth v. Episcopal Church, 
    602 S.W.3d 417
    , 432–33 (Tex. 2020) (courts must
    defer to the church’s ecclesiastical determination of which members are in good standing); Singh
    v. Sandhar, 
    495 S.W.3d 482
    , 489 (Tex. App.—Houston [14th Dist.] 2016, no pet.) (issues of
    denial of membership rights and removal from church’s membership list are “exactly the type of
    ecclesiastical matter[s] into which the civil courts cannot constitutionally intervene”); Retta v.
    Mekonen, 
    338 S.W.3d 72
    , 77 (Tex. App.—Dallas 2011, no pet.) (“The question of who may be
    admitted and who may be excluded from a house of worship is a religious question.”).14
    For these reasons, we find that the ecclesiastical abstention doctrine applied to the Cosby
    Group’s claims asserted in its Original Petition and that the trial court was without subject-matter
    jurisdiction to enter the temporary injunction and the October 29 Order. Consequently, the
    temporary injunction and the October 29 Order, to the extent it supplemented the temporary
    14
    In its response, the Cosby Group asserts that this mandamus proceeding is improper because there is a contested
    factual issue regarding whether a majority of the members passed the July 21 Resolutions. Because the
    ecclesiastical abstention doctrine bars the trial court from making this determination, and because the Thomas
    Group’s pleas to the jurisdiction asserted this doctrine, the denial of the pleas to the jurisdiction may be properly
    asserted in a mandamus proceeding. See Lubbock, 624 S.W.3d at 512.
    22
    injunction, are void and an abuse of discretion. In re Sw. Bell Telephone Co., 35 S.W.3d at 605.
    Since the Thomas Group did not have to show that it lacked an adequate remedy on appeal, id.,
    we conditionally grant, in part, the petition for a writ of mandamus regarding the temporary
    injunction and the October 29 Order.
    The Trial Court’s Jurisdiction Over the Cosby Group’s Pending Claims and Requests for Relief
    As noted above, after the trial court entered the temporary injunction, and after the parties
    conducted additional discovery, the Cosby Group amended its petition. When the trial court
    denied the plea to the jurisdiction, the Cosby Group’s live petition asserted causes of action
    against the Thomas Group for conversion of the Church’s funds, for breach of fiduciary duty,
    and for access to the books, records, and bank statements of the Church for the past five years
    pursuant to Section 252.010 of the Texas Business Organizations Code. In addition, the Cosby
    Group sought to enjoin members of the Thomas Group from writing checks, withdrawing funds,
    or having access to any of the Church’s bank accounts, to require the Thomas Group to disclose
    all financial records of the Church for the last three or five years, to enforce the July 21
    Resolutions, and to partition the Church’s assets between the Cosby Group’s members and the
    Thomas Group’s members. The Cosby Group attached exhibits to its live pleadings in support of
    its allegations, including two lists of names of persons that the Cosby Group and the Thomas
    Group, respectively, claimed were members of the Church; affidavits of two church members
    averring to wrongdoing by Thomas; the Church’s constitution and bylaws; a copy of Thomas’s
    deposition transcript; the Thomas Group’s responses to the Cosby Group’s requests for
    production and interrogatories; and copies of the resolutions passed at the July 21 Meeting.
    23
    The Thomas Group’s plea to the jurisdiction filed in response to the Cosby Group’s live
    pleading contended that both the Cosby Group’s pleadings and the jurisdictional facts showed
    that the trial court’s jurisdiction over the Cosby Group’s claims and request for injunctive relief
    was barred by the ecclesiastical abstention doctrine. The Thomas Group attached copies of
    Broadnax’s deposition and the July 21 Resolutions to its plea to the jurisdiction.15 We address
    the Cosby Group’s claims and requests for relief separately.
    A. Request to Enjoin the Thomas Group from Writing Checks, Withdrawing Funds, or
    Having Access to Any of the Church’s Bank Accounts, to Enforce the July 21 Resolutions,
    and to Partition the Church’s Assets Between the Cosby Group’s Members and the
    Thomas Group’ Members
    As in its Original Petition, the Cosby Group’s live pleading sought to enjoin the members
    of the Thomas Group from writing checks, withdrawing funds, or having access to any of the
    Church’s bank accounts, to enforce the July 21 Resolutions, and to partition the Church’s assets
    between the Cosby Group’s members and the Thomas Group’ members. The live pleadings in
    support of these requests alleged that, on July 21, 2020, a majority of the members passed
    resolutions setting up new members of a finance committee to control the Church’s finances but
    that the Thomas Group had refused to abide by the resolutions and claimed that they were
    improperly enacted. The Cosby Group attached the July 21 Resolutions and the Church’s
    bylaws in support of these allegations.
    These allegations and requests for relief are almost identical to those contained in the
    Cosby Group’s Original Petition. For the same reasons we found the lack of subject-matter
    15
    Because the trial court had not considered the Thomas Group’s prior pleas to the jurisdiction, we construe this plea
    to the jurisdiction and the attached evidence as a supplemental plea to the jurisdiction.
    24
    jurisdiction to enter the temporary injunction and the October 29 Order, we find that the trial
    court lacked subject-matter jurisdiction to grant this requested relief.              Therefore, we
    conditionally grant, in part, the writ of mandamus regarding this requested relief.
    B. Access to the Church’s Books, Records, and Bank Statements of the Church for the Past
    Five Years Pursuant to Section 252.010 of the Texas Business Organizations Code
    In this claim, the Cosby Group seeks injunctive relief to insure its access to the books and
    records of the Church. As we have previously noted, the provisions of Chapter 252 of the Texas
    Business Organizations Code apply to and govern the Church as a nonprofit association. See
    TEX. BUS. ORGS. CODE ANN. § 252.017(a). Section 252.010 requires a nonprofit association to
    “keep correct and complete books and records of account for at least three years . . . and [to]
    make the books and records available on request to members of the association for inspection
    and copying.” TEX. BUS. ORGS. CODE ANN. § 252.010.
    In Lacy, our sister court of appeals analyzed whether a request made pursuant to a similar
    statute contained in the Texas Nonprofit Corporation Code, under which the church in that case
    was incorporated, was barred by the ecclesiastical abstention doctrine. 
    132 S.W.3d at
    124–26.
    After examining the parameters of the ecclesiastical abstention doctrine, the court of appeals
    concluded that the doctrine did not apply and stated,
    The trial court was merely called on to uphold the plain language of the Act and
    ensure Lacy was allowed access to the Church’s books and records in accordance
    with the statute. This judicial function does not jeopardize the ability of religious
    organizations to establish religious doctrine or develop their internal rules and
    regulations, nor does it implicate secular interests in purely ecclesiastical matters.
    
    Id. at 126
    . Likewise, in this case, the trial court can determine if, and to what extent, the Cosby
    Group is entitled to relief by applying the plain language of Section 252.010 without risking
    25
    judicial entanglement with the Church’s conclusions regarding its own rules, customs, or laws,
    its doctrines, or its government.16 Consequently, we find that the trial court did not abuse its
    discretion in denying the plea to the jurisdiction as to this issue.
    C. Claims for Conversion and Breach of Fiduciary Duties
    The Cosby Group’s pleadings also assert claims against the Thomas Group for
    conversion of the Church’s funds spent without proper authorization and for breach of fiduciary
    duties. In support of its conversion claim, the Cosby Group alleged that Thomas had allowed
    Johnny to remain a bank signatory even though he said that Johnny had stolen funds from the
    Church and that, with the assistance of other Thomas Group members, Thomas had operated the
    Church like his own private business. In support of its claim for breach of fiduciary duties, the
    Cosby Group alleged that the Thomas Group failed to keep correct and complete financial
    records, failed to provide financial records to the Church’s members on request, and failed to
    disclose information to members about the Church’s financial condition and transactions.
    16
    Pointing to the allegations in the Cosby Group’s Original Petition, and relying on Mouton, the Thomas Group
    argues that the claims in this case, including the request for access to the books and records, all arise out of a dispute
    regarding the termination of Cosby and should be barred by the ecclesiastical abstention doctrine. In Mouton, the
    court of appeals held that the various claims asserted by the Moutons were all inextricably intertwined with the
    selection of a new pastor and the Moutons’ expulsion from membership in the church. 498 S.W.3d at 150. Notably,
    none of the Moutons’ claims related to the church’s statutory obligation to keep and provide records to its members.
    Further, although the allegations in the Original Petition are relevant to the determination of whether the trial court
    had jurisdiction to enter the temporary injunction and the October 29 Order, since it was the Cosby Group’s live
    pleading at the time those orders were entered, in considering whether the trial court had jurisdiction over the Cosby
    Group’s claims and requests for relief at the time it decided the plea to the jurisdiction, only the Cosby Group’s
    allegations in its live pleading, the second amended petition, are relevant to our analysis. See Heckman, 369 S.W.3d
    at 150 ( analysis of a plea to the jurisdiction begins with the live pleadings). The Cosby Group’s second amended
    petition does not contain any allegations regarding the election of Cosby or his exclusion from the premises.
    Therefore, we do not consider these omitted allegations in our jurisdictional analysis of the claims asserted in the
    second amended petition.
    26
    The First Amendment does not “immunize[] clergy or churches from all causes of action
    alleging tortious conduct.” Tilton v. Marshall, 
    925 S.W.2d 672
    , 677 (Tex. 1996). If the alleged
    tort can be established without reference to a church’s or its ministers’ doctrines, religious
    beliefs, church discipline, or governance, then the claim will not be barred by the First
    Amendment. See id. at 679 (claim of fraud based on defendant’s alleged false representations
    that he would personally read, touch, and pray over plaintiffs’ prayer requests not barred by First
    Amendment); Libhart v. Copeland, 
    949 S.W.2d 783
    , 789, 794 (Tex. App.—Waco 1997, no writ)
    (claims for fraud, constructive fraud, and conversion in connection with the disposition of the
    church’s assets after its dissolution not barred).     However, if the alleged tort implicates a
    church’s or its ministers’ doctrines, religious beliefs, church discipline, or governance, then the
    claim will be barred. See Westbrook, 231 S.W.3d at 399–400 (claim for professional negligence
    based on conduct involving church discipline of its members barred by First Amendment);
    Tilton, 925 S.W.2d at 679–80 (claim of fraud based on defendant’s alleged false statements of
    religious doctrine or belief barred by First Amendment); In re Godwin, 
    293 S.W.3d 742
     (Tex.
    App.—San Antonio 2009, orig. proceeding [mand. denied]) (claims for intentional infliction of
    emotional distress, defamation, and fraud barred by ecclesiastical abstention doctrine because
    required inquiry into church doctrine, discipline, and beliefs).
    Based on the record before us, we cannot say that the Cosby Group’s claims for
    conversion and breach of fiduciary duties are barred by the ecclesiastical abstention doctrine.
    Regarding its claim for conversion, the Cosby Group’s allegations are general and will require
    discovery to flesh out the bases for its claim. As the evidence is developed, the Cosby Group
    27
    may rely on evidence that shows one or more members of the Thomas Group made one or more
    wrongful expenditures of the Church’s funds without authorization that does not implicate the
    Church’s doctrines, religious beliefs, church discipline, or governance. It may also develop that
    the Cosby Group relies on evidence of allegedly wrongful expenditures that implicate the
    Church’s doctrines, religious beliefs, church discipline, or governance, which would be barred by
    the ecclesiastical abstention doctrine. See Wolter v. Delgatto, No. 14-05-00055-CV, 
    2006 WL 664214
    , at *1 n.4, *2 (Tex. App.—Houston [14th Dist.] March 16, 2006, no pet.) (mem. op.)
    (claims for conversion and breach of fiduciary duty that implicated church’s doctrine and
    governance barred).
    Because the evidence has not been developed, we cannot say that the trial court clearly
    abused its discretion in denying the plea to the jurisdiction as to the Cosby Group’s claim for
    conversion. See Tilton, 925 S.W.2d at 680.
    The Cosby Group’s breach-of-fiduciary-duties claims appear to be based on the duties of
    the finance committee regarding the retention of certain financial records and the provision of the
    same to the members of the Church as set forth in the Church’s bylaws and in Section
    252.010(a), previously discussed. The trier of fact should be able to resolve whether one or more
    members of the Thomas Group breached duties under the Church’s bylaws or breached statutory
    duties by applying neutral principles of law to construe duties under the bylaws and the statute
    and whether any breach of those duties constituted a breach of fiduciary duties. See Lacy, 
    132 S.W.3d at
    124–26. Of course, in determining the Thomas Group’s duties under the Church’s
    bylaws, the trial court “must take special care to scrutinize the document in purely secular terms,
    28
    and not to rely on religious precepts in” making its determination. Wolf, 
    443 U.S. at 604
    . We
    find that there was not a clear abuse of discretion in the trial court’s denying the plea to the
    jurisdiction as to this issue.17
    We conditionally grant, in part, the Thomas Group’s petition for a writ of mandamus. As
    a result, we order the trial court (1) to rescind its temporary injunction dated September 8, 2020,
    and the October 29 Order (except the denial of the interpleader), (2) to enter such orders as are
    necessary to restore the Church’s funds on deposit at Texas Bank and Trust in any account to the
    Church’s account ending in 082, (3) to the extent necessary, to restore Lee Edward Thomas and
    Johnny Lee McCoy as the only persons with authority to write checks and withdraw funds from
    the Church’s account ending in 082, and (4) to dismiss the Cosby Group’s claims for injunctive
    relief to the extent they seek to enjoin the Thomas Group from writing checks, withdrawing
    funds, or having access to any of the Church’s bank accounts, to enforce the July 21 Resolutions,
    and to partition the Church’s assets between the Cosby Group’s members and the Thomas
    Group’ members. A writ will issue only if the trial court fails to act in accordance with this
    opinion.18
    Josh R. Morriss, III
    Chief Justice
    Date Submitted:               January 13, 2022
    Date Decided:                 January 14, 2022
    17
    We express no opinion as to the merits of the Cosby Group’s claims for conversion and breach of fiduciary duties.
    18
    In its response, the Cosby Group requests sanctions against the Thomas Group for filing an incomplete or
    misleading record. See TEX. R. APP. P. 52.11(c)–(d). We hereby deny the request for sanctions.
    29