New Deliverance Church, Inc. v. Adam Miller and Houssiere, Durant & Houssiere, LLP ( 2013 )


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  • Reversed and Remanded and Majority and Dissenting Opinions filed April
    25, 2013.
    In The
    Fourteenth Court of Appeals
    NO. 14-10-01127-CV
    NEW DELIVERANCE CHURCH, INC., Appellant
    V.
    ADAM MILLER AND HOUSSIERE, DURANT & HOUSSIERE, LLP,
    Appellees
    On Appeal from the 189th District Court
    Harris County, Texas
    Trial Court Cause No. 2004-70043A
    MAJORITY OPINION
    New Deliverance Church, Inc. (“the Church”) appeals from a summary
    judgment in favor of Adam Miller and Houssiere, Durant & Houssiere, LLP
    (“Houssiere”) (collectively, “appellees”). We reverse and remand.
    I. BACKGROUND
    In 2004, an explosion occurred at a chemical plant owned by HRD
    Corporation d/b/a Marcus Oil & Chemical (“HRD”). Numerous litigants filed suit
    against HRD in cause number 2004-70043 (“the Original Suit”), including the
    Church and its pastor, Janice Caslin. As discussed in more detail below, the parties
    dispute whether appellees (who are an attorney and a law firm)1 and the Church
    entered into an engagement agreement relative to this litigation.
    At the time of the explosion, the Church had granted a deed of trust on its
    property to Church Mortgage and Loan Corporation (“CMLC”) to secure a
    promissory note. CMLC intervened in the Original Suit, alleging the Church had
    assigned its interest in the litigation to CMLC.
    On February 20, 2007, Caslin and HRD attended mediation. During the
    mediation, Caslin and HRD signed a handwritten “Rule 11 & Settlement
    Agreement” (“the Rule 11 Agreement”) whereby Caslin ostensibly settled the
    Church’s claims against HRD for $300,000.2 Although CMLC was not a party to
    the Rule 11 Agreement, the agreement expresses that it is “[s]ubject to [CMLC’s]
    approval” and “Plaintiff and [CMLC] shall execute full releases and dismiss all
    claims with prejudice on or before payment.”
    The Church filed a motion to vacate the Rule 11 Agreement, claiming its
    counsel (i.e., appellees) misrepresented the nature of the settlement and pressured
    Caslin to sign the agreement. Additionally, at some point, the Church alleged
    1
    According to appellees, the Church initially signed a retention agreement with Miller,
    who then referred the Church to Houssiere. For simplicity, we will use the term “appellees,”
    even when an act was performed by Miller or Houssiere individually, unless it is necessary to
    distinguish the parties.
    2
    Additionally, Caslin and HRD signed a handwritten agreement whereby Caslin settled
    her individual claims against HRD.
    2
    HRD coerced and defrauded the Church into signing the Rule 11 Agreement.
    Appellees filed a motion to withdraw as counsel for the Church, which the trial
    court granted. Appellees intervened in the Original Suit, seeking attorney’s fees
    from the Church. Since that time, the Church has been represented by several
    different attorneys and has also attempted to represent itself through various
    Church members.
    HRD filed a traditional and no-evidence motion for summary judgment in
    which it challenged the Church’s grounds for vacating the Rule 11 Agreement and
    argued the agreement should be enforced. On May 7, 2010, the trial court granted
    HRD’s motion.
    Shortly thereafter, appellees filed a traditional motion for summary
    judgment, arguing that, pursuant to their engagement agreement with the Church,
    the Church owed them a 40% contingency fee (as well as other costs and expenses)
    of the $300,000 settlement enforced by the trial court in its May 7 summary
    judgment.    The Church filed a response to appellees’ motion for summary
    judgment, a motion to strike appellees’ plea in intervention, and an original answer
    to appellees’ plea in intervention. Appellees filed a motion to strike all three of the
    Church’s pleadings, contending the pleadings were filed by an attorney who does
    not represent the Church and the summary-judgment response was untimely.
    On July 6, 2010, the trial court granted appellees’ motion and struck the
    Church’s pleadings. The trial court also granted appellees’ motion for summary
    judgment, ordering the Church to pay appellees $139,540.80 in attorney’s fees.
    Appellees filed a motion to sever claims between them and the Church from the
    Original Suit. On August 16, 2010, the trial court granted appellees’ motion and
    transferred the claims to cause number 2004-70043A (“the Severed Suit”). HRD is
    3
    not a party to the Severed Suit. The severance effected a final judgment in the
    Severed Suit.
    II. SUMMARY JUDGMENT
    In three issues, the Church challenges the summary judgments entered in
    favor of HRD and appellees.
    A. Standard of Review
    We review a summary judgment de novo.           Valence Operating Co. v.
    Dorsett, 
    164 S.W.3d 656
    , 661 (Tex. 2005).        A party moving for traditional
    summary judgment must establish there is no genuine issue of material fact and it
    is entitled to judgment as a matter of law. See Tex. R. Civ. P. 166a(c); Provident
    Life & Accident Ins. Co. v. Knott, 
    128 S.W.3d 211
    , 215–16 (Tex. 2003). If the
    movant establishes a right to summary judgment, the burden shifts to the non-
    movant to present evidence raising a material fact issue. See M.D. Anderson Hosp.
    & Tumor Inst. v. Willrich, 
    28 S.W.3d 22
    , 23 (Tex. 2000); Centeq Realty, Inc. v.
    Siegler, 
    899 S.W.2d 195
    , 197 (Tex. 1995).
    B. Issues Pertaining to HRD
    In its first and second issues, the Church contends the trial court erred by
    granting HRD’s traditional and no-evidence motion for summary judgment,
    concluding the Rule 11 Agreement was valid and enforceable.          However, as
    explained above, HRD is not a party to the Severed Suit.        Furthermore, the
    summary judgment in favor of HRD remains an interlocutory order in the Original
    Suit. Accordingly, we may not consider the propriety of the trial court’s summary
    judgment in favor of HRD. We overrule the Church’s first and second issues.
    4
    C. Issue Pertaining to Appellees
    We begin by addressing the procedural issue of whether the Church was
    required to file a motion to strike appellees’ intervention before the Church could
    challenge the merits of appellees’ claim for contingency fees. As stated above,
    appellees joined the lawsuit by filing a plea in intervention. Under Texas Rule of
    Civil Procedure 60, “Any party may intervene by filing a pleading, subject to being
    stricken out by the court for sufficient cause on the motion of any party.” Tex. R.
    Civ. P. 60. The rule authorizes a party with a justiciable interest in a pending suit
    to intervene in the suit as a matter of right. In re Union Carbide Corp., 
    273 S.W.3d 152
    , 154–55 (Tex. 2008) (per curiam). The parties to the pending case
    may protect themselves from the intervention by filing a motion to strike. 
    Id. at 155.
      If any party to the pending suit moves to strike the intervention, the
    intervenors have the burden to show a justiciable interest in the pending suit. 
    Id. The Church
    filed a motion to strike appellees’ plea in intervention, but the
    trial court struck the Church’s motion. Accordingly, the Church may not argue
    appellees improperly intervened because they lack a justiciable interest in the
    lawsuit. Bryant v. United Shortline Inc. Assur. Servs., N.A., 
    972 S.W.2d 26
    , 31
    (Tex. 1998). However, a party’s failure to challenge the intervenor’s justiciable
    interest in the suit does not mean the intervenor automatically prevails; the
    intervenor still bears the burden of proving its claims as any other party. See, e.g.,
    Robnett v. Kirklin Law Firm, 
    178 S.W.3d 45
    , 49 (Tex. App.—Houston [1st Dist.]
    2005, no pet.) (“In moving for summary judgment under rule 166a(a) on its
    intervention claim, the firm had the burden to prove that it was entitled to judgment
    by establishing each element of its claim or defense as a matter of law.”); Inter-
    Cont’l Corp. v. Moody, 
    411 S.W.2d 578
    , 589 (Tex. Civ. App.—Houston [1st Dist.]
    1967, writ. ref’d n.r.e.) (“[When an] intervention should not be stricken[, ] . . .there
    5
    should be a hearing on the merits, under appropriate pleadings, which could, of
    course, encompass a decision of the intervenor’s rights by way of a motion for
    summary judgment.”). Thus, although the Church’s motion to strike appellees’
    plea in intervention was itself stricken, appellees still have the burden to prove
    their claim, which they chose to do via a traditional motion for summary judgment.
    In its third issue, the Church contends the trial court erred by granting
    summary judgment in favor of appellees on their claim against the Church for
    attorney’s fees. In their motion for summary judgment, appellees argued the
    Church owed them, as a contingency fee, 40% of the settlement amount approved
    and enforced by the trial court when it granted HRD’s motion for summary
    judgment.
    Appellees’ claim for contingent fees is based on a document entitled,
    “Power of Attorney and Engagement Agreement” (“the Engagement Agreement”),
    which appellees attached to their plea in intervention and motion for summary
    judgment.     The Engagement Agreement contains the following pertinent
    contingent fees provision:
    2.01 In consideration of the services rendered and to be rendered to
    the Client by the Attorneys, Client does hereby assign, grant and
    convey to the Attorneys the following present undivided interest in the
    Client’s Claims for and as a reasonable contingent fee for the
    Attorneys’ services, which fees shall be calculated upon the Total Net
    Recovery (as hereinafter defined) as follows:
    ...
    40% If settled at any time AFTER SUIT HAS BEEN FILED BUT
    PRIOR TO THE ENTRY OF A JUDGMENT BASED ON A JURY
    OR NON-JURY VERDICT.
    The Church contends on appeal that the Engagement Agreement establishes
    Caslin signed the agreement solely as “Janice F. Caslin,” which is “representative
    6
    of her individual capacity alone.” According to the Church, “There is no reference
    to Janice Caslin executing the agreement in a representative capacity for or in
    behalf of New Deliverance Church nor is there any indication giving note to
    whether Janice Caslin was acting with actual or apparent authority.” The form
    used for the Engagement Agreement has a signature block for the “CLIENT” with
    lines for “Signature,” “Name Printed,” “Client’s Address,” and “Client’s Social
    Security No[.]”
    Appellees respond that “[t]he contract entered into between Appellant and
    Appellees clearly and unambiguously identified the parties to the contract as
    including Appellant, New Deliverance Church.” Appellees assert, “Signed by
    Janice Caslin, as the Pastor, President, CEO and Representative of New
    Deliverance Church, she had authority to bind New Deliverance Church to the
    contractual terms.” According to appellees, the absence of a reference to “New
    Deliverance Church” in the signature block does not create an ambiguity “[g]iven
    the contract’s clear identification of the parties to it as including New Deliverance
    Church.”
    The following statements appear on the front page of the Engagement
    Agreement:
    This Agreement . . . is made by and between Janice Caslin / New
    Deliverance (whether one or more) hereinafter defined and referred to
    as “Client” and [Miller.]
    ...
    The Client hereby retains and employs the Attorneys to pursue and
    collect any and all claims [and damages] . . . sustained by the Client
    on or about 12-5, 2004 related to New Deliverance Church & Janice
    Caslin. The Claims are against [HRD.] For the purposes of this
    Agreement, the term “Client” shall mean and include all persons or
    other entities for whom the individual signing this Agreement is
    acting for in the capacity of an agent (by power of attorney or
    7
    otherwise), executor, administrator, guardian of the person, guardian
    of the estate, conservator, or next friend of any minor or person who is
    NCM.
    (italicized terms handwritten on the Engagement Agreement). Caslin wrote her
    initials “JC” at the bottom of each page of the Engagement Agreement except the
    final page. On the final page, Caslin signed “Janice F. Caslin” on the signature
    line for “CLIENT.” Nothing is written on the lines for “Name Printed,” “Client’s
    Address,” and “Client’s Social Security No[.]” Nothing on the signature page or in
    any other provision of the Engagement Agreement indicates what Caslin’s
    relationship was to the Church or that she signed on behalf of the Church in a
    representative capacity.
    The summary-judgment record also includes a document entitled,
    “Arrangement for a Division of Fees Between Lawyers,” which presumably
    memorialized Miller’s referral of clients to Houssiere. This agreement does not
    mention the Church and was signed only by Caslin in what appears to be her
    individual capacity.
    A court may determine as a matter of law whether an agency relationship
    exists by reviewing the agreement between the parties. Wright Group Architects-
    Planners, P.L.L.C. v. Pierce, 
    343 S.W.3d 196
    , 201 (Tex. App.—Dallas 2011, no
    pet.).    When it is apparent from the entire agreement that an officer of a
    corporation signed the contract on behalf of the corporation, it is the corporation’s
    contract. See Kourosh Hemyari v. Stephens, 
    355 S.W.3d 623
    , 628 (Tex. 2011)
    (“Anyone looking at the deed of trust, and noting that the grantor was ‘Gary Ben
    Stephens, General Partner of Stephens Group, L.P., and Stephens Group II, L.P.,’
    would readily assume that Stephens likewise signed that same document in that
    same capacity, and that the omission of the partnership designation from the
    signature line was a harmless mistake.”); 
    Pierce, 343 S.W.3d at 201
    –02 (holding
    8
    signator signed contract as representative of entity because it was clear he had a
    connection to the entity and was signing on its behalf).
    Additionally, we recognize this is not just any contract; it is a fee agreement
    between an attorney and a client. Particular considerations apply in this context.
    Lawyers must be clear in identifying the parties to the fee agreements they draft
    and present to clients. See Anglo-Dutch Petroleum Int’l, Inc. v. Greenberg Peden,
    P.C., 
    352 S.W.3d 445
    , 450 (Tex. 2011). “Because a lawyer’s fiduciary duty to a
    client covers contract negotiations between them, such contracts are closely
    scrutinized.” 
    Id. “Part of
    the lawyer’s duty is to inform the client of all material
    facts.”   
    Id. “And so
    that this responsibility is not a mere and meaningless
    formality, the lawyer must be clear.” 
    Id. “Clarity in
    fee agreements is certainly
    important to clients.” 
    Id. “Only reasonable
    clarity is required, not perfection; not
    every dispute over the contract’s meaning must be resolved against the lawyer.”
    
    Id. at 451.
    “But the object is that the client be informed, and thus whether the
    lawyer has been reasonably clear must be determined from the client’s
    perspective.” 
    Id. It is
    not clear from the four corners of the Engagement Agreement whether
    Caslin signed on behalf of the Church or only on behalf of herself individually. No
    language indicating a representative capacity appears by Caslin’s signature. Cf. 
    id. at 452
    (determining that, viewed from client’s perspective, lawyer’s signature on
    attorney-client fee agreement in a signature block which listed law firm’s name
    above lawyer’s signature reasonably indicated client was contracting with law firm
    rather than contracting with the lawyer individually). The Engagement Agreement
    references the “Client’s Social Security No[.]”; this language suggests
    representation of an individual rather than the Church, which does not have a
    social security number. Viewed from the client’s perspective, as required under
    9
    Anglo-Dutch, the fee agreement drafted by appellees is not clear as to whether
    Caslin signed in her individual capacity and thus does not conclusively establish
    appellees’ claim for contingency fees.
    In addition to arguing on appeal that the Engagement Agreement
    conclusively established their right to attorney’s fees, appellees advance several
    reasons the Church is precluded from contending it was not a party to the
    Engagement Agreement. First, appellees argue the Church did not file a verified
    denial of Caslin’s agency. Under Texas Rule of Civil Procedure 93(7), a defendant
    is required to file a verified denial if he denies “execution by himself or by his
    authority of any instrument in writing, upon which any pleading is founded, in
    whole or in part and charged to have been executed by him or by his authority.”
    Tex. R. Civ. P. 93(7).
    In their plea in intervention, appellees attach and incorporate the
    Engagement Agreement. As noted above, this attorney-client fee agreement does
    not clearly identify whether client Caslin signed in an individual capacity, in her
    capacity as a representative of the church, or in both capacities. In their plea in
    intervention, appellees allege they are entitled to 40% of the Church’s settlement
    but do not specify their basis for this allegation. This basis could be based on the
    contention someone executed the Engagement Agreement on behalf of the Church
    or the contention the Church ratified the agreement; appellees argue both bases on
    appeal.
    Additionally, we recognize some courts of appeals have held Rule 93(7)
    does not mandate a verified denial when the plaintiff does not allege that the
    defendant executed the subject contract. See Barnwell v. Fox & Jacobs Constr.
    Co., 
    469 S.W.2d 199
    , 205 (Tex. Civ. App.—Dallas 1971, no writ) (“An
    examination of [plaintiff’s] pleadings, however, reveals that nowhere therein is it
    10
    alleged that the invoice, or invoices, charged to be the contract between the parties,
    was executed by [defendant]. Since there were no allegations as provided for in
    [Rule 93(h), predecessor of Rule 93(7)] it necessarily follows that there was no
    necessity for verified denial.”); Woods v. P. B. S. Motor Co., 
    288 S.W.2d 557
    ,
    557 (Tex. Civ. App.—Texarkana 1956, no writ) (“Appellee did not specifically
    allege that the contracts sued upon were in writing or that they were executed by
    the appellant.   Therefore, it was not necessary to deny the execution of the
    instruments under oath as required by Rule 93.”); see also Nelson v. Enriquez, 
    373 S.W.2d 566
    , 568–69 (Tex. Civ. App.—Eastland 1963, no writ) (“After considering
    the allegations in appellee’s petition and the contract attached thereto, we have
    concluded it was not necessary for appellants to deny under oath the matters set
    forth.”).
    Accordingly, under the specific circumstances of this dispute over an
    attorney-client agreement, we determine Rule 93(7) does not mandate a verified
    denial. We do not address other circumstances not presented by the facts of this
    case.
    Appellees also argue the Church waived any contention with respect to the
    capacity in which Caslin signed because the Church did not plead ambiguity. We
    reject this contention because a determination regarding the identities of the parties
    to the Engagement Agreement is appropriate regardless of whether the Church
    pleaded ambiguity.     See Sage St. Assocs. v. Northdale Constr. Co., 
    863 S.W.2d 438
    , 444–45 (Tex. 1993); Watkins v. The Krist Law Firm, P.C., No. 14–02–00291–
    CV, 
    2003 WL 21786173
    , at *3–5 (Tex. App.—Houston [14th Dist.] Aug. 5, 2003,
    pet. dism’d) (mem. op.); City of Bunker Hill Vill. v. Mem’l Vills. Water Auth., 
    809 S.W.2d 309
    , 310–11 (Tex. App.—Houston [14th Dist.] 1991, no writ).
    11
    Next, appellees contend the Church judicially admitted it retained appellees
    by stating in pleadings that it had terminated appellees. Appellees also note Caslin
    averred in an affidavit that appellees represented her and the Church in February
    2007. Appellees did not mention these purported admissions in their motion for
    summary judgment.       Furthermore, even if we consider these statements and
    construe them as judicial admissions, they are merely evidence that appellees
    represented the Church at some point but do not establish the Church was a party
    to the Engagement Agreement.
    Appellees argue evidence in the record (but not attached to their motion for
    summary judgment nor referenced therein) proves the Church ratified the
    Engagement Agreement. However, because appellees did not raise ratification in
    their motion for summary judgment, we will not consider it on appeal.           See
    Wasserberg v. 84 Lumber Co., L.P., No. 14-10-00136-CV, 
    2011 WL 3447493
    , at
    *4 (Tex. App.—Houston [14th Dist.] Aug. 9. 2011, no pet.) (mem. op.).
    Finally, appellees argue the trial court could have considered their motion
    for summary judgment unopposed because the trial court struck the Church’s
    response to the motion. In support, appellees cite rule 3.3.2 of the Harris County
    District Courts RULES of the CIVIL TRIAL DIVISION: “Failure to file a
    response may be considered a representation of no opposition.” However, a local
    rule may not conflict with the Texas Rules of Civil Procedure and cannot be used
    to decide the merits of a claim. Valls v. Johanson & Fairless, L.L.P., 
    314 S.W.3d 624
    , 629 n.5 (Tex. App.—Houston [14th Dist.] 2010, no pet.). We cannot apply
    rule 3.3.2 in such a fashion as to trump Texas Rule of Civil Procedure 166a(c),
    which obligates the traditional summary-judgment movant to prove his entitlement
    to summary judgment. 
    Id. 12 Accordingly,
    the trial court erred by granting summary judgment because
    appellees failed to conclusively establish that they and the Church entered into the
    Engagement Agreement.3 We sustain the Church’s third issue.
    We reverse the trial court’s judgment and remand for further proceedings
    consistent with this opinion.
    /s/     John Donovan
    Justice
    Panel consists of Justices Boyce, McCally, and Donovan.                    (McCally, J.,
    dissenting).
    3
    Because we conclude appellees did not conclusively establish Caslin signed the
    Engagement Agreement on behalf of the Church, we need not consider appellees’ argument that
    Caslin had actual and apparent authority to sign the agreement as the Church’s agent.
    13