Court Opinion

ID: 2701889
Source: CourtListenerOpinion
Date Created: 2014-08-04 19:42:45.433984+00
Date Added: 2024-06-11T09:46:45.063198
License: Public Domain

[Cite as Cantie v. Hillside Plaza, 2014-Ohio-822.]

                     Court of Appeals of Ohio
                                EIGHTH APPELLATE DISTRICT
                                   COUNTY OF CUYAHOGA

                               JOURNAL ENTRY AND OPINION
                                        No. 99850

                                       LOUISE CANTIE
                                                           PLAINTIFF-APPELLEE

                                                     vs.

                              HILLSIDE PLAZA, ET AL.
                                                           DEFENDANTS-APPELLANTS

                                         JUDGMENT:
                                      AFFIRMED IN PART;
                                      DISMISSED IN PART

                                       Civil Appeal from the
                              Cuyahoga County Court of Common Pleas
                                       Case No. CV-791812

              BEFORE:           Blackmon, J., S. Gallagher P.J., and Kilbane, J.

              RELEASED AND JOURNALIZED:                         March 6, 2014
ATTORNEYS FOR APPELLANTS

Bret C. Perry
Jennifer R. Becker
Jason A. Paskan
Donald J. Richardson
Bonezzi Switzer Polito & Hupp
1300 East 9th Street
Suite 1950
Cleveland, Ohio 44114

ATTORNEYS FOR APPELLEE

Blake A. Dickson
Meghan P. Connolly
Jacqueline M. Mathews
Mark D. Tolles, II
The Dickson Firm, L.L.C.
Enterprise Place, Suite 420
3401 Enterprise Parkway
Beachwood, Ohio 44122
PATRICIA ANN BLACKMON, J.:

       {¶1} Appellants Euclid Hill Health Investors, Inc., d.b.a. Hillside Plaza and

DMD Management, Inc., d.b.a. Legacy Health Services (collectively referred to as

appellants) appeal the trial court’s denial of their motion to dismiss the complaint of

appellee Louise Cantie, personal representative of the Estate of James Cantie (“the

estate”), and the trial court’s refusal to stay the matter for arbitration. Appellants assign

the following three errors for our review:

       I. The trial court lacks subject matter jurisdiction over this case consistent
       with the Ninth District’s decision in Heller v. Pre-Paid Legal Services, Inc.

       II. The arbitration agreement at issue herein is neither procedurally or
       substantially unconscionable, therefore, a valid and enforceable arbitration
       agreement has been executed.

       III. The arbitration provision applies to all claims including wrongful death
       pursuant to the Supreme Court of the United State’s decision in Marmet.

       {¶2} Having reviewed the record and relevant law, we affirm the trial court’s

denial of the motion to stay and dismiss appellants’ appeal of the denial of the motion to

dismiss for lack of a final appealable order. The apposite facts follow.

                                             Facts

       {¶3} This case arises from the treatment and care provided to James Cantie

(“Cantie”) while he was a resident of Hillside nursing home. Prior to Cantie’s admission

to Hillside on August 30, 2011, his son was required to sign an admission agreement on

behalf of Cantie. Cantie’s son, Mark Cantie, signed the agreement without reading it and

claims he was told it was a mere formality in order for his father to be admitted. The
agreement is a 12-page document. On page nine of the agreement, there is an arbitration

provision that stated Cantie agreed to submit any claims against Hillside to arbitration.

       {¶4} On October 6, 2011, Cantie passed away. On September 20, 2012, the

estate filed a complaint against appellants alleging that they were negligent in their care

and treatment of Cantie and that the negligence was the proximate cause of his death.

       {¶5} On November 20, 2012, the appellants filed a motion to dismiss the

complaint contending the medical affidavit the estate attached to its complaint was

insufficient. The trial court denied the motion. Pending the court’s ruling on their

motion to dismiss, the appellants filed an answer on November 21, 2012, in which they

failed to raise as an affirmative defense that the matter was subject to arbitration. On

December 13, 2012, the appellants filed an amended answer, with leave of the court, in

which they raised the affirmative defense of arbitration.

       {¶6} A case management conference was conducted on January 3, 2013, where

the court set forth the discovery cut off and due dates for expert reports. A trial date was

set for September 18, 2013. No mention is made in the order regarding a briefing

schedule regarding the arbitration provision.

       {¶7} On January 11, 2013, the estate filed a motion to compel the appellants to

respond to its discovery requests that it propounded on November 13, 2012.         The trial

court granted appellants’ motion to allow them until February 1, 2013, to respond to the

discovery requests. On January 31, 2013, the appellants filed a “Notice of Submission of
Discovery Responses” to Plaintiff in which they stated that they responded to over 200

interrogatories and produced over 1,740 pages of documents.

       {¶8} On February 4, 2013, the estate filed a motion for a protective order

regarding some of the appellants’ request for admissions, which it claimed were

inappropriate and harassing. The trial court granted the order regarding the first and

second requests for admissions.

       {¶9} On March 5, 2013, the appellants filed a “motion to dismiss for lack of

subject matter jurisdiction or, in the alternative, motion to stay proceedings and

compel/enforce arbitration,” which was opposed by the estate. On April 11, 2013, the

trial court denied the motion without opinion.

                  Denial of Motion to Stay and Compel Arbitration

       {¶10} We will address appellants’ second and third assigned errors first. We will

discuss them together because they both concern the trial court’s denial of their motion to

stay and compel arbitration. The appeal of the denial of the motion to stay and compel

arbitration is a final appealable order. R.C. 2711.02(C); Kelm v. Kelm, 73 Ohio App.3d

395, 597 N.E.2d 535 (10th Dist.).1

       1
        During oral argument, we discussed whether apparent authority was an
issue based on the son’s signing the agreement. Because the son checked off a box
in the agreement representing he had a power of attorney and because no evidence
was submitted suggesting the power of attorney was invalid, this court’s decisions
in Tedeschi v. Atrium Ctrs., L.L.C., 8th Dist. Cuyahoga No. 97647, 2012-Ohio-2929,
and Templeman v. Kindred Healthcare, Inc., 8th Dist. Cuyahoga No. 99618,
2013-Ohio-3738, do not apply.
       {¶11} We conclude that whether the arbitration provision is substantively and

procedurally conscionable is irrelevant because by actively engaging in litigation, the

appellants waived their right to arbitration.

        {¶12} It is well settled that a party may waive any of its contractual rights,
including the right to arbitration. Thornton v. Haggins, 8th Dist. Cuyahoga No. 83055,
2003-Ohio-7078; Hogan v. Cincinnati Fin. Corp., 11th Dist. Trumbull No. 2003-T-0034,
2004-Ohio-3331. “‘The essential question is whether, based on the totality of the
circumstances, the party seeking arbitration has acted inconsistently with the right to
arbitrate.’” Thornton, quoting Harsco Corp. v. Crane Carrier Co., 122 Ohio App.3d
406, 701 N.E.2d 1040 (3d Dist.1997).

       To determine whether a defendant acted inconsistently with arbitration, the
       court should consider: (1) any delay in the requesting party’s demand to
       arbitrate via a motion to stay judicial proceedings and an order compelling
       arbitration; (2) the extent of the requesting party’s participation in the
       litigation prior to its filing a motion to stay the judicial proceeding,
       including a determination of the status of discovery, dispositive motions,
       and the trial date; (3) whether the requesting party invoked the jurisdiction
       of the court by filing a counterclaim or third-party complaint without asking
       for a stay of proceedings; and (4) whether the non-requesting party has been
       prejudiced by the requesting party’s inconsistent acts.

 Id.; see also Skerlec v. Ganley Chevrolet, Inc., 8th Dist. Cuyahoga No. 98247,

2012-Ohio-5748;     Hausser & Taylor v. Accelerated Sys. Integration, Inc., 8th Dist.

Cuyahoga No. 84748, 2005-Ohio-1017, ¶ 20.

       {¶13} The question of whether a party has waived the right to arbitration is a

matter directed to the sound discretion of the trial court. Church v. Fleishour Homes,

172 Ohio App.3d 205, 2007-Ohio-1806, 874 N.E.2d 795, ¶ 79 (5th Dist.) In order for a

trial court to have abused its discretion, there must be “more than error of law or

judgment.” Blakemore v. Blakemore, 5 Ohio St.3d 217, 219, 450 N.E.2d 1140 (1983).
Abuse of discretion “implies that the court’s attitude is unreasonable, arbitrary, or

unconscionable.” Id.

       {¶14} We conclude the trial court could have rationally concluded that the

appellants waived arbitration. Appellants failed to seek enforcement of the arbitration

provision until March 4, 2013, nearly six months after the case was filed. Before filing

the motion to stay, appellants filed their answer to the complaint without raising

arbitration as an affirmative defense and sought dismissal on grounds other than

arbitration. Appellants eventually filed an amended answer on December 13, 2012, in

which they alleged arbitration as an affirmative defense, but they did not demand

arbitration at this time but waited almost three months before filing their motion to stay

and compel. In fact, shortly after filing leave to amend their answer to add the defense,

the trial court conducted a case management conference where it set discovery and expert

report dates and the trial date. No mention is made regarding briefing of the arbitration

issue, which indicates that the appellants were pursuing a litigation schedule.

       {¶15} Additionally, the appellants actively engaged in litigation. The parties had

propounded written discovery requests. Both parties responded to each other’s requests

producing thousands of pages of documents.           The appellants also conducted the

depositions of Louise Cantie and Mark Cantie. Appellants responded to the estate’s

motion to compel, and the estate filed a protective order regarding the appellants’ request

for admissions, which the appellants opposed. Moreover, an eight-page letter attached to

the estate’s motion opposing the stay shows that on February 20, 2013, the parties had an
extensive meeting regarding pending discovery matters. These activities all occurred

after the appellants had filed their amended answer raising arbitration as an affirmative

defense.

       {¶16} Whether the nonmoving party was prejudiced is only a factor to be

considered and not necessary for finding waiver occurred. U.S. Bank v. Wilkens, 8th

Dist. Cuyahoga No. 93088, 2010-Ohio-262, ¶ 43. However, given the extent of the

discovery and preparation for trial, the estate would have been prejudiced if the matter

were to be referred to arbitration given the time devoted to preparing for trial.

       {¶17} Appellants argue that this case is similar to that of U.S. Bank v. Wilkens,

8th Dist. Cuyahoga No. 93088, 2010-Ohio-262, where this court held that waiver of

arbitration did not occur in spite of the bank not raising arbitration until five months after

originally answering and after participating in “insignificant” discovery.          Whether a

party waived their right to arbitrate is dependent on the facts of that particular case.

Phillips v. Lee Homes, 8th Dist. Cuyahoga No. 64353, 1994 Ohio App. LEXIS 596 (Feb.

17, 1994). We find the facts are distinguishable from the case herein.

       {¶18} In Wilkens, this court found that the bank’s late request for arbitration and

participation in discovery did not waive its right to arbitration because the discovery

process is what alerted the bank to the arbitration provision. We held,

       It was through the initial discovery process that U.S. Bank found the
       arbitration rider — and when it did, it notified the Wilkenses’ attorney
       immediately. If it had not done so, and continued to participate in
       discovery and litigation, it would have been more of a factor.
       {¶19} In the instant case, the appellants continued to engage in discovery even

after amending their answer to include the defense of arbitration. There is also no

evidence that the appellants, who drafted the admission agreement, were not aware of the

arbitration provision until discovery was conducted.

       {¶20} In Wilkens, we found the fact that the trial court issued a scheduling order

based on litigation was not a critical factor because the bank requested the court to amend

the schedule when it filed its motion to compel arbitration. No such request was made in

the instant case. Thus, because the facts of the Wilkens case differ from those in the

instant case, we find Wilkens distinguishable.

       {¶21} Accordingly, appellants’ second and third assigned errors are overruled.

                               Denial of Motion to Dismiss

       {¶22} In their first assigned error, the appellants argue the trial court erred by

denying their motion to dismiss for lack of subject matter jurisdiction.

       {¶23} Under R.C. 2505.02(B), an order is a final, appealable order if it satisfies

each part of a three-part test: (1) the order must either grant or deny relief sought in a

certain type of proceeding, which the General Assembly calls a “provisional remedy,”

(2) the order must both determine the action with respect to the provisional remedy and

prevent a judgment in favor of the appealing party with respect to the provisional remedy,

and (3) the reviewing court must decide that the party appealing the order would not be

afforded a meaningful or effective remedy by an appeal following final judgment.
Sinnott v. Aqua-Chem, Inc., 116 Ohio St.3d 158, 2007-Ohio-5584, 876 N.E.2d 1217, ¶

16; State v. Muncie, 91 Ohio St.3d 440, 446, 2001-Ohio-93, 746 N.E.2d 1092.

       {¶24} A denial of a motion to dismiss is not a final appealable order because the

party can seek a remedy on appeal after a final judgment is entered.       “The rule that the

denial of a motion to dismiss is not a final order applies with equal force to motions that

challenge the subject matter jurisdiction of a court.”        Matteo v. Principe, 8th Dist.

Cuyahoga No. 92894, 2010-Ohio-120, citing to Lonigro v. Lonigro, 55 Ohio App.3d 30,

31, 561 N.E.2d 573 (2d Dist.1989); Digiantonio v. Turnmire, 173 Ohio App.3d 665,

2007-Ohio-6178, 880 N.E.2d 109 (5th Dist.). In Natl. City Commercial Capital Corp. v.

AAAA At Your Serv., Inc., 114 Ohio St.3d 82, 2007- Ohio-2942, 868 N.E.2d 663, the

Ohio Supreme Court justified this rule by noting that “[p]arties that believe an Ohio

court has wrongly asserted jurisdiction over them have a right of appeal.” Accordingly,

the appellants’ first assigned error is dismissed for lack of a final appealable order.

       {¶25} Judgment affirmed in part and dismissed in part.

       It is ordered that appellee recover from appellants the costs herein taxed.

       The court finds there were reasonable grounds for this appeal.

       It is ordered that a special mandate be sent to said court to carry this judgment into

execution.
      A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of

the Rules of Appellate Procedure.

PATRICIA ANN BLACKMON, JUDGE

SEAN C. GALLAGHER, P.J., and
MARY EILEEN KILBANE, J., CONCUR