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Volume 14, edition 5 cases

Watkins v. Basurto

 

 

MEMORANDUM OPINION

 

Court of Appeals of Texas,

Houston (14th Dist.).

Charles WATKINS, Appellant

v.

Daniel J. BASURTO, Appellee.

 

No. 14–10–00299–CV.

April 14, 2011.

 

MEMORANDUM OPINION

SHARON McCALLY, Justice.

Appellee Daniel J. Basurto sued appellant Charles Watkins and several other defendants—Sierra Grill Properties, Inc., Sierra Grill Inc., and Houston Sierra Grill Properties, Ltd. D/B/A The Tavern—for personal injuries resulting from an assault against Basurto committed by bouncers at a bar. After a bench trial, the trial court entered a judgment for money damages solely against Watkins, and the court made findings of facts and conclusions of law.

 

In two issues, Watkins argues that the evidence is legally and factually insufficient to support the trial court’s findings that Watkins was the alter ego of the entities involved in the operation of the bar and that Watkins was individually liable under a theory of negligent hiring and supervision. We reverse the trial court’s judgment and render judgment that Basurto take nothing from Watkins.

 

FACTUAL & PROCEDURAL BACKGROUND

Basurto was a frequent patron of a bar and restaurant known as The Tavern. Several business entities were involved in the operation of The Tavern. In particular, 1340 Tavern on Gray, LLC, managed the operations, money, and income of The Tavern, but another entity, Tips Blue Agave, LLC, held the liquor license and employed the staff of The Tavern. Watkins was the registered agent for, and a member of, both entities.

 

Neither of these entities was a defendant at trial. Due to Watkins’s late disclosure of Tips as the employer of The Tavern’s staff, Basurto filed a fourth amended petition adding Tips eleven days prior to trial. However, Basurto did not serve the entity, and Tips made no appearance. Basurto sought neither continuance nor sanction related to the late disclosure.

 

On December 21, 2006, Basurto witnessed and videotaped several employees at The Tavern assaulting a customer. Basurto testified that the bouncers were not happy about him videotaping the incident. He went to The Tavern the following night, and after he picked up some drinks that were not his, he was escorted out of the establishment by a manager and bartender, Josh Guzman. Basurto testified that a manager grabbed his arm and brought him outside to where two bouncers were waiting. The bouncers pulled Basurto’s shirt over his head and punched his face and chest. Guzman acknowledged that he pushed Basurto and put his hands on Basurto before the fight began.

 

Basurto pulled his shirt off so he could see, and he tried to escape the altercation. But when he lost his shirt, he yelled at the bouncers and asked for his shirt. Basurto testified that one of the bouncers ran toward him and hit him in the face. The next thing Basurto knew, he was on the ground being kicked repeatedly in the face, head, and chest while three or four men surrounded him.

 

Jacob Grove was a bouncer at The Tavern, and he was arriving for work that night when he saw Guzman escorting Basurto out of the bar. Grove testified that Basurto threw a punch at him, and so he picked up Basurto and threw him on the ground. Grove then got on top of Basurto and put his knee into Basurto’s chest. Grove testified, “I hit him,” and then, “I hit him again, you know, just to try to calm him down…. I don’t know if it was the first punch, the second punch but, you know, I hit him in the mouth. I got real bad fight bight.” Grove explained, “I laid into him…. If he’s hitting me from the bottom and scratching me, then I am going to lay into him.”  Basurto suffered from a left orbital fracture, and he required surgery to place a titanium plate underneath the skin of his face.

 

Grove also testified about an altercation he had sometime after the assault on Basurto when someone scratched Grove’s car: “I didn’t hit the kid or anything. I just slapped him…. [A]ll I did was open-hand slap him.” As a result of the latter incident, Grove was fired.

 

Grove had been previously convicted of evading arrest in a motor vehicle, driving with a suspended license, and possessing marijuana. Guzman had been convicted of some misdemeanors, but the record does not contain evidence of the subject matters of those conviction s. Watkins testified that it was not his practice to run background checks when hiring employees, and he did not run background checks on Guzman or Grove. However, he acknowledged, “[I]f I knew somebody with a criminal history, that would definitely influence my judgment to hire them.”

 

At trial, Basurto did not question Guzman on the specifics of those convictions. Basurto questioned Watkins, but Watkins was not aware of Guzman’s criminal record. For example:

 

[Basurto’s Counsel]: Do you know Mr. Guzman has been convicted of assault causing bodily injury?

 

[Watkins]: No idea.

 

This exchange shows that Watkins was not aware of whether Guzman was convicted of assault, but it is not evidence that Guzman was actually convicted of assault. See Brown v. State, 477 S.W.2d 617, 620 (Tex.Crim.App.1972) (explaining, in context of proper form of questions to test knowledge of reputation witness, “have you heard” and “did you know” questions are not themselves substantive evidence of prior conduct); Kercho v. State, 948 S.W .2d 34, 37 (Tex.App.—Houston [14th Dist.] 1997, pet. ref’d) (“Questions do not amount to evidence.”).

 

Lucy Anderson, a waitress and bartender at The Tavern, explained that there had been some other fights at The Tavern in 2006, but she did not give details about any of the incidents. Watkins testified that he would be informed about any incidents, such as a fight, at a weekly meeting that occurred on a Monday. He also testified that there was no standard procedure for notifying him about fights, but he was notified the night of the assault of Basu rto. He explained that it was “normal procedure” to press charges against patrons who attacked bouncers.

 

Watkins explained that The Tavern did not require any specific training for bouncers on what to do if combat erupted between a bouncer and a customer. Although he testified that he instructed employees to call police if a customer refused to leave the establishment, he acknowledged, “[H]onest to God, it’s a hard thing to get people to do, call police when something hasn’t really started yet because it’s, like, make them leave.” Bryan Jugo, a bouncer at the bar who was also involved in the assault on Basurto, testified that there was no specific training, instruction, or policy about hitting a customer.

 

Watkins also testified about the business entities involved in The Tavern’s operation. Tips had no income other than payments from 1340 Tavern for the subcontracting of Tips employees and the use of the liquor license. Watkins testified that there were good years and bad years, and sometimes there were losses.

 

The trial court rendered a final judgment in favor of Basurto and entered findings of facts and conclusions of law as follows:

 

Findings of Facts

1. This was a dispute between Plaintiff Daniel Basurto (hereinafter “Plaintiff”) and Defendant owner Charles Watkins of the Tavern on Gray (hereinafter “the Tavern”)

 

2. It was the duty of the court, as the fact finder, to weigh the credibility of witnesses. During the course of trial, through the demeanor of witnesses, it revealed evidence negating the actual words spoken and recorded in the transcript.

 

3. Any finding of fact that should be characterized as a conclusion of law is deemed a conclusion of law.

 

4. The Court finds that Plaintiff was a patron to the Tavern on the night of December 22, 2006, and the Tavern was owned and managed by Defendant Charles Watkins. On the evening in question, Plaintiff was viciously assaulted by the staff of the Tavern. As a result of this attack, Plaintiff suffered a left orbital fracture. The Court finds that Plaintiff incurred reasonable and necessary medical expenses as the result of the assault.

 

5. The Court finds that Charles Watkins is individually liable for the conduct of the staff of the Tavern because he had actual and/or constructive notice of the dangerous propensities of the staff members. Additionally, Mr. Watkins took no steps to perform criminal background checks on the bouncers and provided no training to these individuals. Adequate evidence of prior assaults by his bouncers and his knowledge of assaults was presented to the Court.

 

6. The court finds that Bouncer Jacob Grove admitted to assault [sic] Plaintiff while he was on the ground during cross examination. Jacob Grove had an extensive criminal history and had been involved in altercations prior to this incident. Charles Watkins was or should have been aware of his violent tendencies.

 

7. Conclusions of Law

 

8. The Court concludes that the injuries and consequent damages proximately sustained by Plaintiff were 75% proximately caused by Defendant Charles Watkins, and 25% caused by the Plaintiff.

 

9. The Court concludes that Defendant Charles Watkins was negligent and failed to do what a reasonably prudent person would have done under the same or similar circumstances.

 

10. The Court finds that no reasonable prudent person under the same or similar circumstances as those faced by Defendant Charles Watkins would have made the same decisions as Defendant Charles Watkins based on Defendant Charles Watkins’ perception of the facts.

 

11. Additionally, the court finds that Defendant Charles Watkins is the alter-ego of all his business establishments and Defendants by his extensive control.

 

12. The court concludes that Plaintiff has proven by a preponderance of the evidence the following sums of damages, which if paid now in cash, would fairly and reasonably compensate Plaintiff and such damages were proximately caused by the negligent conduct of Defendants.

 

 

Physical pain Plaintiff sustained in the past:  $20,000.00

Physical pain Plaintiff will sustain in the future:        $10,000.00

Mental anguish Plaintiff sustained in the past:           $15,000.00

Mental anguish Plaintiff will sustain in the future:     $5,000.00

Reasonable and Necessary Past medical bills:            $19,000.00

Total:   $69,000.00

 

 

13. The court finds that Plaintiff shall recover from Defendant Charles Watkins all taxable court costs incurred.

This appeal followed.

 

ANALYSIS

A. Standard of Review

Under a legal sufficiency review, we must determine whether the evidence would enable a reasonable and fair-minded person to reach the finding under review.   City of Keller v. Wilson, 168 S.W.3d 802, 827 (Tex.2005). A legal sufficiency challenge must be sustained when (1) the record shows a complete absence of evidence of a vital fact, (2) the court is barred from giving weight to the only evidence offered to prove a vital fact, (3) the evidence offered to prove a vital fact is no more than a mere scintilla, or (4) the evidence establishes conclusively the opposite of the vital fact. Id. at 810; Wiese v. Pro Am Servs., Inc., 317 S.W.3d 857, 860 (Tex.App.-Houston [14th Dist.] 2010, no pet.). We credit favorable evidence if reasonable fact finders could and disregard contrary evidence unless reasonable fact finders could not. Wilson, 168 S.W.3d at 827. We must assume that the fact finder resolved all conflicts in the evidence and made all credibility determinations in favor of the verdict. Id. at 819–20. We also accept as true all facts that are uncontroverted on appeal. See TEX.R.APP. P. 38.1(f) (“In a civil case, the court [of appeals] will accept as true the facts stated [in appellant’s statement of facts] unless another party contradicts them.”); Davis v. Mangan, No. 14–04–00650–CV, 2005 WL 1692048, at& n. 1,(Tex.App.-Houston [14th Dist.] July 21, 2005, no pet.) (mem .op.) (citing TEX.R.APP. P. 38.1(f)) (concluding that the trial court erred in finding that the parties divorced in 1998 because it was uncontested that the parties divorced in 1993).

 

See also W. Steel Co. v. Altenburg, 206 S.W.3d 121, 124 (Tex.2006) (citing TEX.R.APP. P. 38.1(f)) (reversing the court of appeals because it evaluated the sufficiency of the evidence for the fact that Western had worker’s compensation insurance at the time of Altenburg’s injury; Western stated in its appellate brief that it had insurance, and Altenburg did not specifically dispute this fact on appeal)

 

Generally, when an appealing party seeks to challenge the sufficiency of the evidence for findings of facts entered by a trial court, the party should “direct his attack on the sufficiency of the evidence at specific findings of facts, rather than at the judgment as a whole.” Shaw v. Cnty. of Dallas, 251 S.W.3d 165, 169 (Tex.App.-Dallas 2008, pet. denied). Watkins has failed to assign error to specific findings. However, we construe his points of error liberally to fairly and equitably adjudicate his rights. See Tittizer v. Union Gas Corp., 171 S.W.3d 857, 863 (Tex.2005) (citing TEX.R.APP. P. 38.9); see also TEX.R.APP. P. 38.1(f) (“Issues Presented…. The statement of an issue or point will be treated as covering every subsidiary question that is fairly included.”). “A challenge to an unidentified finding of fact may be sufficient if we can fairly determine from the argument the specific finding of fact which the appellant challenges.” Shaw, 251 S.W.3d at 169.

 

His issues on appeal are as follows: (1) “Was the evidence presented at trial legally and factually sufficient to disregard the legal separateness between Charles Watkins and either entity involved in the operation of the Tavern?” and (2) “Was the evidence presented at trial legally and factually sufficient to support the trial court’s finding that Basurto’s injuries were caused in part by Charles Watkins [sic] negligence?”

 

Basurto does not complain of Watkins’s failure to assign error to specific findings of fact.

 

Accord Mr. W. Fireworks v. Sw. Royalty Inc., No. 11–08–00168–CV, 2010 WL 3064412, at(Tex.App.-Eastland Aug. 5, 2010, no pet.) (mem.op.); In re E.C.M., No. 07–09–00242–CV, 2010 WL 2943091, at(Tex.App.-Amarillo July 28, 2010, no pet.) (mem.op.).

 

B. Negligent Hiring and Supervision

In his second issue, Watkins argues that the evidence is legally and factually insufficient to support the finding that Watkins owed and breached a duty to Basurto, which caused Basurto’s injuries. We hold that the evidence is legally insufficient to support the finding that any breach of duty by Watkins caused Basurto’s injuries.

 

For a claim of negligence, the plaintiff must prove (1) the defendant owed the plaintiff a legal duty, (2) the defendant breached that duty, and (3) the breach proximately caused the plaintiff damages. Zarzana v. Ashley, 218 S.W.3d 152, 158 (Tex.App.-Houston [14th Dist.] 2007, pet. struck). An employer has a general duty to control its employees, id., and to adequately hire, train, and supervise employees to prevent injuries to third parties that are reasonably foreseeable. Castillo v. Gared, Inc., 1 S.W.3d 781, 786 (Tex.App.-Houston [1st Dist.] 1999, pet. denied). If an employer places its employees in a position where it is foreseeable that the employees could cause harm to third parties, the employer must take reasonable steps to prevent that harm, which may include conducting a properly tailored background investigation. Compare Read v. Scott Fetzer Co., 990 S.W.2d 732, 736–37 (Tex.1998) (holding a general contractor liable when in-home salesperson committed sexual assault after salesperson was hired without a reference or criminal history check, which would have revealed prior inappropriate sexual conduct in the workplace and a conviction for indecency with a child), with Guidry v. Nat’l Freight, I nc., 944 S.W.2d 807, 809–11 (Tex.App.-Austin 1997, no writ) (holding that a trucking company had no duty to check its driver’s criminal history for sexual misconduct to ensure long-haul truck drivers would not rape third parties when drivers stopped for a rest).

 

Because we hold that there was no evidence of causation in this case, we do not decide whether Watkins, as an LLC member who directly participated in hiring employees, individually owed Basurto a duty to competently hire and supervise The Tavern’s employees. Generally, a corporate officer is liable for his or her own negligence. Leitch v. Hornsby, 935 S.W.2d 114, 118 (Tex.1996). Without piercing the corporate veil, however, a corporate officer is only liable for the breach of a duty of care owed to third parties independent of the business’s duty. Id. at 117–18. Texas law is not yet settled on whether the agent of a corporation (or LLC) can be held individually liable for the tort of negligent hiring or supervision—in particular, whether the agent owes a duty to third parties to properly hire or supervise other agents of the principal. Compare Donaldson v. J.D. Transp. Co., No. 04–04–00607–CV, 2005 WL 1458230, at *1,(Tex.App.-San Antonio June 22, 2005, no pet.) (mem.op.) (holding that a supervisor was not individually liable for negligent hiring of an employee because of a lack of proximate cause, but noting that “the parties agree that [the supervisor] owed a duty to [the plaintiff], and that [the supervisor] violated that duty by failing to strictly comply with the federal regulations for hiring commercial truck drivers”), and Portlock v. Perry, 852 S.W.2d 578, 582–83 (Tex.App.-Dallas 1993, writ denied) (holding that the corporation’s president was not individually liable for negligent hiring of an employee because of a lack of proximate cause, but noting that the president “may have assumed a duty to hire competent [employees] when he performed the affirmative acts of hiring [the employees]”), with Allen v. Home Depot U.S.A., Inc., No. Civ.A.SA–04–0CA703XR, 2004 WL 2270001, at * 1, * 3 (W.D.Tex. Oct. 6, 2004) (citing Leitch, 935 S.W.2d 114) (holding that a store manager could not be individually liable to a customer because the manager did not owe a legal duty to the customer to properly supervise other employees responsible for securing a metal rod that injured the customer). See generally RESTATEMENT (THIRD) OF AGENCY Y § 701 cmt.d (2006) (“[A]n agent whose assigned function within an organization includes the supervision of others may be subject to liability when a failure by the agent to properly supervise breaches a duty that the agent owes to a third party.”); Martin Petrin, The Curious Case of Directors’ and Officers’ Liability for Supervision and Management: Exploring the Intersection of Corporate and Tort Law, 59 AM. U.L.REV. 1661 (2010).

 

Even if an employer owes a duty to third parties, a plaintiff must establish that the employer’s breach was the proximate cause of the plaintiff’s injuries. Read, 990 S.W.2d at 737; Zarzana, 218 S.W.3d at 158. To show proximate cause, a plaintiff must establish that (1) the defendant’s conduct was a cause-in-fact of the plaintiff’s injuries and (2) the plaintiff’s injuries were a foreseeable result of the defendant’s conduct. Read, 990 S.W.2d at 737. An employer’s breach cannot be the proximate cause of a plaintiff’s injuries if the employer would have had no reason to know that the employee had a propensity for causing harm. See Barton v. Whataburger, Inc., 276 S.W.3d 456, 463–64 (Tex.App.-Houston [1st Dist.] 2008, pet. denied); Zarzana, 218 S.W.3d at 158; Garrett v. Great W. Distrib. Co. of Amarillo, 129 S.W.3d 797, 803–04 (Tex.App.-Amarillo 2004, pet. denied).

 

Foreseeability relates to both duty and causation, and sometimes the issues overlap. See Zarzana, 218 S.W.3d at 158–59 (explaining that duty and proximate cause “both hinge on a determination of foreseeability of harm,” and holding that the employer conclusively negated duty and causation by demonstrating a lack of foreseeability). For purposes of this case, it may be best understood that (1) duty is lacking when the employer will not place an employee in a position to harm others, and (2) causation is lacking when the employer will place the employee in a position to harm others, but the employer would have no reason to know of the employee’s incompetency or propensity for violence. Compare Guidry, 944 S.W.2d at 809–11 (holding that a trucking company had no duty to ensure its employee, a long-haul truck driver, had no history of sexual assault because the employee’s subsequent sexual assault was not a foreseeable result of, or related to, the employee’s job functions), with Fifth Club, Inc., v. Ramirez, 196 S.W.3d 788, 796–97 (Tex.2006) (holding that a night club’s failure to investigate the background of its security guard was not the proximate cause of a patron’s injuries when the guard assaulted the patron; explaining that an investigation would not have revealed a propensity for violence).

 

Accordingly, if a night club owner would not have known of a violent criminal history of its bouncers prior to the bouncers committing an assault against a club patron, the employer’s failure to investigate or supervise cannot be the proximate cause of the patron’s injuries. See Fifth Club, Inc., v. Ramirez, 196 S.W.3d 788, 796–97 (Tex.2006) (holding that an employer night club’s failure to investigate and supervise a security guard who assaulted a patron was not the proximate cause of the patron’s injuries because there was no evidence that the employer should have known of any unfitness or incompetency prior to the assault); cf. Barton, 276 S.W.3d at 463–64 (holding that the employee’s aggravated robbery was a superseding cause not related to the employer’s failure to discover the employee’s criminal history—namely, failing to pay child support and selling cocaine—because the employee’s history did not show a propensity for violence or theft; employee’s participation in robbery was not foreseeable).

 

Here, the trial court found that Watkins should have been aware of the violent tendencies of his employees. In particular, the court found in its findings of facts numbered five and six that (1) Watkins failed to perform background checks on the bouncers, (2) Grove had an extensive criminal history, (3) Grove had been involved in altercations prior to the assault on Basurto, (4) Watkins was or should have been aware of Grove’s violent tendencies, (5) The Tavern’s bouncers had committed prior assaults, (6) Watkins knew of these assaults, (7) Watkins knew or should have known of the dangerous propensities of his staff, and (8) Watkins failed to provide the bouncers with adequate training. On appeal, Watkins does not specifically challenge findings of facts numbered five and six, but we conclude that the briefing fairly raises a challenge to these findings.

 

For example, Watkins argues there is no evidence that (1) anyone he hired had a history of violence, (2) Watkins had actual or constructive notice of any potential danger to persons such as Basurto, (3) Watkins had notice of any prior violent incident at The Tavern, (4) Watkins established or knew about any Tavern policies that promoted or condoned violence, or (5) that any policies condoning violence existed. Basurto responded appropriately to the most salient issues, arguing among other points that “Watkins knew or should have known of the fights his doormen were regularly engaged in with customers at that time, yet he failed to discipline the doormen or instigate policies regarding striking customers,” and “evidence was presented to the trial court for it to find Watkins had at least constructive knowledge of his doormens’ dangerous propensities and his negligence in failing to do anything about it.”

 

Watkins admitted to not running criminal background checks on his bouncers. Thus, there is sufficient evidence to support the trial court’s finding on this fact, which constitutes a breach of duty owed to Basurto because The Tavern placed its employees in a position that could be harmful to patrons. Next, Grove admitted to having convictions for evading arrest in a motor vehicle, driving with a suspended license, and possessing marijuana. Thus, there is sufficient evidence to support the trial court’s finding that Grove had an extensive criminal history.

 

However, the trial court did not find, and there is no evidence to support an implied finding,0 that any of Grove’s crimes involved violence. None of the crimes were of a violent nature that would have put Watkins on notice of a propensity for violence. Viewing the evidence in the light most favorable to Basurto and disregarding evidence contrary to the trial court’s findings, there is no evidence that Watkins’s failure to investigate the bouncers before hiring them proximately caused Basurto’s injuries. See Barton, 276 S.W.3d at 463–64 (finding insufficient evidence of causation for negligent hiring when an investigation would have revealed only nonpayment of child support and drug convictions, but the employee subsequently participated in an armed robbery that resulted in the murder of another employee); cf. Read, 990 S.W.2d at 737 (finding causation element of negligent hiring satisfied by evidence that an investigation would have revealed an employee’s prior sexual misconduct, and the employee subsequently sexually assaulted a third party).

 

0. See TEX.R. CIV. P. 299 (“[W]hen one or more elements [of a ground of recovery] have been found by the trial court, omitted unrequested elements, when supported by evidence, will be supplied by presumption in support of the judgment.”).

 

Further, Grove admitted that he had been involved in “altercations” prior to the assault on Basurto. Thus, there is sufficient evidence to support the trial court’s finding on this fact. However, viewing the evidence in the light most favorable to Basurto and disregarding contrary evidence,1 there was no evidence that Grove had ever, prior to the incident with Basurto, (1) engaged in a physical altercation with any person, (2) struck, hit, kicked, touched, or otherwise physically contacted any person, (3) threatened to strike, hit, kick, touch, or otherwise physically contact any person, or (4) caused or threatened to cause a physical injury to any person. In the absence of any evidence that Grove was unfit for his position as a bouncer prior to the assault of Basurto, we conclude that the evidence was legally insufficient to support the trial court’s finding that Watkins was or should have been aware of any violent tendencies of Grove. Accordingly, any failure to supervise Grove was not the proximate cause of Basurto’s injuries. See Fifth Club, 196 S.W.3d at 796–97 (holding that a night club’s failure to supervise a security guard, who assaulted a patron, was not the proximate cause of the patron’s injuries because there was no evidence that the employer should have known of any unfitness or incompetency prior to the assault—the guard’s use of profanity against a member of the public would not put the night club on notice that the guard posed a risk to the public).

 

1. In particular, we disregard Anderson and Jugo’s testimony that Grove had never been involved in a prior fight at The Tavern. We also disregard Grove’s testimony that he had not been involved in a physical altercation at The Tavern prior to the assault of Basurto.

 

Next, a video was played for the trial court that showed at least one of The Tavern’s bouncers assaulting a person outside The Tavern on the night prior to the assault of Basurto, and Basurto testified about the video. Thus, there was sufficient evidence to support the trial court’s finding that The Tavern’s bouncers had committed prior assaults. However, viewing the evidence in the light most favorable to Basurto and disregarding contrary evidence, there was no evidence that (1) any bouncer or manager who assaulted a patron during any prior incident also assaulted Basurto, or (2) any bouncer or manager who assaulted Basurto had previously assaulted any other person. Basurto was only able to identify one bouncer from the video of the prior assault—someone named “Court.” There is no suggestion in the record that this person assaulted Basurto. Further, Basurto presented no evidence that Guzman, Grove, Jugo, or anyone else who was involved in the assault of Basurto had previously assaulted another person.1 2 Even if a fact finder could reasonably conclude that Watkins should have known of the assault from the prior night, there is no evidence that Watkins should have known that Guzman, Grove, or Jugo was involved in the prior assault or that these employees had violent tendencies. See Garrett, 129 S .W.3d at 803 (holding that alcohol-distributor employer was not liable for negligent hiring and supervision when its employees went to a bar and assaulted a patron even though other unnamed employees had been involved in a fight at the bar on a previous occasion; explaining that “no evidence appears of record suggesting that [the employees involved in this incident] themselves exhibited violent or aggressive tendencies or engaged in fights at any time before the incident in question”). Watkins’s failure to supervise employees who assaulted another patron cannot be the proximate cause of Basurto’s injuries because there is no evidence that the employees involved in any prior assault also assaulted Basurto.

 

2. Basurto testified that although he did not know the names of all of the employees at The Tavern, he could recognize them. But he never identified Guzman, Grove, or Jugo in the video recording, and Basurto never identified Guzman, Grove, Jugo, or Court as one of his attackers.

 

Finally, there was some evidence that The Tavern’s employees were not trained on the subject of using physical force when dealing with a disruptive patron: Jugo testified to this fact. However, viewing the evidence in the light most favorable to Basurto and disregarding contrary evidence,3 there was still no evidence that training would have prevented Basurto’s injuries—Basurto presented no evidence about what training the bouncer’s should have received. See Castillo, 1 S.W.3d at 781 (holding that the employer was not required to implement a policy that instructed motel security guards to not enter rooms of patrons, one of whom was raped by a security guard employee; explaining that the appellant presented no evidence to establish industry standards and no evidence that a specific contrary policy advocated by the appellant would be necessary or desirable, or that failure to have such policies constitutes negligence); see also Portlock v. Perry, 852 S.W.2d 578, 582 (Tex.App.-Dallas 1993, writ denied) (holding that a corporate officer had no duty to institute policies or procedures regarding the treatment of patients at a medical center). Further, there was no evidence that The Tavern had any formal or informal policies authorizing bouncers to strike patrons.

 

3. In particular, we disregard Watkins’s testimony that he instructed the employees to call police if a customer would not leave The Tavern.

 

For all of these reasons, there is legally insufficient evidence that Watkins’s negligent hiring or supervision caused Basurto’s injuries. Watkins’s second issue is sustained.

 

C. Alter Ego Doctrine

In his first issue, Watkins argues that the evidence is legally and factually insufficient to support the finding that Watkins was the alter ego of the entities responsible for operating The Tavern.4 We hold that the evidence is legally insufficient to support this finding. But even if the evidence were sufficient, Watkins would not be liable because the trial court did not assess liability against Watkins under any meritorious theory of liability.

 

4. Watkins does not argue that it is relevant to our analysis that 1340 Tavern and Tips—the entities both parties acknowledge on appeal were responsible for the operation and management of The Tavern—were not actually defendants in this case. Accordingly, we do not address whether an individual defendant can be held personally liable, under an alter ego theory, for torts committed by a non-defendant entity.

 

Generally, members and managers of an LLC are not liable for judgments against the LLC. TEX. BUS. ORGS.CODE ANN. § 101.114 (West Supp.2009). But courts have applied corporate veil-piercing principles to members of LLCs. See McCarthy v. Wani Venture, A.S., 251 S.W.3d 573, 590–91 (Tex.App.-Houston [1st Dist.] 2007, pet. denied); Pinebrook Props. Ltd. v. Brookhaven Lake Prop. Owners Ass’n, 77 S.W.3d 487, 500 (Tex.App.-Texarkana 2002, pet. denied). Accordingly, a member of an LLC may be held individually liable for debts of the LLC if the LLC is a mere alter ego for the member. See Pinebrook, 77 S.W.3d at 500.

 

Under this theory, courts will hold an LLC member liable if there exists such unity between the LLC and the member that the LLC ceases to be separate, and holding only the LLC liable would promote injustice. See Mancorp, Inc. v. Culpepper, 802 S.W.2d 226, 288 (Tex.1990) (citing Castleberry v. Branscum, 721 S.W.2d 270, 272 (Tex.1986), superseded on other grounds by TEX. BUS. ORGS.CODE ANN. § 21.223(a)(3) (West Supp.2009)). To determine whether an LLC is the alter ego of an individual, fact finders must look to the total dealings of the LLC and individual, which may include “the degree to which [company] formalities have been followed and [company] and individual property have been kept separately, the amount of financial interest, ownership and control the individual maintains over the [company], and whether the [company] has been used for personal purposes.” Castleberry, 721 S.W.2d at 272 (citing Lucas v. Tex. Indus., Inc., 696 S.W.2d 372, 374 (Tex.1984); Gentry v. Credit Plan Corp. of Hous., 528 S.W.2d 571, 573–75 (Tex.1975)). In a tort case, usually “ ‘the financial strength or weakness of the [company] tortfeasor is an important consideration’ “ because no injustice would result if the company responsible for the plaintiff’s injury is capable of paying a judgment upon proof of liability. Stewart & Stevenson Servs., Inc. v. Serv–Tech Inc., 879 S.W.2d 89, 110 (Tex.App.-Houston [14th Dist.] 1994, writ denied) (quoting Lucas, 696 S.W.2d at 375). The fact that a company is undercapitalized supports a finding of alter ego. See Lucas, 696 S.W.2d at 375; O’Berry v. McDermott, Inc., 712 S.W.2d 206, 207–08 (Tex.App.-Houston [14th Dist.] 1986, writ ref’d n.r.e.).

 

Here, there is legally insufficient evidence that unity existed between Watkins and any of the entities that operated The Tavern and that injustice would result if Watkins were not held individually liable. Basurto provided no evidence that Watkins mingled his personal property with any property of the companies or that Watkins used any company for personal purposes.5 The record shows that Watkins had some ownership interests in 1340 Tavern and Tips, but the extent of ownership is not in the evidence.6 Watkins, indeed, exercised extensive control over The Tavern’s operation, but mere control is insufficient to impose liability. See Lucas, 696 S.W.2d at 374 (“There must be something more than mere unity of financial interest, ownership and control for a court to treat the subsidiary as the alter ego of the parent and make the parent liable for the subsidiary’s tort.”).

 

5. Basurto also provided no evidence that company formalities were not followed, but we need not decide today whether the failure to follow formalities remains a factor to be considered when piercing the veil of an LLC. See TEX. BUS. ORGS.CODE ANN. § 21.223(a)(3) (explaining that a corporate shareholder may not be held liable on the basis of failing to follow corporate formalities); Pinebrook, 77 S.W.3d at 500–01 (holding that the failure to follow formalities was not evidence of alter ego for an LLC).

 

6. On appeal, Basurto cites to a tax return for 1340 Tavern, which was attached as an exhibit to a motion for summary judgment, to show that Watkins had a 51% interest in 1340 Tavern. This document was not an exhibit at trial, and there was no evidence before the trial court to support Watkins’s exact ownership interest.

 

Basurto argues that the entities could not have satisfied his judgment, but he failed to present any evidence to support this argument. The only evidence that Basurto presented about any entity’s financial strength or weakness was through Watkins’s testimony. But Watkins’s admission at trial that Tips had “good years and bad years” does not constitute some evidence of undercapitalization or that an injustice would result if Watkins were not held individually liable. Viewing the evidence in the light most favorable to Basurto and disregarding contrary evidence,7 Basurto introduced no evidence to show that Tips could not satisfy a judgment.8

 

7. In particular, we disregard Watkins’s testimony that Tips had substantial assets in the form of money in bank accounts, liquor, and the liquor license, and we disregard his testimony that Tips had paid roughly $250,000 in liquor taxes one year.

 

8. Again on appeal, Basurto cites to 1340 Tavern’s tax return to show that 1340 Tavern had ordinary business income of roughly $47,000 in 2006. This document was not an exhibit at trial, and there was no evidence before the trial court to support any amount of income or loss claimed for any of the entities involved in The Tavern’s operation. Basurto also asserts on appeal that “Tips did not have insurance and could not satisfy a substantial judgment.” Although Basurto’s counsel argued in closing that Tips lacked insurance, Watkins correctly noted in his reply brief that no evidence was introduced on this issue during the trial.

 

Further, Basurto argued to the trial court that Watkins failed to timely disclose Tips as the entity that employed The Tavern’s employees, and as a result, Tips was not made a party to the litigation prior to the running of the statute of limitations. This argument does not support a finding of alter ego. The injustice that the alter ego doctrine serves to remedy is that of a corporation’s lack of ability to pay a judgment that it rightfully should pay. See Stewart & Stevenson, 879 S.W.2d at 100. Basurto had other available avenues to obtain relief for any discovery abuses by Watkins. See TEX.R. CIV. P. 193.6; TEX.R. CIV. P. 215.2.

 

Accordingly, there is legally insufficient evidence to support the trial court’s finding of alter ego. Additionally, we note the trial court’s finding that Watkins was the alter ego of his business entities does not itself support a claim for damages—there must be a meritorious underlying cause of action against those entities. See Wilson v. Davis, 305 S.W.3d 57, 68 (Tex.App.-Houston [1st Dist.] 2009, no pet.) (“Piercing the corporate veil is not a cause of action, but is instead a means of imposing liability for an underlying cause of action.”). Here, the trial court’s factual findings support only one theory of recovery: negligent hiring and supervision. Because we have already concluded that there is legally insufficient evidence of the causation element of negligent hiring and supervision, there is no remaining underlying cause of action that would support a finding of liability against Watkins even if there were legally sufficient evidence of alter ego. See TEX.R. CIV. P. 299 (“The judgment may not be supported upon appeal by a presumed finding upon any ground of recovery or defense, no element of which has been included in the findings of fact….”).

 

Watkins’s first issue is sustained.

 

Conclusion

We conclude there is legally insufficient evidence that (1) Watkins’s negligence caused Basurto’s injuries and (2) Watkins is the alter ego of The Tavern’s business entities. Thus, we reverse the trial court’s judgment and render judgment that Basurto take nothing from Watkins.

ankenship v. Ace Trucking, Inc.

Supreme Court of Tennessee,

Special Workers’ Compensation Appeals Panel,

at Nashville.

Richard BLANKENSHIP

v.

ACE TRUCKING, INC., et al.

 

No. M2010–00597–WC–R3–WC.

Sept. 27, 2010 Session.

April 14, 2011.

 

SHARON G. LEE, J., delivered the opinion of the Court, in which JON KERRY BLACKWOOD, SR. J., and JERRI S. BRYANT, SP. J., joined.

 

MEMORANDUM OPINION

SHARON G. LEE, J.

Pursuant to Tennessee Supreme Court Rule 51, this workers’ compensation appeal has been referred to the Special Workers’ Compensation Appeals Panel for a hearing and a report of findings of fact and conclusions of law. In 2002, the employee was involved in a motor vehicle accident in the course and scope of his employment. The employee filed suit for benefits. The employer disputed the claim, asserting that the employee had failed to give proper notice and had not sustained any permanent injury as a result of the accident. The trial court awarded benefits, and the employer has appealed. After careful review, we affirm the judgment of the trial court.

 

Factual and Procedural Background

Richard Blankenship (“Employee”) began working for Ace Trucking, Inc. (“Employer”) in July of 2001 as an over-the-road truck driver. He was involved in a motor vehicle accident in Missouri on May 17, 2002, when the tractor-trailer he was driving was caught by a crosswind, jackknifed, crossed over the median into the oncoming lane of travel, and overturned. Employee testified that he ended up lying on the passenger side of the truck and had to climb out the driver’s door. Employee declined medical treatment at the scene. Employee called Employer’s president after the wreck and reported the damage to the vehicle and requested transportation from Missouri to Tennessee. The president told him he would have to find his own way home. Employee told the president that he was sore all over, had a knot on his head, and that his back and right side hurt. Employee admitted later telling a representative of Employer that the only thing he hurt was his pride.

 

Employee’s parents traveled to Missouri to bring him back to Tennessee. His father testified that Employee complained of back pain and that he laid in the back seat most of the way home. A company representative told Employee to take a few days off to recover. After several days, Employee called Employer and reported that he was still hurting and having back problems; again he was told to stay off work for a couple more days. A few days later, Employee called Employer and was offered an opportunity to drive a load to Detroit, Michigan. He said he would try, but later decided he was not able to drive the load to Detroit. He called Employer and said that he was still having back problems, needed to see a doctor, and could not take the load. Employer fired Employee shortly thereafter. Employer never offered Employee a panel of doctors, medical treatment, or any temporary total disability.

 

On June 14, 2002, Employee applied for a job with Arnold’s Fabricating & Machine, Inc. (“Arnold’s Fabricating”). On his job application, he stated that he had no physical defects which would prevent him from performing any work for which he was being considered, and also that he had never been injured. At trial, Employee admitted that these statements were untrue and explained that he made these statements because he was trying to provide for his family and needed to work. Employee was hired by Arnold’s Fabricating to drive an equipment truck. He could not do all the things they wanted him to do, and he was terminated from that job after a period of time.

 

From January/February 2003 through June 2005, Employee worked for several trucking companies. He frequently changed jobs, and often the change was due to his back problem. In August 2005, Employee applied for a job as a custodian at the Henry County Medical Center (“Henry County”) and was hired in September 2005. On the Henry County job application, he stated in answer to a health question that he had no diseases of the spine, no problems with his back, and no conditions which would interfere with his ability to perform his job duties. Employee admitted at trial that these statements were untrue.

 

Employee first sought medical treatment for his back injury on January 8, 2003, when he saw Dr. Roy Dedmon, a chiropractor in Camden, Tennessee. He explained at trial that he did not seek treatment sooner because he could not afford to pay the charges and did not have health insurance until he went to work for Arnold’s Fabricating. He reported to Dr. Dedmon that he was having low back pain, neck pain and stiffness, headaches, and shoulder and knee pain arising from an accident in St. Louis, Missouri, on May 17, 2002, when his truck overturned. He was thrown onto the right side of the truck and had bruising on his back and knots on his forehead. His pain had been “constant and progressively worse.” Dr. Dedmon treated Employee on January 8, 2003; January 15, 2003; January 22, 2003; February 3, 2003; and February 18, 2003.

 

On June 2, 2005, Employee consulted Dr. Carl Spivak, a neurosurgeon in Jackson, Tennessee. Employee’s chief compliant was “severe back pain with minor right leg pain.” He told Dr. Spivak that the back pain developed after he was in a truck wreck in May of 2002. Since that time, the pain became progressively worse and at the time of the examination was constant. The pain in his back radiated into his right leg. Dr. Spivak ordered an MRI of the lumbar spine, which showed multilevel degenerative disc disease and a herniated disc at the L4–5 level causing compression of the left L5 nerve root.

 

On December 17, 2005, Employer injured his back while at work for Henry County. On December 30, 2005, he returned to Dr. Spivak who ordered a new MRI study. On January 18, 2006, Employee saw Dr. Manuel Weiss, a neurosurgeon in Nashville, Tennessee. Employee reported to Dr. Weiss he was having back pain and pain down his left leg. Dr. Weiss compared the January 2006 MRI with the June 2005 MRI and stated in his medical records: “I do believe that this patient developed the actual, frank disc herniation as a result of this most recent injury at the workplace as a custodian, and that the previous June 2005, MRI scan demonstrates only non-surgical, modest, protrusion.” Dr. Weiss performed back surgery on Employee on March 14, 2006. He released Employee from his care on June 19, 2006, assigned a 10% impairment, and placed him under restrictions against repetitive bending and stooping and lifting more than forty pounds. Employee attempted to return to work for Henry County but left after only a day or two because of back pain. He later settled his workers’ compensation claim against Henry County.

 

Dr. Samuel Chung, an osteopathic physician, performed a medical evaluation at the request of Employee’s attorney on March 29, 2007. He completed a written report, which was submitted to the trial court through a C–32 form as provided for in Tennessee Code Annotated section 50–6–235. He diagnosed Employee as having “[r]esidual from low back injury with some radiculopathy of the left lower extremity” as a result of the May 2002 truck accident. He opined that Employee had sustained an 8% permanent impairment as a result of that injury. Employer deposed Dr. Chung pursuant to Tennessee Code Annotated section 50–6–235. Dr. Chung conceded that the first medical documentation of Employee’s back problems was contained in the January 2003 notes of Dr. Dedmon. He testified that most patients seek medical attention fairly soon after their injury but that “everyone’s situation is a little different at times.” He related that Employee told him that he was having the back problem “all long, he just didn’t have any insurance coverage … I don’t think that it all resolved and then three years later he just went in to see a doctor and got an x-ray and it was positive and he wanted something done, it was really there all along unfortunately.” He stated that it was “difficult to assess” the relationship between the findings of the June 2005 MRI and the May 2002 accident because of the three-year time interval. He stated that he relied primarily upon the history given to him by Employee to reach his conclusions concerning the effects of the May 2002 injury.

 

Dr. Robert Dimick, an orthopaedic surgeon, performed a medical evaluation of Employee on October 4, 2007, at Employer’s request. Dr. Dimick testified by deposition that he could not attribute any symptoms or any of the anatomical conditions referenced in any of the diagnostic reports or medical records from Dr. Spivak, Dr. Weiss, or Dr. Dedmon to the May 17, 2002, truck accident. Dr. Dimick also added that Employee had no impairment or work restrictions due to the May 2002 motor vehicle accident.

 

Employer presented proof that on August 27, 2002, Employee was examined by his primary care physician, Dr. Jason Hollingsworth, for recertification of his commercial driver’s license (“CDL”). Employee completed a questionnaire concerning his health history in which he stated he had not had any illnesses or injuries during the previous five years and did not have “spinal injury or disease” or “chronic low back pain.” At trial, Employee admitted that these statements were untrue. He explained he gave these answers because he had to keep his CDL certification and could not lose his job because it was the only livelihood he had at the time. Dr. Hollingsworth’s report stated that Employee had no spine or other musculoskeletal problems. In May 2005, Employee returned to Dr. Hollingsworth for another CDL recertification. Once again, he stated in the health history portion of the CDL questionnaire that he did not have any spinal injury, disease, or low back pain. Employee testified that he had made these statements in an effort to keep his CDL certification. This time, Dr. Hollingsworth determined that Employee was “temporarily disqualified due to back pain.”

 

Employee was forty-three years old at the time of trial, had completed the tenth grade, and obtained his GED. His work experience consisted primarily of working in restaurants and warehouses and driving trucks. At the time of the trial, he was employed at Cornerstone, a home health care agency. His job consisted of “watch[ing] people at night and mak[ing] sure they are okay, just tak[ing] care of them and feed[ing] them their lunch and breakfast and whatever it is they need.” He testified he was unable to return to work as a truck driver because his back “[wouldn’t] allow [him] to do so.” He testified his back was better after the 2006 surgery, but “still bother[ed][him] from time to time.” Employee’s father testified that before the May 2002 accident, his son had never complained of back pain. After the accident, however, his son complained of pain in his back and leg all the time.

 

Employee filed this action on January 3, 2003. After Employer’s answer was filed in March 2003, there was no further substantive activity in the lawsuit until July 2006, when Employer filed a motion to dismiss for failure to prosecute. The motion was withdrawn when Employee agreed to a scheduling order. A second motion to dismiss for failure to prosecute was filed in February 2007. Employee then filed a motion to set, and the trial court entered an order requiring Employee to complete his medical proof by April 30, 2007. Over a year later, on May 13, 2008, an order was entered setting the case for trial on July 1, 2008. Following a trial, the trial court issued some findings from the bench and sua sponte ordered that the proof would remain open to permit Employee to provide additional evidence concerning the reasonableness and necessity of certain medical expenses. The trial court also requested that the parties provide proposed findings of fact and conclusions of law. On January 8, 2010, the trial court entered its “Memorandum of Opinion,” which essentially adopted Employee’s proposed findings and conclusions of law. It found that Employee had sustained a compensable injury which had resulted in an 8% anatomical impairment to the body as a whole and awarded 40% permanent partial disability (“PPD”) to the body as a whole. Employer has appealed.

 

Standard of Review

The standard of review of issues of fact is de novo upon the record of the trial court accompanied by a presumption of correctness of the findings, unless the preponderance of evidence is otherwise. Tenn.Code Ann. § 50–6–225(e)(2) (2008). When credibility and weight to be given testimony are involved, considerable deference is given the trial court when the trial judge had the opportunity to observe the witness’ demeanor and to hear in-court testimony. Madden v. Holland Grp. of Tenn., Inc., 277 S.W.3d 896, 900 (Tenn.2009). “When the issues involve expert medical testimony that is contained in the record by deposition, determination of the weight and credibility of the evidence necessarily must be drawn from the contents of the depositions, and the reviewing court may draw its own conclusions with regard to those issues.” Foreman v. Automatic Sys., Inc., 272 S.W.3d 560, 571 (Tenn.2008). A trial court’s conclusions of law are reviewed de novo upon the record with no presumption of correctness. Seiber v. Reeves Logging, 284 S.W.3d 294, 298 (Tenn.2009).

 

Analysis

Notice

Employer contends that the trial court erred by finding that Employee provided sufficient notice of his injury to comply with Tennessee Code Annotated section 50–6–201(a), which provides that “every injured employee … shall, immediately upon the occurrence of an injury, or as soon thereafter as is reasonable and practicable, give or cause to be given to the employer who has no actual notice, written notice of the injury … unless reasonable excuse for failure to give the notice is made to the satisfaction of the tribunal to which the claim for compensation may be presented.”

 

Employer argues that Employee did not notify Employer that he had been injured in the truck wreck, relying on Employee’s testimony that he refused medical treatment at the scene, told a representative of Employer that he had only injured “his pride” in the accident, and delayed seeking medical treatment for seven months. Employee testified at trial, however, that after the tractor-trailer he was driving jackknifed and overturned, he called and reported the accident to the president of Employer. Employee told him that he was sore all over, had a knot on his head, and that his back and side hurt. Following his return home from Missouri, he also told a representative of Employer that he was in pain, could not work, and needed to see a doctor. Employer introduced no evidence to contradict Employee’s testimony that he reported his injuries to Employer.

 

Given the circumstances of the accident and Employee’s testimony, we conclude that the evidence does not preponderate against the trial court’s findings on this issue. Employee notified Employer of the accident and the fact that he had suffered an injury. Employee was not required to provide to Employer information as to the extent of the injury in the initial report of injury.   Quaker Oats Co. v. Smith, 574 S.W.2d 45 (Tenn.1978). The trial court accepted the Employee’s account as credible, and the evidence does not preponderate against this finding. See State Dept. of Children’s Servs. v. A.M.H., 198 S.W.3d 757, 762 (Tenn.Ct.App.2006) (stating “[o]n an issue which hinges on the credibility of witnesses, the trial court will not be reversed unless there is found in the record clear, concrete and convincing evidence other than the oral testimony of witnesses which contradict the trial court’s findings”) (quoting Galbreath v. Harris, 811 S.W.2d 88, 91 (Tenn.Ct.App.1990)).

 

Compensable Injury

Employer contends that the evidence preponderates against the trial court’s finding that Employee sustained a compensable injury as a result of the May 2002 accident. In support of this contention, Employer relies on the contradictory statements made by Employee to subsequent employers and to Dr. Hollingsworth about the accident and the condition of this back. Although Employee claims he injured his back in the May 2002 accident, he stated in a June 14, 2002, job application to Arnold’s Fabricating that he had no physical defects which would prevent him from performing any work for which he was being considered, and also that he had never been injured. He also made a similar denial of a back problem when he applied for a job in August 2005 with Henry County. In August 2002 and again in 2005, Employee went to Dr. Hollingsworth for a medical examination for Employee’s CDL and told the doctor that in the previous five years, he had not suffered any spinal or other injuries. The first evaluation or treatment of any sort that Employee sought or received for his alleged injuries was in January 2003. After treating with Dr. Dedmon until February 18, 2003, he did not seek or receive treatment again until June 2005, when he consulted Dr. Spivak. Dr. Hollingsworth, after examining Employee for his CDL, stated that Employee had no spine or other musculoskeletal problems. In Dr. Hollingsworth’s subsequent examination of Employee in May 2005, after Employee’s injury while working for Henry County, he found that Employee was temporarily disqualified due to back pain.

 

In support of the trial court’s ruling, Employee notes that the trial court found him to be a credible witness. Employee explained that he delayed seeking medical treatment after the accident because Employer terminated him, he did not have the money to pay for the treatment, and he did not have any medical insurance until he went to work for Arnold’s Fabricating. Employer offered him no medical treatment, no panel of doctors, and no temporary disability benefits. Employer admitted making contradictory statements on his job applications to Arnold’s Fabricating and Henry County about his back condition because he needed the jobs to support his family. He also admitted the false statements to Dr. Hollingsworth because he needed to get his CDL to make a living. Further, he points to his own testimony and that of his father concerning his lack of symptoms before the May 2002 wreck and his back problems after the wreck.

 

Employer also argues that the testimony of Dr. Chung, the only expert medical evidence of a causal link between the May 2002 accident and a permanent injury, is unreliable or less credible than that of Dr. Dimick. First, it notes that Dr. Chung is an osteopath without hospital privileges and not an orthopedic surgeon. Employer asserts that Dr. Chung did not examine Employee until almost five years after the May 2002 accident, after he had sustained a second injury, which resulted in surgical treatment. In light of the passage of time and the intervening events, Employer asserts that Dr. Chung’s opinions about the effects of the 2002 accident are speculative. It also notes that Dr. Chung’s opinion is based almost entirely upon Employee’s 2007 statements concerning his symptoms between 2002 and 2005, and that that information was unreliable in light of Employee’s numerous admitted misrepresentations on that subject. Finally, Employer points to Dr. Weiss’s remark, contained in his initial evaluation of Employee, that based upon a comparison of the June 2005 and January 2006 MRI scans, the injury at Henry County had objectively worsened the condition of Employee’s spine. Employer also contends that Dr. Dimick had access to a larger amount of information about Employee than did Dr. Chung.

 

Admittedly, the evidence in this case presents a close question. Employee was obviously involved in a serious vehicular accident. The tractor-trailer he was driving jackknifed, crossed the median, and overturned. He was thrown to the passenger side of the tractor. He reported being sore all over and having head, back, and right side pain after the wreck. He related to Dr. Dedmon and Dr. Spivak that his back pain started as a result of the truck accident and got worse over time. He explained his delay in getting medical treatment on a lack of money and lack of insurance to pay for the treatment. Employer did not provide to Employee “such medical care and treatment made reasonably necessary” by the accident as required by Tennessee Code Annotated section 50–6–204. Therefore, Employee was left to his own limited resources in getting medical treatment. Employee’s testimony that he injured his back in the wreck was supported by his father’s testimony that Employee did not complain of back pain before the wreck but after the wreck complained of pain in his back and legs all the time. Employee was not truthful on his job applications to Arnold’s Fabricating and to Henry County. His explanation that he needed to work to support his family certainly does not excuse his dishonesty, but it does explain why he denied having a back problem. Employee was also not truthful with Dr. Hollingsworth. Again, his desire to keep his CDL so he could work as a truck driver does not excuse his dishonesty, but it does explain his answers.

 

Dr. Chung opined that Employee sustained a permanent injury as a result of the accident. The medical proof in this case is complicated by the fact that Dr. Chung’s examination of Employee did not take place until after Employee had sustained another injury to, and had surgery to, the same part of the body injured in the May 2002 accident. We note, however, that the June 2005 MRI scan established the presence of a herniated disc before Employee’s December 2005 work injury at Henry County.

 

Although the evidence as a whole would permit a trial court to reach a different conclusion than the one here, we must defer to the trial court’s findings of fact and conclude that the evidence does not preponderate against the trial court’s finding that Employee sustained a permanent injury as a result of the May 2002 accident.

 

Employer contends, in the alternative, that the trial court erred by accepting Dr. Chung’s impairment rating (8%) over that of Dr. Dimick (0%). Dr. Chung and Dr. Dimick arrived at different opinions in this cause. When medical testimony differs, it is within the discretion of the trial judge to determine which expert testimony to accept. Hinson v. Wal–Mart, Inc., 654 S.W.2d 675, 676–77 (Tenn.1983). We do not find that the trial court abused its discretion is accepting Dr. Chung’s opinion over that of Dr. Dimick, considering all the evidence in this case.

 

Excessive Award

Employee did not have a meaningful return to work for Employer. Therefore, under Tennessee Code Annotated section 50–6–241(b) (2008), Employee’s award of benefits is capped at six times the medical impairment rating. The trial court awarded Employee five times the medical impairment rating, resulting in 40% permanent partial disability to the body as a whole. Employer contends that this award is excessive and asserts that after the May 2002 injury, Employee “maintained a high vocational aptitude,” was consistently employed after being terminated by Employer, and was working at the time of trial.

 

The extent of vocational disability is a question of fact to be determined from all the evidence, including lay and expert testimony. McIlvain v. Russell Stover Candies, Inc., 996 S.W.2d 179 (Tenn.1999). Factors to be considered in determining the extent of vocational disability include the employee’s job skills and training, education, age, extent of anatomical impairment, duration of impairment, local job opportunities, and the employee’s capacity to work at the kinds of employment available to his on her disabled condition. E.g., Perkins v. Enterprise Truck Lines, Inc., 896 S .W.2d 123, 127 (Tenn.1995). The employee’s own assessment of his physical condition and resulting disability is competent testimony that should be considered as well. Id.

 

Evidence was presented that Employee was forty-two years old at the time of trial, has a GED, and a job history of working as a truck driver, in warehouses, and in restaurants. He testified that he could not go back to his job of driving a truck because of his back. At the time of his injury he was earning an average weekly wage of $761 per week and at the time of trial he was working in a home health care agency earning only $7 per hour. Employee has not been able to hold down a job as a truck driver since the accident, and his earnings have been greatly diminished. Employee worked a series of jobs after the accident and changed jobs frequently because he was unable to perform the duties required of him. The trial court saw and heard the witnesses and considered lay and expert testimony in arriving at its decision. Considering all the evidence in this case, we conclude that the evidence does not preponderate against the trial court’s decision.

 

Reopening the Proof

At trial, Employee attempted to offer several medical bills into evidence without presenting proof that they were reasonable or necessary. Employer objected on the ground that there had been no proof of the reasonableness or necessity of the treatments involved. The trial court sustained the objection, and the items were marked for identification only. At the end of the trial, the court, sua sponte, left the proof open for the specific purpose of permitting Employee to obtain proof of the reasonableness and necessity of the expenses. Employee did so, and the trial court awarded Employee the medical expenses.

 

An employer is required to provide “such medical care and treatment made reasonably necessary” by a compensable accident. Tenn.Code Ann. § 50–6–204(a)(1)(A). The employee is required to establish the “necessity and reasonableness” of charges incurred for treatment that has not been designated or approved by the employer. Russell v. Genesco, Inc., 651 S.W.2d 206, 210 (Tenn.1983); Baggett v. Jay Garment Co., 826 S.W.2d 437, 439 (Tenn.1992). Employee, therefore, had the burden to prove the necessity and reasonableness of his medical bills.

 

We do not find that the trial court erred in allowing Employee to submit additional proof. It is within the discretion of the trial court to allow additional proof after a party has rested its case. As our Supreme Court has stated, “[i]t is within the discretion of the trial judge to decide whether to reopen the proof for further evidence, and the decision of the trial judge thereon will not be set aside unless there is a showing that an injustice has been done.” Simpson v. Frontier Cmty. Credit Union, 810 S.W.2d 147, 149 (Tenn.1991) (citing Higgins v. Steide, 335 S.W.2d 533, 540 (Tenn.1959)); see also Psalms, Inc. v. Pretsch, No. W2008–00653–COA–R3–CV, 2008 WL 5424084, at(Tenn.Ct.App. Dec. 31, 2008). The procedure followed by the trial court in this case was not an abuse of discretion.

 

Trial Court’s Findings and Conclusions

Employer argues that the trial court erred by adopting Employee’s proposed findings and conclusions, essentially verbatim, eighteen months after trial. The Supreme Court in Delevan–Delta Corp. v. Roberts, 611 S.W.2d 51 (Tenn.1981), stated

 

We agree that the preparation of findings and conclusions is a high judicial function. We are committed to the requirement that the trial court’s findings and conclusions be its own. However, we are also aware that the thorough preparation of suggested findings and conclusions by able counsel can be of great assistance to the trial court. In an effort to strike a balance between these considerations, we hold that although it is improper for the trial court to require counsel to prepare findings, it is permissible and indeed sometimes desirable for the trial court to permit counsel for any party to submit proposed findings and conclusions. Findings prepared by the trial judge which represent his independent labor are preferable, however we do not disapprove of party-prepared findings…. We wish to point out that before adopting findings prepared by counsel, the trial judge should carefully examine them to establish that they accurately reflect his views and conclusions, and not those of counsel. He should also ascertain that they adequately dispose of all material issues, and to assure that matters not a proper part of the determination have not been included.

 

Id. at 52–53. The procedure followed by the trial court was, therefore, permissible. However, we note that the entire context of the case, including the five-year period between the filing of the complaint and the commencement of the trial, despite the efforts of Employer to push the matter forward and the passage of an additional eighteen months between the conclusion of the trial and the trial court’s verbatim adoption of Employee’s proposed findings and conclusions, is troubling. Although the trial court’s management of this case does not constitute reversible error, we find that it was inconsistent with the trial court’s obligation to expedite workers’ compensation matters. See Tenn.Code Ann. § 50–6–225(f). Delay in workers’ compensation cases is not favorable to either party and should certainly be avoided.

 

Incorrect standard of evaluating the evidence

In its memorandum opinion, the trial court stated that it reviewed the evidence “in the light most favorable to employee.” We agree with Employer that this is a misstatement of the law. However, it does not constitute reversible error in this case. We have examined the evidence in accordance with the appropriate standard and found it sufficient to support the judgment.

 

Conclusion

The judgment is affirmed. Costs are taxed to the appellants, Ace Trucking, Inc., and Ace Trucking Company, Inc., and their surety, for which execution may issue if necessary.

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