Rose Cubito, Respondent,
v.
Gerald Kreisberg, Individually and Doing Business as Daroe Realty, et al.,
Respondents;
Gindele & Johnson, Appellant, et al., Defendants
Supreme Court of New York, Appellate Division, Second Department
69 A.D.2d 738; 419 N.Y.S.2d 578 (1979)
Hopkins, J. The plaintiff, a tenant in an apartment house, fell in the laundry room on October 30, 1974.
On October 6, 1977, she brought this action to recover damages for personal injuries based on the defendants'
negligence. The complaint alleges that the defendant Gindele & Johnson was the architect which so negligently
planned and designed the construction of the laundry room that water collected on the floor, causing the
plaintiff's injuries.
Gindele & Johnson moved to dismiss the action on the ground that it was barred by the Statute of
Limitations (CPLR 214, subd 6). The basis of its motion was that it had completed all its services on May 7,
1973, when the certificate of final inspection was sent to the owner, and that, consequently, more than four years
had elapsed when the plaintiff's action was commenced.
Special Term denied the motion, holding that it would be unreasonable to apply the statute so as to
extinguish a claim against the architect for its negligence prior to the time that the injury had been sustained or
that an action could have been brought to recover damages for the injury (Cubito v Kreisberg, 94 Misc 2d 56).
We affirm. The Statute of Limitations applicable to the liability of an architect for injuries suffered by
third parties due to his negligence runs from the date of the injury.
I
*** The architect says that it had performed its work by completing plans for the project on November 26,
1969. The construction of the project was substantially completed by July 13, 1972, and a certificate of
occupancy was issued on April 27, 1973. On May 3, 1973 the architect, jointly with UDC, certified to the owner
that they found by inspection that the work under the construction contract had been fully performed ***.
The architect contends that since that date it has had no involvement with the project. It stresses, in
particular, that it has had nothing to do with the maintenance and repair of the laundry room or its facilities.
Hence, it argues that the three-year limitation prescribed for malpractice actions generally (as distinguished from
medical malpractice) applies to the plaintiff's action (CPLR 214, subd 6). It urges that the date of completion of
its work marks the time when the statute begins to run, and the plaintiff's action was brought well beyond the
three-year period and is therefore barred (cf. Sosnow v Paul, 43 AD2d 978, affd 36 NY2d 780; Matter of Paver
& Wildfoerster [Catholic High School Assn.], 38 NY2d 669; Sears, Roebuck & Co. v Enco Assoc., 43 NY2d
389).
Moreover, the architect contends that Special Term erroneously based its decision on MacPherson v
Buick Motor Co. (217 NY 382) and Inman v Binghamton Housing Auth. (3 NY2d 137). In neither of these
cases, it says, was liability predicated on the rendition of professional services sanctioned, and public policy
soundly differentiates between a manufacturer of a defective product and a purveyor of services, such as an
architect.
II
Since the defendant architect largely rests its argument on the statute, we begin by an analysis of its
provisions. The statute provides for time periods for the institution of suits linked to the character of the action.
As malpractice essentially is a special form of negligent conduct, it is instructive to note that the statute deals
severally with types of actions grounded on negligence.
CPLR 214 (subd 5) provides that an action to recover damages for personal injuries, including an action
based on the negligence of the defendant (Practice Commentaries, McKinney's Cons Laws of NY, Book 7B,
CPLR C214:5, p 429) must be commenced within three years. CPLR 214 (subd 6) provides that an action to
recover damages for malpractice, other than medical malpractice, similarly must be brought within three years.
CPLR 214-a provides that an action for medical malpractice must be commenced within two years and six
months. Thus, the statute formally treats malpractice actions differently from other actions based on negligence
in limiting the time in which the action must be instituted. Even so, for our purposes in this appeal it is to be
noted that the statute in dealing with an architect's malpractice makes no material difference from the
conventional negligence action, since it prescribes the same three-year limitation.
Nevertheless, it is useful to recognize as an aid in analysis that malpractice, in its strict sense, means the
negligence of a member of a profession in his relations with his client or patient. In this case the plaintiff is not,
and never has been, in a professional relation with the architect. Though at times the term has been employed in
a broad sense, particularly where disciplinary proceedings have been the subject of discussion (Matter of Clark,
184 NY 222; Matter of Silkman, 88 App Div 102, 104), we think that malpractice in the statutory sense
describes the negligence of a professional toward the person for whom he rendered a service, and that an action
for malpractice springs from the correlative rights and duties assumed by the parties through the relationship. On
the other hand, the wrongful conduct of the professional in rendering services to his client resulting in injury to a
party outside the relationship is simple negligence.
The importance of this distinction becomes evident in considering the measurement of time which the
statute provides. CPLR 203 (subd a) states that the time within which an action must be commenced shall be
computed from the time the cause of action accrued to the time the claim is interposed. The fulcrum of the
statute is thus the meaning to be attached to the term of "accrual of a cause of action" -- a meaning which has
been supplied by judicial gloss.
III
Since the statute affords no definition, we must presume that the content of the meaning of an accrual of
a cause of action has been left by the Legislature to judicial determination (see City of New Bedford v Lloyd Inv.
Assoc., 363 Mass 112; Raymond v Lilly & Co., 117 NH 164). In Schmidt v Merchants Desp. Transp. Co. (270
NY 287, 300), a case involving a claim based on negligence, not malpractice, the Court of Appeals held that the
accrual of the cause of action arose when the wrongful invasion of personal rights occurred by reason of conduct
of the wrongdoer. That the injury suffered may not be perceived until much later was said to constitute no
escape from the statute, though hardship may be the outcome, for "such occasional hardship is outweighed by
the advantage of outlawing stale claims" (Schmidt, supra, p 302). There the plaintiff was barred by the statute,
when he had inhaled dust while employed by the defendant and contracted lung disease as a result more than
three years later. This rule in actions based on negligence still holds true (Schwartz v Heyden Newport Chem.
Corp., 12 NY2d 212, 216-217).
Where exceptions have been hewn from the rule, the cases in point involved a professional relationship
between the parties, as, for example, a continuing service rendered by a member of a profession (Borgia v City of
New York, 12 NY2d 151; Siegel v Kranis, 29 AD2d 477; County of Broome v Vincent J. Smith, Inc., 78 Misc
2d 889), or an express promise to achieve a specific result (Robins v Finestone, 308 NY 543; Boecher v Borth,
51 AD2d 598), or in medical malpractice, where a foreign object is discovered at the site of an operation
(Flanagan v Mount Eden Gen. Hosp., 24 NY2d 427), or a physician concealed his negligence (Simcuski v Saeli,
44 NY2d 442). In these exceptions the statute was construed to mark the beginning of the measurement from the
later date. ***
Finally, as a logical consequence of the distinction which our analysis found inherent in the statute
between malpractice and simple negligence in the rendition of services by an architect, the recent decisions
holding that a cause of action against an architect by his client arising out of faulty design or construction accrues
on completion of construction (Sosnow v Paul, 43 AD2d 978, affd 36 NY2d 780, supra; Matter of Paver &
Wildfoerster [Catholic High School Assn.], 38 NY2d 669, supra; Sears, Roebuck & Co. v Enco Assoc., 43
NY2d 389, supra) cannot have any application here.
Here the plaintiff has no professional relationship with the defendant and is suing not on breach of warranty as a remote user but on a claim of simple negligence by an architect. Hence, the general rule that a cause of action for damages due to negligence accrues when the invasion of the plaintiff's personal rights occurred, i.e., when she fell as a result of the defendants' claimed negligence, should apply, as Special Term held *** unless we are required by reasons of compelling public policy to find that the cause of action accrued when the architect prepared the plans and found the building to have been completed according to the plans.
IV
As grounds for reversal, the appellant's argument is that it is unfair to an architect to hold him liable for
errors in design when injuries are sustained many years after the rendition of his services and he is no longer
associated with the project. It emphasizes that the building where the plaintiff fell is no longer within the
appellant's supervision or control, that in the meantime the building may have been transferred from owner to
owner, and that the conditions, if dangerous, could have been remedied by the owner. Doubtless, the
interpretation of a Statute of Limitations produces hardships in many instances, and in this instance the general
rule may place a hardship on an architect, just as in Schmidt v Merchants Desp. Transp. Co. (270 NY 287, supra)
a hardship was thrust on the plaintiff.
In response to the problem faced by architects, courts have formulated two approaches to lighten their
professional plight. Outside of New York, the rule has been adopted by some courts that an architect is not
liable for injuries occurring after the work was completed and accepted by the owner *** and is not the rule in
New York (Inman v Binghamton Housing Auth., 3 NY2d 137, supra).
The second approach was to condition architectural liability by the test whether the danger alleged to
have been created was patent. If the danger was patent, the architect was not liable (Inman v Binghamton
Housing Auth., supra; Di Perna v Roman Catholic Diocese of Albany, 30 AD2d 249). It is questionable whether
this test survives. Inman dealt with an action brought six years after an apartment house had been completed and
turned over to the owner. The plaintiff was an infant who fell off a stoop alleged to have been built without a
protective rail. He sued both the architect and the builder, as well as the owner. The issue before the court
involved a third-party complaint instituted by the owner against the architect and the builder. Following the
doctrine of MacPherson v Buick Motor Co. (217 NY 382, supra), the court held that a cause of action would lie
against an architect or a builder for their negligent handiwork, but that their liability did not extend beyond
hidden or latent damages, under limits laid down in Campo v Scofield (301 NY 468, 471). Campo, however, is
not any longer the dominant authority in New York.
The rule in New York now is that "a manufacturer is obligated to exercise that degree of care in his plan
or design so as to avoid any unreasonable risk of harm to anyone who is likely to be exposed to the danger"
(Micallef v Miehle Co., 39 NY2d 376, 385). Since Inman followed MacPherson v Buick Motor Co. -- a case
treating an industrial manufacturer -- in considering the extent of the liability of an architect, by parity of
reasoning the liability of an architect must now be treated under the same tests currently applied toward an
industrial manufacturer. That is to say, the test of patent or latent defect is not to be applied, and the question of
liability depends rather on whether the architect exercised due care in preparing his plans.
If a departure from the general rule governing the accrual of a cause of action for tort liability based on
negligence is to be made on behalf of an architect sued by a person outside a professional relation with the
architect, we think that it should be accomplished by the Legislature, just as the Legislature has acted on behalf
of the medical profession (see, e.g., CPLR 214-a; see, generally, Comment, Medical Malpractice in New York,
27 Syracuse L Rev 657). The general rule has been effective for some time, and the Legislature must be
presumed to know its extent. The Statute of Limitations has been changed from time to time in New York in
response to current needs and expectations in society and has been peculiarly a subject of legislative solicitude
(Note, Developments in the Law: Statutes of Limitations, 63 Harv L Rev 1177, 1192-1193, n 157).
In weighing the force of the appellant's contention that liability may hang over its head for many years
after its work has been finished, we must also put in the balance the fact, as Special Term observed, that an
injured party may be barred from recovery because of the lapse of the statutory period even before his injury was
sustained. There are detriments which will be experienced by either the injured party or the architect, depending
on the character of the rule adopted. Weighing the relative detriments, we are not persuaded that we should
depart from the general rule -- a rule, which we note, is applied in other jurisdictions *** .
We therefore affirm the order of Special Term. ***