{
  "id": 2512721,
  "name": "THERESA B. MURPHY, Plaintiff-Appellant, v. CHICAGO TRANSIT AUTHORITY, Defendant-Appellee",
  "name_abbreviation": "Murphy v. Chicago Transit Authority",
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    "judges": [],
    "parties": [
      "THERESA B. MURPHY, Plaintiff-Appellant, v. CHICAGO TRANSIT AUTHORITY, Defendant-Appellee."
    ],
    "opinions": [
      {
        "text": "JUSTICE LINN\ndelivered the opinion of the court:\nPlaintiff, Theresa B. Murphy, brought an action against the Chicago Transit Authority (CTA) to recover damages for injuries she sustained in an accident with a CTA bus. Defendant successfully moved to dismiss the complaint on the grounds that plaintiff had failed to give the CTA proper notice of the claim within six months of the incident and also that she had failed to file the action within one year, as required by section 41 of the Metropolitan Transit Authority Act (Ill. Rev. Stat. 1987, ch. 111\u2154, par. 341). On appeal Murphy contends that the trial court erred in its interpretation of section 41 and that the court further erred in not applying principles of estoppel to the CTA\u2019s attempt to defeat the suit on timeliness grounds.\nWe affirm.\nBackground\nOn May 12, 1986, Murphy was riding a bicycle when she was injured in an accident with a CTA bus. Her counsel mailed a letter, first class, to the CTA claims manager at the Merchandise Mart in Chicago, following directions allegedly given to plaintiff\u2019s attorney over the telephone. The CTA denied receiving the letter. However, Murphy\u2019s attorney and physician each sent written documents in support of her claim to the CTA, which the CTA acknowledged receiving. In papers filed in the trial court, Murphy\u2019s attorney described several telephone calls he had with a claims manager. The CTA only admits to conversations taking place in February and March 1987, after the expiration of the six-month period for filing notice of intent to sue.\nOn June 4, 1987, Murphy filed a negligence lawsuit against the CTA. In lieu of answering, the CTA filed a motion to dismiss under section 2\u2014619 of the Code of Civil Procedure (Ill. Rev. Stat. 1987, ch. 110, par. 2\u2014619).\nAt the initial hearing on the CTA\u2019s motion, Judge Hoffman ruled that Murphy\u2019s notice failed to comply with the requirements of section 41, which provides that within six months of the accrual of the cause of action, any person who is planning to sue the CTA \u201cshall file in the office of the secretary of the Board and also in the office of the General Attorney for the Authority either by himself, his agent, or attorney, a statement, in writing, signed by himself, his agent, or attorney, giving the name of the persons to whom the cause of action has accrued, the name and residence of the person injured, the date and about the hour of the accident, the place or location where the accident occurred and the name and address of the attending physician, if any. If the notice provided for by this section is not filed as provided, any such civil action commenced against the Authority shall be dismissed and the person to whom any such cause of action accrued for any personal injury shall be forever barred from further suing.\u201d Ill. Rev. Stat. 1987, ch. 111\u2154, par. 341.\nJudge Hoffman did not rule on the issue of estoppel, but instead allowed the parties to file supplemental briefs on the question of whether the CTA was estopped from raising the statute of limitations.\nJudge Quinn heard argument on the estoppel issues on June 2, 1988, and held in favor of the CTA. Accordingly, he dismissed Murphy\u2019s action, with prejudice.\nOpinion\nMurphy asserts that Judge Quinn precluded her from presenting her estoppel claim on the six-month notice issue. According to her, Judge Hoffman\u2019s ruling that she did not give the CTA notice within six months was entirely separate from the question of whether .the CTA should be estopped from denying that it received timely notice of her claim or from asserting the one-year limitations period for filing suit. Therefore, Murphy contends Judge Quinn improperly relied on Judge Hoffman\u2019s prior ruling as barring her from raising an equitable estoppel on the issue of notice (as distinct from the one-year filing requirement).\nThe CTA, on the other hand, asserts that Judge Quinn\u2019s order of February 23, 1989, settles all of Murphy\u2019s arguments and is well grounded in law. Regarding the notice issue, the CTA points out that even if Murphy had given actual notice of her claim to the CTA, case law clearly holds that such notice is insufficient as a matter of law. (E.g., Housewright v. City of LaHarpe (1972), 51 Ill. 2d 357, 361, 282 N.E.2d 437, 440; Dunbar v. Reiser (1976), 64 Ill. 2d 230, 356 N.E.2d 89 (purpose of statutory notice is to notify governmental entity that plaintiff is about to commence suit for civil damages).) Section 41 by its terms requires the written notice to be filed in the office of the secretary of the board and also in the office of the general attorney for the Authority. In the pending case, plaintiff\u2019s letter was not so filed, as it was simply mailed to \u201cClaims Manager\u201d at the Merchandise Mart. The CTA denies even receiving the letter, which was not mailed by certified mail.\nUnder these circumstances, we find no error in Judge Hoffman\u2019s initial ruling that the statutory notice requirement was not met. (See Shortt v. City of Chicago (1987), 160 Ill. App. 3d 933, 514 N.E.2d 3 (notice of intent to sue sent to corporation counsel instead of city clerk, as required by Local Government and Governmental Employees Tort Immunity Act (Ill. Rev. Stat. 1985, ch. 85, par. 1\u2014101 et seq.), was fatally defective).) Nor do we find error in Judge Quinn\u2019s determination that the CTA was not estopped from asserting the lack of notice. It is true that in some instances the failure to give proper notice may be cured, such as when a plaintiff files the actual complaint within the six-month period. (Saragusa v. City of Chicago (1976), 63 Ill. 2d 288, 348 N.E.2d 176.) We are not aware of any cases, however, that recognize an estoppel based on the CTA\u2019s mere receipt and acknowledgement of information or documents pertaining to a claim when the statutory notice is defective and the lawsuit has not been filed within six months.\nContrary to Murphy\u2019s assertion, Judge Quinn did not curtail her presentation of argument and evidence in support of the estoppel issues. Her attorney's affidavit attributed his misdirected mailing of the notice of claim to the instructions he was given by the CTA claims manager over the telephone. He also stated that in the months of November and December 1986, February, March, and April 1987 he spoke to the claims manager, who assured him \u201ceverything was okay and would be taken care of.\u201d Finally, Murphy produced evidence that the CTA had received materials from her treating physician, including a letter in which the CTA told the doctor that it had no report of the incident but that it would process the doctor\u2019s claim upon receipt of certain records.\nTaking these allegations in the light most favorable to Murphy, we nevertheless conclude that they fall short of the type of conduct that gives rise to estoppel. It may seem harsh that a person cannot rely on an agent of the CTA to give accurate information on processing a claim. However, section 41 puts the burden upon the claimant to ascertain her rights and to comply with the statutory prerequisites for maintaining a lawsuit against the CTA.\nApart from the notice issue, the lawsuit itself must be commenced within one year from the date of the injury. In the pending case, it was not. Murphy\u2019s request to be relieved from complying with this statute of limitations is based on the same reasoning advanced with regard to the notice question. Her attorney states that the CTA claims manager misled him by acting as if the claim was being processed and lulling him into a false sense that the claim had been accepted and would be settled.\nThe cases do not support Murphy\u2019s position. In Searcy v. Chicago Transit Authority (1986), 146 Ill. App. 3d 779, 497 N.E.2d 410, a case in which an estoppel defense survived a motion to dismiss, the plaintiff had given timely notice of her intent to file suit within six months from the date of her injury. At issue was whether she had made such a showing under the facts to allow a jury to determine whether the CTA should be estopped from asserting the one-year statute of limitations. There, the CTA\u2019s claims adjuster had given the plaintiff extensive assurances that her claim would be settled, that she did not need an attorney, that she would be reimbursed for all of her medical expenses and lost wages, and that her case would be settled regardless of the duration of her injuries. The plaintiff had expressed specific concerns about the approach of the one-year filing deadline but had been repeatedly assured that her concern was unnecessary because her claim would be paid.\nUnlike the circumstances of the pending case, Searcy demonstrates a pattern of deception in which the layman claimant was actively misled into believing that liability was admitted and her claim was being settled. She was expressly told that she did not need to obtain a lawyer. In contrast, here Murphy\u2019s attorney relied on vague statements that \u201ceverything was okay and would be taken care of,\u201d representations that do not amount to admissions of liability or attempts to prevent a claimant from ascertaining legal rights and obligations. Had Murphy\u2019s attorney checked the applicable statute he would have known of the preconditions for maintaining an action against the CTA. He would not have settled for vague assurances that everything was fine but would have taken steps to ensure that his client\u2019s interests were safeguarded. See also Shortt v. City of Chicago (1987), 160 Ill. App. 3d 933, 514 N.E.2d 3 (court affirmed dismissal of plaintiff\u2019s complaint, despite her estoppel argument based on the CTA\u2019s filing its appearance and answer in the lawsuit, conducting of discovery for five years and entering settlement negotiations during that time).\nIn the pending case the record discloses no indication that the CTA ever admitted liability or specifically discussed a settlement. Nor did anyone represent to Murphy\u2019s attorney that he need not take whatever steps were required by law to protect his client\u2019s claim.\nWe are not condoning any misrepresentations that the CTA might have made, deliberately, negligently, or innocently. Nor do we find the attorney\u2019s reliance on the CTA\u2019s information to be totally unreasonable. Nevertheless, the case law demonstrates that the requirements of section 41 are mandatory and not lightly excused. Accordingly, we have no choice but to affirm the judgment of the trial court that dismissed Murphy\u2019s claim against the CTA.\nAffirmed.\nJIGANTI, P.J., and McMORROW, J., concur.",
        "type": "majority",
        "author": "JUSTICE LINN"
      }
    ],
    "attorneys": [
      "Raymond P. Bartel, of Glenview, for appellant.",
      "George N. Leighton, Interim General Attorney, and William G. Clark, Jr. & Associates, Ltd., both of Chicago (William G. Clark, Jr., and llene Davidson Johnson, of counsel), for appellee."
    ],
    "corrections": "",
    "head_matter": "THERESA B. MURPHY, Plaintiff-Appellant, v. CHICAGO TRANSIT AUTHORITY, Defendant-Appellee.\nFirst District (4th Division)\nNo. 1\u201488\u20142095\nOpinion filed November 22, 1989.\nRaymond P. Bartel, of Glenview, for appellant.\nGeorge N. Leighton, Interim General Attorney, and William G. Clark, Jr. & Associates, Ltd., both of Chicago (William G. Clark, Jr., and llene Davidson Johnson, of counsel), for appellee."
  },
  "file_name": "0918-01",
  "first_page_order": 940,
  "last_page_order": 945
}
