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      "LEO STOLLER, Plaintiff-Appellant, v. RUSSELL STOLLER et al., Defendants-Appellees."
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        "text": "JUSTICE LaPORTA\ndelivered the opinion of the court:\nPlaintiff, Leo Stoller, appeals an interlocutory order of the circuit court of Cook County which denied his request for vacatur and a stay of a previously entered arbitration award. Plaintiff initiated this action in chancery to challenge the award made by the arbitrators who had been appointed to adjudicate an intrafamily dispute over the ownership of Stealth Industries, Inc., a corporation in which the plaintiff and the individual defendants, Russell and Christopher Stoller, claimed an interest.\nIn his complaint, plaintiff asserted that the arbitrators who had been appointed and had decided the dispute between the parties should have been disqualified based upon conflicts of interest which arose as a result of their legal representation of the plaintiff and defendants. The trial court issued an interlocutory order which held that the conduct of the arbitrators did not, as a matter of law, constitute a conflict of interest. The court\u2019s order denied the relief requested by plaintiff and continued the matter for an evidentiary hearing on the factual allegations raised in plaintiff\u2019s complaint. Pursuant to Supreme Court Rule 307 (134 Ill. 2d R. 307), plaintiff filed a notice of appeal of the interlocutory order refusing his request for vacatur and for a stay of the arbitrators\u2019 award.\nOn appeal, plaintiff contends that (1) the trial court improperly narrowed the scope of its inquiry to a question of law; (2) the precedent relied upon by the trial court in entering its interlocutory order applies exclusively to umpires and not to arbitrators; (3) the precedent relied upon by the trial court does not apply to the instant case; (4) plaintiff was entitled to a stay of the arbitration award; (5) the trial court erred in finding that the appointed arbitrators need not have been disqualified, as a matter of law, based upon conflicts of interest as a result of their legal representation of the parties; and (6) the award entered by the arbitrators should be set aside.\nThe record indicates that on November 6, 1989, plaintiff and the individual defendants entered into a \"written agreement under which the parties submitted their disputes as to the ownership and operation of Stealth Industries, Inc., to binding arbitration before George N. Leighton, George Feiwell, and Ronald H. Bals\u00f3n as arbitrators. The agreement provided, in relevant part, as follows:\n\u201cEach of LEO, RUSSELL and CHRISTOPHER hereby acknowledge that GEORGE N. LEIGHTON, GEORGE FEIWELL and RONALD H. BALSON have each rendered legal services to them, or on their behalf. Each of LEO, RUSSELL, and CHRISTOPHER hereby waive any and all claims of privilege or of conflict of interest and specifically request that these arbitrators accept said appointment and assist in their dispute resolution.\u201d\nThe agreement stated further:\n\u201cIt is the intent of the parties to resolve pending legal matters. They shall enlist the assistance of Messrs. LEIGHTON, FEIWELL and BALSON to assist them. The parties shall cause STEALTH to promptly and timely pay all statements rendered from Messrs. LEIGHTON, FEIWELL and BALSON.\u201d\nOn December 18, 1989, the arbitration convened pursuant to the terms of the agreement. The parties were present along with Leighton and Bals\u00f3n, but Feiwell did not appear. The parties agreed on the record to proceed with the arbitration and to have their dispute resolved by only two arbitrators, Leighton and Bals\u00f3n. At the commencement of the arbitration, each of the parties specifically stated that he had waived any right to assert privilege or a conflict of interest which might have existed as a result of the legal representation of any or all of the parties by Leighton and Bals\u00f3n. All of the parties stated that they voluntarily chose to proceed with the arbitration without any objection. The parties also stated that they understood that they had the right to have an attorney present to represent their individual interests during the arbitration but chose to proceed without counsel.\nAfter considering the proofs and testimony submitted by.the parties, the arbitrators issued their award of arbitration dated January 31, 1990. The award of arbitration reflected that the arbitrators found that Russell Stoller was the sole shareholder of Stealth Industries, Inc., with the sole right and authority to operate the corporation and that neither Leo Stoller nor Christopher Stoller had an ownership interest in the corporation.\nPlaintiff, Leo Stoller, subsequently requested that the arbitrators\u2019 award be modified and clarified. On March 14, 1990, the arbitrators denied plaintiff\u2019s request, for modification and clarification of the award.\nOn May 30, 1990, plaintiff filed in the circuit court a motion for a stay pendente lite of the private arbitrators\u2019 award dated January 31, 1990. This motion was stricken by the trial court, but plaintiff was granted leave to file an amended motion. On July 9, 1990, Leo filed his brief in support of his motion for a stay pendente lite of the arbitrators\u2019 award and for restraining and removal orders against defendants Russell Stoller and Christopher Stoller. The trial court allowed plaintiff\u2019s brief to stand as his motion.\nOn August 6, 1990, the individual defendants filed their response to the plaintiff\u2019s motion for a stay pendente lite of the arbitrators\u2019 award. On August 8, 1990, plaintiff filed his verified first amended complaint to stay and vacate the arbitrators\u2019 award and for declaratory judgment and for other relief. On August 13, 1990, plaintiff filed his reply to the defendants\u2019 response to plaintiff\u2019s motion for stay pendente lite of the arbitrators\u2019 award and for restraining and removal orders against Russell and Christopher Stoller.\nAt the hearing on plaintiff\u2019s motion for a stay of the arbitrators\u2019 award, plaintiff asserted that the arbitrators had acted under a conflict of interest and that, as a matter of law, they could not represent him and also act as neutral arbitrators. The trial court indicated that the record was insufficient to support the issuance of a stay on grounds other than the assertion of a conflict of interest as a matter of law. The court continued the matter for further briefing and argument on this issue and scheduled a hearing for October 12, 1990, to determine whether this issue was determinative of the plaintiff\u2019s motion for a stay.\nRussell and Christopher filed a memorandum of law addressing this issue, and plaintiff filed a supplemental brief in support of his motion. Upon consideration of the briefs and arguments of the parties, the trial court concluded that the arbitrators in the instant case did not, as a matter of law, act under a conflict of interest merely because they had previously represented the parties involved in the dispute. The court based its decision upon the reasoning employed in Strong v. International Building Loan & Investment Union (1899), 183 Ill. 97, 55 N.E. 675, which held that the law recognizes an exception to the conflict of interest rule where an attorney acts as an umpire. On this basis, the trial court denied plaintiff\u2019s request for an immediate stay of the arbitrators\u2019 award. The trial court went on to indicate that there may be further questions of fact to be decided before a final determination of the conflict of interest issue can be made.\nAt a subsequent hearing, the trial judge stated that all he had decided earlier was that the dual status of attorney and arbitrator did not, as a matter of law, create a conflict and that plaintiff had not shown that he was entitled to a stay as a matter of law. The judge specifically indicated that he did not decide whether the conduct of the arbitrators in the instant case raised a conflict of interest because that required a determination of a question of fact. The court advised the plaintiff that at the next hearing, plaintiff would be required to present evidence of a conflict of interest which consisted of something more than the mere dual status of attorney and arbitrator.\nPursuant to Supreme Court Rule 307 (134 Ill. 2d R. 307), plaintiff has appealed the order of the trial court.\nInitially, we note that the only order appealed from is the trial court\u2019s order of October 15, 1990, which held that plaintiff was not entitled to a stay as a matter of law. Thus, our review of this matter is limited to the propriety of that order, and we are permitted to determine only the narrow issue of whether, as a matter of law, a per se disqualification arose which precluded these attorneys from acting as arbitrators in this matter. In making this determination, we must examine the propriety of the trial court\u2019s action at the time the cause was brought before the court.\nPlaintiff initially filed a petition to vacate the arbitrators\u2019 award and a motion for a stay pendente lite and for restraining and removal orders against defendants Russell Stoller and Christopher Stoller.\nA motion for a stay pendente lite is analogous to a request for a preliminary injunction. The function of a preliminary injunction is to maintain the status quo until the case is disposed of on the merits, and a motion seeking such relief is not normally granted in the absence of an evidentiary hearing at which the movant has established entitlement to the relief requested. Peoples Gas Light & Coke Co. v. City of Chicago (1983), 117 Ill. App. 3d 353, 355, 453 N.E.2d 740, 742.\nIn the instant case, the trial court first addressed the contentions of the parties when it considered plaintiff\u2019s motion for a stay. Thus, the posture of the case was such that defendant Russell had control of Stealth, and plaintiff had been removed from any position of power or control in the corporation. A request for maintenance of the status quo required, therefore, that these relationships be left intact until an evidentiary hearing was held and the matter was disposed of on the merits. Peoples Gas Light & Coke Co., 117 Ill. App. 3d at 355, 453 N.E.2d at 742.\nPlaintiff initially contends that the trial court improperly narrowed the scope of its inquiry to a question of law. We observe that the trial court\u2019s order of October 15, 1990, reflects that pursuant to the agreement of the parties, the trial court first addressed this issue of law.\nPlaintiff argues, without citation to appropriate authority, that the trial judge acted improperly by first addressing the claim that plaintiff was entitled to a stay of the arbitrators\u2019 award as a matter of law. Yet, the trial judge fully recognized and stated for the record that he had not, indeed could not on the record then before him, decide that plaintiff was not entitled to a stay based upon the conduct of the arbitrators in the instant case. Rather, the court made an initial determination that plaintiff had not established, as a matter of law, that the arbitrators acted under a conflict of interest merely by virtue of their dual status as attorney and arbitrator. The court\u2019s decision to proceed first on the question of law was prompted by plaintiff\u2019s argument at the September 14, 1990, hearing that he was entitled to a stay as a matter of law.\nIt has long been recognized that a court should first decide questions of law that may be dispositive of the issues before the court. This procedure is intended to expedite trials and to narrow or simplify the issues to be tried. (88 C.J.S. Trial \u00a717(2) (1955).) This philosophy is acknowledged in the sections of the Illinois Code of Civil Procedure which provide for disposition of cases by motions to dismiss where no factual questions are at issue and by summary judgment. Ill. Rev. Stat. 1989, ch. 110, pars. 2 \u2014 615, 2 \u2014 1005.\nAs the trial judge in the case at bar recognized, logic and efficiency dictated that he decide potentially determinative issues of law before considering factual questions raised by the parties. The course followed by the trial court in the instant case was both appropriate and the recommended method for proceeding in a case which raises both legal and factual issues. Consequently, the trial court\u2019s order will not be reversed or set aside on this basis.\nPlaintiff asserts in his brief that the trial court erred in failing to hold an evidentiary hearing on his motion for a stay. This argument is clearly without merit. Rather than failing to hold an evidentiary hearing, the trial court specifically indicated that an evidentiary hearing was required before it could be determined whether plaintiff was entitled to a stay of the arbitrators\u2019 award. The court stated on the record that an evidentiary hearing was necessary and was to be scheduled and that plaintiff would then be able to present his evidence in favor of his factual allegations that the arbitrators acted under a conflict of interest.\nAs recognized by the plaintiff in his brief, all the court had before it on October 15, 1990, was the plaintiff\u2019s verified complaint with attached exhibits, the defendants\u2019 verified answer, and the briefs submitted by the parties. The court acknowledged that because the verified answer of the defendants denied or controverted many of the factual allegations contained in the complaint, the pleadings presented genuine issues of material fact which could not be resolved without an evidentiary hearing.\nThus, contrary to the plaintiff\u2019s argument, the trial judge did not fail to hold an evidentiary hearing, but merely postponed the evidentiary hearing until he had considered and decided the potentially dis-positive legal question raised by the plaintiff. We hold that this procedure was not improper or prejudicial to the plaintiff\u2019s interests.\nWe next address plaintiff\u2019s claim that the authority relied upon by the trial court in entering its interlocutory order applies exclusively to umpires and is inapplicable to arbitrators.\nThe trial court premised its decision that plaintiff was not entitled to a stay as a matter of law upon the reasoning employed by the Illinois Supreme Court in Strong v. International Building Loan & Investment Union (1899), 183 Ill. 97, 55 N.E. 675, where the Illinois Supreme Court held that when an attorney acts, with the consent of both litigants, in the character of an umpire for the determination of their differences, there is no conflict or inconsistency in such employment. Strong, 183 Ill. at 102-03, 55 N.E. at 677.\nAn arbitrator is a private, disinterested person, chosen by the parties to a disputed question, for the purpose of hearing their contention and giving judgment between them; to whose decision (award) the litigants submit themselves either voluntarily, or, in some cases, compulsorily. (Black\u2019s Law Dictionary 96 (5th ed. 1979).) An umpire is defined as a third party selected to arbitrate a labor dispute, or one clothed with authority to act alone in rendering a decision where arbitrators have disagreed. When matters in dispute are submitted to two or more arbitrators, and they do not agree in their decision, it is usual for another person to be called in as \u201cumpire,\u201d to whose sole judgment it is then referred. An umpire, strictly speaking, makes his award independently of that of the arbitrators. (Black\u2019s Law Dictionary 1365 (5th ed. 1979).) An umpire acts in the nature of a sole arbitrator and is obligated to hear and determine the entire matter in controversy. See Ingraham v. Whitmore (1874), 75 Ill. 24, 30.\nThe court in the Strong case recognized that where litigants submit their dispute to an attorney for his or her determination of the issues and rights involved, that attorney acts in the character of an umpire or arbitrator. In siich a situation, that attorney is acting as the impartial fact finder and decision maker over the matters in controversy and is not acting as counsel or advocate of any of the litigants. Because an arbitrator or umpire acts as a disinterested decision maker and does not act as an advocate for any of the individual litigants, it cannot be said that he or she represents conflicting interests. An attorney who acts as arbitrator traditionally does so with the consent of the parties to the controversy. The functions and characteristics of arbitrators are virtually identical to those of umpires. Ingraham, 75 Ill. at 30.\nThe reasoning employed by the Strong court clearly applies to arbitrators as well as to umpires where the parties have voluntarily chosen the arbitrators and invested in those persons the authority to decide the matters in controversy. Consequently, we find unpersuasive plaintiff\u2019s claim that the decision in Strong does not apply to arbitrators.\nPlaintiff also asserts that even if the holding in Strong is applicable to arbitrators, it is not controlling under the facts and circumstances of the instant case. In support of this assertion, plaintiff argues that an inherent conflict of interest arises where, as here, attorneys have represented multiple parties with adverse interests and subsequently assumed the role of arbitrators to decide the same matter in controversy.\nThe defendants have denied that the arbitrators\u2019 actions can be characterized in the manner set forth by the plaintiff. Rather, the defendants state that the arbitrators in the case at bar never represented any of the individual parties as an adversary against any of the other parties. The defendants acknowledge that the arbitrators had represented the parties individually and as a group, but state that this representation involved unrelated matters. Defendants strenuously argue that the arbitrators did not represent any of the individual parties during the arbitration proceeding and had not acted as counsel or advocate for any party in particular. Thus, the defendants argue, the arbitrators were not required to take views in opposition to those of any of the individual parties to the dispute. In addition, the defendants argue that the arbitrators had no personal interest in the outcome of the proceedings.\nThe record indicates that in the arbitration agreement and during the arbitration proceedings the arbitrators fully disclosed their relationships with the parties in accordance with Canon IIA of the Code of Ethics for Arbitrators in Commercial Disputes (Canon IIA, Code of Ethics for Arbitrators in Commercial Disputes, reprinted in R. Gorlin, Codes of Professional Responsibility (1986)) and in accordance with section 19 of the American Arbitration Association\u2019s Commercial Arbitration Rules (Com. Arb. Rules, App. VII, \u00a719 (Am. Arb. A.), reprinted in G. Wilner, Domke on Comm. Arbitration, Appendix VII (rev. ed. 1990)).\nThe record also reveals that after such disclosures had been made each of the parties specifically agreed to proceed with the arbitration and to have their dispute resolved by two arbitrators, Leighton and Bals\u00f3n. Each of the parties specifically stated in the agreement and on the record of the arbitration proceedings that he had waived any right to assert privilege or a conflict of interest which might have existed as a result of the legal representation of any or all of the parties by Leighton and Bals\u00f3n. All of the parties stated on the record that they voluntarily chose to proceed with the arbitration without any objection. The parties also stated that they understood that they each had the right to have an attorney present to represent their individual interests during the arbitration but chose to proceed without counsel.\nBased upon this record, we hold that the trial court properly relied upon the decision in Strong and found that there was insufficient evidence to indicate that the arbitrators would necessarily favor the interests of one party over those of another and should, therefore, have been disqualified as a matter of law.\nPlaintiff next asserts that he was entitled to a stay of the arbitration award.\nSection 12 of the Illinois Arbitration Act provides, in pertinent part:\n\u201cVacating an award, (a) Upon application of a party, the court shall vacate an award where:\n(1) The award was procured by corruption, fraud, or other undue means;\n(2) There was evident partiality by an arbitrator appointed as a neutral or corruption in any one of the arbitrators or misconduct prejudicing the rights of any party;\n(3) The arbitrators exceeded their powers.\u201d Ill. Rev. Stat. 1989, ch. 10, par. 112(a).\nPlaintiff contends that he has established that he was entitled to a stay of the arbitration award because he was fraudulently induced to enter into the arbitration agreement and because the arbitrators acted with partiality and bias in favor of defendants.\nIn support of these contentions, plaintiff asserts that he only signed the arbitration agreement upon the advice of arbitrator Leighton and after defendant Russell signed an acknowledgement that plaintiff was the sole owner of Stealth Industries, Inc. Plaintiff also asserts that he was compelled to sign the arbitration agreement based upon the promises of the arbitrators that Christopher would then return to work at Stealth Industries and Russell would then assist in unfreezing the corporation\u2019s bank accounts. Plaintiff asserts, further that the partiality and bias of the arbitrators was evident from the fact that they engaged in ex parte communications with the parties and \u201cignored\u201d the acknowledgements signed by Russell and other evidence indicating that plaintiff was the sole owner of Stealth Industries. Plaintiff asserts further that the arbitrators had a direct and definite interest in the outcome of the arbitration proceedings. Finally, plaintiff asserts that the arbitrators exceeded their powers by eliminating the third arbitrator, by transferring ownership of the corporation, and by determining the assets of the corporation.\nPlaintiff seems to argue that a stay should have been granted on the basis of his allegations alone and that the filing of his complaint was adequate to trigger the grant of a stay. This is clearly not the case. Rather, the allegations in plaintiff\u2019s complaint must be proved by clear and convincing evidence. Ronwin v. Piper, Jaffray & Hopwood, Inc. (1983), 113 Ill. App. 3d 687, 692-93, 447 N.E.2d 954, 958; Wilcox Co. v. Bouramas (1979), 73 Ill. App. 3d 1046, 1050-51, 392 N.E.2d 198, 203.\nAt the time plaintiff filed his notice of appeal, there was no evidence before the trial court to support plaintiff\u2019s contentions. The trial court had not yet had the opportunity to hold an evidentiary hearing on the allegations raised in the complaint. The court had not determined the factual question of whether plaintiff was entitled to a stay of the arbitrators\u2019 award. All the trial court had decided was whether plaintiff was entitled to a stay of the award as a matter of law. The trial judge fully recognized and stated on the record that an evidentiary hearing was required before he could decide whether plaintiff had established that he was entitled to a stay. At present, the record contains only plaintiff\u2019s allegations as set forth above. There is no evidence in support of these allegations, and there is no ruling by the trial court as to whether plaintiff had proved his allegations. Consequently, the record is wholly insufficient for this court to consider plaintiff\u2019s assertions and plaintiff\u2019s appeal on this issue is premature. See In re Marriage of Verdung (1989), 126 Ill. 2d 542, 553, 535 N.E.2d 818, 823.\nWe next consider plaintiff\u2019s assertion that the trial court erred in finding that the appointed arbitrators need not have been disqualified, as a matter of law, based upon conflicts of interest as a result of their legal representation of the parties.\nThe majority of plaintiff\u2019s argument on this issue concerns his claims that the arbitrators in the instant case should have been disqualified as a matter of law. These claims have been discussed above, and we deem it unnecessary to repeat that discussion here.\nThe thrust of the remainder of plaintiff\u2019s argument on this issue centers around his claim that the alleged conflict of interest could not, as a matter of law, be waived by the parties because any such waiver would be unintelligent and uninformed. This argument is without merit.\nThe only case cited by plaintiff in support of this contention is Klemm v. Superior Court (1977), 75 Cal. App. 3d 893, 142 Cal. Rptr. 509, which held that as a matter of law a purported consent of dual representation of litigants with adverse interests at a contested hearing would be neither intelligent nor informed. This case is clearly distinguishable from the case at bar. The instant case does not involve a situation of dual representation of adverse litigants. Rather, it involves attorneys who had represented the parties to the dispute in unrelated matters and fully disclosed these relationships prior to their appointment as impartial arbitrators. All of the parties to the dispute stated on the record that they understood the nature of these relationships and chose to waive any confidentiality or conflict of interest claims and to proceed with the arbitration without objection.\nConsequently, the Klemm decision is not controlling here, and plaintiff has offered no citations to authority in support of his claim. Moreover, the trial court had entered no ruling on the validity of the waiver of the confidentiality or conflict of interest claims because the court had not yet had the opportunity to hold an evidentiary hearing prior to the filing of plaintiff\u2019s notice of appeal. As a result, this court has not been furnished with an adequate record to enable it to address plaintiff\u2019s claims raised in this issue.\nFinally, we address plaintiff\u2019s contention that the award entered by the arbitrators should be set aside. Plaintiff attempts to argue that the award of the arbitrators was erroneous on its face and must be set aside as a matter of law.\nThis argument could not properly be raised on appeal, and this court, therefore, is precluded from considering the claims asserted by plaintiff.\nAs previously indicated, the trial court issued a ruling only as to the disqualification of the arbitrators as a matter of law based upon their prior relationships with the parties to the dispute. The plaintiff took an immediate interlocutory appeal from that ruling before the court had an opportunity to hold an evidentiary hearing or to rule on the substance of the factual assertions contained in plaintiff\u2019s complaint. Consequently, the trial court never decided or even had an opportunity to address the claims made by plaintiff in this issue.\nAs a result, this court has not been furnished with an adequate record to enable it to address plaintiff\u2019s claims raised in this issue. Moreover, this issue is not properly before this court because plaintiff has appealed only the trial court\u2019s order of October 15, 1990, which did not include any ruling on the arguments made by plaintiff in this issue. See E.J. De Paoli Co. v. Novus, Inc. (1987), 156 Ill. App. 3d 796, 798, 510 N.E.2d 59, 60.\nFor the foregoing reasons, the order of the circuit court of Cook County is affirmed, and the cause is remanded to the trial court for further proceedings.\nAffirmed and remanded.\nMcNAMARA and EGAN, JJ., concur.",
        "type": "majority",
        "author": "JUSTICE LaPORTA"
      }
    ],
    "attorneys": [
      "Edward L.S. Arkema and Ralph A. Anderskow, both of Chicago, for appellant.",
      "William J. Harte, Ltd., of Chicago (William J. Harte, Stephen L. Garcia, and Courtney N. Nottage, of counsel), for appellees."
    ],
    "corrections": "",
    "head_matter": "LEO STOLLER, Plaintiff-Appellant, v. RUSSELL STOLLER et al., Defendants-Appellees.\nFirst District (6th Division)\nNo. 1\u201490\u20143146\nOpinion filed November 15, 1991.\nEdward L.S. Arkema and Ralph A. Anderskow, both of Chicago, for appellant.\nWilliam J. Harte, Ltd., of Chicago (William J. Harte, Stephen L. Garcia, and Courtney N. Nottage, of counsel), for appellees."
  },
  "file_name": "0022-01",
  "first_page_order": 42,
  "last_page_order": 54
}
