Union Trust and Sav. Bank v. Stanwood Feed & Grain, Inc., 52823
Decision Date | 09 April 1968 |
Docket Number | No. 52823,52823 |
Parties | UNION TRUST & SAVINGS BANK, Appellant, v. STANWOOD FEED AND GRAIN, INC., Defendant, Clarence Cooperative Company, Intervenor, Appellees. |
Court | Iowa Supreme Court |
Sebesta & Kuehnle, Mechanicsville, for appellant.
William B. Norton and Gary F. McClintock, Lowden, for appellees.
On October 19, 1966, summary judgment for $19,421.76 was entered in favor of plaintiff on two promissory notes of defendant, Stanwood Feed and Grain, Inc. No appeal was taken from that judgment nor is its validity questioned here. General execution issued to enforce the judgment and levy was made on Lot 7 in Block 1 of the Original Town in Stanwood, Iowa. It is this levy which triggered the events we are now called upon to review.
For reasons stated herein we find we are without jurisdiction to consider this appeal, and it must therefore be dismissed.
Although defendant is a nominal appellee, the real dispute is between plaintiff and Clarence Cooperative Company, intervenor, which claims ownership of this real estate and seeks its release from the levy made at plaintiff's direction.
After judgment was entered for plaintiff and execution issued for its enforcement, Clarence Cooperative Company, herein called intervenor, promptly filed a petition claiming absolute ownership of the real estate in Stanwood. In quick succession other pleadings raised questions of fraudulent conveyance, wrongful attachment, right to file a creditor's bill, and the effect of a prior suit upon the rights of the litigants here.
Although it might have been better practice to raise these post-judgment issues by separate action under rule 329, Rules of Civil Procedure, we have approved the method adopted here, at least when no objection is made, in Morse v. Morse, 247 Iowa 1113, 1122, 77 N.W.2d 622, 624. Further authority justifying it may be found in Glancy v. Ragsdale, 251 Iowa 793, 798, 102 N.W.2d 890, 893.
Even though the parties have become embroiled in a maze of claims and counterclaims, it is nevertheless clear the fundamental difference between them concerns plaintiff's right to satisfy its judgment out of the real estate in question.
This was presented to the trial court in several ways by intervenor's motion to dismiss plaintiff's counterclaim (including the Creditor's Bill) and motion to dissolve the writ of execution under which the disputed levy was made. These motions were sustained by order of January 20, 1967. Plaintiff seeks to nullify the effect of that order in this appeal, but we hold the method chosen to accomplish that result confers no jurisdiction upon us.
If plaintiff was entitled to any review of the trial court's order of January 20, 1967, it was by direct appeal therefrom, either under rule 331, R.C.P., as a matter of right, if such order is a final judgment, or under rule 332 with our permission, if it is interlocutory. Instead plaintiff sought to determine the matter by a motion for new trial. Under the circumstances here, we find no authority in our rules or in our decisions permitting such practice.
We hold plaintiff's challenge to the order of January 20, 1967, may not be raised by motion for new trial. A trial is defined in rule 176, R.C.P., as follows, Rule 109, R.C.P., provides, 'A motion is an application made by any party or interested person for an order. It may contain several objects which grow out of, or are connected with, the action. It is not a 'pleading'.' (Emphasis supplied.)
Clearly the determination by the trial court of the matters raised by intervenor's motion to dismiss was not a trial, since a trial is limited to issues raised by pleadings and rule 109 specifically points out a motion is not a pleading.
It follows alleged errors in such an order may not be...
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