SC Criminal Attorney – Drug Paraphernalia Charge Not a “Prior Offense” for Sentencing Enhancement

At Reeves, Aiken & Hightower LLP, our attorneys have over 70 years of combined trial experience in both civil and criminal courts.  We are available by mobile phone in the evenings, on weekends, and even holidays. Our lawyers are licensed in both South Carolina and North Carolina and are effective criminal trial attorneys.  We are not afraid to go to Court and often do. Tyler Burns is a former 16th Circuit (York County) prosecutor, and Art Aiken is a accomplished criminal attorney who has tried virtually every type of criminal case in both state and federal courts. And, Bea Hightower is a former Richland County public defender in Columbia. We welcome an opportunity to sit down and personally review your case. Compare our attorneys’ credentials and experience to any other law firm. Then call us at 877-374-5999 for a private consultation. Or visit our firm’s website at www.rjrlaw.com.

THE STATE OF SOUTH CAROLINA
In The Supreme Court


Donald D. Berry, Petitioner,

v.

State of South Carolina, Respondent.


ON WRIT OF CERTIORARI


Appeal From Cherokee County
Doyet A. Early, III, Post-Conviction Relief Judge


Opinion No. 26618
Submitted November 19, 2008 – Filed March 23, 2009


REVERSED AND REMANDED


Deputy Chief Appellate Defender Wanda H. Carter, of South Carolina Commission on Indigent Defense, of Columbia, for Petitioner.

Attorney General Henry Dargan McMaster, Chief Deputy Attorney General John W. McIntosh, Assistant Deputy Attorney General Salley W. Elliott, Assistant Attorney General S. Prentiss Counts, all of Columbia, for Respondent.


JUSTICE KITTREDGE:      We granted a writ of certiorari to review the denial of Donald D. Berry’s application for post-conviction relief (PCR).  Berry pled guilty to a drug charge, second offense, and was sentenced to prison.  The prior offense for enhancement purposes was a drug paraphernalia conviction.  Because a drug paraphernalia conviction does not qualify as a prior offense for enhancement purposes under South Carolina’s statutory scheme and plea counsel neither informed Berry of this fact nor made an objection in the plea court, we reverse the denial of PCR, vacate the guilty plea, and remand to the general sessions court.

I.

Berry pled guilty to manufacturing methamphetamine, second offense, and was sentenced to seven years’ imprisonment.  The plea was enhanced to a second offense by Berry’s prior conviction for possession of drug paraphernalia.  As part of the plea agreement, an accompanying possession with intent to distribute methamphetamine charge was dismissed.  The PCR court found Berry did not establish his entitlement to relief and denied his application.  Berry sought a writ of certiorari, which we granted.

Section 44-53-470 of the South Carolina Code (Supp. 2007) states, “[a]n offense is considered a second or subsequent offense if . . . the offender has been convicted within the previous ten years of a violation of a provision of this article or of another state or federal statute relating to narcotic drugs, marijuana, depressants, stimulants, or hallucinogenic drugs . . . .”  Additionally, section 44-53-375(B)(2) of the South Carolina Code (Supp. 2007) provides the following requirements for an enhanced offense:

[F]or a second offense or if, in the case of a first conviction of a violation of this section, the offender has been convicted of any of the laws of the United States or of any state, territory, or district relating to narcotic drugs, marijuana, depressant, stimulant, or hallucinogenic drugs, the offender must be imprisoned for not less than five years nor more than thirty years, or fined not more than fifty thousand dollars, or both.

II.

Whether a drug paraphernalia conviction qualifies as a prior offense for enhancement purposes has not been decided by this Court.  The question is one of statutory construction.  See State v. Dingle, 376 S.C. 643, 649, 659 S.E.2d 101, 105 (2008) (“In interpreting statutes, the Court looks to the plain meaning of the statute and the intent of the Legislature.”).  Moreover, in construing a criminal statute, we are guided by the rule of lenity—the principle that any ambiguity must be resolved in favor of the accused.  State v. Blackmon, 304 S.C. 270, 273, 403 S.E.2d 660, 662 (1991) (“[W]hen a statute is penal in nature, it must be construed strictly against the State and in favor of the defendant.”).  We hold that the Legislature intended a prior offense to qualify for enhancement purposes only if the prior offense “relates to” one of the statutorily enumerated drugs.

To construe a paraphernalia conviction as “relating to” drugs would be contrary to unambiguously expressed legislative intent and additionally violate the rule of lenity long established in our jurisprudence.  Moreover, were we to construe the phrase “relate to” so loosely as to include a paraphernalia conviction, there would essentially be no limitation for qualifying enhancement offenses.  We therefore hold that a conviction for possession of drug paraphernalia may not be used for enhancement purposes as it does not “relate to” drugs as statutorily mandated.

III.

Ineffective Assistance of Counsel

We now turn to Berry’s PCR claim of ineffective assistance of counsel.  To establish a claim of ineffective assistance of counsel under the Sixth Amendment, a PCR applicant must prove deficient representation and resulting prejudice.  Strickland v. Washington, 466 U.S. 668, 687 (1984).

Where a defendant pleads guilty upon the advice of counsel, post-conviction relief is available only when the applicant proves the advice he received from counsel “fell below an objective standard of reasonableness” and that “but for” counsel’s deficient representation, he would not have pled guilty.  Hill v. Lockhart, 474 U.S. 52, 56-59 (1985).  Plea counsel for Berry acknowledges he neither challenged the State’s reliance on the paraphernalia conviction for enhancement purposes, nor informed Berry of the potential challenge.

A. Deficient Representation

We find plea counsel’s failure to inform Berry of the potential challenge of the use of the paraphernalia conviction for enhancement purposes amounts to deficient representation.  Strickland v. Washington, 466 U.S. at 687.  In so ruling, we recognize that a defendant, for a host of legitimate reasons, may plead guilty to an offense for which a valid legal challenge may exist.  See Rollison v. State, 346 S.C. 506, 510, 552 S.E.2d 290, 292 (2001) (“A defendant may, as part of a plea bargain, agree to plead guilty to a crime for which he has been indicted (or to which he has waived grand jury presentment), but of which he is not guilty.”); Anderson v. State, 342 S.C. 54, 58, 535 S.E.2d 649, 651 (2000) (“We find the decision to accept a plea to voluntary manslaughter notwithstanding the lack of any provocation was simply a tactical maneuver to avoid the very real possibility that the jury might come back with a verdict of murder.  Accordingly, we find the plea was knowingly and voluntarily entered.”).  The difference in such circumstances between a valid guilty plea and an invalid guilty plea lies in the knowing and voluntary nature of the plea.  Here, counsel never informed Berry of the potential challenge to the use of the drug paraphernalia conviction for enhancement.  In fact, Berry’s plea counsel never gave any thought to the issue.

We believe the Sixth Amendment guarantee of effective assistance of counsel requires that counsel accurately inform a defendant, to the extent possible, of the qualifying nature of a prior offense for enhancement purposes.  It may well be that in situations unlike the one before us, the answer is unclear.  Yet, an accused is entitled to counsel’s considered and reasonable judgment.[1]  In fact, uncertainty concerning a potential legal challenge may well provide a defendant a catalyst in plea negotiations with the State.  In this regard, a defendant may choose to forgo a legal challenge and opt for what he considers a favorable plea arrangement, especially where other charges will be dismissed or sentences are run concurrently.

This “give and take” lies at the heart of virtually every guilty plea, as plea agreements allow our overly burdened criminal courts to function.  The point, for purposes of the issue before us, is that such decisions must be made knowingly and voluntarily with the advice of constitutionally competent counsel.  Simply saying “I never gave it a thought” falls short of the Sixth Amendment guarantee of effective assistance of counsel.  As a result, we find counsel’s failure to even consider whether a paraphernalia conviction qualifies for enhancement, and so inform Berry, fell below the standard of objective reasonableness.  We therefore find plea counsel provided constitutionally deficient representation.

B. Prejudice

We next turn to the second step in the analysis—whether Berry was prejudiced by the deficient representation.  Strickland v. Washington, 466 U.S. at 687.  As this was a guilty plea, Berry “must show that there is a reasonable probability that, but for counsel’s errors, he would not have pleaded guilty and would have insisted on going to trial.”  Hill, 474 U.S. at 59.  During the PCR hearing, Berry repeatedly said that he would have gone to trial had he known that his paraphernalia conviction did not qualify as a prior offense for enhancement purposes.  Cf. Robinson v. State, Op. No. 26564 (S.C.Sup.Ct. filed Nov. 24, 2008) (Shearouse Adv.Sh. No. 43 at 25) (granting post-conviction relief and remanding for resentencing where prior uncounseled conviction was improperly used for enhancement and applicant insisted that he wanted to plead guilty free of the “unconstitutional prior conviction[]”).  We find Berry has established the prejudice prong of Strickland v. Washington, and we grant him the relief he requests.

IV.

We grant Berry post-conviction relief and return him to his pre-guilty plea position.  Berry’s conviction and sentence for manufacturing methamphetamine are vacated.  Because the accompanying indictment for possession with intent to distribute methamphetamine was dismissed as part of the plea bargain, it is restored as an active charge.  We remand these charges to the general sessions court for disposition.

REVERSED AND REMANDED.

TOAL, C.J., WALLER, and BEATTY, JJ., concur. PLEICONES, J., not participating.

[1] While the case at hand concerns use of prior convictions for enhancement purposes, this reference to an accused’s entitlement to counsel’s considered and reasonable judgment clearly has broad application in Sixth Amendment jurisprudence.

SC Workers’ Compensation Attorney – Payment of Award – Penalty for Delay

At Reeves, Aiken & Hightower LLP, our lawyers are experienced workers’ compensation attorneys.  Robert J. Reeves is a former intensive care unit Registered Nurse (RN) who has actually treated patients with the same type of serious injuries he now represents in workers’ compensation cases.  Both Robert J. Reeves and Arthur K. Aiken are former insurance defense attorneys who know what to anticipate and how to prepare for trial and insurance company tactics.  During our twenty-two (22) years each of practicing law, we have handled virtually every type of workers’ compensation injury, including neck, back, shoulder, knee accidents, closed head / brain injury, herniated disks, bulging disks, diskectomy surgery, fusion procedures, arthroscopy, automobile accidents on the job, psychological / post traumatic stress, permanent and total disability claims, and wrongful death. We welcome the opportunity to sit down and personally discuss your case. Compare our attorneys’ credentials to any other firm. Then call us for a private consultation. www.rjrlaw.com

THE STATE OF SOUTH CAROLINA
In The Supreme Court


Francis Ike Johnson, Respondent,

v.

Sonoco Products Company and GAB Robins, Inc., Appellants.


Appeal From Darlington County
James E. Lockemy, Circuit Court Judge


Opinion No. 26584
Heard November 19, 2008 – Filed January 20, 2009


AFFIRMED AS MODIFIED; AND REMANDED


Michael A. Farry and David A. Wilson, both of Horton, Drawdy, Ward & Jenkins, of Greenville, for Appellants.

Vernon F. Dunbar, of Turner, Padget, Graham & Laney, of Greenville, for Respondent.


PER CURIAM:  Appellants Sonoco Products Company and GAB Robins, Inc. (collectively, Sonoco) argue the circuit court erred in granting Respondent Francis Ike Johnson’s motion to compel payment of his workers’ compensation benefits during the pendency of the underlying appeal.  We disagree and affirm.  We find that the circuit court’s award of workers’ compensation benefits in the underlying appeal was not stayed during the appeal.  As a result, we conclude the circuit court retained authority to compel the payment of compensation benefits pursuant to Rule 225(a), SCACR.  We further affirm Johnson’s entitlement to interest and related sanctions.  We modify the order of the circuit court only insofar as the effective date of Johnson’s entitlement to relief.  We remand to the circuit court to calculate Johnson’s entitlement to interest as of June 15, 2005, thirty days following entry of the circuit court order awarding Johnson benefits.

I.

The single commissioner awarded benefits to Johnson.  The commission reversed, and Johnson appealed to the circuit court.  The circuit court reversed the commission and awarded benefits to Johnson.  Sonoco’s motion to reconsider was denied, and the circuit court order became final on May 16, 2005.

Sonoco appealed to the Court of Appeals, which affirmed the judgment of the circuit court.  Johnson v. Sonoco Products Co., Op. No. 2006-UP-281 (S.C.Ct.App. filed Sept. 20, 2006).  Sonoco unsuccessfully sought rehearing in the Court of Appeals.  We subsequently denied Sonoco’s petition for a writ of certiorari.  The remittitur was sent to the lower court on June 13, 2007.

Prior to the conclusion of the underlying appeal, Johnson filed a motion to compel payment of the compensation benefits in the circuit court, together with a subsequent motion in the circuit court for sanctions (interest and a ten percent penalty) against Sonoco.  Sonoco objected to the jurisdiction of the circuit court on two grounds: (1) the award of workers’ compensation benefits was stayed during the appeal, and (2) absent a remand from the appellate court, the circuit court lacked jurisdiction to consider Johnson’s motions.  The circuit court rejected Sonoco’s arguments and awarded relief, calculating Johnson’s entitlement to interest as of the date of the single commissioner’s order, May 29, 2002, and assessing a ten percent penalty.  The circuit court’s initial order granting relief was filed December 20, 2006, and an amended order was filed on March 6, 2007, following Sonoco’s motion for reconsideration.  Sonoco appealed.  Thereafter, as noted above, the underlying appeal became final and the remittitur was sent to the lower court.

Following the circuit court order of March 6, 2007, Sonoco paid Johnson his compensation benefits, but continued with the current appeal challenging the award of interest and ten percent penalty.  The appeal is before us pursuant to Rule 204(b), SCACR, certification.

II.

The first issue we must resolve is whether the appeal in the underlying case stayed Sonoco’s responsibility to make weekly compensation payments to Johnson.  Rule 225(a), SCACR, provides the general rule that service of a notice of appeal in a civil matter automatically stays matters affected by the appeal.  Some of the exceptions to this rule are found in Rule 225(b), which sets forth a non-exhaustive list.  Rule 225 expressly provides that exceptions to the general rule extend beyond the list in subsection (b) and are found in statutes, court rules, and case law.

This Court provided such case law when it previously addressed this issue of whether an award of workers’ compensation benefits by the circuit court would be stayed by the service of the notice of appeal in Case v. Hermitage Cotton Mills, 236 S.C. 515, 534, 115 S.E.2d 57, 67-68 (1960).  In Hermitage this Court stated:

[I]f the Commission should deny him compensation and upon his appeal the circuit court should reverse the Commission and hold his claim compensable, the weekly payments to be made by the employer pending determination of an appeal from that judgment to the Supreme Court should commence from the date of the circuit court’s judgment and should not be calculated retroactively from the date of the Commission’s decision.

Id.  In making this determination, this Court interpreted section 72-356 of the South Carolina Code (1952).  Hermitage, 236 S.C. at 534, 115 S.E.2d at 67.  This section is substantially similar to section 42-17-60 of the South Carolina Code (Supp. 2007).  We hold that the rule in Hermitage is on point.  Therefore, when the commission’s denial of benefits is reversed and the award is made by the circuit court, the weekly payments are not stayed by the appeal.[1]

We further note that we have already made such a ruling in this case.  In an order issued by this Court on November 14, 2006, this Court granted Sonoco’s motion for an extension of time to file its petition for certiorari, and we specifically stated that the award of benefits to Johnson “is not stayed by the pendency of this matter.”  This Court went on to cite section 42-17-60; Rule 225, SCACR;Hermitage, 236 S.C. 515, 115 S.E.2d 57; and McLeod v. Piggly Wiggly Carolina Co., 280 S.C. 466, 313 S.E.2d 38 (Ct. App. 1984).

We next turn to the authority of the circuit court to compel, in the absence of a remand order, the weekly payments during the pendency of the appeal.  The answer is unambiguously provided in Rule 225(a), SCACR, which states, “[t]he lower court . . . retains jurisdiction over matters not affected by the appeal including the authority to enforce matters not stayed by the appeal.”  (emphasis added).  The circuit court retained authority to compel the payment of weekly benefits, and Sonoco’s arguments to the contrary are without merit.  No remand from the appellate court was necessary.  Moreover, because the awards of interest and penalty are inextricably linked to Sonoco’s nonpayment of benefits, we follow the rationale of Hermitage and hold that the matters of interest and penalty were not stayed by the appeal.

Sonoco further challenges the authority of the circuit court to award interest and assess the ten percent penalty under section 42-9-90 of the South Carolina Code (1976).  Sonoco contends such an award rests exclusively in the Workers’ Compensation Commission.  We find this issue is not preserved.  The issue first appears in Sonoco’s motion seeking reconsideration of the circuit court’s December 20, 2006 order.  An issue may not be raised for the first time in a motion to reconsider.  Commercial Credit Loans, Inc. v. Riddle, 334 S.C. 176, 186, 512 S.E.2d 123, 129 (Ct. App. 1999) (“Further, because the transcript of the proceedings below is omitted from the record, it appears the first time Commercial Credit made this argument was in its Rule 59(e) motion for reconsideration.  Accordingly, this issue is not properly preserved for our review.”).  The matters of interest and the ten percent penalty were squarely before the circuit court, and Sonoco’s pre-hearing written responses to Johnson’s motions did not raise the section 42-9-90 challenge.  Moreover, the transcript of the hearing in the circuit court is not included in the record on appeal.  Medlock v. One 1985 Jeep Cherokee VIN 1JCWB7828FT129001, 322 S.C. 127, 132, 470 S.E.2d 373, 376 (1996) (“The appellant has the burden of providing this court with a sufficient record upon which to make a decision.”); Smith v. Ridgeway Chemicals, Inc., 302 S.C. 303, 306, 395 S.E.2d 742, 744 (Ct. App. 1990) (“It is incumbent upon an appellant to present a record sufficient to permit a review of a trial judge’s rulings.”).  We therefore affirm the awards of interest and ten percent penalty.  Johnson is additionally entitled to interest on the ten percent penalty.

We do agree with Sonoco’s final assignment of error that Johnson is not entitled to interest from the date of the single commissioner’s order.  We are guided by the reasoning of Hermitage.  236 S.C. at 534, 115 S.E.2d at 67-68 (“[U]pon his appeal [if] the circuit court should reverse the Commission and hold his claim compensable, the weekly payments to be made by the employer pending determination of an appeal from that judgment to the Supreme Court should commence from the date of the circuit court’s judgment and should not be calculated retroactively from the date of the Commission’s decision.”).  This Court in Hermitage cited to section 72-356 of the South Carolina Code (1952) in referencing a thirty-day supersedeas on appeals from an award of benefits.  Id.

Section 72-356 is the predecessor to section 42-17-60 of the South Carolina Code (Supp. 2007).  The thirty-day time period for appeals remains a part of section 42-17-60, with the provision that “after that time, the employer is required to make weekly payments of compensation and to provide medical treatment ordered . . . .”  Because the commission denied Johnson’s claim and the circuit court awarded benefits, we apply this statutory thirty-day supersedeas following the entry of the circuit court order, after which the compensation payments should have been made.  There was no legitimate reason to justify or excuse Sonoco’s failure to pay compensation benefits to Johnson during the pendency of the underlying appeal.  Johnson is therefore entitled to an award of interest calculated from June 15, 2005, which is thirty days from the award of benefits in the circuit court.  We remand to the circuit court for the sole purpose of calculating the interest due Johnson.

III.

The award of workers’ compensation benefits by the circuit court was not stayed by the appeal.  Pursuant to Rule 225(a), the circuit court had jurisdiction to compel the payment of benefits, as well as interest and penalty, during the pendency of the appeal.  We affirm the circuit court in its entirety, save the effective date of the award of interest.  The matter is remanded to the circuit court to calculate the award of interest calculated from June 15, 2005.[2]

AFFIRMED AS MODIFIED; AND REMANDED.

TOAL, C.J., WALLER, BEATTY, KITTREDGE, JJ., and Acting Justice James E. Moore, concur.

[1]  We recognize the procedure followed in this case has been statutorily modified.  For injuries occurring on or after July 1, 2007, appeals from the Workers’ Compensation Commission go directly from the commission to the Court of Appeals.  See Act 111, 2007 S.C. Acts 111.

[2]  The principle payment of the ten percent penalty ($20,513) should be made promptly.  Moreover, the parties can compute the amount of interest due Johnson, and we urge the parties, through counsel, to do so and bring this unreasonably protracted litigation to an end.  The circuit court should not be further burdened with this unnecessary litigation.

SC NC Boating Accident Attorneys – New Boat Rental Rules

The blogpost below discusses new guidelines for businesses that rent power boats on Lake Norman. However, these safety concerns apply to all who go to popular lakes including Lake Norman, Lake Wylie and Lake Murray. Every summer, people love to spend the day in the water. Sailboats, personal water craft (jet skis), fishing boats, and motor boats all have to share the lake with each other as well as skiers and swimmers. Please be safe this summer and watch out for one another. Know the rules of the water and follow them. Before you take a water craft out, whether you own or rent, take the time to learn how to safely operate your boat or jet ski. And, we highly recommend you and your family enroll in a boating safety course. We love the water. And, we hope everyone has a great summer. But always remember to Be Safe. Get home.

At Reeves, Aiken & Hightower, LLP, all of our attorneys are seasoned trial lawyers with over 70 years combined experience. Whether it is criminal or civil, our litigators are regularly in Court fighting for our clients. Two of our firm’s partners, Art Aiken and Robert Reeves, are inducted lifetime members of the Million Dollar Advocates Forum. Mr. Reeves has also been named one of the Top 100 lawyers for South Carolina in 2012 by the National Trial Lawyers Organization. Our attorneys include a former SC prosecutor, a former public defender, a former NC District Attorney intern, a former Registered Nurse (RN), and former insurance defense attorneys. As a result of their varied backgrounds, they understand the potential criminal, insurance, and medical aspects of complex injury cases. We would welcome an opportunity to sit down and personally review your case. Compare our attorneys’ credentials to any other law firm. Then call us today at 877-374-5999 for a private consultation. Or visit our firm’s website at www.rjrlaw.com

Following accident, Lake Norman explores boat rental ordinance

Possible boat rental ordinance could go into effect for Lake Norman Boaters

Posted by BoatingIndustry.com on March 14, 2012

After an accident left a woman with serious injuries following a day on the water with an inexperienced boat operator last summer, the Lake Norman Marine Commission accelerated its action to create an ordinance regulating boat rentals on the North Carolina lake.

The commission had previously discussed an ordinance to ensure rented boats are operated safely, but it was boat rental operators who brought it to the forefront and spurred it into action, said Ron Shoultz, chairman of the committee.

The commission formed a committee of both rental operators and law enforcement that will have three months to create proposed rules for rental boat companies.

“We are really trying to get people that are familiar with the industry and get their feedback,” Shoultz said. “We are not going to make up rules or regulations that boat operations will say, ‘What are you doing?’ We want it to be self-policing.”

Brian MacArthur, owner of Saltshaker Marine, which rents powerboats on Lake Norman, attended a recent meeting by the commission and said he is in favor of the ordinance – as long as it is within reason.

“I am all for regulation of safety on the water and do not approve of boat rentals that jeopardize anyone’s safety. I know my company does follow the proper procedures,” said MacArthur, whose company uses a safety checklist that covers operating and safety procedures with the operator.

Following last year’s boating accident, Shoultz said boat rental companies, many of which use processes similar to those at Saltshaker Marine, received unfair criticism from the media. The ordinance is aimed to ensure all boat rental companies are mandating safety to the best of their abilities.

“You can have the best boater and instructor in the world, and [tragedy] can still happen,” he said. “We are not going to say, ‘to rent a boat you have to take this nine-hour class.’ The bottom line is to improve safety and ensure a standard that all boat rental companies would adhere to.”

Since 2008, boat rental companies in the state of Washington have adhered to a process similar to what has been discussed for Lake Norman.

Washington is gradually transitioning to an ordinance that mandates boater education for boat owners, which is already in effect for boaters under the age of 40.

However, rental companies are only mandated to use a dockside checklist that takes approximately 10 minutes to walk through with the operator.

Jim French, boating education specialist for Washington State Parks, said requiring boater education for the rental community would deter tourists and customers who spontaneously decide to rent a boat. Therefore, the checklist ensures an understanding while taking a reasonable amount of time, according to French.

Similar to at Lake Norman, French said Washington depends on its law enforcement to ensure the checklist is preventing dangerous boaters from hitting the water.

“The local law enforcement that patrols the waterways notice a novice behind that boat, they can tell us the rental checklist needs a few items added on,” French said.

Charlotte DWI Lawyer – Laura’s Law – Another Firm’s View of New Law

North Carolina has consistently prided itself on having some of the toughest DWI laws in the country. With recent passage of the new “Laura’s law,” it seems clear that our state intends to maintain that status. Over the next several weeks and months, the attorneys at Reeves, Aiken & Hightower, LLP, will be posting articles detailing how this law will impact our clients. As it is new legislation, we will also be posting other competing firms’ views as all criminal defense attorneys share a common goal of seeking justice and fairness. If you have been charged with a NC DWI, we encourage you to carefully evaluate different lawyers and their credentials. We would welcome an opportunity to sit down with you and personally review your case. Compare our firms’ lawyers to any other. Then call us for a private consultation at 704-499-9000. For more information about us, please visit our website at www.rjrlaw.com.

 Here is a great review posted prior to enactment by the Greensboro firm McKinney Justice Perry & Coalter –

In late June of this year, the North Carolina General Assembly passed two bills designed to increase punishments in Driving While Impaired cases.  These modifications of the sentencing statutes will go into effect on December 1st, 2011, and apply to all offenses occurring after that date.  One bill creates a new sentencing level for chronic offenders.  The other will automatically result in level 1 sentencing status for those with minors in the vehicle when the offense occurs.  I will analyze each change in turn.

Level A1 Sentencing

Under the previous regime, there were five levels of sentencing for DWI offenders, depending on a balance of mitigating, aggravating, and grossly aggravating factors.  Those offenders without grossly aggravating factors will continue to receive Level 3, 4, or 5 sentences, and the new law changes nothing.  But those who are sentenced with grossly aggravating factors risk falling into a sixth level, aggravated Level One (A1).  Prior to the change, an offender with a single grossly aggravating factor would be sentenced as a Level 2.  Those with more than one grossly aggravating factors were Level Ones.  With the creation of the A1 tier, offenders with more than two grossly aggravating factors will receive much increased criminal sanctions.

The changes will be embodied in new NCGS § 20-179(f3).  Offenders shall be sentenced to a minimum of not less than 12 months, and a maximum of not more than 36 months.  This term cannot be suspended, unless the defendant serves special probation (a split sentence) of at least 120 days.  If probation is allowed, the sentencing judge must impose a requirement of abstinence from alcohol for at least 120 days, to be enforced by a continuous alcohol monitoring system.  The maximum fine will be $10,000.

The most interesting aspect of the new law is its effect on Post-Release Supervision of Level A1 offenders.  While Level 1 defendants are eligible for parole under NCGS § 15A-1371, the new law does not allow parole for A1 defendants.  Instead, the new law allows release from DOC “on the date equivalent to the defendant’s maximum imposed term of imprisonment less four months,” to be followed by post-release supervision as governed by Article 84Aof Chapter 15A.  As Jamie Markham from the UNC School of Government points out in his blog, the effect of this modification is unclear.  The simplest interpretation is that a defendant must serve the maximum sentence less four months, but this does not take into account good time deductions.  Additionally, the statutes conflict on whether an offender sentenced to a one year maximum will be required to serve the entire year (as suggested by NCGS 20-179(p)(2)), or whether the offender will be allowed release at the maximum (12 months) less 120 days (per new NCGS 20-179(f3)).  As Markham notes, it appears that it will be up to DOC to enact the statute, and up to Defendants to challenge the application through the courts.

Regardless of the DOC’s application of the new law, the new A1 sentencing level will have a major effect on the sentencing of chronic DWI offenders.  Probation is still on the table, but the mandatory 30 day split has been quadrupled.  For those with multiple DWIs in the past seven years, a new conviction will result in significant time in custody.

Minor Passengers

The second major change in the new statute is directed to NCGS § 20-179(c).  An offender driving with anyone less than 18 years old in the car will be an automatic Level 1 offender, even if the only grossly aggravating factor is under 20-179(c)(4).  The age of a qualifying minor will be raised from children under 16, to under 18.  Additionally, the law adds provisions so that driving with a person “with the mental development of a child under the age of 18 years,” or “with a physical disability preventing unaided exit from the vehicle,” qualifies a defendant to Level 1 status.  The application of these provisions is impossible to predict.

The most obvious effect of these provisions would appear to be on teenage drivers themselves, the very individuals the law purports to protect.  A seventeen year old driving with a peer who is charged with DWI will now be subject to the mandatory, Level 1 split sentence of 30 days.  Previously, such defendants could qualify as Level 5 offenders.

Another issue is how the gross aggravators will be tabulated when the new provisions apply.  For example, if an offender drives with a minor in the car and with a prior conviction within seven years, are there two or three aggravators?  My reading is that such an offender would still be a Level 1, and will not be subject to the provisions of the draconian new A1 sentencing law.

As with any law, the impact of the new DWI provisions depends on enforcement.  Judges and administrators may enforce the law according to the most punitive interpretation, or they may allow for discretion and leniency within the provisions.  But certainly the punishments for Driving While Impaired have been given new teeth.  Whether it saves lives remains to be seen.

Charlotte DWI Lawyer – Admissions of Drinking Alone Are Not Enough to Convict

The attorneys of Reeves, Aiken & Hightower, LLP, believe in providing information to new clients seeking to learn what they are facing after being charged with DWI. As you will find out, the penalities for a conviction in NC are harsh, even for first time offenders. In fact, NC has some of the strictest DWI laws in the nation.  In addition to the stigma of being a convicted “drunk driver,” there can be significant consequences if convicted, including court costs, fines, SR-22 insurance, and possibly even jail time. We encourage you to review as much information as possible and then consult an experienced NC DWI attorney as early as possible. We would welcome an opportunity to help you during this critical time in your life. Call us today for a private consultation about your particular case at 704-499-9000. For even more information about our lawyers and their credentials, visit our firm website at www.rjrlaw.com.

STATE OF NORTH CAROLINA v. BILLY JOE CRUZ
NO. COA04-1217
Filed: 18 October 2005

1.    Motor Vehicles–driving while impaired–motion to dismiss–corpus delicti rule– confession–corroborating evidence

The trial court did not err by denying defendant’s motion to dismiss the charge of driving while impaired, because evaluating the evidence under either the traditional or trustworthiness approach to the corpus delicti rule reveals that: (1) the State offered corroborating evidence of the essential facts of defendant’s confession through the testimony of various witnesses; and (2) several officers and witnesses testified to defendant’s drinking and impairment.

2.    Motor Vehicles–driving while license revoked–motion to dismiss

The trial court erred by denying defendant’s motion to dismiss the charge of driving while license revoked, because although the evidence supporting defendant’s driving was sufficient, there was insufficient evidence that defendant knew his license was revoked when there was no evidence that an official notice was actually mailed to defendant’s address as required by N.C.G.S. § 20-48.

3.    Sentencing–aggravating factor–failure to submit to jury_Blakely error

The trial court committed Blakely error in a driving while impaired case by sentencing defendant as a Level II offender on the basis of its finding of the grossly aggravating factor that defendant drove impaired with a child under the age of sixteen in the car, and the case is remanded for resentencing, because the aggravating factor was not submitted to a jury to be determined beyond a reasonable doubt.

Appeal by defendant from judgment entered 12 February 2004 by Judge Thomas D. Haigwood in Pitt County Superior Court. Heard in the Court of Appeals 18 May 2005.
Attorney General Roy Cooper, by Assistant Attorney General Patricia A. Duffy, for the State.William D. Spence, for defendant-appellant.ELMORE, Judge.Billy Joe Cruz (defendant) was indicted for involuntary manslaughter, driving while impaired, driving while license revoked, and aiding and abetting a person under twenty-one to possess alcohol. Following the State’s evidence, the trial court dismissed the charge of involuntary manslaughter and the jury found defendant guilty of driving while impaired and driving while license revoked. Defendant appeals his convictions for these offenses on the basis that the trial court erred in denying his motion to dismiss.
Defendant’s charges arose from the investigation of his nephew’s death that occurred on 31 December 2002. Lee Cruz, defendant’s underage nephew, had been drinking beer most of the day at defendant’s house with other family members. During the early evening hours Lee got a phone call from his girlfriend that prompted him to leave defendant’s house. Lee drove away from defendant’s house and ended up having a fatal car accident not far from his own home. During the investigation of the accident scene, defendant arrived with another person, and police officers noticed defendant creating a disturbance near where other onlookers had gathered. Several of these officers testified at trial that defendant was belligerent and smelled of alcohol.Defendant was interviewed on 2 January 2003 by an investigator with the Pitt County ABC Board of Inquiry, Calvin Craft (Investigator Craft). On 14 January 2003 defendant was also interviewed by North Carolina Highway Patrol officer David Newbie (Officer Newbie), a collision reconstructionist. Based upon seven interviews with defendant between the incident and 26 March 2003, Investigator Craft and Officer Newbie testified to written and oralstatements that defendant made. These confessions, (See footnote 1) are what the State relies on in proving that defendant drove a car, both while impaired and while his license was revoked.[1]
Defendant accurately points out that to survive a motion to dismiss, the State must provide some evidence in addition to defendant’s statements or confession. See State v. Trexler, 316 N.C. 528, 531, 342 S.E.2d 878, 880 (1986). This is known as the corpus delicti rule, and in North Carolina there are two methods of proving the additional evidence requirement. Id. at 532, 342 S.E.2d at 880 (discussing both methods of proof). In State v. Parker, our Supreme Court “expanded” the corpus delicti rule in North Carolina after extensive evaluation of the rule’s multiple variations. 315 N.C. 222, 337 S.E.2d 487 (1985). The more traditional application of the rule is “that there be corroborative evidence, independent of the defendant’s confession, which tends to prove the commission of the crime charged.” Id. at 229, 337 S.E.2d at 491. Another, more modern method has been called the “’trustworthiness’ version of corroboration and is generally followed by the federal courts and an increasing number of states.’” Id. at 230, 337 S.E.2d at 492. This method was adopted by our Supreme Court in ParkerId. at 236, 337 S.E.2d at 495. Parker and Trexler offer an understanding of each method of corroboration.

In Trexler, the Court explained that the traditional approach to the corpus delicti rule was still applicable in “cases in which there is some evidence aliunde the confession which, when considered with the confession, will tend to support a finding that the crime charged occurred.” Trexler, 316 N.C. at 532, 342 S.E.2d at 880. The rule does not require that the evidence aliunde the confession prove any element of the crime. The corpus delicti rule only requires evidence aliunde the confession which, when considered with the confession, supports the confession and permits a reasonable inference that the crime occurred. . . . The independent evidence must touch or be concerned with the corpus delicti. . . . The expanded rule enunciated in Parker applies in cases in which such independent proof is lacking but where there is substantial independent evidence tending to furnish strong corroboration of essential facts contained in defendant’s confession so as to establish trustworthiness of the confession. Id. at 532, 342 S.E.2d at 880-81 (internal citations omitted). This rule does not require the State to come forward with evidence, absent the defendant’s confession, that supports each element of the crime charged. Rather, “[a]pplying the more traditional definition of corpus delicti, the requirement for corroborative evidence would be met if that evidence tended to establish the essential harm, and it would not be fatal to the State’s case if some elements of the crime were proved solely by the defendant’s confession.” Parker, 315 N.C. at 232, 337 S.E.2d at 493.

In Parker, the Court explained the modified approach, or the trustworthiness rule, as follows:

We adopt a rule in non-capital cases that when the State relies upon the defendant’s confession to obtain a conviction, it is no longer necessary that there be independent proof tending to establish the corpus delicti of the crime charged if the accused’s confession is supported by substantial independent evidence tending to establish its trustworthiness, including facts that tend to show the defendant had the opportunity to commit the crime. We wish to emphasize, however, that when independent proof of loss or injury is lacking, there must be strong corroboration of essential facts and circumstances embraced in the defendant’s confession. Corroboration of insignificant facts or those unrelated to the commission of the crime will not suffice. We emphasize this point because although we have relaxed our corroboration rule somewhat, we remain advertent to the reason for its existence, that is, to protect against convictions for crimes that have not in fact occurred. Id. at 236, 337 S.E.2d at 495.  Evaluating the record before us, under either the traditional or trustworthiness approach to the corpus delicti rule, the State offered corroborating evidence that when considered with defendant’s statements is sufficient to survive defendant’s motion to dismiss.

Defendant’s admissions or confessions regarding driving were numerous. Sergeant Kenneth Pitts, of the North Carolina Highway Patrol, first spoke with defendant at the scene of the accident. Sergeant Pitts testified that defendant told him that he followed Lee after Lee had a phone conversation with his girlfriend. Sergeant Pitts also testified that, in his opinion, defendant was appreciably impaired during their conversation, which occurred within several hours of Lee’s accident.
Investigator Craft testified that he first spoke with defendant on 2 January 2003. Defendant told him that he and Lee were first at a local restaurant where they had alcohol, then everyone went back to defendant’s house where they all consumed an additional two cases of beer. Investigator Craft further testified that defendant told him he and Lee got in a brief fight on the lawn about the beer money and Lee left. Defendant went inside to get his keys, and his girlfriend “went with him” after Lee. Investigator Craft continued, stating:

That the defendant traveled toward Lee Cruz, the deceased, house and didn’t see his vehicle home. He turned down a farm path and came back home; that his father came to the defendant’s house. His father stated that he saw a rescue squad go by the residence that he was at, and he had a feeling that Lee was in an accident. So, they went toward Lee’s house to see, and that’s when they located the accident. Investigator Craft testified that defendant told him he would issue a written statement as to what happened, and Investigator Craft received that statement the next day. After being asked by the State to read the statement into evidence, Investigator Craft testified:

This print is kind of hard to read. It says, “Lee came here after work, and asked me if I wanted to go to Mazatlan and drink and eat, and I said ‘Okay.’ Lee had a girlfriend that worked at Mazatlan. I paid for my bill, and Lee paid for his. Lee had two beers and a shot, and I had the same thing. We got somebeer, about two cases. We finished them and had a little argument about some beer money. We hang each other like” _ I can’t really see it. “We hang each like the” _ then he said, “We were arguing, started crying so I let him go, and I hit the window with my fist.” It’s got, “Lee to his car, and I ran after him. I came in and asked my girlfriend for the keys. She said, no, because I was too drunk, and I followed minutes later. She said, ‘I’ll go with you,’ so we left, went by Lee’s house. He won’t there, then we come back home and my dad picked me up and said he was leaving Jesus’ home” _ that’s Lee’s dad. “My dad was leaving Lee’s dad’s home. He saw an ambulance go by, so he decided to come by my home. When he got here, he said, ‘Lee just’” _ “He said he’d just saw an ambulance and decided to come over. I said Lee” _ It looks like, “Lee after drank. Then my dad said, ‘Let’s go to Lee’s home,’ and then we saw what had happened.” It’s signed, “Billy Joe Cruz.”

Investigator Craft spoke with defendant again on 9 January 2003, and the testimony is consistent with defendant’s previous statements. Investigator Craft also testified that he spoke with defendant on 26 March 2003 and, after waiving his Miranda rights, defendant issued another written statement. This statement was also read into the record. He stated, after he was advised of his Miranda rights, that his girlfriend and child were both with him while he drove his vehicle while impaired in an attempt to locate Jesus Lee Cruz; that he went to Mazatlan resteraunt because Lee wanted to drink there; that the large Hispanic female served the first beers, and the smaller one serve them the other beer, this being Ms. Portella, the smaller one of the two waitresses. He said they went to Food Lion where Juan used Lee’s debit card to pay for the beer, four twelve packs. They went back to Joe’s house on Green Street in Farmville where the two consumed three twelve packs of Corona beers; that they got in an argument over going to get more beer and who was going. Mr. Cruz stated that he was notgoing for the beer because he had too much to drink already. I advised if he knew that Lee was going to drive, and the defendant stated, “Yes.” They both threw $10 on the ground for someone to go get more beer and got in the argument; that the defendant broke the window to the front door in anger and told Lee to chill out and it was stupid to fight. Lee left fussing about his girlfriend, and the defendant went in the house to get his keys to follow Lee; that he, himself, his girlfriend and 14-month-old baby went to see if Lee was okay; that they never saw Lee’s vehicle when he went to look for Lee.

Officer Newbie testified that on 14 January 2003 he spoke with defendant and defendant relayed the following:

After this altercation [with Lee], Mr. Cruz stated he stepped inside and Lee went to his car and took off. Mr. Cruz stated that _ stated that Lee’s car was parked in front of his house on Green Street facing north. He last saw Lee heading north on Green Street. The defendant stated he went back inside and told his girlfriend to give him the keys. His girlfriend refused to give him the keys because he was drunk. After a few moments, his girlfriend got the baby, and they left in the car heading north on Green Street. The defendant stated when they left that _ excuse me. The defendant stated that when Mr. Cruz, the deceased, left _ his quote was, “When Lee left here, he was drunk; he was staggering. I know Lee. I followed Lee before home on more than three or four occasions at two or three o’clock in the morning. I get myself in trouble. I follow that man home because he drank. He won’t stay the night. He wants to go home to his house.” Two or three minutes after Lee left, Mr. Cruz, the defendant, left driving through Farmville at 55 to 60 and stated, “I was going passed the speed limit.” The defendant stated the speed limit was 35. He went to Lee’s house. The defendant went to Lee’s house. He went passed Lee’s house . . . . His girlfriend and the baby were in the back seat, and Mr. Cruz, the defendant, admitted he was drunk. He stated that he came through the area of the collision. . . . Mr. Cruz stated that Lee had already wrecked whenhe went through. Mr. Cruz, the defendant, stated that when he gets to Lee’s house, he doesn’t see his car, so he proceeds passed the trailer and makes a left turn onto a field path and drives over to US 264 Alternate.

Officer Newbie’s testimony as to what statements defendant made are substantially similar to the testimony of Investigator Craft and Sergeant Pitts.
Thus, the essential facts of defendant’s confession are that: he and Lee drank beer at a restaurant earlier in the day; the two obtained more beers and drank approximately two cases at defendant’s house; Lee had talked with his girlfriend, was upset and got into a fight with defendant before leaving; defendant, while impaired, got his keys and drove after Lee with his wife and child in the car; after passing by the accident scene close to Lee’s house, defendant drove down a dirt farm road and eventually ended up at home.

The State put on evidence tending to support defendant’s recitation of the events in his confession and thus lending a substantial amount of trustworthiness to his statement. First, the State called one of defendant’s nephews, who testified that defendant and Lee went to the Mazatlan and drank, then purchased more beer and drank at defendant’s home. Defendant’s nephew testified that defendant and Lee got into an argument, but that he left defendant’s house to go to the store. When he came back, approximately thirty minutes later, defendant and Lee were gone, as were both of their cars. Defendant returned to the house later on in the evening. Second, the State called a witness who wastraveling on the road in the opposite direction of Lee just before Lee crashed. She stated that she saw Lee’s car travel past her at a high rate of speed followed shortly thereafter by a dark colored car, also traveling very fast. After being shown a picture of defendant’s car, a black Nissan, she confirmed that it was a similar car to one she saw following Lee’s. Third, the State called a resident who lived near the accident site, who testified that he was in his garage and heard a speeding car go by. Then, within a few moments, he heard another car speeding towards him. He got up to look out the window and saw the car slow down, then speed up, then turn down a farm dirt road. The resident testified that the dirt road was a private road that led to 264 Alternate. Fourth, another witness testified that he was walking his dogs near the road where the accident occurred. He heard two cars coming towards the location of the accident at a high rate of speed. He said he then heard the crash, followed by another car slowing down and then speeding off. And fifth, the State called Lee’s girlfriend, who testified that she called Lee twice on the day of the accident and had planned to come pick him up from defendant’s house.

We determine that the State sufficiently corroborated the essential facts of defendant’s confession through the testimony of these other witnesses. Several officers and witnesses testified to defendant’s drinking and impairment. A car similar to the one owned and operated by defendant was seen traveling down the road near the accident and turning down a side street, just as defendantconfessed to doing. The State also corroborated defendant’s account of Lee receiving a phone call from his girlfriend. Absent defendant’s confession, the circumstantial evidence of defendant’s driving would likely not be enough to support a conviction, however with his confession it is. See Trexler, 316 N.C. at 533-34, 342 S.E.2d at 881-82 (corroboration of defendant’s admission that he drove while impaired, in conjunction with the admission itself, is enough to survive a motion to dismiss). We cannot sustain defendant’s assignment of error on this point.

[2] Next, defendant contends the trial court erred in denying his motion to dismiss the driving while license revoked charge. We agree. Defendant argues the State presented insufficient evidence that he drove a car and that he did so with knowledge his license was revoked. As stated above, we find the evidence supporting defendant’s driving to be sufficient; however, we hold there was insufficient evidence presented that defendant knew his license was revoked.

“To convict a defendant under N.C. Gen. Stat. § 20-28(a) of driving while his license is revoked the State must prove beyond a reasonable doubt (1) the defendant’s operation of a motor vehicle (2) on a public highway (3) while his operator’s license is revoked.” State v. Richardson, 96 N.C. App. 270, 271, 385 S.E.2d 194, 195 (1989) (citing State v. Atwood, 290 N.C. 266, 271, 225 S.E.2d 543, 545 (1976)). The State must also prove “the defendant had ‘actual or constructive knowledge of the . . . revocation in order for there to be a conviction under this statute.’” Id. ThisCourt has previously held that “[t]he State satisfies its burden of proof of a G.S. 20-28 violation when, ‘nothing else appearing, it has offered evidence of compliance with the notice requirements of G.S. 20-48 because of the presumption that he received notice and had such knowledge.’” State v. Curtis, 73 N.C. App. 248, 251, 326 S.E.2d 90, 92 (1985) (quoting State v. Chester, 30 N.C. App. 224, 227, 226 S.E.2d 524, 526 (1976)).

Section 20-48 of our General Statutes states that:

Whenever the Division is authorized or required to give any notice under this Chapter or other law regulating the operation of vehicles, unless a different method of giving such notice is otherwise expressly prescribed, such notice shall be given either by personal delivery thereof to the person to be so notified or by deposit in the United States mail of such notice in an envelope with postage prepaid, addressed to such person at his address as shown by the records of the Division. The giving of notice by mail is complete upon the expiration of four days after such deposit of such notice. Proof of the giving of notice in either such manner may be made by the certificate of any officer or employee of the Division or affidavit of any person over 18 years of age, naming the person to whom such notice was given and specifying the time, place, and manner of the giving thereof.

N.C. Gen. Stat. § 20-48(a) (2003) (emphasis added). Accordingly, if notice of a revocation is sent via the mail, as was done in this case, there is a rebuttable presumption that defendant has received knowledge of the revocation four days after a certificate or affidavit states that a copy of an official notice has been mailed to defendant’s address. See id.; Chester, 30 N.C. App. at 227-28, 226 S.E.2d at 526-27. When mailing notice, evidence of compliancewith the statute requires the State to show an official notice explaining the date revocation will begin and a certificate or affidavit of a person stating the “time, place, and manner of the giving thereof.” See, e.g., State v. Herald, 10 N.C. App. 263, 264, 178 S.E.2d 120, 121-22 (1970) (certificate of mailing complied with statutory “proof of notice” requirement); see also State v. Curtis, 73 N.C. App. 248, 251-52, 326 S.E.2d 90, 92-93 (1985) (defendant’s stipulation of a mailing date was sufficient to show the notice was mailed to defendant).

Here, the State had a police officer testify that defendant’s license was revoked as of 29 December 2002, two days before the incident. The State also introduced an official notice from the Department of Motor Vehicles addressed to defendant, stating the revocation would begin on 29 December 2002. The notice is dated 30 October 2002; however, at trial, there was no testimony, certificate, or affidavit introduced that proves the 30 October 2002 notice was ever mailed to defendant. Without any evidence that an official notice was actually mailed to defendant’s address, the State falls short of offering even a prima facie case of knowledge, and a dismissal is appropriate. See State v. Richardson, 96 N.C. App. 270, 271-72, 385 S.E.2d 194, 194-95 (1989) (dismissal appropriate where the only evidence of defendant’s knowledge of revocation was a police officer’s testimony).

[3] Defendant also argues that the trial court erred in finding a grossly aggravating factor: that he drove impaired with a child under the age of sixteen in the car. Defendant argues thisfinding by the trial court, and not the jury, is in violation of Blakely v. Washington, 542 U.S. 296, 159 L. Ed. 2d 403 (2004) . In State v. Allen, 359 N.C. 425, 438-39, 615 S.E.2d 256, 265 (2005) , our Supreme Court applied Blakely and held that N.C. Gen. Stat. § 15A-1340.16 was unconstitutional to the extent that it required the trial court to find aggravating factors by a preponderance of the evidence, rather than presenting them to the jury for a determination beyond a reasonable doubt. The remedy applied in Allen for this “structural error” was remand for resentencing. Id. at 449, 615 S.E.2d at 269. In State v. Speight, 359 N.C. 602, 614 S.E.2d 262 (2005), our Supreme Court determined that “the rationale in Allen applies to all cases in which (1) a defendant is constitutionally entitled to a jury trial, and (2) a trial court has found one or more aggravating factors and increased a defendant’s sentence beyond the presumptive range without submitting the aggravating factors to a jury.” Id. at 606, 614 S.E.2d at 264. Speight involved a defendant convicted of driving while impaired and sentenced as a Level II offender under N.C. Gen. Stat. § 20-179 (2003), without a jury finding the grossly aggravating factor that escalated his level of punishment. Id. at 604, 614 S.E.2d at 263. In accord, here we hold that the trial court’s sentence of defendant as a Level II offender on the basis of its finding of a grossly aggravating factor was also structural error that requires resentencing. See id. at 606, 614 S.E.2d at 264-65.    In sum, the trustworthiness of defendant’s confessions was adequately corroborated and his conviction for driving while impaired was without error. Defendant’s conviction for driving while license revoked is reversed because the State failed to offer sufficient evidence of compliance with N.C. Gen. Stat. § 20-48. Further, defendant is entitled to a new sentencing hearing on the driving while impaired conviction because the grossly aggravating factor was not submitted to a jury to be determined beyond a reasonable doubt.

No error in part, reversed in part, remanded for resentencing.

Judges McGEE and CALABRIA concur.

Footnote: 1

“[R]egardless of whether defendant’s statements constitute an actual confession or only amount to an admission, our long established rule of corpus delicti requires that there be corroborative evidence, independent of the statements, before defendant may be found guilty of the crime.” State v. Trexler, 316 N.C. 528, 531, 342 S.E.2d 878, 880 (1986).

 

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THE STATE OF SOUTH CAROLINA
In The Supreme Court


Marsha Tennant, Petitioner,

v.

Beaufort County School District, Employer, and S.C. School Board Insurance Trust, Carrier, of whom Beaufort County School District is Respondent.


ON WRIT OF CERTIORARI TO THE COURT OF APPEALS


Appeal from Beaufort County
Curtis L. Coltrane, Circuit Court Judge


Opinion No. 26616
Heard January 7, 2009 – Filed March 16, 2009


AFFIRMED


James H. Moss, Esquire and H. Fred Kuhn, both of Moss, Kuhn & Fleming, of Beaufort, for Petitioner.

Kirsten L. Barr, Jamie C. Guerrero, and Kathryn C. Thompson, all of Trask and Howell, of Mt. Pleasant, for Respondent.


CHIEF JUSTICE TOAL: In this workers’ compensation case, the single commissioner denied benefits, and the full commission, the circuit court, and the court of appeals affirmed.  Tennant v. Beaufort County Sch. Dist. Op. No. 2007-UP-056 (S.C. Ct. App. filed February 8, 2007).  This Court granted a writ of certiorari to review the court of appeals’ decision.  We affirm.

FACTUAL/PROCEDURAL BACKGROUND

Petitioner Marsha Tennant worked as a special education teacher for thirty years prior to working for Respondent in that same role.  In the fall of 2001, after being employed for approximately one year with Respondent, two new aides were assigned to assist Petitioner with her students in the classroom.  As the year progressed, Petitioner was concerned that the aides were not performing their job in violation of federal Individualized Education Programs regulations and worried that the aides’ performances would jeopardize the education program.  Both Petitioner and the aides complained to the supervisor.

On October 18, 2001, after an argument with the aides, Tennant felt faint and went to the nurse’s office, where the nurse recorded Petitioner’s blood pressure as elevated.  Petitioner later returned to the nurse’s office complaining of chest pains and dizziness.  The nurse recorded a higher blood pressure and called an ambulance.  The emergency room doctor diagnosed Petitioner with a stress reaction.

At the hearing, Petitioner’s family doctor (“Family Doctor”) testified that Petitioner suffered a panic attack that was caused by work conditions and diagnosed Petitioner with “situational depression and panic disorder.”  Additionally, Petitioner submitted the deposition testimony of a licensed social worker (“Sociologist”) who began treating Petitioner at her psychotherapy practice after the anxiety attack.  Sociologist diagnosed Petitioner with post traumatic stress disorder and continued panic attacks and concluded that Petitioner should not return to work as a special education teacher.  Respondent submitted a letter from a psychiatrist (“Psychiatrist”) who evaluated Petitioner.  She concluded that Petitioner suffered a single anxiety attack, but that Petitioner did not require additional medical treatment and could return to work.

The single commissioner found that Petitioner failed to prove that the conditions of her employment were either extraordinary or unusual.  Additionally, the single commissioner gave greater weight to the testimony of Psychiatrist than to the testimonies of Family Doctor and Sociologist and ruled that Sociologist was not qualified to render an opinion on causation under South Carolina case law.  The full commission ruled that Sociologist’s testimony should be made a part of the record, but affirmed the denial of benefits.  The circuit court and the court of appeals found that substantial evidence in the record supported a finding that Petitioner did not suffer a compensable injury, and therefore, affirmed the full commission’s decision.

We granted a writ of certiorari to review the court of appeals’ decision, and Petitioner presents the following issue for review:

Did the court of appeals err in affirming the order denying benefits because the full commission’s decision is not support by substantial evidence?

STANDARD OF REVIEW

This Court must affirm the findings of fact made by the full commission if they are supported by substantial evidence. Lark v. Bi-Lo, Inc., 276 S.C. 130, 136, 276 S.E.2d 304, 307 (1981).  Substantial evidence is not a mere scintilla of evidence, but evidence which, considering the record as a whole, would allow reasonable minds to reach the conclusion the agency reached. Tiller v. Nat’l Health Care Ctr., 334 S.C. 333, 338, 513 S.E.2d 843, 845 (1999).

LAW/ANALYSIS

Petitioner argues that the court of appeals erred in affirming the full commission’s finding that she did not suffer a compensable injury.  We disagree.

In order to recover for mental injuries caused solely by emotional stress, or “mental-mental” injuries, the claimant must show that she was exposed to unusual and extraordinary conditions in her employment and that these unusual and extraordinary conditions were the proximate cause of the mental disorder.  Powell v. Vulcan Materials Co., 299 S.C. 325, 384 S.E.2d 725 (1989).  This standard, also known as the “heart attack standard,” balances the employee’s interests with the employer’s interests and provides a framework which ensures that the claimant shows that she suffered a work-related injury.  Requiring a claimant to prove exposure to “unusual or extraordinary” circumstances in a mental-mental injury claim is consistent with the heightened burden required to prove a claim for intentional infliction of emotional distress claims, a cause of action that also allows recovery for mental injuries in the absence of physical injury.  See Hasson v. Scalise Builders of South Carolina, 374 S.C. 352, 356, 650 S.E.2d 68, 71 (2007), quoting Ford v. Hutson, 276 S.C. 157, 166, 276 S.E.2d 776, 780 (1981) (recognizing that “where physical harm is lacking, the courts should look initially for more in the way of extreme outrage as an assurance that the mental disturbance claimed is not fictitious”).

In the instant case, Petitioner alleges that the aides’ insubordination created the unusual and extraordinary conditions, which caused her panic attack.  Petitioner testified that the aides would walk out of the classroom and refused to escort the children to the bathroom and that several of her students regressed in their progress as a result of the aides’ actions.  She also testified that she reported her concerns to her supervisor, but the supervisor sided with the aides and would not help her.

We find substantial evidence in the record supports the full commission’s findings.  Although the conflict may have been stressful, it was not an unusual or extraordinary circumstance of Petitioner’s employment.  Neither the aides nor Petitioner’s supervisor threatened her, and the conflict never involved physical contact.  Petitioner admits that a special education teacher is an inherently stressful job, and Social Worker conceded that a panic attack may be triggered absent unusual or extraordinary circumstances.  Additionally, Petitioner’s supervisor testified that conflicts like the one between Petitioner and the aides were not unusual.  In our view, cases in which the Court has found unusual and extraordinary circumstances that resulted in a mental injury involve much more extreme and severe facts.  See Shealy v. Aiken County, 341 S.C. 448, 455, 535 S.E.2d 438, 442 (2000) (finding the combination of death threats, gun incidents with violent drug dealers, high tension confrontations, fear of being uncovered, and loss of security as a police officer constituted unusual or extraordinary conditions of employment when they occur over several months);Stokes v. First Nat. Bank, 306 S.C. 46, 50, 410 S.E.2d 248, 250 (1991) (concluding that the extreme prolonged increase in employee’s work hours, combined with additional job responsibilities, constituted unusual and extraordinary conditions of employment); Powell, 299 S.C. at 328, 384 S.E.2d at 727 (holding that an intense verbal exchange between the employee and the supervisor constituted unusual and extraordinary condition of employee’s work).

Accordingly, we hold that substantial evidence in the record exists to support the commission’s decision that Petitioner failed to meet her burden that she suffered a compensable injury.

CONCLUSION

For the foregoing reasons, we affirm the court of appeals’ decision upholding the denial of benefits.

WALLER, PLEICONES, BEATTY and KITTREDGE, JJ., concur.