Kenneth Vercammen & Associates, P.C.
2053 Woodbridge Ave.
Edison, NJ 08817
(732) 572-0500
www.njlaws.com

Saturday, March 19, 2011

Nuts & Bolts of Elder Law & Estate Administration

Nuts & Bolts of Elder Law & Estate Administration

April 26, 2011

5:00 PM to 9:00 PM Tuesday

Sheraton Edison, Edison

Elder law continues to offer the legal profession a booming opportunity for growth. As your current clients continue to grow older, you need to position yourself to be able to offer them and their families the legal services required by the elderly in today’s society. Or, you may be looking for lucrative areas in which to expand your current practice, including administering their estates.

This practical program is designed to provide the nuts and bolts of elder law practice & estate administration practice to general practitioners and young lawyers, as well as to more experienced lawyers seeking to expand into this field. A highly authoritative and experienced panel of elder law attorneys & estate planners will share proven techniques and experience it would take you years to gather on your own. You’ll also gain insight on how Federal Medicaid Reform will impact your practice.

Everything you need to know about elder law & estate administration including:


• Why Have a Will? - Gathering information; standard provisions; designation of fiduciaries; protective clauses; sample forms; Ethics - who is the client?


• Powers of Attorney - Types of POAs; what should be included; why clients need them; POAs and Living Wills; sample forms


• Living Trusts (Revocable/Irrevocable) as an Estate Planning Tool - Why it should be used; Ethics - who is the client?; disadvantages; revocable vs. irrevocable; Insurance Trusts; sample forms


• Basic Tax Considerations - Jointly-held property; “I love you” Will; no Will at all; insurance owned by client; unlimited marital deduction; estate planning in the testamentary document; sample forms/letters


• Estate Administration - New Probate Law in New Jersey - Probate process; duties of executor/fiduciary; gathering of assets; tax returns; tax waivers; access to property; sample forms/checklists


• Medicaid Planning in Light of Federal Medicaid Reform - Countable assets of Medicaid applicant; income cap/Medical needy standard; look-back period; transfers of property; personal residence; Medicaid estate recovery rules; probate; undue influence; competency
…and more

Speakers:

KENNETH A. VERCAMMEN, ESQ.

Chair, ABA Elder Law Committee

Past GP Solo Section Attorney of the Year

2006 NJSBA Municipal Court Practitioner of the Year

K. Vercammen & Associates

THOMAS D. BEGLEY, III, ESQ.

Begley, Begley & Bookbinder, PC (Moorestown)

WILLIAM P. ISELE, ESQ.

Past NJ Ombudsman for the Elderly

MARTIN A. SPIGNER, ESQ.

Law Office of Martin A. Spigner

New Jersey Institute for Continuing Legal Education 
The non-profit continuing education service of: 
The New Jersey State Bar Association Rutgers - The State University of New Jerseys Eton Hall University 
One Constitution Square, New Brunswick, New Jersey 08901-1520 
Phone: (732)214-8500 • Fax: (732)249-0383 • CustomerService@njicle.com

Seminar # S578-22154 S578-22154

Tuition fees

Reg. Fee

Reg. Type

General Tuition (REG)

$169.00

REG

NJICLE Season Ticket (STX)

1 Season Ticket(s)

STX

MEMBERS, NJSBA Co-Sponsoring (COS*)

$129.00

COS*

MEMBERS, NJSBA (NJB*)

$139.00

NJB*

MEMBERS, NJSBA YLD (YLD*)

$129.00

YLD*

Recent admittees (YL)

$145.00

YL

Paralegals (PAR)

$119.00

PAR

Law Students (with Student ID) (STU)

$0.00

STU

Full Time Judges (JUD)

$0.00

JUD

Door Registrations $189

* NJSBA Member Price – To qualify for this reduced price, you must provide your NJSBA Member# at the time you place your order. If you place your order without providing your NJSBA Member#, you will be charged the regular price.

NJ CLE INFORMATION: This program has been approved by the Board on Continuing Legal Education of the Supreme Court of New Jersey for 3.4 hours of total CLE credit. Of these, 1.2 qualify as hours of credit for ethics/professionalism.

Presented in cooperation with the NJSBA Elder & Disability Law Section and NJSBA Young Lawyers Division

Sheraton Edison Hotel Raritan Center

125 Raritan Center Parkway · Edison, New Jersey 08837

http://www.njicle.com/seminar.aspx?sid=1406

Friday, March 18, 2011

Matter of the Estate of : LEIGH CAMERON RANDALL :

_____________________________________

In The Matter of the Estate of : LEIGH CAMERON RANDALL :

_ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ _ __ _ Decided: February 1, 2011 By: Walter Koprowski, Jr., J.S.C.

: : SUPERIOR COURT OF NEW JERSEY : CHANCERY DIVISION, PROBATE PART : ESSEX COUNTY : DOCKET NO.: ESX-CP-0199-10 :

NOT FOR PUBLICATION WITHOUT THE APPROVAL OF THE COMMITTEE ON OPINIONS


: : :

OPINION

Decedent Leigh Cameron Randall died a resident of Maricopa County, Arizona on July 24, 2006. At the time of her death, she owned real property located at 861 Broad Street, Newark, N.J., in addition to various other assets. She did not execute a formal will. However, plaintiff (one of her 6 first cousins) is seeking to probate a letter allegedly written in July of 1998 as a writing intended as a will. There is no signature on the pages offered for probate. The decedent retained a photocopy of pages 3 and 4 of this letter, and added the following handwritten note in the margin on September 8, 2004: “Note: Sept. 8, 2004 – Everything but Trust, which will be divided between Charles and Janet is to go to Charles, in appreciation for all his help through the years.” In the body of the letter, decedent crossed off “Everything that remains would be divided between you and Janet.” Decedent wrote, “VOID - *note Sept. 8, 2004 correction” next to the cross-out. Plaintiff lost his copy of the letter, but found this amended portion of the letter in a drawer at decedent’s house. The decedent never married and did not have any children. She is survived by 6 first cousins: 2 children of her mother’s brother (Charles Cameron III (Plaintiff) and Janet Cameron) and four children of her father’s brother (Charles Anderson, Janet Anderson, John Anderson, and Sandra Mortimer). She is also survived by three children of the son allegedly adopted by her mother with her second husband: Melissa Moeckel, Mark Moeckel, and Tre Michael Moeckel (adopted).

N.J.S.A. §3B:3-2 requires that a will shall be in writing signed by the testator or by another at the testator’s direction, and signed by two witnesses within a reasonable

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time after witnessing testator’s signature or testator’s acknowledgement of that signature. The admission of a holographic will to probate is governed by N.J.S.A. §3B:3-2(b), which provides that a Will that does not comply with the above requirements nonetheless “is valid as a writing intended as Will, whether or not witnessed, if the signature and material portions of the document are in the testator’s own handwriting.”

In 2004, the NJ Legislature enacted N.J.S.A. §3B:3-3, which provides in pertinent part, “Although a document or writing added upon a document was not executed in compliance with N.J.S. 3B: 3-2, the document or writing is treated as if it had been executed in compliance with [it] if the proponent of the document or writing established by clear and convincing evidence that the decedent intended the document or writing to constitute: 1) the decedent’s will; 2) a partial or complete revocation of the will; 3) and addition to or alteration of the will; or 4) a partial or complete revival of his formerly revoked will or a portion thereof.”

“The clear and convincing evidence standard is not a hollow one, as clear-and- convincing evidence is that which produces in the mind of the trier of fact a firm belief or conviction as to the truth of the allegations sought to be established, evidence so clear, direct and weighty and convincing as to enable the fact-finder to come to a clear conviction, without hesitancy, of the precise facts in issue. New Jersey Div. of Youth & Family Servs. v. I.S., 202 N.J. 145, 168 (N.J. 2010) (citing In re Seaman, 133 N.J. 67, 74 (1993). See also In re Purrazzella, 134 N.J. 228, 240 (1993) (defining clear and convincing evidence as "evidence that should produce in the mind of the trier of fact a firm belief or conviction as to the truth of the allegations sought to be established".

Plaintiff Charles E. Cameron III is a practicing veterinarian who resides in Virginia. He testified in a straight-forward and honest fashion. I find him to be a credible witness in this matter. Leigh Cameron Randall was his cousin as well as a close friend. She was a single woman who lived alone. He and his father before him maintained a relationship with Ms Randall throughout her entire life. After his father became incapacitated in 1991, Dr. Cameron spoke with her about once a month by telephone and received numerous letters. He recalled that she also kept important financial documents for safe-keeping at home as she distrusted financial institutions. He visited her in Arizona in 2002. He gave her general financial advice and helped manage her real property located at 861 Broad Street in Newark, NJ.

He received the 1998 correspondence which is the subject matter of this application. He assumed she had a will and considered the letter to be merely informational as it listed her assets, discussed a testamentary trust and identified him and his sister as beneficiaries. He recalled that Ms. Randall was very concerned about counsel fees based on discussions he had with her over the years. After her death, he went to her home in Arizona and looked for a will. He found the photocopy marked P1 in a bureau which included the original notations in the margin. Dr. Cameron, who received hundreds of letters from Ms. Randall cannot locate the original July 1998 correspondence which was sent to him. Based on his familiarity with her handwriting, he testified that the copy including the margin note was written by her.

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In this case, the proponent of the document offered for probate argues that either the original letter written to Plaintiff or the subsequently added annotation expresses testamentary intent sufficient to overcome the deficiencies in formality. The clear and convincing evidence standard is a very substantial obstacle to Plaintiff’s argument. This Court finds the initial letter, of which an unsigned photocopy of pages 3 and 4 is offered for probate, does not have any testamentary intent as it was originally written. The excerpt of the letter asks for advice, enumerated some assets, and discussed her 861 Broad Street Newark property. It does not meet the clear and convincing evidence standard for testamentary intent required by N.J.S.A. 3B:3-3 as originally drafted.

However, the court is convinced that the handwritten annotation in the margin of the copy of the letter should be given testamentary effect. In adopting N.J.S.A. 3B:3-3, which is taken verbatim from §2-503 of the Uniform Probate Code, the Legislature clearly intends to loosen the rigid formalities which had previously governed will formation, and to move away from situations in which failure of those rigid formalities would defeat the testator’s clear intent.

The Appellate Division recently affirmed that a document offered as a will for probate under N.J.S.A. 3B:3-3 need not be signed by the testator to be valid as a will. In re Alleged Will of Macool, 416 N.J. Super. 298, 311 (App.Div. 2010). In Macool, the Court reviewed a decision in which the trial court denied admission to probate of a draft of a will prepared for the decedent, but not executed or seen by her before she died. Id. The Appellate Division affirmed denial of probate for the document on the grounds that it had not been seen by the decedent, but reversed that part of the trial court’s opinion that construed N.J.S.A. 3B:3-3 to require a signature of the testator. Id. The Court wrote, “We are satisfied that a writing offered under N.J.S.A. 3B:3-3 need not be signed by the testator in order to be admitted to probate. To hold otherwise would render the relaxation available in N.J.S.A. 3B:3-3 inapplicable to N.J.S.A. 3B:3-2(b). Stated differently, because the essence of a holographic will is that it must be in the testator's handwriting, the only conceivable relief offered by N.J.S.A. 3B:3-3 to this form of will must be that it need not be signed by the testator.” Id.

Plaintiff offers two photocopied pages from the middle of a letter written by the decedent to him in July of 1998, with an original handwritten annotation. Dr. Cameron in his testimony authenticated the document as written by Ms. Randall and sent to him in 1998. He confirmed that the note printed in blue ink was also in her hand. It is obvious that the decedent considered this letter as an important document capable of disposing of her property upon her death. She kept the photocopy in her bureau for eight years. Dr. Cameron did not find any other correspondence in this location after her death.

When she changed her mind as to the disposition of her estate, she made an appropriate notation on September 8, 2004. She employed the verb “void” which by definition means to invalidate or make ineffectual. If the testator did not intend or believe the excerpt of the letter to have a testamentary effect, she would not have written “VOID” on the paper. The language which she employed disposed of her estate when she

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indicated that everything but the trust is to go to Charles, in appreciation for all of his help throughout the years. This sentence provides for a testamentary disposition of all of the decedent’s assets. I find the language of the notation, as brief as it is, expresses sufficient testamentary intent when viewed in the context of the body of the letter, and its maintenance in a safe place for so many years.

I concede that the missing pages of the letter raise questions, as it is impossible to determine what they contained, or if any additional annotations were added to the decedent’s copy. However, I accept Dr. Cameron’s testimony that these pages were not in the bureau, which indicates that the decedent did not consider this portion of the letter significant.

The Court notes the apparently very close relationship the decedent had with her cousin Charles and it appears that he would be a natural object of her bounty. Further, it is undisputed that the decedent was somewhat eccentric, and distrusted lawyers, courts, and financial institutions to handle her affairs which would explain the manner in which she sought to prepare a will. The relief requested in Plaintiff’s Verified Complaint is therefore granted

The photocopy of the 1998 letter containing the original notation in the margin shall be admitted to probate as a writing intended to be a will under N.J.S.A 3B:3-3. The Surrogate of Essex County shall issue letters of Administration C.T.A. to Charles E. Cameron, III upon his duly qualifying. Counsel fees to be paid by the Estate in the amount of $3,125.00 are awarded to P. Charles DiLorenzo, Esq. for professional services rendered as Guardian ad Litem for the minor, Tre Moeckel.

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Sunday, February 6, 2011

2011 update Wills and Estate Planning Se

2011 update Wills and Estate Planning Seminar

WHEN: Wednesday March 16, 2011 12:15-1:00 PM

WHERE: Law Office of Kenneth Vercammen, 2053 Woodbridge Ave, 2nd floor, Edison, NJ 08817

Invited: Seniors, Club Presidents, Accountants, CPA's, Financial Planners, Insurance Producers, Nursing Home Administrators, Hospital and Nursing Home Social Workers, Medicaid Workers, Office on Aging Personnel,

COST: Free if you pre-register. Please bring a canned food donation, which will be given to the St. James Food Bank located on Woodbridge Avenue in Edison, NJ. Please email us if you plan on attending or if you would like us to email the materials. Complimentary Sandwiches and materials provided at 12:00 sharp. We previously held this seminar for the Metuchen and Edison Adult schools. This program is limited to 15 people. Re-scheduled from the January 12 snow cancellation.

SPEAKER: Kenneth Vercammen, Esq.

(Author- Answers to Questions About Probate)

The new NJ Probate Law made a number of substantial changes in Probate and the administration of estates and trusts in New Jersey.

Main Topics:

1. The New Probate Law and preparation of Wills

2. 2011 changes in Federal Estate and Gift Tax exemption

3. NJ Inheritance tax $675,000

4. Power of Attorney

5. Living Will

6. Administering the Estate/ Probate/Surrogate

7. Question and Answer

COMPLIMENTARY MATERIAL: Brochures on Wills, "Answers to Questions about Probate" and Administration of an Estate, Power of Attorney, Living Wills, Real Estate Sales for Seniors, and Trusts.

Co-Sponsor: Middlesex County Estate Planning Council

To attend or for Information: Mike McDonald 732-572-0500

or email VercammenLaw@Njlaws.com

Can’t attend? We can email you materials

Send email to VercammenLaw@Njlaws.com

http://www.kennethvercammen.com/2011.update.Wills.html

Saturday, January 22, 2011

Doctrine of probable intent could not be used to set up special needs trust

Doctrine of probable intent could not be used to set up special needs trust

IN THE MATTER OF THE TRUSTS TO BE ESTABLISHED
IN THE MATTER OF THE ESTATE OF MARGARET A. FLOOD, DECEASED.

DOCKET NO. A-1643-09T1

SUPERIOR COURT OF NEW JERSEY
APPELLATE DIVISION.

Submitted December 8, 2010
Decided December 29, 2010

Before Judges Cuff, Fisher and Fasciale.

On appeal from the Superior Court of New Jersey, Chancery Division, Probate Part, Monmouth County, Docket No. P-178-09.

The opinion of the court was delivered by

FISHER, J.A.D.

The record in this probate matter demonstrates the decedent had engaged in estate planning but never executed a will by the time of her death. Notwithstanding, the judge utilized the

Page 2

doctrine of probable intent in permitting the establishment and funding of supplemental benefit trusts for decedent's two disabled daughters. Because the doctrine of probable intent--a rule of will construction — cannot be used to create a testamentary disposition when a decedent dies intestate, we reverse.

The facts are relatively simple and undisputed. Margaret A. Flood was survived by four children. Two of her children are disabled and the beneficiaries of supplemental security income and Medicaid programs; one of those two receives special residential services and other benefits from the Division of Developmental Disabilities (DDD). When judgment was entered, DDD's statutory lien exceeded $1,000, 000; the lien has since grown at a rate in excess of $300 per day.

Margaret first considered estate planning following her husband's death in 2004. Margaret's daughter-in-law, who is an attorney, certified that Margaret was concerned about protecting the inheritances of her disabled daughters from any obligations to reimburse the governmental entities that had provided benefits and services. Although in late 2004 Margaret expressed these concerns and her desire to retain an attorney, it appears she did not consult an attorney until March and April 2008. Thereafter, Margaret's plans were interrupted first by the

Page 3

illness of one of her daughters and then by an injury she sustained in April 2008. Margaret died on May 24, 2008, with an estate valued at $480,000. She never executed a will or testamentary trust.

The estate's administrator filed this action, seeking the court's authorization to establish and fund the trusts he claims would have been created had Margaret's death not intervened. The matter came before the trial court on the return date of the initial order to show cause; DDD opposed the relief sought.

The facts, as briefly outlined above, were not disputed. The parties proceeded on the assumption that the decedent possessed the unfulfilled intent to create supplemental benefits trusts for her two disabled daughters. The bone of contention instead turned on whether a court may animate such an intention in the complete absence of a will or testamentary trust. The trial judge rejected DDD's arguments and held that the doctrine of probable intent could reach that far.

We conclude that the trial judge's well-intended decision was based on a mistaken understanding of the applicable law. In the absence of a testamentary disposition, Margaret's estate passed by way of the laws of intestacy, and her children's interests vested immediately upon her death. N.J.S.A. 3B:1-3. The doctrine of probable intent--utilized here to do what

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Margaret failed to do in life--has no application in the absence of a will. Certainly, as the administrator argues, the doctrine of probable intent has evolved; it now represents, as our Supreme Court has held, a "broader and more liberal approach to will construction" than the prior insistence on formalistic results. In re Estate of Burke, 48 N.J. 50, 63 (1966).

The doctrine permits the reformation of a will in light of a testator's probable intent by "searching out the probable meaning intended by the words and phrases in the will." Engle v. Siegel, 74 N.J. 287, 291 (1977). Moreover, extrinsic evidence may be offered not only to show an ambiguity in a will but also, if an ambiguity exists, "to shed light on the testator's actual intent." Wilson v. Flowers, 58 N.J. 250, 263 (1971). The outer reach of the doctrine's evolution is likely the Court's decision in In re Estate of Branigan, 129 N.J. 324, 330-31, 335 (1992), where the doctrine was used to reform a will to take advantage of changes in federal estate tax laws that had occurred after execution of the will and after the death of the testator.1

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Although there has been a progression from an era that exalted and enforced more formalistic limits, the doctrine of probable intent has never been applied to create a testamentary disposition when the decedent failed to execute a will. It "cannot be used to write a will that the testator did not write." In re Estate of Gabrellian, 372 N.J. Super. 432, 441 (App. Div. 2004), certif. denied, 182 N.J. 430 (2005); accord Burke, supra, 48 N.J. at 64 (holding that even when a decedent has executed a will, "a court may not... conjure up an interpretation or derive a missing testamentary provision out of the whole cloth"); In re Cook, 44 N.J. 1, 12 (1965) (Hall, J., dissenting) (recognizing that "[a] wider outlook and reliance on probable intention should never be permitted... to work out a will which a testator did not make")2; Chrisman v. Cornell Univ., 1 N.J. Super. 486, 489 (Ch. Div. 1948) (holding that "[t]he

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function of a court is to construe a will so as to give effect to the intention of the testator, but the court can not make a new will for him").

In essence, the doctrine of probable intent is a rule of construction or interpretation and, therefore, presupposes an existing testamentary disposition. See, e.g.. In re Estate of Payne, 186 N.J. 324, 335 (2006) (holding, "[i]n interpreting a will, our aim is to ascertain the intent of the testator"); In re Estate of Dawson, 136 N.J. 1, 9 (1994) (instructing that, in considering application of the testator's probable intent, a court must "look first to the testator's will"); Branigan, supra, 129N.J. at 331 (viewing the doctrine of probable intent as "[a] leading principle governing will construction"); Cook, supra, 44N.J. at 6 (recognizing that the doctrine of probable intent is a principle to be applied "in the interpretation of wills"); Fidelity Union Trust Co. v. Robert, 36 N.J. 561, 564-65 (1962) (defining the doctrine of probable intent as the device by which a court will "ascertain[] the subjective intent of the testator... [by giving] primary emphasis to his dominant plan and purpose as they appear from the entirety of his will when read and considered in light of the surrounding facts and

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circumstances..."). Where there is no will there can be no will construction.3

The judgment under review--issued to protect the inheritances of two of Margaret's daughters from the immediate reach of reimbursement liens--cannot stand because it is anchored to a rationale at odds with our existing jurisprudence, which precludes application of the doctrine of probable intent to create a testamentary disposition where none existed.4

Reversed.


--------

Notes:

1. In 2004, the Legislature enacted N.J.S.A. 3B:3-33.1, thereby adding weight to the established common law tradition of reforming instruments to conform to the probable intention of testators. Like the jurisprudence developed by our courts, this statute and other related provisions expressly require the existence of a will or other testamentary instrument before permitting utilization of rules of interpretation. See, e.g., N.J.S.A. 3B:3-33.1(a) (declaring that "[t]he intention of a testator as expressed in his will controls the legal effect of his dispositions...");N.J.S.A. 3B:3-33.1(b) (declaring that "[t]he intention of a settlor as expressed in a trust, or of an individual as expressed in a governing instrument, controls the legal effect of the dispositions therein...").

2.The Court later recognized that its majority opinion and Justice Hall's dissenting opinion in Cook differed on "the nature and quality of the evidence relied upon to establish the intent found," not on the descriptions of the doctrine of probable intent or its reach. Burke, supra, 48N.J. at 64 n.3.

3.Kimley v. Whittaker, 63 N.J. 235 (1973), upon which the administrator relies, is inapposite. There, the Court interpreted a will in which the testator devised all her property to her husband, made no alternative disposition if he predeceased her--as he did--and "for reasons [she] care[d] not to disclose," made no provision for her daughter or her daughter's children. Id. at 237. In considering the will's language, the Court concluded that the testator did not intend to incorporate the laws of intestacy if her devise to her husband lapsed. Id. at 240. The matter at hand does not involve a will disposition that lapsed and created a potential for the application of the intestacy laws but rather the utter absence of a will--a markedly different circumstance.

4.We lastly observe that the administrator has relied on an order of another probate judge that purportedly supports his position, and DDD has referred us to another order of another judge that appears to have reached a contrary conclusion. The decisions of trial judges are, of course, not binding on us. We recognize, however, that probate judges develop an expertise in the area that might have been illuminating had either party provided us with copies of those judges' decisions. In the absence of any understanding of the underlying reasoning, the parties' references to these trial court rulings have no value to us.

Saturday, November 20, 2010

2011 update Wills and Estate Planning- Free Seminar WHEN: Wednesday January 12, 2011 12:15-1:00 PM WHERE: Law Office of

2011 update Wills and Estate Planning- Free Seminar

WHEN: Wednesday January 12, 2011 12:15-1:00 PM

WHERE: Law Office of Kenneth Vercammen, 2053 Woodbridge Ave, 2nd floor, Edison, NJ 08817

Invited: Clients, CPA's, Financial Planners, Insurance Producers, Nursing Home Administrators, Hospital and Nursing Home Social Workers, Medicaid Workers, Office on Aging Personnel, Senior Club Presidents, and Accountants

Estate Planning Ideas for Professionals and People who advise Seniors

Middlesex County College charged $29.00 to attend this program. If you email back prior to December 31 you can attend for free.

COST: Free if you pre-register. This program is limited to 15 people

Complimentary Sandwiches to pre-registered persons at 12:00

SPEAKER: Kenneth Vercammen, Esq.

(Author- Answers to Questions About Probate)

The new NJ Probate Law made a number of substantial changes in Probate and the administration of estates and trusts in New Jersey.

Main Topics:

1. The New Probate Law and preparation of Wills

2. 2010 increases in Federal Estate and Gift Tax exemption

3. NJ Inheritance tax $675,000

4. Power of Attorney

5. Living Will

6. Administering the Estate/ Probate/Surrogate

7. Question and Answer

COMPLIMENTARY MATERIAL: Brochures on Wills, "Answers to Questions about Probate" and Administration of an Estate, Power of Attorney, Living Wills, Real Estate Sales for Seniors, and Trusts.

Co-Sponsor: Middlesex County Estate Planning Council

To attend or for Information: Mike McDonald 732-572-0500

or email VercammenLaw@Njlaws.com

Can’t attend? We can email you materials

Send email to VercammenLaw@Njlaws.com

Our NJ Probate Special Report Newsletter discussed increased duties of the Executor or Administrator. The email newsletter also discussed how the revised NJ Probate Law makes a number of substantial changes in Probate and the administration of estates and trusts in New Jersey. If you send us your e-mail address we can provide you with a Free report on the changes in the law which may affect you. We also recently established the NJ Elder Law blog at http://elder-law.blogspot.com.

Website www.njlaws.com now provides Legal Information on Probate and Elder Law.

Very truly yours,

KENNETH VERCAMMEN

Chair ABA Elder Law Committee, Solo & Small Firm Division

To attend or receive the Probate Special Report, email us at VercammenLaw@Njlaws.com or fax us your email address.

Fax 732-572-0030

We send the Special Report and newsletter via email only.

Email address: __________________________

http://www.kennethvercammen.com/2011.update.Wills.html

Tuesday, November 2, 2010

No undue influence IN THE MATTER OF THE ESTATE OF LUCILLE SAND, DECEASED.

No undue influence

IN THE MATTER OF THE ESTATE OF LUCILLE SAND, DECEASED.


SUPERIOR COURT OF NEW JERSEY APPELLATE DIVISION DOCKET NO. A-1856-08T1

_ Submitted October 13, 2010 - Decided November 1, 2010 Before Judges Baxter and Koblitz.

On appeal from the Superior Court of New Jersey, Chancery Division, Probate Part, Union County, Docket No. 0-9820.


NOT FOR PUBLICATION WITHOUT THE APPROVAL OF THE APPELLATE DIVISION

PER CURIAM This is a probate matter, in which appellant Sandra Singer

appeals from an October 7, 2008 order that granted summary judgment to her two sisters, Thea and Paula Singer, and denied Sandra's cross-motion. The order admitted to probate the December 4, 2002 last will and testament of their mother Lucille Sand (decedent), as well as the February 2, 2005 first codicil; directed the Surrogate of Union County to issue letters testamentary to Thea and Paula as co-executrixes; and dismissed the caveat to the will filed by Sandra in which

she alleged undue influence, fraud, lack of testamentary capacity and forgery. We affirm.

I. Lucille Sand died on March 12, 2008, survived by four

daughters and two stepchildren. She left a will dated December 4, 2002, in which she bequeathed the sum of $25,000 to Sandra. With the exception of a bequest to her stepchildren of her interest in a mutual stock fund, decedent's will left the balance of her estate in unequal shares to Sandra's three sisters, Thea, Paula, and Candice. Decedent nominated and

appointed Thea and Paula as co-executrixes. decedent expressly acknowledged that she had children, Thea, Paula, Candice and Sandra. The will contained an in terrorem clause, which provided that if any beneficiary should contest the probate or validity of the will, then all benefits provided for such beneficiary were revoked and the legacy would be redistributed to the remaining beneficiaries, regardless of whether any such challenge was instituted in good faith.

In the presence of two witnesses, Marie Santucci and Lisa Wagman, decedent acknowledged the will as her "last will and testament" and she swore that she "signed it willingly and voluntarily for the purposes expressed therein." She also

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A-1856-08T1

In the will, four adult

certified that she was over the age of eighteen, "of sound mind," and was "not acting under any constraint or undue influence." Santucci and Wagman each certified that in the presence of each other, they had witnessed Lucille sign the will and had heard her declare the document to be her last will and testament. They also swore that to the best of their knowledge, the testatrix was "over the age of eighteen and of sound mind, and not acting under any constraint or undue influence." The February 2005 codicil amended the will by changing the distribution of the residual estate to make the bequests to Thea, Paula and Candice equal one-third shares.

In their complaint seeking to admit their mother's December 2002 will to probate, Thea and Paula asserted that their mother had been estranged from Sandra ever since 1973, their mother was of sound mind when she signed the will and all bequests were the product of her own free will.

In her answer to her sisters' complaint, Sandra asserted that the alleged will and codicil were forgeries, or decedent lacked testamentary capacity when she prepared the will or had been subjected to undue influence. Sandra also maintained that her mother had made a "contract" with her, in which she agreed to bequeath to Sandra twenty-five percent of the family home in Westfield, along with twenty-five percent of her jewelry and

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other personal property. Sandra contended that the alleged will was "against everything the decedent said she stood for" and consequently "[o]nly a person lacking testamentary capacity" or subjected to undue influence or fraud could have left a will in which Sandra was bequeathed only $25,000 of a $2 million estate. Finally, Sandra's answer asserted that the will was rendered void because it contained an in terrorem clause in violation of the applicable statute, N.J.S.A. 3B:3-47.

Sandra also asserted a nine-part counterclaim, which included her contentions that: 1) the "alleged will is invalid" because it "breach[ed] [the] contracts" made by decedent guaranteeing her a twenty-five percent share of the estate; 2) the will was "void on its face" because the will did "not show that the decedent comprehended who is a natural object of her bounty" and the will made no statement "explain[ing] the unnatural and abnormal statements in this alleged will"; 3) the "issue of [the] validity of [the] will is moot" as she was owed more from the estate than the entire estate corpus was worth; 4) she was "owed money by [the] estate" and Thea and Paula were acting in bad faith by refusing to satisfy that claim; 5) Thea and Paula were "not fit to be executors" because they were "conspiring to maliciously steal [her] share of the estate for themselves," thereby creating a conflict of interest,

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and Thea "admitted that she knew the contents of the alleged will before the decedent died" and "was present when the alleged will was signed," thereby demonstrating "undue influence"; 6) her two sisters and the law firm representing them had engaged in abuse of process and malicious prosecution; 7) her sisters and the law firm had intentionally inflicted emotional distress upon her; 8) her sisters and the law firm had engaged in an "unfair or deceptive business practice"; and 9) Thea and Paula committed "other wrongful acts . . . outside of the will for which they are liable."

In support of their summary judgment motion, Thea and Paula submitted an affidavit from Eliot M. Goldstein, the attorney who prepared Lucille's December 2002 will. Goldstein certified that in October 2002, he met with Lucille, her accountant and financial adviser for approximately two hours to discuss modifications to her estate planning documents, all of which had been prepared for Lucille six years earlier by a member of Goldstein's firm. In relevant part, Goldstein's certification stated:

Although Lucille was suffering from emphysema, I remember her to be an articulate woman in clear possession of her faculties and her own desires.

Among other things, we discussed her four (4) daughters and her relationship with each.

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Lucille informed me that she had been estranged from her daughter Sandra Singer, a/k/a Sandi Singer, for quite some time and intended to only leave a small bequest to Sandi, with the bulk of her estate passing to her three (3) other daughters, either in trust or outright.

An in terrorem clause was discussed at the meeting and ultimately inserted into Lucille's Last Will and Testament, at her request.

It is my professional practice not to allow clients to execute documents who I believe lack the requisite mental capacity or who may be acting as a result of being unduly influenced by a third party.

Thea and Paula also submitted an affidavit from attorney Joel G. Cohen, who had prepared the codicil. As Goldstein had done, Cohen explained that it was his practice whenever meeting with a client in an estate matter to determine if the client was under any duress and ensure that the client understood the "meaning and seriousness" of the documents. When he met with decedent on February 2, 2005, "at no time" did she "indicate any behavior" that led him to believe that the codicil "was other than fully intended and understood."

In opposition to Thea and Paula's motion for summary judgment, and in support of her cross-motion, appellant submitted the following documents: her own affidavit, which we shall describe shortly; a letter from the Department of

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Treasury, Division of Pensions and Benefits, acknowledging decedent's death and stating that the estate was entitled to receive $152.90 as "an allowance" due the decedent for the month in which she died; a note dated May 19, 2008 purporting to be written on Merrill Lynch letterhead by a person whose initials are largely indecipherable, stating "[a]s we discussed, you are 1/4 beneficiary of the attached IRA"; letters purportedly written by her aunt Beatrice Grossman making disparaging remarks about Thea; several computer-generated documents showing that Candice had been convicted of various criminal offenses in Oregon; and two bail bonds posted by decedent on Candice's behalf.

In her twenty-one page affidavit, appellant repeated the same claims she had advanced in her answer and counterclaim, providing little additional detail and no substantiation. In fact, she acknowledged that she had "started to write interrogatories but the extreme and outrageous acts here caused such severe despair, despondency, and emotional distress of a nature which no person could be expected to endure as to slow things down [sic]. It is unlikely that interrogatories will do much good as plaintiffs are likely to lie." She also asserted that she had spoken "to a witness," whose name she did not provide, who knew the decedent "well." According to Sandra, the

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unnamed witness maintained that decedent "would never knowingly have written a will like this" and Thea must have "exercise[d] undue influence." Sandra also maintained that Goldstein had been uncooperative when she called his office to discuss the matter with him.

In her affidavit, Sandra also asserted that Paula had "perpetrated a fraud" and "lied" to her when she insisted that their mother was in good health "driving around in her car with her friends in New Jersey" when in fact decedent was sick and dying in a hospital in Massachusetts. Last, Sandra insisted that Paula had admitted the will was "unfair" and told her she wished she had known about the will before their mother died, because she would have encouraged her mother to give Sandra an equal share.

In an oral opinion, Judge Malone first addressed Sandra's argument that her claims as a creditor exceeded the aggregate value of the estate. The judge concluded that even if this were so, it would have no bearing on whether the will should be admitted to probate, and, as a creditor or claimant, Sandra had available to her a mechanism for presenting a financial claim against the estate.

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Turning to the in terrorem clause,1 the judge observed that even if the clause was not valid, its invalidity would have no bearing on whether the will should be admitted to probate. Instead, the clause would simply be stricken.

As to the claim of a conflict of interest by Thea and Paula, the judge observed that while Sandra was correct that by resisting Sandra's claims against the estate Thea and Paula might receive a larger share, any such conflict of interest had no bearing upon whether the will should be admitted to probate. It merely potentially affected Thea and Paula's designation as executrixes. The judge also noted that Thea and Paula's "perceived hostility" toward Sandra, while "personally distressing to her," had no bearing on whether the will should be admitted to probate. For all of those reasons, the judge rejected appellant's threshold arguments concerning the admission of the will to probate.

1 The in terrorem statute provides:

A provision in a will purporting to penalize any interested person for contesting the will or instituting other proceedings relating to the estate is unenforceable if probable cause exists for instituting proceedings.

[N.J.S.A. 3B:3-47.]

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Turning to Sandra's claims that her mother lacked testamentary capacity and had been subjected to undue influence, the judge noted that as the opponent of the will, Sandra was required to establish her claims by clear and convincing evidence. He concluded the evidence Sandra had presented failed to meet that demanding standard. In particular, he reasoned that on the issue of testamentary capacity, Sandra's claim was "essentially . . . that a person such as her mother [writing] a will . . . treating her . . . so differently than . . . her sisters, is evidence of an insane delusion, and therefore the lack of capacity." The judge concluded that the mere unequal treatment of one's offspring, standing alone, is insufficient proof of lack of capacity.

On the issue of undue influence, the judge agreed with Sandra that her sisters were indeed in a confidential relationship with their mother. He rejected, however, Sandra's claim that by acting in a manner that was "not forthcoming with information regarding the mother's state of health" and by "threaten[ing]" not to pay Sandra the non-probate asset (the IRA account) to which she was entitled, Thea and Paula had behaved in a manner suggestive of undue influence. The judge emphasized that the conduct of Thea and Paula in not being truthful about their mother's health and threatening not to pay the IRA account

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to Sandra had both occurred long after the will was prepared in 2005, and was therefore of no consequence on the issue of undue influence.

The judge further reasoned that compared to Sandra's meager proofs on the issue of undue influence, he had been presented with certifications from the two lawyers who prepared the will and codicil on separate occasions, some two years apart, attesting to their belief that decedent had acted of her own free will. For all of those reasons, Judge Malone concluded that nothing Sandra had presented was sufficient to raise a genuine issue of material fact that would preclude the granting of summary judgment in favor of Thea and Paula. Consequently, he determined that the will should be admitted to probate.

As to the counterclaims, the judge dismissed all nine, reasoning that they were "not in any way germane to the issue of admissibility of the will to probate."

On appeal, Sandra raises ten claims: 1) Thea and Paula's complaint should have been dismissed for lack of subject matter jurisdiction because they improperly filed the complaint as a summary action "and this case is not a summary action"; 2) the alleged will and codicil are void because they violate N.J.S.A. 3B:3-47; 3) the court should not have permitted Thea and Paula to become executors; 4) the will is invalid because it is a

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result of "insane delusions by decedent" or "fraud" by Thea, Paula and Candice "seeking to steal" Sandra's share of the estate; 5) the court's pretrial discovery orders were erroneous; 6) summary judgment should not have been granted because there were material disputes of fact; 7) the judge erred in ruling that claims against an estate cannot be filed in the Probate Part; 8) the judge erred by failing to advise her of her right to a lawyer paid for by the estate; 9) "if the ruling was made before the hearing, it violated due process by making a ruling in a case before the hearing was held"; and 10) the materials filed with the court should be impounded because they pertain to private family data "which is none of the public's business" and because the materials defamed her character.

II. When determining a motion for summary judgment, the

trial judge must decide whether "the competent evidential materials presented, when viewed in the light most favorable to the non-moving party, are sufficient to permit a rational factfinder to resolve the alleged disputed issue in favor of the non-moving party." Brill v. Guardian Life Ins. Co. of Am., 142 N.J. 520, 540 (1995). Summary judgment must be granted if "the pleadings, depositions, answers to interrogatories and admissions on file, together with the

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affidavits, if any, show that there is no genuine issue as to any material fact challenged and that the moving party is entitled to a judgment or order as a matter of law." R. 4:46-2(c). When reviewing an order granting or denying summary judgment, we apply the same standard used by the trial court. Prudential Prop. & Cas. Ins. Co. v. Boylan, 307 N.J. Super. 162, 167 (App. Div.), certif. denied, 154 N.J. 608 (1998).

A will is considered self-proving at the time of execution if: it is signed by the testator in the presence of two witnesses; the testator declares that such execution is his "free and voluntary act for the purposes therein expressed"; and the testator states he was "under no constraint or undue influence." N.J.S.A. 3B:3-4. Additionally, each witness must swear that he or she heard the testator declare that he signed the instrument willingly and that to the best of the witness's knowledge, the testator is over the age of eighteen and "of sound mind, and under no constraint or undue influence." Ibid. If a will was "executed and acknowledged in the manner provided in N.J.S.A. 3B:3-4," it "may be admitted to probate by the surrogate without further affidavit, deposition or proof." N.J.S.A. 3B:3-19. Thus, the requirements for admitting a self-

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proving will to probate are limited to the proper execution and acknowledgment of the will.

As the Court observed in Haynes v. First Nat'l State Bank of N.J., 87 N.J. 163, 175-76 (1981), "[i]n any attack upon the validity of a will, it is generally presumed that 'the testator was of sound mind and competent when he executed the will.'" (quoting Gellert v. Livingston, 5 N.J. 65, 71 (1950)). However, if the drafting of the will, or any of its provisions, was a result of "undue influence," the will may be set aside. Id. at 176. The Court defined the term "undue influence" as "mental, moral or physical exertion which has destroyed the free agency of a testator by presenting the testator from following the dictates of his own mind and will and accepting instead the domination and influence of another." Id. at 176. (internal quotations and citations omitted.) When a claim of undue influence is advanced, the burden of proving that claim shifts to the proponent of the will whenever the proponent is in a confidential relationship to the testator and there are "additional circumstances of a suspicious character present which require explanation." Ibid. (quoting In re Rittenhouse's Will, 19 N.J. 376, 378-79 (1995)).

Applying these standards, we are satisfied that the will was properly admitted to probate, as it complied with the

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execution and attestation requirements of N.J.S.A. 3B:3-4 and N.J.S.A. 3B:3-19. We are likewise satisfied that Judge Malone properly determined that Sandra's claim of undue influence rested on nothing more than the disparate treatment of herself and her sisters, which was plainly insufficient to demonstrate the "suspicious circumstances" required by Haynes. We likewise agree with the judge's conclusion that the proofs submitted by Sandra were not sufficient to establish by clear and convincing evidence that the presumption in favor of testamentary capacity had been overcome, especially in light of the uncontroverted evidence presented by the two lawyers, Goldstein and Cohen. We thus reject the claims Sandra advances in points four and six.

As to Sandra's contention that the will and codicil are void because they violate N.J.S.A. 3B:3-47, we agree with the judge that the inclusion of an unenforceable in terrorem clause does not invalidate the will. It merely makes the clause unenforceable. We thus reject the claim Sandra presents in point two.

We turn to point one, in which Sandra maintains that the judge should not have proceeded in a summary fashion, but should instead have conducted a plenary hearing or a trial. We cannot agree. First, we note that actions in the Probate Part are brought in a summary manner pursuant to Rule 4:83-1. Because

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Sandra's opposition to Thea and Paula's motion for summary judgment failed to raise a genuine issue of material fact, the judge was authorized, and was indeed required, to dispense with a trial and determine whether the moving party was entitled to judgment as a matter of law. R. 4:46-2(c). We thus reject the claim advanced in point one.

Appellant's remaining claims lack sufficient merit to warrant extended discussion in a written opinion. We consequently decline to consider them further. R. 2:11-3(e)(1)(E).

Affirmed.

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