Tuesday, May 31, 2022

NEW YORK - WRONGFUL EVICTION REARGUMENT FAILS


Cohen v. RESTUCCIA, 2022 NY Slip Op 30751 - NY: Supreme Court 2022:

"DECISION + ORDER ON MOTION

DAKOTA D. RAMSEUR, J.S.C.

The following e-filed documents, listed by NYSCEF document number (Motion 003) 105, 106, 107, 108, 109, 110, 111, 112, 113, 114, 115, 116, 117, 118, 119, 120, 121, 122, 123, 124, 125, 126, 127, 128, 129, 130, 131, 132, 133, 134, 135 were read on this motion to/for REARGUMENT/RECONSIDERATION.

This is an action to recover damages for wrongful eviction pursuant RPAPL 853. In a decision and order, dated April 8, 2021, this court (1) granted the motion of defendant Hertz Cherson & Rosenthal P.C (HC&R) for summary judgment dismissing the complaint insofar as asserted against it, (2) granted the cross motion of defendants New York City Department of Housing Preservation and Development (HPD), Louise Carroll, and Tammy Alston for summary judgment dismissing the complaint insofar as asserted against them, and (3) denied plaintiffs' motion for partial summary judgment on the issue of liability against all defendants except for HC&R. Plaintiffs now move pursuant to CPLR 2221 for leave to reargue and renew (1) their opposition to HC&R's motion and (2) their motion for partial summary judgment on the issue of liability. Plaintiff's motion is opposed. For the following reasons, plaintiff's motion is denied.

BACKGROUND

On November 27, 2019, non-party Jose Rojas Sr. (Rojas Sr.) died from a gastrointestinal hemorrhage while in the apartment where he resided, located at 456 West 37th Street in the borough of Manhattan (the Apartment). The nature of Rojas Sr.'s death resulted in an inordinate amount of blood, which caused the New York City Police Department (NYPD) to seal the Apartment for the purpose of investigating his death. The NYPD did not remove the seal until February 27, 2020. Upon removal of the seal, defendant Joseph Restuccia, an employee of the landlord, defendant Clinton Housing Development Company (CHDC), changed the lock on the entrance door of the Apartment.

On March 5, 2020, Rojas Sr.'s disabled son, plaintiff Jose Antonio Rojas (Rojas), and Rojas' mother plaintiff Andrea Cohen (together plaintiffs) commenced a proceeding against Restuccia and CHDC in the Civil Court of the City of New York under L&T Index No. 54643/2020 (the underlying Civil Court proceeding). In that proceeding, plaintiffs alleged that they were in possession of the Apartment in excess of thirty days prior to Rojas Sr.'s death and were entitled to be restored to possession pursuant to New York City Administrative Code § 26-521(a)(3).[1] Plaintiffs also sought the imposition of civil penalties against Restuccia and CHDC pursuant to RPAPL 768.[2]

After a hearing, the Civil Court (Evon M.. Asforis, J.) issued a decision and order, dated September 28, 2020, finding that plaintiffs were unlawfully evicted from the Apartment in violation of NYC Administrative Code § 26-521(a)(3) and were entitled to be restored to possession (NYSCEF Doc. No. 33). The court declined to award civil penalties under RPAPL 768.

The Instant Action

On September 30, 2020, plaintiffs commenced the instant action to recover damages for wrongful eviction pursuant to RPAPL 853, which provides:

"If a person is disseized, ejected, or put out of real property in a forcible or unlawful manner, or, after he has been put out, is held and kept out by force or by putting him in fear of personal violence or by unlawful means, he is entitled to recover treble damages in an action therefor against the wrong-doer."

The complaint names Restuccia, CHDC, and CHDC employee, Nancy Paz, as defendants. In addition, the complaint names HPD and two of its employees, Louise Carroll and Tammy Alston (collectively, the City defendants), as defendants, alleging that HPD owns the building in which the Apartment is located. Finally, the complaint names HC&R, the law firm that represented Restuccia and CHDC in the underlying Civil Court proceeding, as a defendant, alleging it made false representations to the court in that proceeding for the purpose of prolonging plaintiffs' unlawful lockout from the Apartment.

The City defendants submitted an answer denying the material allegations of the complaint and asserting cross claims against CHDC for indemnification and contribution (NYSCEF Doc. No. 5). CHDC, Restuccia, and Paz filed a separate answer denying the material allegations of the complaint and asserting a cross claim against HPD for indemnification (NYSCEF Doc. No. 6).

In lieu of answering, HC&R moved to dismiss the complaint insofar as asserted against it pursuant to CPLR 3211(a)(1) and (7) (motion sequence no 001). Plaintiffs opposed the motion and moved for partial summary judgment on the issue of liability against all defendants except HC&R (motion sequence no 002). The City defendants opposed plaintiffs' motion and cross moved to dismiss the complaint insofar as asserted against them (motion sequence no 002). In a decision and order, dated April 8, 2021, this court: (1) granted HC&R's motion to dismiss; (2) denied plaintiffs' motion for partial summary judgment; (3) granted the City defendants' cross motion to dismiss on the ground that plaintiffs failed to comply with General Municipal Law 50-e and 50-i, and (4) ordered that the matter be transferred to a non-City part, as the City defendants were no longer parties to this action (the prior order) (Cohen v Restuccia, 2021 NY Slip Op 31215[U] [Sup Ct, NY County 2021] [NYSCEF Doc. No. 108]).

Plaintiffs now move pursuant to CPLR 2221 for leave to reargue and renew (1) their opposition to HC&R's motion to dismiss and (2) their motion for partial summary judgment on the issue of liability. For the purposes of the present motion, the court will assume familiarity with the prior order.

DISCUSSION

Pursuant to CPLR 2221(d), a motion for leave to reargue must "be based upon matters of fact or law allegedly overlooked or misapprehended by the court in determining the prior motion, but shall not include any matters of fact not offered on the prior motion" (CPLR 2221[d][2]). Reargument is not available to argue a new question or theory of law not advanced on the prior motion (see People v D'Alessandro, 13 NY3d 216, 219 [2009]Litton Loan. Servicing, L.P. v Wasserman, 202 AD3d1074 [2d Dept 2022]; DeSoignies v Cornasesk House Tenants' Corp., 21 AD3d 715, 718 [1st Dept 2005]) and "is never a vehicle for seeking new forms of relief' (Fox v Abe Schrader Corp., 36 AD2d 591, 591 [1st Dept 1971]).

Pursuant to CPLR 2221(c), a motion for leave to renew must "be based upon new facts not offered on the prior motion that would change the prior determination or shall demonstrate that there has been a change in the law that would change the prior determination." (CPLR 2221[e][2]). Where the movant offers new evidence in support of his or her motion to renew, the motion is properly denied without a reasonable explanation for failing to submit the new evidence in connection with the original motion (see Hernandez v St. Stephen of Hungary School, 72 AD3d 595, 595 [1st Dept 2010]; Kasem v Price-Rite Off & Home Furniture, 21 AD3d 799, 801 [1st Dept 2005]).

Reargument and Renewal of Plaintiffs' Opposition to HC&R's Motion

In seeking reargument of their opposition to HC&R's motion, plaintiffs assert that this court misapplied the Appellate Division, First Department's decision in Mayes v UVI Holdings (280 AD2d 153 [1st Dept 2001]) when it determined that under the circumstances, HC&R is not liable to plaintiffs for treble damages pursuant to RPAPL 853. In this regard, plaintiffs contend that the court failed to consider that Mayes sets forth multiple criteria for determining when a direct cause of action against a law firm is available to a non-client.

In Mayes, the lessees and occupants of an apartment commenced an action to recover damages for their eviction, which was previously found to have been wrongful because it was procured upon an invalid warrant. The court in Mayes held, among other things, that plaintiffs had a direct cause of action against not only the landlord, but also the landlord's attorney arising from the attorney's failure to obtain a valid warrant. In arguing that this court incorrectly applied Mayes, plaintiffs draw the court's attention to the following language from that decision:

"A direct cause of action by a nonclient against a law firm is not generally cognizable, except where injury is `sustained by a third party as a consequence of the attorney's wrongful or improper exercise of authority, or where the attorney has committed fraud or collusion or a malicious or tortious act' (Singer v Whitman & Ransom, 83 AD2d 862, 863 [2d Dept 1981]). The procurement of an eviction upon an invalid warrant is certainly an `improper exercise of authority,' and may be indicative of collusion between the landlord and its attorneys. Therefore, under the circumstances, a direct action against the law firm is available to plaintiffs"

(Mayes, 280 AD2d at 161-162).

Plaintiffs contend that this court interpreted Mayes too narrowly by deciding that it only applies when a law firm knowingly proceeds upon an invalid warrant for eviction. They contend that this court overlooked that liability may also be imposed where, as here, a law firm committed fraud or a malicious act. In this regard, plaintiffs assert that HC&R attorney Eliot Cherson knew when he represented Restuccia and CHDC in the underlying Civil Court proceeding that plaintiff Andrea Cohen was a tenant of the Apartment by virtue of Cherson's unsuccessful effort in a 2005 non-primary residence holdover proceeding in which he represented CHDC (L&T Index No. 75778/2005) (the 2005 proceeding). Plaintiffs assert that Cherson committed fraud or a malicious act on behalf of HC&R by arguing in the underlying Civil Court proceeding that Cohen was not a tenant of the Apartment, since he, in fact, knew based on the 2005 proceeding, that Cohen was a tenant of the Apartment.

Contrary to plaintiffs' contention, this court did not overlook or misapprehend the applicability of Mayes and did not hold or imply that it only applies when a law firm knowingly proceeds upon an invalid warrant for eviction. This court considered the argument raised by plaintiffs on this motion in deciding the underlying motion and rejected it by finding not only that HC&R played no role in changing the locks to the Apartment, but also that plaintiffs did not have a viable claim that HC&R "acted unlawfully in its representation of ... Restuccia and CHDC[] during the [underlying] Civil Court proceedings" (Cohen v Restuccia, 2021 NY Slip Op 31215[U], at **5).

HC&R's participation in a 2005 proceeding does not provide a basis upon which to hold HC&R liable for treble damages under RPAPL, 853. The result of a holdover proceeding that took place almost I 5 years prior is not dispositive of whether plaintiffs were tenants of the Apartment pursuant to a valid lease or Whether they occupied the premises for 30 days prior to November 27, 2019.

Upon renewal, plaintiffs also present various documents from the record of the 2005 proceeding to bolster their position that HC&R knew that Cohen was a tenant of the Apartment on November 27, 2019. "However, for the reason just discussed, plaintiffs' underlying argument in this regard is without merit, and therefore the newly submitted evidence would not have changed the court's prior determination on this issue.

Reargument and Renewal of Plaintiffs' Motion far Partial Summary Judgment

In moving for renewal and reargument of their motion for partial summary judgment, plaintiffs argue that the court also misapprehended Mayes when it failed to find that Restuccia, Paz, CHDC, and HC&R are barred by the doctrine of collateral estoppel from disputing their liability. Plaintiffs assert that these defendants already had a full and fair opportunity in the underlying Civil Court proceeding to litigate the issues of their wrongdoing.

As an initial matter, to the extent plaintiffs may be understood as arguing they are entitled to summary judgment on the issues of liability against HC&R, this request for relief is inappropriate in the context of the instant motion. Plaintiffs did not move for summary judgment against HC&R in connection with their prior motion and reargument is not a vehicle for seeking new forms of relief.

As to Restuccia, Paz, and CHDC, this court found in the prior order that under the circumstances of this case, issues of fact exist as to whether plaintiffs are entitled to treble damages pursuant to RPAPL 853 including, among other things "whether the `unlawful lockout' was intentional, and, if so, whether the court's exercise of its discretion in awarding statutory treble damages under RPAPL 853 is warranted" (Cohen v Restuccia, 2021 NY Slip Op 31215[U], at **5). Contrary to plaintiffs' contention, the doctrine of collateral estoppel does not require a different result.

"The doctrine of collateral estoppel precludes a party from relitigating in a subsequent action or proceeding an issue clearly raised in a prior action or proceeding and decided against that party or those in privity, whether or not the tribunals or causes of action are the same. The doctrine applies if the issue in the second action is identical to an issue which was raised, necessarily decided and material in the first action, and the plaintiff had a full and fair opportunity to litigate the issue in an earlier action"

(Martinez v New York City Tr. Auth., 203 AD3d 87, 91 [1st Dept 2022] [internal quotation marks and citation omitted]).

In the underlying Civil Court proceeding, it was established that plaintiffs were wrongfully evicted from the subject apartment and were entitled to be restored to possession of the Apartment. Restuccia and CHDC cannot relitigate that issue because they had a full and fair opportunity to litigate it before the housing court judge. However, the issue raised by plaintiffs' motion for summary judgment in this action — i.e., whether they are entitled to treble damages under RPAPL 853 — was not before the housing court judge in the underlying Civil Court proceeding. As such, collateral estoppel is inapplicable.

Plaintiffs' argument that Mayes requires the application of collateral estoppel as to the propriety of the imposition of treble damages under RPAPL 853 is raised for the first time on reargument. A motion for reargument cannot be premised on grounds that were apparent at the time of the prior motion, but not asserted therein (see Litton Loan Servicing, L.P. v Wasserman, 202 AD3d 1074). Therefore, the argument is not properly before the court on this motion.

In any event, plaintiffs' reliance on Mayes for this proposition is misplaced. The court in Mayes did not suggest that a successful "unlawful eviction" claim automatically establishes entitlement to treble damages under RPAPL 853. In fact, the court stated in Mayes that "no damages have been assessed, and the propriety of the imposition of treble damages against any defendant remains to be evaluated upon a full record after trial" (Mayes, 280 AD2d at 161see also Rental & Mgt. Assoc. v Hartford Ins. Co., 206 AD2d 288, 288 [1st Dept 1994] [treble damages under RPAPL 853 are "not automatic but discretionary"]; Lyke v Anderson, 147 AD2d 18, 28 [2d Dept 1989] ["awarding of treble damages pursuant to RPAPL 853 is discretionary"]).

Plaintiffs further argue that the court "failed to apprehend the compelling public policy preventing and punishing illegal lockout" "especially under the cruel circumstances of the pandemic" (Attorney Affirmation at ¶ 42 [NYSCEF Doc. No. 107]). In so arguing, they rely on a Memorandum issued by the State of New York Office of the Attorney General on May 4, 2020, intending to provide guidance to law enforcement in handling claims for unlawful evictions under RPAPL 768 (Memorandum, NYSCEF Doc. No. 115). However, this document was not submitted in support of plaintiffs' motion for summary judgment and cannot form a basis for renewal in that plaintiffs offer no excuse for not presenting it on the prior motion. Moreover, consideration of this document would not have changed this court's prior determination.

Plaintiff also recounts certain events that occurred after this court issued the prior order on April 8, 2021 and assert that these events prove "[t]hat this Court declining to award judgment on the issue of liability has had the invidious effect of emboldening these horrific wrong-doers" (Attorney Affirmation at & 43 [NYSCEF Doc. No. 107]). These subsequent events cannot form a basis for reargument inasmuch as it is improper for such a motion to "include any matters of fact not offered on the prior motion" (CPLR 2221[d][2]). To the extent plaintiffs are offering these events as a basis for renewal, their reliance is also misplaced. On a motion for leave to renew, it is improper for the moving party to rely on facts that were not in existence at the time of the original motion (see Farahmand v Dalhousie Univ., 96 AD3d 618, 619 [1st Dept 2012]; Johnson v Marquez, 2 AD3d 786, 789 [2d Dept 2003]).

Accordingly, it is hereby

ORDERED that plaintiffs' motion for reargument and renewal is denied; and it is further

ORDERED that plaintiffs shall serve a copy of this decision and order on all parties, with notice of entry, within ten (10) days of entry.

This constitutes the decision and order of the Court.

[1] NYC Administrative Code § 26-521(a)(3) states that is unlawful,

"to evict or attempt to evict an occupant of a dwelling unit who has lawfully occupied the dwelling unit for thirty consecutive days or longer or who has entered into a lease with respect to such dwelling unit or has made a request for a lease for such dwelling unit pursuant to the hotel stabilization provisions of the rent stabilization law ... by ... engaging or threatening to engage in any other conduct which prevents or is intended to prevent such occupant from the lawful occupancy of such dwelling unit or to induce the occupant to vacate the dwelling unit including, hut not limited to ... changing the lock on such entrance door without supplying the occupant with a key."

[2] RPAPL 768 includes substantially the same language quoted above from NYC Administrative Code § 26-521(a)(3), but also contains a provision providing that any person who violates or assists in the violation of the statute is subject to criminal and civil penalties."

Thursday, May 26, 2022

MASSACHUSETTS LAW - IS THE CHILD IN NEED OF ASSISTANCE OR IS THE PARENT NEGLECTFUL


Mass, GL 119, s 21 states in part: "''Child requiring assistance'', a child between the ages of 6 and 18 who: (i) repeatedly runs away from the home of the child's parent, legal guardian or custodian; (ii) repeatedly fails to obey the lawful and reasonable commands of the child's parent, legal guardian or custodian, thereby interfering with their ability to adequately care for and protect the child; (iii) repeatedly fails to obey the lawful and reasonable regulations of the child's school; (iv) is habitually truant; or (v) is a sexually exploited child."

One must always ask, however and IMHO, whether these acts by the child are attributable solely to the child or is it attributable to possible abuse or neglect. In New York, the court has the power to convert the CRA (in NY it is called Person In Need of Supervision or PINS) to an abuse or neglect (in MA it is called a Care and Protection). Instructive is BEEKMANTOWN SCH DIST v. John, 69 Misc. 3d 888 - NY: Family Court 2020:

"On July 16, 2020, the Beekmantown Central School District filed an amended verified petition alleging that John is a person in need of supervision (PINS), as that term is defined by Family Court Act § 712(a). On August 6, 2020, upon respondent's admissions, the court found that John, while under 18 years of age, did not attend school in accordance with the provisions of part I of article 65 of the Education Law; and was incorrigible, ungovernable or habitually disobedient and beyond the lawful control of the Beekmantown Central School District. On September 29, 2020, the Clinton County Probation Department submitted its PINS predispositional investigation report in this matter which contains the following information.

John stated that "due to issues at home" he previously did not want to be around other children and therefore, acted out on several occasions so that he would be taken out of his class. Mary S., who has primary physical custody of John, stated that "a few years ago" her longtime paramour turned "mean" and there was ongoing domestic violence issues in the home. Ms. S. apparently did not take any action to resolve the domestic violence issues in John's home until February of this year. Thus, it appears that for an extended period of time, Mary S. allowed John to be exposed to domestic violence and such exposure negatively impacted John's school behavior. Indeed, according to Ms. S. herself, John's PINS behaviors were mainly due to his inability to cope with the domestic violence issues that were present in her home.

From December of 2018 through February of 2020, the Clinton County Department of Social Services indicated three CPS investigations against Mary S. for educational neglect due to Ms. S.'s failure to send "children" to school. It appears that 890*890 Ms. S.'s educational neglect of John continued through June 2020. John failed to participate in remote learning from March 16, 2020, until June 16, 2020, which, at least in part, resulted in John failing all of his 2019-2020 classes except studio art and physical education.

Beekmantown Central School District made several referrals for preventive services regarding John, but "they were not accepted by the family." In March of 2020, an intake appointment was scheduled for John with Behavioral Health Services North, Inc.; however, Ms. S. and John failed to appear and engage in services with that agency. The Department of Social Services recommended adolescent parenting classes for Ms. S., but Ms. S. never engaged in those classes.

If the information contained in the predispositional report is accurate, a valid neglect petition regarding John could be filed against Mary S. Given Ms. S.'s own position that John's behavior is attributable to his home environment, the court finds that justice would be served by the pursuit of a neglect petition against Ms. S. rather than a PINS determination against John. (See Matter of R.L. v A.J., 50 Misc 3d 1083, 1085 [Fam Ct, Kings County 2015] [noting that Family Ct Act § 716 "reflects a recognition by the Legislature that some children who are `in need of supervision' often are `neglected' and are better treated that way" (citation omitted)], quoting Matter of Paul H., 47 AD2d 853, 854 [2d Dept 1975].) Similarly, the court finds that under the circumstances presented, the purpose underlying the Family Court Act, which can generally be described as seeking to achieve a disposition which serves the best interests of the subject child, would not be served by the pursuit of a PINS proceeding and the potential "stigma" that might attach to John as a result, especially where, as here, John's behaviors appear attributable to his home environment. (R.L. v A.J., 50 Misc 3d at 1089.) Accordingly, pursuant to Family Ct Act § 716, the court will substitute a neglect petition for the pending PINS petition.

Exactly what substitution within the meaning of the statute entails, and procedurally how the case advances from here, is not specified in the statute and has not been clarified by the courts. (See generally Merril Sobie & Gary Solomon, New York Family Court Practice § 11:14 [2d ed 10 West's NY Prac Series 2020] [describing the procedural options available to the court in considering an application of Family Ct Act § 716]; see also Matter of Tad M., 123 Misc 2d 1071, 1072-1073 [Fam Ct, 891*891 Richmond County 1984] [discussing what the term "substitution" under Family Ct Act § 716 means and the lack of specific guidance on this subject].) The court cannot simply change the caption of the petition and name Mary S. as the respondent. If only that action was taken, the petition would not allege a prima facie case for neglect against Ms. S. Furthermore, the court could not simply make a neglect finding against her without a valid Family Ct Act article 10 petition being filed against her. Without a valid petition, such a finding would violate her due process rights. (Merril Sobie, Practice Commentaries, McKinney's Cons Laws of NY, Book 29A, Family Ct Act § 716 at 33 [2010 ed] [noting that simply substituting a neglect finding for a PINS finding, as was done in Matter of Leif Z. (105 Misc 2d 973 [Fam Ct, Richmond County 1980]), "raises serious and probably insurmountable due process issues, such as the right to notice and the right to be represented by counsel"].) The court could order the local Department of Social Services to conduct an investigation pursuant to Family Ct Act § 1034; however, such an order would not necessarily lead to the filing of a neglect petition. Furthermore, such report is unlikely to contain any information beyond the information contained in the predispositional investigation report and it appears, from the indicated reports, that the Department of Social Services is already aware of the evidence of neglect.

In order to give meaning to Family Ct Act § 716, and to protect Ms. S.'s due process rights, the court concludes that the term "substitute" in the context of Family Ct Act § 716 requires the filing of a new valid article 10 petition. While the court has the authority to authorize anyone to file an article 10 petition pursuant to Family Ct Act § 1032, the court finds that it would serve both the interest of justice and the administration of justice to require the Clinton County Department of Social Services to file such a petition. (See Matter of Gage II. [Rachel JJ.], 156 AD3d 1208, 1210 [3d Dept 2017]; Matter of Johnson v Johnson, 279 AD2d 814, 817 [3d Dept 2001] [holding that under appropriate circumstances, court may direct the filing of a Family Ct Act article 10 petition].) The department is experienced in this area of law and provided the Probation Department with a great deal of the information referenced above.

Accordingly, it is hereby ordered, pursuant to Family Ct Act § 716, that a Family Court Act article 10 petition be substituted for the pending petition in this action; and it is further ordered that the Clinton County Department of Social Services file an 892*892 article 10 petition that alleges a prima facie case against Mary S. on or before October 5, 2020; and it is further ordered that upon the filing of the article 10 petition, the instant petition shall be deemed dismissed."

Wednesday, May 25, 2022

MASSACHUSETTS LAW - CRA AND THE TRUANT CHILD - SCHOOL DOES NOT NEED COUNSEL


LEXINGTON PUBLIC SCHOOLS v. KS, Mass: Supreme Judicial Court 2021:

"NOTICE: All slip opinions and orders are subject to formal revision and are superseded by the advance sheets and bound volumes of the Official Reports. If you find a typographical error or other formal error, please notify the Reporter of Decisions, Supreme Judicial Court, John Adams Courthouse, 1 Pemberton Square, Suite 2500, Boston, MA, XXXXX-XXXX; (617) 557-1030; SJCReporter@sjc.state.ma.us

GEORGES, J.

In this case we are asked to decide whether an employee of a school district who is not an attorney, here an assistant school principal, may on behalf of a school district file and advocate for a petition under G. L. c. 119, § 39E, asserting that a child requires assistance, where the child has been "habitually truant" from school, see G. L. c. 119, § 21, and other efforts to encourage the child's attendance have been unsuccessful. We conclude that the assistant principal, who was also the supervisor of attendance, see G. L. c. 76, § 19, of a middle school in the Lexington public schools did not engage in the unauthorized practice of law in filing and pursuing such a petition. Accordingly, we affirm the Juvenile Court judge's order denying the child's motion to dismiss the petition on the ground that the assistant principal had engaged in the unauthorized practice of law.

1. Background.

In April of 2021, an assistant principal and attendance supervisor of a middle school in the Lexington public schools filed a petition under G. L. c. 119, § 39E, the child requiring assistance (CRA) statute, in the Juvenile Court, asserting that the twelve year old child needed assistance because he had "excessive absences" and willfully had failed to attend school for forty-eight days that school year. The petition asserted that in addition to his absences from school, the child had not attended two meetings the school undertook with his parents by audio-visual conference, and the child and his family had not participated in a truancy prevention program.

At a preliminary hearing later that month,[1] a Juvenile Court judge accepted the petition pursuant to G. L. c. 119, § 39E, and concluded that a fact-finding hearing was necessary. The child subsequently moved to dismiss the petition on the ground that, by pursuing the petition on behalf of the school district, the assistant principal, a nonattorney, was engaging in the unauthorized practice of law.

A remote hearing on the child's motion to dismiss was conducted in May of 2021, prior to the previously scheduled fact-finding hearing. See G. L. c. 119, § 39E. The assistant principal, the probation officer who had conducted the initial, statutorily mandated inquiry, a social worker with the Department of Children and Families (DCF) who had been involved with the family, the child and his attorney, and the child's mother and father were present electronically.

During the hearing, counsel for the child presented the child's position that "a liquid entity such as a school district . . . is required to be represented by an attorney." The judge then asked the assistant principal whether she "wish[ed] to speak [with] respect to that." The assistant principal responded:

"General Laws [c. 119, § 39G,] actually does allow me, as a petitioner, to file, and throughout . . . the statute it particularly refers to the school district representative. It does not say attorney or counsel. Almost implying that the legislature when they created the law knew that requiring an attorney for every CRA would almost deter us from filing them and helping children."

Observing that "historically . . . school officials have been authorized to file and that's been the way these petitions have been handled,"[2] the judge denied the motion to dismiss.

At the ensuing fact-finding hearing, which followed immediately upon the judge's ruling, the assistant principal testified as the sole witness for the school, and also represented the school district. By that point, the child had eighty-three absences from school, seventy-four of which were unexcused, and approximately six weeks of which were because his father had not enrolled him in school until mid-October. The assistant principal testified that the father had "worked very hard" to get the child enrolled in school, over obstacles; the father then had worked with the school to develop a plan to ensure the child's attendance; and "it went well for a little while and then it started to go down hill, again." The school then met with the mother, the child, the social worker, and the school counselor, forming another plan that worked briefly and then "went south." School social workers and school counselors also had "reached out multiple times trying . . . multiple different plans," including having a social worker go with the child to school, "even to just get [the child] in for a portion of the day," but none had succeeded. Early in the school year, the child was to have attended school in a hybrid fashion, partly in person and partly through remote learning, due to the COVID-19 pandemic. When the school returned to full-time, in-person classes on April 28, 2021, the child did not return to class.

Eventually, after the child was tested and found not to have any learning disabilities that might require an individual education plan, the school psychologist conducted a "school refusal assessment" to identify the reasons for the child's excessive absences. The assessment revealed that the child experienced school as stressful in part because of all the schooling he had missed. In addition, when the child was not in class, "he [was] allowed to play video games, ride his bike and do things that he really enjoy[ed] doing."

DCF had been involved with the family beginning in approximately November of 2020, apparently due to the child's absences from school. According to DCF, the fraught relationship between the child's parents, and their lack of communication, contributed heavily to the child's negative emotions toward attending school. The family's DCF worker had reported that the child required therapy and was experiencing emotional issues; therapy had begun but had been discontinued. DCF had sent a family intervention specialist to the child's home multiple times a week, "without any result."

The child did not offer any documentary evidence or present any witnesses. At the close of the evidence, the judge determined that the allegations in the CRA petition had been proved "beyond a reasonable doubt." Specifically, he found that the child was between the ages of seven and seventeen, the child had missed more than eight days of school in the current quarter, and the child's refusal to attend school was willful. The judge therefore ruled that the child required assistance.

At the time of the hearings, the child's parents were separated. They shared legal custody of the child and his younger sibling, but the child's father had physical custody, and the child resided with his father in Fitchburg; his mother lived in Lexington. The child continued to be enrolled in the Lexington public schools through the provisions of the McKinney-Vento Homeless Education Assistance Act, because "he [was] considered homeless under those provisions and his last residence was in Lexington."[3] The probation officer characterized the parents' relationship as "fractured" and having "a lasting impact on [the child] and the behaviors."

At various times in the past, the child's father had refused to communicate with the child's mother, putting the child and his younger sibling in the middle of their parents' relationship and causing emotional issues for both children. As stated, a DCF worker cited the fraught relationship between the child's parents, and their lack of communication, as being specifically detrimental to the child, as well as to his younger sibling, and as contributing heavily to the child's aversion to attending school.

The parents' vitriolic relationship, and their hostility towards each other, is abundantly evident in their statements to the judge, often about each other. At one point during the fact-finding hearing, the judge asked the child to leave the room so that he could address the adults, and then he told the parents, repeatedly and in no uncertain terms, that, based on his observations of their interactions during the two hearings, their continual "sniping" with each other and inability to speak civilly to one another, or to communicate at all, was "absolutely destructive to [their children's] emotional well being and their ability to grow up and mature."

According to DCF records, the child's father reported that the child would not "listen to him" and would not go to school. DCF records also indicated that the child was reported to "sneak[ ] out of the house when dad turns his back" and "refuse[ ] to comply with his [father's] rules." Although she was not called as a witness, the child's mother told the judge that the child attended school and did his homework when he was staying with her, which he had done apparently for approximately one month. The mother also said that, during the time that he was with her, the child had begun to refuse to attend school, at which point she said that she would "push[ ] forward [the] CRA just so he knows that this is a serious thing." The mother maintained that the child was "absolutely 110 percent responsible for himself," and urged that the child be placed in DCF custody, in the apparent belief that, thereafter, DCF immediately would return the child to her custody. It appeared to have been difficult for both parents to monitor the child's school attendance, particularly when the child was attending school remotely. Even when the child did attend classes, he did not engage in class discussions or produce any written assignments.

The probation officer who had conducted the initial inquiry recommended that the child be placed in DCF custody. Once this recommendation was made, the judge informed the child's parents that they had the right to counsel at any hearing at which custody may be at issue, and he inquired whether they wished to be appointed counsel; they both responded affirmatively. The mother again asserted that she supported placing the child in DCF custody. The child's attorney objected to placement in DCF custody before the final hearing on disposition, and the child agreed that he would attend school prior to the hearing on disposition, without the need for DCF intervention.

The judge scheduled a hearing on disposition for the following week. The judge then admonished the child, "I'm very close to placing you in the custody of DCF. I'm going to give you the week to show us that you're good to your word." The child sought relief from the denial of his motion to dismiss from a single justice of the Appeals Court, pursuant to G. L. c. 119, § 39I, and G. L. c. 231, § 118. The single justice allowed the appeal to proceed before a panel of the Appeals Court, and we allowed the child's petition for direct appellate review.

2. Statutory provisions governing CRA proceedings.

The Legislature has enacted a comprehensive scheme mandating the attendance of children at school and requiring school districts to enforce their attendance and to investigate every case where a child living in the district is not enrolled in or attending school. School districts or attendance supervisors also are required to make detailed reports on each child in the city or town's registration and attendance.

The school attendance provisions in G. L. cc. 72, 76, and 119[4] mandate that the school committee of each municipality is responsible for enforcing the attendance at school of "all children" who reside in that municipality, G. L. c. 76, § 1;[5] define the roles and responsibilities of the supervisor of attendance, G. L. c. 76, § 19; authorize the supervisor of attendance to file CRA petitions where children are not complying with attendance requirements; and, if the court so orders, authorize that supervisor of attendance to have "oversight" over such children, G. L. c. 76, § 20.

To facilitate its duty to enforce school attendance, each school committee "shall appoint . . . one or more supervisors of attendance." See G. L. c. 76, § 19. "Supervisors of attendance, under the direction of the committee and superintendent of schools, shall have charge of the records required by [G. L. c. 72, § 2], shall be responsible for their completeness and accuracy, and shall receive the co-operation of principals, teachers and supervisory officers in the discharge of their duties hereunder." G. L. c. 72, § 2. Among other required reports, supervisors of attendance, under the direction of the school committee, must maintain a record of all school-age children residing in the town and must "examine carefully into all cases where children of school age are not enrolled in, and attending school, as required by [G. L. c. 76, § 1]." G. L. c. 72, § 2.

The school committee of each town is charged with enforcing the legislative mandate that children attend school "during the number of days required by the board of education in each school year." G. L. c. 76, § 1. Supervisors of attendance "shall inquire into all cases" where a child is habitually absent from school and "may apply for petitions under the provisions of [G. L. c. 119, § 39E]." G. L. c. 76, § 20. Pursuant to G. L. c. 119, § 39E,

"A school district may initiate an application for assistance in [the Juvenile Court] stating that said child is not excused from attendance in accordance with the lawful and reasonable regulations of such child's school, has willfully failed to attend school for more than [eight] school days in a quarter or repeatedly fails to obey the lawful and reasonable regulations of the child's school. The application for assistance shall also state whether or not the child and the child's family have participated in the truancy prevention program, if one is available, and a statement of the specific steps taken under the truancy prevention program to prevent the child's truancy; and if the application for assistance states that a child has repeatedly failed to obey the lawful and reasonable regulations of the school, a statement of the specific steps taken by the school to improve the child's conduct."

Moreover, G. L. c. 76, § 20, provides that, "if the court so orders," supervisors of attendance shall

"have oversight of children placed on probation . . . and of children admitted to or attending shows or entertainments in violation of [G. L. c. 140, § 197]. They may apprehend and take to school without a warrant any truant or absentee found wandering in the streets or public places."

When a CRA petition is presented for filing, the statute encourages attempting to resolve the matter without proceeding with the filing, and requires the clerk to "inform" the petitioner that "the petitioner may delay filing the request and choose to have the child and the child's family referred to a family resource center, community-based services program or other entity designated by the secretary of health and human services to provide community-based services . . . and return to court at a later time to file an application for assistance, if needed." G. L. c. 119, § 39E. The statute also mandates that the clerk "prepare, publish and disseminate to each petitioner educational material relative to available family resource centers, community-based services programs and other entities designated by the secretary of health and human services." Id.

Upon the filing of an application under G. L. c. 119, § 39E, the clerk "shall request the chief probation officer or a designee to conduct an immediate inquiry to determine whether in the officer's opinion the best interest of the child require that assistance be given." A preliminary hearing must be held "as soon as possible," and no later than fifteen days after the filing "to determine whether assistance is needed." Id. At the preliminary hearing, a Juvenile Court judge "shall receive the recommendation of the probation officer" who conducted the inquiry. Id. The judge then may

"(i) decline to accept the application for assistance because there is no probable cause to believe that the child and family are in need of assistance; (ii) decline to accept the application for assistance because it finds that the interests of the child would best be served by informal assistance, in which case the court shall, with the consent of the child and the child's parents or guardian, refer the child to a probation officer for assistance; or (iii) accept the application for assistance and schedule a fact-finding hearing."

Id.

If, after a fact-finding hearing, a judge determines that the statements in the petition have been proved beyond a reasonable doubt, the judge may deem the child to be in need of assistance. G. L. c. 119, § 39G. The judge then must convene a conference to receive recommendations "as to the best disposition" of the matter from the probation officer who conducted the initial inquiry, the child and the child's attorney, a representative from DCF if DCF is involved with the family, a representative of any community-based services program that is involved with the family, a representative from the child's school, the petitioner, the child's parent or legal guardian, and "any other person who may be helpful in determining the most effective assistance available to be offered to the child and family." Id. See G. L. c. 119, § 39F. The judge may decide to allow the child to remain with his or her parents or legal guardian, place the child in the care of another adult or private organization qualified to care for the child, or place the child in the custody of DCF. G. L. c. 119, § 39G.

The child has the right to counsel at all hearings, must be present at the fact-finding hearing and the subsequent conference on disposition, and has the right to be heard. G. L. c. 119, §§ 39F, 39G. The parents or legal guardians of the child have the right to notice and to be heard and the right to counsel if custody of the child is at issue. Id. A judge may allow a motion to dismiss upon a filing by one of the parties or the probation officer if the judge determines that dismissal would be in the best interests of the child, or by agreement of the parties. G. L. c. 119, § 39G.

3. Discussion.

The child argues that the CRA adjudication should be vacated and the matter remanded to the Juvenile Court with instructions to dismiss because the school district was represented by a nonlawyer, the assistant principal, who engaged in the unauthorized practice of law. The crux of the child's argument is that a school district is a corporation under G. L. c. 71, § 16, and therefore is required, under G. L. c. 221, § 46, and the common law, to be represented in court by an attorney. Both statutory interpretation and determinations under common law are legal questions that the court reviews de novo. See Concord v. Water Dep't of Littleton, 487 Mass. 56, 60 (2021).

The child maintains that, regardless of whether the CRA statute permits a school district to be represented in court by a supervisor of attendance who is not an attorney, "[t]he assistant principal does not have the legal authority to . . . prosecute an action on behalf of the Lexington School Department." Although the child acknowledges that G. L. c. 119, § 39E, on its face permits a "school district" to "initiate" a CRA petition, in his view either G. L. c. 221, § 46, or the common law, preclude a supervisor of attendance from pursing a CRA petition in court, because to do so would constitute the unauthorized practice of law.

a. Unauthorized practice of law.

As the child argues, the consequences of nonlawyers engaging in the practice of law are well known and have been discussed in detail in our prior decisions. "Long experience has demonstrated that such activities [i.e., those that constitute `practicing law'] cannot be carried on with fairness to the persons whose rights are involved . . . except by those who have specially fitted themselves for the task by long study and preparation, who are subject to professional discipline. . . ." Matter of the Shoe Mfrs. Protective Ass'n, 295 Mass. 369, 372 (1936) (Matter of Shoe). The ultimate purpose of the prohibition against nonlawyers practicing law is to protect the public welfare, so that people are not "advised and represented in legal matters by incompetent and unreliable persons, over whom the judicial department could exercise little control." See Lowell Bar Ass'n v. Loeb, 315 Mass. 176, 180 (1943) (Loeb).

"The judicial department is necessarily the sole arbiter of what constitutes the practice of law." Id. We have long recognized that "[i]t is not easy to define the practice of law," as members of other professions engage in many of the same, or similar, activities as lawyers. Id. See Real Estate Bar Ass'n for Mass. v. National Real Estate Info. Servs., 459 Mass. 512, 518 (2011). For instance, "accountants routinely provide advice to their clients that requires knowledge and understanding of the law and that also has legal ramifications." Real Estate Bar Ass'n for Mass., supra at 518 n.9. Similarly, "[p]olice prosecutors, who normally are not members of the bar, customarily prosecute offenses . . . in the District and Municipal Courts of the Commonwealth." Furtado v. Furtado, 380 Mass. 137, 148 (1980). Thus, "[w]hether a particular activity constitutes the practice of law `must be decided upon its own particular facts' because `it is impossible to frame any comprehensive and satisfactory definition' of the term." Real Estate Bar Ass'n for Mass., supra at 517, quoting Matter of Shoe, 295 Mass. at 372.

While "[c]ourts are the ultimate arbiters of who may practice law before them, . . . we give substantial deference to the views of the Legislature on such a subject." Furtado, 380 Mass. at 147-148. Here, the Legislature has determined that a school district "may initiate an application for assistance in [the Juvenile Court] stating that [a] child is not excused from attendance in accordance with the lawful and reasonable regulations of such child's school, [and] has willfully failed to attend school for more than [eight] school days in a quarter." G. L. c. 119, § 39E. Similarly, a school supervisor "may apply for [CRA] petitions under the provisions of [G. L. c. 119, § 39E]." G. L. c. 76, § 20.

The child does not address the specific statutory provisions under G. L. c. 76, § 20, and G. L. c. 119, § 39E, giving school supervisors authority to file CRA petitions, nor does he acknowledge that the Legislature may abrogate the common law. "[A] statutory repeal of the common law will not be lightly inferred," see Passatempo v. McMenimen, 461 Mass. 279, 290 (2012), "[b]ut a common-law rule may be replaced or amended by the Legislature even where `there is no indication of legislative intent to preempt the common law' if the enacted statute preempts the common law by `necessary implication'" (citation omitted), Chelsea Hous. Auth. v. McLaughlin, 482 Mass. 579, 591 (2019).

Because the Legislature has expressly authorized both a school district, G. L. c. 119, § 39E, and a supervisor of attendance, G. L. c. 76, § 20, to apply for CRA petitions, we turn to consideration of the statutory provisions governing CRA proceedings to determine whether they purport to allow a supervisor of attendance to engage in the unauthorized practice of law by doing so.

b. Statutory authority to pursue a CRA petition.

"A fundamental principle of statutory interpretation `is that a statute must be interpreted according to the intent of the Legislature ascertained from all its words construed by the ordinary and approved use of the language, considered in connection with the cause of its enactment . . . and the main object to be accomplished. . . ." Harvard Crimson, Inc. v. President & Fellows of Harvard College, 445 Mass. 745, 749 (2006), quoting Hanlon v. Rollins, 286 Mass. 444, 447 (1934). Where the language of a statute is "clear and unambiguous," the plain meaning of the language must be given effect, as the key insight into legislative intent. See Cohen v. Commissioner of the Div. of Med. Assistance, 423 Mass. 399, 409 (1996), cert. denied sub nom. Kokoska v. Bullen, 519 U.S. 1057 (1997). See also Furtado, 380 Mass. at 147-148. The plain meaning of words is to be derived from "their use in other legal contexts and dictionary definitions." Commonwealth v. Zone Book, Inc., 372 Mass. 366, 369 (1977). "Only if the legislative history compelled a different conclusion might we depart from the plain meaning of the statute." Cohen, supra. If the statutory language is ambiguous, however, then a court turns to external sources, particularly the legislative history, to derive legislative intent. See Telesetsky v. Wight, 395 Mass. 868, 872 (1985).

We begin with the observation that the CRA statute, G. L. c. 119, § 39E, provides an avenue for a school district to address the root causes of a child's excessive absences from school. The initiation of CRA proceedings in the Juvenile Court facilitates a family's access to community resources and services, and ultimately may allow the Juvenile Court to "intervene in the custody arrangements" of the child. See Millis Pub. Sch. v. M.P., 478 Mass. 767, 781 (2018) (Millis); G. L. c. 119, § 39E. The Legislature's decision to allow a school district to pursue a CRA petition without counsel was made in furtherance of the Commonwealth's strong interest in ensuring the education of children through their consistent attendance at school. See Care & Protection of Charles, 399 Mass. 324, 334 (1987) (discussing "the substantial State interest in the education of its citizenry"); Attorney Gen. v. Bailey, 386 Mass. 367, 377, 380-381, cert. denied, 459 U.S. 970 (1982) (State's interest in compulsory education is "compelling"). The language of G. L. c. 119, § 39E, and G. L. c. 76, § 20, is clear and unambiguous as to the authority of the school district and the supervisor of attendance to apply for CRA petitions, and consistent with this purpose.

Nothing in the statutory language, however, suggests that pursuing a CRA petition in the Juvenile Court requires the practice of law. To the contrary, the Legislature plainly intended that individuals other than attorneys may apply for such petitions, and that the court should provide materials to help them during their appearance in court. In addition to a school district or attendance supervisor, the Legislature authorized a parent, custodian, or legal guardian to file a CRA petition. See G. L. c. 119, § 39E; G. L. c. 76, § 20. "If the petitioner is a parent, legal guardian or custodian the clerk shall provide to the petitioner informational materials, prepared by the court that explain the court process and shall include the types of orders that the court may issue and the possibility of changes in the custody of the child and may include an explanation of the services available through the court process, including language translation services and the manner in which those services are delivered." G. L. c. 119, § 39E. For all petitioners, when a petition is presented, the clerk is obligated, before accepting it for filing, to notify the petitioner "that the petitioner may delay filing the request and choose to have the child and the child's family referred to a family resource center, community-based services program or other entity designated by the secretary of health and human services . . . and return to court at a later time to file an application for assistance, if needed." Id. In addition, for all petitioners, the clerk is to "prepare, publish and disseminate to each petitioner educational material relative to available family resource centers, community-based services programs and other entities designated by the secretary of health and human services. Id.

CRA proceedings are intended to be relatively informal. In 2012, the Legislature replaced the children in need of services (CHINS) statute, which it had adopted in 1973, with the CRA statute, with the goal of making such proceedings "less adversarial." See Millis, 478 Mass. at 778-779; An Act regarding families and children engaged in services, St. 2012, c. 240. Among other modifications, the Legislature removed the requirement of a jury trial and replaced it with a fact-finding hearing by a judge, if the judge determines that such a hearing is in the best interests of the child. See Millis, supra at 779 n.13, citing R.L. Ireland & P. Kilcoyne, Juvenile Law § 4.1 (Supp. 2017); G. L. c. 119, § 39E. The determinations the judge must make at such hearings are heavily fact-intensive: whether the child is between six and eighteen years of age (exclusive), whether the child has had more than eight unexcused absences in a quarter, and, if so, whether those absences were willful. G. L. c. 119, § 39E.

The Juvenile Court has adopted and promulgated a short and simple form to be used by a school district in initiating a CRA petition, titled "School District Application for Child Requiring Assistance"; the school superintendent here used such a form to submit her petition. See Juvenile Court Standing Order 3-21, "Child Requiring Assistance Proceedings" ("This new standing order sets forth a standard statewide process in the Juvenile Court for child requiring assistance [CRA] proceedings that is in keeping with the mission of the Juvenile Court to assist children and strengthen families"). The fact-finding hearing on an accepted petition is described in the standing order as "flexible" in nature, and the order states that, due to this flexibility, hearsay evidence should be admitted. See id. Consequently, a school official representing a school district in CRA proceedings need not possess a "thorough familiarity with procedural and substantive rules of law." See Varney Enters., Inc. v. WMF, Inc., 402 Mass. 79, 81 (1988).

Moreover, while the child must be represented by an attorney at all CRA proceedings, and the parent or legal guardian is entitled to an attorney if the question of custody arises, a school district may "initiate" a CRA application and "may be represented by counsel" (emphasis added), but, as a petitioner, a school district "shall" be present at the proceedings (emphasis added). See G. L. c. 119, § 39E, 39G; Juvenile Court Standing Order 3-21. Neither the statutory provisions nor the Juvenile Court order states that a school district "must" be represented by counsel at such proceedings. The judge's comment at the fact-finding hearing that "historically . . . school officials have been authorized to file and that's been the way these petitions have been handled" is consistent with these provisions.

This practice furthers the legislative purpose to ensure that children attend school for the mandatory number of days each year. Interpreting the filing of a CRA petition otherwise, as the practice of law, would require school districts instead to retain attorneys to represent them at CRA proceedings, and would disrupt this established practice in a manner that likely would be detrimental to children. "[C]ustom and practice may play a role in determining whether a particular activity is considered the practice or law." Real Estate Bar Ass'n for Mass., 459 Mass. at 518.

We have, in other circumstances, approved the prosecution of complaints by individuals who are not members of the bar, particularly where the individual acts "pursuant to his statutory duties." See Furtado, 380 Mass. at 147. In Furtado, for example, we held that a probation officer permissibly could appear in the Probate and Family Court to pursue a contempt proceeding for nonpayment of child support without engaging in the unauthorized practice of law. We noted that a probation officer is statutorily mandated to "bring into court when necessary . . . all persons who are delinquent in making payments ordered or decreed by the court" and possesses full power to "do each and every[ thing] necessary, including initiating contempt proceedings, to collect any and all delinquent payments." Id., quoting G. L. c. 276, §§ 85A, 85B. Because "[t]he State's interest in compliance with support orders is substantial," and probation officers are charged with ensuring that support payments are made, we concluded that it would not be improper for a probation officer to prosecute a contempt complaint. Furtado, supra at 147-148. Similar reasoning supports a conclusion that the assistant principal did not engage in the unauthorized practice of law by filing the CRA petition and pursuing it in the Juvenile Court.

In filing a CRA petition, a supervisor of attendance is undertaking the enforcement actions that are statutorily mandated for the position. A supervisor of attendance is obligated to monitor the enrollment of children in school and their daily school attendance, see G. L. c. 72, § 2 ("Supervisors of attendance . . . shall have charge of the records [of school registration]" and "shall be responsible for their completeness and accuracy"); G. L. c. 76, § 20 (supervisor of attendance "shall inquire into all cases arising under" statutory sections pertaining to school registration and daily attendance). Thus, the Legislature reasonably expected that a supervisor of attendance often would be the one to pursue a CRA petition.[6]

We have recognized the difficulty in providing a precise definition of the practice of law, because members of other professions engage in many of the same, or similar, activities as lawyers, such as making "legally binding obligations and commitments." Real Estate Bar Ass'n for Mass., 459 Mass. at 518. A determination whether an individual's actions constitute "practicing law" is a fact-specific inquiry. Matter of Shoe, 295 Mass. at 372. An action "generally [must] fall `wholly within' the practice of law" in order for nonlawyers to be prohibited from engaging in it (citation omitted). See Real Estate Bar Ass'n for Mass., supra.

For instance, "[f]illing out standard government forms for others is not necessarily the practice of law." Id. at 525, citing Loeb, 315 Mass. at 185. See LAS Collection Mgt. v. Pagan, 447 Mass. 847, 850 (2006) ("there are circumstances where the mere preparing of forms is not the practice of law"). Here, as the school district asserts, all that the assistant principal did to apply for the CRA petition was "complet[e] a simple form provided by the Trial Court's Juvenile Court Department." See Furtado, 380 Mass. at 147 (filing complaint is not unauthorized practice of law where it is done "pursuant to . . . statutory duties"). See also Real Estate Bar Ass'n for Mass., 459 Mass. at 525, and LAS Collection Mgt., supra (simple act of filing form is not necessarily unauthorized practice of law).

Although her claim was filed on a form explicitly created for that purpose, in filing the CRA petition, the outcome of which affects the rights of the child and his parents, and in representing the school district at the hearing, the assistant principal indeed did "direct[ ] and manag[e] the enforcement of legal claims" and "draft[ ] documents by which such [legal] rights are created, modified, surrendered or secured." See Matter of Shoe, 295 Mass. at 372. "[I]n general the practice of directing and managing the enforcement of legal claims and the establishment of the legal rights of others, where it is necessary to form and act upon opinions as to what those rights are and as to the legal methods which must be adopted to enforce them, . . . and the practice . . . of drafting documents by which such rights are created, modified, surrendered or secured are all aspects of the practice of law." Id. At the same time, the assistant principal's conduct at the fact-finding hearing involved only presenting information about the child's attendance and the efforts that the school had undertaken to ameliorate his ongoing absence from school, and responding to questions from the judge and the child's attorney. As the school district maintains, these actions do not constitute "the type of legal representation and/or prosecution activity reserved for members of the bar." See LAS Collection Mgt., 447 Mass. at 849-851; Loeb, 315 Mass. at 183. Because the assistant principal's actions did not fall "`wholly within' the practice of law," Real Estate Bar Ass'n for Mass., 459 Mass. at 518, her conduct cannot be described as the unauthorized practice of law.

Fundamentally, a CRA proceeding is not a legal proceeding where the parties necessarily are on opposing sides of a legal outcome. All sides are to be guided by what services are available to best meet the needs of the child, to allow a child to obtain an education, G. L. c. 119, § 39E, and thereby be positioned to become a contributing member of society. Indeed, the Legislature clearly contemplated that such petitions often will be filed by parents or legal guardians themselves, seeking assistance for their child. Recommendations submitted by social workers, mental health professionals, parents, and teachers pursuant to G. L. c. 119, § 39E, which a judge may consider in reaching a disposition, are decidedly not suggestions of legal strategies to follow in order to prevail in a complaint. The provisions of G. L. c. 119, § 39E, permit those who know the child best to offer their guidance as to how best to help the child attend school. They are suggestions that the judge may accept and consider in his or her discretion. Nothing in this type of proceeding indicates that a petitioner filing and pursing a CRA petition is practicing law.

The child argues that a nonlawyer would be less likely to "understand and present to the court the custody status of the child," and therefore less able to comply with the requirement of G. L. c. 119, § 39E, that a description of the child's custody status be provided. The statute also requires, however, that a probation officer be assigned as soon as a petition is filed, to conduct an inquiry and provide a recommendation to the court. See G. L. c. 119, § 39E. In addition, the statute mandates that DCF, if it is involved with the child, be present at the hearing to determine whether the child is in need of services, as well as at the hearing on disposition, and DCF, the school, and the probation officer all have a right to present recommendations as to disposition. See id. Thus, the judge would have access to reports and recommendations from all of the experts who have been involved with the child, and also could call on "any other person" whose information might "be helpful in determining the most effective assistance available to be offered to the child and family." See G. L. c. 119, § 39G. Otherwise put, any risks attendant to nonlawyers filing and pursing a CRA petition are mitigated by express statutory provisions. Moreover, the statute also requires that a petitioner file with a petition all of the steps that the school took to ameliorate the situation and have the child present in school. G. L. c. 119, § 39E. A school official from the child's school likely would be in the best position to have that knowledge and to be able to provide it cogently to the judge, whereas parents filing such petitions might experience emotional burdens that could detract from an accurate and objective presentation of the relevant facts.

Although the child goes to great lengths to point out the "complexity" of the legal and factual issues that arise at such proceedings, CRA proceedings are specifically designed not to be adversarial. See Millis, 478 Mass. at 778-779; St. 2012, c. 240. As this court emphasized in Millis, supra at 784, "a finding of wilfulness is a fact-based inquiry that will depend on the circumstances of each case. . . . Each child's purpose or reasons for missing school should be examined individually in order to determine whether the absences are wilful beyond a reasonable doubt." A CRA proceeding on truancy is relatively straightforward and requires little by way of legal argument; the sole determination to be made, by the judge, is whether the child is in need of assistance as the statute defines it and, if so, what disposition, including remaining with the parents, would be in the child's best interests. See G. L. c. 119, § 39E. A determination of the child's best interests is made without reference to any other case or any specific guidelines. The individuals who may be present at the hearing, and who may recommend the appropriate disposition, are clearly nonlawyers. In addition to the child and the parents, legal guardian, or custodian, they include a DCF social worker or representative, the school district, and the probation officer who conducted the mandatory initial inquiry. Moreover, as stated, "any other person" may be asked to make a recommendation, or, as happened at this hearing, the parents may request that another individual be present and make a recommendation as to disposition. See G. L. c. 119, §§ 39F, 39G.

The child also argues that having an attorney at a CRA fact-finding proceeding would help to ensure that "the court has better evidence because lawyers know how to operate within the rules of court, producing more reliable evidence," and that "[h]aving legal counsel could also promote settlement of cases outside of court." With respect to the efforts that have been attempted to bring the child into school, and the reasons that those have not been successful, the school representatives who engaged in the efforts will be familiar with the efforts undertaken by the school district and will be able to present them straightforwardly as facts on the ground, rather than as an advocate. Additionally, the statute contains multiple provisions encouraging not filing a CRA petition at all, and requirements that the court clerk advise the parties of alternatives and the possibility of a delay in filing; nothing in this shows that having an attorney would be more likely to allow the parties to reach a "settlement" outside of court. In any event, the child's arguments are policy suggestions that the Legislature could have, but did not, choose to implement.

The child also argues that the petitioner's representation by an attorney "would help to ensure" that the constitutional requirements of notice, such as to the parents, are met. Under the plain terms of G. L. c. 119, § 39E, however, parents and guardians, as well as the child, are entitled to notice at each stage of the proceeding, notice that presumably is sent by the clerk upon the filing of the petition and the scheduling of hearings, just as the clerk must ask the chief probation officer or designee to conduct the relevant investigation. See id.

The conclusion that filing a CRA petition and pursuing it in the Juvenile Court is not the practice of law comports with the legislative purpose in enacting the CRA provisions. The school district argues in its brief that "requiring a lawyer for every CRA Application may very well deter the filing of such applications and would allow parents and children to miss school without consequence." The assistant principal testified at the fact-finding hearing that a requirement that an attorney represent a school in a CRA proceeding could discourage school districts from filing such petitions due to the time and expense involved, as well as potential unwelcome publicity.

Public school districts, as the Legislature undoubtedly is aware, do not have unlimited funding, and retaining an attorney to prosecute every CRA petition would be prohibitively costly for many districts. For example, in 2019, school districts in Suffolk County alone filed 503 CRA petitions related to truancy. See Juvenile Court & Probation Service, Child Requiring Assistance Periodic and Annual Report, January 1, 2019 — December 31, 2019 (Jan. 28, 2021).[7] As the mother argues, an interpretation of G. L. c. 119, § 39E, that resulted in such deterrence ultimately would be inconsistent with the Commonwealth's "clear public policy that highlights the importance of a child's education and attendance at school, which is reflected in the compulsory attendance law." See Care & Protection of Charles, 399 Mass. at 335; Bailey, 386 Mass. at 377, 380-381. Because the Legislature has concluded that obtaining an education is in a child's best interests, and because the best interests of the child are a guiding factor in CRA proceedings, an interpretation requiring attorney representation of petitioning schools at such proceedings, and the consequent potential deterrent effect, could result in harm to the very students the Legislature sought to protect.

c. School district as corporation.

In addition to his implicit argument that G. L. c. 119, § 39E, improperly attempts to extend the practice of law by allowing school districts and supervisors of attendance to initiate and pursue CRA petitions, the child contends that, as a corporation, the school district was statutorily precluded from appearing in court without being represented by an attorney. See G. L. c. 221, § 46. The child also relies on the common-law rule that a corporation "must appear and be represented in court, if at all, by attorneys." See Varney Enters., Inc., 402 Mass. at 82.

Because we have concluded that a supervisor of attendance who files and pursues a CRA petition under G. L. c. 119, § 39E, does not engage in the unauthorized practice of law, we need not reach these arguments. Nonetheless, a few observations are in order.

A school district, under G. L. c. 70, § 2, is defined as, inter alia, "the school department of a city or town" or "a regional school district." Pursuant to G. L. c. 40, § 1, cities and towns are deemed "bodies corporate, and, except as otherwise expressly provided, shall have the powers, exercise the privileges and be subject to the duties and liabilities provided in the several acts establishing them and in the acts relating thereto." Moreover, as defined in G. L. c. 71, § 16, "[a] regional school district established under the provisions of the preceding section shall be a body politic and corporate with all the powers and duties conferred by law upon school committees."

Thus, while a school district indeed is a corporate body, it is first and foremost a municipal corporate body. Municipal bodies are governed by an entire chapter of law that is distinct from the statutory provisions governing corporations. See G. L. c. 39, "Municipal Government." There are sound reasons for different requirements to apply to "public or municipal corporations" and to "private or moneyed corporations." See O'Donnell v. North Attleborough, 212 Mass. 243, 245-246 (1912). The school district notes that "each of the cases [the child] cites deals with private, commercial enterprises and activities," entities that are subject to different statutory provisions from municipal corporations.[8]

General Laws c. 221, § 46, provides that "[n]o corporation or association shall practice or appear as an attorney for any person other than itself in any court in the commonwealth" (emphasis added). In filing the CRA petition, the school district performed its statutorily mandated duty to enforce school attendance, part of "its lawful business." See G. L. c. 221, § 46. Even if there were any doubt whether the provisions applicable to legal representation with respect to for-profit corporations also are applicable to municipal corporations, the more specific CRA statutes, G. L. c. 76, § 20, and G. L. c. 119, § 39E, would control over the more general corporate statute. See Pereira v. New England LNG Co., 364 Mass. 109, 118 (1973) ("If a general statute and a specific statute cannot be reconciled, the general statute must yield to the specific statute").

Most significantly, as O'Donnell, 212 Mass. at 245-246, makes clear, given the distinction between "private or moneyed corporations" and "public . . . municipal corporations," a statutory requirement that applies to the former is applicable to the latter only where such a requirement is "express[ly] enact[ed]" by the Legislature. See, e.g., Mrugala v. Boston, 330 Mass. 707, 708 (1953); New Bedford v. New Bedford, Woods Hole, Martha's Vineyard & Nantucket S.S. Auth., 329 Mass. 243, 250 (1952). Nothing in the language of G. L. c. 221, § 46, provides that it is applicable to municipal corporations, in addition to private, moneyed corporations.

Order denying motion to dismiss affirmed.

[1] General Laws c. 119, § 39E, requires that a preliminary hearing be conducted no more than fifteen days after the filing of the petition.

[2] See G. L. c. 76, § 20 (providing that supervisors of school attendance "may apply for petitions under the provisions of [G. L. c. 119, § 39E]"); Juvenile Court Standing Order 3-21(a) commentary ("supervisors of school attendance may file applications [on behalf of the school district] alleging that the child is truant").

[3] The McKinney-Vento Homeless Education Assistance Act was enacted to "ensure the enrollment, attendance and the opportunity to succeed in school for homeless children and youth." Department of Elementary and Secondary Education, https://www.doe.mass.edu/sfs/mv [https://perma.cc/25KK-MGFJ]. Homeless children who are covered under the McKinney-Vento provisions are allowed to stay in their "school of origin for the duration of homelessness and until the end of the academic year in which they obtain permanent housing, if it is in their best interest." SchoolHouse Connection, McKinney-Vento Act: Quick Reference, https://schoolhouseconnection.org/mckinney-vento-act/?gclid=EAIaIQobChMI1b_zmqPs8wIV4QmICR0l_AP2EAAYASAAEgK_WvD_BwE#_edn18 [https://perma.cc/K5PF-5JA6]. Both State educational agencies and local education agencies "must develop, review, and revise policies to remove barriers to the identification, enrollment, and retention of homeless students in school, including barriers due to fees, fines, and absences." Id.

[4] See G. L. c. 119, §§ 21, 39E-39I; G. L. c. 72, §§ 2, 2A, 3; G. L. c. 76, §§ 1, 19, 20.

[5] General Laws c. 76, § 1, requires "[t]he school committee of each town [to] provide for and enforce the school attendance of all children actually residing therein."

[6] Prior to the 2012 overhaul of the CHINS system, G. L. c. 119, § 39E, provided that "[a]ny supervisor of attendance" could initiate a CRA petition alleging habitual truancy or school disobedience. See St. 1973, c. 1073, § 5. The current version, by contrast, provides that "a school district" may initiate a CRA petition for such reasons. See G. L. c. 119, § 39E. Notably, the Legislature in 2012 made no changes to the language of G. L. c. 76, § 20, which was enacted in 1973 along with the original G. L. c. 119, § 39E. General Laws c. 76, § 20, continues to permit a supervisor of attendance to "apply for" CRA petitions. See St. 1973, c. 1073, § 1. Thus, the Legislature's use of the words "school district" in place of "supervisor of attendance" in the text of G. L. c. 119, § 39E, was not meant to revoke the power of supervisors of attendance to file and pursue CRA petitions. To the contrary, the language appears to authorize other school officials, in addition to the supervisor of attendance, to represent a school district at CRA proceedings.

It is reasonable for the Legislature to have authorized other school officials to represent a school district in CRA proceedings. There may be another individual at a school who has worked more closely with the child and is more familiar with the child's circumstances than the supervisor of attendance. It would make sense for this individual to participate in CRA proceedings instead of the supervisor of attendance, as this individual would likely have a better understanding of the child and family's needs.

[7] Available at https://www.mass.gov/doc/2019-child-requiring-assistance-court-report/download [https://perma.cc/N4AM-VFZ8].

[8] LAS Collection Mgt., 447 Mass. at 847, involved a property management company; Loeb, 315 Mass. at 177, involved tax preparation services for individuals; and Matter of Shoe, 295 Mass. at 370, involved a business in the collection and adjustment of commercial accounts for goods sold, mainly on behalf of wholesale merchants and manufacturers in the shoe business. Real Estate Bar Ass'n for Mass., 459 Mass. at 513-514, involved certain real estate settlement services to mortgage lenders. Rental Prop. Mgt. Servs. v. Hatcher, 479 Mass. 542, 543 (2018), involved a property manager who brought a summary process action in the Housing Court in the name of his sole proprietorship, which was not the owner or lessor of the property. Varney Enters., Inc., 402 Mass. at 80, involved a small claims action between two corporations."