Reilly v. Pansing Hogan Ernst & Bachman
CourtNebraska Court of Appeals
Date FiledMay 19, 2026
DocketA-25-216
StatusPublished
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Full Opinion
Nebraska Supreme Court Online Library
www.nebraska.gov/apps-courts-epub/
05/26/2026 01:07 AM CDT
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Nebraska Court of Appeals Advance Sheets
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REILLY v. PANSING HOGAN ERNST & BACHMAN
Cite as 34 Neb. App. 285
Christine K. Reilly, individually, and Christine K.
Reilly, derivatively on behalf of the George J.
Kubat Revocable Trust and the Estate of
George J. Kubat, appellants, v. Pansing
Hogan Ernst & Bachman LLP and
Thomas R. Pansing, appellees.
___ N.W.3d ___
Filed May 19, 2026. No. A-25-216.
1. Actions: Parties: Standing: Judgments: Jurisdiction: Appeal and
Error. Whether a party who commences an action has standing and is
therefore the real party in interest presents a jurisdictional issue. A juris-
dictional issue that does not involve a factual dispute presents a question
of law, which the appellate courts independently decide.
2. Trial: Evidence: Appeal and Error. A trial court has the discretion to
determine the relevancy and admissibility of evidence, and such deter-
minations will not be disturbed on appeal unless they constitute an abuse
of that discretion.
3. Negligence. Whether a legal duty exists for actionable negligence is a
question of law dependent on the facts in a particular case.
4. Summary Judgment: Appeal and Error. An appellate court reviews
the district court’s grant of summary judgment de novo, viewing the
record in the light most favorable to the nonmoving party and drawing
all reasonable inferences in that party’s favor.
5. ____: ____. An appellate court will affirm a lower court’s grant of sum-
mary judgment if the pleadings and admitted evidence show that there is
no genuine issue as to any material facts or as to the ultimate inferences
that may be drawn from those facts and that the moving party is entitled
to judgment as a matter of law.
6. Standing: Jurisdiction: Parties. Standing is a jurisdictional component
of a party’s case, because only a party who has standing may invoke the
jurisdiction of a court.
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7. ____: ____: ____. Standing refers to whether a party had, at the com-
mencement of the litigation, a personal stake in the outcome of the
litigation that would warrant a court’s exercise of its subject matter
jurisdiction and remedial powers on that party’s behalf.
8. Standing: Parties. To have standing, the plaintiff must have some
legal or equitable right, title, or interest in the subject matter of the
controversy.
9. Decedents’ Estates: Actions: Standing. Under the Nebraska Probate
Code, the right and duty to sue and recover assets for an estate reside
not in the devisees, but in the estate’s appointed personal representative,
or, if the personal representative cannot or should not act, the appointed
special administrator.
10. Decedents’ Estates. A person interested in the estate may petition for
removal of a personal representative for cause at any time.
11. Trusts: Actions. As a general rule, a trust is not a legal personality, and
the trustee is the proper person to sue or be sued on behalf of such trust.
12. ____: ____. Similar to a personal representative of an estate, it is the
trustee that has the right and duty to prosecute claims for the protection
of trust property.
13. ____: ____. Beneficiaries may have standing to bring actions involving
a trust or trust properties, although, generally, a trust beneficiary may
enforce a cause of action that the trustee has against a third party only if
the trustee cannot or will not do so.
14. Trial: Evidence: Appeal and Error. One may not, on appeal, assert a
different ground for excluding evidence than was urged in the objection
made to the trial court.
15. Attorney and Client. An attorney-client relationship is created when
a person seeks advice or assistance from an attorney, the advice or
assistance sought pertains to matters within the attorney’s professional
competence, and the attorney expressly or impliedly agrees to give or
actually gives the desired advice or assistance.
16. ____. A person’s erroneous belief that an attorney-client relationship has
been established does not make it so.
17. Attorney and Client: Parties. A lawyer owes a duty to his or her client
to use reasonable care and skill in the discharge of his or her duties, but
ordinarily this duty does not extend to third parties, absent facts estab-
lishing a duty to them.
Appeal from the District Court for Douglas County: Molly
B. Keane, Judge. Affirmed.
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REILLY v. PANSING HOGAN ERNST & BACHMAN
Cite as 34 Neb. App. 285
Robert S. Sherrets, Diana J. Vogt, and Guillermo M.
Martinez, of Sherrets Bruno & Vogt, L.L.C., for appellants.
Kathryn Van Balen and William Tannehill, of Baylor Evnen
Wolfe & Tannehill, L.L.P., for appellees.
Riedmann, Chief Judge, and Bishop and Welch, Judges.
Riedmann, Chief Judge.
I. INTRODUCTION
An heir and beneficiary of an estate and trust brought suit
against an attorney and his law firm asserting professional
malpractice related to changes made to her father’s estate
documents. At issue is whether the heir had standing to bring a
derivative suit and whether the attorney and his firm owed her
a duty in her individual capacity. The district court for Douglas
County granted summary judgment to the attorney and his law
firm. We affirm.
II. BACKGROUND
Christine K. Reilly, individually and derivatively on behalf
of the George J. Kubat Revocable Trust (Trust) and the Estate of
George J. Kubat (Estate), filed suit against Thomas R. Pansing
and his law firm seeking attorney fees and costs associated
with two lawsuits that challenged changes made by Pansing to
the Trust and will shortly before George J. Kubat’s death.
Reilly is one of four children born to George and Judy
Kubat. Judy predeceased George, and George began dating
Maureen Walsh in about 2009. Walsh was not warmly wel-
comed by Reilly and her siblings. On May 18, 2009, George
created the Trust, drafted by Pansing, with whom he had been
friends since the 1970s. George executed a last will and testa-
ment on the same day.
In 2011, Pansing prepared an amendment to the Trust,
which bequeathed $500,000 to Walsh. At George’s request, in
2012, Pansing prepared a premarital agreement that provided
Walsh was to receive $5 million in the event she and George
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REILLY v. PANSING HOGAN ERNST & BACHMAN
Cite as 34 Neb. App. 285
married and George predeceased her. It required that Walsh
forgo seeking a spousal election in the event of George’s death
or a divorce. Walsh refused to sign it, and the parties did not
marry at that time.
In 2017, Pansing prepared a restatement of George’s Trust,
which retained the gift of $500,000 to Walsh, and George
signed it. In 2019, Pansing drafted another restatement of
George’s Trust. In that document, George included a provi-
sion leaving Walsh $1 million upon George’s death. This was
the Trust amendment in existence at the time George’s health
began to diminish.
On April 2, 2021, George suffered a heart attack and was
hospitalized. He was released but readmitted on April 5. He
suffered additional heart attacks, and his condition declined.
He was placed on life support but remained able to commu-
nicate. On April 6, George contacted Pansing and directed
him to increase the bequest of property to Walsh to a total
of $3 million. Because Pansing was out of the state, Pansing
requested someone from his office draft the Trust amendment,
and Pansing’s legal assistant oversaw its execution in the hos-
pital. Thereafter, Pansing had several phone conversations with
George. On April 10, George advised Pansing that he intended
to marry Walsh and requested more changes to his estate docu-
ments. George instructed Pansing to increase the bequest to
Walsh to approximately $6 million, and the two of them dis-
cussed the beneficial tax implications of doing so. Thereafter,
Pansing directed his office to prepare another Trust amendment
that increased the bequest to Walsh to $6 million, and it was
executed by George in the hospital on April 12.
On the same day, George executed a last will and testa-
ment, prepared by Pansing’s firm at George’s request, that
included a provision stating that George was currently unmar-
ried but was contemplating marriage to Walsh. It further
provided that if George was married to Walsh at the time of
his death, she was to receive certain real property along with
$6 million, reduced by certain assets. It revoked all prior
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REILLY v. PANSING HOGAN ERNST & BACHMAN
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wills, including one that had been executed in 2009. George
and Walsh married that afternoon in the hospital; thereafter,
George requested the removal of life support and passed away
that evening.
Following George’s death, one of George’s sons filed an
application for appointment of a special administrator, due to
a potential will contest. Walsh, as George’s spouse, sought for-
mal probate of the April 12, 2021, will. Reilly’s siblings filed
an objection to probate of the April 12 will, asserting George’s
lack of testamentary capacity and Walsh’s undue influence. The
matter was transferred to the district court to address the con-
tested will. Reilly, through her own attorney, filed an objection
to the probate of the April 12 will in the district court on the
same bases.
Reilly’s siblings filed a petition for declaratory judgment
regarding the validity of the Trust amendments and of the
marriage. They challenged the validity of the April 6 and 12,
2021, Trust amendments on the bases of testamentary capac-
ity and undue influence and sought a declaration that George
lacked the capacity to enter into a valid marriage. Although
Reilly, through her own attorney, initially filed an answer and
cross-claim seeking the same relief, the parties were ultimately
realigned to include Reilly as a party plaintiff. Reilly, however,
retained her own counsel throughout the proceedings.
A jury trial was held in September 2023. The jury returned
a verdict in which it determined George had testamentary
capacity to execute all the estate documents and had the capac-
ity to enter into the marriage. It further found that he was not
unduly influenced to execute the April 6, 2021, Trust amend-
ment, but that he was unduly influenced by Walsh to execute
the April 12 Trust amendment and will. The court entered
the verdicts as to the will and accepted the verdicts as to the
remaining matters as advisory only. Thereafter, it entered
judgment in conformity with all verdicts. Consequently, the
Trust amendment of April 12 and the will executed on that
same date were invalidated.
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REILLY v. PANSING HOGAN ERNST & BACHMAN
Cite as 34 Neb. App. 285
During the pendency of the declaratory judgment action,
in March 2023, Reilly made demand upon Security National
Bank (Security National) as trustee and/or special adminis-
trator of the Trust and the Estate to initiate a lawsuit against
Pansing and his law firm for attorney malpractice. She asserted
that Pansing violated the standard of care by drafting and facil-
itating the execution of the estate documents, given George’s
medical condition. The demand letter was sent on behalf of
Reilly and requested that Security National seek “to recover
the costs incurred from the litigation regarding the death-bed
changes to [George’s] estate plan.” Security National declined
on March 31, stating that “our client has determined that it
would not be in the best interests of the . . . Trust or the Estate
. . . to participate in the action described in the draft Complaint.
Accordingly, our client will not join in the proposed lawsuit as
you requested in your letter.”
Thereafter, Reilly filed this action, individually and deriva-
tively on behalf of the Trust and the Estate, seeking recovery
of the costs and attorney fees she expended in the underlying
litigation. In discovery, Reilly confirmed that she was seeking
recovery of the fees billed by her attorneys. Her siblings con-
firmed that Reilly was not seeking damages on their behalf.
Pansing and his law firm filed a motion for summary judg-
ment arguing that Reilly had no standing to seek recovery
from them, that they owed no duty to her, and that she was not
seeking legally recoverable damages. The district court agreed
that Reilly had no standing to pursue a derivative action on
behalf of the Trust or the Estate because she did not serve in
a representative capacity and, even assuming she had stand-
ing to individually seek recovery, that the attorneys owed no
duty to her. It therefore granted summary judgment in favor of
Pansing and the law firm. This appeal followed.
III. ASSIGNMENTS OF ERROR
Reilly assigns, reordered, that the district court erred in (1)
finding that she did not have standing to sue appellees; (2)
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finding that she did not have standing to bring claims on behalf
of the Trust; (3) receiving exhibit 22 over her objection; (4)
finding that appellees did not represent the Kubat family; (5)
finding that appellees did not owe her a duty under the fac-
tors set forth in Perez v. Stern, 279 Neb. 187, 777 N.W.2d 545
(2010); (6) granting appellees’ motion for summary judgment;
and (7) failing to recognize the appellees had a conflict in pur-
porting to represent only the decedent.
IV. STANDARD OF REVIEW
[1] Whether a party who commences an action has stand-
ing and is therefore the real party in interest presents a juris-
dictional issue. A jurisdictional issue that does not involve a
factual dispute presents a question of law, which the appellate
courts independently decide. In re Estate of Schurman, 30 Neb.
App. 259, 967 N.W.2d 734 (2021).
[2] A trial court has the discretion to determine the relevancy
and admissibility of evidence, and such determinations will
not be disturbed on appeal unless they constitute an abuse
of that discretion. Elbert v. Young, 312 Neb. 58, 977 N.W.2d
892 (2022).
[3] Whether a legal duty exists for actionable negligence is
a question of law dependent on the facts in a particular case.
Perez, supra.
[4] An appellate court reviews the district court’s grant of
summary judgment de novo, viewing the record in the light
most favorable to the nonmoving party and drawing all reason-
able inferences in that party’s favor. Czech v. Allen, 318 Neb.
904, 21 N.W.3d 1 (2025).
[5] An appellate court will affirm a lower court’s grant of
summary judgment if the pleadings and admitted evidence
show that there is no genuine issue as to any material facts
or as to the ultimate inferences that may be drawn from those
facts and that the moving party is entitled to judgment as a
matter of law. Id.
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REILLY v. PANSING HOGAN ERNST & BACHMAN
Cite as 34 Neb. App. 285
V. ANALYSIS
1. Standing
(a) General Principles
[6-8] Standing is a jurisdictional component of a party’s
case, because only a party who has standing may invoke the
jurisdiction of a court. Kellogg v. Mathiesen, 320 Neb. 223,
26 N.W.3d 651 (2025). Standing refers to whether a party had,
at the commencement of the litigation, a personal stake in the
outcome of the litigation that would warrant a court’s exercise
of its subject matter jurisdiction and remedial powers on that
party’s behalf. Id. To have standing, the plaintiff must have
some legal or equitable right, title, or interest in the subject
matter of the controversy. Id.
Reilly filed suit in her individual capacity and derivatively
on behalf of the Trust and the Estate. We address Reilly’s
standing in each of these capacities.
(b) Individual Capacity
Reilly participated individually in the underlying action and
retained her own counsel. She asserts she incurred legal fees as
a result and seeks to recover those fees in the present action.
We therefore determine that she had standing to commence this
action in her individual capacity.
(c) Derivative Action on Behalf of Estate
Reilly argues that the district court erred in finding she
lacked standing to bring this action on behalf of the Estate.
Although her assigned error does not specifically identify she
is contesting standing as it relates to the Estate, the district
court assumed Reilly had standing to bring this action individ-
ually, and Reilly separately assigns the district court erred in
finding she did not have standing to bring this action on behalf
of the Trust. Therefore, we read this assigned error to focus on
her standing to bring this action on behalf of the Estate.
[9] Under the Nebraska Probate Code, the right and duty to
sue and recover assets for an estate reside not in the devisees,
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REILLY v. PANSING HOGAN ERNST & BACHMAN
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but in the estate’s appointed personal representative, or, if the
personal representative cannot or should not act, the appointed
special administrator. Kimball v. Rosedale Ranch, 319 Neb.
650, 24 N.W.3d 841 (2025). To acquire the powers and under-
take the duties and liabilities of a personal representative of
a decedent, a person must be appointed by order of the court
or registrar, qualify, and be issued letters. Neb. Rev. Stat.
§ 30-2403 (Reissue 2016). No one contends that Reilly was
appointed by the court to represent the Estate.
In Kimball, supra, the children of a decedent sought to
recover assets against a corporation and their stepmother’s
estate on the theory that certain assets belonged to dece-
dent and would have been distributed to them as devisees if
decedent’s wife had not improperly acquired them before the
decedent died. The Nebraska Supreme Court agreed that under
the above principle, the children would lack standing to pursue
the action in their individual capacities, stating that “a personal
representative or special administrator of [decedent’s] estate
could seek to recover assets that were wrongfully taken from
[decedent], but [his] children, as mere devisees, could not.” Id.
at 657, 24 N.W.3d at 847.
Reilly recognizes that under the Nebraska Probate Code, it
is the estate’s appointed personal representative that has the
right and duty to sue and recover assets for an estate; how-
ever, she points out that prior to the adoption of the Uniform
Probate Code (UPC), Nebraska courts had permitted an heir to
maintain an action to enforce an obligation owed to the estate
when the administrator refused to act. She argues that this
exception survived the adoption of the UPC. And because the
special administrator here refused to advance Reilly’s claim,
she asserts she had standing to pursue it on behalf of the
Estate. She relies upon In re Estate of Hedke, 278 Neb. 727,
775 N.W.2d 13 (2009), to support her position.
In In re Estate of Hedke, 278 Neb. at 751, 775 N.W.2d at
32-33, the Supreme Court stated:
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REILLY v. PANSING HOGAN ERNST & BACHMAN
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We have previously noted that before the Legislature
adopted the [UPC], we had permitted an heir to maintain
an action to enforce an obligation owed to the estate
when the administrator refused to act. [See Beachy v.
Becerra, 259 Neb. 299, 609 N.W.2d 648 (2000), citing
Prusa v. Everett, 78 Neb. 250, 113 N.W. 571 (1907).]
And we have recognized that there is general authority
for this exception. But even if the Nebraska Probate Code
permits that exception, an issue we do not decide, here
the problem is not a personal representative’s refusal or
inability to act. Instead, there is no personal representative.
The Nebraska Probate Code anticipates this problem by
providing for the appointment of a special administrator
to administer an estate when a personal representative
cannot or should not act. Therefore, there is no need to
recognize an exception that permits a devisee to sue on
behalf of an estate. We conclude that the appellants did
not have standing to recover real property for the estate
because of undue influence.
In In re Estate of Hedke, supra, the Supreme Court cited
Prusa v. Everett, 78 Neb. 250, 113 N.W. 571 (1907), as a
prior case in which an exception had been found when the
personal representative refused to act. The basis for the excep-
tion appears to have been the potential delay that would result
in removing the personal representative and appointing a
new one. In allowing an exception, however, the Prusa court
observed that the plaintiffs there were all the heirs and ben-
eficiaries under the will and the action was brought by their
“guardian.” 78 Neb. at 250, 113 N.W. at 571. It noted that
there was no danger of a second suit and that the administrator
had been made a party defendant to the suit.
Here, Security National was appointed as the special admin-
istrator of the Estate when a dispute over the validity of the
estate documents became apparent. Reilly made demand upon
it, both as special administrator and as trustee, to participate
in the current action, which it declined. She then filed suit,
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seeking as damages the amount she incurred in attorney fees
in the underlying litigation. She was not acting as “guardian”
on behalf of all the heirs and beneficiaries, nor did she make
Security National a defendant to the action. The safeguards that
existed in Prusa, supra, do not exist here.
[10] Although there may have been a delay, Reilly could
have sought to have Security National removed if she believed
its refusal to pursue or join in the lawsuit against Pansing
and his law firm constituted a failure to perform its required
duties. See Neb. Rev. Stat. §§ 30-2454 and 30-2461 (Reissue
2016). Section 30-2454(a) provides that a person interested in
the estate may petition for removal of a personal representa-
tive for cause at any time. Section 30-2454(b) provides in
pertinent part:
Cause for removal exists when removal would be in the
best interests of the estate, or if it is shown that a per-
sonal representative or the person seeking his appoint-
ment intentionally misrepresented material facts in the
proceedings leading to his appointment, or that the per-
sonal representative has disregarded an order of the court,
has become incapable of discharging the duties of his
office, or has mismanaged the estate or failed to perform
any duty pertaining to the office.
And since the enactment of the UPC, there exists a more
expedient method by which Reilly could have pursued this
matter. Pursuant to Neb. Rev. Stat. §§ 30-2457 and 30-2460
(Reissue 2016), Reilly could have sought appointment of a
special administrator solely for the purpose of initiating and
maintaining this action. Section 30-2457(2) allows for appoint-
ment of a special administrator
in a formal proceeding by order of the court on the peti-
tion of any interested person and finding, after notice
and hearing, that appointment is necessary to preserve
the estate or to secure its proper administration includ-
ing its administration in circumstances where a general
personal representative cannot or should not act. If it
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appears to the court that an emergency exists, appoint-
ment may be ordered without notice.
Although Reilly’s excuse for not having pursued one of the
two options was an impending statute of limitations against
the appellees, she did not request Security National to act until
March 29, 2023; George passed away in April 2021, and the
will contest became apparent by July 2021. Reilly commenced
the present suit while the underlying action was pending, and
nothing precluded her from seeking the special administrator’s
involvement in an attorney malpractice action at an earlier
date. And, even if Security National would have refused, as
noted above, § 30-2457 provides that if an emergency exists,
appointment of a special administrator may be ordered without
notice, thereby avoiding the potential delay identified in Prusa
v. Everett, 78 Neb. 250, 113 N.W. 571 (1907).
As in In re Estate of Hedke, 278 Neb. 727, 775 N.W.2d 13
(2009), we find no reason to broadly determine whether an
exception to the general rule vesting authority to sue in the
personal representative survived the adoption of the UPC under
the facts of this case. As stated above, Reilly had at least two
mechanisms by which no exception would have been neces-
sary: removal of Security National as the special administrator
or appointment of a special administrator to bring the action on
behalf of the Estate. She sought neither.
Reilly sought to pursue this action on behalf of the Estate;
and unlike the heirs in Prusa, supra, her siblings declined to
participate and denied that Reilly was seeking to recover any
damages on their behalf. The record reveals Reilly is seeking
recovery for only the costs and fees she expended in the under-
lying action. But an action on behalf of the Estate would seek
property belonging to the Estate, the recovery of which would
be dispersed according to the Estate documents. Here, Reilly
seeks to recoup her attorney fees for her own benefit and not
any damages belonging to the Estate.
Under the facts of this case, we determine that Reilly lacked
standing to bring this action on behalf of the Estate.
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(d) Derivatively on Behalf of Trust
Reilly assigns the district court erred in determining she
lacked standing to bring this action derivatively on behalf of
the Trust. We agree with the district court.
[11,12] As a general rule, a trust is not a legal personal-
ity, and the trustee is the proper person to sue or be sued on
behalf of such trust. Back Acres Pure Trust v. Fahnlander,
233 Neb. 28, 443 N.W.2d 604 (1989). Pursuant to Neb. Rev.
Stat. § 30-3874 (Reissue 2016), a trustee shall take reasonable
steps to take control of and protect the trust property. Neb.
Rev. Stat. § 30-3876 (Reissue 2016) requires a trustee to take
reasonable steps to enforce claims of the trust. By the explicit
language of the Trust, the trustee has the right and power to
sue and defend any claim of the trust or estate. Therefore, sim-
ilar to a personal representative of an estate, it is the trustee
that has the right and duty to prosecute claims for the pro-
tection of trust property. See Neb. Rev. Stat. § 30-3881(24)
(Cum. Supp. 2024).
[13] There is authority that beneficiaries may have standing
to bring actions involving a trust or trust properties, although,
generally, a trust beneficiary may enforce a cause of action
that the trustee has against a third party only if the trustee can-
not or will not do so. 90A C.J.S. Trusts § 577 (2020). Pursuant
to the Restatement (Third) of Trusts § 107 (2012):
(2) A beneficiary may maintain a proceeding related to
the trust or its property against a third party only if:
(a) the beneficiary is in possession, or entitled to
immediate distribution, of the trust property involved; or
(b) the trustee is unable, unavailable, unsuitable, or
improperly failing to protect the beneficiary’s interest.
The Restatement, supra, § 107, comment c(2) at 103-04, states:
It bears repeating that the trustee, and not a beneficiary,
is ordinarily the only proper person to bring (and to
decide whether to bring) an action on behalf of the trust
against a third party. The trustee may well decide, and
rightly, not (or not yet) to bring an action. There are
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circumstances, however, when it is necessary for a ben-
eficiary to act. If, for example, the beneficiary can show
that the trustee is improperly refusing or neglecting to
bring an action, or if the trustee is unavailable or unable
to act, the protection of the trust estate may depend
on the initiative of a beneficiary (including by seeking
appointment of a trustee ad litem) . . . .
The Nebraska Supreme Court has recognized that our uni-
form trust code statutes are derived from the Restatement
(Third) of Trusts. See In re William R. Zutavern Revocable
Trust, 309 Neb. 542, 961 N.W.2d 807 (2021). Other jurisdic-
tions have interpreted § 107 of the Restatement to impose a
duty upon the beneficiary to show the trustee’s inaction is
improper. See, e.g., Matter of Estate of Calvin, 963 N.W.2d
319 (S.D. 2021); Matter of Estate of Mouchague, 56 Kan.
App. 2d 983, 442 P.3d 125 (2019) (stating beneficiaries of
trust could maintain proceeding related to trust property if
they show trust is improperly failing to protect their interests);
Browning v. Brunt, 330 Conn. 447, 195 A.3d 1123 (2018) (stat-
ing beneficiary must demonstrate trustee is either improperly
refusing or improperly neglecting to bring action).
Here, Reilly asserts she made demand upon Security
National but it refused. She does not allege, nor did she present
any evidence at the summary judgment hearing to prove, that
Security National’s refusal was improper. To the contrary, the
evidence reveals that in refusing to participate in the current
action, Security National’s counsel advised that “our client has
determined that it would not be in the best interests of the . . .
Trust or the Estate . . . to participate in the action described in
the draft Complaint. Accordingly, our client will not join in the
proposed lawsuit as you requested in your letter.”
Therefore, even if a derivative action is permissible under
the Nebraska Uniform Trust Code, an issue we do not decide,
Reilly failed to allege or prove that Security National’s refusal
was improper; hence, she was not entitled to an exception
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to the general rule that actions on behalf of a trust must be
brought by the trustee.
We find no error in the district court’s determination that
Reilly lacked standing to bring a derivative action on behalf of
the Trust.
2. Alleged Evidentiary Error
Reilly assigns the district court erred in receiving into
evidence exhibit 22, the affidavit of Pansing. Reilly objected
to numerous paragraphs on the basis of foundation, hearsay,
relevance, best evidence, contradiction of prior testimony, and
legal conclusions. The district court received the exhibit sub-
ject to those objections and stated in its order granting sum-
mary judgment that the exhibit was received and that it would
give the exhibit the weight it deemed appropriate in consider-
ing the motion.
On appeal, Reilly limits her argument to three categories: (1)
statements that contradicted prior testimony, (2) topics lacking
foundation, and (3) testimony based on hearsay. We address
each argument separately.
(a) Statements Contradicting Prior Testimony
Relying upon the principle from Momsen v. Nebraska
Methodist Hospital, 210 Neb. 45, 313 N.W.2d 208 (1981),
Reilly argues that Pansing’s statements in his affidavit that
contradicted his prior testimony were inadmissible. In Momsen,
the Supreme Court held that where a party without reasonable
explanation testifies to facts materially different concerning a
vital issue, the change clearly being made to meet the exigen-
cies of pending litigation, such evidence is discredited as a
matter of law and should be disregarded.
We are unable, however, to apply the Momsen principle in
the present case, because Reilly fails to identify the specific
statements in the affidavit that she claims are contradictory
and she fails to provide us with the prior statements with
which they allegedly conflicted. Reilly merely states that she
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pointed out to the district court “multiple paragraphs,” which
“either directly contradict his prior testimony or provid[e] an
elaborate, detailed recollection of a fact that he previously
claimed not to remember.” Brief for appellant at 29. Reilly
fails to sufficiently argue this assigned error because she does
not identify the statements for which she seeks review or the
prior testimony that she claims the statements contradict.
Reilly identifies only one specific statement with which
she takes issue, that being Pansing’s statement that there
was no written fee agreement with Reilly or her siblings for
legal services provided in 2021. She points out that Pansing
“fails to admit that he never had a signed fee agreement with
[George] or his children for any of the work he admittedly
provided.” Id. at 29. She provides no citation to the record to
substantiate this. Moreover, even if the latter statement were
accurate, that does not contradict the statement that no such
written fee agreement was provided in 2021; rather, it simply
identifies an omission within Pansing’s affidavit.
This assignment of error fails.
(b) Topics Lacking Foundation
Reilly argues that many of the paragraphs contained expert
testimony aside from opinions on the standard of care for
estate planning attorneys. She argues “without presenting any
additional qualifications, [Pansing] was allowed to testify as
an expert on tax law . . . , duties of [an] attorney in fact for
health care . . . , standard of care for a legal assistant[,] and
even George’s thoughts and wishes.” Id. at 29. We read this
as a challenge under Neb. Rev. Stat. § 27-702 (Reissue 2016)
that Pansing’s affidavit failed to set forth the knowledge,
skill, experience, training, or education upon which he could
base his opinions.
Pansing’s affidavit states that he has practiced law over 50
years with his “practice focused upon tax and estate planning.”
His opinions were based upon his “training, education, and
experience, including [his] over fifty (50) years’ experience
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working as an attorney in a law firm and [his] decades of expe-
rience filling multiple roles in a law firm (associate, partner,
and now, of counsel).” The affidavit further outlines his work
with legal assistants, including directing, training, and super-
vising them. Likewise, Pansing detailed his experience with
health care powers of attorney.
Given Pansing’s extensive experience in tax and estate
planning, and his training, education, and experience involv-
ing legal assistants and health care powers of attorney, the
affidavit contained adequate foundation for the opinions
expressed therein. Regarding “George’s thoughts and wishes”
to which Reilly objected, she does not identify which por-
tion of the affidavit contains the offending statements. See
brief for appellant at 29. However, the affidavit makes clear
that Pansing and George had a 50-plus year friendship dur-
ing which many conversations were had regarding George’s
estate, his relationship with Walsh, and his ultimate wishes.
This assigned error fails.
(c) Testimony Based on Hearsay and
Intended to Mislead
[14] Reilly’s final argument related to Pansing’s affidavit
is framed in terms of hearsay and a violation of Neb. Reb.
Stat. § 27-403 (Reissue 2016). However, she does not identify
specific statements constituting hearsay, and, in fact, she does
not use the term except in the heading for that section. Rather,
she argues that the affidavit, as a whole, created an inaccurate
picture of the situation that existed at the time. None of the
objections she made at the hearing, however, encompassed this
argument, and although she cites § 27-403 on appeal, it was
not a basis for her objection at trial. One may not, on appeal,
assert a different ground for excluding evidence than was
urged in the objection made to the trial court. Ford v. Estate of
Clinton, 265 Neb. 285, 656 N.W.2d 606 (2003). We therefore
decline to address this argument.
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We find no error in the district court’s decision to receive
Pansing’s affidavit over Reilly’s objections.
3. Pansing’s Representation of Only George
Reilly assigns that the district court erred in finding that
Pansing and his law firm did not represent the Kubat family.
Reilly asserts that because Pansing and his law firm provided
multiple legal services to various family members and “the
family company” in the past, an attorney-client relationship
existed between the attorneys and the Kubat family members,
and Pansing failed to advise Reilly of this conflict. See brief
for appellant at 27.
[15] An attorney-client relationship is created when a per-
son seeks advice or assistance from an attorney, the advice
or assistance sought pertains to matters within the attor-
ney’s professional competence, and the attorney expressly or
impliedly agrees to give or actually gives the desired advice
or assistance. Richardson v. Griffiths, 251 Neb. 825, 560
N.W.2d 430 (1997), overruled on other grounds, Heckman v.
Marchio, 296 Neb. 458, 894 N.W.2d 296 (2017). In appropri-
ate cases, the last element may be established by proof of
detrimental reliance, when the person seeking legal services
reasonably relies on the attorney to provide them and the
attorney, aware of such reliance, does nothing to negate it.
See McVaney v. Baird, Holm, McEachen, 237 Neb. 451, 466
N.W.2d 499 (1991).
Here, because we have determined that Reilly does not
have standing to bring a derivative suit on behalf of the Estate
or the Trust, we focus on whether the evidence presents a
material issue of fact as to whether an attorney-client rela-
tionship existed between Reilly, individually, and the attor-
neys. According to Reilly, Pansing and his firm prepared
estate planning documents for her in approximately 1998
with revisions in approximately 2005. Following that, she
had contact with the law firm for services it rendered for the
family corporation. Neither of these encounters would create
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an attorney-client relationship between Pansing and Reilly as
it relates to George’s estate planning.
Reilly also relies upon meetings she attended with her
siblings, George, and Pansing in which George’s estate plans
were shared. She described these as meetings in which Pansing
“would give a presentation to discuss George’s estate plan.”
But these merely reflect George’s desire to advise the chil-
dren of his estate plans by including them in meetings with
Pansing in which they were informed of his plans. Reilly’s
brother explained “they would involve us at times in meet-
ings about what the plans were on the stocks for the company
and his estate, so, you know — but yes, I mean, I already
answered your question where George was the client.” Even
Reilly admitted that as to George’s estate plan she “had input
but not final decision.”
[16] Even if Reilly believed her inclusion in these infor-
mational meetings created an attorney-client relationship with
Pansing, a person’s erroneous belief that an attorney-client
relationship has been established does not make it so. See
Swanson v. Ptak, 268 Neb. 265, 269, 682 N.W.2d 225, 230
(2004) (rejecting existence of attorney-client relationship based
on how party “‘felt’”). In Swanson, an attorney performed ser-
vices for both a husband and a wife. The husband predeceased
his wife, and the attorney served as personal representative of
the wife’s estate after she died. He met with various family
members of both and explained that the estate would pass to
the wife’s heirs unless there was an agreement to share with
the husband’s heirs. The personal representative sent several
letters diagraming what a division of the estate would entail if
the wife’s heirs agreed to a division. Based upon this, an heir
of the husband requested, and received, a partial distribution
from the estate. Thereafter, the personal representative was
advised that the wife’s heirs would not agree to a division, and
he requested a return of the disbursed money.
The husband’s heir filed a malpractice action against the per-
sonal representative, arguing that he was acting as her attorney
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in the negotiation of the estate distribution. The Supreme Court
recognized that the heir’s belief that an attorney-client relation-
ship existed was sincere but held as a matter of law that there
was no implied relationship. Consequently, it granted summary
judgment to the attorney.
We reach the same result here. Any personal attorney-client
relationship Reilly had with Pansing and his firm was limited
to her own estate planning. And while Reilly may have been
the contact person for legal services provided to the family
corporation, that did not create an attorney-client relation-
ship between her and the attorneys as it related to George’s
estate plan. Reilly’s siblings all recognized that as it related
to George’s estate plan, the attorney-client relationship existed
between George and Pansing.
Reilly presents one other argument upon which she relies to
establish an attorney-client relationship with Pansing, although
it is contained within another section of her brief. Reilly
claims that Pansing’s actions created an attorney-client rela-
tionship because he divulged George’s requested changes to
her and her siblings, and if she was not Pansing’s client,
this would be an ethical violation. However, one or more of
George’s children were present during most of the phone con-
versations between George and Pansing in which the changes
were discussed, and, according to the children, Walsh was
almost always in the room. Therefore, there was no privilege
regarding these conversations. See Dunmire v. Cool, 195 Neb.
247, 237 N.W.2d 636 (1976) (conversations with attorney in
presence of others do not constitute privileged communica-
tion). Discussion of the Trust amendments between George
and Pansing in the presence of others did not create an infer-
ence of an attorney-client relationship with Reilly, nor does it
present a genuine issue of material fact regarding the existence
of such a relationship.
Having found no attorney-client relationship between Reilly
and Pansing, we turn to the question of whether Pansing none-
theless owed Reilly a duty of care.
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4. No Duty to Reilly
Reilly assigns the district court erred in failing to find a duty
owed to her under Perez v. Stern, 279 Neb. 187, 777 N.W.2d
545 (2010). We disagree and find Perez distinguishable from
the facts of this case.
[17] In Perez, the Supreme Court recognized a duty owed
by an attorney to nonclient minor children for whose benefit
a wrongful death action was to be commenced. In doing so, it
observed that in Nebraska, a lawyer owes a duty to his or her
client to use reasonable care and skill in the discharge of his
or her duties, but ordinarily this duty does not extend to third
parties, absent facts establishing a duty to them. Despite there
being no attorney-client relationship between the attorney and
the children, the court noted that it had never said that priv-
ity was an absolute requirement of a legal malpractice claim;
rather, that was the general rule absent facts establishing a
duty to them.
The Perez court identified six factors to be balanced in
determining whether an attorney owes a duty to a nonclient.
They include
(1) the extent to which the transaction was intended to
affect the third party, (2) the foreseeability of harm, (3)
the degree of certainty that the third party suffered injury,
(4) the closeness of the connection between the attorney’s
conduct and the injury suffered, (5) the policy of prevent-
ing future harm, and (6) whether recognition of liability
under the circumstances would impose an undue burden
on the profession.
Id. at 192-93, 777 N.W.2d at 550-51. It emphasized the start-
ing point for analyzing an attorney’s duty to a third party is
determining whether the third party was a direct and intended
beneficiary of the attorney’s services.
The Perez court held that the above factors supported impor-
tant specific limitations on liability in attorney malpractice
cases, including that (1) the attorney’s agreement with the cli-
ent determines the scope of the attorney’s duty to a third-party
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beneficiary; (2) a person adverse to the attorney’s client cannot
be a beneficiary of the attorney’s retention; (3) foreseeability
that the attorney’s representation could injure or benefit an
identified person will not, without more, create a duty to the
third person; and (4) a duty to a third party will not be imposed
if that duty would potentially conflict with the duty the attor-
ney owes his or her client.
Because the attorney in the Perez case was retained to com-
mence a wrongful death action arising out of the death of the
children’s father, the court concluded that none of the limita-
tions identified above raised concern. The wrongful death
action was intended to directly benefit the decedent’s next of
kin, the children. Because it was clear that the children were
direct and intended beneficiaries of the transaction and there
could be no other purpose to the attorney’s representation
under the Nebraska wrongful death statute, the court concluded
the attorney owed a duty to the children.
Applying the above factors and limitations set forth above,
the same cannot be said as it relates to Pansing’s representa-
tion of George. One need only look to the conflict that would
arise if Pansing simultaneously owed a duty to George and
Reilly. There is no genuine issue of disputed fact that Pansing
carried out George’s wishes and that Reilly disagreed with
them. And the undisputed evidence is that George intended
the requested changes to his estate planning documents to
reduce tax liability, which would have been accomplished
by those changes. Furthermore, if a duty was extended to
Reilly as a beneficiary, so too would a duty extend to each
of the beneficiaries, including Walsh. See Perez v. Stern, 279
Neb. 187, 777 N.W.2d 545 (2010) (recognizing that imputing
duty to third party could have created conflicting loyalties to
adverse or different parties in prior cases where court refused
to impose duty to nonclient).
As a general rule, the duty to exercise reasonable care
and skill which a lawyer owes his client ordinarily does not
extend to third parties in an estate planning context. See,
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e.g., Swanson v. Ptak, 268 Neb. 265, 682 N.W.2d 225 (2004);
Lilyhorn v. Dier, 214 Neb. 728, 335 N.W.2d 554 (1983); St.
Mary’s Church v. Tomek, 212 Neb. 728, 325 N.W.2d 164
(1982). Whether a duty exists in a given case is fact specific.
Under the facts of this case, we agree that Pansing owed no
duty to Reilly.
Reilly also assigns that the district court erred in failing to
find that Pansing had a conflict in representing only George.
Based on our discussion above identifying the conflict that
would exist if Pansing owed a duty to Reilly, we need not fur-
ther discuss this assigned error.
5. Granting of Summary Judgment
Reilly assigns the district court erred in granting summary
judgment because there were genuine issues of material fact.
She identifies these disputed facts as (1) the existence of an
attorney-client relationship between Reilly and Pansing, and
(2) George’s physical and mental capacity to give detailed tax
analysis to the amendments made. However, she argues only
the first category.
Reilly states that she “presented ample evidence of a
conflict on the genuine issue of material fact regarding her
understanding of the existence of an attorney-client relation-
ship during relevant time periods.” Brief for appellant at
11. However, we considered and rejected Reilly’s argument
that an attorney-client relationship existed between her and
Pansing. She asserts that one area of conversation between
Pansing and her or her siblings created a genuine issue of
material fact regarding an attorney-client relationship. She
argues that Pansing advised “them” they “‘had a good case
for undue influence.’” Id. However, the record reveals that if
such statement was made, it was made to Reilly’s brother and
not to Reilly. Therefore, this “advice” that Reilly asserts cre-
ated a genuine issue of material fact regarding representation
does not run to her. And her brother to whom this statement
was allegedly made testified that he knew that when Pansing
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was making changes to the Estate documents in April 2021,
the attorney-client relationship existed as between George and
Pansing, and not with him.
We reject Reilly’s argument that a genuine issue of material
fact existed that would preclude summary judgment in favor of
Pansing and his law firm.
VI. CONCLUSION
We find no error in the district court’s grant of summary
judgment in favor of Pansing and his law firm. We therefore
affirm the district court’s order.
Affirmed.