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                                    Appellate Court                          Date: 2017.01.18
                                                                             12:15:35 -06'00'




                  Salvi v. Village of Lake Zurich, 2016 IL App (2d) 150249



Appellate Court        MARITA WILLIAMS SALVI, as Successor Trustee of the Albert S.
Caption                Salvi Family Trust, Plaintiff-Appellant, v. THE VILLAGE OF LAKE
                       ZURICH and THE ELA AREA PUBLIC LIBRARY DISTRICT,
                       Defendants (The Village of Lake Zurich, Defendant-Appellee).



District & No.         Second District
                       Docket No. 2-15-0249



Filed                  October 31, 2016



Decision Under         Appeal from the Circuit Court of Lake County, No. 13-L-750; the
Review                 Hon. Christopher C. Starck, Judge, presiding.



Judgment               Affirmed in part and reversed in part.
                       Cause remanded.

Counsel on             Michael J. Salvi and Kimberly A. Regan, of Salvi, Salvi & Wifler,
Appeal                 P.C., of Lake Zurich, for appellant.

                       Rebecca A. Fozo and Jon Yambert, of Chilton, Yambert & Porter
                       LLP, of Chicago, for appellee.



Panel                  JUSTICE McLAREN delivered the judgment of the court, with
                       opinion.
                       Justices Hudson and Birkett concurred in the judgment and opinion.
                                             OPINION

¶1       Plaintiff, Marita Williams Salvi, as successor trustee of the Albert S. Salvi Family Trust
     (Trust), appeals the dismissal of her claims against defendant, the Village of Lake Zurich
     (Village). Plaintiff’s amended complaint alleged that the Village’s renovation of a detention
     pond (Pond) near an office building (Building) on property (Property) owned by plaintiff
     caused the Pond to overflow during a heavy rain, flooding the bottom floor of the Building.
     The trial court dismissed the claims as barred by the Local Governmental and Governmental
     Employees Tort Immunity Act (Tort Immunity Act) (745 ILCS 10/1-101 et seq. (West 2014)).
     For the reasons that follow, we affirm in part, reverse in part, and remand the cause for further
     proceedings.

¶2                                         I. BACKGROUND
¶3       Plaintiff filed her amended complaint in January 2014, naming as defendants the Village
     and the ELA Area Public Library District (Library). She also named several respondents in
     discovery. The Library and the respondents were dismissed pursuant to a settlement before
     plaintiff filed her notice of appeal.
¶4       The general allegations in the complaint were as follows. Plaintiff was the current trustee
     of the Trust and the current owner of the Property, which was in the Village and improved with
     the Building. The Property and the Building were held by the Trust. Prior to 1989, the Federal
     Deposit Insurance Corporation (FDIC) owned the Property as well as a contiguous parcel, later
     known as the Good Shepherd Subdivision (Subdivision). In 1989, Albert S. Salvi, plaintiff’s
     predecessor in interest, purchased the Property from the FDIC and placed it with the Trust. The
     Pond was situated in the Subdivision. The Property “extend[ed] in part onto the slopes of the
     Pond.” At the time of the purchase, “the Pond had no history of overflowing.” Sometime after
     1989, Good Shepherd Church (Church) purchased the Subdivision from the FDIC. The
     Subdivision was later divided into four parcels. One parcel was purchased by the Library
     (Library Parcel) and another parcel by the Village (Village Parcel). The remaining two parcels
     were retained by the Church. On one of these parcels (Church Parcel), the Church constructed
     a church building. On the remaining parcel was the Pond (Pond Parcel). All four parcels were
     located north and west of the Property. The only parcel contiguous to the Property was the
     Pond Parcel.
¶5       In the summer of 2000, the Church, the Village, and the Library signed an “Easement
     Agreement” (Agreement), a copy of which was attached to the complaint. The Agreement
     characterized the Pond as a “storm water detention basin *** serving the storm water
     management requirements of the Library Parcel, the Village Parcel, the Church Parcel, and the
     Pond Parcel ***.” The stated purpose of the Agreement was to “permanently protect the
     establishment, use, and maintenance of the [Pond] for its intended purposes.” To this end, the
     Church granted two types of easements over the Pond Parcel. First, to both the Village and the
     Library, the Church granted “a perpetual, nonexclusive easement over, across, under, upon,
     along, and through *** [the Pond Parcel] *** for the purpose of discharging storm water into
     the [Pond].” In connection with the discharge easement, the Village was granted “a perpetual,
     nonexclusive easement over, across, under, upon, along, and through *** [the Pond Parcel]
     *** for the purpose of maintaining, repairing and replacing the storm water laterals, culverts,
     drains, and associated laterals, lines, and devices ***, such work to be at the Village’s cost.”

                                                 -2-
       Second, the Agreement granted the Village “a perpetual, nonexclusive easement over, across,
       under, upon, along, and through *** [the Pond Parcel] *** for the purpose of rehabilitation and
       maintenance of [the Pond] ***.”
¶6          Plaintiff alleged that subsequent improvements to the Village and Library Parcels and
       renovation of the Pond contravened requirements set forth in the Agreement and in Lake
       County’s Watershed Development Ordinance (Watershed Ordinance) (Lake County
       Watershed Development Ordinance (amended Aug. 14, 2001)). According to plaintiff, the
       violations led ultimately to the overflow of the Pond and the flooding of the Building.
¶7          We note that, in various places, the complaint describes the Agreement as granting the
       Village “the perpetual right to possess, manage and control the Pond Parcel.” Plaintiff also
       alleged that the Village “acquired *** the Pond Parcel,” and she characterized the Pond as “the
       Village’s Pond.” Though the Village did not file an answer below (having filed a motion to
       dismiss in lieu of an answer), it challenges on appeal the accuracy of the complaint’s
       description of the Village’s interest in the Pond and the Pond Parcel.
¶8          The Agreement contains the following provision relating to the Pond’s capacity:
                    “Section 3. Capacity of Detention Pond. [The Pond] was designed and constructed
                to accommodate maximum storm water flows (the ‘Pond Capacity’) from the Library
                Parcel, the Village Parcel, the Church Parcel, and the Pond Parcel, with a maximum of
                60 percent impervious surface coverage (the ‘Maximum Coverage’) per parcel. [The
                parties] agree that they shall take no action that inhibits, impairs, or interrupts the
                function of [the Pond] or results in discharge in excess of the Maximum Coverage. In
                protecting the function of [the Pond], the Village shall not approve or permit additional
                or increased storm water discharge into [the Pond] by or for the benefit of any user not
                a party to this Agreement beyond use which currently exists.”
       The Agreement notes that the Village had approved plans for the construction of a library
       facility on the Library Parcel and a police station on the Village Parcel. In this connection, the
       Agreement specifies that “[n]o development of the Village Parcel, the Church Parcel, the Pond
       Parcel, or the Library Parcel shall be permitted in excess of the Maximum Coverage except
       only if the Church, the Library, the Village, or other developer of such parcel, as the case may
       be, shall provide for an increase in the Pond Capacity at such developer’s cost and in a manner
       and amount satisfactory to the Village Engineer, whose approval shall not be unreasonably
       withheld.”
¶9          The Agreement not only grants the Village an easement for rehabilitation and maintenance
       of the Pond, but requires the Village to perform that work when necessary and provides for the
       sharing of costs associated with the work. The Agreement notes that the Village had submitted
       to the Church and the Library “a preliminary analysis and estimate of the work related to the
       rehabilitation and future maintenance of [the Pond].” An attachment to the Agreement sets
       forth the proposed work, which includes excavation and reshaping of the Pond’s slopes.
¶ 10        The Watershed Ordinance was enacted in October 1992 and has since been amended
       several times. Plaintiff’s complaint makes extensive reference to the Watershed Ordinance.
       The complaint contains two significant block quotations from the Watershed Ordinance. The
       first is from the “purpose” section of the ordinance (Lake County Watershed Development
       Ordinance, art. I(B) (amended Aug. 14, 2001)). Several specific purposes are listed, including
       the objectives of preventing flooding and drainage hazards, specifically those stemming from
       “development,” and protecting buildings and improvements from flood damage “to the

                                                   -3-
       greatest extent possible.” Lake County Watershed Development Ordinance, art. I(B)(6)
       (amended Aug. 14, 2001). The complaint also quotes a section stating that “[n]o person, firm,
       corporation or governmental agency” may commence certain developments without obtaining
       “a Watershed Development Permit from the Stormwater Management Commission or, if
       applicable, the Certified Community.” Lake County Watershed Development Ordinance, art.
       IV(A)(1) (amended Aug. 14, 2001). The Watershed Ordinance grants certified communities
       the power to enforce its requirements. Lake County Watershed Development Ordinance, art.
       III (amended Aug. 14, 2001). At all times relevant here, the Village was a certified community.
¶ 11        Following the complaint’s quotations from the Watershed Ordinance is a three-page
       enumerated list of mandates from the Watershed Ordinance. Plaintiff alluded to, inter alia, (1)
       platting and reporting requirements relating to runoff and base flood elevation (BFE), (2)
       design dictates for stormwater detention facilities, and (3) limits on detention release rates.
       After each requirement is a specific citation to a provision of the Watershed Ordinance.
¶ 12        The general allegations of the complaint proceed to state that, in addition to “having the
       legal duty to comply with” the Watershed Ordinance, the Village and the Library “had a
       common law duty to refrain from collecting water and discharging it onto [the Property].”
¶ 13        The general allegations go on to describe (1) the development of the various parcels, (2) the
       work that the Village performed on the Pond, and (3) the flood that resulted from those
       activities. The allegations state as follows. In 2002, the Village commenced work on the Pond.
       The Village knew of its obligations under the Watershed Ordinance but “utterly disregarded
       the law” in “reconstructing and thereafter maintaining the Pond so that the Pond, upon
       overflowing, would spill onto” the Property. Subsequent to the Village’s work on the Pond, the
       Village constructed a police station on the Village Parcel and the Library constructed a library
       facility on the Library Parcel. Both entities made their improvements without “obtain[ing] the
       necessary permits under [the Watershed Ordinance],” and the Village also “disregarded its
       own ordinance and [the Agreement] by building a police department with impervious surface
       coverage in excess of 60%.” (As to the Village’s alleged violation of “its own ordinance,”
       plaintiff provided more detail in count III against the Village.) Plaintiff alleged that, “[a]s the
       Village allowed additional private development of [the Subdivision] without compliance with
       [the Watershed Ordinance] and [the Agreement], the threat of flooding [the Building] grew.”
       In April 2013, “after heavy rains, the shoreline of the Pond crept perilously close to [the
       Property].” Though the Village placed sandbags “along or near the property line of the
       Village-controlled Pond and [the Property],” the Pond overflowed on June 26, 2013, spilling
       water into the lower floor of the Building.
¶ 14        Plaintiff’s complaint contained eight counts. Counts I, II, III, VI, and VII named the
       Village. Count I alleged “willful and wanton trespass,” count II alleged “negligent trespass ***
       breach of duties imposed by [the Watershed Ordinance],” and count III alleged “negligent
       trespass *** breach of common law duties.” Counts I through III, like the remaining counts,
       incorporated all of the general allegations, including the allegation that the development of the
       Library Parcel contravened the Agreement and the Watershed Ordinance. The allegations
       specific to counts I through III, however, focused on the Village’s rehabilitation of the Pond
       and the Village’s later development of the Village Parcel. Both counts I and II alleged that the
       rehabilitation and development violated the Agreement and the Watershed Ordinance, but
       count I alleged that the violations were willful and wanton, while count II alleged that the
       violations were merely negligent. With specific citations to the Watershed Ordinance, counts I

                                                    -4-
       and II alleged the following ways in which the Village departed from the Watershed Ordinance
       in rehabilitating the Pond:
                    “(a) Failed to calculate, or properly calculate, the Base Flood Elevation (BFE) and
               failed to calculate BFE based on offsite tributary area ***.
                    (b) Failed to prepare plats and plans which depict, or accurately depict, the location
               of the Pond and the BFE and/or the Pond and the BFE in relation to [the Property] ***.
                    (c) Failed to prepare run-off calculations based on intense rainfalls ***.
                    (d) Failed to calculate volume of detention storage in addition to existing storage
               ***.
                    (e) Failed to make proper determination of release rates and to calculate the release
               rates for the Pond based on offsite drainage area and the available capacity of the
               30[-]inch outlet ***.
                    (f) Failed to plan, design and construct a safe overland flow route in case of
               emergency overflow so as to avoid damage to structures including [the Building] ***.
                    (g) Failed to plan, design and construct the Pond taking into account the area of
               offsite tributary ***.
                    (h) Failed to obtain [a] dam safety permit ***.
                    (i) Failed to plan, design and construct the Pond so that all structures in parcels
               containing or adjoining to an overland flow path have a lowest adjacent grade a
               minimum of one foot above the design high water elevation ***.
                    (j) Failed to prepare as[-]built designs that would reveal violations of [the
               Watershed Ordinance] ***.
                    (k) Constructed the Pond—a stormwater detention facility—within a regulatory
               flood plain and constructed the Pond without determinations of BFE and added a
               restricted outlet (without redesign of [the] Pond to a safe BFE) and with a high water
               elevation that extended onto the [Property] making the [Property] a de facto spillway
               for the Pond ***.
                    (l) Failed to inspect its own property (the Pond and the Village Parcel) or made an
               inspection not adequate to ascertain its condition as violative of [the] law.”
¶ 15       Counts I and II alleged that the Village “was able to avoid having its illegal conduct
       detected by law enforcement authorities, including the Lake County Storm Water Management
       Commission (SMC), by failing to inform SMC or state authorities of its acquisition of the Pond
       Parcel, its illegal ‘rehabilitation’ of the Pond, and its later maintenance and repair to the Pond
       from 2003 through 2013.” Plaintiff further alleged that the police station subsequently
       constructed on the Village Parcel “had an impervious surface area greater than 60%.”
       According to plaintiff, “[t]his development created additional discharge of stormwater flowing
       into the Pond, making it more likely that [the Property] would become the Pond’s spillway.”
       Further, “despite the fact that the Village[’s] development of the surrounding lands made the
       illegal rehabilitation even more dangerous with the addition of developments that did not
       comply with legal requirements, the Village never warned [p]laintiff that her property had
       been made a spillway to accommodate its development.” The Village “failed to inspect its
       Pond, or failed to adequately inspect for the aforesaid violations[,] and the Village never
       prepared plans compliant with [the Watershed Ordinance], thus making the illegal
       ‘rehabilitation’ more and more perilous to [the Property].”

                                                    -5-
¶ 16       Both counts I and II further alleged that, as a direct and proximate result of the Village’s
       “acts and omissions *** and concealment [of them],” the Pond “received waters from a heavy
       rain, rose to such a level it would otherwise not have risen, and spilled onto the [Property].”
¶ 17       Count III related the same history concerning the rehabilitation of the Pond, the
       development of the Village Parcel, and the flooding of the Building. In count III, however,
       plaintiff asserted liability based on (1) the Village’s “common law duties not to cast water upon
       the property of its neighbor” and (2) the Village’s own ordinances. Plaintiff alleged the
       following specific breaches or violations:
                    “(a) In April, 2013, failed to properly place sandbags upon the shoreline so as to
               prevent water in [the Pond] from pouring onto [the Property];
                    (b) In April, 2013, failed to place a sufficient number and quantity of sandbags
               between the waterline and [the Property], so as to prevent water in [the Pond] from
               pouring onto [the Property];
                    (c) Failed to maintain sandbags after April, 2013, through June 25, 2013, in
               adequate numbers so as to prevent water in [the Pond] from pouring onto [the
               Property];
                    (d) Failed to maintain sandbags after April, 2013, through June 26, 2013, in a
               proper place so as to effectively contain water within the Village’s Pond and so that the
               water would not pour into [the Building] upon [the Property];
                    (e) In 2000 and thereafter, failed to properly design, plan, supervise, observe or
               manage the construction of the shoreline of [the Pond] to assure that when the [P]ond
               overflowed, its water would not all spill onto [the Property];
                    (f) Failed to provide open grate catch basins at an elevation necessary to receive
               surface water runoff before such runoff from the Village Pond could spill onto [the
               Property];
                    (g) Failed to provide storm water sewer drainage away from [the Property] as
               quickly as possible and discharge into the storm water sewer system, as required by
               Village Ordinance Title 10, Chapter 6, Section 4;
                    (h) Failed to require the vacant, non-buildable areas of development adjacent to
               [the Building] to be graded to drain into the storm sewerage system, as required by
               Village Ordinance Title 10, Chapter 5, Section 4;
                    (i) Failed to inspect and test storm sewers and appurtenance adjacent to, upon or
               serving [the Pond] in violation of Village Ordinance Title 10, Chapter 6, Section 4(r);
                    (j) Constructed a shoreline to [the Pond] with such a topography that [the Property]
               would be a bypass channel functioning as a duct to carry the Village’s storm and
               floodwater runoff away from other areas and onto [the Property];
                    (k) Otherwise acted negligently to allow waters from the Pond to spill onto [the
               Property];
                    (l) Failed to inspect its own property (the Pond and the Village Parcel) or [to make]
               an inspection adequate to ascertain its condition as violative of [the] law.”
       The balance of count III repeated essentially the same allegations contained in counts I and II.
¶ 18       Count VI asserted “plaintiff third party beneficiary—breach of contract” based on the
       following violations of the Agreement:


                                                   -6-
                    “(a) In 2006 and 2007, [the Village] built upon and improved the Village Parcel so
                that it had impervious coverage greater than 60%, thus increasing discharge of water
                into the Pond;
                    (b) In 2004 through 2005, the Village approved development upon the Church
                [P]arcel which had impervious coverage greater than 60%, thus increasing discharge of
                water into the Pond;
                    (c) The Village failed to undertake all necessary rehabilitation and future
                maintenance of the Pond as required by [the Watershed Ordinance] and to the fullest
                extent possible without causing the high water elevation of the Pond to be expanded
                outward;
                    (d) The Village permitted development within the [S]ubdivision with
                improvements that created impervious coverage to exceed 60%;
                    (e) The Village’s action that inhibits, impairs, or interrupts the function of the Pond;
                and
                    (f) The Village, after improving its properties, and after otherwise permitting the
                Village Parcel, the Library Parcel, and the Church Parcel to have impervious coverage
                that exceeds 60%, have [sic] failed to provide for an increase in Pond capacity.”
       Plaintiff alleged that, as a direct and proximate result of these breaches, the Pond overflowed
       and flooded the Building.
¶ 19        In count VII, the last of the five counts against the Village, plaintiff sought a writ of
       mandamus directing the Village to take the following actions to bring the Village Parcel and
       the Pond into compliance with the Agreement and the Watershed Ordinance:
                    “A. To redesign and construct the Village Parcel so that it has no more than a 60%
                impervious surface coverage, and/or;
                    B. Modify the Pond to lower the BFE, and/or;
                    C. To report to the Lake County Stormwater Management Commission that it has
                developed the Village Parcel and the Pond Parcel in violation of [the Watershed
                Ordinance], and/or;
                    D. To build appropriate levy and berms to protect [the Property], and/or;
                    E. To redesign and reconstruct the Pond Parcel and [the] Pond so that the Pond, its
                design, construction, and maintenance compl[y] with the mandates of [the Watershed
                Ordinance].”
¶ 20        The Village filed a hybrid motion to dismiss all counts against it, pursuant to section
       2-619.1 of the Code of Civil Procedure (Code) (735 ILCS 5/2-619.1 (West 2014)). The Village
       made several contentions that plaintiff’s complaint failed to state a cause of action and so
       should be dismissed under section 2-615 of the Code (735 ILCS 5/2-615 (West 2014)
       (dismissal of claims because of a legal deficiency appearing on the face of the complaint)).
       One such contention was that, under the public duty rule, the Village owed plaintiff no duty of
       care in connection with the matters plaintiff alleged. See Zimmerman v. Village of Skokie, 183
       Ill. 2d 30, 32 (1998) (“The public duty rule is a long-standing precept which establishes that a
       governmental entity and its employees owe no duty of care to individual members of the
       general public to provide governmental services, such as police and fire protection.”). The
       Village also cited, as “affirmative matter avoiding the legal effect of or defeating [plaintiff’s]
       claim[s]” (735 ILCS 5/2-619(a)(9) (West 2014)), four provisions of the Tort Immunity Act

                                                     -7-
       (745 ILCS 10/1-101 et seq. (West 2014)). The Village cited sections 2-103, 2-104, 2-202, and
       3-105 of the Tort Immunity Act (745 ILCS 10/2-103, 2-104, 2-202, 3-105 (West 2014)).
       Following a hearing, of which there is no transcript in the record, the court issued a written
       order dismissing all counts against the Village. The order stated no reasons for the dismissal.
¶ 21       Plaintiff filed a motion to reconsider. This, too, was brought to hearing, but there is no
       transcript in the record. In its written order denying the motion, the court found all claims
       against the Village barred because “the flood was an act of God; the tort immunity cited by [the
       Village] immunized the Village from liability.”
¶ 22       Plaintiff filed this timely appeal.

¶ 23                                          II. ANALYSIS
¶ 24                                    A. Preliminary Discussion
¶ 25        Plaintiff challenges the dismissal of her first amended complaint. The Village’s hybrid
       motion under section 2-619.1 of the Code invoked the standards of section 2-615 and section
       2-619 of the Code. A motion to dismiss under section 2-615 of the Code challenges the legal
       sufficiency of a complaint based on defects apparent on its face. Marshall v. Burger King
       Corp., 222 Ill. 2d 422, 429 (2006). In contrast, a motion to dismiss pursuant to section 2-619
       admits the legal sufficiency of the complaint but asserts some other matter that defeats the
       claim. Patrick Engineering, Inc. v. City of Naperville, 2012 IL 113148, ¶ 31. For instance,
       subsection (a)(9) of section 2-619 provides for dismissal of a claim that is “barred by ***
       affirmative matter avoiding the legal effect of or defeating the claim” (735 ILCS 5/2-619(a)(9)
       (West 2014)). An “affirmative matter” under section 2-619(a)(9) is “ ‘something in the nature
       of a defense which negates the cause of action completely.’ ” Van Meter v. Darien Park
       District, 207 Ill. 2d 359, 367 (2003) (quoting Illinois Graphics Co. v. Nickum, 159 Ill. 2d 469,
       486 (1994)). Here, the trial court held that plaintiff’s claims were barred by the Tort Immunity
       Act. The immunity granted by the Tort Immunity Act is an affirmative matter properly raised
       in a section 2-619(a)(9) motion to dismiss. Id. We review de novo the dismissal of a complaint
       pursuant to section 2-619(a)(9). Smith v. Waukegan Park District, 231 Ill. 2d 111, 115 (2008).
¶ 26        Our threshold task is to clarify the distinctions, as we see them, among the five counts
       against the Village. We are prompted to do so by the parties’ disagreement over whether, as the
       trial court assumed, the Tort Immunity Act applies to all five counts. The parties’ specific
       quarrel is over the proper characterization of counts VI and VII.
¶ 27        Section 2-101 of the Tort Immunity Act (745 ILCS 10/2-101 (West 2014)) clarifies the
       kinds of claims to which its immunity applies. First, “[n]othing in this Act affects the right to
       obtain relief other than damages against a local public entity or public employee.” Id. Second,
       “[n]othing in this Act affects the liability, if any, of a local public entity or public employee,
       based on *** [c]ontract.” 745 ILCS 10/2-101(a) (West 2014).
¶ 28        The Village claims that counts VI and VII are properly construed as having tort elements,
       because they allege (either directly or by incorporation of the complaint’s general allegations)
       that the Village had a legal duty to comply with the Watershed Ordinance and with
       common-law restraints on water drainage. The Village is mistaken. First, whether count VII
       has tort elements is inapposite to whether the Tort Immunity Act applies, because the relief
       sought is not damages but a writ of mandamus. Cf. People ex rel. Birkett v. City of Chicago,
       325 Ill. App. 3d 196, 204 (2001) (the Tort Immunity Act does not bar actions for injunctions).


                                                   -8-
       Second, as to count VI, its references to the Watershed Ordinance and common-law duties do
       not change the character of the count. The focus of count VI is the Village’s duties under the
       Agreement, and to the extent that the count references duties outside the Agreement, we may
       disregard them as surplusage and so preserve the integrity of the count as a claim for breach of
       contract. See Cole v. Guy, 183 Ill. App. 3d 768, 773-74 (1989) (“If a complaint contains
       allegations that are not necessary to the plaintiff’s cause of action, a court will treat those
       allegations as mere surplusage, which does not destroy the sufficiency of the plaintiff’s
       complaint.”). Consequently, counts VI and VII fall within express exclusions in section 2-201
       of the Tort Immunity Act.
¶ 29       The Village, however, proposes independent grounds for sustaining the dismissal of counts
       VI and VII. We will consider them below. At present, we examine the dismissal of counts I
       through III, which are the tort claims.

¶ 30                                        B. Counts I Through III
¶ 31        As we turn to counts I through III, we note that they overlap with count VI in the further
       respect that each alleges violations of the Agreement in connection with the development of
       the parcels surrounding the Pond. However, in counts I through III, the allegations regarding
       the Agreement appear mostly by incorporation of the general allegations, the sole reference
       among the counts’ specific allegations being a comment that the police station built by the
       Village had “impervious surface area greater than 60%.” As this allegation is ancillary to
       counts I through III but is the focus of count VI, our consideration of the Agreement is reserved
       for our discussion of count VI.
¶ 32        The conduct at issue in counts I through III is (1) the Village’s development and
       maintenance of the Pond, (2) the Village’s development of the Village Parcel, and (3) the
       Library’s development of the Library Parcel, which the Village “allowed.” Counts I and III
       allege negligence, and count II alleges willful and wanton conduct. For standards of care,
       counts I and II cite the Watershed Ordinance, while count III cites both the Village’s own
       ordinances and common-law standards.
¶ 33        The trial court found all three counts barred by the Tort Immunity Act. The Village defends
       the finding of immunity but also proposes an alternative basis for affirming the dismissal. As it
       did below in moving for dismissal, the Village contends that it did not owe plaintiff a duty of
       care. This is a question distinct from, and precedent to, the question of whether the Tort
       Immunity Act applies. “The distinction between an immunity and a duty is crucial, because
       only if a duty is found is the issue of whether an immunity or defense is available to the
       governmental entity considered ***.” Zimmerman, 183 Ill. 2d at 46.
¶ 34        In general, unless an immunity provision applies, municipalities are liable in tort to the
       same extent as private parties. Van Meter, 207 Ill. 2d at 368-69. Thus, in Van Meter, our
       supreme court held that the common-law duty not to increase the natural flow of surface water
       onto the property of adjacent landowners applied to both private and public landowners. See
       id. at 369; see also Gass v. Metro-East Sanitary District, 186 Ill. App. 3d 1077, 1092-93 (1989)
       (sanitary district owed duty to maintain canal in a condition sufficient to provide an outlet for
       the waters of floods or freshets “as men of ordinary prudence could have foreseen” (internal
       quotation marks omitted)). Counts I, II, and III all allege trespass (willful and wanton in count
       I, negligent in counts II and III), which is clearly a tort applicable to private parties. Thus, in


                                                    -9-
       general, counts I, II, and III allege torts that are applicable to both private and public entities,
       and the Village owed plaintiff a duty of care.
¶ 35       The Village also argues that every count directed against the Village is premised largely
       upon the Watershed Ordinance; however, the Watershed Ordinance prohibits using its terms to
       create liability. Article VIII of the ordinance, entitled “DISCLAIMER OF LIABILITY,”
       states:
                “It is recognized that although the degree of flood protection required by this ordinance
                is considered reasonable for regulatory purposes and is based on scientific and
                engineering considerations, on occasions greater floods can and will occur, and flood
                heights may be increased by man-made or natural causes. These provisions do not
                imply that land outside the flood-plain areas or that uses permitted within such areas
                will be free from flooding or flood damages. These provisions shall not create liability
                on the part of the Stormwater Management Commission nor any Certified Community
                nor any officer or employee thereof for any claims, damages or liabilities that result
                from reliance on this Ordinance or any administrative decision lawfully made
                thereunder.” Lake County Watershed Development Ordinance, art. VIII (amended
                Aug. 14, 2001).
       Thus, according to the Village, liability cannot be created against it under the Watershed
       Ordinance.
¶ 36       We disagree. The Watershed Ordinance states that its provisions “shall not create liability
       *** for any claims, damages or liabilities that result from reliance on this Ordinance or any
       administrative decision lawfully made thereunder.” (Emphasis added.) Id. Plaintiff alleges that
       her damages arose, not because the Village relied on the Watershed Ordinance and made
       decisions based on its requirements, but because the Village ignored the ordinance, did not
       follow its strictures, and did not lawfully make administrative decisions pursuant to it. The
       disclaimer of liability seeks to protect governmental entities that follow the Watershed
       Ordinance’s requirements, not those who ignore them. Therefore, the disclaimer does not bar
       liability on the part of the Village.
¶ 37       The Village also invokes the public duty rule as a basis for finding no duty of care, arguing
       that, under the rule, a municipality and its employees owe no duty to provide an individual
       citizen with specific municipal services, such as police and fire protection, or to enforce local
       laws and building codes. See Belton v. Forest Preserve District, 407 Ill. App. 3d 409, 426
       (2011). However, our supreme court has recently abolished the public duty rule. See Coleman
       v. East Joliet Fire Protection District, 2016 IL 117952. Thus, we will proceed to the Tort
       Immunity Act.
¶ 38       The Tort Immunity Act “serves to protect local public entities and public employees from
       liability arising from the operation of government.” Van Meter, 207 Ill. 2d at 368. “By
       providing immunity, the General Assembly sought to prevent the dissipation of public funds
       on damage awards in tort cases.” Id. “The Tort Immunity Act grants only immunities and
       defenses; it does not create duties. Rather, the Tort Immunity Act merely codifies existing
       common-law duties, to which the delineated immunities apply.” In re Marriage of Murray,
       2014 IL App (2d) 121253, ¶ 36. “Since the [Tort Immunity] Act was enacted in derogation of
       the common law, it must be strictly construed.” Van Meter, 207 Ill. 2d at 368. “Unless an
       immunity provision applies, municipalities are liable in tort to the same extent as private
       parties.” Id. at 368-69. “Because the immunities afforded to governmental entities operate as

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       an affirmative defense, those entities bear the burden of properly raising and proving their
       immunity under the Act.” Id. at 370. Immunity under the Tort Immunity Act is an affirmative
       matter properly raised in a section 2-619(a) motion to dismiss. Id. at 367. We review de novo a
       construction of the Tort Immunity Act. Smith, 231 Ill. 2d at 115.
¶ 39        In its motion to dismiss, the Village cited four sections of the Tort Immunity Act and now
       relies on those same sections. They are sections 2-103, 2-104, 2-206, and 3-105 (745 ILCS
       10/2-103, 2-104, 2-206, 3-105 (West 2014)). Section 2-103 provides: “A local public entity is
       not liable for an injury caused by adopting or failing to adopt an enactment or by failing to
       enforce any law” (745 ILCS 10/2-103 (West 2014)).
¶ 40        Denying that section 2-103 applies here, plaintiff notes that the dictionary definition of
       “enforce” is “[t]o give force or effect to (a law etc.); to compel obedience to” (Black’s Law
       Dictionary 549 (7th ed. 1999)). See People v. Dabbs, 239 Ill. 2d 277, 288 (2010) (dictionary
       definitions may be consulted to determine the plain and ordinary meaning of a statutory term).
       Plaintiff concludes from this definition that:
                 “the obvious intent of this immunity is to insulate municipalities like the Village from
                 liability for failures to enforce its own ordinances. To suggest the immunity protects
                 the Village from having to follow the laws of the Federal, State or County governments
                 is to ascribe a meaning to the statute that conflicts with its clear language.”
¶ 41        Plaintiff presses here a distinction between nonenforcement and noncompliance. We agree
       with this distinction. The distinction existed before the Tort Immunity Act’s passage in 1965.
       The common law has long distinguished, for liability purposes, between (1) injuries tied to a
       local public entity’s passivity and (2) injuries tied to its activity. For instance, our supreme
       court has observed that section 2-103 codifies (at least in part) the common-law public duty
       rule, namely, that “municipalities are not liable in tort to members of the general public for
       failure to enforce local laws or ordinances.” Burdinie v. Village of Glendale Heights, 139 Ill.
       2d 501, 507-08 (1990) (citing Ill. Rev. Stat. 1989, ch. 85, ¶ 2-103), overruled on other grounds
       by Coleman, 2016 IL 117952. Although the public duty rule was recently abolished by the
       supreme court (see generally Coleman, 2016 IL 117952), this did not impact its codification in
       section 2-103.
¶ 42        Failure to enforce local laws or ordinances was not the only kind of passivity that the
       common law generally insulated from liability. A municipality has no duty under the common
       law to make public improvements. West v. Kirkham, 147 Ill. 2d 1, 14 (1992). However, “[o]nce
       a municipality decides to perform a public work, the municipality must perform the public
       work with reasonable care and in a nonnegligent manner.” Trtanj v. City of Granite City, 379
       Ill. App. 3d 795, 806 (2008) (citing Snyder v. Curran Township, 167 Ill. 2d 466, 474-75
       (1995)). This general duty of care encompasses the more specific duty “not to increase the
       natural flow of surface water onto the property of an adjacent landowner.” Van Meter, 207 Ill.
       2d at 369. The duty of care also includes the duty to comply with relevant statutes and
       ordinances that are designed to protect human life or property (as is, apparently, the Watershed
       Ordinance). See Parsons v. Carbondale Township, 217 Ill. App. 3d 637, 648 (1991) (holding
       that township’s violation of a provision of the Illinois Vehicle Code (Ill. Rev. Stat. 1989, ch.
       95½, ¶ 11-304) on placement of traffic control devices was prima facie evidence of
       negligence).
¶ 43        Section 3-103(a) of the Tort Immunity Act codifies this common-law duty of care in the
       making of public improvements. 745 ILCS 10/3-103(a) (West 2014). Section 3-103(a)

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       insulates a local public entity from liability “for an injury caused by the adoption of a plan or
       design of a construction of, or an improvement to public property,” but it states that the entity
       will be liable “if after the execution of such plan or design it appears from its use that it has
       created a condition that is not reasonably safe.” Id. The liability recognized here stems from the
       public entity’s activity (which might involve noncompliance with an enactment). Section
       3-103(a) buttresses the conclusion that what the legislature meant to insulate by way of section
       2-103 was strictly the passivity of nonenforcement.
¶ 44       Plaintiff does not allege merely that the Village failed to stop other parties from violating
       the Watershed Ordinance and causing water to spill onto the Property. Instead, plaintiff alleges
       that the Village itself failed to follow the Watershed Ordinance and was therefore liable for the
       damage to the Property when the Pond overflowed its banks. Paragraph 50 of count I and
       paragraphs 51 of counts II and III list 12 specific failures of the Village to follow the strictures
       of the Watershed Ordinance as it related to the reconstruction of the Pond, and plaintiff also
       raises allegations regarding the development of the Village Parcel as it related to excess
       impervious surface area and the reconstruction of the Pond such that it became a spillway onto
       the Property. These allegations have nothing to do with failing to enforce the law; they have
       everything to do with failing to follow the law. Thus, section 2-103 provides no immunity to
       the Village.
¶ 45       Sections 2-104 and 2-206 of the Tort Immunity Act grant immunity to local public entities
       and public employees for injuries caused by the issuance, denial, suspension, or revocation of,
       or by the failure or refusal to issue, deny, suspend, or revoke any permit, license, certificate,
       approval, order, or similar authorization where the entity or employee is authorized by
       enactment to determine whether the authorization should be issued, denied, suspended, or
       revoked. See 745 ILCS 10/2-104 (West 2014) (entities); 745 ILCS 10/2-206 (West 2014)
       (employees).
¶ 46       We conclude that sections 2-104 and 2-106 of the Tort Immunity Act provide no immunity
       to the Village. Plaintiff does not allege that the Village or any of its employees improperly
       determined whether some “permit, license, certificate, approval, order or similar
       authorization” should or should not have been issued. It is the Village’s actions in
       reconstructing the Pond and developing the Village Parcel, not its administrative actions
       regarding permits or approvals for such reconstruction and development, that form the basis of
       plaintiff’s contentions in counts I, II, and III.
¶ 47       We next consider the immunity provided by section 3-105(a) of the Tort Immunity Act,
       which provides:
               “Neither a local public entity nor a public employee is liable for an injury caused by the
               effect of weather conditions as such on the use of streets, highways, alleys, sidewalks
               or other public ways, or places, or the ways adjoining any of the foregoing, or the
               signals, signs, markings, traffic or pedestrian control devices, equipment or structures
               on or near any of the foregoing or the ways adjoining any of the foregoing. For the
               purpose of this section, the effect of weather conditions as such includes but is not
               limited to the effect of wind, rain, flood, hail, ice or snow but does not include physical
               damage to or deterioration of streets, highways, alleys, sidewalks, or other public ways
               or place or the ways adjoining any of the foregoing, or the signals, signs, markings,
               traffic or pedestrian control devices, equipment or structures on or near any of the


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                foregoing or the ways adjoining any of the foregoing resulting from weather
                conditions.” 745 ILCS 10/3-105(a) (West 2014).
       According to the Village, plaintiff’s complaint “clearly alleges that it was a heavy rain that
       ultimately caused the water to overflow into the pond.” The Village then argues that
       “[d]amages caused by the effect of weather conditions, which specifically includes rain, are
       immunized pursuant to Section 3-105.” Further, the Village avers there are no exceptions to
       the section 3-105 immunity and plaintiff is asking this court “to create exceptions for the
       weather conditions when the legislature has not.” We disagree.
¶ 48        We first note that section 3-105(a) provides immunity for injuries caused by the “effect of
       weather conditions as such on the use of streets, highways, alleys, sidewalks or other public
       ways, or places, or the ways adjoining any of the foregoing.” Id. However, the damage in this
       case was not alleged to have been caused by the effect of weather on streets or sidewalks.
       Plaintiff alleged that the flooding of the Building was caused by the Village’s errors in
       reconstructing the Pond and in developing the Village Parcel near the Pond. The classic
       applications of section 3-105 are to accumulations of snow or ice on streets and sidewalks (see,
       e.g., Ziencina v. County of Cook, 188 Ill. 2d 1 (1999); Rios v. City of Chicago, 331 Ill. App. 3d
       763 (2002)) and to defective streets and sidewalks (see, e.g., Horton v. City of Ottawa, 40 Ill.
       App. 3d 544 (1976)). We fail to see how section 3-105 applies here, and we conclude that
       section 3-105 provides no immunity to the Village.
¶ 49        We also note that, in denying plaintiff’s motion to reconsider, the trial court remarked that
       “the flood was an act of God; the tort immunity cited by [the Village] immunized the Village
       from liability.” Perhaps “act of God” was a reference to section 3-105 of the Tort Immunity
       Act. Perhaps “act of God” was a reference to the common-law doctrine of that name. “ ‘A loss
       or injury is due to the act of God[ ] when it is occasioned exclusively by natural causes such as
       could not be prevented by human care, skill[,] and foresight.’ ” Evans v. Brown, 399 Ill. App.
       3d 238, 246 (2010) (quoting Wald v. Pittsburgh, Cincinnati, Chicago & St. Louis R.R. Co., 162
       Ill. 545, 551 (1896)). “[L]iability is only precluded if the alleged act of God constitutes the sole
       and proximate cause of the injuries.” (Emphasis added.) Id. Plaintiff alleged that the Pond
       overflowed following “heavy” rains, but whether the rain was the “sole and proximate” cause
       of the alleged injuries is a question of fact inappropriate for resolution at this stage in the
       proceedings.
¶ 50        How the trial court came to rely on the “act of God” doctrine, if indeed it did, is perplexing
       because the Village did not raise the doctrine in its pleadings. The Village might have raised it
       at one or both of the hearings on the pleadings, or the court might have raised it sua sponte. We
       do not know, because plaintiff has included neither transcript in the record on appeal. Where,
       as here, the standard of review is de novo, the reviewing court may proceed without a record of
       the trial court’s reasons. Friedl v. Airsource, Inc., 323 Ill. App. 3d 1039, 1042 n.2 (2001).
       However, it is always helpful to know the reasons, if any, given by the trial court, and in this
       case, the transcripts might well have explained the “act of God” reference in the written order.

¶ 51                                         C. Counts VI and VII
¶ 52       We turn to counts VI and VII. As discussed, the trial court erred by finding them barred by
       the Tort Immunity Act. The Village, however, proposes alternative grounds for affirming the
       dismissal. “It is well settled that a reviewing court is not bound by the reasons given for a trial
       court’s judgment and may affirm on any basis supported by the record regardless of whether

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       the trial court relied on the same basis.” Schultz v. Schultz, 297 Ill. App. 3d 102, 106 (1998).
       The Village’s contentions on these counts go to the sufficiency of the allegations. See 735
       ILCS 5/2-615 (West 2014).
¶ 53        Count VI alleged breach of contract against the Village, with plaintiff as a third-party
       beneficiary. According to count VI, “the primary purpose of the Easement Agreement was and
       now remains to benefit the Plaintiff, the Pond Parcel and the *** Property.” The Village
       contends that plaintiff, who was not a party to the Agreement, was not a third-party beneficiary
       either and so has no right to sue under the Agreement. “ ‘The well-established rule in Illinois is
       that if a contract is entered into for the direct benefit of a third person, the third person may sue
       for a breach of the contract in his or her own name, even though the third person is a stranger to
       the contract and the consideration.’ ” Barba v. Village of Bensenville, 2015 IL App (2d)
       140337, ¶ 21 (quoting Olson v. Etheridge, 177 Ill. 2d 396, 404 (1997)). In contract
       interpretation, however, there is a strong presumption that the contracting parties did not intend
       to confer benefits on noncontracting parties. Id. ¶ 22. Illinois law recognizes two types of
       third-party beneficiaries: intended and incidental. Hacker v. Shelter Insurance Co., 388 Ill.
       App. 3d 386, 394 (2009). Only an intended third-party beneficiary may enforce rights under a
       contract. Bank of America National Ass’n v. Bassman FBT, L.L.C., 2012 IL App (2d) 110729,
       ¶ 27. It is not enough that a third party will reap incidental benefits from the contract; the
       benefit must instead be intended. F.H. Paschen/S.N. Nielsen, Inc. v. Burnham Station, L.L.C.,
       372 Ill. App. 3d 89, 96 (2007). Intent to benefit a third party is to be determined from the
       contract provisions and from the circumstances attending the execution of the contract.
       Advanced Concepts Chicago, Inc. v. CDW Corp., 405 Ill. App. 3d 289, 293 (2010). So strong
       is the presumption against third-party-beneficiary status that an intent to benefit a third party
       must have “ ‘practically an express declaration.’ ” Barba, 2015 IL App (2d) 140337, ¶ 22
       (quoting F.H. Paschen/S.N. Nielsen, Inc., 372 Ill. App. 3d at 96). The plaintiff bears the burden
       of showing her status as a third-party beneficiary. Martis v. Grinnell Mutual Reinsurance Co.,
       388 Ill. App. 3d 1017, 1020 (2009).
¶ 54        Here, having no extrinsic evidence of the circumstances surrounding the execution of the
       Agreement, we concentrate on the language of the document. The parties to the Agreement are
       the Church, the Library, and the Village, all owners of parcels contiguous to, or one lot
       removed from, the Pond Parcel. The Agreement recites that the Pond “was designed and
       constructed to accommodate maximum storm water flows (the ‘Pond Capacity’) from the
       Library Parcel, the Village Parcel, the Church Parcel, and the Pond Parcel.” Further, the parties
       have used the Pond for stormwater detention and their intent is to “permanently protect the
       establishment, use, and maintenance of [the Pond] for its intended purposes.” The Agreement
       contemplates future development of the parties’ parcels and requires that they maintain a limit
       of 60% impervious surface coverage. The Agreement does not mention plaintiff, the Building,
       or the Property. The Agreement’s one mention of nonparties is the following: “In protecting
       the function of [the Pond], the Village shall not approve or permit additional or increased storm
       water discharge into [the Pond] by or for the benefit of any user not a party to this Agreement
       beyond use which currently exists.” By this provision, the Village is required to limit the
       stormwater discharge of nonparties. There is no indication, however, of an intent to benefit
       anyone but the parties to the Agreement.
¶ 55        Plaintiff contends that, nonetheless, she is a third-party beneficiary of the Agreement:



                                                    - 14 -
                “Plaintiff pled that [the Building] was adjacent to the Pond Parcel and that the first and
                perhaps only party to whom the benefit of the promise would be conferred was this
                [p]laintiff. Plaintiff’s building was the only building next to the Pond when [the
                Agreement] was signed.”
       Here plaintiff cites the contiguity of the Property to the Pond Parcel, but it is not enough under
       the law that plaintiff would reap an incidental benefit from the Agreement. Indeed, the very
       contiguity of the Property to the Pond Parcel supports the inference that the failure to mention
       the Property was deliberate. At the very least, plaintiff, who has the burden on this issue, has
       not established that the inference is unreasonable. Consequently, since the Agreement contains
       nothing that is “ ‘practically an express declaration’ ” (Barba, 2015 IL App (2d) 140337, ¶ 22
       (quoting F.H. Paschen/S.N. Nielsen, Inc., 372 Ill. App. 3d at 96)) of an intent to confer a
       benefit on plaintiff, we hold that she has failed to plead her status as a third-party beneficiary.
       Therefore, the dismissal of count VI was not in error. We note that, though the trial court
       dismissed the count with prejudice, the court neither ruled on nor considered whether the
       complaint stated a cause of action—or whether, assuming that legal insufficiency was found,
       the dismissal should be with or without prejudice. The decision to deny leave to amend is
       within the sound discretion of the trial court, and generally the trial court should give a plaintiff
       at least some opportunity to cure the defects in his or her complaint. In re Application of the
       County Collector, 343 Ill. App. 3d 363, 370 (2003). Thus, we affirm the dismissal of count VI,
       but we vacate the court’s determination that the dismissal is with prejudice.
¶ 56       As for count VII, the Village contends that it does not state a cause of action for mandamus.
       “Mandamus is an extraordinary remedy to enforce the performance of official duties by a
       public officer where no exercise of discretion on his part is involved.” Wilson v. Quinn, 2013
       IL App (5th) 120337, ¶ 18. “For a complaint seeking mandamus to withstand a challenge to its
       legal sufficiency, it must allege facts which establish a clear right to the relief requested, a clear
       duty of the respondent to act, and clear authority in the respondent to comply with the writ.” Id.
       Further, there must be no other adequate remedy. Cordrey v. Prisoner Review Board, 2014 IL
       117155, ¶ 18; People ex rel. Madigan v. Snyder, 208 Ill. 2d 457, 465 (2004).
¶ 57       First, we note that plaintiff has another adequate remedy. We have already held that
       plaintiff’s counts sounding in tort are not barred by the Tort Immunity Act; thus, as plaintiff’s
       trespass counts are viable, mandamus will not lie.
¶ 58       We also note that plaintiff’s mandamus count fails for other reasons. Plaintiff’s prayer for
       relief in that count asks that the Village be ordered to perform the following acts:
                    “A. To redesign and construct the Village Parcel so that it has no more than a 60%
                impervious surface coverage, and/or;
                    B. Modify the Pond to lower the BFE, and/or;
                    C. To report to the Lake County Stormwater Management Commission that it has
                developed the Village Parcel and the Pond Parcel in violation of [the Watershed
                Ordinance], and/or;
                    D. To build appropriate levy and berms to protect [the Property], and/or;
                    E. To redesign and reconstruct the Pond Parcel and [the] Pond so that the Pond, its
                design, construction, and maintenance complies with the mandates of [the Watershed
                Ordinance].”



                                                    - 15 -
¶ 59       Other than the relief requested in subparagraph C, all of the requested relief involves the
       exercise of discretion. Redesigning, constructing, modifying, building, and reconstructing are
       actions that require vast numbers of decisions to be made by large numbers of individuals
       exercising their judgment and discretion and are not the types of actions susceptible to an order
       of mandamus.
¶ 60       Further, the Village’s actions regarding the reconstruction and maintenance of the Pond
       were not the performance of official duties by a public officer. The Pond Parcel is owned by
       the Church; the Village rehabilitated and maintained the Pond, not in its official capacity as a
       municipal corporation, but because of its status as a party to the Agreement. This activity did
       not arise from a duty the Village owed to the general public; it is more akin to the actions of a
       neighbor “ ‘who so piles sand close to his boundary that by force of gravity alone it slides
       down onto his neighbor’s land, or who so builds an embankment that during ordinary rainfalls
       the dirt from it is washed upon adjacent lands,’ ” or who “ ‘erects a dam across a stream,
       thereby intentionally causing the water to back up and flood’ ” another’s land. Dial v. City of
       O’Fallon, 81 Ill. 2d 548, 555 (1980) (quoting Restatement (Second) of Torts § 158 cmt. i &
       illus. 5 (1965)). Thus, the Village could not be compelled to perform official duties in regard to
       the Pond because it had only private, not official, duties to perform. For all these reasons, count
       VII was properly dismissed. Moreover, because we have determined that other relief is
       available, we additionally determine that the dismissal with prejudice was proper.

¶ 61                                      III. CONCLUSION
¶ 62      For the foregoing reasons, we affirm the trial court’s dismissal with prejudice of count VII.
       We affirm the dismissal of count VI, but we vacate the finding of prejudice attached to the
       dismissal. We reverse the trial court’s dismissal of counts I, II, and III, and we remand the
       cause for further proceedings.

¶ 63      Affirmed in part and reversed in part.
¶ 64      Cause remanded.




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