Matter of Thorne v Village of Millbrook Planning Bd.
2011 NY Slip Op 02890 [83 AD3d 723]
April 5, 2011
Appellate Division, Second Department
As corrected through Wednesday, June 8, 2011


In the Matter of Oakleigh Thorne et al.,Appellants,
v
Village of Millbrook Planning Board et al., Respondents. Bruce S.Brickman and Associates, Inc., Nonparty Respondent.

[*1]Corbally, Gartland and Rappleyea, LLP, Poughkeepsie, N.Y. (Allan B. Rappleyea ofcounsel), for appellants.

McCabe & Mack, LLP, Poughkeepsie, N.Y. (Richard J. Olson of counsel), for respondentVillage of Millbrook Planning Board, and Veneziano & Associates, Armonk, N.Y. (Mark P.Miller of counsel), for respondents Blumenthal-Brickman, David Blumenthal, and BennettAcquisitions (one brief filed).

In a proceeding pursuant to CPLR article 78 to review four determinations of the Village ofMillbrook Planning Board, all dated November 12, 2008, which, in relation to a certaindevelopment project, issued a negative declaration pursuant to the State Environmental QualityReview Act (ECL art 8), and granted a conservation density development special use permit,preliminary site plan approval, and sketch-plan subdivision plat approval, the petitioners appealfrom a judgment of the Supreme Court, Dutchess County (Dolan, J.), dated October 14, 2009,which, upon a decision of the same court dated July 13, 2009, denied the petition and dismissedthe proceeding.

Ordered that the judgment is affirmed, with costs.

This proceeding involves a plan to build 91 homes on a 27.6-acre site in the Village ofMillbrook, formerly used as Bennett College. In 2005, to encourage development of the site, theVillage created a new zoning district, the Bennett Campus District. The new district permittedtwo-acre single-family residential zoning as of right and provided for a special use permit for upto four dwelling units per acre, termed a conservation density development (hereinafter CDD)(see Village of Millbrook Code § 230-13 [E]). In July 2006 developer BlumenthalBrickman Associates submitted an application to the Planning Board of the Village of Millbrook(hereinafter the Planning Board) for a CDD special permit, as well as site plan and subdivisionapprovals. Three public hearings were held on the application in early 2007. Letters from thecommunity were received, and the developer submitted a revised application.

No further public action was taken on the application until October 2008, when the developersubmitted an expanded environmental assessment form and a revised application. The PlanningBoard called a special meeting for October 3, 2008, to set a date for public hearing on the [*2]application. The public hearing was held, at which the petitionersmade a lengthy presentation and submitted expert reports. The Planning Board then closed thepublic hearing, and subsequently held three workshop meetings with consultants to assess thepotential significant environmental impacts of the project. At the final workshop meeting onNovember 12, 2008, the Planning Board issued a negative declaration pursuant to the StateEnvironmental Quality Review Act (ECL art 8 [hereinafter SEQRA]). The Planning Boardfurther granted the CDD special use permit, and granted preliminary site plan approval andsketch-plan subdivision plat approval. The petitioners commenced this action pursuant to CPLRarticle 78 to review the Planning Board's determinations. The Supreme Court denied the petitionand dismissed the proceeding. The petitioners appeal, and we affirm.

Judicial review of an agency determination under SEQRA is limited to whether the agencyprocedures were lawful and "whether the agency identified the relevant areas of environmentalconcern, took a hard look at them, and made a reasoned elaboration of the basis for itsdetermination" (Matter of Jackson v New York State Urban Dev. Corp., 67 NY2d 400,417 [1986] [internal quotation marks omitted]; see Matter of Riverkeeper, Inc. v Planning Bd. of Town of Southeast, 9NY3d 219, 231-232 [2007]; Matterof Save Open Space v Planning Bd. of the Town of Newburgh, 74 AD3d 1350, 1352[2010]). "In a statutory scheme whose purpose is that the agency decision-makers focus attentionon environmental concerns, it is not the role of the courts to weigh the desirability of any actionor choose among alternatives, but to assure that the agency itself has satisfied SEQRA,procedurally and substantively" (Matter of Jackson v New York State Urban Dev. Corp.,67 NY2d at 416). The agency decision should be annulled only if it is arbitrary and capricious(see Matter of Baker v Village ofElmsford, 70 AD3d 181, 187 [2009]).

A lead agency shall require an environmental impact statement where the proposed action"may have a significant effect on the environment" (ECL 8-0109 [2]). Conversely, a lead agencymay issue a negative declaration where it concludes "that there will be no adverse environmentalimpacts or that the identified adverse environmental impacts will not be significant" (6 NYCRR617.7 [a] [2]). Type I actions are presumed to require the preparation and circulation of anenvironmental impact statement (see Matter of Village of Tarrytown v Planning Bd. of Vil. ofSleepy Hollow, 292 AD2d 617, 619 [2002]; Riverhead Bus. Improvement Dist. Mgt.Assn. v Stark, 253 AD2d 752 [1998]; Matter of Kahn v Pasnik, 231 AD2d 568[1996]). However, a negative declaration may be properly issued on a Type I action where, ashere, the project has been modified during the initial review process to accommodateenvironmental concerns of the lead agency and other interested parties. The modifications mustnegate the continued potentiality of the adverse effects of the proposed action. The modificationsmay not be conditions unilaterally imposed by the lead agency, but adjustments incorporated bythe project sponsor to mitigate concerns identified by the public and the reviewing agencies, andbe publicly evaluated prior to the issuance of the negative declaration (see Matter of Merson vMcNally, 90 NY2d 742, 754-755 [1997]; Matter of Village of Tarrytown v Planning Bd.of Vil. of Sleepy Hollow, 292 AD2d at 619-620). Contrary to the petitioners' contention, themodifications to the project made by the developer were publicly evaluated prior to the issuanceof the negative declaration. The Planning Board took the required hard look at the potentialenvironmental impacts of the project and rationally determined that they had been mitigated suchthat there will be no adverse impacts or that such impacts will not be significant (see 6NYCRR 617.7 [a] [2]). The Planning Board was not required to accept the opinions of thepetitioners' experts over those of its own consultants (see Matter of Brooklyn Bridge Park Legal Defense Fund, Inc. v New YorkState, 50 AD3d 1029 [2008]; Matter of Ball v New York State Dept. of Envtl. Conservation, 35AD3d 732 [2006]).

The Planning Board further properly granted the conservation density development specialuse permit. The Planning Board rationally determined that the requirements for issuance of thespecial use permit were met (see Village of Millbrook Code § 230-13). A referralto the Zoning Board of Appeals was not required (see Matter of East Moriches Prop. Owners' Assn., Inc. v Planning Bd. ofTown of Brookhaven, 66 AD3d 895 [2009]; cf. Matter of Woodland Community Assn. v Planning Bd. of Town ofShandaken, 52 AD3d 991 [2008]).

Contrary to the petitioners' contention, the provision of the Village of Millbrook Coderequiring site plans to conform to all Village laws applies to final site plans, not preliminary siteplans (see Village of Millbrook Code § 230-44 [E]). The outstanding issues raisedby the Planning Board's engineering consultant were to be addressed prior to final site planapproval, and did not preclude preliminary site plan approval.

The Planning Board's issuance of sketch-plan subdivision plat approval is not a final agencyaction subject to CPLR article 78 review (see CPLR 7801 [1]; Matter of BestPayphones, Inc. v Department of Info. Tech. & Telecom. of City of N.Y., 5 NY3d30, 34 [2005]; Matter of Muir v Townof Newburgh, N.Y., 49 AD3d 744 [2008]).

The Supreme Court properly rejected the petitioners' challenges under the Open MeetingsLaw (Public Officers Law § 100 et seq.). The petitioners were not aggrieved by anyinsufficiency in the notice of the meeting of the Planning Board held on November 12, 2008, orinaccessibility of the meeting to those with disabilities (see Public Officers Law§§ 104, 103 [b]; § 107 [1]). In any event, the notice conformed to statutoryrequirements (see Public Officers Law § 104 [2]; Matter of LaLima v County of Suffolk,45 AD3d 845 [2007]; cf. Matter of Oshry v Zoning Bd. of Appeals of Inc. Vil. ofLawrence, 276 AD2d 491 [2000]; Matter of Previdi v Hirsch, 138 Misc 2d 436[1988]). The petitioners' challenge to the notice of the October 3, 2008, meeting of the PlanningBoard was not raised before the Supreme Court and, thus, is not properly before this Court (see e.g. Reyes v Albertson, 62 AD3d855 [2009]). In any event, the petitioners failed to meet their burden of establishing aviolation of the Open Meetings Law in relation to notice of that meeting or that there is goodcause to declare void the Planning Board's action at that meeting, which was merely to schedule adate for a public hearing (see Matter of Gernatt Asphalt Prods. v Town of Sardinia, 87NY2d 668, 686 [1996]; Matter of New York Univ. v Whalen, 46 NY2d 734, 735 [1978];Public Officers Law § 107 [1]).

The petitioners' remaining contentions are without merit. Florio, J.P., Dickerson, Leventhaland Belen, JJ., concur.


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