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Pinson, Judge. Teressa and Alvin Blondell were injured when a pergola swing at a Chatham County apartment complex collapsed while they were sitting on it. Three-and-a-half years later, Teressa also suffered burn injuries when she tried to light a charcoal grill. The Blondells sued the swing manufacturer, the current property owner, and two sets of property managers. The trial court denied summary judgment except as to damages for the burn injuries, which the trial court determined were too remote, and as to a single public nuisance claim against one defendant. The Blondells appealed the grant of summary judgment on their damages claims, and the four defendants cross-appealed to challenge the denial of summary judgment on the other claims. We ultimately affirm all but one of the trial court’s summary judgment orders. First, although proximate cause is typically a jury question, we agree that the absence of proximate cause between the defendants’ alleged swing-related negligence and Teressa’s burn injuries is sufficiently “plain and undisputed” to support summary judgment for defendants as to those damages. Second, the same cannot be said about the swing manufacturer’s failure to provide instructions for hanging the swing: the record contains evidence potentially connecting that failure to the Blondells’ injuries, and that potential cause is not so remote that we can take the rare step of taking that question from the jury. Third, we agree that the acceptance doctrine does not let the property manager that installed the swing off the hook, although for different reasons than the trial court gave. And fourth, we agree that a genuine dispute of fact remains as to whether the current property owner and manager conducted reasonable inspections or were chargeable with constructive knowledge of the hazard posed by the swing, which collapsed soon after they bought and began managing the property. Our only point of disagreement with the trial court has to do with the private nuisance claim: the trial court erred in allowing that claim to go forward because the Blondells failed to make the case that the defendants’ conduct related to the swing caused any continuous invasion of their interest in the land. So, all told, we affirm the judgment of the trial court in each of these appeals except for Case No. A21A0741, which we affirm in part and reverse in part. Background In June 2013, Teressa and Alvin Blondell were sitting on a two-seat pergola swing next to the pool at the Courtney Station Apartments, where they were leasing an apartment.[1] The swing partially dislodged from the overhead beam from which it was suspended, and both Blondells fell to the concrete below and suffered injuries. Teressa was knocked unconscious and was later diagnosed with a concussion, which has caused lasting cognitive impairment and some associated physical and psychological conditions. The swing’s collapse was caused by the failure of one of the eyebolts from which the swing was suspended. A”fatigue fracture” developed in the shank of the eyebolt, which ultimately caused the bolt to snap. Evidence showed that similar eyebolts had a weightbearing capacity of only 160 pounds and were accompanied by warnings that they were not to be used for overhead lifting or supporting human weight. One of the Blondells’ expert witnesses testified that the eyebolts here were “totally inappropriate” for suspending the swing. Another expert opined that, to comply with applicable industry standards, a “commercial hinge” should have been used. The swing had been installed by an employee of defendant ContraVest Management Company shortly after the 2008 completion of the apartment complex. The employee, James McNabb, followed the assembly instructions included with the swing, which did not include any instructions or warnings as to hanging it. To hang the swing, McNabb used carbon steel eyebolts to suspend the swing’s chains from the overhead beam of the trellis from which it hung. Each eyebolt was affixed so that its “eye” was situated approximately three inches from the beam, leaving three inches of the eyebolt’s shank exposed. Though McNabb could not recall whether the eyebolts were included in the assembly kit or purchased by him at a hardware store, record evidence reflects that the assembly kit sold with the swings did not include any parts for attaching the swing’s chain to any overhead support. McNabb testified that, if the hardware had not been included in the assembly kit, he would have simply “guess[ed]” as to the proper type and size hardware to use based on the swing’s size and weight, and that he was not aware of any consultations by ContraVest with an engineer or architect regarding the swing’s installation. McNabb testified that he would have followed any instructions he was given on assembling and installing the swing. In April 2013, a few weeks prior to the swing collapse, Courtney Station 300, LLC acquired the apartment complex from its original owner, Courtney Station, LLC. Courtney Station 300 retained RAM Partners, LLC to manage the complex, replacing ContraVest, which had managed the property since its construction. A RAM Partners employee who inspected the property prior to its purchase testified that he was “not familiar” with the safety standards for hanging swings and that his inspection was limited to “pull[ing] on” and “sit[ting] on” them “to make sure everything [was] intact and not throwing [him] onto the ground[.]” There was evidence that by 2013, the swing hardware was rusted to a degree that it should have been replaced. Since the swing collapse, Teressa had experienced symptoms of cognitive impairment, including poor judgment and erratic behavior. Nearly three-and-a-half years after the collapse, she tried to light a charcoal grill—she had never done that before—and became engulfed in flames. Teressa was transported to an Augusta burn center, where she remained in an induced coma for months. Hospital tests showed that, on her arrival at the hospital, Teressa had a blood alcohol concentration well over the legal limit for operating a motor vehicle and various medications in her system. The Blondells sued Richey Industries, ContraVest, Courtney Station 300, and RAM Partners, asserting claims for products liability, premises liability, negligent construction, and nuisance. They sought damages for both their immediate injuries suffered as a result of the swing collapse and Teressa’s burn injuries from the grill incident. Following extensive discovery, all four defendants moved for summary judgment. The trial court granted the defendants’ motions concerning Teressa’s burn injuries on the ground that those injuries were not a foreseeable consequence of any defendant’s negligent act or omission. The court denied the defendants’ motions for summary judgment as to their liability for the Blondells’ initial injuries, except with regard to ContraVest’s liability based on the theory of public nuisance, as to which the court granted summary judgment. The trial court also declined to rule on the defendants’ motions for summary judgment as to the Blondells’ claims for punitive damages and litigation expenses, opting to hold those issues in abeyance until closer to trial. These appeals followed. Discussion The principal appeal and each of the three cross-appeals seek review of the trial court’s summary judgment orders, so our review of the issues on appeal is de novo. See Johnson v. Omondi, 294 Ga. 74, 76 (751 SE2d 288) (2013). For each issue, the ultimate question is whether, viewing the evidence in the light most favorable to the party opposing summary judgment (here, the Blondells), a genuine issue of material fact remains and thus precludes judgment as a matter of law. OCGA § 9-11-56 (c); see, e.g., Smith v. Tibbits, 359 Ga. App. 362, 365 (857 SE2d 820) (2021). Case No. A21A0731 1. In the principal appeal, the Blondells argue that the trial court erred when it granted summary judgment to defendants as to Teressa’s burn injuries on the ground that those injuries were not a foreseeable consequence of their negligence (if any). We disagree. To recover for injuries caused by the negligence of another, a plaintiff must establish four elements: a duty owed to the plaintiff, a breach of that duty by the defendant, injury to the plaintiff, and causation, i.e., a connection between the breach and the injury. City of Richmond Hill v. Maia, 301 Ga. 257, 258–259 (1) (800 SE2d 573) (2017). To establish causation, the plaintiff must prove that the defendant’s negligence was both the “cause-in-fact” and the “proximate cause” of the injury. See Maia, 301 Ga. at 258–259 (1). Cause-in-fact requires a determination that, but for the defendant’s act, the injury to the plaintiff would not have occurred. See Strength v. Lovett, 311 Ga. App. 35, 43-44 (2) (b) (714 SE2d 723) (2011) (“To show that the wrongful conduct of the defendant is a cause in fact of his injuries, a plaintiff ordinarily must prove that, but for this conduct, he would not have sustained the injury[.]“). The plaintiff must offer evidence that affords a reasonable basis for the conclusion that it is more likely than not that the defendant’s conduct did in fact cause the injury. See Grinold v. Farist, 284 Ga. App. 120, 121 (1) (643 SE2d 253) (2007). Proximate cause, on the other hand, is a separate “limit on legal liability.” Johnson v. Avis Rent A Car Sys., LLC, 311 Ga. 588, 593 (858 SE2d 23) (2021) (punctuation omitted). A determination that a defendant’s conduct was not the proximate cause of the injury is not a determination that no causal connection existed but that, as a matter of “policy,” “the defendant’s conduct and the plaintiff’s injury are too remote for the law to countenance recovery.” Id.; see also Dan B. Dobbs, Paul T. Hayden and Ellen M. Bublick, The Law of Torts § 198 (2d ed.) (“The socalled proximate cause issue is not about causation at all but about the appropriate scope of legal responsibility.”). This policy decision is largely grounded in the concept of foreseeability: a wrongdoer should be responsible only for consequences which, based on our common sense and understanding, would probably or naturally flow from his conduct. See Tyner v. Matta-Troncoso, 305 Ga. 480, 485 (3) (826 SE2d 100) (2019). Given the “amorphous nature” of this proximate cause standard, Charles R. Adams III, Ga. Law of Torts § 2:18, “it is axiomatic that questions regarding proximate cause are ‘undeniably a jury question’ and may only be determined by the courts ‘in plain and undisputed cases.’” Ontario Sewing Mach. Co. v. Smith, 275 Ga. 683, 687 (572 SE2d 533) (2002). See, e.g., Johnson, 311 Ga. at 593–95 (holding that, as a matter of law, the defendants’ failure to secure their rental car lot was not a proximate cause of the plaintiffs’ injuries, which occurred when the defendants’ employee stole a vehicle from the lot and later crashed into the plaintiffs’ car during a high-speed police chase). Here, the absence of proximate cause between the defendants’ swing-related negligence and Teressa’s burn injuries is sufficiently “plain and undisputed” to support the trial court’s grant of summary judgment. Nearly three-and-a-half years passed between the 2013 swing accident and Teressa’s 2016 grill incident, and Teressa’s 2016 injuries resulted directly from her own volitional conduct in pulling out, setting up, and lighting the grill while under the influence of alcohol and medication. Even if either the passage of time or her own conduct were not enough on their own to eliminate the defendants’ negligence as a proximate cause of her burn injuries, together they break the chain of legal causation between the defendants’ conduct and her burn injuries. Under these circumstances, Teressa’s burn injuries plainly were not, “according to ordinary and usual experience,” a “probable” consequence of defendants’ alleged negligence with regard to the manufacture, installation, or maintenance of the swing. Johnson, 311 Ga. at 292 (punctuation omitted). See, e.g., Tyner, 305 Ga. at 488 (2) (holding that, as a matter of law, the defendant landlord’s failure to repair a gate latch was not a proximate cause of the plaintiff’s injuries from an attack by his tenants’ pit bulls after their escape from the fenced yard, where the landlord had no knowledge that the tenants owned aggressive dogs); Goldstein, Garber & Salama, 300 Ga. at 842–43 (1) (holding that, as a matter of law, dental practice’s allegedly insufficient policies on patient sedation and staff supervision were not a proximate cause of the sexual assault of a sedated patient by nurse anesthetist during a dental procedure); McAuley, 251 Ga. at 6 (5) (holding that, as a matter of law, a defendant’s negligent driving, which caused an accident that led to the plaintiff’s paraplegia, was not a proximate cause of the later death of the plaintiff’s infant child conceived after the accident, despite evidence that the death was a result of birth complications caused by the paraplegia); Arnold v. Turbow, 357 Ga. App. 533, 538 (1) (848 SE2d 698) (2020) (holding that, as a matter of law, the defendants’ allegedly negligent decision to discharge an autistic patient to a personal care home was not a proximate cause of the patient’s choking death at the personal care home eight months later because it was “too causally remote”). The trial court therefore properly granted summary judgment to the defendants on this issue. Case No. A21A0740 2. In the first cross-appeal, manufacturer Richey Industries contends that the trial court erred in finding a genuine factual dispute about whether Richey’s failure to provide installation instructions or warnings was a proximate cause of the Blondells’ injuries. There was no error. Georgia law imposes a commonlaw duty on suppliers of chattels “to warn of foreseeable dangers arising from the reasonable use for which the product is intended and requires the exercise of reasonable care to inform [the product's users] of the dangerous condition or of the facts which make the product likely to become dangerous.” R & R Insulation Servs. v. Royal Indem. Co., 307 Ga. App. 419, 427 (3) (705 SE2d 223) (2010) (punctuation omitted). See also Dozier Crane & Machinery, Inc. v. Gibson, 284 Ga. App. 496, 499 (2) (644 SE2d 333) (2007) (holding that seller of crane had duty to warn those operating the crane of the foreseeable risks of electrocution). This duty to warn extends to a manufacturer’s instructions regarding the installation of its product. See R & R Insulation Servs., 307 Ga. App. at 427–28 (3) (a) (i) (holding that manufacturer could be held liable where instructions failed to include warnings about the use of certain materials in the installation of its product). As with other negligence claims, plaintiffs asserting a failure-to-warn claim must establish both causation-in-fact and proximate cause, and as noted above, these questions are ordinarily left to the jury. To begin with, there is evidence from which a jury could conclude that Richey’s failure to provide instructions was a cause-in-fact of the swing’s collapse. A plaintiff claiming that a manufacturer’s deficient installation instructions resulted in injury must present evidence to support a reasonable inference that the omitted warning more likely than not would have prevented the injury the plaintiff suffered. R & R Insulation Servs., 307 Ga. App. 427 (3). “A mere possibility of such causation is not enough.” Id. Here, the swing could not operate as intended without being hung from a structure. The two pages of assembly instructions, however, specified neither the swing’s weight nor its weight capacity when in use, offered no instructions or warnings about hanging the swing with adequate support, and gave no guidance on the hardware needed to safely bear the weight of the swing and anyone sitting on it. Other evidence showed that the swing required much more robust attachment hardware than the eyebolts on which it was hung and that the failure of one inadequate eyebolt caused it to collapse. And McNabb, who installed the swing, testified that he followed the instructions provided with the swing and would have heeded any warnings and additional installation instructions had they been provided. This evidence, viewed in the light most favorable to the Blondells, would permit a jury to determine that, more likely than not, the absence of installation instructions caused their injuries. See Wilson v. Allen, 272 Ga. App. 172, 174 (2) (612 SE2d 39) (2005) (affirming denial of summary judgment for defendant where evidence viewed most favorably to the plaintiff provided reasonable basis to conclude that the plaintiff’s injuries were more than likely the result of the defendant’s negligent driving). The question of proximate cause, too, is not so “plain or undisputed” that it should be taken from the jury. As explained above, the touchstone for proximate cause is foreseeability. And nothing in the chain of causation here (from lack of instructions to swing collapse) that the evidence would permit a jury to accept is so plainly unforeseeable that liability should be cut off as a matter of law. See R & R Insulation, 307 Ga. App. at 429–30 (3) (a) (iv) (holding that the evidence authorized a jury to decide whether a manufacturer’s failure to warn of the dangers of installing fiberglass plastic panels with nylon rivets in the oven room at a chicken processing plant was the proximate cause of the fire that badly damaged the plant); Dozier Crane, 284 Ga. App. at 499–500 (2) (holding that the evidence authorized a jury to decide whether crane supplier’s failure to apply decal warning of electrocution risks was the proximate cause of the plaintiffs’ injuries); see also Key Safety Sys., 334 Ga. App. at 720–21 (1) (plaintiff’s testimony that he would have purchased a different vehicle had he been warned of the risk of seatbelt failure was sufficient to create a jury question on whether the manufacturer’s failure to warn was the proximate cause of the plaintiffs’ injuries). This conclusion holds despite the lapse of time between the swing’s installation and its collapse. The mere fact that the swing remained intact for more than five years before the accident does not eliminate the absence of instructions as a proximate cause as a matter of law. Sometimes wrongful conduct leads to immediate injury, but other times the injury happens at a much later date, and our cases have not generally authorized judges to cut off liability solely on the basis that too much time passed. See Dozier Crane, 284 Ga. App. at 498–500 (2) (holding that a jury question remained as to whether failing to apply warning decals to the operator’s cab of a crane was the proximate cause of the electrocution accident that injured plaintiffs, even where the crane had operated “for over 4,500 hours without incident”). This is not to say that the five-year gap is “irrelevant” to the question of proximate cause, see Dissent at 5, but only that it is for the jury to make the “policy decision” whether to cut off liability on that basis. See McAuley, 251 Ga. at 6 (5). In addition, none of the alleged negligence of Richey’s co-defendants is the kind of intervening act that would break the causal chain as a matter of law. For an independent act or event to eliminate other conduct as a proximate cause, it must be neither foreseeable by the defendant nor triggered by the defendant’s act, and it must have been “sufficient of itself to cause the injury.” Maia, 301 Ga. at 259 (1) (punctuation omitted). See also Goldstein, Garber & Salama, 300 Ga. at 842 (1); Southern Railway Co. v. Webb, 116 Ga. 152, 152 (1) (42 SE2d 395) (1902); Pruette v. Phoebe Putney Mem. Hosp., 295 Ga. App. 335, 341 (1) (c) (671 SE2d 844) (2008). If an intervening act “might reasonably have been anticipated by the defendant,” the intervening act will not break the chain of causation. Southern Railway, 116 Ga. at 152 (1). And that goes for even wrongful or negligent acts of third parties. See, e.g., Walker v. Giles, 276 Ga. App. 632, 643–47 (2) (624 SE2d 191) (2005) (holding that negligence of physicians who treated patient upon second hospital admission did not, as a matter of law, break causal chain between plaintiff’s injury and the negligence of initial treating physicians); Harrison v. Jenkins, 235 Ga. App. 665, 668–69 (1) (510 SE2d 345) (1998) (holding that negligence of third-party motorist did not, as a matter of law, break causal chain between plaintiff’s injury and the defendant’s negligence); Wade v. Polytech Indus., Inc., 202 Ga. App. 18, 23 (3) (413 SE2d 468) (1991) (noting that “the risk created by the defendant may include the intervention of the foreseeable negligence of others”). On this record, a jury could conclude that the alleged acts of negligence on the part of Richey’s co-defendants were reasonably foreseeable. Any negligence in the installation of the swing could be deemed by a jury to be a reasonably foreseeable result of failing to include any installation instructions or warnings—indeed, such a failure could well perpetuate rather than sever the chain of causation. See, e.g., Atlanta Obstetrics & Gynecology Group, P.A. v. Coleman, 260 Ga. 569, 576–71 (398 SE2d 16) (1990) (holding that the defendant physician was not entitled to judgment as a matter of law where his negligence necessitated later treatment by a second physician, after which the patient suffered a stroke). And the allegedly inadequate inspections, although not a result of the absence of instructions, were not so unforeseeable as to break the causal chain as a matter of law. See Williams v. Grier, 196 Ga. 327, 337 (2) (26 SE2d 698) (1943) (holding that, even where an intervening cause was not set in motion by the original negligent act, “the original wrongdoer may still be held liable, if the intervening [act] could reasonably have been anticipated or foreseen by him”); Pruette, 295 Ga. App. at 341–42 (1) (c) (declining to hold that the patient’s “do not resuscitate” order was an intervening cause that, as a matter of law, sufficiently broke the causal chain between the defendant physician’s alleged negligence and the patient’s death). The dissent suggests that inadequate maintenance by a property owner should never be reasonably foreseeable, but there is not a meaningful difference between this and the foreseeability of other kinds of third-party negligence, like the negligent driving of a third-party motorist, see Harrison, 235 Ga. App. at 668–69 (1), or the malpractice of a third-party physician, see Walker, 276 Ga. App. at 643–47 (2). Just as the juries in those cases could decide that such follow-on negligence was foreseeable, a jury could conclude that it would be reasonably foreseeable for a property owner to not closely inspect outdoor furniture after its initial assembly. The dissent also cites testimony that “highlights what we all know to be true: Outdoor furniture needs regular maintenance to ensure its safety.” But the question here is not whether the property manager (or anyone) should have inspected the swings, only whether it was foreseeable that they would neglect to do so. Maybe we all “know,” as the dissent says, that we should regularly maintain outdoor furniture. But if we all know that, then we also all know that plenty of people are likely to neglect that maintenance. In other words, a jury could conclude based on common experience that failing to closely inspect outdoor-swing attachments, even over a long period of time, is the kind of “wrongful act” that “could reasonably have been anticipated” by Richey. See, e.g., Harrison, 235 Ga. App. at 669–70 (1) (in multi-car accident case, noting that “[i]t is foreseeable that following drivers could become involved in an accident because of the unexpected need to stop and because the following drivers may be driving negligently” (emphasis supplied)). And just to be clear, that limited proposition—that a jury could make such a foreseeability determination, and so the judge should not—is the extent of the conclusion here. This limited conclusion works no change in our foreseeability jurisprudence but just sticks to the settled principle that juries must decide whether an intervening act breaks the chain of causation outside of “plain and undisputed cases,” Johnson, 311 Ga. at 593 (citation and punctuation omitted). See Walker, 276 Ga. App. at 646 (2) (“The ultimate resolution of whether a subsequent act was foreseeable for proximate cause purposes involves a public policy determination that is best left to a jury except in rare cases.”). See also Hayes v. Crawford, 317 Ga. App. 75, 79 (730 SE2d 26) (2012) (where “reasonable minds could differ” as to whether an intervening act was the sole proximate cause of a plaintiff’s injuries, summary judgment in favor of the defendant is not proper); Martin v. So. Bell Tel. & Tel. Co., 126 Ga. App. 809, 813 (192 SE2d 176) (1972) (holding that whether a third party’s negligence was an intervening cause so as to relieve the defendant from liability “should not be determined as a matter of law but [was] properly the jury’s prerogative”), rev’d on other grounds, 229 Ga. 881 (194 SE2d 910) (1972).[2] In short, whether Richey’s alleged negligence was the proximate cause of the Blondells’ injuries is a question for the jury. See Key Safety Sys., Inc. v. Bruner, 334 Ga. App. at 720 (1); Walker, 276 Ga. App. at 646 (2). The trial court thus properly denied summary judgment on this issue. Case No. A21A0741 3. In the second cross-appeal, former property manager ContraVest contends that the trial court erred in denying summary judgment on the Blondells’ claims against it based on its installation and maintenance of the swing. ContraVest argues that the acceptance doctrine barred plaintiffs’ negligence claims and that their claims for nuisance and for punitive damages and attorney fees fail as a matter of law. We conclude that the acceptance doctrine does not apply, at least not as a matter of law, so the negligence claim should proceed to trial. But the nuisance claim fails as a matter of law. (a) The acceptance doctrine shields independent contractors from liability for injuries to third parties caused by defective work after the work has been completed, turned over, and “accepted” by the property owner who contracted for the work. See Thomaston Acquisition, LLC v. Piedmont Const. Group, Inc., 306 Ga. 102, 104 (2) (a) (829 SE2d 68) (2019). The idea is that “[b]y accepting the completed work, presumably after a reasonably careful inspection to identify any defects, the owner adopts the work as his own, deprives the contractor of all opportunity to rectify his wrong, bears the immediate duty to make the premises safe, and is therefore accountable for future injuries.” Id. (punctuation omitted). Accord Charles R. Adams III, Ga. Law of Torts § 5:5 (updated Dec. 2020) (“following acceptance of the work by the owner of the premises, the owner, not the independent contractor, becomes liable for [the] defective condition of the work”). Under the acceptance doctrine, liability shifts from the contractor to the property owner “at the moment the work is turned over to and accepted by the owner.” Id. This means that responsibility does not shift unless the contractor can show that the work was “fully completed by the contractor [and] fully accepted by the owner or proprietor, and the contractor fully discharged of the contract.” Johnson v. E.A. Mann & Co., 273 Ga. App. 716, 719 (2) (616 SE2d 98) (2005) (punctuation omitted). In practical terms, a critical fact for establishing acceptance is the “transfer of control over the site to the owner.” 4A Philip L. Bruner & Patrick J. O’Connor, Jr. Construction Law § 13:56 (updated Aug. 2021); see, e.g., Stopanio v. Leon’s Fence and Guardrail, LLC, 346 Ga. App. 18, 23–24 (2) (a) (815 SE2d 232) (2018) (explaining that “acceptance” of a road contractor’s work occurred on the date the Georgia Department of Transportation issued a preliminary acceptance under which it reassumed control over the affected portion of the roadway, even though the Department did not issue a final acceptance letter to a road contractor until later), overruled on other grounds by Dep’t of Pub. Safety v. Ragsdale, 308 Ga. 210 (839 SE2d 541) (2020); Smith v. Dabbs-Williams General Contractors, LLC, 287 Ga. App. 646, 648 (1) (653 SE2d 87) (2007) (holding that the acceptance doctrine barred a claim against a contractor for a defective stairway when the property owner had accepted the construction work and the contractor “no longer exercised any control over” the facility it had built). Focusing on control aligns with part of the rationale for the doctrine: “[a]fter the work has been accepted, a contractor generally has no authority to inspect or make changes to the property, and it may not be authorized even to enter the premises” to mitigate liability risks. Thomaston Acquisition, 306 Ga. at 107; see Ogles v. E.A. Mann & Co., 277 Ga. App. 22, 24 (1) (625 SE2d 425) (2005) (“a road contractor cannot be held responsible for completed work over which it no longer exercises any control”) (punctuation omitted). By contrast, a contractor who retains control over the project or property does not have the same need for the acceptance doctrine’s protection. On this record, ContraVest has not established “acceptance” sufficient to insulate it from liability. It is undisputed that the swing was installed, and the work was “completed,” in 2008. But ContraVest has not specified when or in what manner its work was “accepted” by Courtney Station, LLC. In its opening brief, ContraVest states only that “acceptance occurred at the time the swing was completed, when ContraVest turned over its work to the then premises owner and occupier, Courtney Station, LLC.” This assertion is not accompanied by any record support showing that ContraVest did anything to “turn over” its work to Courtney Station, LLC, or that Courtney Station, LLC ever acknowledged, much less inspected and accepted, the work. That kind of evidence is needed under the circumstances of this case—where the contractor retained day-to-day control over and responsibility for maintaining the property, and the property owner maintained no regular presence there —because the transfer of control that signifies acceptance at the end of a one-off project is not readily apparent in this kind of continuing contractual relationship. Cf. Stopanio, 346 Ga. App. at 23–24 (2) (a) (acceptance occurred when work had been inspected and approved and contractor no longer had “actual physical control over” the work site); Smith, 287 Ga. App. at 648 (1) (acceptance occurred when work was paid for and contractor had been instructed to leave the premises). Without any such evidence showing that, despite its role as day-to-day property manager, ContraVest turned over its work to Courtney Station, LLC, and that the owner “accepted” the work in some way, there is no basis for us to conclude that the acceptance doctrine was triggered.[3] ContraVest also offers an alternative theory of acceptance. It contends that, at the least, the new owner, Courtney Station 300, accepted its work on the swing when Courtney Station 300 bought the property from Courtney Station, LLC in 2013 “as is,” five years after ContraVest installed the swing. But ContraVest offers little argument and cites no authority for expanding the acceptance doctrine’s reach in this way. To the contrary, the cases consistently describe and contemplate acceptance as a process in which a contractor “turns over” discrete work to the owner with which it has contracted, who has an opportunity to inspect and accept the work on completion and thereby “adopt[] the work as his own.” Thomaston Acquis

 
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