Attorney Grievance Commission v. Cherry-Mahoi

879 A.2d 58, 388 Md. 124, 2005 Md. LEXIS 434
CourtCourt of Appeals of Maryland
DecidedJuly 21, 2005
DocketMisc. AG No. 45, September Term, 2004
StatusPublished
Cited by59 cases

This text of 879 A.2d 58 (Attorney Grievance Commission v. Cherry-Mahoi) is published on Counsel Stack Legal Research, covering Court of Appeals of Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Attorney Grievance Commission v. Cherry-Mahoi, 879 A.2d 58, 388 Md. 124, 2005 Md. LEXIS 434 (Md. 2005).

Opinion

BATTAGLIA, J.

The Attorney Grievance Commission of Maryland (“Petitioner” or “Bar Counsel”), acting through Bar Counsel and pursüant to Maryland Rule 16-751(a), 1 filed a petition for *129 disciplinary or remedial action against Respondent, Ada Elizabeth Cherry-Mahoi, on September 15, 2004. The Petition alleged that Respondent, who was admitted to the Bar of this Court on December 18, 1990, violated several Maryland Rules of Professional Conduct (“MRPC”), specifically, 1.1 (Competence), 2 1.3 (Diligence), 3 1.4 (Communication), 4 1.5 (Fees), 5 1.15 (Safekeeping Property), 6 1.16(d) (Declining or Terminating *130 Representation), 7 8.1 (Bar Admission and Disciplinary Matters), 8 8.4 (Misconduct), 9 Maryland Rule 16-606 (Name and Designation of Account), 10 Maryland Rule 16-609 (Prohibited Transactions), 11 and Section 10-306 of the Business Occupa *131 tions and Professions Article of the Maryland Code (2000, 2004 Repl.Vol.) (Misuse of Trust Money). 12

In accordance with Maryland Rules 16-752(a) and 16-757(c), 13 we referred the petition to Judge Mickey J. Norman of the Circuit Court for Baltimore County for an evidentiary hearing and to make findings of fact and conclusions of law. On February 2, 2005, Judge Norman held a hearing and on March 10, 2005, issued Findings of Fact and Conclusions of Law, in which he found, by clear and convincing evidence, that Cherry-Mahoi had violated MRPC 1.3, 1.5, 1.15(a) and (b), 1.16(d), 14 8.1, 8.4, Maryland Rules 16-606 and 16-609, and Section 10-306 of the Business Occupations and Professions Article:

*132 Background

“This matter arises from the Respondent’s representation of Ms. Clark and her two children who were victims in a personal injury automobile accident. In May 2002, the Respondent settled the claims, received settlement funds and distributed the proceeds to the parties. The Respondent also received and was to hold in trust, personal injury protection funds (PIP) to pay certain unpaid medical providers. Ms. Clark did not immediately authorize the payment of those medical expenses. In October 2002, when those same medical expenses were to be paid, because the Respondent had depleted funds from her trust account, there were insufficient funds in the Respondent’s account to satisfy the outstanding medical bills. The Respondent deposited personal funds into her trust account in order to pay the medical bills when they came due. Ms. Clark filed a complaint with the Attorney Grievance Commission. As a result of their investigation the Respondent has been charged with violating the Rules of Professional Conduct.

Findings of Fact

“The Petitioner alleges that the Respondent was admitted as a member of the Bar of this Court on December. 18, 1990 (¶, 2) and (T. 27, lines 21-22). 1 She testified that the majority of her legal work had been in public interest law starting with the Maryland Disability Law Center (T. 59, line 5). From there, she went into private practice for two years and also, on a contractual basis, represented clients for the Public Defender’s office (T. 58). Primarily she has worked as a subcontractor for a private attorney who represented children, who were, or alleged to have been, abused and neglected (T. 49, lines 13-16). While working as a subcontractor, the Respondent also maintained an office for the practice of law at 9722 Groffs Mill Drive, Suite 116, Owings Mills, Maryland 21117(¶ 2). However, on her attorney trust account, which is improperly labeled IOLTA, she lists an address of 220 E. Lexington Street, Suite 904, Baltimore, Maryland 21202-3525. The Respondent testified *133 that, around the time of the incident, which gave rise to the petition, she did not have an active private practice (T. 46, lines 6-9), and in July 2002, she was making an effort to eliminate her private practice of law (T. 51, lines 17-25).

“In the Petition for Disciplinary or Remedial Action, Petitioner asserts that Respondent engaged in professional misconduct, as defined by Maryland Rule 16-701(1). This allegation arises from the Complaint filed by Mary Emma Clark who the Respondent represented. The Respondent filed an Answer admitting some of the factual allegations but generally denied any intentional wrongdoing. In its findings of fact, the Court incorporates the allegations listed in this Complaint, outlined by Petitioner in ¶ 4-16 of the Petition for Disciplinary or Remedial Action. At the hearing before the Court, the Petitioner called both the Respondent and John DeBone to testify. The Respondent also testified on her behalf.

“As alleged in the complaint of Mary Clark, and in accordance with the Respondent’s own admission, the Court finds as a fact that the Respondent represented Mary Emma Clark and her two children, Rashaad and Ebony Kelly (hereinafter, “Clark case”). That representation sought compensation for injuries arising out of an automobile accident. The case was settled in May 2002 (T. 28, lines 1-10).

“By her own admission, during May 2002, the Respondent settled the Clark case for an aggregate amount of $11,000.00 (¶ 5) (T. 28, lines 14-15). On May 15, 2002, the Respondent deposited that settlement check, into her escrow account, which she improperly labeled “IOLTA” (¶ 6). The Respondent admitted at trial that the account in which she deposited the settlement funds was labeled IOLTA (T. 29, lines 1-3). However, she denies culpability stating she was not familiar with setting up and maintaining escrow accounts (T. 59 line 24 to T. 60 line 3). The Respondent testified that she went to Provident Bank, explained her need to establish *134 an attorneys escrow account in compliance with the IOLTA rules, and the account was improperly titled by the bank employee who set up the account. The Respondent claims that she relied on the experience of Provident Bank employees and therefore believed that it was permissible for an attorney trust account to carry that title (T. 43, lines 2-19).

“The Respondent admitted, that in addition to receiving the settlement check in the Clark case, Government Employees Insurance Company (GEICO) also issued personal injury protection (PIP) checks to be paid to the Respondent’s clients. These checks were forwarded to the Respondent in May 2002(¶ 7).

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Bluebook (online)
879 A.2d 58, 388 Md. 124, 2005 Md. LEXIS 434, Counsel Stack Legal Research, https://law.counselstack.com/opinion/attorney-grievance-commission-v-cherry-mahoi-md-2005.