Attorney Grievance Commission v. Taylor

955 A.2d 755, 405 Md. 697, 2008 Md. LEXIS 502
CourtCourt of Appeals of Maryland
DecidedSeptember 4, 2008
DocketMisc. Docket AG No. 14, Sept. Term, 2007
StatusPublished
Cited by40 cases

This text of 955 A.2d 755 (Attorney Grievance Commission v. Taylor) 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. Taylor, 955 A.2d 755, 405 Md. 697, 2008 Md. LEXIS 502 (Md. 2008).

Opinion

RAKER, J.

The Attorney Grievance Commission of Maryland filed a petition with this Court for disciplinary action against Michael F. Taylor, alleging violations of the Maryland Rules of Professional Conduct. The Commission charged respondent with violating (1) Md. Rule 16-607 Commingling of Funds, 1 as well *702 as the following Maryland Lawyers’ Rules of Professional Conduct: (2) Rule 1.15 Safekeeping Property, 2 (3) Rule 8.1 *703 Bar Admission and Disciplinary Matters, 3 (4) Rule 8.4 Misconduct, 4 (5) Rule 1.3 Diligence, 5 (6) Rule 1.4 Communication, 6 (7) *704 Rule 1.5 Fees, 7 (8) Rule 3.2 Expediting Litigation, 8 and (9) *705 Rule 3.4 Fairness to Opposing Party and Counsel. 9 Pursuant *706 to Maryland Rule 16-752(a), we referred the matter to Judge Sheila R. Tillerson Adams of the Circuit Court for Prince George’s County to make findings of fact and proposed conclusions of law. Judge Adams held an evidentiary hearing and concluded that the Commission had not produced sufficient evidence for the court to find that the respondent had violated the statute or the Rules of Professional Conduct.

I.

Judge Adams made the following findings of fact and conclusions of law:

“FINDINGS OF FACT
I. Trust Account Over Draft
Michael F. Taylor (hereinafter referred to as the respondent) is a member of the Maryland Bar and was admitted to practice in June of 2001. The respondent is not licensed to practice law in any other jurisdiction. Respondent worked as legal counsel to the Maryland Department of Labor, Licensing and Regulation (DLLR) from his admission to the Bar in 2001 until July 7, 2005. During that period respondent maintained a very limited private practice out of his home.
On January 4, 2006, Bar Counsel received a report of an overdraft on respondent’s attorney trust account. After an investigation, Bar Counsel determined that the respondent had violated the following rules of The Maryland Lawyers’ Rules of Professional Conduct:[ 10 ]
Rule 1.15 Safekeeping Property
Rule 8.1 Bar Admission and Disciplinary Matter
Rule 8.4 Misconduct
That during the period of August 1, 2005 through March 31, 2006 the respondent maintained an attorney trust ac *707 count at Bank of America. That said account was the only attorney trust account that the respondent had ever obtained for his practice. That he opened the account in anticipation of a settlement in one of the few cases that he handled in his private practice. The settlement was finalized and the funds were properly disbursed through the trust account. The disbursements of the funds from the settlement are not at issue. Subsequent to the disbursement of the funds, the trust account remained open. No other client funds were ever deposited in that account. However, the respondent deposited minimal funds in that account from time to time to pay the on going maintenance fees that were automatically debited from that account on a monthly basis.
On or about December 27, 2005 the respondent paid his office phone bill from the trust account in question and at that time there were insufficient funds in the account to cover the transaction. The transaction was covered by a subsequent deposit from the respondent in to the trust account. The trust account was closed March 2006. Upon receiving the January 4, 2006 notification from Bank of America, Bar Counsel sent letters to the respondent on January 10, 2006, February 21, 2006, March 16, 2006 and April 4, 2006 requesting a written response to the overdrafts in the trust account. The respondent did not send a written response to Bar Counsel’s inquiry until April 11, 2006. Bar Counsel responded promptly with letters on April 17, 2006 and May 3, 2006. The respondent finally sent a detailed explanation to Bar Counsel on May 20, 2006.
It is clear from the information submitted by the respondent that there were no commingling of client funds or use or misuse of client funds. In fact, there were no client funds deposited in the trust account case when the account overdrafted. At issue here, is the proper management and utilization of an attorney trust account, the events that led the account to overdraft and the timeliness of the response by the respondent. The respondent set forth the following explanation found in letter and deposition testimony lifted in *708 its entirety from the report of Jeffery S. Janofsky, M.D., designated as an expert by Bar Counsel during the hearing:
In a May 2006 letter to the Attorney Grievance Commission Mr. Taylor explained in late 2005: my motivation to discontinue the practice of law was due to my rapidly declining mental health. I had survived a stroke (in October, 2004) which had resulted in some initial loss of (i) short and long-term memory and cognitive functions (ii) physical mobility, and (iii) emotional stability. By late 2005, I had regained much of my pre-stroke physical and mental acuities through medical treatment, medicines and physical therapy. However by late 2005 I discovered that I could not represent clients to the best of my ability due to my impaired mental acumen and emotional state ... unbeknownst to me at the time, and for sometime thereafter and earlier events signaled my descent into depression and related psychosocial disorder which significantly altered my behavioral patterns and outlook. Earlier in June, 2005, I was summarily dismissed from employment as an attorney with the state due to my health conditions ....
As a result of my depression, I became withdrawn, touchy, lacking in motivation, dispirited, and bereft of my usual strong sense of responsibility. My normal sense of responsiveness to obligations, duties and requirements waned as I became indifferent and disconnected from life’s daily responsibilities. On some level, I believed that I deserved the bad things that happened to me (e.g. stroke, job termination, poor court performance, diabetes, hypertension, and other ailment, etc.) because I did some unknown thing to cause them to happen.

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Bluebook (online)
955 A.2d 755, 405 Md. 697, 2008 Md. LEXIS 502, Counsel Stack Legal Research, https://law.counselstack.com/opinion/attorney-grievance-commission-v-taylor-md-2008.