Barone v. The Lawyers Fund for Clients' Protection

CourtDistrict Court, N.D. New York
DecidedDecember 13, 2021
Docket1:21-cv-00131
StatusUnknown

This text of Barone v. The Lawyers Fund for Clients' Protection (Barone v. The Lawyers Fund for Clients' Protection) is published on Counsel Stack Legal Research, covering District Court, N.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Barone v. The Lawyers Fund for Clients' Protection, (N.D.N.Y. 2021).

Opinion

UNITED STATES DISTRICT COURT NORTHERN DISTRICT OF NEW YORK __________________________________________

JOSEPH S. BARONE,

Plaintiff,

v. 1:21-CV-0131 (GTS/TWD)

THE LAWYERS’ FUND FOR CLIENT PROTECTION; and SUPREME COURT OF NEW YORK, APPELLATE DIVISION, THIRD DEPARTMENT,

Defendants. ___________________________________________

APPEARANCES: OF COUNSEL:

JOSEPH S. BARONE Pro se 155 Augusta Plantation Drive, Apt. U Myrtle Beach, SC 29579

HON. LETITIA JAMES KEITH J. STARLIN, ESQ. Attorney General for the State of New York Assistant Attorney General Counsel for Defendants The Capitol Albany, NY 12224-0341

GLENN T. SUDDABY, Chief United States District Judge

DECISION and ORDER

Currently before the Court, in this civil rights action filed pro se by Joseph S. Barone ("Plaintiff") against The Lawyers’ Fund for Client Protection (“Defendant Fund”) and the Supreme Court of New York, Appellate Division, Third Department (“Defendant Third Department”) (collectively, "Defendants"), is Defendants’ unopposed motion to dismiss Plaintiff’s Complaint for lack of subject-matter jurisdiction pursuant to Fed R. Civ. P. 12(b)(1), lack of personal jurisdiction pursuant to Fed. R. Civ. P. 12(b)(2), insufficient service of process pursuant to Fed. R. Civ. P. 12(b)(5), and failure to state a claim pursuant to Fed. R. Civ. P. 12(b)(6). (Dkt. No. 7, Attach. 7 [Defs.’ Mem. of Law].) For the reasons set forth below, Defendant’s motion is granted. I. RELEVANT BACKGROUND

A. Plaintiff’s Complaint Generally, liberally construed, Plaintiff’s Complaint asserts four claims against the Defendants: (1) a claim against Defendant Third Department for declaratory relief as to one of its previously issued decisions; (2) a claim against Defendants for a denial of procedural due process in violation of the Fourteenth Amendment; (3) a claim against Defendants for a denial of equal protection of law in violation of the Fourteenth Amendment;1 and (4) a claim against Defendants for a violation of Title II of the Americans with Disabilities Act of 1990 (“ADA”).2 (Dkt. No. 1 [Pl.’s Compl.].) Generally, in support of these claims, Plaintiff’s Complaint alleges as follows: (1) for approximately twenty years, Plaintiff served as an anonymous informant for the Federal Bureau

of Investigation (“FBI”); (2) Plaintiff was used as an informant for the purposes of providing the FBI with information related to alleged organized crime schemes; (3) while serving as an informant, Plaintiff interacted exclusively with FBI Special Agent Vincent Presutti until 2008 (“SA Presutti”); (4) during his interaction with Plaintiff, SA Presutti noted in approximately 75 status reports that Plaintiff demonstrated “exemplary and unprecedented productiveness;” (5) while serving as informant and interacting with SA Presutti, Plaintiff never (a) provided any

1 In liberally construing Plaintiff’s equal protection claim, the Court construes this claim as being asserted against both Defendants.

2 In liberally construing Plaintiff’s ADA claim, the Court construes this claim as being asserted against both Defendants. testimony, (b) wore a wire, (c) revealed his identity or motive to any of the targets of the FBI’s investigations, (d) was accused of, or investigated for, any criminal wrongdoing; or (e) requested or received any compensation; (6) in October of 2008, SA Presutti retired from the FBI and Plaintiff began to interact exclusively with Special Agent Mike Trombetta (“SA Trombetta”); (7)

Plaintiff continued to serve as an informant and provide information regarding alleged organized crime schemes; (8) on January 9, 2009, Plaintiff was arrested by the FBI; 3 (9) after Plaintiff’s January 2009 arrest, SA Trombetta did not “come to [Plaintiff’s] defense to explain that he was and had worked as an informant for the FBI;4 (10) while Plaintiff was incarcerated at the Metropolitan Detention Center (“MDC”) in Brooklyn, New York, his cellmate has recommended that Plaintiff retain Roy Kulcsar (“Kulcsar”) as his criminal defense attorney; (11) Plaintiff paid $15,000 to retain Kulcsar; (12) Plaintiff was unaware that, at the time, the Attorney Disciplinary Grievance Committee was investigating Kulcsar for potential fraudulent practices involving client funds; (13) while incarcerated at the MDC, Plaintiff was placed in a form of solitary confinement known as the Special Housing Unit (“SHU”) for the purposes of protecting him

from physical danger posed by the inmates housed in general population; (14) Plaintiff was held in SHU for approximately fifteen months, which limited his social privileges to only (a) meetings with Kulcsar, (b) one sixty-minute visit per week by his then-fiancé, Shannon Ross (“Ross”), and (c) one fifteen-minute phone call per month; (15) during Plaintiff’s meetings with Kulcsar, Kulcsar deceived him into believing that law enforcement would deny him the right to legal counsel by way of freezing his liquid assets; (16) acting on what Kulcsar had told him,

3 The Court notes that Plaintiff’s Complaint does not indicate the offense that led to his arrest on January 9, 2009.

4 The Court notes that, according to Plaintiff’s Complaint, he was imprisoned “under false charges” based on “activities in which the FBI had authorized.” Plaintiff and Ross spoke with Kulcsar’s paralegal, “Nancy,” who assured them that, to prevent Plaintiff’s liquid assets from being frozen by law enforcement, he could place them into an escrow account or interest on lawyer trust account (“IOLTA”); (17) to convince Plaintiff to transfer his liquid assets, Kulcsar (a) showed false escrow account numbers and statements to

Ross, and (b) drafted and executed a handwritten contract which provided that Plaintiff’s liquid assets would be placed into escrow, and that, if, at any time, Plaintiff wished to transfer his assets back into his personal accounts, Kulcsar would do so; (18) Plaintiff refused to make Kulcsar his power of attorney, and instead, agreed to make Ross his power of attorney; (19) over the course of time, Ross and Kulcsar met at various banks to transfer Plaintiff’s liquid assets into an escrow account; (20) in total, by using “terroristic threats, false reassurances, and extortion,” Kulcsar took possession of approximately $182,500 of Plaintiff’s liquid assets, $24,000 in legal fees, and $24,500 in personal loans, by way of the following transfers: (a) on April 2, 2009, a $15,000 payment for legal representation, (b) on April 27, 2009, a $21,000 loan to Kulcsar, made via cashier’s check, (c) a $1,000 cash loan made to Kulcsar, (d) a $2,500 check that was serving as

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Barone v. The Lawyers Fund for Clients' Protection, Counsel Stack Legal Research, https://law.counselstack.com/opinion/barone-v-the-lawyers-fund-for-clients-protection-nynd-2021.