Barry L. Taub v. Mark H. Weber, Acting United States Trustee for Region 18 Ilene J. Lashinsky, United States Trustee for Region 18

366 F.3d 966, 2004 U.S. App. LEXIS 8807, 2004 WL 951482
CourtCourt of Appeals for the Ninth Circuit
DecidedMay 5, 2004
Docket02-36018
StatusPublished
Cited by17 cases

This text of 366 F.3d 966 (Barry L. Taub v. Mark H. Weber, Acting United States Trustee for Region 18 Ilene J. Lashinsky, United States Trustee for Region 18) is published on Counsel Stack Legal Research, covering Court of Appeals for the Ninth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Barry L. Taub v. Mark H. Weber, Acting United States Trustee for Region 18 Ilene J. Lashinsky, United States Trustee for Region 18, 366 F.3d 966, 2004 U.S. App. LEXIS 8807, 2004 WL 951482 (9th Cir. 2004).

Opinion

McKEOWN, Circuit Judge.

This case arises out of an adversary proceeding by the United States Trustee (“Trustee”) against Barry Taub, a bankruptcy petition preparer. Applying Oregon law, the issue we decide is whether Taub engaged in the unauthorized practice of law by interpreting the terms “market value” and “secured claim or exemption” in connection with completion of bankruptcy forms. Here, Taub’s discretionary application of a legal principle took him far outside the role of a scrivener. We agree with the bankruptcy court and the district court that Taub engaged in the unauthorized practice of law.

*968 I. Background

The facts are undisputed. The Green-waldts hired Taub to prepare their Chapter 7 bankruptcy documents for filing with the United States Bankruptcy Court for the District of Oregon. Taub is not licensed to practice law in Oregon. Rather, he is a “bankruptcy petition preparer” within the meaning of 11 U.S.C. § 110. 1

Taub and the Greenwaldts disagreed about how to treat a 401(k) retirement account on the bankruptcy forms. Schedule B, an official form included with the Greenwaldts’ Chapter 7 filing, required listing the “market value” of the debtors’ personal property. The heading on the form read: “CURRENT MARKET VALUE OF DEBTOR’S INTEREST IN PROPERTY, WITHOUT DEDUCTING ANY SECURED CLAIM OR EXEMPTION.” In their draft documents, the Greenwaldts indicated that the retirement account held approximately $80,000. The Greenwaldts also noted that they had borrowed $39,000 against the account. The Greenwaldts thus filled out draft bankruptcy forms listing what they believed was the net value of the account — $41,000. Taub, however, prepared the forms with a market value listing of $80,000. As the bankruptcy court explained: “The discrepancy was pointed out, but Taub gave no explanation. [The] Greenwaldts asked him to change the entry but he refused. They eventually relented, assuming that he knew what he was doing.”

In the Greenwaldts’ Chapter 7 bankruptcy case, and two other matters where Tmb was the petition preparer, the Trust^Kled motions to disgorge excessive fees c^fced by Taub. Around the same time, i^^separate Chapter 7 bankruptcy case where Taub was the petition preparer, the Trustee filed an adversary proceeding against Taub seeking disgorgement of excessive fees and injunctive relief on the ground that Taub engaged in the unauthorized practice of law. The bankruptcy court consolidated the various proceedings for trial. After trial, the bankruptcy court found, and the district court affirmed, that Taub had engaged in the unauthorized practice of law while preparing the Green-waldts’ petition. Taub was ordered to disgorge the fees.

II. Discussion

We have jurisdiction over this appeal pursuant to 28 U.S.C. § 158(d). “We independently review the bankruptcy court’s determinations and do not give deference to the district court.” Ferm v. United States Tr. (In re Crawford), 194 F.3d 954, 957 (9th Cir.1999). We review de novo the bankruptcy court’s conclusions of law. Id.

Bankruptcy courts have the power to regulate the activities of bankruptcy petition preparers under 11 U.S.C. § 110. Section 110(k) states that nothing in the section shall be construed to permit “the unauthorized practice of law.” Bankruptcy courts generally look to state law for guidance when determining whether a person has engaged in the unauthorized practice of law. See 2 Collier on Bankruptcy, par. 110.12 (15th ed. 2004) (“Section 110(k)) provides that the ability of nonlaw-yers to practice before bankruptcy courts in a given jurisdiction will be governed by ‘[relevant state] law, including rules and laws that prohibit the unauthorized practice of law,’ as well as by section 110 itself.” (alteration in original); see also, In re Kangarloo, 250 B.R. 115, 123 (Bankr.C.D.Cal.2000); In re Farness, 244 B.R. *969 464, 470 (Bankr.D.Idaho 2000); In re Stacy, 193 B.R. 31, 38 (Bankr.D.Or.1996). Here, the parties agree that Oregon law applies.

Under Oregon law, “no person shall practice law ... unless that person is an active member of the Oregon State Bar.” Or.Rev.Stat. § 9.160(1) (2001). 2 The Oregon legislature has not defined the practice of law. See Oregon State Bar v. Security Escrows, Inc., 233 Or. 80, 377 P.2d 334, 337 (1962). Instead, it has been left to the Oregon courts to determine, on a case-by-case basis, what constitutes the unauthorized practice of law. See Oregon State Bar v. Smith, 149 Or.App. 171, 942 P.2d 793, 798 (1997).

Although the Oregon courts have not defined the outer limits of the practice of law in Oregon, two leading decisions by the Oregon Supreme Court inform our conclusion that Taub engaged in the unauthorized practice of law.

In Security Escrotos, 377 P.2d at 335, the Oregon State Bar brought suit against two corporations and their officers seeking to enjoin them from preparing conveyances and other specified instruments. The issue before the Oregon Supreme Court was “whether [the] ... defendants lawfully may draft such instruments as contracts, deeds, mortgages, satisfactions, leases, options, certificates of assumed business name, bulk-sales affidavits, and the like....” Id. at 335. In resolving the case, the court needed to “mark out at least enough of the boundaries of the practice of law so that [it could] decide whether or not the activities complained of fall within them ....” Id. at 337. To that end, the court concluded:

For the purposes of this case, we hold that the practice of law includes the drafting or selection of documents and the giving of advice in regard thereto any time an informed or trained discretion must be exercised in the selection or drafting of a document to meet the needs of the persons being served...; [A]ny exercise of an intelligent choice, or an informed discretion in advising another of his legal rights and duties, will bring the activity within the practice of the profession.... The line is drawn at the point where there is any discretion exercised by the escrow agent in the selection or preparation for another of an instrument, with or without costs.

Id. at 339 (emphasis added).

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366 F.3d 966, 2004 U.S. App. LEXIS 8807, 2004 WL 951482, Counsel Stack Legal Research, https://law.counselstack.com/opinion/barry-l-taub-v-mark-h-weber-acting-united-states-trustee-for-region-18-ca9-2004.