Board of Overseers of the Bar v. Seth T. Carey

2019 ME 136
CourtSupreme Judicial Court of Maine
DecidedAugust 15, 2019
StatusPublished
Cited by3 cases

This text of 2019 ME 136 (Board of Overseers of the Bar v. Seth T. Carey) is published on Counsel Stack Legal Research, covering Supreme Judicial Court of Maine primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Board of Overseers of the Bar v. Seth T. Carey, 2019 ME 136 (Me. 2019).

Opinion

MAINE SUPREME JUDICIAL COURT Reporter of Decisions Decision: 2019 ME 136 Docket: Cum-19-16 Submitted On Briefs: July 18, 2019 Decided: August 15, 2019

Panel: SAUFLEY, C.J., and ALEXANDER, HJELM, and HUMPHREY, JJ.

BOARD OF OVERSEERS OF THE BAR

v.

SETH T. CAREY

PER CURIAM

[¶1] In November of 2016, Seth T. Carey—an attorney admitted to the

Maine Bar—consented to the entry of a disciplinary order (Brennan, J.). The

order established that Carey had committed multiple violations of the Maine

Rules of Professional Conduct, which prescribe ethical standards for lawyers,

and imposed a two-year suspension of Carey’s law license—a suspension that

was itself suspended contingent on Carey’s compliance with nearly thirty

specific conditions. In April of 2018, in response to an “expedited petition” filed

by the Board of Overseers of the Bar to activate the suspended portion of

Carey’s suspension, a single justice (Warren, J.) suspended Carey’s law license,

effective immediately and pending a full hearing, after making an initial finding

that Carey had engaged in conduct that led to the issuance of a protection order 2

against him. See M. Bar R. 24(a)-(b). The Board later filed a new disciplinary

information against Carey, alleging that he had committed other violations of

the Maine Rules of Professional Conduct. See M. Bar R. 13(g)(1).

[¶2] In September of 2018, following a three-day hearing on the pending

matters, the single justice entered an order finding that Carey had, on numerous

occasions, engaged in criminal conduct and violated court orders, all in

contravention of the Rules. After holding a sanctions hearing several months

later, the single justice entered an order suspending Carey’s license to practice

law for three years, see M. Bar R. 13(g)(4), 21(a)(1), (a)(3), (b)(6), with certain

conditions to be satisfied while the suspension is in effect. Carey appealed to

us,1 see M. Bar R. 13(g)(4), and we affirm the judgment.

I. BACKGROUND

[¶3] The following facts are drawn from the findings of the single justice,

all of which are supported by competent record evidence, see Bd. of Overseers

of the Bar v. Prolman, 2018 ME 128, ¶ 2, 193 A.3d 808, and from the procedural

record.

1Carey’s notice of appeal designates only the court’s December 2018 order on sanctions as the order from which he is appealing. In addition to Carey’s assertions of error with respect to that order, however, he also challenges the underlying factual findings contained in the September 2018 order, which he did not designate in his notice of appeal. See M.R. App. P. 2A(b)(1) (stating that a notice of appeal must “designate the judgment or part thereof appealed from”). We address the latter challenges nonetheless. 3

[¶4] Carey is no stranger to attorney disciplinary proceedings. Since he

was admitted to the Maine Bar in 2006, his license to practice law in this State

has been suspended no fewer than three times—not including the most recent

suspension order—for violations of the rules of ethics governing attorney

conduct. In 2009, Carey was sanctioned for misconduct twice. First, his license

was suspended for six months and one day after a single justice concluded that

Carey had, among other things, improperly communicated with other lawyers’

clients, demonstrated “a profound lack of candor and a clear willingness to

mislead [Bar Counsel] and the [Grievance Panel],” and exhibited “a lack of

fundamental skills, competencies, and preparation in trial work in general, and

criminal defense in particular”—all in violation of the Maine Bar Rules.2 Bd. of

Overseers of the Bar v. Carey, BAR-08-04, at 6-7 (Feb. 12, 2009) (Mead, J.). The

single justice also noted that Carey’s testimony at the disciplinary hearing was

“evasive, combative, and accusatory.” Id. at 5.

[¶5] Later in 2009, Carey was sanctioned for other misconduct he had

committed while the earlier disciplinary action was pending. Bd. of Overseers

2 Until August of 2009, the Code of Professional Responsibility, which set out the ethical standards imposed on Maine lawyers, was found in Maine Bar Rule 3 (Tower 2008). That Code was abrogated and replaced by the Maine Rules of Professional Conduct, which are presently in effect. See M.R. Prof. Conduct Preamble (1); see also Snow v. Bernstein, 2017 ME 239, ¶ 13, 176 A.3d 729. 4

of the Bar v. Carey, BAR-08-10 (Oct. 6, 2009) (Mead, J.). The second order was

entered by agreement on the basis of a complaint made by an acquaintance of

Carey that, during a visit to her home, Carey became emotionally out of control

and, among other things, acted violently toward her puppy. Id. at 1-3. Without

admitting to all the conduct alleged in the complaint, Carey agreed that “his

conduct was unworthy of an attorney in violation of then applicable M.

Bar R. 3.1(a),” and the single justice imposed a sixty-day suspension of Carey’s

license to practice, to run concurrently with the earlier suspension. Id. at 3-4.

[¶6] That brings us to the first of the two proceedings directly at issue

here. In November of 2016, a single justice entered an agreed-to order finding

that, over the course of several years, Carey had violated the Maine Rules of

Professional Conduct in several respects. Bd. of Overseers of the Bar v. Carey,

BAR-16-15, at 1-8 (Nov. 21, 2016) (Brennan, J.). First, based on a grievance

complaint filed against Carey by a judicial officer, the single justice found that

Carey had “failed to follow applicable rules, procedures and directives issued

by the trial courts,” thereby demonstrating, among other things, a lack of core

competence and violations of numerous Rules of Professional Conduct: Rule 1.1 5

(competence);3 Rule 1.3 (diligence);4 Rules 3.3(a)(3) and 3.3(b) (candor

toward the tribunal);5 and Rules 8.4(a) and 8.4(d) (misconduct).6 Id. at 3.

Second, the single justice found that Carey had engaged in professional

misconduct during a workers’ compensation proceeding and again violated

rules pertaining to basic attorney competence and diligence. Id. at 6; see M.R.

Prof. Conduct 1.1, 1.3; see also supra nn.3-4. Finally, the single justice

determined that Carey had failed to abide by the rules governing client trust

accounts (IOLTA), which the single justice found particularly troubling because,

“as an attorney licensed for more than ten years, Attorney Carey knew or

should have known that he could not commingle funds or draw upon his IOLTA

account for personal and other non-client expenses.” Bd. of Overseers of the Bar

3Rule 1.1 provides that “[a] lawyer shall provide competent representation to a client. Competent representation requires the legal knowledge, skill, thoroughness and preparation reasonably necessary for the representation.” 4 Rule 1.3 provides that “[a] lawyer shall act with reasonable diligence and promptness in

representing a client.” 5 Rule 3.3(a)(3) provides that “[a] lawyer shall not knowingly . . . offer evidence that is false,” and Rule 3.3(b) provides that “[a] lawyer who represents a client in an adjudicative proceeding and who knows that a person intends to engage, is engaging or has engaged in criminal or fraudulent conduct related to the proceeding shall take reasonable remedial measures, including, if necessary, disclosure to the tribunal.” 6 Rule 8.4(a) provides that “[i]t is professional misconduct for a lawyer to . . . violate or attempt to

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