Cleveland Bar Assn. v. Dixon

2002 Ohio 2490, 95 Ohio St. 3d 490
Ohio Supreme Court·Decided June 12, 2002·No. 2001-1631·Published·Cited by 36 cases

Opinion

[This decision has been published in Ohio Official Reports at 95 Ohio St.3d 490.]

CLEVELAND BAR ASSOCIATION v. DIXON.

[Cite as Cleveland Bar Assn. v. Dixon, 2002-Ohio-2490.]

Attorneys at law—Misconduct—Permanent disbarment—Fifteen distinct violations of the Disciplinary Rules during the administration of an estate—Failing to cooperate in a disciplinary investigation. (No. 2001-1631—Submitted January 8, 2002—Decided June 12, 2002.) ON CERTIFIED REPORT by the Board of Commissioners on Grievances and Discipline of the Supreme Court, No. 00-85.

COOK, J.

{¶1} This cause is before the court upon the filing of a certified report by the Board of Commissioners on Grievances and Discipline (“board”) recommending that we sanction the respondent, Debra J. Dixon of Cleveland, Ohio, Attorney Registration No. 0060090, for acts violating numerous Disciplinary Rules and for initially failing to cooperate in the disciplinary investigation. The board recommends that we indefinitely suspend Dixon from the practice of law in Ohio. For the reasons that follow, we decline to follow the board’s recommendation and instead disbar Dixon.

I

{¶2} The parties entered into detailed factual stipulations that formed the basis for the panel report, which in turn formed the basis of the board’s certified report to this court. These stipulations indicate that in September 1996, Dixon began to represent Bertha Heim, both individually and as the administrator of the estate of Heim’s deceased husband, Otto. Dixon also represented Heim’s son for limited purposes. During the course of her relationship with Heim, Dixon obtained power of attorney, which Dixon used to sign probate documents and to transfer both probate and non-probate funds or assets.

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Neglect

{¶3} Dixon admits that she lacked the experience to handle the probate matter. Among other errors, she failed to identify accurately funds valued at $33,950.65; failed to file accurate accounts in a timely fashion, resulting in a citation against Heim; failed to deliver assets to beneficiaries in a timely fashion; and failed to provide full information in a timely fashion to both the court and her client. Eventually, a probate court magistrate judge contacted the Cleveland Bar Association over concerns that Heim had expressed to him about Dixon’s usurping estate assets valued between $200,000 and $500,000 and about a potential conflict of interest arising from Dixon’s representing the estate, of which both Heim and her son were beneficiaries, while also representing Heim personally.

{¶4} The parties stipulated that Dixon’s conduct violated DR 6-101(A)(1)

(a lawyer shall not handle a legal matter that she knows or should have known she is not competent to handle without associating herself with a lawyer who is competent to handle it), 6-101(A)(2) (a lawyer shall not handle a legal matter inadequately), 6-101(A)(3) (a lawyer shall not neglect an entrusted legal matter), 1-102(A)(5) (a lawyer shall not engage in conduct prejudicial to the administration of justice), 7-101(A)(2) (a lawyer shall not fail to carry out a contract of legal employment with a client for professional services), and 7-102(A)(3) (a lawyer shall not knowingly fail to disclose that which the law requires to be revealed).

Failure to Account for Fiduciary Funds

{¶5} In the course of the attorney-client relationship, Dixon had assumed nearly total control over all assets belonging to the estate and to Heim. The parties stipulated that Dixon’s mishandling of the assets violated DR 9-102(B)(2) (failure to label all assets properly), 9-102(B)(3) (failure to render appropriate accounts to

January Term, 2002

the client), and 9-102(B)(4) (failure to pay or deliver to the client promptly property that was in lawyer’s possession).1 Improper Transfers of Fiduciary Funds

{¶6} In the second month of her representation of Heim, Dixon opened a joint and survivorship checking account in both their names. Although Dixon used this account to receive various fiduciary monies and to pay fiduciary bills, Dixon also withdrew $252,406.80 from that account for her own use. Exhibits accompanying the stipulations show that Dixon had written several checks payable to “Cash.” Another was payable to a university scholarship fund, while yet others were payable to relatives of Dixon. Although Dixon periodically reimbursed the account, she twice deposited her own funds into the account and identified them as “loans,” even though Heim did not require such loans.

{¶7} The parties stipulated that Dixon’s conduct violated DR 9-102(A)

(commingling funds), 1-102(A)(4) (engaging in conduct involving dishonesty, fraud, deceit, or misrepresentation), 1-102(A)(6) (engaging in conduct adversely reflecting on the lawyer’s fitness to practice law), and 7-101(A)(3) (intentionally prejudicing or damaging her client in the course of their professional relationship).

{¶8} During her second year of representing the estate and Heim, Dixon transferred $110,000 from Heim’s assets to Dixon’s brother and another individual. The two men used the money to purchase real property. Dixon prepared a promissory note and open-ended mortgage for the transaction that identified the lender as “Bertha Heim c/o her Attorney, Debra J. Dixon.” The stipulations state that Dixon “admits she has no records evidencing disclosure of this loan to Bertha

1. The board report describes DR 9-102(B)(2) as prohibiting Dixon’s failure to render an appropriate account to Heim in a timely fashion, while describing DR 9-102(B)(3) as prohibiting Dixon’s failure to label all assets properly. The board has switched the Disciplinary Rules. Our independent evaluation of the case corrects this clerical error.

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Heim.” The parties stipulated that Dixon’s conduct violated DR 5-105 (representing conflicting interests).

{¶9} Upon reaching a settlement with the estate’s conservator, who had filed a concealment of assets action, Dixon repaid that portion of the principal that she had not already redeposited, paid interest on the principal, and paid the conservator’s attorney’s fees.

Charging an Excessive Fee

{¶10} By two payments in February and June 1997, Dixon paid herself a total of $15,000 from non-probate funds. Dixon recorded the payments as “funds management.” Later, during the course of the conservator’s legal action against her, Dixon submitted a fee invoice in the amount of $18,205 plus additional expenses. As part of the settlement agreement, Dixon waived payment of her fees. The parties stipulated that Dixon attempted to charge an excessive fee in violation of DR 2-106(A).

Failure to Cooperate with Disciplinary Investigation

{¶11} The Cleveland Bar Association first notified Dixon in February 1999 of a grievance against her. Despite repeated requests by the bar association, Dixon failed to provide full information for months. Finally, following the estate conservator’s filing of the civil action against Dixon, Dixon retained counsel who facilitated Dixon’s cooperation with the disciplinary investigation. The parties stipulated that Dixon’s conduct constitutes misconduct under Gov.Bar R. V(6)(A)(1) in that she failed to cooperate as required by Gov.Bar R. V(4)(G).

{¶12} The matter proceeded to a hearing before a board panel. At the hearing, the bar association confirmed that it was withdrawing other alleged violations that were not resolved by stipulation, as well as an amended complaint that it had filed alleging additional violations. After hearing mitigation testimony, the panel adopted the parties’ stipulations as its findings of fact and conclusions of

January Term, 2002

law and recommended an indefinite suspension. The board then adopted the findings, conclusions, and recommendation of the panel.

{¶13} Dixon now objects to a portion of the board’s findings and to a condition of the recommended sanction.

II

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