Committee on Legal Ethics of the West Virginia State Bar v. Taylor

437 S.E.2d 443, 190 W. Va. 133, 1993 W. Va. LEXIS 154
CourtWest Virginia Supreme Court
DecidedNovember 1, 1993
Docket21725
StatusPublished
Cited by5 cases

This text of 437 S.E.2d 443 (Committee on Legal Ethics of the West Virginia State Bar v. Taylor) is published on Counsel Stack Legal Research, covering West Virginia Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Committee on Legal Ethics of the West Virginia State Bar v. Taylor, 437 S.E.2d 443, 190 W. Va. 133, 1993 W. Va. LEXIS 154 (W. Va. 1993).

Opinion

PER CURIAM:

In this attorney disciplinary proceeding, the Committee on Legal Ethics of the West Virginia State Bar (“the Committee”) recommends that this Court suspend the respondent’s, George S. Taylor, license to practice law for two consecutive six-month periods, require the respondent to pass the Multistate Professional Responsibility Examination as a condition of reinstatement and further order' the respondent to pay all costs of this disciplinary proceeding. We adopt the recommendation of the Committee. For the reasons stated below, we hereby order the suspension of the respondent’s license to practice law in the State of West Virginia for two consecutive six-month periods. As a condition for the respondent’s reinstatement to the West Virginia State Bar, we order that the respondent must pass the Multistate Professional Responsibility Examination, and we will also require the respondent to pay all costs associated with this disciplinary proceeding.

I.

In this disciplinary matter before us, two ethics complaints were filed against the respondent and heard separately. We, therefore, will discuss each matter separately.

A.

With respect to the first complaint, the hearing panel of the Committee found that the respondent had been practicing law in Mingo County, West Virginia, as an Assistant Public Defender when he knew his law license had been suspended by this Court for Mandatory Continuing Legal Education 1 deficiencies in violation of Rule 5.5(a) of the Rules of Professional Conduct. 2 The facts leading up to this finding are as follows.

On October 11, 1988, the Mandatory Continuing Legal Education Commission (“the Commission”), sent a certified letter to the respondent advising him that the Commission would seek suspension of his law license unless he submitted proof, within 30 days, that he had completed the requisite continu *135 ing legal education (“CLE”) hours. On this same day, the letter was returned as unclaimed to the Commission.

On November 22, 1988, the Commission petitioned this Court for suspension of the respondent’s license to practice law. The respondent attempted to complete the requisite hours, but ultimately failed to do so. As a result, this Court, by order dated June 12, 1989, suspended the respondent’s license to practice law in this State for failure to comply with the CLE requirements for the 1987-88 reporting year.

On January 12, 1990, Hope Gresham, the Commission’s coordinator, sent a letter to the respondent, as a follow-up measure after a telephone conversation she had with the respondent, explaining the requirements for reinstatement to the State Bar following his suspension.

In September of 1990, during the respondent’s suspension, he sent a resume to the Public Defender’s Office for the 80th Judicial Circuit in Williamson, West Virginia, for the position of Assistant Public Defender. The resume contained numerous inaccuracies, and moreover, the resume failed to state that the respondent’s law license had been suspended. 3

The Public Defender’s Board was unable to verify any of the information on the respondent’s resume, but nevertheless, offered the respondent the position. The respondent began working for the Public Defender’s office on October 8, 1990, and he continued to work there until he was terminated on November 9, 1990.

On November 5, 1990, the Commission received the respondent’s facsimile which contained a Form C, the form used by attorneys to report the completion of CLE hours, indicating that the respondent had complied with the CLE requirements. The form was processed later that day after the State Bar received the respondent’s dues and late fee.

The respondent received a copy of the statement of charges brought against him for practicing law when he knew his law license had been suspended, and he received a notice of hearing scheduling this disciplinary proceeding for June 20, 1992. The respondent did not appear at the hearing, but eventually he sent his answer with respect to the pending charges. To ensure that the respondent had a fair opportunity to respond to the charges against him, another hearing was scheduled for January 16, 1993, and the respondent received notice of such hearing. The respondent sent a letter stating that he did not wish to appear at the hearing.

For the reasons set forth below, we conclude that the respondent practiced law when he knew his license had been suspended for CLÉ deficiencies, in violation of Rule 5.5(a) of the Rules of Professional Conduct.

B.

With respect to the second complaint, the hearing panel found that the respondent wrote a check on an account which he knew lacked sufficient funds, and moreover, he failed to make restitution when the incident was brought to his attention in violation of W.Va.Code, 61-3-89 [1977], and Rule 8.4(b) and (c) of the Rules of Professional Conduct. 4 *136 The facts leading up to this finding are as follows.

In 1991, the respondent ordered a computer software package from a company, Blue Jay Systems, located in Sarasota, Florida. The respondent sent a check, dated July 12, 1991, to Blue Jay Systems in the amount of $369.00. On July 80, 1991, Scott Mclntire, the company’s owner, sent the software to the respondent.

In regard to the respondent’s checking account, bank statements indicated only one deposit had been made and that was the initial deposit of $1,325.81. The respondent had written sixteen checks out of this account before writing the check to Blue Jay Systems, and the account had insufficient funds for the last six of the sixteen checks. As time passed and overdraft charges were added, the account registered a negative balance. Between April 15 and May 15 of 1991, the bank closed the respondent’s account.

Eventually, the check was returned to Blue Jay Systems, and Mr. Mclntire then contacted the respondent, who said he would send another check. However, the respondent never sent the check, nor did he ever return the software.

Mr. Mclntire, in order to seek collection of the money, gave the check to Christopher George, who operates a collection agency in West Virginia. Mr. George attempted to contact the respondent but to no avail. In November of 1991, Mr. George filed an ethics complaint against the respondent concerning the check.

On September 24, 1992, the respondent personally received the statement of charges brought against him with respect to Mr. George’s complaint; and, on December 17, 1992, the respondent received notice óf the hearing scheduled for January 16, 1993. On January 11, 1993, the respondent notified counsel for the Bar that he would not be appearing at the hearing, rather he would make his arguments to this Court.

For the reasons stated below, we conclude that the respondent wrote a check on an account which he knew lacked sufficient funds and he failed to make restitution, in violation of W.Va.Code, 61-3-39 [1977], and Rule 8.4(b) and (c) of the Rules of Professional Conduct.

II.

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Bluebook (online)
437 S.E.2d 443, 190 W. Va. 133, 1993 W. Va. LEXIS 154, Counsel Stack Legal Research, https://law.counselstack.com/opinion/committee-on-legal-ethics-of-the-west-virginia-state-bar-v-taylor-wva-1993.