Dinger v. Gulino

661 F. Supp. 438, 1987 U.S. Dist. LEXIS 4575
CourtDistrict Court, E.D. New York
DecidedMay 28, 1987
DocketCV-86-3951
StatusPublished
Cited by14 cases

This text of 661 F. Supp. 438 (Dinger v. Gulino) is published on Counsel Stack Legal Research, covering District Court, E.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Dinger v. Gulino, 661 F. Supp. 438, 1987 U.S. Dist. LEXIS 4575 (E.D.N.Y. 1987).

Opinion

MEMORANDUM AND ORDER

SIFTON, District Judge.

Plaintiff, appearing individually and as executrix of the estate of her late husband, commenced this action against defendant, the estate’s former attorney, seeking to recover damages and attorneys’ fees based upon defendant’s alleged misconduct in connection with the administration of the *440 estate. Jurisdiction is based upon the parties’ diverse citizenship. This matter is currently before the Court on defendant’s motion for an order dismissing the action for lack of subject matter jurisdiction pursuant to Rule 12(b)(1) and plaintiff’s motion to disqualify defendant’s counsel, Mr. DeMarco, based upon Mr. DeMarco’s representation of plaintiff in a previous action.

The following facts are derived from the affidavits and exhibits submitted in connection with these motions.

In January 1976, plaintiff’s husband, August Dinger, died in Staten Island. A probate hearing was commenced in the Richmond County Surrogate’s Court and the Surrogate appointed plaintiff as executrix of her husband’s will in February 1977. At the time of her appointment, plaintiff resided in Staten Island; however, she alleges that she currently resides in New Jersey. 1

In October of 1980, plaintiff alleges that she engaged defendant, a New York resident, to represent the interests of plaintiff and the estate. Defendant acted as attorney for plaintiff and the estate until his discharge in 1986.

In 1981, the decedent’s daughter, Mary Ann Gunther, commenced an action against the plaintiff herein and other family members in the Southern District of New York in connection with the administration of the decedent’s estate. Mary Ann alleged that plaintiff converted and fraudulently transferred a portion of the decedent’s substantial securities holdings. She also alleged that plaintiff defrauded the estate by con-' verting estate assets, refusing to pay estate obligations, and selling estate property at prices below fair market value. Mary Ann alleged that this conduct violated the federal and state securities laws, RICO, and common law principles of fraud, and constituted breach of fiduciary duty and unjust enrichment. The defendant in the instant case represented the plaintiff and her family members as defendants in the Southern District action. However, in April 1983, as trial of that action neared, defendant herein recommended that his current attorney, Mr. DeMarco, be engaged to try the case on behalf of plaintiff and her family. 2 In preparation for the defense of the case, plaintiff alleges that she made disclosures to Mr. DeMarco about her “late husband’s dealings — which formed the basis of [Mary Ann Gunther’s] claims, in large measure” — and the scope of plaintiff's defense. She also alleges that “Mr. DeMarco had full and total access and did, in fact, examine all of my records, Estate files, personal checking accounts, and the files maintained by [other family members].” Mr. DeMarco’s bill for legal services rendered, which is attached to his affidavit, outlines the work he engaged in for trial. On April 27, 1983, Mr. DeMarco met with defendant herein for an “in depth review and discussion of the case.” Another such meeting between defendant and DeMarco was held on April 29th. On April 30th, Mr. DeMarco held a conference which plaintiff and defendant, among others, attended.

On May 10, 1983, after several days of trial before Judge Conner, the parties entered into a stipulation of settlement in open court in which, according to Mr. DeMarco, the parties to that action sought to end all litigation involving the estate. During this part of the action, both Mr. DeMarco and defendant spoke to the court on behalf of plaintiff. As part of the settlement, it was agreed that real estate called the “Shoals property” would be sold as soon as practicable after canvassing available buyers. Mr. DeMarco alleges that after the case settled his involvement with *441 matters relating to the plaintiff and the estate ceased.

After plaintiff discharged defendant as attorney for herself and the estate, plaintiff filed a petition against defendant in the Richmond County Surrogate’s Court. The petition sought to recover damages based upon defendant’s alleged commingling of estate funds, failure to account for his fees, negligence, and fraud. Although plaintiff paid the requested filing fee, the Surrogate declined to entertain the petition on November 7, 1986.

Accordingly, on November 20, 1986, plaintiff filed and served a summons and complaint against defendant in the Eastern District of New York. The complaint, which purportedly seeks the relief sought in the petition to Surrogate’s Court, sets forth the following nine claims for relief: (1) a claim for damages, the appointment of a referee, and an accounting based upon defendant’s alleged commingling of estate funds in his law firm account; (2) an action to recover unauthorized and unreasonable fees which defendant paid to himself; (3) an action for damages based upon defendant’s breach of his duties in connection with the sale of the “Shoals property” pursuant to the 1983 settlement; (4) a claim to recover the costs incurred in closing the Surrogate’s Court proceeding; (5) an action for damages based upon defendant’s conduct in encouraging plaintiff to sign a fraudulently prepared property deed; (6) a damages action based upon defendant’s negligence in advising plaintiff to sell parcels of the estate at prices below market value and failing to assert defenses to claims against the estate; (7) an action to surcharge defendant for excessive attorneys’ fees based upon an accounting or, in the alternative, by placing a constructive trust on the proceeds received from defendant from his representation of the estate; (8) an action for damages based upon defendant’s negligence in failing to prosecute claims on behalf of the estate; and (9) an action to recover the fees paid to Mr. DeMarco in connection with the defense of the 1983 suit based upon the grounds that defendant engaged DeMarco and others without plaintiff’s permission and that plaintiff believed that “defendant would be discharging the legal work on behalf of [plaintiff’s] interests and that any assistance defendant required would be undertaken by him as part of his costs.”

At some point after plaintiff filed her complaint, the action probating the Dinger estate in Richmond County Surrogate’s Court was closed.

The defendant failed to interpose an answer to plaintiff’s complaint within twenty days of filing. After the time to answer had expired, Mr. DeMarco, acting on defendant’s behalf, contacted plaintiff’s counsel and requested an extension of time to answer. Plaintiff refused to grant such an extension because she believed that Mr. DeMarco was disqualified from representing defendant in this action since he represented plaintiff in the Southern District litigation in 1983. On December 23, 1986, Judge Costantino, to whom this case was originally assigned, directed that the parties appear before him on February 3,1987. At that conference, Judge Costantino vacated any default that may have been entered against defendant and directed that defendant answer the complaint by February 23, 1987. Judge Costantino also recused himself from further consideration of this matter.

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661 F. Supp. 438, 1987 U.S. Dist. LEXIS 4575, Counsel Stack Legal Research, https://law.counselstack.com/opinion/dinger-v-gulino-nyed-1987.