Disciplinary Counsel v. Blair

2011 Ohio 767, 128 Ohio St. 3d 384
CourtOhio Supreme Court
DecidedFebruary 24, 2011
Docket2010-1862
StatusPublished
Cited by10 cases

This text of 2011 Ohio 767 (Disciplinary Counsel v. Blair) is published on Counsel Stack Legal Research, covering Ohio Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Disciplinary Counsel v. Blair, 2011 Ohio 767, 128 Ohio St. 3d 384 (Ohio 2011).

Opinion

Per Curiam.

{¶ 1} Respondent, Rebecca Susan Blair, of Cleveland, Ohio, Attorney Registration No. 0037270, was admitted to the practice of law in Ohio in 1986. In July *385 2010, relator, Disciplinary Counsel, filed an amended two-count complaint charging respondent with multiple violations of the Code of Professional Responsibility and the Rules of Professional Conduct 1 arising from her mishandling and misappropriation of funds belonging to an incompetent ward, and her failure to properly supervise her employees, which resulted in the filing of a false guardian account and a forged affidavit. The parties entered into agreed stipulations of fact and misconduct and have agreed to a number of mitigating factors. The panel and board have accepted the stipulated findings.

{¶ 2} The parties stipulated that the appropriate sanction for respondent’s misconduct is a one-year suspension with six months stayed on conditions. The panel, however, concluded, and the board agreed, that respondent’s misappropriation of more than $16,000 belonging to her incompetent ward warranted a greater period of suspension and probation. Accordingly, the panel and board recommend that we suspend respondent from the practice of law for two years with 18 months stayed on the conditions that respondent be placed on monitored probation in accordance with Gov.Bar R. V(9), remain in compliance with her Ohio Lawyers Assistance Program (“OLAP”) contract, continue to receive alcohol and mental-health counseling, and complete a continuing legal education (“CLE”) course in law-office management. Neither party has objected to the board’s findings or recommendation.

{¶ 3} We agree that respondent has committed professional misconduct as stipulated by the parties and found by the board and that a two-year suspension with 18 months stayed is the appropriate sanction for that misconduct.

Misconduct

Count I

{¶ 4} The panel and board adopted the parties’ stipulation that in January 2005, the Cuyahoga County Probate Court appointed respondent to serve as the successor guardian for an incompetent ward’s estate. After deducting her court-approved fees, respondent held $16,972.83 of the ward’s remaining assets in her client trust account. None of this money was placed in an interest-bearing account on behalf of the ward. Within six months, respondent had withdrawn all the ward’s assets from her client trust account but did not use any of those funds for the ward’s benefit.

*386 {¶ 5} The panel and board agree that these facts clearly and convincingly demonstrate that respondent’s conduct violates DR 1-102(A)(4) and Prof.Cond.R. 8.4(c) (both prohibiting a lawyer from engaging in conduct involving dishonesty, fraud, deceit, or misrepresentation), DR 1-102(A)(6) and Prof.Cond.R. 8.4(h) (both prohibiting a lawyer from engaging in conduct that adversely reflects on the lawyer’s fitness to practice law), DR 9-102(B)(3) and Prof.Cond.R. 1.15(a)(2) (both requiring a lawyer to maintain a record for each client on whose behalf funds are held), as well as DR 9-102(E)(l) (requiring an attorney to maintain client funds in an interest-bearing account) and Prof.Cond.R. 1.15(a) (requiring a lawyer to hold property of clients separate from the lawyer’s own property). They further recommend that we dismiss alleged violations of DR 1-102(A)(5) and Prof.Cond.R. 8.4(d) (both prohibiting conduct that is prejudicial to the administration of justice) in accordance with the parties’ stipulations.

{¶ 6} In addition to the factual findings of the panel and board, we note that the parties have stipulated that between March 25, 2005, and September 9, 2005, respondent wrote 31 checks against her client trust account. Twenty-six of those checks — totaling $33,150 — were payable to respondent. And by July 2006, respondent’s client trust account had a negative balance.

{¶ 7} Although the probate court issued a notice to file account in January 2007 and a citation to file account in March 2007, respondent failed to file the guardianship account. Instead, she requested and obtained eight separate 30-day extensions for the filing of the account. When the court granted the final extension in November 2007, it also issued a motion to remove respondent as the fiduciary for failure to file the account.

{¶ 8} By December 2007, respondent had accumulated over $20,000 in earned fees in her client trust account, and on December 10, 2007, she reimbursed $16,972.83 to her ward from those funds. In June 2009, she paid the ward an additional $2,000 to compensate the ward for the interest that would have been earned if respondent had initially deposited the ward’s funds in a separate interest-bearing account.

{¶ 9} Accepting the board’s factual findings and adopting these additional stipulated facts, we conclude that respondent has violated DR 1-102(A)(4), 1-102(A)(6), 9-102(B)(3), and 9-102(E)(l), as well as Prof.Cond.R. 8.4(c), 8.4(h), 1.15(a)(2), and 1.15(a), as found by the panel and board. We also dismiss the alleged violations of DR 1-102(A)(5) and Prof.Cond.R. 8.4(d) as stipulated by the parties and recommended by the panel and board.

Count II

{¶ 10} Count II arises from respondent’s failure to adequately supervise her staff while she served as the guardian for the incompetent ward discussed in *387 Count I. Specifically, respondent had authorized her staff to prepare and file pleadings regarding the guardianship in the probate court with no oversight and supervision.

{¶ 11} On December 4, 2007, respondent’s staff prepared and filed a motion to correct an inventory previously filed in the guardianship proceeding to reflect that the true value of the ward’s assets was $25,656 instead of the $30,000 previously reported. In support of that motion, respondent’s staff prepared an affidavit falsely stating, “Affiant further states that this entire amount was deposited into her [client trust] account to hold on behalf of [the ward], and the only disbursements from said funds have been $8,683.17 for attorney’s fees approved by this Court.” A member of the staff signed respondent’s name to the affidavit and notarized the forged signature before filing it with the court. In fact, the ward’s account was bankrupt.

{¶ 12} Based upon the misrepresentations in the affidavit, the probate court “corrected” the inventory and dismissed its motion to remove respondent as fiduciary. The parties stipulated that respondent’s staff later prepared a guardian’s account that falsely represented the disbursements and remainder of the ward’s assets, signed the respondent’s name to the document, and filed it in the probate court.

{¶ 13} The panel and board conclude that these findings clearly and convincingly demonstrate that respondent’s conduct violated Prof.Cond.R. 8.4(d), 8.4(h), and 5.3(a) (requiring a lawyer possessing managerial authority in a law firm to make reasonable efforts to ensure that the conduct of nonlawyers working for the firm is compatible with the professional obligations of the lawyer). We accept these findings of fact and misconduct.

Sanction

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2011 Ohio 767, 128 Ohio St. 3d 384, Counsel Stack Legal Research, https://law.counselstack.com/opinion/disciplinary-counsel-v-blair-ohio-2011.