Frances Tarlton Gordon, A/K/A Fran Gordon v. State

CourtCourt of Appeals of Texas
DecidedMarch 1, 1995
Docket03-92-00088-CR
StatusPublished

This text of Frances Tarlton Gordon, A/K/A Fran Gordon v. State (Frances Tarlton Gordon, A/K/A Fran Gordon v. State) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Frances Tarlton Gordon, A/K/A Fran Gordon v. State, (Tex. Ct. App. 1995).

Opinion

gordon

TEXAS COURT OF APPEALS, THIRD DISTRICT, AT AUSTIN



NO. 03-92-00088-CR



Frances Tarlton Gordon, a/k/a Fran Gordon, Appellant



v.



The State of Texas, Appellee



FROM THE DISTRICT COURT OF TRAVIS COUNTY, 147TH JUDICIAL DISTRICT

NO. 105,231, HONORABLE WILFORD FLOWERS, JUDGE PRESIDING



Following a jury trial, Francis ("Fran") Gordon and her husband, John Gordon, were convicted for misapplication of fiduciary property of more than $10,000. See Tex. Penal Code Ann. § 32.45 (West 1994). (1) The jury assessed the minimum punishment of two years' confinement and a $10,000 fine. Fran Gordon appeals her conviction. We will affirm the trial court's judgment of conviction.



BACKGROUND

In 1983, W.H. "Pip" Lasiter formed Best Lloyds, a Lloyds company. (2) Owners of the company included Lasiter, president of Best Lloyds; appellant, trustee and director; and John Gordon, vice-president, treasurer, and director. Appellant was also the sole proprietor of Southwestern Surplus ("SWS"), a managing general agent ("MGA") formed by her in 1979. (3) SWS contracted to enlist agents, underwrite policies, and aid in claims adjusting for Best Lloyds. Under the agreement, SWS collected premiums, held them as a fiduciary, and then remitted them to Best Lloyds after withholding its commissions.

At first, Best Lloyds's business grew rapidly. In 1987, Best Lloyds wrote over $41 million in insurance coverage, primarily automobile coverage; of this amount, 89.18 percent was attributable to SWS. Best Lloyds became increasingly dependant on SWS and, ultimately, developed serious financial problems.

In April of 1987, Dee Jacobs, an examiner with the Texas Department of Insurance (the "Department"), conducted an audit of Best Lloyds for the year ending December 1986. Her final report concluded that Best Lloyds was insolvent by approximately $9.5 million. Jacobs testified that she apprised both Lasiter and John Gordon of her conclusions at an exit conference on July 23, 1987. Appellant was not present at the exit conference. Jacobs testified that John Gordon did not dispute the findings or claim that the situation had since changed.

On January 11, 1988, the Department issued a formal order of supervision and placed Ramaswamy ("Ram") Sriram in charge of Best Lloyds's affairs. Sriram conducted a preliminary analysis of Best Lloyds for the period ending November 1987, and concluded that Best Lloyds was insolvent by approximately $8.817 million. He also discovered a Best Lloyds check dated January 4, 1988, signed by John Gordon, payable to SWS in the amount of $500,000. Furthermore, he uncovered a check dated January 13, 1988, signed by appellant, in the amount of $300,000 payable from Best Lloyds to SWS. The notation on the second check stated "loan." Knowing that a loan from Best Lloyds to SWS would constitute a violation of the Insurance Code, (4) Sriram notified his superiors of the checks.

The State charged appellant and her husband with misapplication of fiduciary funds over $10,000 on the basis of the January 13, 1988, check from Best Lloyds to SWS. At trial, the defense strategy was to minimize the degree of control appellant and her husband exercised over Best Lloyds and the daily accounting and operations of SWS. The defense argued that Monte Christians, accountant and comptroller of SWS, was responsible for appellant's signature on the $300,000 check. The State argued, however, that appellant was fully aware of the financial troubles of Best Lloyds and SWS and signed the check intentionally, knowingly, or recklessly.



DISCUSSION

A. Joint Representation by Counsel

Appellant and her husband were tried together and were represented by the same employed counsel. In points of error eight through eleven, appellant complains that being tried jointly with her husband denied her effective assistance of counsel because an actual conflict of interest existed between them.

Appellant and her husband were charged with the same offense in count one of a single indictment. However, John Gordon also was charged with several additional counts. Before trial, appellant filed a motion to sever, alleging that she would be denied a fair trial if tried with her husband because he was charged with multiple offenses and because the State intended to introduce several extraneous offenses against him. John Gordon also filed a motion to sever the multiple counts against him. The trial court granted John Gordon's motion; it severed count one from the remaining allegations. Appellant and her husband were then tried jointly, each charged with the single offense arising out of the check signed by appellant on January 13, 1988.

Appellant complains that she was entitled to be tried separately from her husband. Nevertheless, Appellant states that her motion to sever was never presented to the trial court and that the record contains no ruling on her motion; in that case, any error is waived. See Tex. R. App. P. 52(a). In any event, the granting of John Gordon's motion afforded her at least part of the relief she had requested.

Appellant further contends that she was entitled to separate trial counsel because an actual conflict with her husband arose from the State's decision to introduce extraneous offenses against her husband which prejudiced her position. Appellant did not complain about her counsel below and made no apparent effort to retain counsel separate from her husband. Appellant argues that during cross-examination of certain State witnesses, counsel failed to minimize or differentiate her culpability relative to her husband's. Appellant asserts that separate counsel would have made a greater effort, both in presenting evidence and at final argument, to differentiate her conduct from her husband's. Appellant also argues that counsel failed to request a limiting instruction in the jury charge regarding the extraneous offenses admitted against her husband. Nothing in the record suggests counsel warned appellant of any risk inherent in his joint representation of both her and her husband or that appellant waived her rights to complain of the alleged conflict of interest. See United States v. Greig, 967 F.2d 1018, 1021-22 (5th Cir. 1992) (holding that for waiver to be effective, the record must show that the trial court determined that it was knowingly, intelligently, and voluntarily done).

The Court of Criminal Appeals has held that, in certain cases, representation by the same attorney of multiple defendants in the same criminal trial may constitute ineffective assistance of counsel. James v. State, 763 S.W.2d 776, 778 (Tex. Crim. App. 1989); Wenzy v. State, 855 S.W.2d 52

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