Gex v. Mississippi Bar

656 So. 2d 1124, 1995 WL 231595
CourtMississippi Supreme Court
DecidedJune 29, 1995
Docket93-BA-01303-SCT, 93-BA-01305-SCT
StatusPublished
Cited by12 cases

This text of 656 So. 2d 1124 (Gex v. Mississippi Bar) is published on Counsel Stack Legal Research, covering Mississippi Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Gex v. Mississippi Bar, 656 So. 2d 1124, 1995 WL 231595 (Mich. 1995).

Opinion

The Mississippi Bar, ("Bar") filed two formal complaints involving separate, unrelated incidents against Joseph W. Gex, ("Gex"). Different Tribunals considered the charges against Gex. The first Tribunal determined that Gex, regarding a note and deed of trust taken on the sale of real property to Jacqueline A. Vidrine, ("Vidrine") violated Rules of Professional Conduct 1.15(b) and 8.4(a), (c), (d). The second Tribunal determined Gex violated conduct rules 1.3, 1.4(a), 1.8(e) and 8.4(c) in the representation of his client, Paul Cromer, ("Cromer"). Gex also engaged in conduct demonstrating dishonesty, fraud, deceit or misrepresentation and conduct prejudicial to the administration of justice. Gex was disbarred by the Tribunal on the Vidrine incident and suspended for one (1) year by the Tribunal that considered the Cromer matter.

Feeling aggrieved, Gex appeals to this Court for consideration of the following issues:

I. WERE RULES 1.15(b) and 8.4(a), (c), (d) OF THE RULES OF PROFESSIONAL CONDUCT VIOLATED UPON THE FACTS PRESENTED BY CLEAR AND CONVINCING EVIDENCE?

II. WERE RULES 1.3, 1.4(a), 1.8(e) and 8.4(c) OF THE RULES OF PROFESSIONAL CONDUCT VIOLATED?

III. DOES THE FAILURE TO ALLOW APPELLANT RIGHT TO CONFRONTATION VIOLATE THE 5th AMENDMENT TO THE U.S. CONSTITUTION?

IV. DID THE FACTS SHOW BY CLEAR AND CONVINCING EVIDENCE THAT GEX WAS UNFIT TO PRACTICE LAW AS A RESULT OF THE FACTUAL SITUATION?

V. IS SUSPENSION FROM THE PRACTICE OF LAW FOR A PERIOD OF ONE (1) YEAR A JUSTIFIABLE JUDGMENT BY THE TRIBUNAL?

VI. MAY THE APPELLANT PRESENT "MITIGATING FACTORS" AT THE SUPREME COURT LEVEL AS PART OF THE DE NOVO REVIEW, AND IF SO, THE SCOPE OF SUCH PROOF BY AFFIDAVIT? Vining v. The Mississippi Bar, 508 So.2d 1047 (Miss. 1987).

This Court, considering both Bar complaints against Gex and all his assigned errors presented therein, finds no merit to any of the issues raised by Gex. Gex violated each of the rules cited by the Tribunals. Although the two incidents resulting in the complaints against Gex, if considered separately, might be found to justify a less severe sanction in the form of a suspension, for example, the combination of these incidents certainly warrants disbarment of Gex.

FACTS
The Vidrine Matter
On November 12, 1991, a Formal Complaint against Gex regarding the "Vidrine" matter was filed before a Complaint Tribunal by the Mississippi Bar. The complaint concerned a real estate transaction between Gex and Vidrine.

On February 10, 1986, Gex sold a parcel of real estate to Jacqueline A. Vidrine for $30,000. Gex received $10,000 in cash and the *Page 1126 remaining balance of $20,000 was secured by a Promissory Note and Deed of Trust. Vidrine paid monthly installment payments on the balance of the note to the Hancock Bank in Bay St. Louis, Mississippi as agreed and stated in the Promissory Note.

On March 5, 1986, Gex received a loan of $16,002 from the Hancock Bank which was not related to the Vidrine Promissory Note, Deed of Trust and Warranty Deed. Gex executed a Collateral Note in return for the $16,002 loan. He then assigned all of his "right, title and interest" in the Promissory Note executed by Vidrine to the Hancock Bank as collateral for the $16,002 loan.

In May 1987, Vidrine requested that her attorney, Julien K. Byrne, III (Byrne) contact Gex and determine the payoff necessary to satisfy the Promissory Note. Gex mailed a letter to Byrne's secretary, Glenda Downs, stating he would accept $18,000 in satisfaction of Vidrine's promissory note. Vidrine issued and delivered two checks to Byrne totaling $18,000 in accordance with Gex's letter. Vidrine did not know that Gex assigned his right, title and interest in the Promissory Note to Hancock Bank.

After receiving two personal checks totalling $18,000 from Vidrine, in satisfaction of the Promissory Note, Gex executed an Authority to Cancel the Deed of Trust executed by Vidrine. He did not inform Vidrine or Byrne that he had previously assigned all of his right, title and interest in the Deed of Trust to Hancock Bank. Nor did he notify the Hancock Bank that he accepted the $18,000 in satisfaction of the Deed of Trust and Promissory Note executed by Vidrine. Gex did not use the money to satisfy the remaining balance of the $16,002 loan. Instead, Gex used the money to pay income taxes and other personal expenses.

Gex received three extensions between March 30, 1988 and May 21, 1990 to pay the $16,002 loan balance. The Promissory Note executed by Vidrine was listed as security for the original note of $16,002 on each extension. Gex never notified the bank that he accepted an early retirement of Vidrine's note in seeking the extensions.

Jerry D. Heitzmann, Branch Manager of the Hancock Bank, testified that in November 1990 he obtained Vidrine's address from Gex in an effort to collect on the note. Gex never said anything to Heitzmann about the payoff or cancellation of the note and deed of trust. Heitzmann discovered that Vidrine had paid the balance on the note. The Bank filed suit against Gex for his outstanding indebtedness and obtained a judgment which remained unsatisfied at the time of the Tribunal's Opinion and Judgment. The bank viewed Vidrine as an innocent victim and did not foreclose on the property. In addition, Vidrine does not have a clear or marketable title to the land.

Gex admitted he received two checks from Vidrine and deposited them into his personal account to pay his expenses, rather than depositing the money into a trust account. He admitted the bank had an interest in the funds Vidrine paid him. When asked ". . . [I]sn't it true that you are making a representation to Mrs. Vidrine, through her counsel, by executing and tendering this authority to cancel, (the deed of trust) that you had such authority; isn't that correct," Gex replied, "I would think that would be true, yes, sir."

Jeannette Purchner, loan officer at Hancock Bank, testified that she had known Gex for many years and knew he was prone to procrastinate. Gex did not tell her he received money from Vidrine, did not ask the bank for permission to cancel the Deed of Trust and did not inform the bank the deed had been cancelled when he received the loan extensions.

Janet Power, Purchner's successor, testified that upon Purchner's retirement, she received the Gex file. She discussed with Gex having Vidrine make direct payments to the bank since Gex was late with payments. Power stated that when the third extension was granted, Gex failed to mention that the note had been paid and the deed cancelled. Had she known Vidrine's note was already satisfied, it could not have served as collateral on Gex's loan which she would not have extended. *Page 1127

The Cromer Matter
Regarding the second Bar complaint against Gex, filed November 13, 1992, the following facts were found by the Complaint Tribunal in its opinion and judgment issued October 21, 1993. Paul Cromer crushed two fingers on September 27, 1983, while unloading oysters from a transport truck owned by Trinity Transport.

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Cite This Page — Counsel Stack

Bluebook (online)
656 So. 2d 1124, 1995 WL 231595, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gex-v-mississippi-bar-miss-1995.