Gross v. Russo (In Re Russo)

3 B.R. 28, 22 Collier Bankr. Cas. 2d 703, 1980 Bankr. LEXIS 5587
CourtUnited States Bankruptcy Court, E.D. New York
DecidedFebruary 12, 1980
Docket1-19-40869
StatusPublished
Cited by16 cases

This text of 3 B.R. 28 (Gross v. Russo (In Re Russo)) is published on Counsel Stack Legal Research, covering United States Bankruptcy 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
Gross v. Russo (In Re Russo), 3 B.R. 28, 22 Collier Bankr. Cas. 2d 703, 1980 Bankr. LEXIS 5587 (N.Y. 1980).

Opinion

MANUEL J. PRICE, Bankruptcy Judge.

This is an adversary proceeding brought by the trustee in bankruptcy, “THE TRUSTEE,” of Lucio F. Russo, “THE BANKRUPT,” pursuant to Rule 701(4) of the Rules of Bankruptcy Procedure, “THE RULES,” to deny the bankrupt’s discharge on two grounds:

1. That he destroyed and failed to keep or preserve books of account or records from which his financial condition and business transactions might be ascertained within the meaning of Section 14c(2) of the Bankruptcy Act, “THE ACT,” 11 U.S.C. § 32c(2),' and
2. That he failed and refused to obey lawful orders of this court which required him to turn over to the trustee certain records, within the meaning of Section 14(c)6 of the Act.

The bankrupt interposed an answer in which he denied both charges and the case proceeded to trial on September 17, 1979. [Since there were morning and afternoon sessions, I shall refer to the transcript of the morning session as “Tr., A.M.” and the transcript of the afternoon session as “Tr., P.M.”]

At the trial, the trustee, an attorney, appeared pro se. He was the only witness for the plaintiff and presented his case principally by reading into the record testimony elicited from the bankrupt at his examination during the first meeting of creditors and from subsequent examinations conducted by him pursuant to Rule 205 of the Rules. The bankrupt was the only witness called on his behalf.

The following is a resumé of the facts which were adduced at the trial.

The bankrupt, an attorney admitted to the bar of the State of New York, who had been engaged in practice for over forty years, (Tr., P.M., p. 31,1. 25), filed a voluntary petition in bankruptcy on January 5, 1978. In accordance with Section 18f of the Act, 11 U.S.C. § 41f, the filing acted as an adjudication, which, in turn, acted as an application for a discharge pursuant to Section 14a of the Act, 11 U.S.C. § 32a. In addition to his law practice, the bankrupt had been elected to the New York State Assembly in which he served for twenty-two years, from January 1, 1953 to December 31, 1974 (Tr., P.M., p. 32,11. 4-8). During his service in the Assembly, he was named Chairman of the Insurance Committee from 1963 to 1969 and of the Banking Committee from 1969 to 1974 (Tr., P.M., p. 32,11. 9-14).

At the first meeting of creditors, the trustee was elected pursuant to Section 44a of the Act, 11 U.S.C. § 72a, and Rule 209(a) of the Rules and he duly qualified as such. He proceeded to examine the bankrupt during the adjourned first meetings and the examinations which he conducted pursuant to Rule 205(a) and (f) of the Rules. During the course of these examinations, this court, by verbal and written orders, directed the bankrupt to turn over to the trustee all of his books, records, cancelled vouchers, bank statements, checkbook stubs, tax returns and any other documents pertaining to his financial transactions and business dealings. In response to these directions, he turned over to the trustee the bank statements and cancelled vouchers, on his personal checking account, for the period from 1972 through 1977 (Plaintiff’s Exhibits 3 and 7), payment books issued by banks from which he had obtained seven loans, copies of his federal *30 income tax returns for 1975 through 1977 (Plaintiff’s Exhibit 4) and an affidavit describing, in part, how he had disposed of two checks, totaling over $17,000, issued to him in 1974 by the New York State Pension System (Defendant’s Exhibit A). He turned over no checkbook stubs or other records which might have indicated the source of deposits into his bank account nor did he turn over any books or ledgers in which he might have recorded the receipts from his law practice and from consulting fees received by him from the Legislature of the State of New York and the disbursements incident thereto.

The trustee contends that the bankrupt’s discharge should be denied pursuant to Section 14c(2) and (6) of the Act, 11 U.S.C. § 32e(2) and (6), since he has failed to keep or preserve books and records from which his financial condition and business transactions might be ascertained and that he has failed to obey the lawful orders of this court, particularly the order signed on March 22, 1978 (Plaintiff’s Exhibit 1) which directed him to turn over to the trustee, inter alia, “cancelled checks, bank statements and checkbook stubs . . and all. other records used by the bankrupt to record income.” (emphasis added).

Subdivisions (2) and (6) of Section 14c provide:

“c. The court shall grant the discharge unless satisfied that the bankrupt has ... (2) destroyed, mutilated, falsified, concealed, or failed to keep or preserve books of account or records, from which his financial condition and business transactions might be ascertained, unless the court deems such acts or failure to have been justified under all the circumstances of the case; or . (6) in the course of a proceeding under this Act refused to obey any lawful order of, or to answer any material question approved by, the court . .”

It is the bankrupt’s contention that he has satisfied the requirements of both of these subdivisions of Section 14c. He argues that he has turned over to the trustee all of the records which he kept and that his financial condition and business transactions can be sufficiently ascertained from them. He alleges that he has complied with the court’s direction to him since he simply never retained the checkbook stubs and that he never maintained any ledgers, books, or records other than those turned over to the trustee.

The first question to be determined is: Are the records turned over to the trustee sufficient to satisfy the duty imposed on the bankrupt to “keep or preserve books of account or records, from which his financial condition and business transactions might be ascertained”?

It has been the bankrupt’s position throughout these proceedings that no books of account ever existed, that he never kept or maintained any such records in all of his years in practice. He testified, that although the checks in his checkbook were attached to stubs, he did not record any information on them beyond that which appeared on the cancelled checks and bank statements (Tr., P.M., p. 17,1. 20-p. 18,1. 4) and, in any event, when he was finished with the checkbook he “disposed of it. [He] didn’t know exactly what [he] did with it. [He] didn’t intentionally destroy it.” (Tr., P.M., p. 18, 1. 25-p. 19, 1. 1).

He also testified that the only other records with regard to his finances that ever existed were “notations” prepared by him at the end of each year for the purpose of assisting his accountant in preparing his income tax returns. He would send the sheets containing the “notations” to his accountant, who presumably kept them, for they were not returned to him and, if they had been, he would “dispose of [them]” (Tr., A.M., p. 18, 1. 21-p. 20,1. 25).

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Cite This Page — Counsel Stack

Bluebook (online)
3 B.R. 28, 22 Collier Bankr. Cas. 2d 703, 1980 Bankr. LEXIS 5587, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gross-v-russo-in-re-russo-nyeb-1980.