In re Anonymous No. 10 D.B. 85 & 1 D.B. 86

47 Pa. D. & C.3d 361
CourtSupreme Court of Pennsylvania
DecidedFebruary 27, 1987
DocketDisciplinary Board Docket Nos. 10 D.B. 85 and 1 D.B. 86
StatusPublished

This text of 47 Pa. D. & C.3d 361 (In re Anonymous No. 10 D.B. 85 & 1 D.B. 86) is published on Counsel Stack Legal Research, covering Supreme Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Anonymous No. 10 D.B. 85 & 1 D.B. 86, 47 Pa. D. & C.3d 361 (Pa. 1987).

Opinion

KELLER, Member,

Pursuant to Pennsylvania Rule of Disciplinary Enforcement 208(d), the disciplinary board of the Supreme Court of Pennsylvania submits its findings and recommendations respecting the above captioned petition for discipline.

HISTORY OF THE PROCEEDINGS

(1) Respondent. [ ], was an attorney admitted to practice law in the Commonwealth of Pennsylvania, having been admitted on February 16, 1965, with an attorney registration number of [ ]. He maintained his office at [ ]. Respondent was bom in 1939.

(2) By order of the Supreme Court of Pennsylvania dated January 20, 1984, respondent was suspended from the practice of law “commencing from the date of this order and terminating on February 1, 1985 . . .”

(3) Pursuant to the power granted by Rule 207(b)(2) and (3) and in compliance with Rule 208(b)(1), Pa.R.D.E., petitioner files against respondent the following charges of professional misconduct in violation of the Code of Professional Responsibility (204 Pa. Code Chr 81).

Each of the separate disciplinary actions are reviewed individually.

• CHARGE I — [A]

STATEMENT OF FACTS — [A]

On or about May 20, 1983, respondent filed a landlord-tenant complaint in the office of District Magistrate [B] of [ ] on behalf of his client [C], [363]*363seeking eviction and damages against tenants [D] and [E].

■ 2. The property in question was owned as tenants in common by [C] and his ex-wife, [A], a fact of which respondent was aware, and was located at [ ]• .

3. On or about May 17, 1983, respondent had approached [A] directly and asked her to sign a document giving her consent as co-owner to an eviction action against [D] and [E].

4. At the time of said approach, respondent knew or reasonably should have known that [A] had been and was represented on domestic relations matters, including all dealings pertaining to the subject real estate, by [F], Esq., of [ ].

5. Respondent had not obtained consent from Attorney [F] to communicate directly with [A].

6. In the discussion on or about May 17, 1983, [A] refused to sign the consent document respondent presented to her and advised respondent that she was not in agreement with any eviction action being pursued by [C].

7. A magistrate’s hearing on the eviction action was held before Magistrate [B] on or about June 13, 1983.

8. At said hearing, tenants’ counsel, [G], Esq., objected to the eviction action on the basis that it was being brought by only one of the tenant in common owners and that there was no indication that [A] had consented to the prosecution of the eviction action.

9. In response to said objection, respondent took the stand as a witness in the action, wás duly sworn, and testified under oath that he had discussed the case with [A] and that she had stated to respondent her consent to the prosecution of the eviction action.

[364]*36410. As a result of the testimony in the case, including respondent’s testimony, a judgment of eviction was entered by the magistrate on June 14, 1983 against [D] and [E].

11. Respondent was charged with violating the Disciplinary Rules of the Code of Professional Responsibility:

(a) DR 1-102(A)(4), dealing with conduct involving dishonesty, fraud, deceit, or misrepresentation;

(b) DR 1-102(A)(5), dealing with conduct that is prejudicial to the administration of justice;

. (c) DR 7-102(A)(4), dealing with knowingly using perjured testimony or false evidence;

(d) DR 7-102(A)(5), dealing with knowingly making a false statement of law or fact;

(e) DR 7-102(A)(6), dealing with participation in the creation or preservation of evidence when it is known or is obvious the evidence is false; and

(f) DR 7-104(A)(l), dealing with communicating with a party known to be represented by a lawyer.

. 12. Respondent’s proferred defense and explanation as to the charges was that he believed that his testimony was correct. Also that he had handled a prior legal matter for Mr. and Mrs. [C] ([A] was formerly married to [C]). Additionally, respondent was under the belief that [B’s] objection to the eviction rested solely on her strong desire not to have her husband re-occupy the premises. Thus having obtained an affidavit from her husband not to re-occupy the premises, respondent mistakenly surmised that [B’s] objection was satisfied.

DISCUSSION — [B] MATTER

The board feels that respondent believed at the time he took the stand that ex-wife consented to the eviction action. In view of this belief, the conduct [365]*365did not involve dishonesty, fraud, deceit, or willful misrepresentation.

With respect to violation (b), which deals with conduct that is prejudicial to the administration of justice, the board concludes that respondent did not take sufficient steps in view of his training as a lawyer to do everything possible to conclude that ex-wife did, indeed, consent to the eviction action.

With respect to violation (f), which deals with communicating .with a part known to be represented by a lawyer, the record is clear that respondent violated this rule. This cannot be disputed, particularly in view of Exhibit R-46 which is a letter from [G] Esq., to respondent, informing him that he has spoken with counsel for the ex-wife and that said counsel informed [G] that said counsel continues to represent the ex-wife who “does not desire to evict the current tenants.”

CONCLUSIONS OF LAW — [A]

Respondent has, by his conduct, violated the following disciplinary rules of the Code of Professional Responsibility:

(b) DR 1-102(A)(5), dealing with conduct that is prejudicial to the administration of justice.

(f) DR 7-104(A)(1), dealing with communicating with a party known to be represented by a lawyer.

CHARGE II — [H]

STATEMENT OF FACTS — [H]

1. [H] was divorced from [I], and on or about September 18, 1979 the parties entered into a settlement as to distribution of the proceeds from the sale of the marital home.

2. Pursuant to that settlement, the sum of $5,424.88 was to be held in escrow by [J], Esq., [366]*366counsel for [I], pending agreement between the parties on who was to be responsible for payment of certain remaining joint debts.

3. On July 28, 1981, respondent wrote a letter to [H]- assuming representation of her and agreeing to pursue a final resolution as to distribution of the escrowed monies.

4. Some negotiations were conducted by mail between respondent and Attorney [J] between August 1981 and May 1982 as to settlement on the distribution of monies, but as of May 12, 1982, Attorney [J] reported to respondent that he no longer knew the whereabouts of his client, [I], and was unable to communicate with the client.

5. Respondent engaged in no further negotiations nor any other known activity relative to the escrowed monies between May of 1982 and March of 1983.

6. On March 14, 1983, respondent wrote to [H] seeking approval to pursue a settlement. [H] replied on March 17, 1983, requesting respondent to proceed..

7. It was not until August 2, 1983 that respondent filed a petition and rule, docketed at No.

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Related

Office of Disciplinary Counsel v. Keller
506 A.2d 872 (Supreme Court of Pennsylvania, 1986)

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Bluebook (online)
47 Pa. D. & C.3d 361, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-anonymous-no-10-db-85-1-db-86-pa-1987.