In re Anonymous No. 13 D.B. 80

20 Pa. D. & C.3d 470
CourtSupreme Court of Pennsylvania
DecidedSeptember 15, 1981
DocketDisciplinary Board Docket no. 13 D.B. 80
StatusPublished

This text of 20 Pa. D. & C.3d 470 (In re Anonymous No. 13 D.B. 80) 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. 13 D.B. 80, 20 Pa. D. & C.3d 470 (Pa. 1981).

Opinion

To The Honorable Chief Justice and Justices of The Supreme Court of Pennsylvania

HARRINGTON, Chairman,

Pursuant to Pa.R.D.E. 208(d)(iii), the Disciph[471]*471nary Board of the Supreme Court of Pennsylvania herewith submits its findings and recommendations to your honorable court with respect to the above petition for discipline.

I. HISTORY OF PROCEEDINGS

A complaint was filed by Office of Disciplinary Counsel against [ ] respondent in this action, charging him with several violations of the Disciplinary Rules of the Code of Professional Responsibility. No answer was filed to the petition for discipline nor was there any other pleading filed. A hearing committee [ ] was appointed. The committee scheduled a hearing for July 23, 1980. Appropriate notices were sent to and received by respondent. On that day, respondent was contacted by telephone, reminded of the proceedings and invited to participate. He announced his intention not to appear nor to be represented by counsel. Petitioner at the hearing was represented by [ ], Assistant Disciplinary Counsel, who offered exhibits and called witnesses to testify. At the close of testimony, the hearing committee found respondent to be in violation of the following Disciplinary Rules: D.R. 6-101(A)(3), D.R. 7-101(A)(l), D.R. 7-101(A)(2), D.R. 7-101(A)(3), and D.R. 1-102(A)(6).

Respondent was notified of the findings and further advised that a hearing would be scheduled April 14, 1981, at which time the committee would consider evidence on the nature and extent of discipline to be recommended. Formal notice of that date and time was sent to and received by respondent. Respondent refused to attend nor was he represented by counsel.

After receiving testimony on the type of discipline to be recommended, the hearing committee [472]*472recommended that respondent be suspended for a period of 12 months.

The board concurs in the hearing committee findings of fact and law and believes as the hearing committee did that respondent should be suspended but that the recommendation of 12 months suspension is not adequate and would in place thereof recommend a three year suspension from the practice of law.

II. FINDINGS

[A] died on August 14, 1966, without a will. Within a few days following her death, [respondent] was retained to represent the estate. At about the same time, he met with decedent’s family, where it was agreed that [B] would act as administrator. The estate contained certain “properties” located at the following addresses: [ ] Street, [ ] Street, [ ] Street, [ ] Street, and certain properties located in the vicinity of [ ] Street. Three or four of the properties were rented or partially rented at that time. In response to a question to him, respondent estimated that it would take approximately six months to close the estate.

In the years from 1966 to 1974, respondent collected rents from the rental property and made disbursements to various utilities for insurance premiums, attorney’s fees, some taxes and made advances to [C], decedent’s mother. While there is not a great deal of testimony concerning the properties located at [ ] Street, [ ] Street, [ ] Street and [ ] Street, it does appear that one of the properties was sold and the others were “nailed up.”

At some time prior to 1971, the Redevelopment Authority condemned the premises at [ ] Street and made an offer of settlement of $9,700. The offer was accepted formally and an appropriate instru[473]*473ment for that purpose was executed by [B], the then administrator.

Between 1966 and 1971, respondent did nothing to close the estate nor does the record disclose any vigorous effort on the part of the survivors to force respondent to take action to close the estate. It is clear, however, that from 1971 on, respondent was urged, beseeched and demanded to take action to close the estate. [B] inquired of respondent about payment of the $9,700 agreed to in settlement of the condemnation claim. At first, respondent told [B] that the Redevelopment Authority would not release the money. This was a misrepresentation. In fact, the money was available for distribution. Out of frustration, [B], although continuing as administrator, turned this matter over to [D], his sister-in-law.

[D], in her testimony, was very positive about her efforts to contact respondent and to get the estate closed.

In 1976, [D] contacted [respondent] and arranged for members of the family to meet with him concerning the estate. At that time and at that meeting, respondent assured members of the family that the estate would be closed and the money distributed. As a matter of fact, nothing was done at all until October of 1978, when [D] attempted to call and speak with [respondent] twice a day until the end of November, 1978. In that entire time, she never had the courtesy of a return telephone call nor did she ever have any explanation for respondent’s refusal to speak with her nor did respondent ever give an explanation as to why the estate had not been closed, at this point, some 12 years after the death of [A]. [D] continued in her efforts to contact respondent. She made several different appointments to meet with respondent at his office, all of which were cancelled.

[474]*474On November 23, 1978 respondent received a certified letter from [D] demanding an appointment, and this, too, was ignored.

When [D] received no response to her letter, she retained [E] to represent the estate.

After the Redevelopment Authority and respondent had agreed on a settlement figure for the real estate condemnation, the Authority set up a closing date at [ ] Insurance Company, at which the matter would be closed and the funds distributed. Respondent failed to appear at the closing and made no other arrangements. In June of 1973, the funds were placed on deposit with the prothonotary and remained there until September, 1979, when distribution was made.

III. DISCUSSION

The court has for its consideration a case in which respondent accepted employment to represent the estate of decedent in 1966. At that time he gave some assurance that the matter could be concluded in six months. Thirteen years later he was fired by his clients because he had grossly neglected the matter entrusted to him. Respondent during that time ignored repeated rquests by his client to attend to the business of closing the matter. The estate presented no complicating factors that could not be resolved by the application of minimal professional talent and diligence.

After the real estate had been condemned and a settlement figure agreed thereon and where the only act that was needed by the attorney to complete the transaction was to appear at a closing, he failed to do so and took no step between 1972 and 1979 to obtain the funds from the settlement.

The matter is further aggravated by respondent’s failure to reply to the formal petition for discipline [475]*475or to attend either of the hearings scheduled by the hearing committee and by failure to offer any explanation for such behavior.

Respondent has treated everyone involved with the Estate of [A] deceased, with conspicuous indifference and studied insolence.

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20 Pa. D. & C.3d 470, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-anonymous-no-13-db-80-pa-1981.