In re Anonymous No. 3 D.B. 86

50 Pa. D. & C.3d 360
CourtSupreme Court of Pennsylvania
DecidedJuly 30, 1987
DocketDisciplinary Board Docket no. 3 D.B. 86
StatusPublished

This text of 50 Pa. D. & C.3d 360 (In re Anonymous No. 3 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. 3 D.B. 86, 50 Pa. D. & C.3d 360 (Pa. 1987).

Opinion

SCHWARTZMAN, Member,

Pursuant to rule 208(d) of the Pennsylvania Rules of Disciplinary Enforcement, the disciplinary board of the Supreme Court of Pennsylvania herewith files its report with respect to the above petition for discipline.

HISTORY OF PROCEEDINGS

Respondent was admitted to practice law in the Commonwealth of Pennsylvania in 1966. His office is located in [ ], Pa.

Petitioner filed a petition for discipline on January 15, 1986 which was served on respondent on January 28, 1986. The petition charged respondent with a violation of D.R. 9-102(B)(4) which requires an attorney to promptly deliver to a client as requested by the client property in possession of the attorney which the client is entitled to receive.

Respondent did not file an answer within the prescribed time limit and the matter was assigned to Hearing Committee [ ] consisting of [ ]. The hearing committee held a hearing regarding this matter on November 4, 1986.

At the conclusion of the testimony, the committee suggested disposing of the matter under the abbre[361]*361viated procedure of Disciplinary Board Rules and Procedures section 89.181. Both petitioner and respondent rejected this suggestion and the hearing continued to its completion. In its report, filed on February 27, 1987, the committee recommended the discipline of informal admonition for respondent.

Petitioner did not submit exceptions to the hearing committee report. Respondent filed a brief on exceptions on March 19, 1987. Petitioner responded with a brief opposing exceptions, filed on April 6, 1987. The matter was referred to the board on May 13, 1987 and was adjudicated by the board on May 28, 1987.

Respondent is charged with a violation of the above-cited disciplinary rule arising from his refusal to release savings certificates after receiving a letter from his client and the client’s ex-wife stating that the conditions for release of the certificates had been met and requesting the release of the certificates.

Respondent admitted that he refused to release the certificates but alleged that the conditions for release, set .forth in a marriage settlement agreement, had not been complied with by his client. Furthermore, petitioner alleged that he was holding the certificates under an attorney’s lien for an unpaid bill of $450.

The hearing committee found that the parties to the marriage settlement agreement (client and his ex-wife) had mutually modified that agreement by writings delivered to respondent declaring that the agreement had been complied with. As a result of this finding, the committee found further that respondent had no legal basis for his refusal to deliver the certificates.

The committee found that respondent had no [362]*362legal basis to assert an attorney’s lien on the certificates since all prior fees had been paid and respondent could produce no justification for additional charges. The committee concluded that respondent violated D.R. 9-102(B)(4) by refusing to deliver the certificates after receiving the letter from his client and the client’s ex-wife requesting the release of the certificates. The committee recommended that the matter be concluded by informal admonition.

In his brief on exceptions, respondent alleged that petitioner was attempting to harrass him by being prepared to appeal any unfavorable finding by the committee, and by knowingly accepting untrue statements by his client. Petitioner responded to these allegations in the brief opposing exceptions by stating that.objecting to unfavorable decisions is not harassment. Petitioner stated further that, because the committee found that the agreement had been complied with, petitioner’s reliance on statements by the client regarding the agreement could not be considered harassment by petitioner.

Respondent excepted to the characterization of his conduct as “bizarre,” claiming his conduct was understandable given the conduct of his client. The petitioner countered by pointing out that “the record is replete with evidence of respondent’s determination not to yield to his client’s demand that he return the client’s property.” Petitioner asserted that the evidence showed respondent’s behavior was neither understandable nor justifiable.

Respondent asserted that any violation of D.R." 9-102(B)(4) was de minimus because no financial loss resulted to the client and no financial loss was intended. Petitioner responded to this assertion by stating that just because a client does not suffer loss does not relieve the attorney of liability for his misconduct.

[363]*363Finally, respondent argued that the committee sought to discipline him for exercising his rights and this could have a chilling effect on other respondents from exercising their rights. Petitioner, on the other hand, noted that respondent was not prohibited from exercising his rights under the Rules of Disciplinary Enforcement and the Disciplinary Board Rules and, therefore, there will be no chilling effect on future respondents in the exercise of their rights. The committee sought to discipline respondent for his personal conduct, not for a right asserted or position taken by him.

FINDINGS OF FACT

(1) In 1977, respondent was retained by [A] to represent him in divorce proceedings against his wife, [B].

(2) In October 1978, respondent and the wife’s counsel accomplished a written marriage settlement agreement which was executed by the husband and wife.

(3) Said agreement outlined the disposition of three “promissory note certificates” and provided for the husband to purchase a fourth certificate by December 31, 1978.

(4) The husband and wife were each to hold one certificate and the third was to be held by respondent in escrow. Upon the husband purchasing the fourth certificate in the same title of ownership, re-, spondent, depending upon the circumstances of purchase, was to deliver the escrowed certificate to either the husband or wife which would result in each of them having possession of two certificates in trust for their child.

(5) At the time the agreement was signed, the husband delivered to the respondent both certifi[364]*364cates in his possession, one for escrow and the other for safe keeping.

(6) [A] paid respondent’s fees in full.

(7) Although the husband did not comply with the terms of the agreement with regard to the time and manner of acquiring the fourth certificate of deposit, he did in November 1980, purchase, a certificate in the required amount in trust for' the child.

(8) The husband, believing that he had complied with the requirements of the agreement, began calling respondent in 1981 to obtain the two certificates respondent was holding, without success.

(9) In April 1984, after repeated calls, the husband called respondent requesting the certificates and after a heated discussion, respondent advised husband that he owed additional fees and hung up the telephone.

(10) On or about the same date, the husband and wife went to respondent’s office unannounced where they prepared a handwritten statement jointly requesting the certificates. After approximately one hour, the husband and wife confronted respondent in his office, presented him with the written statement and demanded the certificates. Respondent telephoned the police whereupon the husband and wife left.

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50 Pa. D. & C.3d 360, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-anonymous-no-3-db-86-pa-1987.