In re Anonymous No. 44 D.B. 87

49 Pa. D. & C.3d 488
CourtSupreme Court of Pennsylvania
DecidedNovember 23, 1988
DocketDisciplinary Board Docket no. 44 D.B. 1987
StatusPublished

This text of 49 Pa. D. & C.3d 488 (In re Anonymous No. 44 D.B. 87) 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. 44 D.B. 87, 49 Pa. D. & C.3d 488 (Pa. 1988).

Opinion

To the Honorable Chief Justice and Justices of the Supreme Court of Pennsylvania:

TUMOLO, Member,

— Pursuant to rule 208(d), Pa.R.D.E., the disciplinary 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.

HISTORY OF PROCEEDINGS

A petition for discipline was filed against respondent on June 24, 1987. The first charge of the petition alleged that respondent had violated seven disciplinary rules by his conduct in handling the no-fault insurance proceeds for his client, [A]. The petition alleged that respondent endorsed and negotiated various drafts payable to [A] without the authorization of [A], that he deposited the proceeds in accounts in which his general office funds were also deposited, that he failed to make appropriate disposition of funds as requested by his client, that he ‘neglected a legal matter through his failure to disburse funds in his possession, and that he appropriated client funds to his own use by allowing his accounts to fall below the amount of the entrustment.

Charge II of the petition alleged that respondent had violated five disciplinary rules by engaging in conduct similar to that alleged in charge I. This charge involved the funds of four clients.

[490]*490The disciplinary rules allegedly violated in both charges are as follows:

(A) D.R. 1-102(A)(4), prohibiting a lawyer from engaging in conduct involving dishonesty, fraud, deceit, or misrepresentation;

(B) D.R. 6-101(A)(3), prohibiting a lawyer from neglecting a legal matter entrusted to him;

(C) D.R. 9-102(A), requiring the proper maintenance of a trust account for entrusted funds of clients;

(D) D.R. 9-102(B)(3), requiring a lawyer to maintain complete records of all funds, securities, and other properties of a client coming into the possession of the lawyer and to render appropriate accounts to his client regarding them.

(E) D.R. 9-102(B)(4), requiring a lawyer to promptly pay or deliver to the client, as requested by the client, the funds, securities, or other properties in the possession of the lawyer which the client is entitled to receive.

The two additional disciplinary rules allegedly violated in charge I are as follows:

(A) D.R. 2-106(A), prohibiting a lawyer from entering an agreement for, charging, or collecting an illegal or clearly excessive fee;

(B) D.R. 9-102(B)(1), requiring a lawyer to promptly notify a client of the receipt of the client’s funds, securities, or other properties.

Respondent, by his counsel, filed an answer to the petition for discipline-on July 24, 1987. In the answer, respondent alleged that he had an oral fee agreement with [A] and thereby believed that he' had authority to negotiate checks payable to [A], Respondent alleged further that he had negotiated the checks on account of legal fees and costs.

In response to charge II, respondent filed a motion to dismiss. In support of the motion respondent [491]*491claimed that the investigatory hearing was conducted for charge I and that the attorney-client privilege prohibited him from testifying regarding ány clients other than [A]. Respondent also claimed the Fifth Amendment privilege against self-incrimination in support of the motion to dismiss. Respondent argued that petitioner may not conduct a random audit of an attorney’s bank accounts to support disciplinary charges when the clients whose funds are held in those accounts have not complained to the disciplinary authorities.

The matter was referred to Hearing Committee [ ] consisting of [ ]. Hearings were held on October 20, 1987 and January 15, 1988.

The report of Hearing Committee [ ] was filed on July 19, 1988. The hearing committee found that respondent had violated all seven disciplinary rules as charged in the petition for discipline. These violations were found with respect to the respondent’s handling of the funds of [A], [B], and [C]. A chargeable case was not found relating to the funds of [D] and [E]. The motion to dismiss charge II was denied and respondent’s objections to the admission of the bank records relating to charge II were overruled.

The hearing committee concluded that respondent was not authorized to negotiate the drafts and he knew he did not have authorization. Noting the lack of mitigating circumstances and the duplicitous nature of respondent’s conduct, the hearing committee recommended a one-year suspension.

Petitioner’s brief on exceptions was filed on August 25, 1988. Petitioner excepted on two issues. First, petitioner argued that there is clear and convincing evidence on the record to support additional findings of fact. Proposed additional findings were appended to the brief. Secondly, petitioner argued [492]*492that the discipline recommended by the hearing committee would be inadequate and that disbarment or suspension well in excess of one year is warranted by this matter. Petitioner presented several cases in support of the recommended discipline and argued that: there are no mitigating circumstances in this matter but that there are aggravating circumstances.

Respondent’s brief on exceptions was filed August 25, 1988. Respondent excepted to the hearing committee report on four grounds. Respondent argued first that the hearing committee erred in finding that respondent had no authority from [A] to endorse the no-fault checks. Secondly, respondent argued that the no-fault statute should be construed in such a manner that respondent’s retention of the no-fault checks for fees and costs was not in violation of that statute. The third exception was to the failure of the hearing committee to dismiss charge II for petitioner’s failure to follow board rules and procedures. Finally, respondent argued that the hearing committee erred in recommending discipline greater than public censure. Respondent requested oral argument before a panel of the board.

Petitioner answered each of respondent’s arguments in a brief opposing exceptions that was filed on September 13, 1988.

A three-member panel of the board heard oral argument on October 7, 1988. The matter was adjudicated at the October 11, 1988 meeting of the board.

FINDINGS OF FACT

(1) Respondent, [ ], was born in 1948, admitted to practice law in the Commonwealth of Pennsylvania in 1976, and his office is located at [ ].

[493]*493 Charge I

(2) In about April 1982, respondent was retained by [A] to recover certain ba,sic loss benefits from [A’s] insurance carrier, [F] Insurance Company.

(3) There was neither a written nor an oral fee agreement between respondent and [A] for respondent’s services regarding no-fault recovery.

(4) Respondent advised [F], [A’s] Insurance Carrier, that he represented [A] and requested.wage loss benefits and reimbursement of various medical expenses.

(5) Between August 1982 and December 1982, respondent received from [F] and forwarded to [A] at least three drafts payable to [A], totalling $1,076.76.

(6) Respondent received draft no. 758039, dated February 22, 1983, from [F], payable to [A], in the amount of $253.30 for reimbursement of medical expenses.

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Related

Office of Disciplinary Counsel v. Lewis
426 A.2d 1138 (Supreme Court of Pennsylvania, 1981)

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49 Pa. D. & C.3d 488, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-anonymous-no-44-db-87-pa-1988.