In re Anonymous No. 73 D.B. 83, No. 4 D.B. 84 & No. 41 D.B. 84

41 Pa. D. & C.3d 21
CourtSupreme Court of Pennsylvania
DecidedJanuary 10, 1986
DocketDisciplinary Board Docket Nos. 73 D.B. 83, 4 D.B. 84 & 41 D.B. 84
StatusPublished

This text of 41 Pa. D. & C.3d 21 (In re Anonymous No. 73 D.B. 83, No. 4 D.B. 84 & No. 41 D.B. 84) 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. 73 D.B. 83, No. 4 D.B. 84 & No. 41 D.B. 84, 41 Pa. D. & C.3d 21 (Pa. 1986).

Opinion

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

DOUGLAS,

Pursuant to Pennsylvania Rule of Disciplinary Enforcement 208(d), the Disciplinary Board of the Supreme Court of Pennsylvania (board) submits its findings and recommendations to your honorable court with [22]*22respect to the above-captioned petitions for discipline.

I. SUMMARY OF CASE

The first charge against respondent, Esq., came from the fact that she was Secretary-Treasurer, General Counsel and an investor in [A] Corporation. This was a building construction firm, which was in default on a $120,000 first mortgage to the [B] Savings and Loan Association and a second mortgage to [C] Bank in the amount of $60,500 on their building, in which respondent, also had her law office. [B] informed [A] that if they did not receive $16,315.49 by September 29, 1978, they would foreclose. Respondent, who had done the estate planning for [D], knew that her client had a certificate of deposit in approximately the same amount, which was due for renewal. In September of 1978, without explaining her association with [A] and the serious financial condition of this corporation, she talked her client into loaning $16,940.49 to [A], stating that the loan would be secure, and that she would get a better return on her money. Respondent deposited the $16,940.49 in her escrow account and commingled it with her own. Although there was a $17,000 mortgage to her client for five years at 9% percent interest, it was never recorded. Respondent withdrew money from the escrow account for her own use. She kept no record of any of this money going to [A]. The next month, the client demanded the return of her money, but respondent refused, stating that the transaction had been completed. [A] filed for reorganization under Chapter 11 of the Bankruptcy Code on January 9, 1981. [D]’s money was never returned to her.

The second charge involved $3,850 that respondent received from [E] Insurance Company on No[23]*23vember 9, 1977, for her client [F], Respondent deposited the money, in her escrow account. Although she had her client sign a release, as late as January 13, 1978, she wrote to her client stating that [E] had not as yet paid the money, but had promised to do so by January 25., 1978. Once again respondent used money out of this escrow account for her own benefit and the balance went below the $3,850. On March 2, 1978, respondent paid her client $370,00 and, finally, on April 10, 1978, paid her $2,082.31.

In the third charge, respondent received $55,637 in November of 1977 from the [G] Redevelopment Authority. Although the check was made payable to “[H] and [I], individually, and trading as [H] and [I] Optical Company, a partnership, and [Respondent], Attorney,” respondent endorsed the check, and deposited it in her escrow account. Once again, her escrow account fell below the aforesaid amount. It was not until January 9, 1978, that respondent made a distribution to her clients, less her fee.

In the fourth charge, in a marital property settlement, respondent received $504.92 from “HUD,,” on August 11, 1980, payable to “[J] and [K] c/o [respondent], Atty. at law.” She endorsed the check, and deposited it in her escrow, account. She did not inform her client or the attorney on the other side. She never turned the money over to either her client or the attorney on the other side.

In the fifth count, as executrix of her mother’s will and trustee for her nieces and nephew, she lent $40,000 to [A], of which she was counsel. After efforts to get her to file an accounting failed, and after respondent failed to appear without excuse, Judge [L] ordered that respondent be arrested and be committed to the county prison. When the court reconvened on respondent’s contempt citation, respondent admitted that she did not have the $40,000 [24]*24trust-fund money, because it had been lent to [A|. The nephew has never received most of this trust fund and two nieces received none of theirs.

In the sixth count, the sole asset in the estate of [M] was $10,702.81 in proceeds of a life insurance policy, which was received on February 29, 1979. Respondent opened an estate account, and had the administrator pay her a $1,000 fee. She then forged the administrator’s signature, and drew another $3,907.82 out of this estate account, and put it in her escrow áccount. Even though the account and schedule of distribution was approved by Judge [N] on April 6, 1981, respondent continued to stall on paying $3,964.81 to [O], the beneficiary. [O] finally engaged [P], Esq., to assist her. On January 27, 1982, respondent wrote to Judge [N] stating that there were no more estate checks in the checkbook, so she was using her own escrow account check in the amount of $3,964.81. She enclosed the check for the judge to forward to [P], Esq. There were not sufficient funds in the escrow-account to cover this check. Finally, respondent used $3,910.82 from the funds of another client, [Q], to pay the aforesaid $3,964.81 to [O] on March 10, 1982.

In the seventh count, she was issued a subpoena duces tecum to appear before investigatory hearing committee [ ]. On November 5, 1981, respondent testified that she had only one bank account, which was an escrow account in the [C] Bank. She knew this was untrue, for she also had funds from her legal practice in an account in the [R] Bank and Trust Company, in names “respondent, Attorney-at-law, and [S].” (He was president of [A], Inc.)

In the eighth count, a judgment creditor of [A], Inc., issued an attachment execution against two of [A]’s tenants in [A]’s building located at [ ], namely [T], a real estate broker, and Dr. [U], a dentist. Re[25]*25spondent told Dr. [U] that it was all right for him to continue paying rent to [A]. When [T] began putting her rent payments in escrow, respondent filed a complaint for ejectment and money judgment against ¡T], In this complaint, respondent, failed to state that [T]’s rent had been garnished. Respondent confessed judgment, issued execution and attached [T]’s bank account. [T] filed an abuse-of-process suit against [A] and respondent. When Dr. [U] was served with a subpoena to appear for a deposition, respondent told him to ignore it. When Dr. [U] was served with a rule to show cause why he should not be held in contempt, she again told- him that she would handle all legal proceedings. When judgment was entered against Dr. [U], he was again told the same thing by respondent. Finally Dr. [U] had to pay the judgment.

On June 7, 1984, as a result of a petition for emergency interim suspension, in which Mary Bell Hammerman of the Disciplinary Board concurred, the Supreme Court issued an order in which respondent was “suspended from the practice of law forthwith and until further definitive action by this court.” Respondent’s petition for reconsideration was denied on July 13, 1984.

Hearing committee [ ] held investigatory hearings on subpoena. [ ], Esq., Chairman-of hearing • committee [ ], set forth respondent’s tactics of delay and denial of access to her records from October 22, 1981, to August 20, 1982. (Report .of hearing committee [ ], May 9, 1983.)

Hearing committee [ ] heard testimony of 23 witnesses, covering 1,049 pages of transcript, on April 18, May 17, June 5, 6, and July 11, 1984. Respondent represented herself. Respondent was given opportunities to present further evidence on Sep[26]*26tember 25, 1984 and May 15, 1985.' The record was then closed.

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