In Re Artis

883 A.2d 85, 2005 D.C. App. LEXIS 473, 2005 WL 2219129
CourtDistrict of Columbia Court of Appeals
DecidedSeptember 8, 2005
Docket03-BG-211
StatusPublished
Cited by17 cases

This text of 883 A.2d 85 (In Re Artis) is published on Counsel Stack Legal Research, covering District of Columbia Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Artis, 883 A.2d 85, 2005 D.C. App. LEXIS 473, 2005 WL 2219129 (D.C. 2005).

Opinions

WAGNER, Associate Judge:

The Board on Professional Responsibility (the Board) has recommended that respondent, Paris A. Artis, be suspended from the practice of law in the District of Columbia for thirty days with his reinstatement conditioned upon his compliance with Bar Counsel’s subpoena duces tecum and an order of this court enforcing it. The proposed discipline is based on the report and recommendation of a Hearing Committee that respondent had violated D.C. R. Prof. Conduct 8.4(d) (conduct that seriously interferes with the administration of justice) and D.C. Bar R. XI, § 2(b)(3) (failure to comply with an order of the Board or the D.C. Court of Appeals). A majority of the Board concurred in the Hearing Committee’s findings that respondent violated both rules, although it rejected one of the grounds upon which it appeared that the Hearing Committee’s Rule 8.4(d) violation was based.1 The Board concurred in the Hearing Committee’s recommendation of sanction with the exceptions of a requirement that respondent answer Bar Counsel’s interrogatories and that respondent prove fitness as a condition of reinstatement. The Board, through its Executive Attorney, filed a brief in this court in support of its report and recommendation. Bar Counsel filed a brief supporting, in part, the Board’s recommendation. However, Bar Counsel urges, contrary to the Board’s recommendation, that conditions of reinstatement also include responses to Bar Counsel’s questions and a showing of fitness to practice law. Bar Counsel also challenges some of the Board’s conclusions of law. Respondent did not file a brief in this court. The Board concluded that reinstatement conditioned on respondent’s responses to Bar Counsel’s subpoena and the order enforcing it would be appropriate under the circumstances and that respondent’s conduct did not rise to the level of egregiousness warranting a fitness requirement under our case law. We agree with the Board’s recommended sanction and adopt it for the reasons hereinafter stated.

I.

A. Factual and Procedural Background

On April 10, 2000, Bar Counsel filed a Petition Instituting Formal Disciplinary Proceedings and a Specification of Charges against respondent, who was admitted to the District of Columbia Bar on December 17,1973. The charges alleged violations of D.C. R. Prof. Conduct 8.4(d) and D.C. Bar R. XI, § 2(b)(3). The violations were based on respondent’s failure to respond to written interrogatories propounded by Bar Counsel during a disciplinary investigation and to the Board’s order, issued through its vice-chair, compelling responses and his failure to respond to Bar Counsel’s subpoena duces tecum and an order of this court requiring compliance.

[89]*89An evidentiary hearing was held before a Hearing Committee, and respondent appeared pro se and testified on his own behalf. Except as otherwise stated, the facts are undisputed. The evidence showed that respondent represented Roland Butler, the removed personal representative of the Estate of Harold 0. Butler, deceased, in a case in the Probate Division of Superior Court, Adm. No. 2897-90. The court referred the case to the Auditor-Master to state an account after removing Roland Butler as personal representative for his failure to file an inventory and first account. Bar Counsel initiated an investigation of respondent after receiving a copy of the Report of the Auditor-Master (the Report) that questioned whether a deed transferring decedent’s interest in real property during his lifetime to his children, Roland Butler (the removed personal representative) and British Gary, was a fraudulent conveyance intended to defeat the claims of Harold Butler’s creditors. According to the Report, Harold Butler was a defendant in a civil action for damages that went to trial on July 20, 1989, resulting in a judgment against him in the amount of $12,000. The deed was executed after the trial, but before the final entry of judgment. Respondent notarized the deed, which was not recorded. The Auditor-Master reported that other aspects of the transaction might also warrant action by Bar Counsel, including a second trust held by respondent’s company against the decedent’s real property that was not recorded until after decedent’s death and Ms. Gary’s statement that she had not been present when her father executed the deed.2

On April 15, 1998, Bar Counsel notified respondent that the matter had been docketed for formal inquiry, provided him with a copy of the Auditor-Master’s report and requested a substantive response to the allegations of misconduct in the report. After not receiving the response by April 29, 1998, Bar Counsel wrote respondent again informing him of his responsibility to comply with the request within five days and that failure to comply might result in a formal charge of failure to cooperate with Bar Counsel. By letter dated April 29, 1998, respondent replied to Bar Counsel’s letter, stating that the Auditor-Master’s report contained no allegation of misconduct and only a confused question about whether the deed in question represented a fraudulent conveyance. He explained that he did not understand the other “significant questions” raised by the Auditor-Master, since he had informed her that he had notarized the deed for Harold and Roland Butler, both of whom had appeared before him. He also stated that he informed the Auditor-Master that he had no recollection concerning Ms. Gary’s signature, but he believed the documents were taken to her by Mr. Roland Butler for signature and that was probably why the deed had not been recorded. Respondent stated further that he was

[90]*90quite appalled that the auditor master made such a “reckless” accusation based upon “questions” by Mr. Butler’s successor personal representative, who seemingly relinquished his position after I explained his searching and unknowing inquiries. I am not surprised by such natural suspicions and accusations, but do not choose to practice law defending unfounded queries .... If any further response is deemed, please provide me with a detailed statement and specific accusations of misconduct.

On May 19, 1998, Bar Counsel wrote respondent, stating that “the allegations contained in the Report of the Auditor-Master speak for themselves,” and that the office was investigating respondent’s representation of Roland Butler with respect to his father’s estate. Bar Counsel included six written interrogatories, with sub-parts. Bar Counsel also enclosed a subpoena duces tecum seeking all documents related to the mortgage loan and trust against the estate and all retainer agreements, records of compensation, billing records, and copies of checks received as compensation from Harold 0. Butler, Roland Butler and/or British Gary. Bar Counsel set a deadline of June 4, 1998, for respondent to answer the interrogatories and request for production of documents. Respondent failed to reply, and on June 10, 1998, Bar Counsel wrote respondent a letter warning him again that failure to respond could result in a formal charge of failure to cooperate.

On June 25, 1998, Bar Counsel filed a motion with the Board on Professional Responsibility, seeking to compel responses.

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Cite This Page — Counsel Stack

Bluebook (online)
883 A.2d 85, 2005 D.C. App. LEXIS 473, 2005 WL 2219129, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-artis-dc-2005.