In Re Bowen III

872 P.2d 1235, 178 Ariz. 283, 164 Ariz. Adv. Rep. 14, 1994 Ariz. LEXIS 49
CourtArizona Supreme Court
DecidedMay 5, 1994
DocketSupreme Court No. SB-93-0051-D. Disciplinary Commission Nos. 88-1821, 89-1466 and 90-0726
StatusPublished
Cited by5 cases

This text of 872 P.2d 1235 (In Re Bowen III) is published on Counsel Stack Legal Research, covering Arizona Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Bowen III, 872 P.2d 1235, 178 Ariz. 283, 164 Ariz. Adv. Rep. 14, 1994 Ariz. LEXIS 49 (Ark. 1994).

Opinion

OPINION

MOELLER, Vice Chief Justice.

STATEMENT OF THE CASE

This is a State Bar disciplinary proceeding. The Hearing Committee and Disciplinary Commission recommended that respondent be suspended for one year. Respondent timely appealed. We have jurisdiction pursuant to Ariz.R.Sup.Ct. 46(a).

FACTUAL AND PROCEDURAL BACKGROUND

This disciplinary proceeding concerns the conduct of respondent, Ted Butcher Bowen, an attorney since 1966, in two unrelated matters. We discuss each matter separately.

I. Clients A and B

In September 1983 and thereafter, respondent represented A and B regarding their claims against a former employer for unpaid wages. Despite numerous requests for information, respondent faded to communicate with his clients for the first six months of the case, from October 1983 through May 1984. He did, however, take several actions on behalf of his clients during this period.

In March 1985, respondent filed a civil complaint on his clients’ behalf in superior court. In June 1985, the employer answered the complaint and filed a notice of removal to federal district court. In October 1985, respondent filed a motion in federal court to remand the case to superior court. In February 1986, the federal court granted the motion and remanded the ease to the superi- or court.

Between February 5, 1986 and August 11, 1988 (for approximately 30 months), respondent took no action on behalf of his clients in the case. During this period he had only three contacts with his clients. In March 1988, A and B wrote respondent, informing him that he had promised to provide more information on the case within 60 days of his last letter, dated September 9,1987, and that they had heard nothing from him since. When respondent again failed to contact them, A and B sent a similar letter in June 1988.

On August 11, 1988, after the court sent notice that the lawsuit would be dismissed for lack of prosecution, respondent—without informing his clients—filed a motion to set the case for trial. On October 14, 1988, A and B again wrote respondent, informing him that they had not heard from him for 18 months, and that they were surprised to learn, through their own investigation, that their case had been scheduled for trial.

On November 25,1988, A filed a complaint with the State Bar. During the State Bar’s investigation, respondent failed to respond to one of the State Bar’s letters requesting an explanation of why it had taken him so long to pursue A’s case and why he had failed to communicate with A.

In November 1988, the clients’ former employer filed a motion to continue the trial date. There is no evidence that respondent opposed this motion or that he pursued the case during the postponement. In April 1989, the employer filed a motion to dismiss for respondent’s failure to comply with discovery orders, to which respondent did not object. The court granted the motion. Later arguing that the dismissal was his fault and not his clients’, respondent filed and the court granted his motion to reinstate the case. In June 1990, nearly seven years after being retained by A and B, the case finally went to trial. The court ruled substantially in favor of A and B. Despite respondent’s handling of the case, A and B ultimately were satisfied with respondent’s representation and retained him for the appeal.

The Committee and Commission found that respondent’s conduct in this matter violated Rule 42, Rules of the Supreme Court, specifically ER 1.3 (diligence) and ER 1.4 *285 (communication). For failing to timely and fully respond to one of the State Bar’s inquiries into the matter, the Commission and Committee further found that respondent violated Rule 51(h) and (i).

II. Clients C and D

In June 1987 and thereafter, respondent represented a partnership (Client C) and one of its partners (Client D) in a lawsuit filed against C and D by a supplier. The supplier alleged in its complaint that C and D owed approximately $31,000 on an open account for various goods provided in relation to a construction contract.

Respondent filed an answer which specifically denied that C and D were indebted to the supplier for any amount. At the time he filed the answer, however, respondent had knowledge that his clients were liable for at least part, if not all, of the debt. Attached to the complaint were copies of invoices evidencing the amount that C owed to the supplier. Moreover, in a letter from D to the supplier, which also was attached as an exhibit to the supplier’s complaint, D recognized C’s obligation and commitment to the supplier for the debt. At the hearing, when questioned on another matter, respondent admitted that when he filed the answer, he knew C had at least some obligation for the debt. D testified at the hearing that he too knew the debt was the partnership’s obligation.

Although C was a partnership, and therefore ineligible for Chapter 13 bankruptcy proceedings, respondent filed a Chapter 13 petition on C’s behalf on August 31, 1987. The bankruptcy court later granted the supplier’s motion to lift the automatic stay on the grounds that C was ineligible for Chapter 13. Respondent then filed a motion for reconsideration, which the bankruptcy court dismissed along with the Chapter 13 petition.

In November 1987, C and D acknowledged they were indebted to the supplier. The supplier subsequently filed a motion for summary judgment in superior court. Respondent then filed a Chapter 11 bankruptcy on C’s behalf. He also filed a motion to quash the hearing on the motion for summary judgment, arguing—incorrectly—that the automatic stay of C’s bankruptcy stayed collection efforts against the individual defendants as well as the partnership. The court denied the motion to quash and granted the motion for summary judgment against the individual defendants, which included D.

In November 1989, the supplier filed and the bankruptcy court granted a motion to dismiss the Chapter 11 petition because respondent did not file a reorganization plan. Although respondent did not object to this motion, he later filed a motion for reconsideration, which the court denied.

In January 1990, the superior court granted the supplier’s motion for summary judgment against the partnership, C. In April 1990, the supplier’s attorney requested sanctions against respondent; the same motion was also sent to the State Bar as a complaint against respondent. In May 1990, the court ordered that respondent and his clients reimburse the supplier $38,966.25 plus interest for attorneys’ fees and costs, finding no valid reason for respondent’s initial denial of the debt, and finding that the general denial was filed to cause unnecessary delay and needless expense to the plaintiff. 1

The Hearing Committee and Disciplinary Commission concluded that respondent’s conduct in this matter violated Rule 42, Rules of the Supreme Court, specifically ER 3.1 (meritorious claims and contentions), ER 3.3 (candor toward the tribunal), and ER 3.4(c) (fairness to opposing party and counsel).

ISSUES

1) Whether the findings of fact and conclusions of law rendered by the Committee and adopted by the Commission are supported by clear and convincing evidence.

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Cite This Page — Counsel Stack

Bluebook (online)
872 P.2d 1235, 178 Ariz. 283, 164 Ariz. Adv. Rep. 14, 1994 Ariz. LEXIS 49, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-bowen-iii-ariz-1994.