In re Byrd

102 A.D.3d 90, 953 N.Y.S.2d 628

This text of 102 A.D.3d 90 (In re Byrd) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Byrd, 102 A.D.3d 90, 953 N.Y.S.2d 628 (N.Y. Ct. App. 2012).

Opinion

OPINION OF THE COURT

Per Curiam.

The instant application is predicated upon an order of the Court of Appeals of the State of Maryland filed April 14, 2009 (408 Md 449, 970 A2d 870 [2009]), which disbarred the respondent, upon a finding that he was guilty of violating Maryland Rules of Professional Conduct rules 1.1 (competence), 1.3 (diligence), 1.4 (a) (2) (communication), 3.3 (a) (1) (candor towards a tribunal), 3.4 (c) (knowingly disobeying an obligation under the rules of a tribunal) and 8.4 (b), (c) and (d) (commission of a criminal act that reflects adversely on the lawyer’s honesty, trustworthiness, or fitness as a lawyer; conduct involving dishonesty, fraud, deceit, or misrepresentation; and conduct prejudicial to the administration of justice) in connection with two complaints of professional misconduct opened for investigation by the Attorney Grievance Commission of Maryland.

Underlying Facts

The Attorney Grievance Commission of Maryland, acting through Maryland Bar Counsel, filed a petition for disciplinary action against Ralph T. Byrd, charging him with violations of the Maryland Rules of Professional Conduct (hereinafter the MRPC).

[92]*92The Court of Appeals of the State of Maryland (hereinafter the Maryland Court of Appeals) referred the petition to the Honorable Ronald B. Rubin of the Circuit Court for Montgomery County (Maryland), for an evidentiary hearing, and to make findings of fact and conclusions of law. Judge Rubin held a two-day hearing, commencing on July 31, 2008. On August 26, 2008, he issued a memorandum opinion, finding the respondent guilty, by “clear and convincing evidence,” of multiple violations of the MRPC.

The charged violations initially emanated from three complaints of professional misconduct filed against the respondent. The first (hereinafter the Janis complaint) was filed by Gary M. Janis, Esq., an attorney with the law firm of Peroutka & Peroutka, PA. (hereinafter the Peroutka firm), with respect to the respondent’s involvement in a number of the firm’s collection cases. The other two complaints, which were initiated by Maryland Bar Counsel, stemmed from two unrelated matters: the respondent’s involvement in another case with the Peroutka firm (hereinafter the Ziegler case) and the respondent’s conduct during a personal bankruptcy proceeding (hereinafter the bankruptcy complaint).

Judge Rubin found that the charges relating to the Ziegler case were not proven by “clear and convincing evidence.” As to the other matters, Judge Rubin found as follows:

The Janis Complaint

On September 28, 2006, Gary M. Janis, Esq., an attorney with the Peroutka firm, filed a complaint against the respondent alleging numerous acts of professional misconduct arising out of the respondent’s representation of debtors in the District Courts of Maryland. Specifically, the complaint alleged, and Maryland Circuit Court Judge Rubin found, that from March 10, 2006, through November 19, 2006, the respondent appeared on behalf of debtors in eight collection cases wherein he failed to serve interrogatories under oath; failed to file a timely appeal; failed to appear without adequate explanation; failed to notify his client of her trial date; and/or misrepresented that he had mailed documents to his adversary when, in fact, he had not, in violation of MRPC rules 1.1 (competence), 1.3 (diligence), 1.4 (a) (2) (communication) and 3.3 (a) (1) (candor towards a tribunal).

[93]*93The Bankruptcy Complaint

On December 14, 2001, Platinum Financial Services Corporation (hereinafter Platinum Financial), one of the respondent’s creditors, filed an involuntary bankruptcy petition against the respondent under chapter 7 of the Bankruptcy Code (11 USC). At or about that time, the Bankruptcy Code permitted a single creditor to file an involuntary petition as long as: (1) the debtor had fewer than 12 creditors and (2) the creditor filing the petition held claims totaling more than $11,625 that were not subject to a bona fide dispute. Platinum Financial had obtained final judgments against the respondent in excess of $32,000.

Following the filing of the chapter 7 proceeding, the United States Bankruptcy Court for the District of Maryland (hereinafter the Bankruptcy Court) appointed Robert Schlossberg, Esq., as trustee. Schlossberg retained the services of James M. Hoffman, Esq., as his counsel. The respondent moved for summary judgment dismissing the petition in bankruptcy, and Platinum Financial cross-moved for summary judgment on the petition. The Bankruptcy Court denied the respondent’s motion and granted Platinum Financial’s cross motion.

The respondent appealed the Bankruptcy Court’s order to the United States District Court for the District of Maryland (hereinafter the District Court), which reversed, and dismissed the proceeding. Schlossberg and Platinum Financial appealed to the United States Court of Appeals for the Fourth Circuit (hereinafter the Fourth Circuit). The District Court stayed the dismissal of the chapter 7 petition pending appellate review. In a published opinion, the Fourth Circuit reversed the District Court’s judgment dismissing the chapter 7 proceeding, reinstated the petition, and remitted the matter for further proceedings in the Bankruptcy Court (see Platinum Fin. Servs. v Byrd, 357 F3d 433 [2004]). After remittal to the Bankruptcy Court, the respondent converted his chapter 7 “liquidation case” to a chapter 11 “reorganization.” However, in the exercise of its discretion, the Bankruptcy Court appointed a trustee rather than allow the respondent to control the bankruptcy estate. Schlossberg declined to continue serving as trustee, and the Bankruptcy Court appointed Gregory Johnson, Esq., to act as trustee in his stead. James Hoffman, Esq., remained as the trustee’s counsel.

The principal asset of the estate in bankruptcy was the respondent’s property in Laytonsville, Maryland, consisting of a residence and 11 acres of farmland. As a consequence of the respondent’s repeated failures to cooperate, Johnson moved to [94]*94obtain a writ of assistance for delivery to the United States Marshal. The Bankruptcy Court granted Johnson’s motion and directed the respondent to allow access to the property on 24-hour telephone notice. Johnson thereafter attempted to call the respondent on multiple occasions, to no avail.

Johnson thereupon filed another motion in the Bankruptcy Court requesting that the respondent be compelled to grant him access to the property. The Bankruptcy Court entered an order compelling the respondent to allow Johnson access to the property, and issued a writ of assistance. The Bankruptcy Court specifically found that the respondent had failed to comply with its prior orders regarding access.

Thereafter, the respondent’s wife, a co-owner of the property, filed a petition under chapter 13 of the Bankruptcy Code, which had the effect of staying Johnson’s efforts to sell the property. The Bankruptcy Court consolidated the respondent’s case with that of his wife. Subsequently, the Bankruptcy Court denied the respondent’s motion to confirm his proposed plan of reorganization under chapter 11, and converted the case back to a chapter 7 liquidation. Johnson, the chapter 11 trustee, was appointed as the chapter 7 trustee.

At or about that time, Johnson’s attorney, Hoffman, wrote to the respondent, advised the respondent of his intention to sell the property, and requested that the respondent vacate the premises within 30 days.

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Bluebook (online)
102 A.D.3d 90, 953 N.Y.S.2d 628, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-byrd-nyappdiv-2012.