In Re Complaint as to the Conduct of Walker

647 P.2d 468, 293 Or. 297, 1982 Ore. LEXIS 962
CourtOregon Supreme Court
DecidedJune 29, 1982
DocketOSB 80-14 and 81-7, SC 28533
StatusPublished
Cited by11 cases

This text of 647 P.2d 468 (In Re Complaint as to the Conduct of Walker) is published on Counsel Stack Legal Research, covering Oregon 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 Complaint as to the Conduct of Walker, 647 P.2d 468, 293 Or. 297, 1982 Ore. LEXIS 962 (Or. 1982).

Opinion

*299 PER CURIAM.

In this disciplinary proceeding the Oregon State Bar charges the accused with violation of several Disciplinary Rules of the Code of Professional Responsibility arising from his representation of two different clients. In one case he represented a client in two litigation matters, a personal injury action and a business dispute. In the other, he represented the personal representative of an estate. The Trial Board and the Disciplinary Review Board found the accused not guilty of all charges. We decide the facts on the record made before the Trial Board.

. The Litigation Matter

The accused was charged with violation of the following disciplinary rules:

“DR 6-101 Failing to Act Competently.
(A) A lawyer shall not:
* ‡ Jfc
(2) Handle a legal matter without preparation adequate in the circumstances.
(3) Neglect a legal matter entrusted to him.”
“DR 7-101 Representing a Client Zealously.
(A) A lawyer shall not intentionally:
(3) Prejudice or damage his client during the course of the professional relationship * *

The bar alleged that the accused failed to prepare the cases for trial in a timely manner or to communicate with his client and that he failed to take appropriate steps to protect his client’s interest in the cases.

In late 1978 or early 1979, the accused agreed to represent the client in his action as guardian ad litem for injuries suffered by his stepson in a bicycle accident which occurred in August, 1977. In February, 1979, the accused agreed to represent the same client in an action against the client which arose out of a business transaction involving a sale of goods by the client to the three plaintiffs.

Each of these cases was being handled by another lawyer at the time the accused agreed to take them over. *300 The client agreed to pick up the files from the lawyer and deliver them to the accused, 1 but the accused did not receive them until mid-June, 1979. The delay is apparently attributable to an injury and subsequent hospitalization suffered by the client in March, 1979, and a physical illness which interfered with the accused’s practice intermittently from March, 1979, until at least March, 1980.

Throughout the accused’s dealings with the client, the client made numerous phone calls, sometimes three times a day, to inquire as to the status of both cases. The accused continued to inform the client that when he had something to tell him he would get in touch with him. In the client’s view, the accused did not communicate with him with sufficient frequency or keep him adequately informed. In the accused’s view, the client sought constant and unnecessary reassurance.

In September, 1979, in exasperation, the client wrote to the accused inquiring as to the status of the two cases. The accused responded by letter in October, informing the client that the defendants had been served in the personal injury case and that he was preparing for depositions in the business litigation. In March, 1980, the client again wrote to the accused inquiring as to the status of the personal injury action. The client stated in the letter that if the accused did not want to pursue the matter, or could not for some reason, that perhaps it should be turned over to another lawyer who was then handling another matter for the client. The accused took this as an indication from the client that he wanted the cases turned over to the other lawyer, and the accused did so without further communicating with the client. He then left on a vacation. However, the client and the other lawyer could not agree on a fee arrangement, and the other lawyer declined to handle the personal injury case.

In early April, 1980, the accused received notice that the client was to be deposed in preparation for the business litigation. He wrote to the client, telling him that it was his understanding that the cases had been turned *301 over to the other lawyer, that he was not in a position to handle the matters any longer, and that it was imperative that the client obtain counsel for the impending deposition. In response to this letter, the client came into the accused’s office and demanded that the accused continue to represent him. The accused agreed to do so in both the business litigation and in the personal injury litigation.

Early in their relationship, the client and the accused had agreed to a 25 percent contingent fee. The accused billed the client in early June, 1980, asking $1,000 for “costs and retainer.” The client had not understood that he would have to pay costs. He wrote a letter to the accused in mid-July asking why he was being billed for costs when they had agreed on 25 percent of recovery as payment. The client suggested specific steps that he thought the accused should be taking in both the personal injury case and the business litigation. In response, the accused wrote to the client in August, 1980, informing him that he needed the money in order to do the depositions in the business litigation case, and that in view of the client’s refusal to pay the costs, he was resigning. The client retained another lawyer to pursue both cases and complained to the Bar.

Although the accused did not communicate with the client as often as the client believed he should have, the record establishes that he kept the client adequately informed of the progress he made with each case. The record suggests delay in the accused’s handling of the cases, but it does not establish neglect. There was no prejudice to the client as a result of the accused’s handling the cases. The accused’s handling of his client’s litigation was not exemplary, but neither was it deserving of professional discipline. 2 We agree with the Trial Board and the Disciplinary Review Board that the accused did not violate any Disciplinary Rules in his handling of this client’s cases.

*302 The Probate Matter

The accused is charged with violation of the following Disciplinary Rules in his representation of the personal representative of an estate:

“DR 1-102 Misconduct.
(A) A lawyer shall not:
(4)Engage in conduct involving dishonesty, fraud, deceit, or misrepresentation.
(5) Engage in conduct that is prejudicial to the administration of justice.
(6) Engage in any other conduct that adversely reflects on his fitness to practice law.”
“DR 6-101 Failing to Act Competently.
(A) A lawyer shall not:
(1) Handle a legal matter which he knows or should know that he is not competent to handle, without associating with him a lawyer who is competent to handle it.”

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Cite This Page — Counsel Stack

Bluebook (online)
647 P.2d 468, 293 Or. 297, 1982 Ore. LEXIS 962, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-complaint-as-to-the-conduct-of-walker-or-1982.