In Re Disciplinary Action Against Logan

442 N.W.2d 312, 1989 Minn. LEXIS 171, 1989 WL 75903
CourtSupreme Court of Minnesota
DecidedJuly 14, 1989
DocketC9-88-2332
StatusPublished
Cited by7 cases

This text of 442 N.W.2d 312 (In Re Disciplinary Action Against Logan) is published on Counsel Stack Legal Research, covering Supreme Court of Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Disciplinary Action Against Logan, 442 N.W.2d 312, 1989 Minn. LEXIS 171, 1989 WL 75903 (Mich. 1989).

Opinion

PER CURIAM.

Diana Smith Logan is the respondent in three petitions for disciplinary action involving several counts of client neglect, misappropriation of client funds, noncooperation with the disciplinary investigation, and practicing law while automatically suspended for non-payment of attorney registration fees. The first two petitions were dated September 29, and October 25, 1988, and were filed with this court by the Director of the Office of Lawyers Professional Responsibility without a preliminary hearing before a referee because of respondent’s failure to respond. She was suspended from the practice of law by order of this court on November 30, 1988. On December 30, 1988, the Director’s Office filed an affidavit of noncompliance with Rule 26 of Rules on Lawyers’ Professional Responsibility (RLPR). On February 6, 1989, the Director filed a second supplementary petition requesting disbarment of the respondent. Respondent filed no answers. This court issued an order on February 23, 1989 deeming all allegations to be admitted and scheduling oral argument for April 5, 1989. Respondent did not file a brief or appear for oral argument. We order indefinite suspension.

Respondent was admitted to the practice of law in Minnesota on December 31, 1980, and, as far as the record indicates, practiced successfully for a number of years. Other than this proceeding, she has no prior disciplinary history. Beginning in early 1987, however, respondent began to develop a pattern of neglect and noncom-munication with clients which became pro *313 gressively more serious and led to the filing of ten counts of misconduct in the petitions before us.

Lewis Matter (Count Two)

In January 1987, Helen Ray Lewis retained respondent to arrange security for a loan Lewis had made. Respondent recommended that the debtor be asked to assign an expected worker’s compensation recovery to Lewis, but failed to pursue or research the matter diligently. Respondent did not write to the debtor’s attorney until April 20, 1987, and was then informed that workers’ compensation claims are not assignable. Helen Lewis discharged respondent from further representation regarding the loan as of May 1987.

Lewis also asked respondent to represent her in a marriage dissolution in January 1987. Respondent did not prepare a summons and petition for dissolution until June 1987. When Lewis and her husband reached a tentative settlement agreement, respondent did not advise her of questionable provisions, particularly that it did not set child support at the level indicated by Minn.Stat. § 518.551 and might be rejected by the court. Despite repeated requests, respondent did not prepare a stipulation until December 1987. That stipulation was inaccurate, and respondent falsely told Lewis a revised stipulation was in the mail before she actually mailed it on January 6, 1988. On February 5, 1988 Lewis wrote a letter requesting that respondent proceed as soon as possible and indicate what the next step would be. Respondent took no further action on the case. Lewis discharged her in April 1988 and retained new counsel.

Failure to complete the dissolution in 1987 cost the client $562 of an Earned Income Credit in addition to the $540 in attorney fees paid from January through June 1987. Respondent’s conduct violated Rules 1.1, 1.3, and 1.4, Minnesota Rules of Professional Conduct (MRPC).

Young Matter (Count Three)

On May 8, 1987 Diedri L. Young gave respondent a $300 retainer to represent her in a marriage dissolution proceeding to commence in November after Young reestablished Minnesota residency. Respondent promised in late May 1987 to draft a Temporary Stipulation, but did not do so and did not seek temporary relief. In November 1987, Young reached agreement with her husband on most settlement terms and informed respondent. Respondent drafted a summons and petition, but did not prepare a stipulation. On December 7, 1987, and again on December 14, 1987, respondent told Young that she had mailed copies of the summons, petition and a letter outlining the proposed stipulation. Respondent did not mail the documents until December 18, 1987. Young agreed to a visitation modification proposed by her husband’s attorney on January 30, 1988, and respondent promised to prepare the documents for signature by February 5, 1988. On that day, respondent falsely told Young that her signature was not necessary at that time. On March 2, 1988, respondent falsely claimed she had left a message on Young’s answering machine and that she was preparing the stipulation. On March 25, she promised to have the stipulation prepared by March 28. On April 6, she promised to have the stipulation typed and mailed, and on April 18, falsely claimed to have mailed it the previous week. On April 20, respondent claimed her secretary was instructed to contact Young, and promised to deliver the stipulation the next day. Respondent did not deliver the stipulation, claiming she was stopped by the police, but promised to bring it to Young’s office the next day. When respondent did not appear, Young retrieved her file from respondent’s office and found there was no stipulation in the file. Respondent did not obtain Young’s signature until April 25, 1988, but did not mail a copy to opposing counsel and took no further action on the case.

The delay in drafting the stipulation and the failure to seek temporary relief has caused the loss of $150 per month in child care payments. Respondent’s conduct violated Rules 1.3, 1.4, 4.1, and 8.4(c) MRPC.

Mattson Matter (Count Four as Amended)

In May, 1988, Rebecca Mattson hired respondent for an AFDC matter and en *314 dorsed a $160 AFDC warrant to respondent at respondent’s suggestion, which respondent deposited in her trust account. Without Mattson’s knowledge or consent, respondent forged Mattson’s signature and cashed the warrant. Hennepin County informed Mattson that respondent had cashed the warrant and Mattson was entitled to the funds. Mattson contacted respondent on three different occasions seeking return of the funds but was unsuccessful and has not been in contact with respondent since September 20, 1988. Respondent’s conduct violated Rules 1.4, 1.15(b)(8) and (4), 1.16(d) and 8.4(b) and (c), MRPC.

Robbins Matter (Count Five)

In October 1986, Elaine Y. Robbins retained respondent to represent her in a marriage dissolution proceeding and respondent prepared a summons and petition for dissolution. In March 1987, the parties stipulated to temporary relief. From April 1987, until the client discharged her in April 1988, respondent did not diligently pursue the matter.

Respondent failed to respond to opposing counsel’s August 5, 1987 settlement proposal or to a follow-up letter of September 23, 1987. In December 1987, respondent falsely told Robbins that she had forwarded a copy of the settlement proposal, claiming it must have been lost in the mail. Robbins stated that she would immediately go to respondent’s office to obtain a copy, and respondent agreed. Robbins waited for two hours at the office, but respondent did not appear. Respondent later falsely claimed to have sent Robbins a second copy of the letter.

Also in December 1987, Robbins asked respondent to handle an alleged tax liability arising from the marriage.

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Cite This Page — Counsel Stack

Bluebook (online)
442 N.W.2d 312, 1989 Minn. LEXIS 171, 1989 WL 75903, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-disciplinary-action-against-logan-minn-1989.