In Re Disciplinary Action Against Walker

461 N.W.2d 219, 1990 Minn. LEXIS 301, 1990 WL 151384
CourtSupreme Court of Minnesota
DecidedOctober 12, 1990
DocketC1-90-459
StatusPublished
Cited by23 cases

This text of 461 N.W.2d 219 (In Re Disciplinary Action Against Walker) 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 Walker, 461 N.W.2d 219, 1990 Minn. LEXIS 301, 1990 WL 151384 (Mich. 1990).

Opinion

PER CURIAM.

The Director of the Office of Lawyers Professional Responsibility issued a petition for disciplinary action against Samuel Walker, Jr., dated January 25, 1990. The director attempted personal service with no success, so service was made by publication. The director filed a supplementary petition dated February 27, 1990, and commenced service by publication. Respondent did not file an answer. The court deemed the allegations contained in the petitions admitted and set the matter on for hearing. That order also was served on respondent by publication. The director filed a second supplementary petition against respondent on July 11, 1990. Service by publication was completed August 2, 1990. Those allegations also were deemed admitted when respondent failed to answer. Respondent has not submitted a brief in his defense. The director recommends disbarment. We agree.

Respondent was admitted to the bar in Minnesota in 1986. The director’s petition and first supplementary petition set out in detail the allegations deemed admitted. Additional allegations appear in the second supplementary petition. The facts deemed admitted when summarized show that respondent lied to clients and neglected client matters, forged a client signature on a check and misappropriated funds, failed to comply with discovery requests and to communicate with the client, failed to account for or return client property or unearned fees, knowingly issued checks on closed accounts, failed to appear in court pursuant to his arrest, and did not cooperate with the disciplinary process. Respondent has been suspended for nonpayment of the attorney registration fee since October 10, 1989.

The director’s second supplementary petition alleges six additional counts of professional misconduct, including misrepresentations to clients, failure to return client files and unearned retainers, neglect, failure to pay court-ordered awards of fees, issuing additional checks on a closed account, and unauthorized practice of law after suspension. Respondent’s answer to these additional charges was due by August 23, 1990. Since no answer was filed to any of the aforesaid charges, respondent is deemed to have admitted all allegations. We summarize some of the misconduct below.

1. Neglect and Misrepresentation

Respondent represented John Thorn in several litigation matters. In October 1989, one of Thorn’s cases was dismissed with prejudice for failure to comply with discovery orders or pay fees assessed against Thorn. Respondent failed to in *221 form Thorn of the hearings or discovery orders.

Respondent was hired in November 1988 to represent the Gustafsons in filing for bankruptcy. The Gustafsons gave respondent a personal computer and related equipment in lieu of a $1,000 retainer and paid him $95 for court filing fees. Several times, respondent assured the Gustafsons that he had filed their bankruptcy petition. In fact, respondent had not prepared the petition and had taken no action. The Gus-tafsons discharged respondent and demanded return of their computer or $1,000. Respondent has returned neither.

Respondent represented Sam Hedge in several matters. Respondent failed to respond to Hedge’s repeated requests from November 1988 through July 1989 for information regarding his cases and failed to return Hedge’s files to him.

Respondent represented the Carrolls in several litigations. Respondent did not perform the work requested, return phone calls, or return the files or unearned retainer.

Respondent’s neglect and misrepresentations violated Minn.R.Prof.Conduct 1.3, 1.4(a), 3.4(c), and 8.4(c).

2. Forgery and Temporary Misappropriation

Respondent represented Nancy Thorn in litigation which was settled for $2,500 in May 1988. Respondent was entitled to a one-third contingent fee. Respondent forged Thorn’s signature on the settlement check and deposited her share, approximately $1,600, into his personal account. In July 1988, Thorn learned that the check had been issued in May. After she made several requests, respondent made restitution.

Respondent’s forgery and misappropriation of client funds violated Minn.R.Prof. Conduct 1.15(a), (b)(3)-(4), and 8.4(b)-(d).

3. Failure to Comply With Discovery Orders and Court Orders to Pay Fees

Respondent failed to inform John Thorn of hearings in August and November 1989 on several litigation matters. He also failed to notify Thorn of court orders for discovery and fees. One of Thorn’s cases was dismissed with prejudice as a result of failure to comply with court orders.

Respondent’s failure to comply with discovery and failure to communicate with his client violated Minn.R.Prof.Conduct 1.3, 1.4(a), 3.4(d) and 8.4(d).

4. Failure to Account For or Return Client Property and Unearned Fees

Respondent was paid a $2,500 advance fee by Charles Kelley in the fall of 1988. Kelley terminated the relationship because he believed that respondent failed to perform the promised services. Respondent told Kelley that he would conduct an accounting and return any unearned portion of the advance fee. Respondent has done neither.

Respondent also has failed to account or refund fees to other clients.

Respondent’s failure to account for or return client property violated Minn.R. Prof.Conduct 1.15(b)(3)-(4) and 1.16(d).

5. Issuing a Check on a Closed Account and Failure to Appear in Court

Respondent wrote a personal check in October 1988 for $804 to avoid arrest on an outstanding warrant resulting from 18 unpaid parking tickets. The account had been closed. Respondent was arrested after the check was returned. Respondent posted a $1,000 bond, but failed to appear before the court at the scheduled hearing.

Knowingly issuing a check on a closed account and failing to appear in court are violations of Minn.R.Prof.Conduct 8.4(b)-(d).

6. Noncooperation

Respondent failed to cooperate with the director’s investigation into numerous ethics complaints filed against him. He failed to provide written responses to the complaints even after the director had repeatedly requested them from May 4, 1989, *222 until August 7, 1989. Respondent then agreed to cooperate with the investigation, and he made written responses to several complaints.

Respondent thereafter has failed to respond to other ethics complaints filed by The Honorable Gerard Ring, Sam Hedge, and the Carrolls. The director has mailed copies of the additional complaints to respondent and has requested written responses. Respondent has not returned telephone calls, corresponded, or attended meetings with the director.

Noncooperation with the disciplinary process is a violation of Minn.R.Prof.Conduct 8.1(a)(3) and Rule 25, Rules on Lawyers Professional Responsibility (RLPR).

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Bluebook (online)
461 N.W.2d 219, 1990 Minn. LEXIS 301, 1990 WL 151384, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-disciplinary-action-against-walker-minn-1990.