In Re Dowell

196 P.3d 915, 287 Kan. 501, 2008 Kan. LEXIS 700, 2008 WL 5101232
CourtSupreme Court of Kansas
DecidedDecember 5, 2008
Docket100,863
StatusPublished
Cited by1 cases

This text of 196 P.3d 915 (In Re Dowell) is published on Counsel Stack Legal Research, covering Supreme Court of Kansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Dowell, 196 P.3d 915, 287 Kan. 501, 2008 Kan. LEXIS 700, 2008 WL 5101232 (kan 2008).

Opinion

Per Curiam:

This is an original uncontested proceeding in discipline filed by the office of the Disciplinary Administrator against the respondent, Douglas W. Dowell, a Kansas City attorney admitted to the practice of law in Kansas in 2002.

The hearing panel found that the respondent violated Kansas Rules of Professional Conduct (KRPC) 1.1 (2007 Kan. Ct. R. An-not. 384) (competence); KRPC 1.3 (2007 Kan. Ct. R. Annot. 398) (diligence); KRPC 1.4(a) (2007 Kan. Ct. R. Annot. 413) (communication); KRPC 1.15 (2007 Kan. Ct. R. Annot. 473) (safekeeping property); KRPC 8.4(g) (2007 Kan. Ct. R. Annot. 559) (engaging in conduct adversely reflecting on fitness to practice law); and Kansas Supreme Court Rule 211 (2007 Kan. Ct. R. Annot. 304) (formal hearings).

Before a panel of the Kansas Board for Discipline of Attorneys, the respondent stipulated that the factual allegations contained in the formal complaint were true and resulted in the disciplinary rules violations set forth therein. Respondent then testified in mitigation of his conduct.

The Deputy Disciplinary Administrator recommended the respondent be suspended from the practice of law for an indefinite period. The hearing panel unanimously accepted this recommendation. Respondent filed no exceptions to the final hearing report.

The panel made the following findings of fact and conclusions of law:

*502 “FINDINGS OF FACT
“Based upon the Respondent’s stipulation and the evidence introduced at the hearing, the Hearing Panel finds the following facts, by clear and convincing evidence:
“2. The Respondent practiced law with Brad Medlin until July, 2005, when Mr. Medlin left the practice and moved to Florida. Thereafter, in September, 2005, the Respondent formed a partnership with Sarah A. Sypher.
“3. The Respondent and Ms. Sypher remained as law partners from September, 2005, until April 20, 2007.
“4. During the period of time the Respondent practiced law with Ms. Sypher, the Respondent failed to return telephone calls to clients, the Respondent failed to diligently represent clients, the Respondent faded to take necessary action in many bankruptcy cases and received 12 orders to show cause based upon his inaction, the Respondent accepted cases that he was not competent to handle, and the Respondent provided Ms. Sypher with false information regarding the status of cases.
“5. On April 20, 2007, Ms. Sypher and Christopher Kuehn, an attorney, confronted the Respondent regarding the problems in his practice. Ms. Sypher and Mr. Kuehn encouraged the Respondent to seek assistance in handling what appeared to be personal problems.
“6. At the hearing on this matter, the Respondent acknowledged that he suffers from depression, that he may suffer from attention deficit disorder, and that he is an alcoholic. Following his meeting with Ms. Sypher and Mr. Kuehn on April 20,2007, the Respondent reported to Mirror’s, Inc., for intensive outpatient alcohol treatment. The Respondent successfully completed the program and continues to participate in AA meetings. Additionally, after the Respondent ceased practicing law, the Respondent contacted Don Zemites with the Kansas Impaired Lawyers Assistance Program. The Respondent worked with Mr. Zemites in addressing his alcoholism until Mr. Zemites’ death. Since Mr. Zemites’ death, the Respondent has not sought or obtained assistance from the Kansas Impaired Lawyers Assistance Program.
“7. The Respondent has not sought or obtained an evaluation or treatment for depression or attention deficit disorder.
“8. After leaving the practice of law on April 20, 2007, the Respondent did not contact his clients, opposing counsel, or the courts in which he had pending cases to notify them that he would no longer be practicing law. The Respondent left the practice with the understanding that Ms. Sypher would take over the representation and assist his clients. The Respondent took no action to assist Ms. Sypher with the transition.
“Representation of [D.G.]
“9. In May, 2006, [D.G.] retained the Respondent to file an action in bankruptcy in her behalf. At that time, [D.G.] was three months behind in her pay *503 ments on her home mortgage. The Respondent recommended that she file a Chapter 13 bankruptcy action.
“10. The Respondent filed a Chapter 13 bankruptcy case in behalf of [D.G.]. After [D.G.] made her first payment on her plan, the bankruptcy court dismissed [D.G.’s] Chapter 13 case because the Respondent failed to file copies of pay stubs and income tax returns.
“11. The Respondent filed a second Chapter 13 case in behalf of [D.G.]. However, the bankruptcy court dismissed [D.G.’s] second Chapter 13 case because the Respondent failed to include a confirmable plan.
“12. After the court dismissed the second Chapter 13 case, [D.G.] began negotiating directly with the lender on her home mortgage. [D.G.] and the mortgage company reached an agreement. [D.G.] agreed to make her monthly payments and pay an additional amount to cover her arrearage. The mortgage company agreed that if [D.G.] paid as agreed for a period of time, the mortgage company would restore the mortgage to good standing.
“13. The Respondent advised [D.G.] to not make the agreed payments because the mortgage company could still foreclose on the loan. Relying on the Respondent’s advice, [D.G.] discontinued making payments.
“14. The Respondent also advised [D.G.] that she should file a Chapter 7 bankruptcy to satisfy her indebtedness. However, the Respondent failed to properly research the possibility of [D.G.] filing a Chapter 7 bankruptcy. As it turns out, [D.G.] was ineligible to file a Chapter 7 bankruptcy because of the recency of her husband’s prior Chapter 7 bankruptcy. As a result, [D.G.] lost her home and her vehicle. [D.G.] would not have been eligible to file a Chapter 7 bankruptcy until 2008.
“Representation of [T.J.]
“15. In March, 2005, [T.J.] retained Brad Medlin to file an action in bankruptcy. After Mr. Medlin left the practice of law, the Respondent replaced Mr. Medlin as [T.J.’s] attorney.
“16. While the bankruptcy case was pending, . . . a hen [was filed] on [T.J.’s] home. [T.J.] became aware of the hen in July, 2006, when he attempted to take a reverse mortgage on the property. The trustee informed [T.J.] that the hen was not valid. [T.J.] requested that the Respondent take action to have the hen removed. The Respondent took no action to have the hen removed.
“17. [T.J.] and his friend, [M.A.], repeatedly telephoned the Respondent seeking information regarding the representation. The Respondent failed to return their telephone calls.
“18. On November 30, 2006, [T.J.] died. Following [T.J.’s] death, the Respondent filed a motion to avoid the hen.

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Cite This Page — Counsel Stack

Bluebook (online)
196 P.3d 915, 287 Kan. 501, 2008 Kan. LEXIS 700, 2008 WL 5101232, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-dowell-kan-2008.