In re Elliott

694 S.W.2d 262, 1985 Mo. LEXIS 346
CourtSupreme Court of Missouri
DecidedJune 25, 1985
DocketNo. 65640
StatusPublished
Cited by12 cases

This text of 694 S.W.2d 262 (In re Elliott) is published on Counsel Stack Legal Research, covering Supreme Court of Missouri primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Elliott, 694 S.W.2d 262, 1985 Mo. LEXIS 346 (Mo. 1985).

Opinion

PER CURIAM.

This case involves a disciplinary proceeding instituted by the Bar Committee of the Twenty-Second Judicial Circuit of the Missouri Bar against respondent, Forriss D. Elliott. The Committee found probable cause that respondent was guilty of professional misconduct and filed an information in this Court. We appointed Hon. Michael F. Godfrey, Circuit Judge, Twenty-Second Judicial Circuit, as special master. After hearing, the special master made findings of fact and conclusions of law in which he found respondent guilty of having violated certain rules of professional conduct and recommended that respondent be reprimanded. In a disciplinary proceeding, however, we must review for ourselves the evidence, the credibility, weight and value of the witnesses, and determine all fact issues necessary to a decision. In re Pine, 576 S.W.2d 538, 539 (Mo. banc 1979). Accordingly, we have conducted our own independent review of the evidence presented to the special master.

The information is in four counts. Count I charges respondent with failing to carry [263]*263out a contract of employment and misappropriating $200 of his clients funds, in violation of Missouri Supreme Court Disciplinary Rules, DR 1-102(A)(1) and (5), DR 7-101(A)(2), and DR 9-102(A)(2) and (B)(3) and (B)(4). Count II alleges that respondent failed to carry out a contract of employment in that he failed to prosecute the case adequately and he neglected to advise the client of his inaction, in violation of Missouri Supreme Court Disciplinary Rules, DR 1-102(A)(1) and (5), DR 6-101(A)(3) and DR 7-101(A)(2). The third count charges respondent with failing to preserve properly the identity of a client’s funds and with failing to pay promptly the funds to which the client was entitled, in violation of the Missouri Supreme Court Disciplinary Rules, DR 9-102(A) and DR 9-102(B)(4). Count IV avers that respondent accepted a direct conflict of interest in violation of Missouri Supreme Court Disciplinary Rules, DR 5-105(A) and (B).

In disciplinary proceedings, it is required that guilt be established by a preponderance of the evidence. In re Lowther, 611 S.W.2d 1, 2 (Mo. banc 1981); In re Weiner, 547 S.W.2d 459, 561 (Mo. banc 1977).

COUNT I

On December 10, 1980, respondent agreed to represent Mr. and Mrs. Richard Kardell in a collection matter. The employment contract provided that respondent would receive one-third of the recovery. Respondent obtained a consent judgment and also had a mechanic’s lien placed on the debtor’s property. Pursuant to the judgment, the debtor paid off most of the debt up front and agreed to pay the balance of approximately $600 over a six month period beginning in May, 1981. The payments were due on the 21st of the month, with the debtor enjoying the normal ten day grace period. All the checks were made payable to Kardell and either respondent or someone in his employ. The debtor’s May check for $100 was dated May 28, 1981, and was delivered to respondent, who in turn mailed the check to the Kardells. Some evidence suggests that the letter accompanying this first check requested that the Kardells endorse the check and send it back to respondent in order that respondent’s fee could be apportioned. The Kar-dells contest the existence of such a letter and merely deposited the check into their account. The debtor’s June check, dated June 21, 1981, was endorsed by one of respondent’s associates and deposited into respondent’s general account. The July check, dated July 25, 1981, was similarly endorsed and deposited into respondent’s general account. The Kardells never received the June or July checks, but they were reimbursed for the June check by a check for $100 drawn on respondent’s account. t A letter, dated July 21, 1981, accompanied respondent’s check, and the letter explained that the June check was inadvertently deposited into his account and he apologized for the error. The Kardells later received the debtor’s August and September checks for $100 each. Apparently, these checks were mailed to the Kardells in October along with a letter and a copy of a memo sent to the debtor. The memo said that only three payments had been received. The debtor’s October check for $119.81 was marked “paid in full” and apparently was mailed to the Kardells on November 19, 1981, along with a letter indicating that this was the final check and suggesting that respondent’s involvement in this matter was concluded. The Kar-dells did not cash this check because it was marked “paid in full” and they had not received all of the money due them — the $100 for the July payment. They repeatedly tried to contact respondent in order to determine what should be done, but their efforts were to no avail. When the Kar-dells finally attempted to cash the October check, payment had been stopped by the debtor due to respondent’s failure to remove the mechanic’s lien on the debtor’s property. The debtor threatened the Kar-dells with suit, and a satisfaction of judgment was eventually filed. The Kardells have never received the October payment.

[264]*264While these facts may suggest the presence of poor communication with the client, especially in how the contingency fee would operate, they are insufficient to establish a violation of DR 1-102(A)(5) and DR 7-101(A)(2). Nor do we believe that respondent has violated DR 9-102(A)(2), which provides that money belonging in part to a client and in part presently or potentially to the lawyer shall be deposited in one or more identifiable bank accounts. The record does not support by a preponderance of the evidence that respondent violated this rule. The inadvertent deposit of the June check in respondent’s account does not establish a violation. The deposit of the July check into respondent’s account reflected one-third of the then received recovery. While customary practice may have been to either take one-third out of each check or bill for the fee at the end of the recovery, respondent apparently opted for a different means after the Kardells deposited the first check into their own account. Unless the client is aware of this form of payment, such practice is neither encouraged nor condoned, but under the sparse facts of this case does not rise to the level of violating DR 9-102(A)(2).

We do, however, believe that respondent has violated DR 9-102(B)(3) and (B)(4). After reviewing the evidence, it is clear that inadequate record keeping has caused much of the confusion surrounding what should have been a simple payment on a consent judgment. It is equally clear that the Kardells were not promptly paid their money due to the inadequate record keeping of respondent.

COUNT II

We accept the special master’s following findings of fact and conclusions of law as they relate to Count II. In February 1981, respondent was retained by the Kardells to represent them in collection of a $13,000.00 debt owed to them or their company, D & M Plumbing, by Tanglewood Country Club. On April 3, 1981, respondent’s associate filed a mechanic’s lien on the Tanglewood Country Club’s property. On October 1, 1981, respondent filed a petition to enforce the mechanic’s lien. However, service was never obtained on any of the defendants and respondent took no further action on this case. Mrs. Kardell attempted to reach respondent on several occasions to inquire as to the status of the case. Her calls were not returned or a secretary in respondent’s office handled the call.

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Bluebook (online)
694 S.W.2d 262, 1985 Mo. LEXIS 346, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-elliott-mo-1985.