In Re Illuzzi

616 A.2d 233, 159 Vt. 155, 1992 Vt. LEXIS 121
CourtSupreme Court of Vermont
DecidedSeptember 4, 1992
Docket91-515
StatusPublished
Cited by14 cases

This text of 616 A.2d 233 (In Re Illuzzi) is published on Counsel Stack Legal Research, covering Supreme Court of Vermont primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Illuzzi, 616 A.2d 233, 159 Vt. 155, 1992 Vt. LEXIS 121 (Vt. 1992).

Opinion

Per Curiam.

Respondent-attorney appeals the Professional Conduct Board’s conclusion that he violated three provisions of the Code of Professional Responsibility and the Board’s recommended sanction of a six-month suspension from the practice of law. We conclude that the Board failed to adhere to the requirements of its procedural rules when it adopted a second hearing panel report that had not been submitted to respondent. We therefore remand the case to allow respondent to brief and argue before the Board on the basis of the second panel report.

Respondent was charged first with violating DR 7-104(A)(l) (a lawyer shall not communicate with an adverse party known to be represented by counsel without the consent of the party’s attorney) for communicating with two insurance companies after they had retained counsel to defend personal injury claims. The second charge against respondent alleged a violation of DR 1-102(A)(7) (a lawyer shall not engage in conduct that adversely reflects on the lawryer’s fitness to practice law) for making a disparaging remark about an insurer’s defense counsel. Finally, respondent was charged with a violation of DR- 1-102(A)(5) (a lawyer shall not engage in conduct that is prejudicial to the administration of justice) for a pattern of improper contacts that resulted in an insurer relinquishing a legal defense.

A three-member panel heard this matter pursuant to A.O. 9, Rule 8(C) and issued its report with findings and recommendations to the full Board in July 1991. Based on this report, respondent and Bar Counsel filed Rule 8(D) briefs, and the Board heard oral arguments in early August 1991. The panel then issued a new report, in November 1991, that contained substan *157 tially different findings and recommendations than the initial report. For example, the first report contained the following: “Regarding the Renaudette claim, it is not clear that Mr. Illuzzi was ever told not to talk to Travelers.” In the second report, without the introduction of new evidence, the language “it is not clear” became “it is clear.” Although the first report found only a violation of DR 7-104(A)(l), the second report concluded that respondent had also violated DR 1-102(A)(7) and DR 1-102(A)(5). The Board adopted the second report, which emphasized that respondent communicated with the companies after being advised not to do so. Respondent contends that the Board violated A.O. 9, Rule 8(C) and thereby deprived him of the opportunity to brief and argue the revised finding and conclusions to the Board. We agree.

Rule 8(C) directs the hearing panel to issue a report containing its findings and recommendations and requires that “[a] copy of each report shall be submitted to bar counsel and the respondent.” A.O. 9, Rule 8(C). Once a report is issued, Rule 8(D) directs the Board to set dates for the submission of briefs and for oral arguments. A.O. 9, Rule 8(D). The Board then may “affirm or modify the recommendations of the hearing panel, remand the matter for further proceedings before the hearing panel, or dismiss the petition.” Id. Thus, the facts found by the panel provide the foundation for the proceedings before the Board. Any changes that the panel makes in its findings must be disclosed to the parties pursuant to Rule 8(C), which triggers the opportunity to present briefs and arguments under Rule 8(D), prior to the Board’s issuance of its final report. After final submission of the matter, the Board makes its own findings of fact and conclusions of law, which respondent may then challenge before this Court.

In this case, the panel drafted a second report, * containing findings substantially different than those contained in the initial report. The new panel report eliminated the mitigating factors contained in the earlier report and recommended sanction *158 ing respondent. This second report of the panel was not issued until after the parties’ oral argument to the Board. Thus, respondent was denied the opportunity, expressly provided for by Rule 8, to respond to the panel’s changed findings and conclusions.

Bar Counsel contends that, in this instance, strict adherence to the rules would exalt form over substance. We disagree. Attorneys appearing before the Board on charges of violations of the Code of Professional Responsibility should be accorded the full measure of procedural safeguards provided by the rules. See In re Ruffalo, 390 U.S. 544, 550 (1968) (lawyers subject to punishment or penalty are entitled to procedural due process). Inherent in Rule 8 is the principle that a respondent is entitled to knowledge of the material upon which the Board is acting, so that, as the Supreme Court of New Jersey has stated, respondent has the opportunity “not only to refute but... to supplement, explain, and give different perspective to the hearer’s view of the case.” Mazza v. Cavicchia, 15 N. J. 498, 515, 105 A.2d 545, 555 (1954) (agency denied the parties their right to a fair hearing when it relied upon a hearing officer’s report that had not been disclosed); see also Tulsa Classroom Teachers Ass’n v. State Board of Equalization, 601 P.2d 99, 102 (Okla. 1979) (“It is essential to fair play and to minimize the risk of fundamental error that, prior to the submission of the examiner’s report, it be made available to the parties.”). Failure by the Board to follow the requirements of Rule 8 deprived respondent of the opportunity to address the Board concerning the issues raised by the subsequent findings of the panel, and placed evidentiary issues before this Court that should have been addressed by the Board. Therefore, this matter must be remanded to provide respondent with an opportunity to address the second panel report.

In the interest of judicial economy, we address one other issue raised by respondent that likely will confront the parties on remand. Respondent argues that DR 7-104(A)(l) should not be applied to prohibit contact between plaintiffs’ lawyers and insurance company adjusters, claiming that (1) such application would be contrary to accepted practice by Vermont attorneys and would therefore violate respondent’s due process rights, (2) insurance companies are not named parties in suits between automobile accident plaintiffs and defendants, and the rule, *159 therefore, does not apply in this case, (3) direct contact between plaintiffs’ attorneys and insurance adjusters promotes judicial economy and the public interest, and (4) direct contact is necessary to prepare and prove bad faith refusal-to-settle claims against insurance companies.

Due process, in the attorney discipline context as elsewhere, requires notice that an act is punishable at the time it is committed. See Sexton v. Supreme Court Committee on Professional Conduct, 295 Ark. 141, 143-44, 747 S.W.2d 94, 95-96 (1988) (due process violated where state suspended attorney for violation of Model Rules of Professional Conduct, which were not in effect when act committed). DR 7-104(A) of the Code of Professional Responsibility states, in part:

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Bluebook (online)
616 A.2d 233, 159 Vt. 155, 1992 Vt. LEXIS 121, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-illuzzi-vt-1992.