In re Leff
Opinion
OPINION OF THE COURT
Respondent Steven M. Leif was admitted to the practice of [136] law in the State of New York by the Second Judicial Department on February 24, 1988, as Steven Mitchell Leff. Respondent has maintained an office for the practice of law within the First Judicial Department since 1996.
On or about April 30, 1999, the Departmental Disciplinary Committee (Committee) served respondent with a notice and statement of charges alleging that he committed eight violations of the Disciplinary Rules. Respondent served an answer to the charges, essentially denying the allegations.
During a hearing before a Referee, four charges against respondent were withdrawn. At the conclusion of this hearing, the Referee recommended that respondent be suspended from the practice of law for three years. A Hearing Panel was then convened to hear oral argument relating to the matter. On February 16, 2000, the Hearing Panel issued its report and recommendation, which supported sustaining the remaining charges. The Hearing Panel, with one member dissenting, also supported the Referee’s recommendation that respondent be suspended for a period of no less than three years.
The first two charges sustained by the Hearing Panel relate to the respondent’s inducing a client, Mr. Carleton, to loan him money which he used to pay personal debts, by misrepresenting that the funds were to be invested in dental equipment. The Panel further found that respondent testified falsely before the Committee that he had informed this same client that the loan was for his personal use. These actions were found to constitute violations of Code of Professional Responsibility DR 1-102 (a) (4) (22 NYCRR 1200.3 [deliberate and intentional conduct involving dishonesty, fraud, deceit or misrepresentation]). The Panel sustained a third charge, finding that by accepting a loan from a client and falsely informing him of the purpose of the loan or failing to advise his client to seek independent counsel, the respondent violated DR 5-104 (a) (22 NYCRR 1200.23 [entering into a business transaction without fully disclosing its purpose or obtaining the client’s consent]). Finally, the Panel concluded that the totality of the respondent’s conduct throughout the proceedings violated DR 1-102 (a) (8) (now [7]) (engaging in conduct adversely reflecting on his fitness to practice law).
As mitigating evidence, the Panel considered that the respondent had no prior disciplinary history, that he was purportedly involved in charity work, and that he had made some payments on his debts after the disciplinary complaint had been filed. However, the Panel recommended the sanction [137] of a three-year suspension in light of respondent’s misconduct in obtaining the loans, and his continued lack of candor throughout the disciplinary proceedings. The Panel also recommended that in the event the respondent sought reinstatement, granting this relief should be conditioned upon his submission of proof of full restitution of his improper debts.
Footnotes
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275 A.D.2d 135 (In re Leff) — published by Counsel Stack Legal Research, free access to 12M+ legal documents.