In Re Lyles

680 A.2d 408, 1996 D.C. App. LEXIS 143, 1996 WL 400450
CourtDistrict of Columbia Court of Appeals
DecidedJuly 18, 1996
Docket94-BG-1408
StatusPublished
Cited by29 cases

This text of 680 A.2d 408 (In Re Lyles) is published on Counsel Stack Legal Research, covering District of Columbia Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Lyles, 680 A.2d 408, 1996 D.C. App. LEXIS 143, 1996 WL 400450 (D.C. 1996).

Opinion

PER CURIAM.

The Board on Professional Responsibility (“the Board”) has recommended that respondent, a member of our bar, be suspended from the practice of law for six months, and that she be required to demonstrate her fitness to practice before being reinstated. While this case was pending, the Board filed a motion with the court seeking respondent’s temporary suspension under Rule XI, § 3(c) of this court’s Rules Governing the Bar. The court granted the motion and temporarily suspended respondent on December 15,1995, pending a final decision in her case.

A copy of the Board’s report and recommendation, in slightly edited form, is append *409 ed to this opinion. Respondent did not file a brief before the Board, and has not filed with this court either a brief or any exceptions to the Board’s recommendation. 1 We are satisfied that the findings of the Board are supported by substantial evidence and that the proposed six-month suspension, coupled with a fitness requirement, is an appropriate sanction. It is therefore

ORDERED that respondent, Pamela L. Lyles, is suspended from the practice of law in the District of Columbia for a period of six months, and that she shall prove her fitness to practice law before being reinstated. Since it appears that respondent has not yet filed the affidavit required by Rule XI, § 14(g) of our Rules Governing the Bar, even though our order of December 15,1995, specifically drew her attention to that requirement, her six-month suspension shall take effect upon the filing of that affidavit. See Rule XI, § 16(e). Her temporary suspension under Rule XI, § 3(c) shall continue until then.

APPENDIX

DISTRICT OF COLUMBIA COURT OF APPEALS

BOARD ON PROFESSIONAL RESPONSIBILITY

In THE MATTER OF PAMELA L.

Lyles, Esq., Respondent

Bar Docket Nos. 443-93, 91-94, 218-94, 493-93

REPORT AND RECOMMENDATION OF THE BOARD ON PROFESSIONAL RESPONSIBILITY

Hearing Committee Number Eight conducted a two-day hearing on a petition that consolidated four separate complaints against Respondent. Four separate clients filed the complaints with the Office of Bar Counsel. The Hearing Committee found that Bar Counsel sustained his burden of showing most of the violations — at least one with respect to each of the four clients — and recommended that Respondent be suspended from the practice of law in the District of Columbia for six months, with a requirement that she prove her fitness to practice before reinstatement. The Factual Background and Hearing Committee’s Findings of Fact below are drawn almost verbatim from the Hearing Committee’s very capably written Report and Recommendation. We defer to the Hearing Committee’s factual findings. See In re Micheel, 610 A.2d 231, 234 (D.C.1992). For the reasons explained below, we also agree with the Hearing Committee’s recommendation regarding sanction.

Factual Background

Count I relates to Respondent’s representation of client Ronald M. Nelson in a Chapter 13 bankruptcy matter (Docket No. 443-93). As the result of her conduct in that matter, Respondent was charged with three violations of the District of Columbia Rules of Professional Conduct:

(a) Rule 1.1(b), in that she failed to serve Mr. Nelson with the skill and care commensurate with that generally afforded to clients by other attorneys in similar matters;
(b) Rule 1.3(a), in that she failed to represent Mr. Nelson zealously and diligently within the bounds of the law; and
(e) Rule 8.4(d), in that her failure to appear at a July 30, 1993, hearing and her failure to timely file an amended bankruptcy plan was conduct that seriously interfered with the administration of justice.

Count II relates to Respondent’s representation of client John E. Green in his Chapter 13 bankruptcy matter (Docket No. 218-94). She was charged in this matter with a violation of:

(a) Rule 8.4(d), in that her failure to appear at a bankruptcy creditors’ hearing *410 on April 8, 1994, seriously interfered with the administration of justice.

Count III grows out of Respondent’s representation of client Rita M. Monk in a Chapter 13 bankruptcy matter in the District of Maryland (Docket No. 91-94). As the result of her conduct while representing Ms. Monk, Respondent was charged with violating:

(a) Rulé 1.1(b), in that she failed to represent Ms. Monk with the requisite skill and care; and
(b) Rule 1.3(a), in that she failed to represent Ms. Monk zealously and diligently within the bounds of the law.

Count IV relates to Respondent’s representation of Mr. and Mrs. Melvin Seriven in their Chapter 13 bankruptcy (Docket No. 493-93). As in Count III, Respondent was charged with violations of:

(a) Rule 1.1(b), in that she faded to serve Mr. and Mrs. Seriven with the requisite skill and care; and
(b) Rule 1.3(a), in that she failed to represent Mr. and Mrs. Seriven zealously and diligently within the bounds of the law.

1. The Hearing Committee held a two-day hearing at which Respondent appeared and represented herself. Bar Counsel’s exhibits (“BX”) were admitted without objection.

2. Bar Counsel called as witnesses Rita Monk and Gregory Johnson, Esquire, on Count III and Lynne and Melvin Seriven on Count IV. Bar Counsel presented his case on Counts I (Ronald M. Nelson) and II (John E. Green) through documentary evidence. Bar Counsel also called Merrill Cohen, Esquire, who was recognized without objection as an expert witness in the field of bankruptcy, on the issue of the care and skill required of attorneys representing clients in Chapter 13 bankruptcy cases. (Tr. I at 196-197).

3. Respondent called her paralegal John Edmond as a witness and testified in her own behalf. Respondent’s Exhibits (“RX”) 1, 8 and 9 were received in evidence. (Tr. I at 59; Tr. II at 54 and 106).

4. Respondent opened her defense by briefly alluding to the fact that she suffered from major depression for which she was receiving regular medical care and that she was taking Amtripoline under a prescription from her psychiatrist. 1 (Tr. II at 89-90). She later described her psychiatric condition in more detail. (Tr. II at 171-180). At the conclusion of the hearing, the Hearing Committee allowed Respondent 10 days to determine whether she intended to present evidence of her psychiatric condition in mitigation.

5. On March 24,1994, Respondent filed a brief statement requesting the opportunity to present mitigating circumstances. Out of concern for her privacy, Respondent did not proffer on the record any substantive facts to support her disability but apparently provided some type of proffer to Assistant Bar Counsel. A status conference was held on May 5, 1995, and Respondent was placed on a strict schedule for compliance with Board Rule 7.6.

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Cite This Page — Counsel Stack

Bluebook (online)
680 A.2d 408, 1996 D.C. App. LEXIS 143, 1996 WL 400450, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-lyles-dc-1996.