In Re Mason

736 A.2d 1019, 1999 D.C. App. LEXIS 205, 1999 WL 680118
CourtDistrict of Columbia Court of Appeals
DecidedSeptember 2, 1999
Docket90-BG-998 & 93-BG-367
StatusPublished
Cited by12 cases

This text of 736 A.2d 1019 (In Re Mason) 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 Mason, 736 A.2d 1019, 1999 D.C. App. LEXIS 205, 1999 WL 680118 (D.C. 1999).

Opinion

MORRISON, Associate Judge:

This case is before us on exceptions to the Report and Recommendation of the Board on Professional Responsibility (the Board) recommending that Arthur D. Mason be disbarred from the practice of law in the District of Columbia. The Board found grounds for disbarment predicated on D.C.Code § ll-2503(a) (1995) 1 and vio *1021 lations of the former Code of Professional Responsibility, including DR 1 — 102(A)(3), DR 1-102(A)(4), and DR 1-102(A)(5). 2 The Board recommends further that such disbarment be imposed nunc pro tunc to April 23, 1993, and that Docket No. 93-BG-367, a reciprocal discipline case from the Massachusetts Bar, be dismissed in light of respondent’s disbarment under D.C.Code § 11 — 2503(a). We agree.

Hearing Committee Number Three and the Board both concluded that respondent violated D.C.Code § ll-2503(a) and the three disciplinary rules by engaging in a complex series of business dealings with John Galanis, a convicted felon, and various Galanis-controlled entities over a period of several years. On the basis of these dealings, respondent was convicted in the Supreme Court of the State of New York for the misdemeanor offense of second degree offering a false instrument for filing. Subsequently, respondent was suspended from the practice of law in Massachusetts for three years.

We review the Board’s recommendation in accordance with D.C. Bar R. XI, § 9(g) (1998), which states that “the Court shall accept the findings of fact made by the Board unless they are unsupported by substantial evidence of record, and shall adopt the recommended disposition of the Board unless to do so would foster a tendency toward inconsistent dispositions for comparable conduct or otherwise would be unwarranted.”

The specific conduct on which the Board’s conclusions are based is described in thoughtful detail in the reports submitted by both the Hearing Committee and the Board. We conclude that the Board’s findings of fact are supported by substantial record evidence, and we adopt the Board’s recommendations. The relevant portion of the Board’s Report and Recommendation is attached hereto as an Appendix. There are, however, three specific issues that merit further discussion.

I.

The first issue involves respondent’s argument that the Board wrongly assessed the impact of the Hearing Committee’s erroneous statement that “Respondent admitted to intentional fraud,” (Hrg. Comm. Rpt. at 73), in his plea before the New York Supreme Court. In what he views as the primary defect in the Board’s recommendation, respondent argues that this erroneous statement tainted the Hearing Committee’s entire view of the evidence in such a way as to make accurate fact-finding on its part impossible.

Respondent was originally indicted in the Supreme Court of New York for an offense requiring proof of a specific intent to defraud. He pleaded guilty to a lesser included offense — that of offering a false instrument for filing in the second degree. This misdemeanor offense does not require proof of a specific intent to defraud. While it is true that the Hearing Committee’s report does include the statement about respondent’s guilty plea that he objects to, it also contains numerous, detailed findings of respondent’s wrongdoing. It is clear from the first page of the Hearing Committee’s report that it knew the crime respondent had been found *1022 guilty of in the New York matter did not involve moral turpitude per se. Because of this fact, the Hearing Committee realized that its task was to analyze the underlying facts and circumstances of respondent’s conduct in order to determine whether this conduct did, in fact, rise to the level of moral turpitude. The Board’s report indicates clearly that the incorrect statement in the Hearing Committee’s report should be disregarded, and states further that it “does not believe that this language in the report is in any way determinative of the outcome in these matters. Bar Counsel’s evidence of other fraudulent and dishonest activities is overwhelming and firmly supports the Hearing Committee’s recommendation of disbarment.” (Bd. Rpt. at 7.) Given the wealth of evidence of wrongdoing by respondent documented in the lengthy record before the Hearing Committee and the Hearing Committee’s detailed findings, we agree with the Board that the record as a whole contains ample evidence supporting the notion that respondent’s actions constitute moral turpitude. We are not persuaded by respondent’s argument that the entire process was tainted by the Hearing Committee’s misstatement about the elements of his misdemeanor plea in New York, and we find that respondent should be disbarred pursuant to D.C.Code § ll-2503(a).

II.

The second issue involves the alleged violation of DR 1 — 102(A)(5) of the former Code of Professional Responsibility. 3 Both the Hearing Committee and the Board found that respondent had violated three disciplinary rules, including DR 1-102(A)(5), and the Board concluded that these violations provide an independent rationale for imposing sanctions. (Bd. Rpt. at 13.) We accept the findings of the Board regarding DR 1-102(A)(3) (“illegal conduct involving moral turpitude that adversely reflects on [respondent’s] fitness to practice law”) and DR 1-102(A)(4) (“conduct involving dishonesty, fraud, deceit, or misrepresentation”). The Board’s recommendation regarding the alleged DR 1-102(A)(5) violation, however, requires additional consideration.

DR 1-102(A)(5) states that a “lawyer shall not ... engage in conduct that is prejudicial to the administration of justice.” The Hearing Committee found that respondent violated DR 1-102(A)(5) when he “lied to the FHLBB [the Federal Home Loan Bank Board], under oath, during its investigation undertaken to determine whether the agency should approve the proposed change in control application [for CFS Corporation] and whether the Respondent and others previously had formed a control group without making the requisite disclosure.” (Hrg. Comm. Rpt. at 83.) The Board agreed that respondent’s actions in relation to the Federal Home Loan Bank Board’s (FHLBB) investigation constituted a violation of DR 1-102(A)(5). (Bd. Rpt. at 10.) We find that although respondent’s conduct did not involve a court proceeding, it is appropriate nevertheless to view such conduct as prejudicial to the administration of justice. 4

Our case law supports a somewhat expansive view of DR 1-102(A)(5). As we stated in In re Alexander, 496 A.2d *1023 244 (D.C.1985), DR 1-102(A)(5) “is a general rule that is purposely broad to encompass derelictions of attorney conduct considered reprehensible to the practice of law.”

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Bluebook (online)
736 A.2d 1019, 1999 D.C. App. LEXIS 205, 1999 WL 680118, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-mason-dc-1999.