In re Maxwell

783 So. 2d 1244, 2001 La. LEXIS 1033, 2001 WL 315795
CourtSupreme Court of Louisiana
DecidedMarch 30, 2001
DocketNo. 2000-B-3527
StatusPublished
Cited by2 cases

This text of 783 So. 2d 1244 (In re Maxwell) is published on Counsel Stack Legal Research, covering Supreme Court of Louisiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Maxwell, 783 So. 2d 1244, 2001 La. LEXIS 1033, 2001 WL 315795 (La. 2001).

Opinion

[1245]*1245ATTORNEY DISCIPLINARY PROCEEDINGS

JjPER CURIAM.

This disciplinary matter arises from two counts of formal charges filed by the Office of Disciplinary Counsel (“ODC”) against respondent, Earl A. Maxwell, an attorney licensed to practice law in the State of Louisiana.

UNDERLYING FACTS

Count I

Sometime in 1989 or 1990, Alvin Matthews hired respondent to pursue a personal injury claim arising out of an automobile accident. On. December 19, 1990, respondent filed suit on behalf of his client. Subsequently, respondent failed to comply with the trial court’s discovery orders and, as a result, the suit was dismissed without prejudice in April 1995.

After respondent filed a motion for new trial, the trial court recalled the order of dismissal. In December 1995, the parties agreed to a settlement and the defendant forwarded a settlement check to respondent.1 Subsequently, respondent refused to communicate with his client, failed to provide his client with a settlement statement or accounting, and failed to remit the funds owed to his client, despite repeated In 1996, Mr. Matthews filed a disciplinary complaint against respondent with the ODC. At some point, respondent offered Mr. Matthews $300 to withdraw his complaint; however, Mr. Matthews refused to accept this money. ^requests.2

In another issue relating to the Matthews representation, respondent personally guaranteed loans made by a finance company, Oceanside Finance, to Mr. Matthews for living and related expenses during the course of the litigation. Pursuant to a written agreement between Mr. Matthews and respondent, the amount advanced was to be deducted from the client’s settlement. However, respondent kept no records of the loans and was unable to ascertain the amount advanced to his client. Respondent and his client failed to satisfy their obligations under the loans. As a result, Oceanside Finance Company filed suit against respondent and his client.

Finally, later investigation revealed that at some points in time during respondent’s representation of Mr. Matthews, respondent was ineligible to practice law. Specifically, the record indicates that on at least six occasions between 1992 and 1996, respondent was declared ineligible to practice for failure to pay his bar dues or [1246]*1246complete his mandatory continuing legal education requirements.

Count II

After receiving Mr. Matthews’ disciplinary complaint, the ODC requested a response from respondent. Respondent filed a response denying any misconduct.

On October 7, 1996, the ODC directed correspondence to respondent’s law office requesting additional information regarding the settlement documents and disbursement records. The correspondence was returned unclaimed. The following lamonth, the ODC requested the same information, but respondent failed to respond. A subpoena was issued compelling respondent’s appearance and production of documents. On the scheduled date, respondent arrived two hours late, after the court reporter had left, claiming he was unaware he was to give a deposition.

DISCIPLINARY PROCEEDINGS

Formal Charges

After investigation, the ODC filed two counts of formal charges against respondent. The first count related to respondent’s conduct during his representation of Mr. Matthews; the second count related to respondent’s failure to cooperate in the ODC’s investigation of Mr. Matthews’ complaint.

As to Count I, the ODC alleged respondent failed to act with reasonable diligence and promptness in representing his client, a violation of Rule 1.3 of the Rules of Professional Conduct, and failed to communicate with his client in violation of Rule 1.4. It alleged he improperly sought to settle his malpractice liability with his client, thus creating a conflict of interest in violation of Rule 1.7(b). The ODC also alleged that by advancing funds to his client through a finance company, respondent engaged in a prohibited business transaction with a client, a violation of Rule 1.8(a), and offered financial assistance to a client in connection with litigation, a violation of Rule 1.8(e). The ODC alleged respondent violated Rule 1.16(d) by failing to promptly remit funds to which his client was entitled and by failing to provide an accounting. Finally, the ODC alleged that respondent violated Rule 5.5(a) because he engaged in the practice of law while ineligible to do so, and violated Rule 8.4(d) by engaging in conduct prejudicial to the administration of justice.

14As to Count II, relating to respondent’s failure to cooperate in the investigation of the Matthews complaint, the ODC alleged respondent’s conduct violated Supreme Court Rule XIX, § 9(a) because he violated or attempted to violate the Rules of Professional Conduct and § 9(c) because he knowingly failed to respond to a lawful demand from a disciplinary authority. It further alleged he violated Rule 8.1(b) of the Rules of Professional Conduct by failing to respond to a lawful demand for information from a disciplinary authority, and Rule 8.1(c) by failing to cooperate with the ODC in its investigation. Additionally, it alleged he violated Rule 8.4(a) (violating the Rules of Professional Conduct), 8.4(d) (engaging in conduct prejudicial to the administration of justice), and 8.4(g) (failure to cooperate with the ODC in its investigation) of the Rules of Professional Conduct.

Respondent ultimately filed an answer denying any misconduct.3 As a result, the matter was scheduled for a formal hearing before the committee.

[1247]*1247 Formal Hearing

Respondent appeared at the formal hearing and testified on his own behalf. With regard to his failure to remit the settlement funds to Mr. Matthews or account for these funds, respondent testified that his legal costs and loans far exceeded the settlement amount and, thus, he never paid his client any sum from the settlement. He admitted he did not correspond with his client or take his client’s many telephone calls after the settlement check was endorsed. He admitted offering his client $300 to dismiss his complaint, but stated he was unaware this was a violation of the ethical 1 .¡rules. Additionally, respondent admitted he engaged in the unauthorized practice of law during the period of ineligibility stemming from his failure to comply with his bar obligations.

■ With regard to the loan transactions, respondent testified he conducted legal research and determined it was permissible to personally loan his client funds for living expenses, as well as guarantee the funds advanced by Oceanside Finance Company. Respondent testified he had an ongoing business relationship with the company to assist him in advancing litigation and living expenses to his clients. In the case of Mr. Matthews, respondent testified he initially advanced money from his operating account to his client. Ultimately, he utilized Oceanside to keep up with his client’s monetary requests. He alleged Mr. Matthews would call and ask for money, presumably for living expenses, and respondent would in turn call the finance company and authorize the advance. He stated there was a written agreement between him and his client stating the advanced funds would be taken out of the settlement amount, although respondent did not have a copy of the document.

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Bluebook (online)
783 So. 2d 1244, 2001 La. LEXIS 1033, 2001 WL 315795, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-maxwell-la-2001.