In Re MFlex Corp.

172 B.R. 854, 8 Tex.Bankr.Ct.Rep. 235, 1994 Bankr. LEXIS 1863, 1994 WL 518195
CourtUnited States Bankruptcy Court, W.D. Texas
DecidedMay 3, 1994
Docket19-10001
StatusPublished
Cited by10 cases

This text of 172 B.R. 854 (In Re MFlex Corp.) is published on Counsel Stack Legal Research, covering United States Bankruptcy Court, W.D. Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re MFlex Corp., 172 B.R. 854, 8 Tex.Bankr.Ct.Rep. 235, 1994 Bankr. LEXIS 1863, 1994 WL 518195 (Tex. 1994).

Opinion

MEMORANDUM OPINION ON FIRST AND FINAL APPLICATION OF McNERY & VOELKER, P.C. FOR COMPENSATION FOR THE PERIOD AUGUST 2,1993 THROUGH FEBRUARY 28, 1994

LARRY E. KELLY, Chief Judge.

Came on for hearing on April 20, 1994 the First and Final Application of McNery & Voelker, P.C. for Compensation in the above-styled and numbered case. After hearing the evidence and arguments of counsel, the court took the matter under advisement, and has now determined that the First and Final Fee Application of McNery & Voelker, P.C. shall be disallowed in its entirety as to the request for fees and allowed in the amount of $760.00 for reimbursement of expenses, to reimburse the Applicant for filing fees. Pursuant to Federal Rule of Bankruptcy Procedure 7062, the following constitutes the court’s findings of fact and conclusions of law. Where appropriate, findings of fact shall be deemed conclusions of law and conclusions of law shall be deemed findings of fact. This matter is a core proceeding pursuant to 28 U.S.C. § 157(b)(2)(A), (B), and (E).

Findings of Fact

1. MFlex Corporation (the “Debtor”) filed its voluntary petition under Chapter 11 on August 2, 1993.

*856 2. The law firm of McNery & Voelker, P.C. filed its ex parte Application to be employed as counsel for the Debtor and on August 23, 1993, this court entered an order authorizing such employment. The legal representation furnished by this law firm was primarily provided by Troy Voelker (the “Applicant”).

3. The Applicant’s Application Requesting Approval for Employment stated that “there is no connection between the attorneys to be hired and the Debtor, creditors, or any party in interest in this case.”

4. The Disclosure of Compensation attached to the Application for Employment reflected a pre-petition retainer of $500.00.

5. The Affidavit of Proposed Attorney attached to the Application for Employment stated as follows: “I have represented Debt- or in pre-petition matters regarding a possible Chapter 11 bankruptcy and regarding collection matters brought against Debtor.”

6. On August 17, 1993, the Debtor filed its Schedules and Statement of Financial Affairs. Question number 9 in the Statement of Financial Affairs asks the Debtor to list all payments made to attorneys concerning bankruptcy matters within one year preceding the case. The Applicant is listed in answer to the question; however, the date of payments and the amount of payments is not provided. The Debtor filed First Amended and Second Amended Schedules and Statement of Financial Affairs later in the case, but neither amendment provides the missing information.

7. United States Trustee Exhibit No. 1 indicates that the U.S. Trustee twice requested that the Applicant provide this missing information.

8. The Debtor filed a Disclosure Statement and Chapter 11 Plan on September 14, 1993, as drafted by the Applicant. The disclosure statement was subsequently denied by the court. The plan of reorganization was withdrawn by the Debtor amid substantial opposition. The evidence indicated that the plan was not confirmable, as it violated the absolute priority rule.

9. On October 25,1993, the court issued a show cause order to determine if a Chapter 11 trustee should be appointed in this case. After proper notice and a hearing, the court determined that a trustee should be appointed. The U.S. Trustee appointed Stephen A. Sallot III as the Chapter 11 trustee (the “Trustee”).

10. On the Chapter 11 Trustee’s motion, this case was converted from Chapter 11 to Chapter 7 on January 24, 1994. Stephen Sallot was appointed as the Chapter 7 trustee upon conversion.

11. After his appointment, the Trustee learned of a post-petition transfer to the Applicant of $5,000.00 on or about October 2, 1993 and requested that the funds be turned over to the estate. The Applicant did not return the funds to the estate. On December 21, 1993, the Applicant filed an Amended Disclosure of Compensation, where he revealed for the first time that he had received a pre-petition retainer in the amount of $5,000.00. He also stated in the disclosure that he had received an additional post-petition transfer from the Debtor in the amount of $5,000.00 on or about September 29, 1993. He further admitted for the first time that he was owed approximately $20,000 by the Debtor prior to the bankruptcy filing but that he had agreed to “waive” that pre-petition claim. The Applicant did not seek nor receive court approval for the $5,000.00 transferred to him by the Debtor post-petition near the end of September.

12. The Trustee’s evidence at the fee application hearing indicates that the pre-petition claim of the Applicant was substantially in excess of the $20,000.00 claim which he disclosed in his Amended Disclosure of Compensation. Applicant generally acknowledged the larger sums as having been billed, but indicated that several were subject to “adjustment”.

13. Trustee’s Exhibit No. 10 reveals several pre-petition payments made by the Debtor to Applicant which were not disclosed at any time during this case.

14. The Applicant filed his fee application on March 21 and objections were filed by the *857 Chapter 7 trustee and by the U.S. Trustee. The objections highlighted three problems in this Applicant’s employment and request for compensation: (1) lack of benefit to the estate, (2) failure to disclose compensation and (3) conflicts of interest and failure to disclose such conflicts.

15. The credible evidence presented at the fee application hearing demonstrated that the Applicant had a prior relationship with Barry Meakings, one of the principals of the Debtor, in that he represented him in several state court lawsuits as attorney of record as well as having represented Mr. Meakings in his personal Chapter 7 bankruptcy filed on March 11, 1991.

16. The Applicant also represented Raymond Vinton, the 100% shareholder of the Debtor, in the same state court lawsuits referenced above. From the beginning of this corporate Debtor’s bankruptcy case, these two principals of the corporation had an antagonistic relationship and disputes ensued concerning control of the corporation. One of the Applicant’s first actions in the case was to file an Application for Temporary Restraining Order, requesting that the court determine “the rights of Meakings and Vin-ton with regard to the ownership of Debtor’s stock and determine who is entitled to make decisions on behalf of the corporation.”

17. In this case, there was evidence of preferences and fraudulent transfers, yet the Applicant filed no avoidance actions while in charge of the case. Furthermore, during the course of the Chapter 11 proceedings it became apparent that reorganization of this Debtor was not feasible, yet the Applicant let the business continue operating, to the detriment of the creditors.

18. The Applicant is an experienced bankruptcy attorney, having practiced in the bankruptcy field since 1985 and having represented debtors in approximately 20-25 Chapter 11 cases.

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Bluebook (online)
172 B.R. 854, 8 Tex.Bankr.Ct.Rep. 235, 1994 Bankr. LEXIS 1863, 1994 WL 518195, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-mflex-corp-txwb-1994.