In re: Nathan J. Forck

CourtSupreme Court of Missouri
DecidedFebruary 4, 2014
DocketSC88961
StatusPublished

This text of In re: Nathan J. Forck (In re: Nathan J. Forck) is published on Counsel Stack Legal Research, covering Supreme Court of Missouri primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re: Nathan J. Forck, (Mo. 2014).

Opinion

SUPREME COURT OF MISSOURI en banc IN RE: ) ) NATHAN J. FORCK, ) ) ) No. SC88961 ) Respondent. )

ORIGINAL DISCIPLINARY PROCEEDING

Opinion issued February 4, 2014

The Office of Chief Disciplinary Counsel (hereinafter, “OCDC”) seeks to

discipline Nathan J. Forck’s (hereinafter, “Forck”) law license for alleged multiple

violations of the rules of professional conduct that occurred while Forck was on

probation. This Court finds that Forck committed violations of Rule 4-1.1, Competence,

in connection with the preparation of estate planning documents and the dispensing of

advice regarding Medicaid eligibility, and Rule 4-1.5, Fees, by charging an excessive fee

for estate planning services and representation concerning Medicaid eligibility. This

Court orders Forck’s term and conditions of probation be changed and that the stay of his

previously imposed suspension remain in effect.

Factual and Procedural History

Forck was admitted to The Missouri Bar in April 2006 pursuant to a monitoring

agreement entered into between the Missouri Board of Law Examiners (hereinafter, “the Board”), Forck, and the OCDC. A monitoring agreement is executed when the Board has

concerns about an applicant based upon the Board’s character and fitness investigation

but determines it is appropriate to admit an applicant to the practice of law so long as the

applicant is monitored for some initial period of time by the OCDC. Here, the Board was

concerned with Forck’s excessive alcohol use. Forck was charged with three separate

alcohol-related offenses prior to admission into the bar. After his third offense, Forck

received out-patient treatment for alcoholism.

The monitoring agreement set forth several conditions Forck agreed to follow

upon admission to the bar. These conditions included Forck’s abstinence from alcohol

and regular attendance at a support or therapy group, such as Alcoholics Anonymous,

with verification of attendance provided by Forck to an attorney monitor. Any violation

of the terms of the monitoring agreement would be deemed a violation of Rule 4-8.4(d),

Misconduct, and subject Forck to disciplinary action.

On May 18, 2007, Forck was drinking at a bar, became embroiled in an

altercation, and was arrested for third-degree assault. 1 As a result of Forck’s alcohol use,

failure to send verification of his attendance at support group meetings, and the failure to

notify the OCDC of his arrest, the OCDC filed an information charging Forck with

violations of Rule 4-8.4(d) for conduct prejudicial to the administration of justice and

Rule 4-8.1(b) for failing to report his conduct to the OCDC.

1 The charges were dismissed October 18, 2007. The parties submitted a joint stipulation to this Court requesting that the

appropriate discipline to impose on Forck would be an indefinite suspension with leave to

apply for reinstatement in six months, with the suspension stayed, and Forck placed on

probation for two years. On December 7, 2007, this Court accepted the OCDC’s

recommendation. Forck also agreed to comply with several probation conditions,

including: the appointment of a probation monitor; quarterly reporting responsibilities;

compliance with the rules of professional conduct; abstinence from the use of alcohol and

other controlled substances; participation in treatment and support group programs;

submission to random drug testing; and cooperation with an attorney mentor. Forck’s

probation also provided that should the OCDC receive a complaint during Forck’s term

of probation, the term would be extended until such charge was investigated and the

OCDC made a determination regarding its disposition.

Forck’s first employment after admission into the bar was with Joseph Yungwirth

(hereinafter, “Yungwirth”), an attorney with a large elder law and estate planning

practice. Yungwirth employed Carmen Munford (hereinafter, “Munford”), a former state

benefit specialist, as a member of his support staff. Forck left Yungwirth’s practice after

approximately eighteen months. From early 2008 until March 2009, Forck worked as a

general practitioner with another attorney.

3 In early 2009, Yungwirth contacted Forck about taking over Yungwirth’s

practice. 2 Forck and Yungwirth negotiated a verbal agreement to transfer the practice,

with Forck agreeing to retain Munford and other support staff. Forck did not have

personal experience or expertise in the practice of elder law or Medicaid litigation when

taking over Yungwirth’s practice. Forck relied upon the knowledge he gained from

Yungwirth, Munford, and the support staff he retained to represent clients and administer

paperwork. Despite this lack of experience, Forck promoted himself and his firm as

experienced in elder law, even conducting seminars targeted to people who had questions

regarding Medicaid issues.

On January 13, 2010, Forck filed a motion for this Court to issue an order of

successful completion of probation. In response, the OCDC stated it received two

complaints regarding Forck and Yungwirth’s firm. The OCDC indicated the

investigation was ongoing and no factual determination had been made at the time Forck

filed his motion. As part of its investigation, the OCDC requested Forck produce several

documents, including certain bank records. Forck failed to produce these records. The

OCDC issued a subpoena to a bank for the production of records pertaining to an account

over which Forck had signatory authority. In response, Forck filed a motion to quash the

subpoena. This Court overruled Forck’s motion and permitted the OCDC to continue its

investigation. This Court also overruled Forck’s motion regarding his release from

probation because the OCDC’s investigation extended the term of his probation.

2 As of April 1, 2009, Yungwirth ceased practicing law due to physical and mental infirmities and on August 23, 2010, received an Order of Interim Suspension from this Court issued pursuant to Rule 5.23(b) (Case No. SC91102).

4 On December 23, 2010, Forck filed a second motion for this Court to issue an

order of successful completion of probation. The OCDC opposed the motion, stating it

received two additional complaints regarding Forck’s practice since his first motion for

release filed in January. The OCDC’s response also supported a finding that the delay in

completing its investigation was due, in large part, to Forck’s failure to provide requested

information. 3 This Court overruled Forck’s motion.

The OCDC completed its investigation, which is the basis for the current

disciplinary proceeding. The OCDC and Forck have stipulated that Forck committed

three counts of professional misconduct.

With respect to Count I, James and Kathy Poletti retained Forck in August 2009 to

prepare estate planning documents so they could avoid spending their resources on Kathy

Poletti’s nursing home expenses. These documents were intended to replace ones

previously prepared by a different law firm. The Polettis initially paid Forck $8,030 for

long-term care planning and an application for Medicaid benefits. By the time Forck

completed preparing the necessary documents, Mrs. Poletti was no longer competent to

execute them.

3 The dissent repeatedly refers to Forck’s actions during the investigation of the current disciplinary proceeding as additional evidence that his misconduct warrants the imposition of the stayed suspension.

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