OPINION
Chief Justice CAPPY.
This matter involves William James Perrone’s second petition lor reinstatement following his disbarment from the practice of law in the Commonwealth of Pennsylvania on November 30, 1995, retroactive to September 1, 1993, for improperly obtaining public funds allocated for indigent legal representation. In 2001, this Court denied Perrone’s first petition for reinstatement on the grounds that he did not perform adequate community service, and because eight years of disbarment was insufficient to dissipate the detrimental effect Perrone’s misconduct had upon the integrity and standing of the bar and on the administration of justice. In the Matter of William James Perrone, 565 Pa. 563, 777 A.2d 413, 416-17 (2001) (hereinafter “P&rrone I ”). The Office of Disciplinary Counsel (hereinafter “ODC”) now opposes Perrone’s second reinstatement petition on the ground that he failed to comply [392]*392with the requisites of Pa.R.D.E. 217(j). We hold that Perrone has satisfied his burden for reinstatement and, for the reasons that follow, we grant the petition for reinstatement.
Perrone’s disbarment was based on his convictions of theft by deception, tampering with public records or information, securing execution of documents by deception, and unsworn falsification to authorities. Perrone’s convictions arose from his filing of false fee petitions as court-appointed counsel for indigent criminal defendants in Philadelphia County from 1990 through 1992. He has complied with all conditions of his five-year term of criminal probation and has made complete restitution.
While disbarred, Perrone performed paralegal work for various attorneys. He received his assignments from a licensed attorney, performed most of the work at his home, and submitted the completed work to the attorney for review. Perrone did not hold himself out as an attorney, did not give legal advice to the clients for which the work was performed, and had no improper contact with such clients.
Perrone filed the instant petition for reinstatement in 2003. .Before the Hearing Committee, ODC opposed the petition primarily on the following two grounds: (!) that Perrone’s performance of legal services at his home office violated Rule 217(j)(4)(ii) because he was not performing the law-related services from an office that was staffed on a full-time basis by a supervising attorney; and (2) that Perrone did not file a notice of employment as required by Rule 217(j)(5) until after ODC expressed its concern with his failure to abide by the rule. In his reinstatement questionnaire, Perrone did not answer the questions regarding compliance with Rule 217(j), but instead indicated that the questions did not apply to him.1
[393]*393The Hearing Committee agreed with ODC and concluded that Perrone’s performance of law-related services from his home office violated Rule 217(j)(4)(ii) because that office was not staffed on a full-time basis by a supervising attorney and violated Rule 217(j)(4)(i) because he was associated with the same office on or after the date when the acts which resulted in his disbarment occurred.2 It further found that he violated Rule 217Cj)(5) in the years 2001 through 2003 because he failed to file a notice of employment with the Disciplinary Board (hereinafter “Board”), which identified his supervising attorney and certified that he had been employed and that his activities would be monitored for compliance with Rule 217(j). Relying on Rule 217(i),3 the Committee found that Perrone did not meet his burden under Rule 218(c)(3)(ii) of establishing that he possessed the moral qualifications, competency and [394]*394learning in the law required for reinstatement. Further, the Committee found that Perrone’s resumption of the practice of law would be detrimental to the integrity of the bar and subversive of the interests of the public.
The Board, however, disagreed with the Hearing Committee’s interpretation of Rule 217(j) and recommended that we grant the petition for reinstatement. Initially, it noted that Perrone’s conduct was not so egregious so as to preclude immediate consideration of his petition. The Board went on to find that Perrone satisfied his burden of demonstrating that he possesses the moral qualifications, competency and learning in the law necessary to practice law in this Commonwealth. Relying on the fact that Perrone had been disbarred for more than ten years, it further concluded that his resumption of the practice of law would neither be detrimental to the integrity and standing of the bar or administration of justice nor subversive of the public interest.
As to the Rule 217(j) issue, the Board cited the fact that Perrone and the attorneys for whom he worked were unaware of the rule until he was completing his reinstatement questionnaire in April of 2003, and Perrone believed that the rule did not apply to him because the text applies to a formerly admitted attorney who is “employed” by a law firm. Because Perrone was paid for his time and set his own hours, the Board noted that he reasonably believed that he was an independent contractor rather than a person “employed” by a firm. The Board concluded that:
[Perrone] did not violate the spirit and intent of Rule 217(j). It is clear that [Perrone] was directly supervised in his work and did not have client contact or engage in the practice of law while carrying out his paralegal activities. The evidence is not sufficient to find that [Perrone] intended to violate Rule 217(j).
Disciplinary Board Report at 11.
The Board determined that there is significant ambiguity in Rule 217(j) due to the concept of “employment” versus the performance of services as an independent contractor. It [395]*395stated that oftentimes, the supervising attorney and the formerly admitted attorney4 do not believe that they have an “employment” relationship. The Board concluded that “an independent contractor relationship conducted within the supervision of that attorney, need not nor should it violate the intent of Rule 217(j), which is to protect the public by preventing the unauthorized practice of law by formerly admitted attorneys.” Disciplinary Board Report at 13. Two Board Members dissented and would have recommended that we deny reinstatement.
On June 6, 2005, our Court entered a Rule to Show Cause pursuant to Pa.R.D.E. 218(c)(6), directing Perrone to inform our Court why an order denying reinstatement should not be entered.5 The parties have filed their responses to the Rule to Show Cause and oral argument before our Court was conducted on October 19, 2005. The matter is now ready for disposition.
In attorney disciplinary matters, we exercise de novo review, and we are not bound by the findings and recommendations of the Hearing Committee or the Disciplinary Board. Office of Disciplinary Counsel v. Kiesewetter, 585 Pa. 477, 889 A.2d 47 (2005).
Our threshold inquiry in a reinstatement matter is whether the petitioner has demonstrated that his breach of [396]*396trust was not so egregious that it precludes us from even considering his petition for reinstatement. Office of Disciplinary Counsel v.
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OPINION
Chief Justice CAPPY.
This matter involves William James Perrone’s second petition lor reinstatement following his disbarment from the practice of law in the Commonwealth of Pennsylvania on November 30, 1995, retroactive to September 1, 1993, for improperly obtaining public funds allocated for indigent legal representation. In 2001, this Court denied Perrone’s first petition for reinstatement on the grounds that he did not perform adequate community service, and because eight years of disbarment was insufficient to dissipate the detrimental effect Perrone’s misconduct had upon the integrity and standing of the bar and on the administration of justice. In the Matter of William James Perrone, 565 Pa. 563, 777 A.2d 413, 416-17 (2001) (hereinafter “P&rrone I ”). The Office of Disciplinary Counsel (hereinafter “ODC”) now opposes Perrone’s second reinstatement petition on the ground that he failed to comply [392]*392with the requisites of Pa.R.D.E. 217(j). We hold that Perrone has satisfied his burden for reinstatement and, for the reasons that follow, we grant the petition for reinstatement.
Perrone’s disbarment was based on his convictions of theft by deception, tampering with public records or information, securing execution of documents by deception, and unsworn falsification to authorities. Perrone’s convictions arose from his filing of false fee petitions as court-appointed counsel for indigent criminal defendants in Philadelphia County from 1990 through 1992. He has complied with all conditions of his five-year term of criminal probation and has made complete restitution.
While disbarred, Perrone performed paralegal work for various attorneys. He received his assignments from a licensed attorney, performed most of the work at his home, and submitted the completed work to the attorney for review. Perrone did not hold himself out as an attorney, did not give legal advice to the clients for which the work was performed, and had no improper contact with such clients.
Perrone filed the instant petition for reinstatement in 2003. .Before the Hearing Committee, ODC opposed the petition primarily on the following two grounds: (!) that Perrone’s performance of legal services at his home office violated Rule 217(j)(4)(ii) because he was not performing the law-related services from an office that was staffed on a full-time basis by a supervising attorney; and (2) that Perrone did not file a notice of employment as required by Rule 217(j)(5) until after ODC expressed its concern with his failure to abide by the rule. In his reinstatement questionnaire, Perrone did not answer the questions regarding compliance with Rule 217(j), but instead indicated that the questions did not apply to him.1
[393]*393The Hearing Committee agreed with ODC and concluded that Perrone’s performance of law-related services from his home office violated Rule 217(j)(4)(ii) because that office was not staffed on a full-time basis by a supervising attorney and violated Rule 217(j)(4)(i) because he was associated with the same office on or after the date when the acts which resulted in his disbarment occurred.2 It further found that he violated Rule 217Cj)(5) in the years 2001 through 2003 because he failed to file a notice of employment with the Disciplinary Board (hereinafter “Board”), which identified his supervising attorney and certified that he had been employed and that his activities would be monitored for compliance with Rule 217(j). Relying on Rule 217(i),3 the Committee found that Perrone did not meet his burden under Rule 218(c)(3)(ii) of establishing that he possessed the moral qualifications, competency and [394]*394learning in the law required for reinstatement. Further, the Committee found that Perrone’s resumption of the practice of law would be detrimental to the integrity of the bar and subversive of the interests of the public.
The Board, however, disagreed with the Hearing Committee’s interpretation of Rule 217(j) and recommended that we grant the petition for reinstatement. Initially, it noted that Perrone’s conduct was not so egregious so as to preclude immediate consideration of his petition. The Board went on to find that Perrone satisfied his burden of demonstrating that he possesses the moral qualifications, competency and learning in the law necessary to practice law in this Commonwealth. Relying on the fact that Perrone had been disbarred for more than ten years, it further concluded that his resumption of the practice of law would neither be detrimental to the integrity and standing of the bar or administration of justice nor subversive of the public interest.
As to the Rule 217(j) issue, the Board cited the fact that Perrone and the attorneys for whom he worked were unaware of the rule until he was completing his reinstatement questionnaire in April of 2003, and Perrone believed that the rule did not apply to him because the text applies to a formerly admitted attorney who is “employed” by a law firm. Because Perrone was paid for his time and set his own hours, the Board noted that he reasonably believed that he was an independent contractor rather than a person “employed” by a firm. The Board concluded that:
[Perrone] did not violate the spirit and intent of Rule 217(j). It is clear that [Perrone] was directly supervised in his work and did not have client contact or engage in the practice of law while carrying out his paralegal activities. The evidence is not sufficient to find that [Perrone] intended to violate Rule 217(j).
Disciplinary Board Report at 11.
The Board determined that there is significant ambiguity in Rule 217(j) due to the concept of “employment” versus the performance of services as an independent contractor. It [395]*395stated that oftentimes, the supervising attorney and the formerly admitted attorney4 do not believe that they have an “employment” relationship. The Board concluded that “an independent contractor relationship conducted within the supervision of that attorney, need not nor should it violate the intent of Rule 217(j), which is to protect the public by preventing the unauthorized practice of law by formerly admitted attorneys.” Disciplinary Board Report at 13. Two Board Members dissented and would have recommended that we deny reinstatement.
On June 6, 2005, our Court entered a Rule to Show Cause pursuant to Pa.R.D.E. 218(c)(6), directing Perrone to inform our Court why an order denying reinstatement should not be entered.5 The parties have filed their responses to the Rule to Show Cause and oral argument before our Court was conducted on October 19, 2005. The matter is now ready for disposition.
In attorney disciplinary matters, we exercise de novo review, and we are not bound by the findings and recommendations of the Hearing Committee or the Disciplinary Board. Office of Disciplinary Counsel v. Kiesewetter, 585 Pa. 477, 889 A.2d 47 (2005).
Our threshold inquiry in a reinstatement matter is whether the petitioner has demonstrated that his breach of [396]*396trust was not so egregious that it precludes us from even considering his petition for reinstatement. Office of Disciplinary Counsel v. Keller, 509 Pa. 573, 506 A.2d 872 (1986). We have already ruled on such issue in Perrone I, when we concluded that “[vjiewing Perrone’s misconduct in light of this Court’s previous holdings concerning reinstatement petitions, we cannot say that Perrone’s misconduct was so deplorable that he can never be reinstated to the bar.” Perrone I, 777 A.2d at 416.
We must next examine whether Perrone has met his burden of proving by clear and convincing evidence that his current resumption of the practice of law would not have a detrimental impact on the integrity and standing of the bar, the administration of justice, or the public interest, and that he has the moral qualifications, competency and learning in the law required for admission to practice law in this Commonwealth pursuant to Pa.R.D.E. 218(c)(3)(i). In making this determination, we consider, inter alia, the amount of time that has passed since Perrone was disbarred, as well as his efforts at rehabilitation. In the Matter of Verlin, 557 Pa. 47, 731 A.2d 600 (1999).
We emphasize that the point of contention between the parties does not focus on the passage of sufficient time since disbarment or Perrone’s efforts at rehabilitation. Rather, the parties disagree as to whether Perrone’s alleged non-compliance with Rule 2170)(4) and 0)(5) demonstrates that he lacks the moral qualifications required to grant his petition for reinstatement. In order to resolve that issue, each subsection must be examined separately.
Initially, Perrone contends that none of the requisites of Rule 2170) apply to him because subsections 0)(1) and 0)(5) use the terms “employed” and/or “employment” and Perrone performed his law-related services as an independent contractor rather than an employee.6 He emphasizes that the [397]*397Board expressly found that his law-related services were fully supervised by another attorney, and relies on the fact that the Board recognized the ambiguity regarding Rule 217(j)’s application to formerly admitted attorneys performing paralegal services as independent contractors. Perrone argues that such ambiguity should not serve as a basis to deny his petition for reinstatement.7
Looking first to the applicability of subsection (j)(4), we conclude that Perrone is clearly bound by such rule. Subsection (j) begins by stating that a “formerly admitted attorney may not engage in any form of law-related, activities ... except in accordance with the following requirements.” Pa. R.D.E. 217(j) (emphasis added). It is therefore clear that subsection (j) sets forth a global prohibition on the performance of all law-related activities unless they comply with the requirements of the rule, regardless of whether they are performed as an independent contractor or otherwise. Similarly, subsection (j)(4)(ii), states, “[w]ithout limiting the other restrictions in this subdivision (j)(4), a formerly admitted attorney is specifically prohibited from engaging in any of the following activities: ... (ii) performing any latv-related services from an office that is not staffed, on a full time basis, by a supervising attorney.” Pa.R.D.E. 217(j)(4)(ii) (emphasis added). Thus, the plain language of the rule establishes that subsection (j)(4) applies to all law-related services performed by formerly admitted attorneys, regardless of the manner by which they are performed. To the extent that Perrone relies on the use of the terms “employed” or “employment” in subsections (j)(l) and (j)(5) as negating the applicability of (j)(4), we reject this contention as each subsection refers to separate obligations of a formerly admitted attorney.8
[398]*398Our conclusion that subsection (j)(4) applies to formerly admitted attorneys performing law-related services as independent contractors is consistent with the purpose of Rule 217(j), which was adopted by our Court in December of 2000, in an effort to limit and regulate the law-related activities performed by disbarred or suspended attorneys. The rule was intended to balance the benefits of allowing a formerly admitted attorney to remain current in the law to enhance competency, while recognizing the significant policy considerations of preventing the unauthorized practice of law and avoiding public confusion regarding the status of a disbarred or suspended attorney.
Having concluded that Perrone is bound by Rule 217(j)(4), we must next consider whether his performance of law-related services at his home violated subsection (j)(4)(ii), which prohibits the performance of “any law-related services from an office that is not staffed, on a full time basis, by a supervising attorney.” Pa.R.D.E. 217(j)(4)(ii). ODC argues that the rule requires a formerly admitted attorney to be physically present in the office of the attorneys who are supervising him. It maintains that such physical presence is necessary to ensure that the disbarred attorney is not representing himself as a lawyer, is not having physical contact with the client, and is not rendering legal advice.
Perrone contends that he has complied with subsection (j)(4)(ii) because he has performed law-related services while under the direct supervision of an attorney in a fully-staffed office. He argues that Rule 217(j)(4)(ii) does not suggest that the disbarred attorney has to be physically present in the law office at all times, but rather is intended to ensure responsible supervision of the work performed by the formerly admitted [399]*399attorney. Perrone asserts that, taken to its logical conclusion, ODC’s interpretation of the rule would prohibit a disbarred attorney from performing paralegal services in a law library or researching a legal matter from a computer at his desk at home. Perrone argues that it would be absurd to require the disbarred attorney’s physical presence in the supervising attorney’s office when the supervising attorney is ensuring that the disbarred attorney is not engaging in the practicing of law by having contact with clients or representing that he is a licensed attorney, which is the underlying purpose of the rule.
We agree with Perrone that ODC’s interpretation of subsection (j)(4)(ii) is too restrictive and not in accordance with the mandate of the rule. The rule was intended to ensure accountability, not observation of each step of the process by which a disbarred or suspended attorney performs legal research and/or drafts memoranda. Simply put, subsection (j)(4)(ii) requires that there be a supervising attorney at a law office on a full-time basis to monitor the law-related services performed by a disbarred or suspended attorney. Pursuant to Rule 217(j)(6), the supervising attorney is subject to disciplinary action for any failure by either the formerly admitted attorney or the supervising attorney to comply with the provisions of subsection (j).
Upon an independent review of the record, we find that a supervising attorney was present at a law office on a full-time basis and directly monitored all of the law-related services performed by Perrone.9 We therefore conclude that Perrone complied with the requisites of Pa.R.D.E. 217(j)(4)(ii).
[400]*400We next examine the applicability of subsection (j)(5), which refers to the filing of a “notice of employment” to inform the Board of the individual in the law firm who is acting as the supervising attorney. As noted, subsection (j)(5) states:
(5) The supervising attorney and the formerly admitted attorney shall file with the Disciplinary Board a notice of employment, identifying the supervising attorney, certifying that the formerly admitted attorney has been employed and that the formerly admitted attorney’s activities will be monitored for compliance with this subsection (j). The supervising attorney and the formerly admitted attorney shall file a notice with the Disciplinary Board immediately upon the termination of the employment of the formerly admitted attorney.
Pa.R.D.E. 217Q)(5).
Unlike subsection (j)(4), which refers to “all law-related services,” subsection (j)(5) speaks in terms of “employment.” [401]*401This provision was intended to serve as the vehicle by which the law-related activities of a formerly admitted attorney are reported to the Board and monitored. Admittedly, however, because the provision is couched in terms relating to “employment,” it could lead an attorney to reasonably believe that the filing of a “notice of employment” is only required if the formerly admitted attorney is performing law-related services as an employee of a law firm. We therefore conclude that Perrone’s failure to comply with subsection (j)(5) until notified by ODC does not adversely reflect on his fitness to practice law and should not serve a basis for the denial of his petition for reinstatement.10 To clarify proper application, we hereby refer subsection (j)(5) to the Board for prompt consideration and amendment to encompass the reporting of all law-related services performed by formerly admitted attorneys, regardless of the nature of the relationship between the formerly admitted attorney and the supervising attorney.
Having determined that Rule 217(j) may not serve an as impediment to granting Perrone’s petition for reinstatement, we proceed to examine whether reinstatement is otherwise warranted. It is now over four years since we denied Perrone’s first reinstatement petition and well over twelve years since he was disbarred retroactively to September of 1993. We find that the concerns that prevented us from granting reinstatement in 2001 have dissipated. This Court recognizes that Perrone’s misconduct in misappropriating public funds earmarked for indigent representation undermined the core of the legal system and rendered him unfit to practice law. We conclude, however, that sufficient time has passed to dissipate the detrimental effect Perrone’s misconduct had upon the integrity and standing of the bar and on the administration of justice. Moreover, the record is undisputed that Perrone has engaged in significant pro bono and community activity since the last reinstatement hearing.11 He has heeded [402]*402our Court’s warning and has now demonstrated by clear and convincing evidence his fitness to resume the practice of law in this Commonwealth.
Accordingly, the Rule to Show Cause is discharged, the petition for reinstatement is granted, and Perrone is reinstated to the practice of law. Further, pursuant to Pa.R.D.E. 218(e), Perrone is directed to pay the expenses incurred by the Board in the investigation and processing of the petition for reinstatement.
Justice CASTILLE, Justice NEWMAN and Justice SAYLOR join the opinion.
Former Justice NIGRO did not participate in the decision of this case.
Justice BAER files a concurring opinion.
Justice EAKIN files a dissenting opinion.