In Re Petition for Disciplinary Action Against Copeland

505 N.W.2d 606, 1993 Minn. LEXIS 615, 1993 WL 356822
CourtSupreme Court of Minnesota
DecidedSeptember 17, 1993
DocketC6-92-252
StatusPublished
Cited by9 cases

This text of 505 N.W.2d 606 (In Re Petition for Disciplinary Action Against Copeland) is published on Counsel Stack Legal Research, covering Supreme Court of Minnesota primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Petition for Disciplinary Action Against Copeland, 505 N.W.2d 606, 1993 Minn. LEXIS 615, 1993 WL 356822 (Mich. 1993).

Opinion

OPINION

PER CURIAM.

The Director of the Office of Lawyers Professional Responsibility brought a petition containing several counts of professional misconduct against respondent. The Director alleges that respondent misappropriated client funds, commingled personal and client funds, failed to maintain proper books and records, falsely certified to this court that he did keep proper books and records, represented a client even though he was aware of a conflict of interest in that representation, neglected a client matter, and knowingly con *607 tacted a represented party without the consent of that party’s attorney. These charges against respondent arise out of three client matters and from the general mishandling of respondent’s client trust account. On November 16, 17, and 18, 1992, a hearing was held before the Honorable Michael A. Young, Scott County District Court Judge, who served as referee. The referee found that respondent knowingly violated rules of professional responsibility, but, in mitigation, found that respondent did not act with the intent to harm his clients. On December 3, 1992, Referee Young recommended that respondent be placed on five years of supervised probation.

The Director filed a certificate as to transcript, pursuant to Rule 14(e), Rules on Lawyers Professional Responsibility (RLPR), and therefore the referee’s findings and conclusions are not conclusive. The Director specifically disputes that portion of Finding No. 83 which states: “Respondent’s actions were not the result' of any dishonest motive or intent to deprive clients of their funds. His actions were more the result of carelessness and mismanagement.” 1 In addition, the Director argues that the referee’s conclusions of law are incomplete and inconsistent with our holdings in prior disciplinary matters.

A. Landreville Matter

Respondent represented Gary Landreville in a marriage dissolution. The referee found that during the course of the representation respondent violated Rules 1.3 and 3.2, Minnesota Rules of Professional Conduct (MRPC), by failing to timely respond to and communicate with opposing counsel in a discovery dispute, resulting in the jailing of his client. The referee also found that respondent had violated Rule 4.2, MRPC, by contacting Mrs. Landreville, a party whom he knew to be represented, without the consent of Mrs. Landreville’s attorney. In mitigation the referee found that while respondent had been dilatory in dealing with the discovery dispute, there was little respondent could have done that he did not do. He also found that respondent’s violation of Rule 4.2, MRPC, should not result in discipline, because the respondent was a long-time friend of Mrs. Landreville, and respondent had been contacted directly by Mrs. Landreville at various times during the dissolution proceedings for the purpose of obtaining separation payments that had not arrived on time. The referee concluded that the Director did not establish .by clear and convincing evidence that respondent violated Rules 1.1 and 8.4(d), MRPC, with respect to the Landre-ville matter.

B. Ringold Matter

Respondent had represented Mr. and Mrs. Ringold on various matters for more than six years when, in December 1987, Mr. Ringold requested that respondent prepare a bankruptcy filing for them. As of March 1987, the Ringolds owed respondent $5,267.50 for legal services rendered. Because he was a creditor of the Ringolds, respondent suggested that they seek independent counsel, but Mr. Ringold insisted that he wanted respondent to handle the bankruptcy. When the bankruptcy was filed, respondent was not included among the list of creditors.

The referee found that respondent informed Mr. Ringold that he would have a conflict of interest by handling the bankruptcy while remaining a creditor. The referee further found that Mr. Ringold agreed that respondent should delete his name from the list of creditors in his bankruptcy filing. The referee also found, however, that respondent failed to disclose his conflict of interest to Mrs. Ringold, a violation of Rule 1.7(b)(2), MRPC, and that she never gave her permission for respondent to delete his name from the list of creditors. The referee concluded that the Director did not establish by clear and convincing evidence that respondent had violated Rules 1.4, 1.5, 3.1 and 8.4(c), MRPC, with respect to the Ringolds or that he violated Rule 1.7, MRPC, with respect to Mr. *608 Ringold. In mitigation, the referee found that the vast majority of respondent’s dealings with the Ringolds were with Mr. Rin-gold, and that respondent had not sought collection, nor does he intend to seek collection, of pre-bankruptcy fees from Mrs. Rin-gold.

C. Knopik Matter

Respondent represented Mr. Knopik and his business, Fuel Recovery Company (FRC), on several matters over many years. Respondent and Mr. Knopik agreed that Mr. Knopik would pay respondent on an hourly rate, but because Mr. Knopik was unable to pay the monthly bills respondent sent to him, respondent stopped sending the bills.

In 1989, respondent recovered a judgment of approximately $71,000 for FRC. At that time, Mr. Knopik owed respondent for un-billed legal fees in the amount of approximately $13,000. Legal fees for this recovery were approximately $15,000. When the $71,-000 payment arrived in respondent’s office, he signed Mr. Knopik’s name on the check and took one-third of the proceeds as payment for all of the attorney’s fees owed.

The referee found that Mr. Knopik did not ask respondent to submit bills, and that Mr. Knopik had authorized respondent’s signing Mr. Knopik’s name to the check and taking one-third of the recovery as a final settlement of all legal fees owed to respondent by Mr. Knopik. The referee noted that one-third of the $71,000 recovery was less than respondent would have received had he required Mr. Knopik to pay the pre-existing balance plus the hourly fees incurred from the recovery. The referee concluded that the Director did not establish by clear and convincing evidence that respondent violated Rules 1.4, 1.5(a) or (b) and 8.4, MRPC, with respect to the Knopik matter.

D. Misappropriation

Respondent’s alleged misappropriations fall into three categories: (1) improperly maintaining trust account books and records; (2) taking money from the client trust account for personal use; and (3) certifying to this court that he maintained proper books and records.

The referee found, and respondent admits, that checks were drawn on the trust account to pay for personal items such as health club and yacht club dues, and to buy a car and a boat. He further found, however, that no client lost money as a result of these acts, and in each case the money was restored to the account before the Professional Responsibility Board began its investigation.

The referee concluded that respondent did not intentionally misappropriate client funds, but rather his actions were “the result of carelessness and mismanagement.” The referee concluded that this “carelessness and mismanagement” violated Rules 1.15(a), (b), (g), and (h), MRPC.

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Cite This Page — Counsel Stack

Bluebook (online)
505 N.W.2d 606, 1993 Minn. LEXIS 615, 1993 WL 356822, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-petition-for-disciplinary-action-against-copeland-minn-1993.