In re Richard Bowen, Esq.

2021 VT 7, 252 A.3d 300
CourtSupreme Court of Vermont
DecidedFebruary 12, 2021
Docket2020-137
StatusPublished
Cited by5 cases

This text of 2021 VT 7 (In re Richard Bowen, Esq.) is published on Counsel Stack Legal Research, covering Supreme Court of Vermont primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Richard Bowen, Esq., 2021 VT 7, 252 A.3d 300 (Vt. 2021).

Opinion

NOTICE: This opinion is subject to motions for reargument under V.R.A.P. 40 as well as formal revision before publication in the Vermont Reports. Readers are requested to notify the Reporter of Decisions by email at: JUD.Reporter@vermont.gov or by mail at: Vermont Supreme Court, 109 State Street, Montpelier, Vermont 05609-0801, of any errors in order that corrections may be made before this opinion goes to press.

2021 VT 7

No. 2020-137

In re Richard Bowen, Esq. Original Jurisdiction

Professional Responsibility Board

November Term, 2020

Hearing Panel No. 10 Jonathan Cohen, Esq, Chair Mary Welford, Esq. Kelley Legacy, Public Member

Christopher D. Ekman of Heilmann, Ekman, Cooley & Gagnon, Inc., Burlington, for Appellant.

Sarah Katz, Disciplinary Counsel, Burlington, for Appellee.

PRESENT: Reiber, C.J., Robinson, Eaton, Carroll and Cohen, JJ.

EATON, J. Respondent, Richard Bowen, Esq., appeals from the Professional

Responsibility Board’s determination that he violated two Vermont Rules of Professional Conduct

in his practice as an attorney and its resulting recommendation that his license be suspended for

three months. He does not challenge the panel’s conclusion that he violated Rule 1.9(c)(2), but

argues that it erred in holding that his behavior contravened Rule 1.8(b). Respondent further

contends that, regardless of whether he violated one Professional Conduct Rule or two, a three-

month license suspension represents a disproportionate sanction. We affirm. I. Background

In June 2019, Disciplinary Counsel filed a petition of misconduct alleging that

respondent violated Rules of Professional Conduct 1.8(b) and 1.9(c)(2). See V.R.Pr.C. 1.8(b)

(providing, absent narrow exceptions, that “[a] lawyer shall not use information relating to

representation of a client to the disadvantage of the client”); V.R.Pr.C. 1.9(c)(2) (prohibiting,

absent narrow exceptions, lawyer from revealing information relating to representation of former

client). After an evidentiary hearing on the petition, the panel made the following findings of fact.

Respondent was first admitted to the bar of the Vermont Supreme Court in 1986.

He initially worked in a small firm before opening his solo practice about twenty years ago.

Respondent’s primary area of practice is real-estate law, but he also offers additional services

“typical of small-town Vermont lawyers.”

At the center of this case sits a small, undeveloped plot of land in Springfield,

Vermont. Respondent’s first involvement with it came some years ago, when he defended its

owners—then a married couple—against an action to foreclose on the property’s mortgage.

Following the couple’s subsequent divorce, respondent agreed to represent the ex-husband

(hereinafter “former client”) in post-judgment divorce proceedings. He did not obtain the ex-

wife’s informed consent to do so.1

Former client sought respondent’s assistance in reopening the divorce on the theory

that his ex-wife had made misleading disclosures about her assets constituting fraud on the court.

Both the pre- and post-judgment litigation resulted in multiple publicly available decisions issued

1 As the panel noted, Disciplinary Counsel did not charge respondent with a violation related to his representation of former client in a post-judgment divorce proceeding after having earlier represented both spouses during their marriage. See V.R.Pr.C. 1.9(a) (“A lawyer who has formerly represented a client in a matter shall not thereafter represent another person in . . . a substantially related matter in which that person’s interests are materially adverse to the interests of the former client unless the former client gives informed consent, confirmed in writing.”). The panel suggested that this information was revealed to Disciplinary Counsel for the first time in her direct examination of respondent. It plays no part in our decision. 2 by the trial court and this Court. But the claims respondent filed on former client’s behalf were

not met with success, and his representation of former client in connection with the domestic matter

ended in 2017. Thereafter, respondent billed former client approximately $11,000 for his legal

services. Respondent’s office sent monthly invoices to former client and, on at least a few

occasions, former client and respondent discussed the outstanding bill over the telephone.

Nonetheless, the fee remained unpaid, a matter which was of significant concern and impact to

respondent as a sole practitioner with three employees.

In the divorce, former client was awarded the undeveloped Springfield lot that he

and his ex-wife purchased during their marriage. He listed it for sale in 2018, drawing the interest

of a married couple (hereinafter “husband” and “wife”) who own and reside on an adjacent parcel.

They enjoyed living next to an empty lot and were concerned by the possibility that another

purchaser might build there. They decided to make an offer on the property, which former client

accepted. A purchase-and-sale agreement was drawn up, contemplating a closing date of

November 15, 2018.

For reasons irrelevant to this appeal, wife alone entered the purchase-and-sale

agreement. However, husband took the lead in coordinating the transaction on the couple’s behalf.

In September 2018, he secured respondent’s agreement to represent wife in connection with the

purchase and to serve as the couple’s title-insurance agent. With wife’s agreement, husband was

respondent’s “principal contact” throughout the representation concerning their purchase of the

lot. Respondent did not inform wife and husband that he had previously represented the seller in

a post-judgment divorce proceeding, or that he previously represented former client and his ex-

wife in an action to foreclose upon a mortgage on that same property. Nor did respondent obtain

former client’s informed consent to represent the prospective buyer of his land.

The closing was postponed several times for various reasons. By late December

2018, husband and wife had secured the necessary funding for a cash sale, and the closing was

3 rescheduled for February 7, 2019. In anticipation thereof, respondent conducted a title search on

the Springfield property. He discovered several ex parte liens filed by former client’s ex-wife, and

learned that there was no deed quitclaiming her interest in the property to former client in the wake

of their divorce. The title-insurance company informed respondent that the want of a quitclaim

deed raised concerns that the ex-wife’s interest in the property had not been extinguished; as a

result, the company declined to insure the title.

Respondent informed husband and wife of this development in late January or early

February and explained the benefits and drawbacks of proceeding with the purchase in the absence

of title insurance. Drawing on information acquired in his post-divorce representation of former

client, respondent advised his current clients that he doubted former client’s ex-wife would seek

to enforce any interest she might have in the property because she had inherited a substantial sum

of money. Former client had not authorized respondent to disclose this information to anyone else,

but respondent mistakenly believed it had been divested of confidentiality by the public availability

of court records related to the divorce. This was the first time the buyers learned that the seller

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2021 VT 7, 252 A.3d 300, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-richard-bowen-esq-vt-2021.