In Re Ryan

670 A.2d 375, 1996 D.C. App. LEXIS 8, 1996 WL 32288
CourtDistrict of Columbia Court of Appeals
DecidedJanuary 29, 1996
Docket94-BG-885
StatusPublished
Cited by58 cases

This text of 670 A.2d 375 (In Re Ryan) is published on Counsel Stack Legal Research, covering District of Columbia Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Ryan, 670 A.2d 375, 1996 D.C. App. LEXIS 8, 1996 WL 32288 (D.C. 1996).

Opinion

*377 TERRY, Associate Judge:

The Board on Professional Responsibility (“the Board”) has recommended that respondent be suspended from the practice of law for four months, pay restitution to certain clients, and show proof of her fitness to resume practice before being reinstated. This recommendation is based on a record establishing numerous disciplinary violations arising from her representation of five undocumented aliens. Respondent’s main contention before this court is that the Board’s credibility determinations and sanction recommendations were not supported by substantial evidence. We find no merit in this argument or in her subsidiary arguments, and thus we adopt the recommendation of the Board.

I

Respondent is a sole practitioner of immigration law. At the time of the disciplinary violations in this case, she had a full-time teaching position in Boston and commuted to Washington on weekends to see her clients. During the rest of the week she relied heavily on a small support staff in her Washington office to handle legal matters; however, none of these employees had any legal or paralegal training.

Most of respondent’s clients were indigent persons from other countries who spoke little or no English and, in the words of the Board’s report, were “living and working on the periphery of the local economy.” They sought her services in order to legalize their status in the United States through labor certifications. The labor certification process enables an alien to obtain permanent resident status through an application to federal labor and immigration agencies, supported by evidence that the applicant has an opportunity for a job which cannot readily be filled by qualified United States citizens. Two governmental bodies are involved in the process, the United States Department of Labor and a local agency called the Department of Economic and Employment Development (DEED). It is crucial for attorneys handling labor certification matters to meet several specified deadlines because DEED’S authority to grant extensions is limited and, if DEED deactivates a case, the application must be resubmitted. Refiling an application causes the applicant to receive a new “priority date” at the bottom of the waiting list, which can be a serious disadvantage to an alien because of competing applications from other aliens who come from the same country and obtain earlier priority dates.

In June 1992 Bar Counsel filed a disciplinary petition against respondent, alleging several violations arising from her representation of five alien clients between 1989 and 1991. Four of the five cases involved misconduct by respondent related to labor certification proceedings, including missed filing deadlines 1 and failure to return client files when requested to do so. One of the labor certification clients, a native of El Salvador, also was involved in a deportation proceeding and sought respondent’s assistance in presenting a claim for political asylum. A deportation hearing was scheduled for June 14, 1990, but neither respondent nor her client was present, 2 and as a result a deportation order was issued. When the client learned about the order the next day, he asked respondent to file an appeal and gave her $110 to cover the filing costs, but respondent never filed the appeal. In the fifth case the client, a native of Ghana married to an American citizen, hired respondent to assist him in obtaining permanent residency status in the *378 United States. He paid respondent a $200 installment toward her total fee of $1,000, and she helped him prepare some preliminary documents. Thereafter, however, she did nothing to assist him and did not accompany him to a scheduled interview with immigration authorities. After that interview was canceled, the client went to respondent’s office and asked for the return of his files, but respondent refused to deliver them because she considered them her work product. Respondent also insisted on payment of the balance of her fee. 3

After a series of evidentiary hearings, a hearing committee issued a report and recommendation which found the facts to be as we have summarized them in the preceding paragraph. 4 The committee concluded that respondent had committed multiple infractions with respect to four of the five clients 5 and recommended a four-month suspension from the practice of law, proof of fitness before resuming practice, and restitution in specified amounts to the four clients. In particular, the committee found that respondent had deliberately neglected client matters, habitually ignored agency deadlines in labor certification proceedings, and failed to return her clients’ files to the clients after they had terminated her services. The committee also noted that despite a heavy caseload and the importance of meeting deadlines, respondent did not maintain any calendar system to record due dates. Finally, the committee took note of several aggravating factors: respondent’s misrepresentations to the Office of Bar Counsel during its investigations, her defiant attitude toward the disciplinary system, her lack of understanding and appreciation of her ethical and professional obligations to her clients, and the fact that the clients of whom she took advantage were particularly vulnerable persons who spoke minimal English, were unaware of their legal rights, and were unfamiliar with the American legal system.

The hearing committee’s report was forwarded to the Board, which issued its own report and recommendation after further briefing and oral argument. It accepted the committee’s evidentiary findings and generally agreed with the recommended sanction. However, it also found further violations concerning the fifth client, and it reduced the amount of restitution to be paid. 6 The Board summarized respondent’s disciplinary violations as follows: 7

1. three separate instances of neglect under Disciplinary Rule (DR) 6-101(A)(3) of the former Code of Professional Responsibility and Rule 1.1 of the current Rules of Professional Conduct; 8
2. two separate instances of intentional failure to pursue a client’s lawful objectives, DR 7-101(A)(l) and Rule 1.3(b);
3. three separate instances of intentional failure to fulfill a contract of employment, DR 7-101(A)(2);
*379 4. three separate instances of intentional prejudice or damage to a client, DR 7-101(A)(3) and Ride 1.3(b);
5. five instances of failure to return a client’s files or other property, DR 9-103(B)(4) and Rule 1.16(d);
6. one instance of improper imposition of a lien on a client’s property, Rule 1.8(i);
7. one failure to keep a client informed of a matter, Ride 1.4(a); and
8.

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Bluebook (online)
670 A.2d 375, 1996 D.C. App. LEXIS 8, 1996 WL 32288, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-ryan-dc-1996.