In Re Staab

785 S.W.2d 551, 1990 Mo. LEXIS 22, 1990 WL 26345
CourtSupreme Court of Missouri
DecidedMarch 13, 1990
Docket71729
StatusPublished
Cited by9 cases

This text of 785 S.W.2d 551 (In Re Staab) 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 Staab, 785 S.W.2d 551, 1990 Mo. LEXIS 22, 1990 WL 26345 (Mo. 1990).

Opinions

ORIGINAL DISCIPLINARY PROCEEDING

BILLINGS, Judge.

Disciplinary proceeding by the Sixteenth Judicial Circuit Bar Committee pursuant to Rule 51 against respondent, Roger J. Staab. A five count information filed May 31, 1989, in this Court, charged respondent with violation of the following Disciplinary Rules (DR) of Rule 4: DR 1-102(A)(1), (5), and (6); DR 6-101(A)(3); DR 7-101(A)(3); DR 9-102(A), (B)(3) and (4).

The Court appointed the Honorable Donald Barnes, Circuit Judge of the 18th Judi-[552]*552rial Circuit, as Master to hear the proceeding. The Court agrees with the Master’s findings and conclusions and orders disbarment.

The Master’s findings, conclusions and recommendation in a disciplinary proceeding are advisory in nature. In re Adams, 737 S.W.2d 714, 717 (Mo. banc 1987); In re Hardge, 713 S.W.2d 503, 504 (Mo. banc 1986). The Court must review the evidence de novo, determine for itself the credibility, weight and value of the witnesses, and make its own conclusions of law. In re Murphy, 732 S.W.2d 895, 902 (Mo. banc 1987); Matter of Williams, 711 S.W.2d 518, 519 (Mo. banc 1986).

This is respondent’s second time before the Court on disciplinary matters occurring from 1979 to 1986. See In re Staab, 719 S.W.2d 780 (Mo. banc 1986). He does not deny the events and facts charged in the present information and admits his actions violated portions of the Code of Professional Responsibility. Respondent contends he is fully rehabilitated and has been since 1985 and his failure to cooperate with the Bar Committee was not intentional or willful.

Counts I, II, and III arise from his representation of Ricky Payne in a claim for workers’ compensation. Payne’s employer-insurer protested the claim and refused to cover any of Payne’s medical expenses. As a result, Payne’s personal health insurance company, United Food and Commercial Workers Union and Employers Midwest Health Benefits Fund (“Union”), paid the medical costs, which amounted to more than $6,000.00.

A compromise settlement was approved by the Division of Worker’s Compensation in May, 1984, between Payne and employer-insurer. Payne’s recovery amounted to slightly more than $6,000.00, with respondent being allowed an attorney’s fee of one-fourth. The settlement also provided for payment to Payne the sum of $4,469.00 to be paid to the Union.

In May, 1984, respondent received the total settlement proceeds which he deposited into his trust account. On August 16, 1984, respondent issued a check from the trust account to Payne representing Payne’s portion of the settlement and a check to himself for payment of his attorney’s fees. Payne requested respondent to disburse the Union’s proceeds, $4,469.00, out of that account.

Respondent notified the Union in November, 1984, that he had received the settlement payment and would be forwarding the Union’s portion to them in the near future. Respondent did not send the payment even after numerous inquires from the Union and its attorneys. After almost two years without receiving payment, the Union initiated a lawsuit in Illinois. Respondent defaulted. During this time period, respondent was before this Court on another disciplinary matter.

Before respondent paid the Union the $4,469.00 from the settlement claim, Payne was again injured. He requested medical coverage under the Union’s policy but was refused. The Union informed Payne they had not been reimbursed by respondent on the prior settlement which respondent had possession of for approximately two years, four months. After discovering from the Union respondent had not sent the prior settlement payment, Mrs. Payne immediately called respondent. Respondent apologized, took full responsibility, and promised to pay the Union. Finally, after Mrs. Payne’s phone call, before judgment was entered on the Illinois suit and after this Court’s public reprimand in Staab I, respondent paid the Union the full amount from his personal checking account. Respondent’s explanation for his failure to pay the settlement amount was that he was doing his own bookkeeping and that he simply “didn’t do it — kept putting it on the back burner” and forgot about it. He also said that at that time he was handling approximately 350 to 400 cases by himself. He also asserts he believed the debt was his own personal debt, not that of the Payne’s.

These actions are charged to be in violation of DR 6-101(A)(3), DR 7-101(A)(3), [553]*553and DR 9-102(A), (B)(3) and (4).2

Count IV alleges violation of DR 6-101(A)(3) and DR 7-101(A)(l-3) in his representation of Edward Vodicka. Vodicka sought respondent’s assistance in pursuing a workers’ compensation claim pertaining to lung problems associated with exposure to certain chemicals while at work. Respondent negotiated a settlement totalling slightly more than $30,000.00 on this claim. In addition, respondent filed a civil action for Vodicka in 1984 because of the damages Vodicka allegedly suffered from the chemicals. This action remains pending in Greene County Circuit Court.

Along with the workers’ compensation claim, Vodicka requested assistance with a social security claim Vodicka had filed pro se. Vodicka had been denied social security benefits at the earlier stages and enlisted respondent for the formal hearing. Social security benefits were denied at this stage also. Respondent appealed the decision to the highest administrative level in Baltimore, Maryland where benefits were also denied. Respondent then filed an appeal in the United States District Court that was dismissed 18 months later for lack of prosecution. Vodicka first learned of the dismissal approximately three and one-half years later through his own efforts. Respondent contends he believed that claim was without merit and that Vodicka would be able to receive benefits after filing a new claim because of newly discovered evidence. Respondent admits he did not inform Vodicka that the first claim had been dismissed for failure to prosecute and that he did not inform Vodicka of his right to refile a claim upon additional medical evidence that became available. Not until approximately two years later did Vodicka, with assistance from his congressman, refile for, and was awarded, social security benefits. However, the social security benefits were only retroactive to June, 1986. Because of respondent’s failure to refile or inform Vodicka of his right to refile, Vodic-ka lost from one to three year’s worth of an undetermined amount of social security benefits for which he otherwise would have been eligible.

Count V asserts that because of the actions resulting in the charging of the first four counts, respondent has violated DR 1-102(A)(1), (5), and (6)3 The count alleg[554]*554es respondent’s conduct has been prejudicial to the administration of justice to such an extent that it has adversely reflected upon respondent’s fitness to practice law.

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Bluebook (online)
785 S.W.2d 551, 1990 Mo. LEXIS 22, 1990 WL 26345, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-staab-mo-1990.