In Re Sumner

665 A.2d 986, 1995 D.C. App. LEXIS 214, 1995 WL 611723
CourtDistrict of Columbia Court of Appeals
DecidedOctober 19, 1995
Docket93-BG-1007
StatusPublished
Cited by17 cases

This text of 665 A.2d 986 (In Re Sumner) 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 Sumner, 665 A.2d 986, 1995 D.C. App. LEXIS 214, 1995 WL 611723 (D.C. 1995).

Opinion

PER CURIAM:

In this disciplinary proceeding, the Board on Professional Responsibility (the Board) found that respondent, David G. Sumner, had engaged in conduct which violated the following six Rules of Professional Conduct: Rules 1.1(a) and 1.1(b) (failure to provide competent representation and representation commensurate with that generally provided by lawyers in similar matters); Rule 1.4(a) (failure to keep client reasonably informed of status of a matter); Rule 1.16(d) (failure to return papers to which client is entitled and to refund fees); Rule 1.5(b) (failure to set forth basis for fee in writing); and Rule 4.1(a) (making a false statement of material fact to a third person). The Board agreed with the Hearing Committee’s findings that respondent violated the referenced rules and recommended a sanction of a thirty-day suspension. Neither respondent nor Bar Counsel filed exceptions to the Board’s report and recommendation. Substantially for the reasons set forth in the Board’s report, we adopt its recommendation. The report is reproduced at the end of this opinion. 1

Accordingly, it hereby is ordered that respondent, David G. Sumner, be suspended from the practice of law in the District of Columbia for a period of thirty (30) days effective thirty days after the date of entry of this order. See D.C.Bar R. XI § 14(f). It is

FURTHER ORDERED, that respondent shall comply with the provisions of D.C.Bar R. XI § 14(g).

So Ordered.

ATTACHMENT

DISTRICT OF COLUMBIA COURT OF APPEALS BOARD ON PROFESSIONAL RESPONSIBILITY

In the Matter of

David G. Sumner, Esq.

Docket No. 98-93

REPORT AND RECOMMENDATION OF

THE BOARD ON PROFESSIONAL RESPONSIBILITY

Hearing Committee Number Nine concluded after a one-day hearing that Respondent *987 violated six disciplinary rule provisions in the course of his abandonment of a client, Charles Marshall, who retained him to pursue post-conviction relief and an appeal to the District of Columbia Court of Appeals from a felony conviction. The Hearing Committee found violations of Rule of Professional Conduct 1.1(a) and 1.1(b) for failure to provide competent representation; Rule 1.4(a) for failure to keep his client reasonably informed; Rule 1.16(d) for Respondent’s failure to surrender property or refund fees of the client; Rule 1.5(b) for failing to set forth the basis for his fee in writing; and Rule 4.1(a) for making a false statement to a third party. 2 Respondent’s arguments before the Board focus heavily on the Hearing Committee’s conclusions as to the Rule 1.16(d) and 4.1(a) violations. Our disposition of those issues is important for our recommended sanction because they potentially add factors beyond a first neglect-type violation, which ordinarily would not warrant a period of suspension.

Factual Background

Respondent graduated from law school in 1985 and became a member of the District of Columbia Bar in that year. Respondent held a series of jobs in respected firms where his performance apparently was impaired by serious episodes of depression, including a period of depression that required hospitalization in 1987. By 1992, when he was retained by Charles Marshall, Respondent was practicing on his own, without an office or staff. He had very slight experience in criminal practice and no criminal appellate experience.

Charles Marshall was convicted in Superi- or Court of possession of narcotics with intent to distribute in spring of 1992. Although Mr. Marshall had counsel appointed to represent him at trial, he retained Respondent before sentencing to represent him for post-conviction relief and on appeal. H.C.R. at 1. 3 Mr. Marshall was incarcerated when he retained Respondent and at all relevant times thereafter. H.C.R. 1-2. Mr. Marshall and Respondent met through Mr. Marshall’s stepbrother, Thereon Brown, and Mr. Brown’s mother, Diane Wingfield. H.C.R. at 2.

Mr. Marshall designated his girlfriend, To-mika Bell, as his agent to communicate with Respondent and to pay Respondent’s fees. Id. Mr. Marshall talked daily to Ms. Bell. Id. Ms. Bell and Respondent discussed Respondent’s fee before he was retained. Respondent told both Ms. Bell and Mr. Marshall that his fee would be $500 to $600. Id. Respondent explained that this was a low fee, because he had no experience in criminal appellate practice and Mr. Marshall’s case would provide him an opportunity to gain some experience. Tr. 61. Mr. Marshall hired Respondent despite his lack of experience because he trusted and felt comfortable with him. H.C.R. at 2. Respondent did not provide Mr. Marshall or Ms. Bell with a written fee agreement. Id.

Ms. Bell paid Respondent, by check, a total of $350 from April through July of 1992. She believed those payments were made toward the quoted fee of $500-$600, and that Respondent would ask the Court to assume costs such as docket fees and transcripts. H.C.R. 2-3.

On the date of Mr. Marshall’s sentencing, Respondent filed a motion in Superior Court for leave to proceed in forma pauperis for the purpose of pursuing a motion for new trial and, if necessary, an appeal. The Court did not act on the motion, but orally suggested that Respondent pursue certification under the Criminal Justice Act (CJA). Respondent never requested CJA certification or filed a new trial motion. Although Respondent was not trial counsel, he failed to seek an extension of time to file a new trial motion in order to permit him to order and review the trial transcript.

*988 Respondent instead filed a timely notice of appeal that the Superior Court transmitted to the District of Columbia Court of Appeals on June 9, 1992 (U.S. v. Marshall, Docket No. 92-CF-000679). H.C.R. at 3. Respondent failed to note on the notice of appeal that Mr. Marshall had been appointed counsel under the Criminal Justice Act at trial.

Ms. Bell spoke regularly by telephone with Respondent during May, June, and July of 1992, with Mr. Marshall occasionally included in a three-way conversation. The Hearing Committee found that “[d]uring one of the conversations, Respondent informed Ms. Bell that he had ordered the transcripts for the case.” H.C.R. at 3-4.

Ms. Bell began having trouble reaching Respondent in August 1992. Through Ms. Wingfield, Ms. Bell was told that Respondent was in the hospital. Respondent finally called Ms. Bell in late September or early October of 1992. Respondent told Ms. Bell that he was under a lot of stress, but that he would continue to represent Mr. Marshall. When Ms. Bell asked Respondent whether he could handle the situation, he repeatedly assured her that he could. The Hearing Committee specifically found that “Respondent informed Ms. Bell that he had possession of the transcripts of the ease and that a briefing date had been scheduled by the Court of Appeals.” H.C.R. at 4. Respondent’s telephone was disconnected thereafter and Ms.

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Cite This Page — Counsel Stack

Bluebook (online)
665 A.2d 986, 1995 D.C. App. LEXIS 214, 1995 WL 611723, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-sumner-dc-1995.