In re the Disciplinary Action Against the Real Estate Broker's License of McDonnell v. Colorado Real Estate Commission

2015 COA 137
CourtColorado Court of Appeals
DecidedSeptember 24, 2015
Docket14CA1861
StatusPublished

This text of 2015 COA 137 (In re the Disciplinary Action Against the Real Estate Broker's License of McDonnell v. Colorado Real Estate Commission) is published on Counsel Stack Legal Research, covering Colorado 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 the Disciplinary Action Against the Real Estate Broker's License of McDonnell v. Colorado Real Estate Commission, 2015 COA 137 (Colo. Ct. App. 2015).

Opinion


Colorado Court of Appeals Opinions || September 24, 2015

Colorado Court of Appeals -- September 24, 2015
2015 COA 137. No. 14CA1861. In re the Disciplinary Action Against the Real Estate Broker’s License of McDonnell v. Colorado Real Estate Commission.

 

COLORADO COURT OF APPEALS 2015 COA 137

Court of Appeals No. 14CA1861
Colorado Real Estate Commission No. RC 2013-0011


In re the Disciplinary Action Against the Real Estate Broker’s License of Bernard McDonnell, License No. EA40019308,

Respondent-Appellant,

v.

The Colorado Real Estate Commission,

Petitioner-Appellee.


ORDER AFFIRMED IN PART
AND REVERSED IN PART

Division III
Opinion by JUDGE FOX
Dailey and Lichtenstein, JJ., concur

Announced September 24, 2015


Susemihl, McDermott, & Cowan, P.C., Jason W. Downie, Colorado Springs, Colorado, for Respondent-Appellant

Cynthia Coffman, Attorney General, Lisa Brenner Freimann, First Assistant Attorney General, Joel W. Kiesey, Assistant Attorney General, Nicholas J. Lopez, Fellow, Assistant Attorney General, Denver, Colorado, for Petitioner-Appellee

¶1        Bernard McDonnell, a licensed real estate broker, appeals a final agency order of the Colorado Real Estate Commission (Commission) disciplining him for taking funds from the Pinecliff Homeowners Association (HOA)1, located in Colorado Springs, without permission and for his personal use. We affirm the final order as to Counts 1, 2, and 4. We reverse regarding Count 3 and affirm the Commission’s sanctions.

I. Background

¶2        In 2010 and 2011, while serving as the president of the HOA, McDonnell wrote four checks totaling $10,000 on the HOA’s account payable to himself or to his business, Rocky Mountain Batting Cages (RMBC). As president, McDonnell had authority to sign HOA checks, but he also had a fiduciary duty to ensure that all expenses were approved through the proper administrative channels and that HOA funds were spent only on HOA business. The HOA’s financial practice was for the HOA’s treasurer to prepare a voucher for each expense, identifying the payee and the purpose of the expenditure. The HOA board would then review the vouchers and at least two board members would sign their approval. No vouchers were prepared or board members’ signatures gathered for the $10,000 in checks at issue here. And McDonnell used the check proceeds to pay RMBC’s operating expenses, not for the HOA’s benefit.

¶3        When the HOA’s treasurer, Pam Dees, discovered one of these checks — a $2000 check payable to RMBC — McDonnell claimed that he had written the check on the HOA account by mistake and promised to repay the HOA in full, which he did shortly thereafter. When Dees’s term as treasurer ended, McDonnell took custody of the HOA’s accounting records and did not appoint a new or interim treasurer. Shortly thereafter, Deby Williams, a Pinecliff resident, contacted McDonnell and volunteered to assume the duties of treasurer. McDonnell took no action to call a board meeting to consider Williams’s election and, despite multiple requests by Williams, he refused to provide her access to the HOA’s financial records.

¶4        The following year, one HOA board member circulated an e-mail requesting that the board meet to discuss, in part, the “annual financial/treasurer’s report.” McDonnell declined to attend the meeting and informed the board that he was resigning. He then deposited the remaining $8000 that he had withdrawn for non-HOA purposes into the HOA bank account.

¶5        Shortly thereafter, the HOA board discovered the checks that McDonnell had written and reported him to the police department and the Commission. No criminal charges were filed, but the Commission opened an investigation.

¶6        The Commission charged McDonnell with four violations of the Colorado Real Estate Broker License Law:

Count 1: Failing to account for or to remit moneys belonging to others within a reasonable time pursuant to section 12-61-113(1)(g), C.R.S. 2015.

Count 2: Converting, diverting, or commingling the funds of others with one’s own funds pursuant to section 12­61-113(1)(g.5).

Count 3: Demonstrating unworthiness or incompetency to act as a real estate broker pursuant to section 12­61-113(1)(n).

Count 4: Engaging in dishonest dealing pursuant to section 12-61-113(1)(t).

¶7        McDonnell objected to the Commission’s jurisdiction to sanction him for conduct that did not involve a real estate matter and denied that he was subject to discipline under any of the four counts.

¶8        An administrative law judge (AUJ) held an evidentiary hearing and concluded that, in general, the Commission’s sanction authority extended to certain conduct outside the context of real estate. Whether McDonnell’s conduct warranted sanctions under the specific counts charged, however, would depend on the scope of each statutory provision. Accordingly, the AUJ addressed each provision and determined as follows:

Count 1: Section 12-61-113(1)(g) is limited to situations where a licensee fails to account for or remit money in connection with some type of real estate transaction. McDonnell’s actions do not, therefore, fall within the scope of this section.

Count 2: “Nothing in the language of [section] 12-61­113(1)(g.5) suggests that, to constitute grounds for discipline, an act of conversion must relate to a real estate transaction[,]” and McDonnell’s actions amount to conversion in violation this section.

Count 3: Section 12-61-113(1)(n) applies to situations where a licensee demonstrates unworthiness or incompetency in “conducting business” in the context of real estate. McDonnell was not conducting business and his actions do not, therefore, fall within the scope of this section.

Count 4: “[N]othing in the language of [section] 12-61­113(1)(t) limits its reach to the context of real estate transactions[,]” and McDonnell’s actions amount to dishonest dealing in violation of this section.

¶9        Both parties filed exceptions to the ALJ’s decision with the Commission. The Commission affirmed that McDonnell had violated section 12-61-113(1)(g.5) (Count 2) and section 12-61­113(1)(t) (Count 4) and agreed with the ALJ’s reasoning on both counts. However, the Commission reversed the ALJ’s conclusions as to Counts 1 and 3 and instead concluded:

Count 1: Section 12-61-113(1)(g) (Count 1) permits disciplining a licensee whether “acting as a real estate broker[s] or otherwise[,]” and McDonnell’s conduct of failing to account for or remit money belonging to others violates this section.

Count 3: The statutory phrase “conducting business” in section 12-61-113(1)(n) includes businesses that are not based in real estate, and McDonnell’s conduct of demonstrating unworthiness and incompetency in his business dealings with the HOA and RMBC violates this section.

¶10        McDonnell now appeals the Commission’s order, again contending that the Commission lacked the authority to sanction him under any of the four statutory provisions charged because his conduct did not concern real estate matters. We agree in part and disagree in part.

II. Standard of Review

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Byron v. York Investment Company
296 P.2d 742 (Supreme Court of Colorado, 1956)
Colorado State Board of Medical Examiners v. McCroskey
940 P.2d 1044 (Colorado Court of Appeals, 1996)
Davis v. American National Bank of Denver
367 P.2d 325 (Supreme Court of Colorado, 1961)
Colorado Real Estate Commission v. Hanegan
947 P.2d 933 (Supreme Court of Colorado, 1997)
Hogg v. Real Estate Commissioner
129 P.2d 709 (California Court of Appeal, 1942)
Estate of Jordan v. Hartford Accident & Indemnity Co.
844 P.2d 403 (Washington Supreme Court, 1993)
Glenn Arms Associates v. Century Mortgage & Investment Corp.
680 P.2d 1315 (Colorado Court of Appeals, 1984)
Eckley v. Colorado Real Estate Commission
752 P.2d 68 (Supreme Court of Colorado, 1988)
FINANCE CORPORATION v. King
370 P.2d 432 (Supreme Court of Colorado, 1962)
Currin v. Currin
55 B.R. 928 (D. Colorado, 1985)
Dillabaugh v. Ellerton
259 P.3d 550 (Colorado Court of Appeals, 2011)
Albright v. McDermond
14 P.3d 318 (Supreme Court of Colorado, 2000)
Olsen v. Vail Associates Real Estate, Inc.
935 P.2d 975 (Supreme Court of Colorado, 1997)
Seibel v. Colorado Real Estate Commission
530 P.2d 1290 (Colorado Court of Appeals, 1974)
Springer v. City & County of Denver
13 P.3d 794 (Supreme Court of Colorado, 2000)
Anderson v. Longmont Toyota, Inc.
102 P.3d 323 (Supreme Court of Colorado, 2004)
People v. Cross
127 P.3d 71 (Supreme Court of Colorado, 2006)
Specialty Restaurants Corp. v. Nelson
231 P.3d 393 (Supreme Court of Colorado, 2010)

Cite This Page — Counsel Stack

Bluebook (online)
2015 COA 137, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-the-disciplinary-action-against-the-real-estate-brokers-license-of-coloctapp-2015.