In Re Waller

573 A.2d 780, 1990 D.C. App. LEXIS 88, 1990 WL 51997
CourtDistrict of Columbia Court of Appeals
DecidedApril 25, 1990
Docket90-15
StatusPublished
Cited by9 cases

This text of 573 A.2d 780 (In Re Waller) 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 Waller, 573 A.2d 780, 1990 D.C. App. LEXIS 88, 1990 WL 51997 (D.C. 1990).

Opinion

PER CURIAM:

In this disciplinary proceeding, the Board on Professional Responsibility found that respondent had engaged in misrepresentation in violation of DR 1-102(A)(4) when, in response to a show cause order issued by the Superior Court, he falsely — and with intent to deceive — told the court that he had previously lied to a court-appointed mediator about his representation of a third-party (a surgeon) and about his reason for that lie. We adopt the Findings of Fact, Conclusions, and Proposed Discipline of the Board on Professional Responsibility. Its well-reasoned report is reproduced herewith.

Accordingly, it is hereby ordered that respondent, John A. Waller, be suspended from the practice of law in the District of Columbia for a period of sixty days, effective thirty days from the date of this order.

So ordered.

BOARD ON PROFESSIONAL RESPONSIBILITY DISTRICT OF COLUMBIA COURT OF APPEALS

Bar Docket No. 159-88

In the Matter of John A. Waller, Esquire

REPORT AND RECOMMENDATION OF THE BOARD ON

PROFESSIONAL RESPONSIBILITY

After a hearing, two members 1 of Hearing Committee No. 10 found that Respondent, John A. Waller, Esq., had engaged in misrepresentation in violation of DR 1-102(A)(4). 2 One of these members recommended public censure as the appropriate sanction; the other recommended that Respondent be suspended for thirty days and be required to prove fitness before readmission.

Neither Bar Counsel nor Respondent filed exceptions. Nevertheless, the Board has reviewed this matter and has reached a result different from that recommended by the Hearing Committee. Specifically, although the Board agrees that misrepresentation has been proven on this record, the violation we find is a different one from that found by the Hearing Committee. Based on the violation we find, the Board recommends the sanction of a 60-day suspension.

FINDINGS OF FACT

The pertinent facts in this matter, which are not in dispute, are as follows:

1. Respondent has been registered as an attorney with the District of Columbia Bar since 1971. [B.Ex. “A”]. 3

*781 2. Sometime prior to October, 1987 Respondent was hired by Yolanda Thorpe to handle a claim for damages arising from a medical bone implant procedure that failed. On October 16, 1987, Respondent filed a “Complaint for Breach of Warranty and Negligence” on behalf of Ms. Thorpe. [B.Ex. 4],

3. The suit joined the hospital where the implant had been done, as well as the tissue bank that supplied the bone tissue. The surgeon who did the implant was not named a defendant.

4. On March 29, 1988, before discovery began, the Trial Judge, Henry Greene, ordered the parties to attend a mediation session with Joel Finkelstein, a lawyer in private practice who would serve as mediator. [B.Ex. 1(b) ].

5. During the mediation session, it occurred to the mediator that “[tjhere was a glaring vacuum in the pleading [i.e., complaint] in that the surgeon was not named as a defendant.” [Tr. 26]. At that time, Respondent told the mediator that he “was the surgeon’s attorney.” [Tr. 26, 28]. The mediator then told Respondent that, in the mediator’s opinion, Respondent “had a conflict of interest in this case in that he represented the surgeon who could and probably should have been a named defendant because it was a meritorious malpractice claim.” [Tr. 27]. When Respondent disagreed with the mediator’s assessment, the mediator told Respondent to bring the matter to Judge Greene’s attention. [Tr. 27-28].

6. Thereafter, the mediator tried several times to reach Respondent by telephone to find out whether he had, in fact, alerted the Court to the possible conflict situation. The mediator never got through to Respondent. [Tr. 30].

7. Receiving no response from Mr. Waller, the mediator then contacted Judge Greene on his own. [Tr. 30]. Judge Greene suggested that the mediator again attempt to reach Respondent in order to have Respondent himself contact the Court. This was attempted, again without success. [Tr. 30-31].

8. Still concerned, the mediator contacted Judge Greene once more and, for the first time, told him about the possible conflict of interest. The mediator felt he could do so despite the non-disclosure provision of the mediation order 4 because “it was a matter that had nothing to do with the negotiations between the parties but might affect the administration of justice in the Superior Court ...” [Tr. 31-32], Judge Greene agreed and, on April 1, 1988, he issued an order requiring Respondent to show cause why his continued representation of Ms. Thorpe did not constitute a violation of the conflict prohibitions of DR 5-105(B)(2). [B.Ex. 1(c)],

9. In response to the Show Cause Order, Respondent filed a document with the Court stating that, notwithstanding what he had said to the mediator, Respondent was not Dr. Jackson’s attorney at the time of the mediation. Respondent admitted that he had told the mediator the opposite, but he explained that he had done so only to test whether remarks made during the mediation process would be held in confidence. [B.Ex. 1(d) ]. Based on this disclosure, Judge Greene, on April 18, 1988, reported the matter to the Office of Bar Counsel, stating:

Based on the information that has come to my attention in this case, it would appear that Mr. Waller either has violated Disciplinary Rule 5-105(B), which precludes a lawyer from multiple representation where the representation of one client is likely to be adversely affected by his representation of another client, or Disciplinary Rule 1-102(A)(4), which prohibits a lawyer from engaging in conduct involving “dishonesty, fraud, deceit or misrepresentation.” Consequently, I bring this matter to your attention for whatever action you deem appropriate. [B.Ex. 1].

*782 10. The matter was docketed by Bar Counsel, and Respondent was asked to respond to Judge Greene’s statement. On May 20, 1988, Respondent submitted a letter asserting an entirely new explanation by [sic] his actions. Respondent now asserted that he had not intentionally tried to mislead the mediator in order to test confidentiality; instead, he now said that when he had told the mediator that he represented Dr. Jackson, it had merely been a “slip of the tongue.” As Respondent put it:

What really happened is that I said I represented Dr. Jackson but I really meant that I didn’t represent Dr. Jackson. Dr. Jackson wasn’t a party so I didn’t think it was important. [B.Ex. 2].

11. Respondent’s letter of May 20, 1988 [B.Ex. 2] went on to justify the non-joinder of the surgeon in the case in the following terms:

The suit was only to compel discovery so we could determine who was at fault. Dr. Jackson fully cooperated so there was no need to bring him in at this time. [B.Ex. 2].

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Bluebook (online)
573 A.2d 780, 1990 D.C. App. LEXIS 88, 1990 WL 51997, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-waller-dc-1990.