In re Wilty

808 So. 2d 322, 2002 WL 221408
CourtSupreme Court of Louisiana
DecidedFebruary 8, 2002
DocketNo. 2001-B-2983
StatusPublished

This text of 808 So. 2d 322 (In re Wilty) is published on Counsel Stack Legal Research, covering Supreme Court of Louisiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re Wilty, 808 So. 2d 322, 2002 WL 221408 (La. 2002).

Opinion

[323]*323ATTORNEY DISCIPLINARY PROCEEDINGS

hPER CURIAM.

This disciplinary proceeding arises from a petition for consent discipline filed by Michel P. Wilty, an attorney licensed to practice law in the State of Louisiana, but currently on interim suspension. The Office of Disciplinary Counsel (“ODC”) concurred in the petition, and the disciplinary board recommended it be accepted. For the reasons assigned, we now accept the petition for consent discipline and disbar respondent from the practice of law in this state.

UNDERLYING FACTS

This proceeding involves four separate instances of misconduct. The facts are not in dispute, having been stipulated to by the parties.

Faulk Matter

Jessica Lee Faulk retained respondent in April 1999 to represent her in connection with a claim for damages and injuries arising out of a defective mobile home. Ms. Faulk subsequently filed a complaint with the ODC, alleging that after being retained, respondent failed to communicate with her or take any action in the case. The ODC sent respondent a copy of the complaint by certified mail in June 2000. He failed to respond to this request and other requests for information from the ODC, requiring the ODC to issue a subpoena for his appearance.

\?Slay Matter

Respondent represented Bill Slay in a personal injury matter. Shortly after Mr. Slay received a settlement in the ease, respondent came to his home and asked Mr. Slay to loan him $2,000. The loan was made without the issuance of a promissory note, interest rate, or security. Respondent later acknowledged that the terms of the loan were “unreasonable, unfair, and not in the best interest of the client.” Additionally, respondent admitted he did not advise Mr. Slay to seek review of the arrangement by outside counsel, nor did he obtain a written waiver of conflict from Mr. Slay.

After Mr. Slay filed his complaint, the ODC sent notice of the complaint to respondent. Respondent failed to reply, requiring the ODC to serve him with a subpoena.

Scarlett Matter

In July 1999, William Bradley Scarlett hired respondent to represent him in connection with an offshore personal injury [324]*324matter. After September 1999, respondent failed to communicate with Mr. Scar-lett, and made no effort to move the case along in any meaningful manner. As a result, Mr. Scarlett filed a complaint with the ODC.

The ODC sent a copy of the complaint to respondent. He refused to respond, requiring the ODC to issue a subpoena compelling him to appear for a deposition. Respondent ultimately appeared and provided sworn testimony. Respondent admitted that he had taken little or no action in the prosecution of Mr. Scarlett’s case. Upon review of respondent’s case file in the Scarlett matter, the ODC found notice of intent by the federal court to dismiss the matter on the basis of neglect and delay. There was | salso correspondence in the file indicating that opposing counsel had made repeated efforts to contact respondent, but was unable to do so.

Unauthorized Practice of Law

In the course of investigating the Faulk, Slay, and Scarlett matters, the ODC learned that respondent had been engaging in the practice of law while he was ineligible to do so. The ODC determined respondent was declared ineligible to practice effective August 1, 1999 for failure to comply with his mandatory continuing legal education requirements. He was also declared ineligible on September 3, 1999 for failure to pay his bar dues and disciplinary assessment. In his sworn statement, respondent acknowledged that he engaged in the practice of law throughout the period of his ineligibility. The ODC also determined respondent failed to keep his registration address current on the bar rolls, as required by the rules of this court.

DISCIPLINARY PROCEEDINGS

Formal Charges/Petition for Consent Discipline

After investigation, the ODC filed four counts of formal charges against respondent. The charges alleged respondent violated the following provisions of the Rules of Professional Conduct: Rule 1.3 (failure to act with reasonable diligence and promptness in the representation of a client); Rule 1.4(a) (failure to keep a client reasonably informed of a matter and promptly comply with reasonable requests for information); Rule 1.8(a) (knowingly entering into a business transaction with a client on terms which are inherently unfair and unreasonable); Rule 5.5(a) (engaging in the unauthorized practice of law); Rule 8.1(c) (failing to cooperate with the ODC in its investigation); Rule 8.4(a) (violating the Rules of Professional Conduct); and Rule 8.4(g) (failing to cooperate with the ODC in its investigation). The charges also 1¿alleged respondent violated Supreme Court Rule XIX, § 8(c) by failing to keep his registration address current.

Respondent filed an answer to the formal charges, in which he generally denied the allegations, and the matter was set for formal hearing. Prior to the hearing, however, respondent and the ODC filed a joint motion for interim suspension in this court. This court granted the motion and placed respondent on interim suspension effective May 9, 2001. In re Witty, 01-1306 (La.5/9/01), 789 So.2d 564.

Approximately one month later, respondent filed a petition for consent discipline, in which he acknowledged the allegations of the formal charges and requested that he be disbarred. The ODC concurred in the petition for consent discipline. Pursuant to Supreme Court Rule XIX, § 20, the hearing on the formal charges was canceled and the petition was submitted to the disciplinary board for its consideration.

Disciplinary Board Recommendation

Citing In re Lieberman, 95-2628 (La.6/7/96), 675 So.2d 272, the disciplinary [325]*325board recognized that in light of respondent’s admissions, it must accept that he violated the rules as charged. Therefore, it found the sole issue before it was whether the proposed sanction was appropriate.

In determining the appropriateness of the sanction, the board looked to the four factors set forth in Supreme Court Rule XIX, § 10(C).1 The board found respondent | Bknowingly and intentionally violated duties to his clients, the public, the legal system, and the legal profession. It concluded that respondent’s neglect of the legal matters of Ms. Faulk and Mr. Scar-lett created the potential for serious injury to these clients. Likewise, it observed respondent’s decision to enter into a prohibited loan transaction with Mr. Slay exposed that client to potential injury. Finally, the board found the legal profession as a whole was harmed by respondent’s unauthorized practice of law during the period of his ineligibility.

The board noted that the petition for consent discipline did not identify any aggravating or mitigating factors. Based on the record, the board found two aggravar ting factors: pattern of misconduct and multiple offenses. It found no mitigating factors.

The board concluded that the proposed sanction of disbarment was consistent with Standard 7.1 of the ABA’s Standards for Imposing Lawyer Sanctions,2 and was supported by jurisprudence from this court.3

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Bluebook (online)
808 So. 2d 322, 2002 WL 221408, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-wilty-la-2002.