In Re Zamora

2001 NMSC 011, 21 P.3d 30, 130 N.M. 161
CourtNew Mexico Supreme Court
DecidedApril 12, 2001
Docket26,662
StatusPublished
Cited by4 cases

This text of 2001 NMSC 011 (In Re Zamora) is published on Counsel Stack Legal Research, covering New Mexico Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In Re Zamora, 2001 NMSC 011, 21 P.3d 30, 130 N.M. 161 (N.M. 2001).

Opinion

OPINION

PER CURIAM.

{1} This matter came before the Court after disciplinary proceedings conducted pursuant to the Rules Governing Discipline, Rules 17-101 through 17-316 NMRA 2000, wherein respondent, D. Diego Zamora, did not contest the factual allegations against him or the allegations that his conduct was in violation of several of the Rules of Professional Conduct, nor did he argue that he should not be disbarred pursuant to Rule 17-206(A)(1). The only issues before the hearing committee, the disciplinary board, and this Court were (1) the length of the term of disbarment to be imposed and (2) when reinstatement could be sought under Rule 17-214(A). The hearing committee unanimously recommended an eighteen-month period of disbarment commencing May 1, 1999, nunc pro tunc, to be followed by an immediate application for reinstatement upon certain preconditions. The disciplinary board panel was divided three ways with one member recommending the eighteen-month disbarment, a second member recommending a two-year period of disbarment, and a third member recommending disbarment with no application for permission to apply for reinstatement to be filed until a period of three years had elapsed, an approach consistent with Rule 17-214(A).

{2} We modify these recommendations and disbar D. Diego Zamora for a period of twenty months effective May 1, 1999, nunc pro tunc, with automatic reinstatement on a probationary basis effective January 1, 2001.

{3} On April 29, 1999, the Lawyers’ Assistance Committee of the State Bar of New Mexico conducted an intervention in respondent’s practice of law due to concern that he was abusing crack cocaine. As a result of the intervention, respondent agreed to enter a recovery program; within two hours of the termination of the intervention session, respondent was on his way to Monroe, Louisiana, where he admitted himself into the Palmetto Addiction Recovery Program. He voluntarily ceased the practice of law at this time.

{4} On June 29, 1999, while still in the recovery program, respondent self-reported to the office of disciplinary counsel that beginning in September 1998 and during his drug addiction that led to the intervention and his entry into the recovery program, he had misappropriated money from his attorney trust account. He represented that an audit of his trust account would be conducted at his expense and that the audit results and the underlying records would be provided to disciplinary counsel. He further stated that he was making a sincere effort to repay his clients. On October 6, 1999, the auditor’s report was presented to disciplinary counsel and showed that a total of $37,090 had been taken from a number of respondent’s clients. Based upon these facts, the disciplinary charges alleged that respondent had violated several Rules of Professional Conduct: Rule 16-115(A) by failing to safeguard a client’s property, Rule 16-804(C) by engaging in conduct involving dishonesty, and Rule 16-804(H) by engaging in conduct adversely reflecting upon one’s fitness to practice law. Respondent filed no answer denying either the factual allegations or the allegations of misconduct and consented to disciplinary counsel’s motion that they be deemed admitted pursuant to Rule 17-309(C). A hearing was scheduled to consider any facts in aggravation or mitigation of respondent’s conduct.

{5} Pursuant to Standards for Imposing Lawyer Sanctions, published by the American Bar Association Center for Professional Responsibility, the only factors that were considered to aggravate respondent’s misconduct were the presence of a dishonest motive and the fact that respondent had substantial experience in the practice of law. See ABA Standards, § 9.22(b) & (i) (1991)(amended 1992).

{6} With respect to mitigating factors, disciplinary counsel confirmed that respondent had no prior disciplinary problems or complaints since his admission to the bar in 1983. See ABA Standards § 9.32(a)(1991)(amended 1992). Following his self-reporting to the office of disciplinary counsel but prior to the time charges were filed against him, respondent had obtained a bank loan and voluntarily made full restitution to all clients whose money he had taken. See ABA Standards, § 9.32(d)(1991) (amended 1992). Throughout the proceedings, respondent cooperated fully with disciplinary authorities and demonstrated genuine remorse for his conduct. See ABA Standards, § 9.32(e)(1991)(amended 1992). He stated on several occasions that he believed he deserved to be disbarred for a lengthy period of time. See ABA Standards, § 9.32(i) (1991)(amended 1992).

{7} The ABA Standards also suggest that mental disability or chemical dependency, including alcoholism or drug abuse, may be considered in mitigation of misconduct if (1) there is medical evidence that a respondent is affected by a chemical dependency or mental disability, (2) the chemical dependency or mental disability caused the misconduct, (3) the respondent’s recovery from the chemical dependency or mental disability is demonstrated by a meaningful and sustained period of successful rehabilitation, and (4) the recovery arrested the misconduct and recurrence of that misconduct is unlikely. See ABA Standards § 9.32(i)(1991)(amended 1992).

{8} Respondent presented a substantial amount of testimony and other evidence regarding his addiction and the residential and post-release treatment he had undergone. Dr. Steven Wright, who is board certified in the fields of both family medicine and addiction medicine, testified that the chemical dependency experienced by respondent possessed all the features of a medical disease because of the characteristic medical problems that occurred as a consequence of the disease and the predictable treatment outcome. The New Mexico Physicians’ Assistance Program, with which Dr. Wright is familiar, has a recovery program success rate of over ninety percent. The assistance program has demonstrated that following appropriate inpatient treatment and a return to work (emphasis added) the elements to a successful recovery from addiction consist of a program that (1) is mandatory, (2) requires regular participation in a twelve step recovery program, (3) incorporates random drug testing and/or screening, and (4) requires participation for five years. The random drug testing and screening is believed to be the key to the protection of the public that the professional serves. Because of the nature of chemical dependency, the random testing/screening is essential to assure that an individual will not escape detection in the event of a relapse.

{9} In 1986, the State Bar of New Mexico instituted an assistance program for attorneys suffering from alcohol and drug dependency, which was patterned after the New Mexico Physicians’ Assistance Program. The Lawyers’ Assistance Program presently provides services that include intervention, monitoring, and drug testing and screening by the New Mexico Council on Alcohol and Drug Dependency pursuant to a contract with the State Bar of New Mexico.

{10} Before his release from the residential recovery program, respondent entered into a written monitoring agreement developed as a joint project of the Lawyers’ Assistance Program and the disciplinary board and designed to establish a formal recovery program for a lawyer suffering from the disease of addiction.

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Bluebook (online)
2001 NMSC 011, 21 P.3d 30, 130 N.M. 161, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-zamora-nm-2001.