In THE MATTER OF CORY D. RAINES (Two Cases)

319 Ga. 820
CourtSupreme Court of Georgia
DecidedSeptember 17, 2024
DocketS24Y0996, S24Y0997
StatusPublished

This text of 319 Ga. 820 (In THE MATTER OF CORY D. RAINES (Two Cases)) is published on Counsel Stack Legal Research, covering Supreme Court of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In THE MATTER OF CORY D. RAINES (Two Cases), 319 Ga. 820 (Ga. 2024).

Opinion

319 Ga. 820 FINAL COPY

S24Y0996, S24Y0997. IN THE MATTER OF CORY D. RAINES

(two cases).

PER CURIAM.

These disciplinary matters are before the Court on the

consolidated Report and Recommendation of Special Master Charles

D. Jones, who recommends the disbarment of Cory D. Raines (State

Bar No. 430458) for his conduct in several client matters. Raines has

been a member of the State Bar since 2015. By virtue of Raines’s

default, the Special Master concluded that he violated Rules 1.15 (I) (a),1 1.15 (I) (b),2 1.15 (I) (c),3 and 1.15 (II) (b)4 of the Georgia Rules

of Professional Conduct found in Bar Rule 4-102 (d). The maximum

sanction for a single violation of any of these Rules is disbarment.

Neither Raines nor the State Bar requested review by the Review

Board, and neither party has filed exceptions in this Court. Thus,

these matters are now ripe for this Court’s consideration. Having

reviewed the record, we agree with the Special Master that

disbarment is the appropriate sanction.

The record shows that after the State Bar made several

attempts to personally serve Raines with the formal complaints in

1 Rule 1.15 (I) (a) provides, in pertinent part, that “[a] lawyer shall hold

funds or other property of clients or third persons that are in a lawyer’s possession in connection with a representation separate from the lawyer’s own funds or other property” and that “[c]omplete records of such account funds . . . shall be kept by the lawyer.” 2 Rule 1.15 (I) (b) provides, in pertinent part, that “a lawyer may not

disregard a third person’s interest in funds or other property in the lawyer’s possession.” 3 Rule 1.15 (I) (c) provides, in pertinent part, that “[u]pon receiving funds

or other property in which a client or third person has an interest, a lawyer shall promptly notify the client or third person.” 4 Rule 1.15 (II) (b) provides, in pertinent part, that absent an exception

not applicable here, “[n]o personal funds shall ever be deposited in a lawyer’s trust account” and that “[n]o funds shall be withdrawn from such trust accounts for the personal use of the lawyer maintaining the account.”

2 State Disciplinary Board Docket (“SDBD”) No. 7694 and No. 7695,

Raines was served by publication on July 5, 2023. Raines failed to

file answers to the formal complaints, and on August 28, the State

Bar filed a motion for default in these matters pursuant to Bar Rule

4-212 (a). Raines did not respond to this motion. However, on

October 12, Raines electronically filed a pleading entitled

“Acknowledgement of Service and Extension Request to Hire

Counsel.” The Special Master scheduled a telephone conference for

October 16 to discuss the extension request and provided notice to

Raines by e-mail. Raines failed to attend the telephone conference

and did not correspond with the State Bar or the Special Master

concerning his unavailability. The Special Master subsequently

denied the extension request and granted the State Bar’s motion for

default, such that the facts alleged and violations charged in the

formal complaints were deemed admitted.

3 With regard to SDBD No. 7694,5 the facts show that Raines

represented two minor siblings in a personal injury matter and,

upon settling their claims in June 2021, received settlement checks

in the amount of $20,000 and $23,000, which he deposited in his

IOLTA account. In the months following the settlement, the siblings’

mother e-mailed and called Raines on numerous occasions to inquire

about the settlement and disbursement of the funds. Raines only

responded to some of the mother’s contact attempts and failed to

disburse the settlement funds, telling the mother that he was

working on reducing or eliminating the hospital liens that had been

filed for the siblings’ treatment. However, Raines failed to take any

action on paying the hospital liens. Additionally, Raines withdrew

the siblings’ funds for his personal use — allowing the balance in the

account to drop as low as $1.37 when, after attorney fees, the

account should have held $27,838.68 — and failed to maintain

complete records. In May 2022 — eleven months after settling the

5 SDBD No. 7694 corresponds to Case No. S24Y0997.

4 siblings’ claims — Raines issued checks from his personal operating

account to the siblings for $14,907.72 and $12,930.96; Raines did not

disburse the funds to the siblings from his IOLTA account, nor did

he satisfy the third-party interests in the settlement funds, as he

failed to pay the hospital.

Based on these facts, the Special Master concluded that Raines

violated Rule 1.15 (I) (a) by failing to appropriately safeguard the

siblings’ funds and to maintain complete records of the account

funds; Rule 1.15 (I) (b) by disregarding the interests of third parties

in the settlement funds; Rule 1.15 (I) (c) by failing to promptly

deliver the funds owed to the siblings and the third parties with an

interest in the settlement funds; and Rule 1.15 (II) (b) by converting

the siblings’ settlement funds from his trust account for personal use

and failing to maintain complete records showing the balance held.

With regard to SDBD No. 7695,6 the facts show that, in 2019,

Raines represented two other clients in a related personal injury

6 SDBD No. 7695 corresponds with Case No. S24Y0996.

5 matter and executed on their behalf two liens in favor of the medical

clinic where they received treatment. However, upon settling their

claims in September 2019, Raines failed to promptly disburse funds

to the clinic to satisfy its third-party interests in the settlement

funds and failed to respond to the clinic’s requests for payment.

Moreover, Raines did not disburse funds to the clinic until August

30, 2022, and September 7, 2022, and did so only after the clinic filed

a grievance with the State Bar.

As part of his fact-findings under SDBD No. 7695, the Special

Master also noted that Raines had represented a third client in a

different personal injury action, separate from the actions at issue

in SDBD Nos. 7694 and 7695. In that third action — as in the first

two — Raines, after settling the claim, failed to promptly disburse

funds to satisfy the medical clinic’s third-party interest in the

settlement funds. In addition, for all three personal injury

settlements, the State Bar alleged that Raines failed to keep in his

IOLTA account the amounts owed to the medical clinic, failed to

6 safeguard fiduciary funds in his IOLTA account, and deposited

personal funds into his trust account.

Based on these facts, the Special Master concluded that Raines

violated Rule 1.15 (I) (a) by failing to maintain and safeguard funds

owed to the medical clinic from the clients’ settlements; Rule 1.15 (I)

(c) by failing to promptly deliver the funds owed to the clinic; and

Rule 1.15 (II) (b) by depositing personal funds into his trust account.

Following a hearing on aggravating and mitigating

circumstances — which Raines failed to attend and at which the

siblings’ mother testified to the significant financial harm her family

suffered because of Raines’s conduct — the Special Master issued

his Report and Recommendation. In determining the appropriate

level of discipline, the Special Master considered the ABA Standards

for Imposing Lawyer Sanctions.

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