In the Matter of Thomas William Veach

310 Ga. 483
CourtSupreme Court of Georgia
DecidedNovember 12, 2020
DocketS21Y0168
StatusPublished

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Bluebook
In the Matter of Thomas William Veach, 310 Ga. 483 (Ga. 2020).

Opinion

310 Ga. 483 FINAL COPY

S21Y0168. IN THE MATTER OF THOMAS WILLIAM VEACH.

PER CURIAM.

This disciplinary matter is before the Court on a Petition for

Voluntary Discipline filed by Thomas William Veach (State Bar No.

726595) before the issuance of a formal complaint, pursuant to Bar

Rule 4-227 (b). In his petition, Veach, who has been a member of the

Bar since 1984, admitted to conduct in violation of Rules 1.15 (I) (b)

(1) and (2), 1.15 (II) (b), and 8.4 (a) (4) of the Georgia Rules of

Professional Conduct found in Bar Rule 4-102 (d). Although Veach

has no prior disciplinary history, he recognized the wrongfulness of

his actions and requested an 18-month suspension. The State Bar

has responded, recommending that the Court accept the petition but

requesting that the Court suspend Veach’s law license for a period

ranging from eighteen months to three years. We agree to accept the

petition and impose a suspension from the practice of law for a

period of 18 months. In his petition, Veach admitted that in 2013, he was retained

by the executor of an estate to probate a will that he had previously

prepared for the decedent. The estate had only one asset and one

beneficiary, but Veach was aware that the asset was encumbered by

a Medicaid lien. In December 2014, the estate sold the asset for

$109,000 and Veach deposited the funds in his IOLTA account.

Litigation ensued over the lien, but in December 2016, all

stakeholders agreed to a settlement and in January 2017, Veach

disbursed the amounts required by the settlement agreement to the

estate’s beneficiary. He failed to disburse $27,443.23 owed to the

lienholder, however, and found himself unable to disburse those

funds because he had been removing estate funds from his IOLTA

account without the authorization of the executor since 2014.

Ultimately, Veach was held in contempt of court for his failure to

pay the amounts due to the lienholder, and his conduct was reported

to the State Bar.

By way of explanation for his behavior, Veach recited that his

wife died in October 2014, after having suffered from a terminal

2 illness for more than three years; that following her death he became

depressed and his law practice suffered financially; and that, as he

had no major medical or disability coverage for his wife’s medical

costs or any means to recover his lost income, he fell into financial

hardship. Veach further explained that after he underwent heart

surgery in April 2016, he was only able to return to the practice of

law on a part-time basis.

Nevertheless, Veach admitted that he violated Rule 1.15 (I) (b)

(1) and (2)1 by disregarding the Medicaid lien and the interest that

the lienholder held in the estate’s funds and by failing to remit those

funds to the lienholder. Veach further admitted that by removing

estate funds from his IOLTA account for his personal use without

1 Rule 1.15 (I) (b) (1) and (2) provide, in relevant part, that a lawyer shall

not disregard a third person’s interest in funds or other property in his possession if the interest is known to him and based on a statutory lien unless he reasonably concludes that there is a valid defense to the lien.

3 authorization from the estate’s executor, he violated both Rule 1.15

(II) (b)2 and Rule 8.4 (a) (4).3

Veach acknowledged that the maximum sanction for a single

violation of any of these rules is disbarment and admitted that, in

aggravation of punishment, he has substantial experience in the

practice of law and that he acted with a dishonest or selfish motive.

See ABA Standard 9.22 (b) and (i). In mitigation, Veach asserted

that he has no prior disciplinary history; he was suffering personal

and emotional problems at the time, including his wife’s death and

his own hospitalization; that he made a good faith effort at

restitution by providing the estate and the lienholder all funds that

were taken without authorization; and that he has expressed

remorse. See ABA Standard 9.32 (a), (c), (d), and (l). Based on those

facts, Veach requested that this Court accept his petition for

2 Rule 1.15 (II) (b) provides, in relevant part, that a lawyer shall not

withdraw funds from his trust account for his personal use except earned fees debited against the account of a specific client and recorded as such. 3 Rule 8.4 (a) (4) provides that a lawyer shall not engage in professional

conduct involving dishonesty, fraud, deceit, or misrepresentation.

4 voluntary discipline and suspend his law license for a period of 18

months.

The State Bar responded, accepting the facts as laid out by

Veach and his recitation of the factors in aggravation of punishment.

With regard to factors in mitigation of punishment, the Bar agrees

that Veach has no prior disciplinary history, has demonstrated

remorse, and has shown full payment to the lienholder. It further

acknowledged that Veach fully cooperated with the disciplinary

process and freely disclosed all requested relevant information. See

ABA Standard 9.32 (e). Although the Bar took no position on

whether Veach’s allegation that he was suffering personal and

emotional problems should weigh in mitigation of his punishment,

this Court finds that it should. See, e.g., In the Matter of Edmondson,

292 Ga. 893, 893 (742 SE2d 740) (2013) (considering factors in

mitigation of punishment where the State Bar had no objection to

the petition for voluntary discipline). The Bar requested that this

Court accept Veach’s petition and suspend his law license for a

period ranging from eighteen months to three years.

5 Rule 4-227 (b) does not address whether the Court may impose

greater discipline than that sought in a petition for voluntary

discipline filed before the issuance of a formal complaint. Instead,

the rule states only that the Court “shall issue an appropriate

order.” Rule 4-227 (b) (2). However, it has been the Court’s practice

to reject a petition in such circumstances rather than to impose a

more stringent discipline than that requested by the petitioner. See,

e.g., In the Matter of Hunt, 301 Ga. 661, 663 (802 SE2d 243) (2017)

(rejecting petition for voluntary discipline that requested six-to

twelve-month suspension where lawyer misappropriated client

funds, had five prior disciplinary sanctions, and had mitigating

factors, including repayment of funds). But in this case, both parties

agree to accept the imposition of an 18-month suspension, and such

a suspension is within the range of punishments that have been

imposed by this Court for similar violations. See In the Matter of

Morgan, 303 Ga. 678, 679-680 (814 SE2d 394) (2018) (accepting

petition for voluntary discipline and imposing a two-year suspension

with conditions on reinstatement for violations of Rules 1.15 (I), 1.15

6 (II) (b), and 8.4 (a) (4) where attorney withdrew $77,000 from client’s

estate and deposited it for personal use, but repaid the money before

the client became aware that the funds were missing); In the Matter

of Duncan, 301 Ga. 898, 899-901 (804 SE2d 342) (2017) (accepting

petition for voluntary discipline and imposing a six-month

suspension with conditions on reinstatement for violations of Rules

1.4, 1.15 (I), 1.15 (II) (b), and 1.16, where attorney used client’s

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Related

In Re Champion
562 S.E.2d 179 (Supreme Court of Georgia, 2002)
In re Jones
627 S.E.2d 24 (Supreme Court of Georgia, 2006)
In re Edmondson
742 S.E.2d 740 (Supreme Court of Georgia, 2013)
In re Hunt
802 S.E.2d 243 (Supreme Court of Georgia, 2017)
In re Duncan
804 S.E.2d 342 (Supreme Court of Georgia, 2017)
In re Morgan
814 S.E.2d 394 (Supreme Court of Georgia, 2018)
in the Mattter of David E. Morgan, III
303 Ga. 678 (Supreme Court of Georgia, 2018)

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