In the Matter of Tobin

628 N.E.2d 1273, 417 Mass. 92, 1994 Mass. LEXIS 76
CourtMassachusetts Supreme Judicial Court
DecidedFebruary 16, 1994
StatusPublished
Cited by16 cases

This text of 628 N.E.2d 1273 (In the Matter of Tobin) is published on Counsel Stack Legal Research, covering Massachusetts Supreme Judicial Court 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 Tobin, 628 N.E.2d 1273, 417 Mass. 92, 1994 Mass. LEXIS 76 (Mass. 1994).

Opinion

Lynch, J.

This bar discipline appeal arises from an order entered by a single justice of this court suspending Albert G. Tobin (respondent) from the practice of law in the Commonwealth for eighteen months. The order stemmed from three matters contained in two petitions for discipline filed with the Board of Bar Overseers (board) by bar counsel. One petition, involving Mary Arnold (Arnold matter), a client of his brother and partner, Robert H. Tobin, Sr., was heard by a hearing committee (committee) on February 5, 1991, in conjunction with a petition filed against the respondent’s brother. See Matter of Tobin, ante 81 (1994). A second hearing was held on the remaining two matters on March 1, 1991. A single appeal panel (panel) heard the appeals of all three matters together.

The respondent was admitted to the practice of law in the Commonwealth on March 31, 1951. At all times relevant to this appeal he has practiced law in partnership with his brother in the Roslindale section of Boston. The first petition for discipline, the Arnold matter, was filed against both the respondent and his brother. Detailed facts of the Arnold matter are set forth in Matter of Tobin, supra, which we also decide today.

Findings of the hearing committee. The respondent’s brother induced the client to retain him for unnecessary services and billed her an unreasonable amount for those services. See Matter of Tobin, supra at 84-85.

When Mary Arnold refused to pay the full amount of the bill, the respondent became involved in the case. He visited Mary Arnold at her home and attempted to justify the services which his partner had rendered. Mary Arnold thereafter paid $600, but refused to pay more. The respondent next sent a letter to Arnold’s son in which he falsely represented that probate of the estate was necessary to secure a release of the estate tax lien and secure marketable title to the Arnold home. A second son tried to resolve the issue by offering $2,000 to settle the matter and when the respondent refused that offer, he suggested fee arbitration which the respondent *94 also refused. The respondent told the son that he would withhold the client’s certificate releasing the tax lien thereby depriving Mary Arnold of marketable title until the full fee was paid. He ignored Mary Arnold’s written demand for her certificate. Mary Arnold then filed a complaint with the board.

The respondent and his partner subsequently commenced an action in the Probate and Family Court Department against Mary Arnold to collect the balance due on the bill and recover payment for the time spent in responding to the complaint before the board. In their fee petition, the respondent and his partner submitted a false description of services rendered and false time records. The respondent and his partner compounded these misstatements with further misrepresentations to the Probate Court and bar counsel about the case and their services.

The committee found that the respondent:

“(1) intentionally claimed fees for unnecessary and improper legal services; attempted to collect fees in the Probate Court under false pretenses; and made false and fraudulent representations to the Probate Court, to [Mary Arnold] and her family, and Bar Counsel, in violation of Canon One, DR 1-102 (A) (4) [,] (5), and (6);[ 1 ]
“(2) charged and attempted to collect a grossly excessive fee, in violation of Canon Two, DR 2-106 (A) and 2
*95 “(3) damaged and prejudiced his client in the course of the professional relationship, in violation of Canon Seven, DR 7-101 (A) (3);[ 3 ]
“(4) refused to deliver to [Mary Arnold] her certificate releasing the estate tax lien on demand, in violation of Canon Nine, DR 9-102 (B) (4).” 4

The committee recommended a suspension of not less than thirty days. The appeal panel concurred with the committee’s findings of fact and rulings of law and, while simultaneously considering the respondent’s other disciplinary violations, recommended an eighteen-month suspension in addition to other requirements for reinstatement.

The Roslindale Cooperative Bank and Lynch matters. On October 28, 1977, the Commissioner of Banks (commissioner) suspended operations of the Roslindale Cooperative Bank because it appeared unsafe and inexpedient for the bank to continue in operation (bank matter). At that time, the respondent was president and a director of the bank. After administrative hearings, the respondent and several others were removed from their positions and Co-Operative Central Bank took over operations of the bank."

In the ten years following the takeover the respondent, seeking to reverse the action of the commissioner, brought nine State and Federal court actions and eighteen separate docketed appeals. Pleadings filed by the respondent were repetitive, incomprehensible, and irrational. Additionally, in *96 matters of both form and substance, they did not conform to rules of civil or appellate procedure. On seventeen different occasions, various courts admonished the respondent to cease his barrage of frivolous and inappropriate actions and pleadings. Moreover, he was barred from filing further pleadings without leave of court. Rather than being deterred by these admonitions, however, the respondent informed the hearing committee that he would consider whether to pursue the bank litigation again in order to “defend” himself.

In 1983 the respondent represented a client, Richard Lynch (Lynch matter), in the Housing Court and obtained a favorable result. The decision was appealed and, although he had no appellate experience other than his pro se representation in the bank cases, he represented Lynch on appeal. His filings in the Lynch matter betray the same errors of procedure and illogical representations that hallmark the bank cases. Indeed, he even interjected his wholly unrelated bank case claims. In the end, however, Lynch was not materially harmed by the respondent’s conduct.

The committee ultimately determined that the respondent exceeded the bounds of zealous advocacy and his conduct was vexatious and harassing to the courts and opposing litigants. Moreover, his contemptuous disregard of the courts’ admonitions was intolerable. Accordingly, the committee found that he violated S.J.C. Rule 3:07, Canon 1, DR 1-102 (A) (5), as appearing in 382 Mass. 769 (1981); 5 S.J.C. Rule 3:07, Canon 7, DR 7-106 (A), (C) (1), (6), and (7), as appearing in 382 Mass. 784 (1981). 6 The committee did not *97 find, as bar counsel had alleged, that the respondent violated S.J.C. Rule 3:07, Canon 1, DR 1-102 (A) (6), as appearing in 382 Mass. 769 (1981) (other conduct adversely reflecting on fitness to practice law) or that he violated S.J.C. Rule 3:07, Canon 6, DR 6-101 (A) (1), as appearing in 382 Mass.

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Bluebook (online)
628 N.E.2d 1273, 417 Mass. 92, 1994 Mass. LEXIS 76, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-the-matter-of-tobin-mass-1994.