Lawyer Disciplinary Board v. David A. Downes

805 S.E.2d 432, 239 W. Va. 671, 2017 W. Va. LEXIS 702
CourtWest Virginia Supreme Court
DecidedSeptember 21, 2017
Docket15-0702
StatusPublished
Cited by2 cases

This text of 805 S.E.2d 432 (Lawyer Disciplinary Board v. David A. Downes) is published on Counsel Stack Legal Research, covering West Virginia Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lawyer Disciplinary Board v. David A. Downes, 805 S.E.2d 432, 239 W. Va. 671, 2017 W. Va. LEXIS 702 (W. Va. 2017).

Opinion

LOUGHRY, Chief Justice:

This lawyer disciplinary proceeding was initiated pursuant to Rule 3.20 of the West Virginia Rules of Lawyer Disciplinary Procedure (“RLDP”), which directs this Court to impose reciprocal professional discipline when a member of The West Virginia State Bar is either sanctioned by a lawyer disciplinary authority in another jurisdiction or voluntarily surrenders his or her law license issued by another jurisdiction 'in connection with a disciplinary proceeding. On June 26, 2013, the Virginia State Bar Disciplinary Board issued a public reprimand with probationary terms to the respondent herein, attorney David A. Downes, for his negligent misappropriation of client funds and his failure to properly maintain a client trust account in violation of Virginia Rule of Professional Conduct 1.15. Furthermore, in connection with a lawyer disciplinary case initiated in the District of Columbia (“D.C.”) based upon the same Virginia disciplinary matter, the respondent consented to the annulment of his D.C. law license effective September 25, 2014.

The facts surrounding the respondent’s misconduct and sanction in Virginia, and the voluntary surrender of his law license in D.C., were undisputed during the reciprocal disciplinary hearing held by á Hearing Panel Subcommittee of the West Virginia Lawyer Disciplinary Board (“HPS”). In addition, the HPS found that the respondent failed to timely report both'the Virginia and the D.C. matters to the West Virginia Office of Disciplinary Counsel (“ODC” or “West Virginia ODC”) as required by RLDP 3.20(b). Upon consideration of the record, the applicable law, and the arguments of the parties, we order that the respondent be suspended from the practice of law in West Virginia for thirty days. Upon completion of his suspension, the respondent shall be on probation with The West Virginia State Bar for eighteen months, during which time he shall submit to random reviews of his trust account records as described below. Finally, the respondent is ordered to pay the costs of the trust account reviews and the costs of this disciplinary proceeding.

*674 I. Factual and Procedural Background

The respondent was admitted to The West Virginia State Bar in 1988. As indicated above, he is also a member of the Virginia State Bar and, until the events set forth herein, was a member of the D.C. Bar. The respondent testified that he is presently a solo practitioner in Front Royal, Virginia, engaged primarily in criminal defense work. Because this is a reciprocal matter originating with lawyer discipline imposed by the Virginia State Bar Disciplinary Board, the HPS relied heavily upon the record created by the Virginia disciplinary authorities to ascertain the following undisputed facts. 1

In 2006, the respondent represented a plaintiff, James Brown Sr., in a wrongful death suit pertaining to the death of Mr. Brown’s minor son in a motor vehicle accident in Virginia. The child was killed while riding in a car driven by his mother, the defendani/alleged tortfeasor Samantha Grady. In October 2006, the respondent received an insurance check for $15,000 in medical payments coverage made payable to himself and to both of the deceased child’s parents, Mr. Brown and Ms. Grady. According to the respondent, he instructed his paralegal not to deposit the check because he did not represent the opposing party, Ms. Grady. Furthermore, he informed Mr. Brown that the check would be returned to the insurance company for correction. Nonetheless, on October 11, 2006, the $15,000 check was deposited into the respondent’s fiduciary account at BB&T bank without any signatures for Mr. Brown or Ms. Grady. The respondent has testified that he was unaware a member of his staff had deposited the check in contradiction to his instructions and soon, thereafter, his representation of Mr. Brown ended. 2

On May 7, 2007, the respondent closed his BB&T fiduciary account and deposited the funds therein, which presumably included the $15,000 medical payments benefits in the Brown case, into his law office operating account at Marathon Bank. On May 23, 2007, the respondent moved $44,816.66 from his operating account into his newly-opened IOLTA trust account at First Citizens Bank.

On September 22, 2008, attorney Steven M. Levine, who was counsel for Ms. Grady, wrote to the respondent inquiring about the medical payments check mailed almost two years earlier. Not receiving an immediate response, Mr. Levine wrote additional letters to the respondent on September 29, October I, October 10, and October 17, 2008. The Virginia State Bar Disciplinary Board has found that upon receiving Mr. Levine’s first letter, the respondent promptly conducted an investigation. The respondent’s Quickbooks records did not reflect a deposit of $15,000 in the months of October or November 2006, and there were delays in obtaining records from BB&T regarding the closed fiduciary account. On October 21, 2008, BB&T provided the respondent with a copy of a deposit slip showing the $15,000 cheek had, in fact, been deposited into his account on October II, 2006.

The respondent has testified that before receiving Mr. Levine’s letters, he did not know there was a problem regarding the medical payments cheek. On October 21, 2007, which was the same day he received a copy of the deposit slip from BB&T, he wrote to Mr. Levine and offered to immediately pay the $15,000. The next day, October 22, 2008, the respondent delivered a $15,000 check to lawyer E. Eugene Gunter, counsel for the decedent child’s estate. 3 The reimbursement check was written on the respondent’s IOLTA trust account at First Citizens Bank.

Meanwhile, Mr. Levine filed an ethics complaint with the Virginia State Bar. During an April 22, 2010, interview conducted by a Virginia State Bar investigator, the respondent admitted he did not know whether his accountant had performed quarterly reconciliations of his fiduciary and law office operating accounts during the time period in question, *675 and he did not personally review any reconciliations. Furthermore, the investigator noticed that the First Citizens IOLTA account had dropped below $15,000 on “numerous occasions” between May 2007 and August 2008. Ultimately, in or about April 2013, the Virginia Bar Counsel and the respondent stipulated to facts and to a violation of Rule 1.15 of the Virginia Rules of Professional Conduct. This rule requires a lawyer to, inter alia, hold a client’s funds in an identifiable escrow bank account separate from the lawyer’s own funds; promptly notify a client of the receipt of the client’s funds; maintain complete records of all client funds; render appropriate accountings to the client; and promptly deliver funds to the client. Id. With regard to the record-keeping requirements, the rule requires the lawyer to maintain a journal listing all funds deposited into an escrow account, including the source and the date deposited; a subsidiary ledger containing a separate statement of account for each client; and records of reconciliations of the escrow account. Id. 4

The respondent and Virginia Bar Counsel also stipulated to mitigating and aggravating factors to be considered for the purpose of ascertaining a sanction.

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Bluebook (online)
805 S.E.2d 432, 239 W. Va. 671, 2017 W. Va. LEXIS 702, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lawyer-disciplinary-board-v-david-a-downes-wva-2017.