Lawyer Disciplinary Board v. Sayre

535 S.E.2d 719, 207 W. Va. 654, 2000 W. Va. LEXIS 5
CourtWest Virginia Supreme Court
DecidedFebruary 18, 2000
Docket24483
StatusPublished
Cited by9 cases

This text of 535 S.E.2d 719 (Lawyer Disciplinary Board v. Sayre) 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. Sayre, 535 S.E.2d 719, 207 W. Va. 654, 2000 W. Va. LEXIS 5 (W. Va. 2000).

Opinion

PER CURIAM:

This case is before this Court upon the October 6, 1997, petition of Truman Lynch Sayre for reinstatement of his license to practice law. We referred this case to the Lawyer Disciplinary Board of The West Virginia State Bar for the development of a record and recommendation. That process *656 having been completed, the report and recommendations of the Hearing Panel Subcommittee (“HPS”) of the Lawyer Disciplinary Board recommends that the Petitioner’s law license not be reinstated at this time. Pursuant to Rule 3.33(g) of the Rules of Lawyer Disciplinary Procedure, the HPS also recommended that: 1) the Petitioner be assessed the costs of these proceedings; 2) the Petitioner engage in a program of education and counseling concerning his obligations under the Code of Professional Responsibility, his conduct in the past, and the reasons for that conduct; and 3) the Petitioner be reconsidered for reinstatement at such time that he can demonstrate that he can meet the ethical obligations of an attorney, but no sooner than one year from the date that this decision becomes final. Having reviewed the parties’ briefs, the record and all other matters submitted in this ease, we adopt the recommendations made by the HPS, with the exception that we hold that the Petitioner may not again be considered for reinstatement until at least five years from the date that this decision becomes final.

I. FACTS 1

The Petitioner is seventy-three years old and was admitted to practice law in 1953. He served as a bankruptcy trustee beginning in the late 1970’s and was appointed family law master in October of 1986. He consented to disbarment on September 2, 1992, following his federal conviction for embezzlement by a bankruptcy trustee.

A. DISBARMENT

The Petitioner’s conduct which resulted in his disbarment began in October of 1985, when the Petitioner transferred a total of $60,000 from two bankruptcy trust accounts into his personal account. He then used the money for a business venture with Herman G. Hendricks and others to construct and operate an EeonoLodge motel in North Berkley, West Virginia. The Petitioner repaid most of the $60,000 on December 10, 1985, by obtaining a check from Herman Hendricks, depositing it into the Petitioner’s personal account and then writing two checks to the trust accounts.

The Petitioner withdrew another $15,000 from one of the bankruptcy trust accounts on December 31, 1985, and purchased a cashier’s check, which he then deposited into a motel business account. He repaid the $15,000 to the trust account on April 30, 1986, using the proceeds from a bank loan made to the motel business.

On May 22, 1987, the Petitioner diverted $12,000 from one of the trust accounts to repay a loan from a client. The Petitioner combined the $12,000 with an additional $3,000 from the client to purchase a cashier’s check for $15,000 to settle unrelated business litigation of the client. Additionally, the Petitioner failed to pay a bankruptcy estate disbursement of $14,244.36 to the Workers’ Compensation Fund as directed by the Bankruptcy Court in its general disbursement order of June 19,1987.

B. REINSTATEMENT HEARING

At the reinstatement hearing, a number of individuals testified on the Petitioner’s behalf that the Petitioner was well-liked and involved in various community activities. None of these individuals, however, appeared to have significant knowledge about the Petitioner’s history of ethical violations or why he had committed those violations.

The Petitioner also failed to offer any real insight as to why he had violated ethical standards in the past, other than alluding to the possibility that his divorce was a factor. When the Petitioner was questioned as to what he had done to rehabilitate himself, he testified that the events were “better forgotten for all concerned.” The Petitioner was also asked to explain his apparent false contention in the disbarment proceeding that he did not use the bankruptcy funds for his “personal purposes.” 2 The Petitioner’s less- *657 than-candid explanation of his mendacity was “the word personal purposes has a connotation of riotous living and that sort of thing.”

Most significantly, the factual findings revealed that during the Petitioner’s disbarment, he had continued to engage in misconduct. Prior to March 1990, the Bank of Raleigh obtained the first deed of trust on the Petitioner’s Glade Creek Farms property. Subsequently, in March 1990, the Petitioner and Herman Hendricks used the Petitioner’s Glade Creek Farms property as collateral for consolidating two outstanding loans into one loan through the Beckley National Bank, thereby creating a second deed of trust.

In 1993, the North Berkley Motel, Inc. (“Motel”) obtained the first deed of trust executed by the Petitioner from the Bank of Raleigh by refinancing the loan secured by the deed of trust. The Motel secured this deed of trust in exchange for the Petitioner assigning to the Motel his shares of stock in the Motel.

Instead of assigning the first deed of trust to the Petitioner, the Motel assigned it to Rebecca Riffe, the Petitioner’s daughter, without any consideration. The Petitioner testified that the assignment to his daughter was a part of a scheme designed to extinguish the second deed of trust held by the Beckley National Bank.

Subsequently, the Petitioner asked his daughter to foreclose on the Bank of Raleigh deed of trust. He also asked attorney Bruce Lazenby, who rented office space from the Petitioner’s brother, to serve as substitute trustee on the Bank of Raleigh deed of trust. Mr. Lazenby was aware of the second lien on the property held by Beckley National Bank; but, he did not directly notify Beckley National Bank, because he understood that the bank had never served a written request for notice of default on the Bank of Raleigh.

The Petitioner paid the expenses of the sale and arranged for Floyd M. Sayre, III, his nephew, to appear and bid on the property on the Petitioner’s behalf. Floyd Sayre was the highest bidder at $6,000. The sale extinguished the second deed of trust. The Petitioner then conveyed his interest in the Glade Creek Farms property to his daughter, Ms. Riffe. The Petitioner also arranged to sell two lots from the Glade Creek Farms property, which were now unencumbered, for the amounts of $30,000 and $60,000.

At the time of the sales, Bank One held the Beckley National Bank deed of trust in the Glade Creek Farms property. When Bank One learned of these transactions, it sued the Petitioner’s daughter, as well as the purchasers of the property, in an attempt to void the sales. Bank One also sued the Petitioner on the promissory note, seeking $103,224.28, which represented the principal and interest due. Ms. Riffe and the Petitioner settled these two lawsuits with Bank One for $50,-000.

Then, in August of 1995, Ms. Riffe deeded any remaining property interest in the Glade Creek Farms property back to her father as a gift. The Petitioner, in turn, sold another lot that same day for $25,000. Ms. Riffe also gave her father all of the money remaining from the first two sales.

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Bluebook (online)
535 S.E.2d 719, 207 W. Va. 654, 2000 W. Va. LEXIS 5, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lawyer-disciplinary-board-v-sayre-wva-2000.