Louisiana State Bar Ass'n v. Dutel

542 So. 2d 503, 1989 La. LEXIS 824, 1989 WL 43747
CourtSupreme Court of Louisiana
DecidedMay 1, 1989
DocketNo. 87-B-1473
StatusPublished

This text of 542 So. 2d 503 (Louisiana State Bar Ass'n v. Dutel) is published on Counsel Stack Legal Research, covering Supreme Court of Louisiana primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Louisiana State Bar Ass'n v. Dutel, 542 So. 2d 503, 1989 La. LEXIS 824, 1989 WL 43747 (La. 1989).

Opinion

CALOGERO, Justice.

This is a disciplinary proceeding by the Louisiana State Bar Association, through its Committee on Professional Responsibility against one of its members, William J. Dutel. Dutel is charged with one specification of misconduct in connection with his conviction in federal court on what the Committee has termed “a technical violation of the banking regulations”, arising from a misrepresentation in his loan application to a federally insured savings and loan institution.

The Committee on Professional Responsibility instituted this disciplinary proceeding against Dutel by securing a certificate of conviction and filing a Report with this Court on June 19, 1987, pursuant to the authority vested in the Association under Articles of Incorporation, Article 15, section 8(a)(1), (3).1 La.R.S. 37:219, Appendix.

[504]*504In the Committee’s Report, they averred that on February 11,1987, William J. Dutel was convicted upon a plea of guilty as charged in the United States District Court for the Eastern District of Louisiana for a violation of Title 18 U.S.C. Section 1014, making false statements to an institution with accounts insured by the Federal Savings and Loan Insurance Corporation. The Committee requested that this Court take proper interim measures against Dutel and refer the matter back to the Committee for further proceedings in compliance with Article 15, section 8(a). On September 24, 1987, pursuant to the request contained in the Committee’s report, and Article 15, section 8(a)(4) provided in footnote 1 above, this Court declined to suspend Dutel and ordered the matter back to the Committee for further proceedings.

The Committee held a formal investigative hearing concerning Dutel’s conviction on June 29,1988. Respondent was present at the hearing and represented by counsel. He testified on his own behalf. Respondent proferred testimony concerning the nature of his offense and the mitigating circumstances to be considered in shaping a punishment for his violation of the Rules of Professional Responsibility.

The Committee and Dutel filed a Joint Motion to Proceed Without Appointment of Commissioner and Waiver of Applicable Rights, a streamlined procedure established in Louisiana State Bar Association v. Vincent Marinello, 523 So.2d 838 (La.1988), wherein this Court ordered that the parties be permitted to waive oral argument, the appointment of a Commissioner, and the Commissioner’s Hearing and Report. We granted this joint motion and ordered the parties to submit this matter to the Court on the record as developed at the Committee hearing on June 29, 1988.

[505]*505On December 5, 1988, consistent with this Court’s order, the Committee filed a petition for disciplinary action against the Respondent, who thereupon filed an answer. In its petition, the Committee stated that Dutel’s conviction is of a serious nature, one which is defined as a felony, and thus one which warrants discipline. However, the Committee stated, “The criminal activity for which Respondent was convicted involves a technical violation of the banking regulations.” To support this contention, the Committee simply cited Dutel’s testimony at the investigatory hearing in which he alleged that in many instances “a release or cancellation is not perfected until sometime after the [loan] closing”.

The Committee continued by examining the mitigating circumstances in determining its recommendation; that the conviction did not involve the practice of law, Respondent’s post-conviction conduct has been exemplary and he still maintains the vote of confidence from his peers in the legal community. The Committee concluded by recommending that, based upon all of the evidence adduced at the investigatory hearing and consideration of the mitigating factors, outlined in the American Bar Association’s Standards for Imposing Lawyer Sanctions, and specified above, this Court should issue respondent a public reprimand.

In Dutel’s answer to the Committee’s petition, he agreed with the Committee’s recommended sanction. Dutel emphasized his remorse at committing the offense and asserted that, considering his family and financial hardship, his federal sentence which includes community service, presently being fulfilled by pro bono legal work for the cities of New Orleans and Kenner, and his previously clean record, a public reprimand is appropriate.

In Louisiana State Bar Association v. Frank, 472 So.2d 1 (La.1985), a disciplinary proceeding based on the conviction of a crime, we held that although the conviction was conclusive evidence of guilt (Art. 15, § 8(a)(7)(c)), the facts underlying the conviction of the crime were extremely important in the determination of the appropriate discipline.

From the record established at the investigatory hearing, we ascertain the following facts: Dutel created business ventures for the purpose of breeding, racing and showing American saddlebred show horses. Through these business ventures, Dutel established loan relationships at both First Financial Bank and Dixie Savings & Loan Association, now known as Oak Tree Savings & Loan. First Financial Bank loaned money to Dutel Farms, Dutel’s personal horse business, to acquire the horses and to pay for the daily operating expenses incurred by the Farms. To secure these loans, First Financial took a chattel mortgage on the horses acquired by Dutel Farms. Dixie Savings & Loan granted a line of credit to partnerships to be formed by Dutel to enable the partnerships to buy the horses from Dutel Farms, breed the Saddlebrood mares, raise the offspring and sell them. Dixie also loaned money to prospective partners who wanted to buy into the partnerships.

In October, 1984, Dutel formed American Saddlebred Brood Mares, Limited, a limited partnership designed to breed the mares, raise the offspring and sell them as described above. Dutel Farms sold several horses to American Saddlebred Brood Mares, Limited at the time it was formed. Dixie Savings and Loan established a line of credit for the limited partnership to enable American Saddlebred to buy the mares. At the time Dixie Savings and Loan granted the line of credit, it took a chattel mortgage on the horses owned by the partnership. The horses sold by Dutel Farms to American Saddlebred Brood Mares, Limited, were previously mortgaged to First Financial Bank to secure the acquisition and line of credit loans for Du-tel Farms. Prior to the sale of the horses by Dutel Farms to American Saddlebred Brood Mares, Limited, Dutel contacted First Financial Bank, Dutel Farms’ lender, informed the bank of the impending sale and discussed a restructuring of the First Financial loans and a release of the horses, to be sold by Dutel Farms from the mortgage at First Financial Bank. However, that release was not formally executed un[506]*506til several months after the sale of the horses to the partnership.

In the application for the line of credit to be extended by Dixie Savings & Loan to American Saddlebred Brood Mares, Limited to purchase the horses from Dutel Farms, Dutel represented that Dixie Savings & Loan would have a first mortgage on the horses sold by Dutel Farms to the limited partnership. The United States Government correctly posited that Dutel should have executed the partial release on the day that the partnership gave its mortgage to Dixie.

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Bluebook (online)
542 So. 2d 503, 1989 La. LEXIS 824, 1989 WL 43747, Counsel Stack Legal Research, https://law.counselstack.com/opinion/louisiana-state-bar-assn-v-dutel-la-1989.