Matter of Discipline of Theodosen

303 N.W.2d 104, 1981 S.D. LEXIS 236
CourtSouth Dakota Supreme Court
DecidedMarch 11, 1981
Docket13028
StatusPublished
Cited by25 cases

This text of 303 N.W.2d 104 (Matter of Discipline of Theodosen) is published on Counsel Stack Legal Research, covering South Dakota Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Matter of Discipline of Theodosen, 303 N.W.2d 104, 1981 S.D. LEXIS 236 (S.D. 1981).

Opinions

FOSHEIM, Justice.

These proceedings were instituted by a complaint alleging that respondent-attorney John M. Theodosen of Garretson, South Dakota, violated SDCL 16-19-33(5), which provides that the willful violation of any bylaw, rule, or regulation duly adopted by the South Dakota State Bar Association and approved by the Supreme Court shall constitute misconduct and be grounds for discipline. The pertinent rules were adopted by the Bar Association and approved by the Supreme Court as SDCL 16-18 Appx. Canon 5, EC 5-5, and EC 5-6. . - . -\-

EC 5-5 reads:

A lawyer should not suggest to his client that a gift be made to himself or for his benefit. If a lawyer accepts a gift from his client, he is peculiarly susceptible to the charge that he unduly influenced or over-reached the client. If a client voluntarily offers to make a. gift..to his lawyer, the lawyer may accept the gift, but before doing so, he should urge that his client secure disinterested advice from an independent, competent person who is cognizant of all the circumstances. Other than in exceptional circumstances, a lawyer should insist that an instrument in which his client desires to name him beneficially be prepared by another lawyer selected by the client.

EC 5-6 states:

A lawyer should not consciously influence a client to name him as executor, trustee, or lawyer in an instrument. In those cases where a client wishes to name his lawyer as such, care should be taken by the lawyer to avoid even the appearance of impropriety.

Pursuant to SDCL 16-19-29, the Disciplinary Board of the State Bar Association (Board) investigated the allegations and found that respondent was in violation of SDCL 16-18 Appx. Canon 5, EC 5-5, and EC 5-6, in that he drafted over twenty wills wherein he was named as the executor, co-executor or trustee and that, based upon the number of times it occurred, he consciously influenced his clients to name him in such capacities.

The basic charge contained in the complaint springs from the facts set forth in Estate of Nelson, 274 N.W.2d 584 (S.D.1978). The Board specifically found that respondent did unduly influence Wallace A. Nelson under such circumstances as not to avoid the appearance of impropriety. The Board recommended that a formal petition be filed with this Court concerning the allegations that respondent violated the Code of Professional Responsibility.

The matter was thereupon referred by this Court to the Honorable Leslie R. Hers-rud, a Circuit Judge, to take testimony and submit findings and recommendations pursuant to SDCL 16-19-68. The referee found that respondent is a lawyer of some thirty years of practice with no previous complaints. The referee further found that only three of the objectionable wills were executed after the 1970 Code of Professional Conduct took effect. The referee found “that in each of the cases where the attorney was executor or co-executor it was as a result of a more than casual attorney-client relationship and at the request of the testator.” There was no finding by the referee that the post-1970 wills prepared by respondent established that respondent consciously influenced those clients to name him executor or, alternatively, that respondent’s conduct took on the appearance of impropriety once he learned that those clients wished to name him as executor.

[106]*106The referee found that there was no intent on respondent’s part to violate Canon 5, EC 5-6. The referee, however, did expressly find that respondent’s drafting of the Nelson will was contrary to Canon 5, EC 5-5, but that it was executed prior to the adoption of the 1970 Code of Professional Responsibility and the allegations contained in the complaint were not specifically addressed or prohibited by the rules of ethical conduct then existing. The referee reported that there was no showing that respondent collected fees or charges as both an executor and attorney1 and, in the absence of such a showing, recommended a personal reprimand.2

While the findings of the referee are not conclusive when presented to this court, they are nevertheless entitled to our careful consideration, since we are mindful that the referee saw and heard the witnesses with all the advantage that is gained from such personal contact. In Re Goodrich, 78 S.D. 8, 98 N.W.2d 125 (1959); In Re Schmidt, 70 S.D. 161, 16 N.W.2d 41 (1944). If such findings are supported by the evidence, they will not be disturbed by the Supreme Court. In Re Jaquith, 79 S.D. 677, 117 N.W.2d 97 (1962); In re Aaberg, 66 S.D. 613, 287 N.W. 506 (1939).

We accordingly adopt the findings of the referee with respect to Canon 5, EC 5-5 and restrict our consideration to Canon 5, EC 5-6 and to the referee’s recommendation. The facts set forth in Estate of Nelson, supra, which the referee found to be a violation of Canon 5, EC 5-5, are incorporated by reference and show that on January 24, 1956, decedent executed a “last will and testament,” the third drafted for Wallace Nelson by respondent. Under the terms of that will, the decedent’s entire estate was granted “to my friend John Theodosen, his heirs, executors, or administrators, in fee.” Attached to the will was a document entitled “Personal Instructions to John Theodosen, Trustee of the Last Will and Testament of Wallace A. Nelson.” The instructions directed respondent to organize a charitable corporation and “to turn my said property as you, in your discretion deem best, over unto such charitable corporation.” The instructions further stipulated that the corporation would be administrated “in accord with the personal instructions I have previously given to you.”

In Estate of Nelson, supra, we found that the facts gave rise to a presumption, and sustained a finding of, undue influence. We also noted that the pre-Theodosen Wills of Wallace Nelson provided for his sister, brother and nephew and that within four years of Nelson’s first dealing with respondent, those persons were totally disinherited. We stated that such a pattern demands close judicial scrutiny and indicates an inability by Nelson to resist respondent’s influence. See also Ekern v. Erickson, 37 S.D. 300, 157 N.W. 1062 (1916). We concluded that the only bequest in the will, which was to respondent, was null and void because of undue influence.

As the referee found, all of the Nelson wills drafted by respondent were executed prior to the adoption of the South Dakota Code of Professional Responsibility, which was approved by the South Dakota Supreme Court on July 21, 1970. However, the Nelson will was petitioned for probate by respondent in 1976, subsequent to the adoption of Canon 5, EC 5-6.

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Matter of Discipline of Theodosen
303 N.W.2d 104 (South Dakota Supreme Court, 1981)

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Bluebook (online)
303 N.W.2d 104, 1981 S.D. LEXIS 236, Counsel Stack Legal Research, https://law.counselstack.com/opinion/matter-of-discipline-of-theodosen-sd-1981.