Matter of Gaynes

816 P.2d 231, 168 Ariz. 574, 94 Ariz. Adv. Rep. 3, 1991 Ariz. LEXIS 67
CourtArizona Supreme Court
DecidedSeptember 5, 1991
DocketSB-91-0016-D
StatusPublished
Cited by8 cases

This text of 816 P.2d 231 (Matter of Gaynes) is published on Counsel Stack Legal Research, covering Arizona 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 Gaynes, 816 P.2d 231, 168 Ariz. 574, 94 Ariz. Adv. Rep. 3, 1991 Ariz. LEXIS 67 (Ark. 1991).

Opinion

OPINION

CAMERON, Justice.

I. JURISDICTION

The Disciplinary Commission of the State of Arizona (Commission) recommended that Alex Abbott Gaynes (respondent) be disbarred from the practice of law, pay resti *575 tution to his client in the amount of $1958.00, plus interest at the legal rate accruing from 1 September 1981, and pay costs in the amount of $1659.60 to the State Bar of Arizona (Bar). Because respondent failed to appeal the Commission’s recommendation, the Bar submitted this matter for review on the record. See Ariz. Sup.Ct.Rules, rule 53(e). We have jurisdiction pursuant to 17A A.R.S.Ariz.Sup.Ct. Rules, rule 53(e).

II. FACTS

On 1 December 1989, the Bar filed a complaint against respondent charging him with three counts of ethical violations.

1. Count One

Count one stemmed from respondent’s representation of Charles Ashby (Ashby) and charged respondent with violating the Rules of Professional Conduct, rule 42. He was charged with failure to communicate with his client, failure to diligently and competently pursue his client’s case and failure to respond to the Bar’s inquiries. 1 In 1984, Ashby retained respondent to pursue a wrongful death claim in connection with his wife’s death. Respondent told Ashby that the legal matter would be “wrapped up” by the end of January 1987. Ashby wrote respondent three letters dated 1 March, 24 April and 30 May 1987, requesting a status report. Respondent finally answered and informed Ashby that he would “attempt to reach a conclusion” of the legal matter by June 1987. When the legal matter was not resolved, Ashby again wrote numerous letters to respondent. Notwithstanding Ashby’s numerous letters and phone calls, respondent has not communicated with him since June 1987. As of 12 January 1990, respondent had not checked on the status of Ashby’s case.

2. Count Two

Count two stemmed from respondent's representation of Jean and Craig Anderson (the Andersons) and charged respondent with violating the present Rules of Professional Conduct, rule 42, and the former Code of Professional Responsibility, rule 29(a). He was charged with a conflict of interest in representing two clients in the same case, failure to diligently and competently pursue his client’s case, failure to communicate with his client, failure to remit funds owing to his client and failure to respond to the Bar’s inquiries concerning this matter.

The Andersons retained respondent to represent them when Jean was injured from a collapsed ceiling of their residence. State Farm Insurance (State Farm) paid for Jean’s injuries under their homeowner’s policy. In January 1981, State Farm retained respondent to pursue its subrogation interest in the Anderson award.

In April or May 1981, a jury awarded the Andersons $8,000 in a suit against the home builder and the plumber. State Farm has unsuccessfully attempted to communicate with respondent and as of 10 November 1990, respondent has refused to tender to State Farm its share of the monies due under the subrogation clause.

3. Count Three

Count three charged respondent with having been previously disciplined and failure to cooperate with the Bar. Respondent was censured on 25 September 1984, for failing to diligently represent and communicate with his client. Respondent was also given informal reprimands on 24 July 1989, and 14 February 1990, when he failed to respond to the Bar’s requests for information on other complaints lodged against him.

III. PROCEDURAL HISTORY

Respondent filed an answer to the Bar’s complaint on 27 February 1990, seven days after the filing date. The Bar moved to strike the answer and to have the complaint deemed admitted pursuant to rule *576 53(c)(1). The State Bar Hearing Committee (Committee) ordered respondent to file a response to the Bar’s motion. Because respondent failed to respond, the Committee ordered the complaint admitted.

The Committee held its hearing on 12 June 1990, and found that respondent violated ethical rules (ER) 1.1 (competence) and ER 1.2 (scope of representation) in failing to competently represent his clients, disciplinary rules (DR) 5-105 (conflict of interest) in simultaneously representing State Farm and the Andersons, DR 6-101 (failing to act competently), DR 7-101 (representing a client zealously), ER 1.3 (diligence) in failing to diligently represent his client, ER 1.4 (communication) in failing to communicate with his clients, DR 9-102 (preserving identity of funds and property of a client) in failing to give State Farm its monies owed under the subrogation clause, ER 8.1(b) (maintenance of integrity of the profession), and Supreme Court Rule 51(h) and (i) in failing to furnish information and cooperate with the Bar. The Committee recommended a six month and one day suspension.

The Bar filed its objection to the Committee’s recommendation. Respondent filed neither an objection to the Committee’s recommendation nor a response to the Bar’s objections. The Commission adopted the Committee’s findings of fact and conclusions of law, but rejected its recommendation of suspension recommending that respondent be disbarred.

IV. DISCUSSION

In recommending the sanction of disbarment, the Commission found several aggravating factors and one mitigating factor. In aggravation, the Commission noted respondent’s prior disciplinary history. Respondent had been censured on 25 September 1984, for lack of diligence and failure to communicate with clients. He received informal reprimands for failing to respond to the Bar’s requests for information on 24 July 1989, and 14 February 1990. He failed to cooperate with the Bar’s request for information, failed to respond to the Bar’s subpoena, and failed to give State Farm its funds. In mitigation, the Commission noted that respondent represented unpopular criminal defendants. The Commission concluded that because of respondent’s serious ethical violations, prior discipline for the same conduct and willful disdain for the disciplinary process, disbarment and not suspension was the proper sanction. Respondent was placed on interim suspension on 10 June 1991.

In disciplinary proceedings, this court is the ultimate trier of fact and law and gives serious consideration to the Committee’s and Commission’s reports and recommendations when exercising supervisory responsibilities over the Bar. In re Galusha, 164 Ariz. 503, 504, 794 P.2d 136, 137 (1990). Before imposing discipline, there must be clear and convincing evidence that respondent committed the alleged acts of misconduct. In re Cardenas, 164 Ariz. 149, 151, 791 P.2d 1032, 1034 (1990); rule 54(c). The American Bar Association’s Standards for Imposing Lawyer Sanctions (1986) (Standards ) guides us in determining the proper sanction. In re Fresquez, 162 Ariz.

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Cite This Page — Counsel Stack

Bluebook (online)
816 P.2d 231, 168 Ariz. 574, 94 Ariz. Adv. Rep. 3, 1991 Ariz. LEXIS 67, Counsel Stack Legal Research, https://law.counselstack.com/opinion/matter-of-gaynes-ariz-1991.