Matter of Harounian

2016 NY Slip Op 6708, 144 A.D.3d 79, 38 N.Y.S.3d 606
CourtAppellate Division of the Supreme Court of the State of New York
DecidedOctober 12, 2016
Docket2015-02331
StatusPublished

This text of 2016 NY Slip Op 6708 (Matter of Harounian) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Matter of Harounian, 2016 NY Slip Op 6708, 144 A.D.3d 79, 38 N.Y.S.3d 606 (N.Y. Ct. App. 2016).

Opinion

OPINION OF THE COURT

Per Curiam.

The Grievance Committee for the Tenth Judicial District (hereinafter the petitioner) served the respondent with a verified petition dated March 4, 2015, containing 11 charges of professional misconduct. The petition was amended by stipulation at a hearing conducted on October 14, 2015. After the hearing, the Special Referee sustained all charges. The petitioner now moves to confirm the report of the Special Referee, and to impose such discipline upon the respondent as this Court deems just and proper. The respondent, by her attorney, joins in the petitioner’s motion to confirm, and requests that the Court refer the matter back to the Grievance Committee for the issuance of a private sanction, or, in the alternative, issue a sanction no greater than a censure.

Charge 1, as amended, alleges that the respondent misappropriated funds entrusted to her, incident to her practice of law, in violation of DR 9-102 (a) of the former Code of Professional Responsibility (22 NYCRR 1200.46 [a]), now rule 1.15 (a) of the Rules of Professional Conduct (22 NYCRR 1200.0), as follows:

At all relevant times herein, the respondent maintained three bank accounts at Capital One Bank incident to her law *81 practice, to wit: an escrow management transfer account (hereinafter the escrow account), the A/A/F Arsada Corp. LLC account (hereinafter the Arsada account), and the A/A/F MFM Construction LLC account (hereinafter the MFM account). The escrow account was the respondent’s attorney trust account, the Arsada account was an account the respondent opened as an attorney for the benefit of Arsada Corp. LLC, and the MFM account was an account the respondent opened as an attorney for the benefit of MFM Construction LLC, a real estate construction company.

The respondent represented Brookfield Properties, as the seller of real property located at 1181 East 222nd Street, Bronx, New York (hereinafter the 222nd Street transaction). The respondent’s husband, Maurice Harounian, and brothers-in-law, Michael Harounian and Roland Eschagoff, owned or had an interest in Brookfield Properties. As attorney for the seller, the respondent received from the purchaser, Michael Hanchard, a contract down payment in the sum of $20,000, which she deposited into the Arsada account on August 23, 2005.

On October 26, 2005, the respondent transferred the entire balance of the Arsada account into the escrow account, completely liquidating the Arsada account. Between August 23, 2005 and October 26, 2005, there were no disbursements of Hanchard’s $20,000 down payment to or on behalf of either party to the 222nd Street transaction from the Arsada account or the escrow account.

During the closing for the 222nd Street transaction on November 4, 2005, the respondent executed an escrow agreement, which stated, in relevant part, that she was to continue to hold the $20,000 down payment to ensure that issues regarding the status of the property and repairs on the property were completed (hereinafter the Hanchard escrow). Pursuant to the escrow agreement, the “funds shall not be released to seller until November 8, 2005, or until authorization obtained by David Morris.” Between November 4, 2005 and December 9, 2005, there were no disbursements of the Hanchard escrow. By letter dated December 9, 2005, Hanchard’s attorney notified the respondent that there was a dispute related to the conditions set forth in the escrow agreement, obligating the respondent to retain the escrow deposit. As of the date of the petition, the Hanchard escrow as well as the issues surrounding its release had not been resolved.

Between October 26, 2005 and December 17, 2008, the respondent transferred funds back and forth between the *82 escrow account and the MFM account, and disbursed funds from those accounts to or on behalf of her husband, Maurice Harounian, and her brothers-in-law, Michael Harounian and Roland Eschagoff. During that same period, the respondent disbursed funds from the escrow account and the MFM account to or on behalf of herself to pay personal expenses unrelated to the 222nd Street transaction or the escrow agreement. While the respondent was entrusted with the Hanchard escrow, the collective balance on December 17, 2008 in all three bank accounts (Arsada account, escrow account, and MFM account) was $1,727.12, which is less than the $20,000 she was obligated to maintain pursuant to the escrow agreement.

Charge 2 alleges that the respondent violated her fiduciary responsibility by commingling personal funds with funds entrusted to her, incident to her practice of law, in violation of DR 9-102 (a) of the former Code of Professional Responsibility (22 NYCRR 1200.46 [a]), now rule 1.15 (a) of the Rules of Professional Conduct (22 NYCRR 1200.0). In addition to the factual specifications contained in charge 1, between October 26, 2005 and July 23, 2010, while the Hanchard escrow and other client funds were on deposit in the respondent’s escrow account, she deposited personal funds unrelated to her fiduciary duties into that account, including but not limited to: certain fees, credits for her automobile lease, checks written as gifts for her children, and refunds and credits from retail establishments.

Charge 3 alleges that the respondent violated her fiduciary responsibility by failing to keep funds entrusted to her and belonging to another person, in a special account or accounts, separate from any business or personal accounts, in violation of DR 9-102 (b) (1) of the former Code of Professional Responsibility (22 NYCRR 1200.46 [b] [1]), now rule 1.15 (b) (1) of the Rules of Professional Conduct (22 NYCRR 1200.0). In addition to the factual specifications contained in charges 1 and 2, charge 3 alleges, among other things, that by letter dated November 20, 2013, the respondent admitted, in relevant part, that she wrote checks for business and personal expenses out of the escrow account and that she did not segregate escrow monies from her personal funds.

Charge 4 alleges that the respondent violated her fiduciary responsibility by failing to keep funds entrusted to her and belonging to another person, in a special account separate from any account which the respondent maintained in another *83 fiduciary capacity, in violation of DR 9-102 (b) (1) of the former Code of Professional Responsibility (22 NYCRR 1200.46 [b] [1]), now rule 1.15 (b) (1) of the Rules of Professional Conduct (22 NYCRR 1200.0). On August 23, 2005, the respondent deposited the Hanchard down payment from the 222nd Street transaction into the Arsada account, which account was opened for the Arsada Corporation, a client of the respondent who had business unrelated to the 222nd Street transaction.

Charge 5, as amended, alleges that the respondent violated her fiduciary responsibility by possessing funds belonging to another person, incident to her practice of law and placing those funds into an account that was not identified as an “Attorney Special Account,” “Attorney Escrow Account,” or an “Attorney Trust Account,” in violation of DR 9-102 (b) (2) of the former Code of Professional Responsibility (22 NYCRR 1200.46 [b] [2]), now rule 1.15 (b) (2) of the Ruies of Professional Conduct (22 NYCRR 1200.0). Between August 23, 2005 and October 26, 2005, the Hanchard escrow was held in the Arsada account.

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Bluebook (online)
2016 NY Slip Op 6708, 144 A.D.3d 79, 38 N.Y.S.3d 606, Counsel Stack Legal Research, https://law.counselstack.com/opinion/matter-of-harounian-nyappdiv-2016.