Office of Disciplinary Counsel v. Abrams

64 Pa. D. & C.4th 419
Supreme Court of Pennsylvania·Decided November 7, 2002·No. Disciplinary Board Docket, no. 153 D.B. 2000·Published

Opinion

To the Honorable Chief Justice and Justices of the Supreme Court of Pennsylvania:

SCHULTZ, Member,

Pursuant to Rule 208(d) (2) (iii) of the Pennsylvania Rules of Disciplinary Enforcement, the Disciplinary Board of the Supreme Court of Pennsylvania herewith submits its findings and recommendations to your honorable court with respect to the above-captioned petition for discipline.

I. HISTORY OF PROCEEDINGS

On November 28, 2000, petitioner, Office of Disciplinary Counsel, filed a petition for discipline against respondent, Ronald B. Abrams, alleging that respondent engaged in certain professional misconduct, thereby violating Pennsylvania Rules of Professional Conduct 1.15(a), 1.15(b) and 8.4(c). Respondent filed an answer to the petition for discipline on December 29, 2000.

Disciplinary hearings were held on both April 24,2001 and June 18,2001 before Hearing Committee 1.09 comprised of Chair Denise Joy Smyler, Esquire and Members Thomas G. Wilkinson Jr., Esquire and Jerry Michael Lehocky, Esquire. Petitioner was represented by Barbara [421]*421S. Rosenberg, Esquire. Respondent was represented by Samuel C. Stretton, Esquire. Petitioner submitted a stipulation of facts as well as nine exhibits and presented no witnesses. Respondent submitted a supplemental stipulation of facts as well as over 40 exhibits and presented the testimony of his accountant, his financial advisor, his treating psychiatrist, a psychiatric expert and various character witnesses, as well as his own testimony.

The Hearing Committee filed a report on January 29, 2002 recommending an 18-month suspension. A brief on exceptions was filed by petitioner. Respondent filed a brief opposing exceptions and requested oral argument. Oral argument was heard on May 6, 2001 by a panel consisting of Board Members Mark C. Schultz, Esquire, John W. Morris, Esquire, and Lisa A. Watkins, Esquire.

This matter was adjudicated by the Disciplinary Board at its meeting on May 15, 2002.

II. FINDINGS OF FACT

The board makes the following findings of facts:

(1) Respondent was bom in 1944 and was admitted to practice law in the Commonwealth of Pennsylvania in 1970.

(2) For most of his years in practice, respondent maintained a very busy plaintiff’s personal injury practice.

(3) At various times during the period from 1995 through 1998, respondent held fiduciary funds in the following bank accounts:

[422]*422(a) Midlantic Bank account no. 000-517206-9, titled “Ronald B. Abrams Esq. escrow account”;

(b) Midlantic Bank account no. 84-0030-5993, titled “Ronald B. Abrams Esq. escrow account”;

(c) PNC Bank account no. 84-0030-5993, titled “Ronald B. Abrams Esq. escrow acct”;

(d) PNC Bank account no. 86-01916272, titled “Ronald B. Abrams IOLTA,” 5/12/98-present;

(e) Midlantic Bank account no. 000-4278040, titled “Ronald B. Abrams, Attorney,” which became:

(f) PNC Bank account no. 84-0025-5631, titled “Ronald B. Abrams, Attorney”;

(g) Jefferson Bank account no. 0510-17334, titled “Ronald B. Abrams Esq.,” 9/96-3/98;

(h) United Valley Bank account no. 032-03336, titled “Ronald B. Abrams Esquire IOLTA account”;

(i) Jefferson Bank account no. 0022-13303, titled “Ronald B. Abrams Esquire”;

(j) First Executive Bank account no. 104 982 8, captioned “Ronald B. Abrams, Esq. escrow account”; and

(k) United Valley Bank account no. 002-13303, titled “Ronald B. Abrams Esquire.”

(4) During a period commencing in 1995 and continuing to late 1998, respondent engaged in a pattern of misconduct involving funds of clients and third persons in his possession in connection with a representation (fiduciary funds), wherein he:

(a) failed to hold all fiduciary funds in a bank account separate from his own funds, deposited personal funds [423]*423into an account used as an escrow account, and distributed fiduciary funds from that account;

(b) failed to promptly distribute to clients and third parties funds to which they were entitled, and in some cases never made such distribution, as set forth in paragraph 12;

(c) issued checks for fiduciary obligations which were not supported by sufficient funds;

(d) utilized fiduciary funds for his own benefit, without the knowledge and consent of the parties entitled to the funds; and

(e)failed to maintain sufficient funds in the account(s) into which he deposited fiduciary funds to meet all fiduciary entrustments.

(5) During the following periods, respondent failed to hold sufficient funds in said accounts to support all fiduciary entrustments:

ESCROW ONLY DAYS COMBINED DAYS
BALANCE ALL ACCOUNTS
3/29/95-4/7/95 10 4/4/95-4/7/95 4
4/12/95-5/23/95 41 4/17/95-5/23/95 37
6/16/95-7/6/95 21 6/19/95-6/27/95 9
6/29/95-7/6/95 8
8/18/95-8/20/95 3
10/18/95-10/20/95 3
10/31/95-12/5/95 35 11/9/95-12/5/95 26
12/7/95-12/31/95 25 12/7/94-12/31/95 25
TOTAL FOR YEAR 1995 138 109
[424]*4241/1/96-5/13/96 133 1/1/96-3/15/96 75
3/21/96-5/13/96 53
5/17/96-5/30/96 13 5/23/96-5/30/96 8
6/10/96-6/21/96 12 6/11/96-6/21/96 11
7/1/96-12/31/96 184 7/1/96-12/2/96 155
12/11/96-12/27/96 17
TOTAL FOR YEAR 1996 342 319
1/1/97-5/7/97 127 1/3/97-1/6/97 4
1/16/97-2/3/97 19
2/14/97-5/7/97 73
5/19/97-10/27/97 161 5/19/97-10/27/97 161
11/21/97-12/31/97 40 11/24/97-12/31/97 38
TOTAL FOR YEAR 1997 328 305
1/1/98-1/23/98 23 1/1/98-1/23/98 23
2/2/98-2/13/98 8 2/9/98-2/12/98 5
TOTAL THROUGH 6/30/98 31 28

(6) The negative cumulative account status reached as high as $65,676.74 during this period.

(7) Distributions took place as follows in the following matters:

(a) John Brownlee $6,948 1/19/95 1/23/95
958 2/15/95
633 3/21/95
233 3/28/95
0 3/28/96
Lapse: 69 days
(b) G. Nichol Est. $35,852 2/10/95 - 2/24/95
6,641 - 6/20/95
6,337 - 6/21/95
3,787 - 6/26/95
3,723 - 7/5/95
[425]*4252,728 - 11/12/96

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Office of Disciplinary Counsel v. Abrams, 64 Pa. D. & C.4th 419 (Pa. 2002).

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