Office of Disciplinary Counsel v. Battistelli

457 S.E.2d 652, 193 W. Va. 629
CourtWest Virginia Supreme Court
DecidedApril 14, 1995
Docket22472
StatusPublished
Cited by15 cases

This text of 457 S.E.2d 652 (Office of Disciplinary Counsel v. Battistelli) is published on Counsel Stack Legal Research, covering West Virginia Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Office of Disciplinary Counsel v. Battistelli, 457 S.E.2d 652, 193 W. Va. 629 (W. Va. 1995).

Opinion

WORKMAN, Justice:

I.

The Petitioner, the Office of Disciplinary Counsel of the Lawyer Disciplinary Board, prays that this Court temporarily suspend the law license of the Respondent, Geary M. Battistelli, pursuant to Rule 3.27, West Virginia Rules of Lawyer Disciplinary Procedure (hereinafter “Disciplinary Rule 3.27”). After carefully reviewing the briefs and the record, the Court believes that if the charges against the Respondent are ultimately proven, they will establish that he has engaged in an unprecedented and continuing pattern of inappropriate conduct meriting a serious sanction. Given this, and the real threat that the Respondent poses to the public as a result, the Court hereby temporarily suspends the Respondent’s law license pending the outcome of the ongoing disciplinary proceedings.

II.

The Petitioner claims in its “Petition for Extraordinary Relief’ that it has received twenty-five legal ethics complaints against the Respondent since 1986. At the time that this case was submitted to the Court, the Petitioner asserted that ten of the twenty-five complaints were currently open and were either presently under investigation or before the Hearing Panel of the Lawyer Disciplinary Board. 1 Five of the twenty-six complaints have resulted in action being taken against the Respondent. 2 The remaining ten complaints were dismissed either because (1) the evidence was insufficient to establish a violation of the West Virginia Rules of Professional Conduct, or (2) the evidence showed that the Respondent had not violated those Rules. 3

Subsequent to submitting this case, the Petitioner filed a ten-count “Statement of Charges” against the Respondent on November 18, 1994. Most of the counts contained in the Statement were previously discussed *632 in, and pending at the time of, the Petition. Some of the counts, however, allege new charges. 4 Interestingly, the Respondent freely admits that he has been the subject of numerous complaints, blaming personal difficulties.

The briefs and record reveal that of the eleven matters that were pending at the time of submission, three were before the Hearing Panel of the Lawyer Disciplinary Board. The first complaint before the Hearing Panel (I.D. 94-03-002) charges that Mr. Battistelli lied to Chief Disciplinary Counsel Sherri Goodman in relation to a real estate transaction involving a Roy Appleby. The Respondent had served as closing agent for the transaction and, after the closing, Mr. Apple-by informed Ms. Goodman that the deed involved had not been recorded. Ms. Goodman phoned the Respondent to ask whether he had recorded the deed. The Respondent informed Ms. Goodman that he had recorded the instrument that day. When Ms. Goodman contacted the relevant county clerk, however, she learned that the deed had not yet been recorded. Ms. Goodman then immediately called the Respondent, who had since left his office. The Respondent’s secretary informed Ms. Goodman that Mr. Battis-telli had just left the office to go and record the deed. As a result of this dishonesty, the Respondent was charged with violating Rules 8.1(a) and 8.4(c) of the West Virginia Rules of Professional Conduct. 5

The second complaint before the Hearing Panel (I.D. 91-03-155) charges that Mr. Bat-tistelli misled and lied to former Disciplinary Counsel Maria Potter. The Respondent allegedly told Ms. Potter that he had, or would, make refund payments to a client by certain specified dates. The Respondent was retained by a criminal defendant, Gaylord Morris, to file a writ of habeas corpus on Mr/ Morris’ behalf and to also file a legal malpractice action against his former attorney. The Respondent took a $25,000 retainer from Mr. Morris to achieve those ends ($10,000 for the habeas matter and $15,000 for the malpractice action).

While the writ was filed and denied, the malpractice action was never pursued. Following the commencement of an investigation, the Respondent ultimately agreed to return the $15,000 malpractice retainer. Thereafter, the Respondent (1) told disciplinary counsel on repeated occasions of dates that he would pay back the $15,000; and (2) only ultimately paid $10,000 of the amount due. In sum, the Respondent knowingly failed to follow through on his repeated promises. It also appears that he attempted to mislead disciplinary counsel in this regard by faxing her a copy of a check that he purportedly sent to Mr. Morris when, in fact, the check was never sent. The Respondent’s dishonesty resulted in alleged violations of *633 Rules 8.1(b) and 8.4(c). 6 Given his default in returning the full $15,000, the Respondent was also charged with failing to completely refund the unearned portion of a legal fee under Rule 1.16(d). 7

In the third complaint presently before the Hearing Panel (I.D. 93-03-446), the Respondent is charged with a stunning number of derelictions in conjunction with his failure to prosecute legal matters for Ariel Fauley and her husband and his failure to respond to these clients’ requests for information on the status of their cases. The Respondent admits that he is at fault for failing to respond to the requests for information. He is also charged in this pending matter with making certain misstatements and omissions to opposing counsel. For instance, after several rescheduling efforts by the Respondent, Mr. Battistelli finally settled on a date certain for the depositions of his clients by opposing counsel. When the date of the deposition arrived, however, neither the Respondent nor his clients appeared, and opposing counsel consequently made an unnecessary trip to West Virginia from Virginia. As a result of his alleged misconduct in this case, the Respondent was charged with numerous rule violations. Nevertheless, the gravamen of the matter appears to rest on violations of Rules 1.4(a) and 4.1(a). 8

Six of the remaining complaints, which were still under investigation at the time of submission, charge that the Respondent asked certain clients to loan him money in violation of Rule 1.8(a). 9 According to an affidavit from Ms. Goodman, it appears that the Respondent was warned as early as late 1993 about pestering clients for loans. Ms. Goodman avers as follows:

5. She explained to Mr. Battistelli that it was improper to transact business with a client unless the safeguards set forth in Rule 1.8(a) of the Rules of Professional Conduct were followed. She also told him about the case of Committee on Legal Ethics v. Simmons, [184 W.Va. 183, 399 S.E.2d 894 (1990) ] in which a lawyer’s law license had been suspended, in part, for borrrowing [sic] money from clients. She strongly urged Mr. Battistelli to quit asking clients or anyone to whom he owed a fiduciary duty for loans. Mr. Battistelli agreed to cease this behavior.

The first loan complaint (I.D.

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457 S.E.2d 652, 193 W. Va. 629, Counsel Stack Legal Research, https://law.counselstack.com/opinion/office-of-disciplinary-counsel-v-battistelli-wva-1995.