Office of Lawyer Regulation v. Joshua F. Stubbins

2014 WI 115, 854 N.W.2d 682, 358 Wis. 2d 358, 2014 Wisc. LEXIS 657
CourtWisconsin Supreme Court
DecidedOctober 14, 2014
Docket2014AP001622-D
StatusPublished
Cited by1 cases

This text of 2014 WI 115 (Office of Lawyer Regulation v. Joshua F. Stubbins) is published on Counsel Stack Legal Research, covering Wisconsin 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 Lawyer Regulation v. Joshua F. Stubbins, 2014 WI 115, 854 N.W.2d 682, 358 Wis. 2d 358, 2014 Wisc. LEXIS 657 (Wis. 2014).

Opinion

*360 PER CURIAM.

¶ 1. In this matter, we consider the petition of Attorney Joshua E Stubbins for the consensual revocation of his license to practice law in Wisconsin pursuant to Supreme Court Rule (SCR) 22.19. Attorney Stubbins is the subject of ongoing investigations by the Office of Lawyer Regulation (OLR) regarding four separate client matters. He acknowledges in his petition that he cannot successfully defend against the misconduct allegations that have arisen out of those investigations.

¶ 2. Attorney Stubbins was admitted to the practice of law in this state in January 2007. During the time period relevant to the investigations, Attorney Stubbins was employed as an associate attorney with a Milwaukee law firm, where he worked primarily in the areas of defending consumer protection and products liability claims. Attorney Stubbins has not previously *361 been the subject of professional discipline. On October 31, 2013, Attorney Stubbins's license was administratively suspended for failure to pay bar dues and assessments and for failure to submit an annual trust account certification. His license was also subsequently suspended for failure to comply with mandatory continuing legal education reporting requirements. His license has remained administratively suspended up to the date of this opinion.

¶ 3. The OLR's summary of the pending investigations involving Attorney Stubbins that is attached to the petition for consensual revocation indicates that the OLR has received three grievances regarding four separate client matters. They will be briefly summarized below.

¶ 4. The first investigation involves E.W, who was a partner in the law firm where Attorney Stubbins worked. E.W requested that the firm represent him in foreclosing on a land contract for a piece of real property that E.W. and his wife owned. In approximately the spring of 2009, the firm assigned Attorney Stubbins to work on the foreclosure of the land contract.

¶ 5. After Attorney Stubbins began working on the first foreclosure, E.W and his wife entered into a second land contract for the property. The buyers under this second contract also defaulted. Consequently, Attorney Stubbins was directed to begin pursuing another foreclosure action against these second buyers.

¶ 6. Attorney Stubbins was to have filed the foreclosure complaints by October 2009. He did not do so, however, until July 2011. During the intervening nearly two years, Attorney Stubbins made multiple misrepresentations regarding the status of the matters, includ *362 ing falsely suggesting that certain actions, such as the service of a complaint, had been accomplished. By his evasion of certain questions and his misrepresentations, Attorney Stubbins led E.W to believe that foreclosure actions had been initiated and were proceeding. Attorney Stubbins, however, filed the two foreclosure complaints in July 2011 only after E.W. had made numerous requests for information about the status of the foreclosure actions. Shortly after the complaints were filed, E.W terminated the law firm's representation on both foreclosure matters and retained other counsel. 1

¶ 7. The OLR's investigation summary indicates that it is investigating possible violations of SCRs 20:1.3, 20:1.4(a)(3), 20:1.4(a)(4), and 20:8.4(c) in this matter.

¶ 8. The second and third client representations at issue have been addressed in a consolidated OLR investigation. Both of those matters were brought to the OLR's attention by the former general counsel of the law firm.

¶ 9. In the second client representation, the law firm represented a company that was a holdover tenant on a commercial lease. The firm assigned Attorney Stubbins to terminate the tenancy, return the keys to the landlord, and assist with the computation of damages connected to rent payments during the holdover period. Attorney Stubbins failed to return the keys to the landlord, which led to the client being held responsible for seven months of double rent charges and the law firm having to make a claim on its malpractice *363 insurance policy. In addition to not doing everything that he was tasked to do, Attorney Stubbins also billed the client for work that he never performed. This ultimately caused the law firm to reduce the client's bill by $11,000.

¶ 10. In the third client representation, the firm assigned Attorney Stubbins to defend an auto finance company against a claim that the finance company had improperly seized the plaintiffs vehicle and then had sold it at auction.

¶ 11. During the pretrial phase of the litigation, the plaintiffs counsel served on Attorney Stubbins a notice of deposition for a finance company representative. After the plaintiffs counsel sent a subsequent confirming letter, Attorney Stubbins responded that he had lost the deposition notice and would be unable to appear on the scheduled date. The plaintiffs counsel thereafter scheduled the representative's deposition for three separate subsequent dates. Each time Attorney Stubbins falsely told plaintiffs counsel that the client representative was ill and could not be deposed. On the last occasion, Attorney Stubbins went so far as to claim that the client representative was seriously ill and required kidney dialysis. When the deposition finally took place, the client representative testified that she had been unaware of the previously scheduled dates for her deposition, that she did not have any kidney-related health problems, and that she was not on dialysis.

¶ 12. Attorney Stubbins also made other misrepresentations to opposing counsel. For example, he told opposing counsel that he would produce certain information in discovery but that he could not do so yet because the client had not yet provided that information to him. The client subsequently acknowledged that *364 it had provided the information at issue to Attorney Stubbins prior to his statement regarding the inability to produce.

¶ 13. The circuit court denied a summary judgment motion drafted by Attorney Stubbins and granted partial summary judgment as to liability to the plaintiff, leaving only the issue of damages to be tried. Attorney Stubbins failed to advise his client of these rather significant developments in the client's case.

¶ 14. In addition to filing the partial summary judgment motion, the plaintiff also filed a motion for sanctions against Attorney Stubbins. The circuit court granted the motion, which ultimately resulted in a sanction of $9,600 being paid by Attorney Stubbins personally. Attorney Stubbins also failed to advise his client that he had been sanctioned by the circuit court.

¶ 15. Finally, Attorney Stubbins filed a notice of appeal from the grant of partial summary judgment to the plaintiff without having obtained the client's consent to do so. The appeal was subsequently dismissed by the court of appeals.

¶ 16. The OLR states that for the second and third client matters, it is investigating potential violations of SCRs 20:1.3, 20:1.4(a), 20:3.4, 20:4.1(a), 20:8.4(c), and 20:8.4(f).

¶ 17.

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Bluebook (online)
2014 WI 115, 854 N.W.2d 682, 358 Wis. 2d 358, 2014 Wisc. LEXIS 657, Counsel Stack Legal Research, https://law.counselstack.com/opinion/office-of-lawyer-regulation-v-joshua-f-stubbins-wis-2014.