Office of Lawyer Regulation v. William R. Lamb

2015 WI 52, 864 N.W.2d 794, 362 Wis. 2d 345, 2015 Wisc. LEXIS 320
CourtWisconsin Supreme Court
DecidedJune 9, 2015
Docket2012AP000486-D
StatusPublished
Cited by1 cases

This text of 2015 WI 52 (Office of Lawyer Regulation v. William R. Lamb) 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. William R. Lamb, 2015 WI 52, 864 N.W.2d 794, 362 Wis. 2d 345, 2015 Wisc. LEXIS 320 (Wis. 2015).

Opinion

PER CURIAM.

¶ 1. Attorney William R. Lamb has appealed from the report of the referee, Attorney James R. Erickson, which found, based on Attorney Lamb's stipulation and no contest plea, that Attorney Lamb had engaged in 75 counts of professional misconduct arising out of ten client representations, that his license to practice law in Wisconsin should be revoked, that he should be required to pay restitution in the total amount of $21,580, and that he should be required to pay the full costs of this disciplinary proceeding, which were $8,875.90 as of September 16, 2014.

¶ 2. Having considered the referee's report, the briefs of the parties, and the record in this matter, we *348 determine that the referee's factual findings based on Attorney Lamb's stipulation are not clearly erroneous. We reject Attorney Lamb's request that he be relieved of the stipulation he entered so that the matter can be remanded to the referee and Attorney Lamb can now present evidence to "correct the record." We further conclude that the referee's factual findings support his conclusions of misconduct on the 75 counts alleged against Attorney Lamb. Given Attorney Lamb's pervasive pattern of misconduct, including forging his client's name in order to convert the client's settlement funds, we determine that it is necessary to revoke Attorney Lamb's license to practice law in this state. We also agree with the referee's recommendation that Attorney Lamb should be ordered to make restitution to the clients he has harmed and to pay the full costs of this disciplinary proceeding.

¶ 3. Attorney Lamb was admitted to the practice of law in this state in April 1989. He maintained a solo legal practice in Menomonie. His license has been suspended for administrative reasons and for failure to cooperate with disciplinary investigations since the fall of 2011.

¶ 4. This is the fourth time that Attorney Lamb has been the subject of professional discipline. The first two instances resulted in consensual private reprimands. In 1997 Attorney Lamb received a consensual private reprimand for failing to provide requested information during a disciplinary investigation. Private Reprimand No. 1997-10. In 2003 Attorney Lamb received a second consensual private reprimand for misconduct involving a failure to communicate the basis or rate of his fee to a client, a failure to maintain trust account records which would have shown whether he had placed an advanced fee into a client *349 trust account or had immediately cashed the checks for his own use, and a failure to provide his client's file to successor counsel in a timely manner. Private Reprimand No. 2003-28.

¶ 5. The third prior disciplinary matter resulted in a 60-day suspension of Attorney Lamb's license. In re Disciplinary Proceedings Against Lamb, 2011 WI 101, ¶ 2, 338 Wis. 2d 1, 806 N.W.2d 439 (Lamb I). In that proceeding, Attorney Lamb stipulated that he had committed 21 counts of professional misconduct arising out of four client representations. Attorney Lamb's actions tended to follow a general pattern. He often accepted advanced fees, which he failed to hold in trust or for which he failed to provide the notices required for the alternative advanced fee procedure under Supreme Court Rule (SCR) 20:1.15(b)(4m). He then refused to or failed to keep his clients reasonably informed about the status of their legal matters, often ignoring multiple requests for information from the clients. When the clients attempted to obtain a refund of fees and a return of their files, Attorney Lamb either failed to respond or failed to comply with their requests. When the Office of Lawyer Regulation (OLR) asked for information regarding the clients' grievances, Attorney Lamb failed to cooperate properly with the OLR's investigations.

¶ 6. The OLR initiated this proceeding by filing a complaint and order to answer on March 7, 2012. The original complaint alleged 23 counts of misconduct arising out of four client representations. Attorney Lamb filed an answer, which admitted some of the allegations of the complaint but contended that the claims of misconduct were without merit and alleged specific facts contradicting some of the complaint's allegations.

*350 ¶ 7. On February 8, 2013, the OLR filed an amended complaint alleging the 75 counts of misconduct referenced above. Attorney Lamb filed an answer that again admitted some of the factual allegations of the amended complaint, denied most of the allegations, provided Attorney Lamb's view of the various client representations, and denied that he had violated any rules of professional conduct, other than perhaps failing to place certain advanced fees into his client trust account. Attorney Lamb's answer to the amended complaint also alleged that he had additional personal information that he would seek to provide to the referee or the OLR and for which a protective order would be appropriate.

¶ 8. In November 2013, Attorney Lamb entered into a stipulation with the OLR. In the stipulation, Attorney Lamb withdrew his answer to the OLR's amended complaint and pled no contest to each of the 75 counts of misconduct, "as set forth in the Amended Complaint." Specifically, Attorney Lamb agreed that the referee "may use the allegations of the Amended Complaint as an adequate factual basis in the record for a determination of misconduct as to each misconduct count to which [Attorney] Lamb has pled no contest." In the stipulation, Attorney Lamb explicitly verified that he understood the misconduct allegations and his right to contest those allegations, that he understood his right to consult with counsel but had decided to proceed on a pro se basis, and that his entry into the stipulation was knowing and voluntary.

¶ 9. The stipulation also called for the matter of the appropriate sanction to be the subject of briefs to be submitted by the parties. The OLR filed a sanction brief, but Attorney Lamb never did so.

*351 ¶ 10. Based on the stipulation Attorney Lamb entered, the referee issued a report containing findings of fact based on the allegations of the amended complaint. He determined that those facts supported conclusions of law that Attorney Lamb had engaged in the ethical violations alleged in the 75 counts set forth in the amended complaint. The referee agreed with the uncontested recommendation in the OLR's sanction brief that Attorney Lamb's license to practice law in Wisconsin should be revoked. He also recommended that Attorney Lamb should be required to pay restitution to three individual clients, as well as to the Wisconsin Lawyers' Fund for Client Protection (the Fund), which had already made payments to five other clients.

¶ 11. It is not necessary to recount the extensive factual findings made by the referee regarding each of the ten client representations at issue in this proceeding. A summary of one representative example is sufficient to provide an accurate picture of the types of misconduct found by the referee with respect to most of the representations.

¶ 12. In November 2010 Attorney Lamb was retained by client M.B. to represent him in attempting to set aside a sheriffs sale of M.B.'s property following the entry of a judgment against M.B.

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Cite This Page — Counsel Stack

Bluebook (online)
2015 WI 52, 864 N.W.2d 794, 362 Wis. 2d 345, 2015 Wisc. LEXIS 320, Counsel Stack Legal Research, https://law.counselstack.com/opinion/office-of-lawyer-regulation-v-william-r-lamb-wis-2015.