People v. Lavenhar

934 P.2d 1355, 1997 Colo. LEXIS 258, 1997 WL 142721
CourtSupreme Court of Colorado
DecidedMarch 31, 1997
Docket95SA261, 96SA106
StatusPublished
Cited by19 cases

This text of 934 P.2d 1355 (People v. Lavenhar) is published on Counsel Stack Legal Research, covering Supreme Court of Colorado primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
People v. Lavenhar, 934 P.2d 1355, 1997 Colo. LEXIS 258, 1997 WL 142721 (Colo. 1997).

Opinion

PER CURIAM.

We have consolidated two lawyer discipline proceedings involving the respondent for the purpose of issuing one opinion and order. In case No. 95SA261, a hearing panel of the supreme court grievance committee approved the findings and recommendation of a hearing board that the respondent be suspended from the practice of law for one year and one day. The same hearing panel approved the findings and recommendation of a second hearing board in case No. 96SA106 that the respondent be disbarred. We have concluded that disbarment is appropriate.

I.

The respondent was admitted to the practice of law in this state in 1982. The procedural posture of this case is complex. On October 24, 1991, the respondent was voluntarily transferred to disability inactive status. He alleged a disability that impaired his ability to defend himself in pending disciplinary proceedings. See C.R.C.P. 241.19(d). The respondent underwent an independent psychiatric examination by Dr. Irwin Levy. See id. Dr. Levy’s report indicated that the respondent did not have a disability that prevented him from either practicing law or defending himself in disciplinary proceedings. Nevertheless, the court granted the respondent’s request for a second independent examination. The report of the second examining physician, Dr. William Dahlberg, stated

that by reason of mental and emotional infirmity [the respondent’s] ability to defend himself adequately in the underlying *1356 grievance proceeding is impaired, and he is unable to defend himself adequately or meaningfully in the grievance proceeding. The extent of [the respondent’s] ability as concerns defense of the grievance proceeding is to cooperate with and assist in a lay capacity a competent attorney, provided that attorney is himself capable of managing and directing [the respondent’s] defense of the grievance proceeding.

On April 14, 1992, the court continued the respondent’s disability inactive status and placed the disciplinary proceedings in abeyance. On October 29, 1992, we ordered that a hearing be held on the respondent’s disability and that Phillip S. Figa, Esq., be appointed to represent the respondent. Figa was appointed under the court’s plenary powers over lawyer disciplinary matters, C.R.C.P. 241.15(c) and C.R.C.P. 241.19(d)(4). The court subsequently granted the parties’ stipulation to continue the respondent on disability inactive status, but to resume the underlying disciplinary proceedings. Then on June 7, 1994, pursuant to the complainant’s request to appoint counsel for the respondent, the court appointed Frank Plaut, Esq. Figa had been permitted to withdraw as the respondent’s counsel. Plaut represented the respondent throughout the two disciplinary proceedings before the court now, Nos. 95SA261 and 96SA106, until October 18, 1996, when we appointed the respondent’s present counsel to represent him in both proceedings before the court.

II.

Case No. 95SA261

This ease was heard on April 27 and 28, 1995, before a hearing board. The respondent was represented at the hearing by appointed counsel, although the respondent advised his lawyer that he was “very ill” and did not attend the hearing. Based on the evidence presented, the board made the following findings by clear and convincing evidence.

A.

On March 3,1989, Mitchell Clarke retained the respondent’s law firm to represent him in an action against Clarke’s brother. In 1984, the Clarke brothers were partners in a business called Coat of Arms Painting and Decorating. The brothers executed an agreement in 1987 terminating the business relationship.

Clarke was a member of a legal service plan. The respondent offered reduced fees to members of the plan. Clarke paid the respondent a $500 advance fee and agreed to legal fees of $50 per hour. The respondent filed a complaint in district court in September 1989 asserting contract and tort claims against Clarke’s brother. Trial was scheduled to begin on May 15, 1990. As the trial approached, the respondent repeatedly warned Clarke about the outstanding balance in Clarke’s legal bill.

The respondent injured his back on the day before trial, and the court granted him a continuance until January 14, 1991. Clarke and the respondent agreed that Clarke would work off part of his legal bill by painting and repairing the respondent’s home. In July 1990, while Clarke was painting, the respondent went to a store and charged $107.13 in materials needed for repairs to a general contractor. Clarke’s wife was a subcontractor for the general contractor. Neither Clarke nor his wife authorized the respondent to make these charges. The respondent refused to pay Clarke directly for the charges, and issued Clarke a credit for the amount. Clarke’s wife notified the store and general contractor of the unauthorized charges and reimbursed the contractor in full with a check.

The respondent filed a motion to withdraw in the district court in August 1990, claiming that Clarke was in default on his fee obligation and that he had accused the respondent of misconduct regarding an outside business relationship. The motion to withdraw was denied. The respondent’s motion for reconsideration and petition for an original proceeding in this court were also denied.

The respondent injured his back again on November 3, 1990. Shortly thereafter the respondent reported that he was involved in a serious automobile accident on December 13, 1990. When the district court refused to continue the January 1991 trial, the respondent’s paralegal wrote Clarke a letter indi- *1357 eating that the respondent was “physically unable to appear at trial,” and providing ideas and suggestions for Clarke to handle the trial pro se. On January 14, 1991, the case was dismissed without prejudice and the respondent and his client were ordered to pay the defendant’s attorney fees. The respondent was permitted to withdraw on March 19,1991. Approximately $6,800 of the over $25,000 billed to Clarke in attorney fees and costs was for “withdrawal-related work and collection-related work commencing in July, 1990.”

The respondent’s misconduct in the Clarke matter occurred prior to the effective date of the Rules of Professional Conduct, January 1, 1993. By charging repair materials to an account without authorization, the respondent thereby violated DR 1-102(A)(4) (engaging in conduct involving dishonesty, fraud, deceit, or misrepresentation). In addition, the respondent’s charging of $6,800 in fees directly related to his protracted efforts to withdraw and to collect his fee violated DR 2-106(A) (charging an illegal or clearly excessive fee).

B.

As a result of his automobile accident in December 1990, the respondent sustained a brain lesion and suffered from depression. Subsequently, in June 1991, he sustained a concussion following his fall from a roof. On October 24, 1991, the respondent was voluntarily transferred to disability inactive status. See C.R.C.P. 241.19. “During such time as a lawyer is on disability inactive status he shall not engage in the practice of law.” C.R.C.P. 241.19(a).

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Bluebook (online)
934 P.2d 1355, 1997 Colo. LEXIS 258, 1997 WL 142721, Counsel Stack Legal Research, https://law.counselstack.com/opinion/people-v-lavenhar-colo-1997.