Rood v. Rosen (In re Rood)

482 B.R. 132, 2012 WL 4517119
CourtDistrict Court, D. Maryland
DecidedSeptember 29, 2012
DocketCivil Action No. DKC 11-3059
StatusPublished
Cited by9 cases

This text of 482 B.R. 132 (Rood v. Rosen (In re Rood)) is published on Counsel Stack Legal Research, covering District Court, D. Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rood v. Rosen (In re Rood), 482 B.R. 132, 2012 WL 4517119 (D. Md. 2012).

Opinion

MEMORANDUM OPINION

DEBORAH K. CHASANOW, District Judge.

Appellants Robert F. Rood, IV, and Charles Timothy Jewell appeal from a November 4, 2011, judgment against them in a bankruptcy adversary proceeding in accordance with a memorandum of decision issued September 26, 2011.1 The issues are fully briefed and the court now rules pursuant to Local Rule 105.6, no hearing being deemed necessary. For the reasons that follow, the judgment will be affirmed.

1. Background

A. Events Prior to the Adversary Complaint

Appellee Southern Management Corporation Retirement Trust (“SMCRT”) is a pension plan that manages retirement funds for approximately 1,250 employees of Southern Management Corporation. Between March 2006 and September 2007, SMCRT funded thirty-two loans, primarily for short-term construction and renovation projects, originated, by Appellant Robert F. Rood, IV, or a business entity associated with him. Mr. Rood typically presented loan applications and supporting documentation to SMCRT’s loan committee, which reviewed these packages and, upon approval, wired the funds to a settlement agent. Mr. Rood then assisted with closing the loans, managed disbursements to the borrowers, and remitted monthly interest or payments to SMCRT, along with statements of accounting.

In mid-2007, Southern Management Chief Executive Officer David Hillman requested that Mr. Rood permit a routine audit of “his books and records to verify the amount that was supposed to be on deposit.” (ECF No. 5^7, at 75).2 Mr. Rood was initially agreeable, but later balked, citing privacy concerns for his clients. When further efforts to examine his records were unsuccessful, Mr. Hillman called a meeting in October 2007. At that [137]*137meeting, Mr. Rood produced a letter from his attorney opining that he “had no duty to account to [SMCRT]” for its money. (Id. at 75). Ultimately, Mr. Rood agreed to have his own accountant, Lloyd Mallory, review the relevant records and prepare a report. SMCRT received Mr. Mallory’s report in March 2008, which was “basically an affirmative statement that the balances were there and that they were in a bank account and that ... [the] bank balances equaled the amount of money that [Mr. Rood] owed to third parties.” (Id. at 78).

At around the same time, however, SMCRT “began to be contacted by borrowers that were unable to access the funds that Mr. Rood was holding for them.” (Id. at 79). When Mr. Hillman contacted other borrowers, he “learned that their interest escrows in some cases had been depleted,” and that some borrowers “had paid off their loans,” but SMCRT had not received the payments. (Id. at 82). Funds for another loan associated with a property on K Street in the District of Columbia had been released by SMCRT to a title company awaiting settlement. Mr. Rood reported to SMCRT that the loan “was being closed and [was] active” (id.), but Mr. Hillman learned from the title company that this was untrue-in fact, the loan never closed, and the money was sent by the title company to Mr. Rood, upon his request.

On May 9, 2008, SMCRT filed a lawsuit against Mr. Rood and two of his associated business entities in the Circuit Court for Montgomery County, Maryland. Pursuant to an emergency motion, a temporary receiver was appointed to examine records related to SMCRT’s loan portfolio, which Mr. Rood continued to resist providing. The receiver, Thomas Murphy, learned through an independent investigation that Mr. Rood had outstanding judgments against him. Upon contacting attorneys representing the plaintiff in one of those cases, Mr. Murphy learned that Mr. Rood had been entrusted with a large sum of money to assist a restaurant, Village Bar and Grill, in obtaining a lease, and that, soon thereafter, “the money effectively disappeared.” (ECF No. 5-56, at 35).3 Mr. Murphy issued a subpoena to the attorneys for Village Bar and Grill for bank records associated with Level One Capital Partners, LLC (“Level One”), an entity controlled by Mr. Rood. His review of those records reflected that “[t]he majority of the money that was spent out of the Level One bank account ... went for non-corporate expenses.” (Id. at 37). This caused Mr. Murphy to be “very, very concerned about what Mr. Rood was doing with funds.” (Id. at 38).

On May 29, 2008, after he was served with a subpoena to appear in circuit court the next day, Mr. Rood filed a voluntary petition under chapter 7 of the bankruptcy code in the United States Bankruptcy Court for the District of Maryland. The following day, Mr. Rood failed to appear at the circuit court hearing, and Mr. Murphy was appointed as permanent receiver in his absence.

With Mr. Rood continuing to refuse to provide documents, Mr. Murphy retained a private investigation firm, Prudential Associates, to ascertain the location of relevant records. The assigned investigator, Jared Stern, learned that Mr. Rood’s business entities were primarily operating [138]*138from an office on Rugby Avenue in Bethesda, Maryland. When surveillance of that address suggested that Mr. Rood was in the process of destroying documents, Mr. Murphy filed an ex parte emergency motion for right of entry. On June 12, 2008, a judge of the Circuit Court for Montgomery County signed an order authorizing the receiver to enter the Rugby Avenue office and “remove the things that would be reasonably related ... to [his] duties.” (Id. at 42). Mr. Murphy, in turn, authorized Mr. Stern, Steven Michael, an attorney for SMCRT, and Suzanne Hillman, an accountant associated with SMCRT, to enter the property, accompanied by deputies of the Montgomery County Sheriffs Department. They did so the next day, removing voluminous documents, computers, and servers from the office. A computer forensic specialist with Prudential Associates copied the hard drives of all operable computers removed from the Rugby Avenue address.

Meanwhile, in Mr. Rood’s bankruptcy case, Appellee Gary A. Rosen was appointed chapter 7 trustee. He filed voluntary chapter 7 petitions on behalf of a number of entities controlled by Mr. Rood — namely, The Source, LLC; Blue Horseshoe Portfolio Services, LLC; Level One Capital Partners LLC (a Nevada limited liability company); Blue Horseshoe Capital, LLC; Matterhorn Financial, LLC; and Level One Capital Partners, LLC (a Maryland limited liability company) (collectively, “the Debtor Entities”). Mr. Rosen was appointed chapter 7 trustee for the Debtor Entities, and the bankruptcy court administratively consolidated the Debtor Entities’ cases with Mr. Rood’s bankruptcy case.

Pursuant to 11 U.S.C. § 341, a meeting of creditors in the chapter 7 cases was held on July 2, 2008, during which questions were posed to Mr. Rood regarding, inter alia, his sources of income. Mr. Rood refused to answer, invoking his Fifth Amendment privilege. On July 16, 2008, SMCRT and Tysons Financial, LLC (“Tysons”), another creditor, filed an emergency motion for examination of debtor pursuant to Federal Rule of Bankruptcy Procedure 2004.

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Cite This Page — Counsel Stack

Bluebook (online)
482 B.R. 132, 2012 WL 4517119, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rood-v-rosen-in-re-rood-mdd-2012.