State Ex Rel. Oklahoma Bar Ass'n v. Busch

1993 OK 72, 853 P.2d 194, 64 O.B.A.J. 1742, 1993 Okla. LEXIS 86, 1993 WL 173664
CourtSupreme Court of Oklahoma
DecidedMay 25, 1993
DocketSCBD 3821
StatusPublished
Cited by17 cases

This text of 1993 OK 72 (State Ex Rel. Oklahoma Bar Ass'n v. Busch) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State Ex Rel. Oklahoma Bar Ass'n v. Busch, 1993 OK 72, 853 P.2d 194, 64 O.B.A.J. 1742, 1993 Okla. LEXIS 86, 1993 WL 173664 (Okla. 1993).

Opinions

HODGES, Chief Justice.

The Oklahoma Bar Association (Bar Association) filed a three-count complaint against the respondent, J. Michael Busch, alleging that the respondent engaged in misconduct in violation of the Oklahoma Rules of Professional Conduct. The parties appeared before the Professional Responsibility Tribunal (PRT) and submitted Agreed Stipulations of Fact, Conclusions of Law, and Agreed Recommendation of Discipline. The PRT accepted the agreement as to the facts but rather than recommend the ninety-day suspension from the practice of law agreed to by the parties, the PRT recommended the respondent be suspended for six months.

I. FACTS

The parties tendered the following stipulations:

The respondent agreed to represent a client in a wrongful termination action. [195]*195The respondent did not file the claim but allowed the client to believe that he had. Being uncertain that the statute of limitations had run, the respondent paid the client $3,765 for settlement. The respondent did not inform the client that he should seek independent representation before settling the possible claim against respondent.

The respondent represented the same client in a workers’ compensation case. In the process, the client was referred to Dr. L for hearing test. Respondent told Dr. L that he would be paid before the compensation funds were disbursed to the client. On several occasions, Dr. L was told that the check had been mailed or would be immediately mailed.

When Dr. L did not receive payment, he contacted the Bar Association who in turn contacted the respondent. When the Bar Association contacted the respondent, he replied that he had paid the bill even though he had not. Dr. L again notified the Bar Association that the bill was unpaid.

When the Bar Association requested documentation that the bill had been paid, the respondent failed to reply. The Bar Association then sent the respondent a certified letter asking for the documentation. The respondent’s secretary telephoned that the respondent was out of town due to sickness in the family. Not until after the Bar Association served a subpoena on the respondent did he pay the bill and respond to the Bar Association’s request for documentation.

II. ENHANCEMENT OF DISCIPLINE

The record and the stipulated facts show that on May 12, 1992, this Court publicly reprimanded the respondent and ordered that he be supervised by a monitoring attorney for one year because of the respondent’s neglect of a client’s legal matters. On August 24, 1990, the Professional Responsibility Commission privately reprimanded the respondent for failing to respond to a grievance.

III. MITIGATION

The stipulation contained the following statement of mitigation. At the time that the respondent wrote the check to his client on the wrongful termination case, the respondent was uncertain, under the Workers’ Compensation Statute, that the time for filing the claim had lapsed. The respondent contends that his misrepresentation to Bar Association that Dr. L’s bill had been paid was inadvertent and was done without the intention to mislead.

The parties also stipulated that the respondent was in litigation which was set for trial on January 20, 1992. The respondent’s mother had cancer requiring surgery and he was out of the state for one week at the end of January 1992. Upon discovering the bill to Dr. L was unpaid, the respondent paid the bill and notified the Bar Association. The Bar Association does not contend that the payment to the client for the wrongful termination case was inadequate. We cannot agree that all the statements under “Mitigation” are mitigating factors.

First, the parties stipulated that the respondent was not certain whether, under the Workers’ Compensation Act, the statute of limitations had run on the wrongful termination claim before he wrote the check to his client. The parties also stipulated that the respondent violated rule 1.8(h) of the Rules of Professional Conduct which provides:

A lawyer shall not make an agreement prospectively limiting the lawyer’s liability to a client for the lawyer’s personal malpractice, or settle a claim for such liability with an unrepresented client or former client without first advising that person in writing that independent representation is appropriate in connection therewith.

If the respondent violated rule 1.8(h), he must have thought at the time that he gave his client the cheek that the respondent was at least potentially liable to the client. Therefore, this stipulated fact does not mitigate the discipline.

Second, the parties stipulated that upon respondent’s discovering the bill to Dr. L had not been paid, he paid the bill and [196]*196notified the OBA. The stipulated facts show that, between October 30, 1989 and January 27, 1992, the respondent was contacted six times that the bill had not been paid. Yet he did not pay the bill until he was served with a subpoena on February 12, 1992. Therefore, the record does not support his stipulation.

Third, we do not find that the fact that the respondent was involved in another case since 1984 and set for trial on January 20, 1992, a mitigating factor. Rule 1.16 of the Oklahoma Rules of Professional Conduct provides:

[A] lawyer shall not represent a client ... if:
(1) the representation will result in violation of the Rules of Professional Conduct or other law....

Rule 1.3 provides:

A lawyer shall act with reasonable diligence and promptness in representing a client.

The respondent had known since 1984 that he was involved in another case. If he could not diligently represent the client, he should have declined representation.

There are three mitigating factors to which the parties stipulated that have merit. First, there is no charge that the respondent underpaid the client in settlement of the claim. Second, the respondent did not act out of a dishonest or selfish motive. Third, the respondent’s mother was ill and he had to be out of town for her surgery. Lack of dishonest or selfish motive and personal problems at the time of misconduct can be factors which are taken into consideration in determining appropriate discipline.

IV. CONCLUSIONS OF LAW

The parties agreed that the respondent violated the Oklahoma Rules of Professional Conduct, specifically rule 8.4(c) for failing to fully inform his client of the status of the wrongful termination case, rule 1.8(h) for failing to inform his client to get independent legal representation, and rule 8.1(b) for failing to correct a misapprehension and failing to timely respond to a lawful demand for information from a disciplinary authority.

V. DISCIPLINE

As stated earlier, the stipulated recommended discipline was a ninety-day suspension. The PRT accepted the stipulated facts, enhancement of discipline, mitigation and conclusions of law but rejected the stipulated discipline and recommended a six-month suspension.

Both the Bar Association and the respondent have filed briefs in this Court arguing that the PRT’s recommended six-month suspension from the practice of law is too harsh.

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Bluebook (online)
1993 OK 72, 853 P.2d 194, 64 O.B.A.J. 1742, 1993 Okla. LEXIS 86, 1993 WL 173664, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-ex-rel-oklahoma-bar-assn-v-busch-okla-1993.