State Ex Rel. Oklahoma Bar Association v. Combs

2007 OK 65, 175 P.3d 340, 2007 Okla. LEXIS 97, 2007 WL 2609793
CourtSupreme Court of Oklahoma
DecidedSeptember 11, 2007
DocketSC BD-5219
StatusPublished
Cited by95 cases

This text of 2007 OK 65 (State Ex Rel. Oklahoma Bar Association v. Combs) 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 Association v. Combs, 2007 OK 65, 175 P.3d 340, 2007 Okla. LEXIS 97, 2007 WL 2609793 (Okla. 2007).

Opinions

[343]*343OPALA, J.

¶ 1 In this disciplinary proceeding against a lawyer the issues to be decided are: (1) Does the record submitted for our examination provide sufficient evidence for a meaningful de novo consideration of the complaint and of its disposition?1 and (2) Is suspension for two years and one day together with the payment of costs an appropriate disciplinary sanction for respondent’s breach of acceptable professional demeanor? We answer the first question in the affirmative and the second in the negative.

I

INTRODUCTION TO THE RECORD

¶2 The Oklahoma Bar Association (Bar) commenced this disciplinary proceeding on 25 August 2006 against Roland Vincent Combs (respondent or Combs), a licensed lawyer, by filing a formal complaint in accordance with the provisions of Rule 6.1 of the Rules Governing Disciplinary Proceedings (RGDP).2 The complaint alleges in two counts violations of the RGDP and of the Oklahoma Rules of Professional Conduct (ORPC).3 A trial panel of the Professional Responsibility Tribunal (the trial panel or panel) conducted hearings (the PRT hearings) on 14 November 2006 and 29 November 2006. The parties submitted no stipulations.

¶ 3 Upon conclusion of the hearing and after consideration of the testimony and admitted exhibits, the trial panel issued its report finding that respondent violated certain provisions of the rules of professional conduct. The panel recommended that the respondent be suspended from the practice of law for two years and one day and that he pay the costs taxed in this proceeding.

II

THE RECORD BEFORE THE COURT PROVIDES SUFFICIENT EVIDENCE FOR A MEANINGFUL DE NOVO CONSIDERATION OF ALL FACTS RELEVANT TO THIS PROCEEDING

¶ 4 In a Bar disciplinary proceeding the court functions as an adjudicative licensing authority that exercises exclusive original cognizance.4 Its jurisdiction rests on the court’s constitutionally vested, nondelegable power to regulate the practice of law, including the licensure, ethics, and discipline of this state’s legal practitioners.5 In deciding whether discipline is warranted and what sanction, if any, is to be imposed for the misconduct charged, the court conducts a full-scale, non-deferential, de novo examination into all relevant facts,6 in which the [344]*344conclusions and recommendations of the trial panel are neither binding nor persuasive.7 In this undertaking we are not restricted by the scope-of-review rules that govern corrective relief on appeal or on certiorari, proceedings in which another tribunal’s findings of fact may have to be left undisturbed by adherence to law-imposed standards of deference that test the legal correctness of a lower tribunal’s fact findings.8

¶ 5 The court’s duty can fully be discharged only if the trial panel submits a complete record of the proceedings.9 Our initial task is to ascertain whether the tendered record is sufficient to permit (a) this court’s independent determination of the facts and (b) its crafting of an appropriate discipline. The latter is that which (1) is consistent with the discipline imposed upon other lawyers who have committed similar acts of professional misconduct and (2) avoids the vice of visiting disparate treatment on the offending lawyer.10

¶ 6 Having carefully scrutinized the record submitted to us in this proceeding, we conclude that it is adequate for our de novo consideration of respondent’s alleged professional misconduct.

III

THE CHARGES AGAINST RESPONDENT

A. Count I — The Randles Complaint

¶ 7 In August of 2004 Kenard Ran-dles (Randles) hired the respondent Combs to probate the estate of his deceased wife, Pamela Randles, and paid Combs a retainer of $1,800. Randles was not named the personal representative in his wife’s will. It was Mr. Anthony Jameson (Jameson), the decedent’s brother, who was appointed personal representative of the estate.11

¶ 8 In connection with the estate’s probate Combs brought suit for the wrongful death of the decedent and entered into a contingent fee agreement with Jameson under which 35% of any funds collected would be retained by Combs and the remaining 65% would be deposited to the estate’s credit. Combs settled the wrongful death claim for $10,000. Of the total amount recovered, $3,500 belonged to Combs and $6,500 to the estate.

¶ 9 A minimum balance of $6,500 should have remained in Combs’ trust account as the amount belonging to the estate of Pamela Randles. The recovered $10,000 was deposited in Combs’ trust account in early May 2005. Within that month the balance in the trust account dropped to $500.73. During [345]*345the month of June 2005 Combs’ trust account balance fell as low as $81.31. The $6,500 due the estate was paid in June of 2006, after the Bar had begun investigating Combs’ trust account handling in connection with this and another complaint.

¶ 10 Combs fully admits to and apologizes for withdrawing an excessive amount of money from the trust account and placing it in his operating account. During the time the balance fell below $6,500 Combs states that he was involved in activities connected with the opening a law office in Dallas, Texas and spent a considerable amount of time away from his Oklahoma City office. Combs testified that he relied on his Oklahoma City staff to deal with certain office affairs and stated that the removal of excessive funds from the trust account was caused by an error in communication between him and his staff by which he was led to believe he was entitled to the money as a fee. The staff testified that Combs was notified of the error within two months of the occurrence. Combs contends that he was not informed until much later, although the specific time frame within which he acquired the knowledge was not revealed.

¶ 11 Jameson testified that he phoned Combs periodically to inquire about the status of the account and of the estate and was told Combs was continuing to work on the matter. Jameson believed the $6,500 had been continuously maintained in the trust account.12

¶ 12 In relation to count one the Bar alleges violations of the provisions of ORPC Rule 1.15,13 ORPC Rule 8.1(b),14 ORPC Rule 8.4(a),15 ORPC Rule 8.4(c),16 RGDP Rule 1.3,17 RGDP Rule 1.4,18 and RGDP Rule 5.2.19

[346]*346¶ 13 Combs admits to a violation of ORPC Rule 1.15 (mishandling of funds) and in essence, concurrently with the specified admission, also admits to violating ORPC Rule 8.4(a), RGDP Rule 1.3, and RGDP Rule 1.4(b). We accept Combs’ admission and find from clear and convincing evidence that his conduct, which violated those rules, constitutes grounds for the imposition of professional discipline. We employ three different culpability standards in evaluating mishandling of funds. Those are called (1) commingling; 20 (2) simple conversion;21

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Bluebook (online)
2007 OK 65, 175 P.3d 340, 2007 Okla. LEXIS 97, 2007 WL 2609793, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-ex-rel-oklahoma-bar-association-v-combs-okla-2007.