Statewide Grievance Committee v. Ankerman

812 A.2d 169, 74 Conn. App. 464, 2003 Conn. App. LEXIS 7
CourtConnecticut Appellate Court
DecidedJanuary 7, 2003
DocketAC 22299
StatusPublished
Cited by7 cases

This text of 812 A.2d 169 (Statewide Grievance Committee v. Ankerman) is published on Counsel Stack Legal Research, covering Connecticut Appellate Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Statewide Grievance Committee v. Ankerman, 812 A.2d 169, 74 Conn. App. 464, 2003 Conn. App. LEXIS 7 (Colo. Ct. App. 2003).

Opinion

Opinion

FOTI, J.

The defendant, William L. Ankerman, appeals from the judgment of the trial court suspending him from the practice of law for a period of three years. Only one of the issues raised by the defendant on appeal merits discussion: The defendant claims that the court improperly denied his motion for a mistrial in which he argued that the court failed to render its judgment within 120 days from the completion date of the trial.1 We affirm the judgment of the trial court.

[466]*466The following facts and procedural history are relevant to the resolution of the defendant’s appeal. By letter dated July 6, 1998, the defendant informed the statewide grievance committee (committee) of what he deemed to be a “serious problem with [his] actions” in regard to his representation in a legal matter. The letter revealed the following facts. In 1993, the defendant brought a personal injury action on behalf of a minor. The Wallingford Probate Court appointed the minor’s parents as guardians of her estate and, after the parties reached a settlement in the lawsuit, the Probate Court approved the settlement. The defendant opened a trust account for the minor and deposited approximately $66,000 in settlement proceeds therein. The defendant thereafter withdrew trust account funds to pay various fees and medical providers, leaving approximately $44,000 in the trust account. The defendant further represented that despite the fact that he was entitled to only $9000 in attorney’s fees from the remaining funds, he nonetheless improperly withdrew the entire $44,000 from the account for his personal use.

In September, 2000, the committee, by way of a written complaint filed in the Superior Court, presented the defendant for misconduct not occurring in the presence of the court.2 In its complaint, the committee alleged, inter alia, that (1) the defendant had reported to it that he had misappropriated approximately $35,000 from [467]*467the trust account, (2) the Probate Court had issued a decree whereby it ordered the defendant to repay $64,344.14 in misappropriated account funds, (3) the defendant had appeared before the committee to discuss his conduct and (4) it deemed the conduct worthy of disciplinary action by the court. The committee alleged that the defendant had violated rules 1.15 (b),3 8.4 (2)4 5and 8.4 (3)5 of the Rules of Professional Conduct and asked that the court impose such discipline as it deemed appropriate.

On January 10, 2001, the court conducted a hearing on the presentment. At the conclusion of the evidentiary hearing, the court ordered the parties to file briefs by February 1, 2001, and scheduled argument for February 5, 2001. On February 5, 2001, the court heard argument from both parties. On June 5, 2001, the court issued what it entitled a “memorandum of decision” in which it found that the committee had proven by clear and convincing evidence that the defendant had violated the Rules of Professional Conduct alleged in the complaint. In its memorandum, the court ordered the parties to appear before it on July 24,2001, for a hearing related to the issue of an appropriate disposition and stated [468]*468that the court would issue a separate memorandum following that heating.6

On July 24, 2001, the court conducted its hearing. On August 22, 2001, the court issued a memorandum of decision in which it detailed its factual findings concerning the defendant’s conduct, set forth its findings and conclusions concerning the appropriate discipline against him, and suspended him from the practice of law for a period of three years. This appeal followed.

The issue before us concerns the court’s denial of the motion for a mistrial that the defendant filed on July 23, 2001. By means of that motion, the defendant argued that the court had failed to issue its decision on the complaint within 120 days as required by General Statutes § 51-183b.7 The defendant posited that February 5,2001, was the completion date of the trial because, on that date, the parties already had submitted their posttrial briefs and had completed their arguments to the court on the evidence adduced at the January 10, 2001 hearing. The defendant also pointed out that in its June 5, 2001 memorandum, the court made factual findings, but failed to dismiss the complaint or to take any action against him. Essentially, the defendant argued that as of February 5, 2001, the trial had ended and that the court had ample evidence on which to render a judgment. Further, the defendant argued that [469]*469the court, by failing to render judgment by June 5, 2001, failed to “retain jurisdiction” and that its order, requiring the parties to appear for an additional hearing related to the issue of sanctions, did not open the hearing.

The court heard argument on the defendant’s motion on July 24, 2001. The court denied the motion. The court explained that it scheduled an additional hearing related to the issue of sanctions because, in light of the seriousness of the proceeding and the fact that any sanction it would impose would have a dire effect on the defendant’s career, it wanted to afford the defendant an opportunity “to make sure that there was nothing that the court overlooked or that [the defendant] wished the court to consider that was not already before the court.” The court further stated that it had “the option [during the 120 day period after the completion date of the trial] to reopen the evidence if the court feels that it needs more evidence or more input from the lawyers for any reason to assist the court in reaching its decision.” In its subsequent August 22, 2001 memorandum of decision, the court further explained that it ordered the parties to appear at the hearing “because there was a dearth of evidence to assist the court in reaching an appropriate disposition.” The court stated that because of that lack of evidence and in the interest of justice, it “chose to proceed cautiously and afford [the defendant] an additional opportunity to present evidence in mitigation of his misconduct before imposing discipline.”

On appeal, the defendant reiterates the arguments on which he relied in his motion for a mistrial. We first set forth the standard by which we will evaluate his claim. “The decision as to whether to grant a motion for a mistrial ... is one that requires the trial court to exercise its judicial discretion. . . . Our review of the trial court’s exercise of its discretion is limited to [470]*470questions of whether the court correctly applied the law and could reasonably have concluded as it did. . . . Every reasonable presumption will be given in favor of the trial court’s ruling. ... It is only when an abuse of discretion is manifest or where an injustice appears to have been done that a reversal will result from the trial court’s exercise of discretion.” (Internal quotation marks omitted.) Nevers v. Van Zuilen, 47 Conn. App. 46, 51, 700 A.2d 726 (1997).

In reviewing the court’s exercise of discretion, we necessarily must determine whether the court correctly applied the law and reasonably could have concluded that the operation of § 51-183b, as well as the defendant’s objection on such ground, did not deprive it of the power to continue to exercise its jurisdiction over the parties.

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Cite This Page — Counsel Stack

Bluebook (online)
812 A.2d 169, 74 Conn. App. 464, 2003 Conn. App. LEXIS 7, Counsel Stack Legal Research, https://law.counselstack.com/opinion/statewide-grievance-committee-v-ankerman-connappct-2003.