Taylor v. SEARCY DENNEY SCAROLA BARN-HART

651 So. 2d 97
CourtDistrict Court of Appeal of Florida
DecidedMarch 1, 1995
Docket93-0319
StatusPublished

This text of 651 So. 2d 97 (Taylor v. SEARCY DENNEY SCAROLA BARN-HART) is published on Counsel Stack Legal Research, covering District Court of Appeal of Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Taylor v. SEARCY DENNEY SCAROLA BARN-HART, 651 So. 2d 97 (Fla. Ct. App. 1995).

Opinion

651 So.2d 97 (1994)

Philip H. TAYLOR, Appellant,
v.
SEARCY DENNEY SCAROLA BARN-HART & SHIPLEY, P.A.; and Gary, Williams, Parenti & Taylor, P.A., Appellees.

No. 93-0319.

District Court of Appeal of Florida, Fourth District.

November 30, 1994.
Opinion on Denial of Rehearing and Certification March 1, 1995.

*98 Bruce S. Rogow, of Bruce S. Rogow, P.A., and Beverly A. Pohl, Fort Lauderdale, for appellant.

Daniel S. Pearson, Lenore C. Smith, Lucinda A. Hofmann of Holland & Knight, Miami, for appellees.

FARMER, Judge.

A lawyer appeals a judgment in a civil proceeding that he is guilty of contempt of court and that imposed a fine of $1,700,000 for violating an injunction against communication with his client. We reverse.

We begin by emphatically reconfirming the principle that every litigant, and especially a lawyer, must comply with an injunction — even those that the person believes in good faith to be entirely erroneous. This is undoubtedly even more true where the injunction has survived an appeal, as happened in this case.[1] The fact that this injunction appears to lack legal support and may interfere with protected First Amendment interests does not in any way establish that it is void. A pretrial injunction would be void only if the court entering it lacked subject matter jurisdiction or had not yet acquired jurisdiction over the defendant. Neither circumstance is applicable here.

In our opinion, it is the finding of contempt and the fine that must be set aside. The contempt proceeding was held after Judge Kanarek had granted Taylor's motion to substitute his new firm for the Searcy Denney firm.[2] When the issue of contempt was heard, the injunction was no longer effective and thus the purpose of the motion could only have been punitive — enforcement no longer being an issue and coercion having *99 thus been made moot. That means to us that the matter should have been handled as one seeking to punish for indirect criminal contempt of court. Rule 3.840 governs such proceedings,[3] but none of its requirements were followed here. A reversal on that procedural ground is unavoidable.

But even if the correct procedure for indirect criminal contempt of court had been followed, we would still vote to find the fine excessive. The fine imposed is $1,700,000. As we read the statutes, the amount of fines in criminal cases is controlled by section 775.083, Florida Statutes (1993), which authorizes fines ranging from $15,000 for life felonies down to $500 for second degree misdemeanors and noncriminal violations, unless another statute specifically allows an even higher amount. Subsection (f) of section 775.083 authorizes "any higher amount equal to double the pecuniary gain derived from the offense by the offender or double the pecuniary loss suffered by the victim."

Neither of these alternative justifications is available here because there has been no finding as to any gain derived by Taylor or loss suffered by Searcy Denney. In fact, whether there could ever be such a gain or loss is highly doubtful as a matter of law. In Rosenberg v. Levin, 409 So.2d 1016 (Fla. 1982), the court declared the following policy in this state:

"We approve the philosophy that there is an overriding need to allow clients freedom to substitute attorneys without economic penalty as a means of accomplishing the broad objective of fostering public confidence in the legal profession. Failure to limit quantum meruit recovery defeats the policy against penalizing the client for exercising his right to discharge. However, attorneys should not be penalized either and should have the opportunity to recover for services performed."

409 So.2d at 1021. Later the court made it clear that an attorney is not free to exact a penalty for the client exercising a right to discharge the attorney. The Florida Bar v. Doe, 550 So.2d 1111 (Fla. 1989). Still later the court condemned a fee agreement provision that made the discharging client responsible for the fee provided in the original fee agreement unless the discharged lawyer, the client and the successor lawyer all agree on a substitute fee. The Florida Bar v. Hollander, 607 So.2d 412 (Fla. 1992). Plainly, under these cases, the discharged lawyer cannot contend that he has suffered damages in lost fees equal to the amount of the original fee agreement.

The cases also leave us with doubts that the contempt court could punish the successor lawyer by a fine equal to the contract fee. If this result could obtain, it would not be fanciful to foresee a discharging client facing substantial difficulty in obtaining the services of a successor lawyer. Such difficulties could be understood as the client suffering a penalty simply for exercising the right to discharge the lawyer at any time. For the moment, however, it is sufficient for us to note the absence of anything in the present record that would authorize a fine in excess of the statutory limits on the theory of damages caused or gains derived. In sum, there is absolutely no legal foundation for the amount of the fine imposed in this case, and thus it is by any definition excessive.

We remand for further proceedings consistent with this opinion.

HERSEY, J., concurs.

MAGER, GERALD, Senior Judge, concurs in part, dissents in part with opinion.

MAGER, GERALD, Senior Judge, concurring in part and dissenting in part.

I concur with the majority only insofar as the judgment below should be reversed. Respectfully, however, I find no basis to send this case back to the trial court to revisit the matter of contempt or imposition of a fine for the reasons hereafter set forth with particularity.

In this appeal from a finding of contempt for violating an injunction, the issues presented are particularly troublesome because they bring into play two concepts that are, seemingly, on a direct collision course with each other, namely: (1) the power of the *100 court to enter an injunction and the sanctity of that order, i.e., the requirement that the order be obeyed, arguably more so, when the enjoined party is an attorney; and (2) the right of an individual to be able to retain and terminate an attorney. Inherent in that process is the ability of the client to communicate with the attorney and the ability of the attorney to communicate with the client. Inherent in the injunction order and the obedience process is the notion that the order must be obeyed regardless of the belief that the order is unreasonable, unjust or inequitable, until the order is vacated, modified, set aside or determined to be void.

The injunction giving rise to the contempt on appeal enjoined an attorney from communicating with persons alleged to be clients of the firm he left.

An appellate court occupies the enviable position of engaging in "20/20 hindsight" — the court is given the authority and has the responsibility to look back at what happened at the trial level and determine whether that which occurred is, or is not, sustainable in accordance with applicable legal principles. The subject matter of the attorney-client relationship and, more emphatically, the right of an individual to be free to select or terminate an attorney and implicitly, the ability to communicate with that attorney, is so fundamentally embedded in our jurisprudence that there must be a heightened sensitivity before proscribing conduct that has the effect of restricting the free flow of that process.

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Bluebook (online)
651 So. 2d 97, Counsel Stack Legal Research, https://law.counselstack.com/opinion/taylor-v-searcy-denney-scarola-barn-hart-fladistctapp-1995.