United States v. Floyd B. Harmon

339 F.2d 354
CourtCourt of Appeals for the Sixth Circuit
DecidedMarch 15, 1965
Docket15724_1
StatusPublished
Cited by35 cases

This text of 339 F.2d 354 (United States v. Floyd B. Harmon) is published on Counsel Stack Legal Research, covering Court of Appeals for the Sixth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Floyd B. Harmon, 339 F.2d 354 (6th Cir. 1965).

Opinion

WEICK, Chief Judge.

Defendant-Appellant Harmon was secretary-treasurer and a business agent of Local 614, International Brotherhood of Teamsters, a labor organization, with its headquarters in Pontiac, Michigan. He was also in charge of its office.

Harmon was convicted by a jury in the District Court on all twenty-four counts of an indictment charging him with embezzlement and conversion of union moneys and funds and making false entries on the union’s books with respect thereto, in violation of the Labor-Management Disclosure Act. 29 U.S.C. §§ 501(c) 1 and 439(c). 2 The imposition *356 and execution of sentence was suspended by the court and he was placed on probation on counts 1 through 24 for a period of two years and fined $1,500. on count 1.

In his appeal Harmon contends (1) that his use of the funds of the union for personal purposes did not constitute the crime of embezzlement, and (2) that the trial court erred in permitting Government counsel to call three witnesses, who were co-union officials, and to question them concerning the boat, “The Princess Enterprise,” when the Government knew that these witnesses would invoke their privilege against self-incrimination.

Evidence was offered by the Government which tended to prove that Harmon utilized credit cards, issued to the union by major oil companies, for the purchase of gasoline, supplies and equipment for his boat “The Princess Enterprise”; that during the period of the indictment these purchases totaled about two thousand dollars and were made by Harmon in marinas in the greater Detroit River area; that these purchases were billed to the union by the oil companies and were paid for by union checks drawn on its bank account, signed by Harmon; that Harmon approved the payment of all union bills and signed the checks; that Harmon told a boat marina operator, Roat, not to let his employees know about the arrangement; that Harmon never told the union bookkeeper about the boat or that the invoices were for boat expenses; that a former recording secretary of the union did not know that expenses in connection with the boat were being charged to the union and there was no discussion of a boat being used for the union at union meetings which he attended; that some other union officials did not know of the boat being used for union business; that Plarmon did not show receipts for these expenses to some of the union trustees, although requested to do so; that shortly before a Labor Department audit was made of the union’s books, Harmon paid back to the union $1,515.67; and that a Labor Department Investigator asked Harmon about the expenses and he did not answer the questions or tell the Investigator that the expenses were for union business.

Harmon, in his defense, offered evidence of a number of witnesses who testified that union business was conducted by him on the boat.

The District Judge submitted this disputed issue of fact to the jury under proper instructions, which are not in question here. The jury resolved the conflict in favor of the Government. The question raised by Harmon is whether this misuse of union funds constituted embezzlement and conversion.

The evil sought to be remedied by Congress was stated in the Act, as follows:

“(a) The officers, agents, shop stewards, and other representatives of a labor organization occupy positions of trust in relation to such organization and its members as a group. It is, therefore, the duty of each such person, taking into account the special problems and functions of a labor organization, to hold its money and property solely for the benefit of the organization and its members and to manage, invest, and expend the same in accordance with its constitution and bylaws and any resolutions of the governing bodies adopted thereunder, to refrain from dealing with such organization as an adverse party or in behalf of an adverse party in any matter connected with his duties and from holding or acquir *357 ing any pecuniary or personal interest which conflicts with the interests of such organization, and to account to the organization for any profit received by him in whatever capacity in connection with transactions conducted by him or under his direction on behalf of the organization. A general exculpatory provision in the constitution and bylaws of such a labor organization or a general exculpatory resolution of a governing body purporting to relieve any such person of liability for breach of the duties declared by this section shall be void as against public policy.” 29 U.S.C. § 501(a).

It was the claim of Harmon that although the words in the statute, “embezzles * * * or converts to his own use,” are in the disjunctive, they are synonymous; that the union’s checking account was a chose in action representing a debtor-creditor relationship between the union and the bank, and was intangible property not capable of embezzlement or conversion.

We are unable to follow this reasoning. We think the crime of conversion has even wider application than embezzlement. Congress recognized that there was a difference between embezzlement and conversion by including both in the statute. The union’s bank account would certainly come within the scope of the broad language of the statute, “moneys, funds, securities, property, or other assets of a labor organization.” 29 U.S.C. § 501(c).

The language in the statute, “embezzles, steals, or unlawfully and willfully abstracts or converts to his own use,” would seem to cover almost every kind of a taking, whether by larceny, theft, embezzlement or conversion.

In § 501(a) of the Act Congress indicated rather clearly its policy with respect to the fiduciary responsibility of officers, agents and representatives of labor organizations, and it would appear that technical common law distinctions of various types of crimes were not in- . tended to be rigidly applied. Cf. United States v. Page, 277 F.2d 3 (C.A. 2, 1960) , Arbuckle v. United States, 79 U.S.App. D.C. 282, 146 F.2d 657 (1944).

In Morissette v. United States, 342 U.S. 246, at pages 271 to 273, 72 S.Ct. 240, at page 254, 96 L.Ed. 288 (1952), the Court, in construing 18 U.S.C. § 641, said:

“It is not surprising if there is considerable overlapping in the embezzlement, stealing, purloining and knowing conversion grouped in this statute. What has concerned codifiers of the larceny-type offense is that gaps or crevices have separated particular crimes of this general class and guilty men have escaped through the breaches.

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339 F.2d 354, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-floyd-b-harmon-ca6-1965.