United States v. Whitty

688 F. Supp. 48, 1988 U.S. Dist. LEXIS 5943, 1988 WL 63032
CourtDistrict Court, D. Maine
DecidedMay 19, 1988
DocketCrim. 87-00054-B
StatusPublished
Cited by17 cases

This text of 688 F. Supp. 48 (United States v. Whitty) is published on Counsel Stack Legal Research, covering District Court, D. Maine primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Whitty, 688 F. Supp. 48, 1988 U.S. Dist. LEXIS 5943, 1988 WL 63032 (D. Me. 1988).

Opinion

MEMORANDUM AND ORDER

CYR, Chief Judge.

Before the court are defendant Hugh F. Whitty, Jr.’s [Whitty Jr.] motion to dismiss and defendant Hugh F. Whitty, Ill’s [Whitty III] motion to dismiss; motion to quash any subpoenas for obtaining, and to enjoin the use or obtaining, of Whitty Ill’s financial records; and motion to suppress.

FINDINGS OF FACT

1. The investigation of the crimes charged in this indictment began in February 1986. Specifically, on February 12, 1986, Special Agent James Sangillo of the Federal Bureau of Investigation [FBI] was assigned the case. The FBI had been contacted by a federal credit union official.

2. The initial complaint related to certain transactions at the Bangor Federal Credit Union [BFCU] and pertained to these defendants only.

3. Later, during the course of the investigation, Sangillo learned from Whitty Jr. that two other individuals had used an unposted account at BFCU to “float” checks for which sufficient funds were not available. At present the Government is not conducting a criminal investigation relating to these other individuals.

4. In February 1986, Whitty Jr. was dismissed as general manager of BFCU. Following Whitty Jr.’s dismissal, Whitty III believed that he was suspected of involvement in the alleged fraudulent scheme.

5. In or about February and April 1986, certain BFCU financial records relating to Whitty III and his business, Tiny Tot Diaper Service [Tiny Tot], were turned over to federal investigators following an audit which revealed possible wrongdoing by the defendants. There was no search warrant or subpoena, and Whitty III did not consent.

6. After analyzing Whitty Ill’s and Tiny Tot’s financial records, Sangillo suspected that Whitty III had engaged in a fraudulent scheme.

7. On April 24, 1986, in the early afternoon, Sangillo and Detective Owen Colomb of the Maine Attorney General’s office drove to Tiny Tot in Veazie, Maine. They did not call in advance, nor had any law enforcement official contacted Whitty III previously in connection with the alleged fraud scheme at BFCU.

8. Sangillo and Colomb parked in the driveway of Tiny Tot, but did not block the driveway or Whitty Ill’s vehicle. They entered the Tiny Tot building through the customer entrance. Both Sangillo and Colomb were in street clothes.

9. When Sangillo and Colomb entered the building, there was a young woman behind the service counter, and Whitty Ill’s wife was also present. No customers were present, although Tiny Tot was open for business. Sangillo and Colomb asked to see Whitty III.

10. Whitty III promptly appeared in the customer reception area. Sangillo identified himself as an FBI agent and asked Whitty III if there was a more private area in which to talk. Whitty III determined to take the officers to the second floor.

*51 11. As soon as he learned that they were law enforcement officials, Whitty III suspected that Sangillo and Colomb were there in connection with the alleged fraud scheme at BFCU. He himself preferred to repair to a more private place for the ensuing discussion.

12. Whitty III previously had considered contacting an attorney, upon learning some weeks earlier that his father, Whitty Jr., had been discharged by BFCU.

13. After Sangillo and Colomb identified themselves as law enforcement officials, Whitty III led Sangillo and Colomb through an open doorway, located behind the customer service counter, and up a spiral staircase to an unfinished second floor room. The staircase was not enclosed, and there was no door at the top or bottom of the stairs. The first floor was not visible from the second floor room, but sound from the first floor could be heard in the second floor room.

14. Not far from the doorway at the top of the staircase was an unopened stove crate. Whitty stopped beside the crate— roughly opposite, and facing, the staircase. Sangillo stood on the side of the crate to the left of Whitty III, and Colomb stood across from Whitty III with his back to the staircase.

15. The second floor was well lighted, by sunlight and artificial light.

16. Sangillo initiated the interview by stating that he was investigating a problem at BFCU and that an audit indicated that Whitty III may have been involved in a scheme to defraud BFCU. During Sangillo’s initial remarks, Sangillo showed Whitty III schedules obtained by the FBI from BFCU officials relating to activity in Whitty Ill’s personal account and Tiny Tot’s business account at BFCU between September 1983 and February 1986. The schedules reflected certain correlations between the transactions in the two accounts, by date and amount.

17. Immediately after Sangillo completed his initial remarks, Whitty III admitted his involvement in the scheme. Whitty III was hopeful that his early cooperation would be recognized by the authorities, and he felt at the time that he wanted to get the matter behind him.

18. Within the first ten minutes of the interview, Sangillo asked whether Whitty III had an attorney. Whitty III was never given Miranda warnings by Sangillo or Colomb. Whitty III knew that he had the right to an attorney, but he did not request one.

19. After Whitty III admitted his involvement in the scheme, Sangillo and Colomb showed him other financial records obtained from BFCU — including bank statements pertaining to Whitty Ill’s personal account and the Tiny Tot account— and asked him to clarify certain dollar amounts.

20. Sangillo did most of the questioning during the interview. Colomb actively questioned Whitty III only with regard to the dollar amount involved in an October 1983 transaction.

21. During the interview, Sangillo and Colomb were calm. They did not coerce or intimidate Whitty III in any way. Whitty III was neither told that he was free to go, nor that he was not free to go.

22. Sangillo, Colomb and Whitty III stood around the stove crate throughout the interview. The interview was never interrupted by any other person. There was no break in the interview, no offer by Sangillo or Colomb to take a break, and no indication by Whitty III that he wished to take a break or otherwise interrupt or suspend the interview.

23. During the interview, Whitty III appeared remorseful, and he willingly, cooperated with Sangillo and Colomb by answering all of their questions.

24. Sangillo took notes during the interview. At Sangillo’s request, Whitty III reviewed the notes, but he did not sign or initial them.

25. The interview lasted between one and one and one-quarter hours.

26. The interview ended when Sangillo stated that he was going to give the information he had obtained to the United States Attorney and that it was up to Whit *52 ty III what action Whitty III should take. At that point, it became apparent to Whitty III that he would not be arrested or detained at that time.

27. Whitty III had no criminal record; there were no charges against him; and he was not under arrest.

28.

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Cite This Page — Counsel Stack

Bluebook (online)
688 F. Supp. 48, 1988 U.S. Dist. LEXIS 5943, 1988 WL 63032, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-whitty-med-1988.