William Rowland Edwards, Jr. v. Pamela Dunlop-Gates, Individually and Thompson, Coe, Cousins & Irons, LLP, a Limited Liability Corporation and Byron L. Woolley, Individual

CourtCourt of Appeals of Texas
DecidedApril 28, 2011
Docket08-09-00040-CV
StatusPublished

This text of William Rowland Edwards, Jr. v. Pamela Dunlop-Gates, Individually and Thompson, Coe, Cousins & Irons, LLP, a Limited Liability Corporation and Byron L. Woolley, Individual (William Rowland Edwards, Jr. v. Pamela Dunlop-Gates, Individually and Thompson, Coe, Cousins & Irons, LLP, a Limited Liability Corporation and Byron L. Woolley, Individual) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

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William Rowland Edwards, Jr. v. Pamela Dunlop-Gates, Individually and Thompson, Coe, Cousins & Irons, LLP, a Limited Liability Corporation and Byron L. Woolley, Individual, (Tex. Ct. App. 2011).

Opinion

COURT OF APPEALS EIGHTH DISTRICT OF TEXAS EL PASO, TEXAS

§ WILLIAM ROWLAND EDWARDS, JR., § Appellant, No. 08-09-00040-CV § v. Appeal from § PAMELA DUNLOP-GATES, 116th District Court INDIVIDUALLY AND THOMPSON, § COE, COUSINS & IRONS, LLP, of Dallas County, Texas A LIMITED LIABILITY § CORPORATION AND (TC # 04-09759) BYRON L. WOOLLEY, INDIVIDUAL, §

Appellees. §

OPINION

William Rowland Edwards, Jr. appeals from a summary judgment entered in favor of the

defendants in this legal malpractice action. For the reasons that follow, we reverse and remand for

a trial on the merits.

FACTUAL BACKGROUND

Edwards filed suit against Pamela Dunlop-Gates, Gerrit M. Pronske, and Thompson, Coe,

Cousins, & Irons, LLP alleging claims of legal malpractice. Because the facts which give rise to

Edwards claims are entangled and somewhat complex, it is necessary to provide a more detailed

summary. A review of the record in the light most favorable to Edwards discloses the following

facts.

In April 1999, Edwards became a creditor in a bankruptcy proceeding involving Dr. William

Scott Blessing, his wife Lisa, and his professional medical association (MDPA). Edwards filed a

proof of claim seeking payment of debts from a series of financial dealings. At that time, Lionel Smith served as an officer and director of Medifund Management Corp. (Management), a company

that provided billing services for doctors. He also served as president and one of three stockholders

in Medifund Financial Corp. (Financial). According to Edwards’ pleadings, Smith was also, “a key

person involved in all aspects” of MDPA’s financial affairs. MDPA was a client of Medifund

Management.

Financial loaned money to MDPA and later placed a lien on its accounts receivable. When

Smith wanted to refinance the debt in December 1998, he approached Edwards with a business

proposition by which Edwards would acquire Financial’s loan to MDPA. By April 1999, the

Blessings and MDPA had defaulted and Edwards made demand for payment. When the Blessings

and MDPA filed for bankruptcy, they also filed an adversary proceeding naming Edwards as

defendant.

The Adversary Proceeding, The Smith Suit & The Settlement Agreement

Edwards hired Pronske, a bankruptcy specialist with the firm of Thompson Coe, to represent

him in the adversary proceeding. The Blessings alleged claims against Edwards for fraud, breach

of fiduciary duty, and breach of contract. Without Edwards’ consent and despite repeated

complaints, Pronske delegated a substantial amount of the case load to Gates. Despite many

assurances to the contrary, only Gates appeared on Edwards’ behalf at the hearing.

During this same time period, Edwards was engaged in litigation with Lionel Smith, whom

he claimed defrauded him into entering business dealings with the Blessings and the Medifund

entities. According to Edwards’ pleadings, Smith made numerous material misrepresentations

regarding the personal and professional financial condition of the Blessings and MDPA which

induced him to enter the agreement. In this lawsuit, Edwards was represented by Marshall Searcy,

an attorney with the firm of Kelly, Hart, & Hallman, PC. At a hearing in the adversary proceeding on August 30, 2000, the parties announced a

settlement. In addition to an agreement between Edwards and the Debtors, Smith's attorney

announced that Smith would also be a party to the settlement. The terms were then read into the

record.1 The adversary proceeding was administratively closed on September 7, 2000. The Smith

litigation was then dismissed by Searcy and Smith's counsel according to an agreed order of

dismissal dated October 24, 2000.

The First Trust Suit

About a year after the settlement, a group of creditors who were successors in interest to the

Financial note2 demanded Edwards pay the debt, contending that the settlement reached in the

adversary proceeding did not release Financial’s claims against Edwards. On October 17, 2001, the

Moon Brothers sued Edwards claiming breach of a commercial financing agreement. First Trust

Corp. TTEE FBO v. Edwards, 172 S.W.3d 230, 232 (Tex.App.--Dallas 2005, pet. denied). Edwards

was represented in the First Trust Suit by Searcy. It is undisputed that Thompson Coe was not

involved in his defense.3 Edwards initially prevailed, but the Dallas Court of Appeals reversed and

remanded, ruling in part that Edwards received a release from Smith individually but not from

Medifund Financal. First Trust, 172 S.W.3d at 232. The court then concluded that:

[O]n this record, as to the first issue, the settlement agreement in question does not, as a matter of law, release and discharge Edwards from the claims of MFC on which First Trust brings suit. . . . as to the second issue, that [sic] there is no evidence establishing that MFC authorized anyone to grant a release of its claims against

1 Edwards specifically told Gates during the recitation of the agreement that the settlement must include a release from all obligations Edwards owed to Financial.

2 These creditors are collectively referred to as the “Moon Brothers.”

3 According to Edwards, he first approached Pronske and Thompson Coe for representation since they had been instructed to, and to Edward’s belief, had obtained a release from the obligation. They refused to defend Edwards and disavowed any knowledge of a release. Edwards.

First Trust, 172 S.W.3d at 232. During the re-trial, Edwards elected to settle the suit.

The Current Malpractice Suit & Summary Judgment

On September 21, 2004, Edwards filed this suit alleging claims of legal malpractice. His

pleadings alleged negligence on behalf of Thompson Coe in: (1) failing to obtain a valid release of

the Financial debt obligations owed by Edwards and/or failing to inform Edwards that a valid release

was not possible; (2) negligent supervision by Pronske; (3) violations of the Deceptive Trade

Practices Act by Thompson Coe and Pronske; and (4) breach of fiduciary duty as to Pronske. All

that remains are the negligence claims.4

On October 2, 2008, Appellees filed both traditional and no-evidence motions for summary

judgment. The traditional motion alleged that all claims were barred by the applicable statutes of

limitations. The trial court granted summary judgment and this appeal ensues. In two issues,

Edwards attacks the validity of the summary judgment.

STANDARD OF REVIEW

The purpose of summary judgment is to permit a trial court to promptly dispose of

unmeritorious claims or untenable defenses. City of Houston v. Clear Creek Basin Authority, 589

S.W.2d 671, 678 n.5 (Tex. 1979). Summary judgment is proper if the defendant disproves at least

4 Texas courts do not generally allow what are truly negligence claims to be fractured into claims for fraud, breach of contract, breach of fiduciary duty, or violation of the DTPA because, “the real issue remains one of whether the professional exercised that degree of care, skill, and diligence that professionals of ordinary skill and knowledge commonly possess and exercise.” Kimleco Petroleum, Inc. v. Morrison & Shelton, 91 S.W .3d 921, 924 (Tex.App.--Fort W orth 2002, pet. denied), citing Averitt v. PriceWaterhouseCoopers, LLP., 89 S.W .3d 330, 333 (Tex.App.--Fort W orth 2002, no pet.). The rule serves to prevent legal-malpractice plaintiffs from transforming a claim that sounds only in negligence into other claims to avail themselves of longer limitations periods, less onerous proof requirements, or other tactical advantages.

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